0001437749-23-009998.txt : 20230411 0001437749-23-009998.hdr.sgml : 20230411 20230411161022 ACCESSION NUMBER: 0001437749-23-009998 CONFORMED SUBMISSION TYPE: 8-K PUBLIC DOCUMENT COUNT: 15 CONFORMED PERIOD OF REPORT: 20230411 ITEM INFORMATION: Regulation FD Disclosure ITEM INFORMATION: Financial Statements and Exhibits FILED AS OF DATE: 20230411 DATE AS OF CHANGE: 20230411 FILER: COMPANY DATA: COMPANY CONFORMED NAME: BOYD GAMING CORP CENTRAL INDEX KEY: 0000906553 STANDARD INDUSTRIAL CLASSIFICATION: HOTELS & MOTELS [7011] IRS NUMBER: 880242733 STATE OF INCORPORATION: NV FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 8-K SEC ACT: 1934 Act SEC FILE NUMBER: 001-12882 FILM NUMBER: 23813514 BUSINESS ADDRESS: STREET 1: 6465 SOUTH RAINBOW BOULEVARD CITY: LAS VEGAS STATE: NV ZIP: 89118 BUSINESS PHONE: 7027927200 MAIL ADDRESS: STREET 1: 6465 SOUTH RAINBOW BOULEVARD CITY: LAS VEGAS STATE: NV ZIP: 89118 FORMER COMPANY: FORMER CONFORMED NAME: BOYD GROUP DATE OF NAME CHANGE: 19941130 8-K 1 bgc20230321_8k.htm FORM 8-K bgc20230321_8k.htm
false 0000906553 0000906553 2023-04-11 2023-04-11
 
 


 
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C. 20549
 
____________________________________________________________________
 
FORM 8-K
 
____________________________________________________________________
 
CURRENT REPORT
 
Pursuant to Section 13 or 15(d) of the
Securities Exchange Act of 1934
 
Date of Report (date of earliest event reported):  April 11, 2023
 
____________________________________________________________________
 
 
 
boydgaminglogo.jpg
 
Boyd Gaming Corporation
 
(Exact Name of Registrant as Specified in its Charter)
 
____________________________________________________________________
 
Nevada
 
001-12882
 
88-0242733
(State or Other Jurisdiction of Incorporation)
 
(Commission File Number)
 
(I.R.S. Employer Identification Number)
 
 
6465 South Rainbow Boulevard
Las Vegas, Nevada 89118
(Address of Principal Executive Offices, Including Zip Code)
 
(702) 792-7200
(Registrant’s Telephone Number, Including Area Code)
 
 
(Former Name or Former Address, if Changed Since Last Report)
 
Securities registered pursuant to Section 12(b) of the Exchange Act:
 
Title of each class
Trading Symbol(s)
Name of each exchange on which registered
Common stock, $0.01 par value
BYD
New York Stock Exchange
 
Check the appropriate box below if the Form 8-K filing is intended to simultaneously satisfy the filing obligation of the registrant under any of the following provisions:
 
Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425)
 
Soliciting material pursuant to Rule 14a-12 under the Exchange Act (17 CFR 240.14a-12)
 
Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b))
 
Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c))
 
Indicate by check mark whether the registrant is an emerging growth company as defined in Rule 405 of the Securities Act of 1933 (§230.405 of this chapter) or Rule 12b-2 of the Securities Exchange Act of 1934 (§240.12b-2 of this chapter).
 
Emerging growth company  
 
If an emerging growth company, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards provided pursuant to Section 13(a) of the Exchange Act.  ☐
 


 
 

 
 
Item 7.01.     Regulation FD Disclosure.
 
During the first quarter of 2023, Boyd Gaming Corporation (the "Company") evaluated its reportable segments and changed them to the following: Las Vegas Locals, Downtown Las Vegas, Midwest & South, and Online, and aggregated other nonreportable operating segments into the Managed & Other category. This change reflects the growth of the Company beyond its traditional wholly owned land-based operations and the increasing importance to the Company of other growth sources. The presentation of Online and Managed & Other as a separate segment and category, respectively, which were previously reported in the Midwest & South segment, reflect management's belief that building a regional online casino business is an important part of our growth strategy and that our management contract will provide meaningful contributions to our overall operations. The Online segment includes the operating results of our existing online gaming operations throughout the United States and Canada, including the operations from our recent acquisition of Pala Interactive, LLC and Pala Interactive Canada Inc. on November 1, 2022. The Managed & Other category includes management fees earned under our management contract with Wilton Rancheria for the management of the Sky River Casino in northern California and the operating results of Lattner Entertainment Group Illinois, LLC, our Illinois distributed gaming operator. 
 
In addition, given the increasing contributions of these additional business activities to the Company's operations, management believes that the separate presentation of online revenue and management fee revenue on the face of the income statement will provide more meaningful information to investors. Online revenue and management fee revenue were previously included in Other revenue in the Company's statements of operations.
 
As a result of the change in reportable segments and disaggregation of online and management fee revenue described above, the Company is providing certain unaudited historical financial information, which has been recast to align with the new segment structure. The Company has recast previously reported segment information and its statements of operations to conform to the current management view for all quarters within and years ended 2022 and 2021 in Exhibit 99.1. The changes to the reportable segments had no impact to the Company's consolidated financial statements and the separation of Online revenue and Management Fee revenue from Other revenue on the statement of operations had no impact to the Company's total revenues, net income or earnings per share reported.
 
The information in this Item 7.01, including Exhibit 99.1, shall not be deemed “filed” for purposes of Section 18 of the Securities Exchange Act of 1934, nor shall it be deemed incorporated by reference in any filing by the Company under the Securities Act of 1933 or the Securities Exchange Act of 1934, except as shall be expressly set forth by specific reference in such filing.
 
Item 9.01.     Financial Statements and Exhibits.
 
(d) Exhibits
 
Exhibit Number
 
Description
     
99.1
 
     
104   Cover Page Interactive Data File (embedded within the Inline XBRL document)
 
 

 
 
SIGNATURE
 
Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized.
 
 
Date:
April 11, 2023
Boyd Gaming Corporation
     
 
By:
/s/ Lori M. Nelson
   
Lori M. Nelson
   
Senior Vice President Financial Operations and Reporting and Chief Accounting Officer
     
 
 
 
EX-99.1 2 ex_491362.htm EXHIBIT 99.1 - RECAST CONDENSED CONSOLIDATED STATEMENT OF OPERATIONS & RECONCILIATION OF ADJUSTED EBITDA TO NET INCOME ex_491362.htm

Exhibit 99.1

 

BOYD GAMING CORPORATION

CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS 

(Unaudited)

 

                                         
   

Three Months Ended

   

Year Ended

 

(In thousands, except per share data)

 

Q1 2022

   

Q2 2022

   

Q3 2022

   

Q4 2022

   

2022

 

Revenues

                                       

Gaming

  $ 667,954     $ 684,925     $ 667,975     $ 653,876     $ 2,674,730  

Food & beverage

    63,743       70,299       67,792       74,145       275,979  

Room

    42,409       49,904       46,672       50,086       189,071  

Online

    55,076       56,774       52,353       89,695       253,898  

Management fee

                10,159       16,746       26,905  

Other

    31,561       32,548       32,312       38,373       134,794  

Total revenues

    860,743       894,450       877,263       922,921       3,555,377  

Operating costs and expenses

                                       

Gaming

    250,042       254,500       251,814       249,474       1,005,830  

Food & beverage

    53,934       57,456       58,502       61,555       231,447  

Room

    15,990       17,285       17,783       17,325       68,383  

Online

    45,989       48,899       45,827       73,203       213,918  

Other

    10,936       11,678       11,370       11,642       45,626  

Selling, general and administrative

    92,047       95,662       92,950       93,305       373,964  

Master lease rent expense (a)

    26,306       26,654       26,828       26,828       106,616  

Maintenance and utilities

    32,890       34,517       40,789       35,331       143,527  

Depreciation and amortization

    62,478       66,757       64,956       63,988       258,179  

Corporate expense

    29,004       34,872       26,375       26,756       117,007  

Project development, preopening and writedowns

    (10,029 )     912       9,645       (19,464 )     (18,936 )

Impairment of assets

                5,575       35,200       40,775  

Other operating items, net

    98       188       (12,610 )     141       (12,183 )

Total operating costs and expenses

    609,685       649,380       639,804       675,284       2,574,153  

Operating income

    251,058       245,070       237,459       247,637       981,224  

Other expense (income)

                                       

Interest income

    (420 )     (483 )     (2,073 )     (18,554 )     (21,530 )

Interest expense, net of amounts capitalized

    37,658       36,466       36,001       41,124       151,249  

Loss on early extinguishments and modifications of debt

    3,300       16,509             6       19,815  

Other, net

    (253 )     3,750       170       (783 )     2,884  

Total other expense, net

    40,285       56,242       34,098       21,793       152,418  

Income before income taxes

    210,773       188,828       203,361       225,844       828,806  

Income tax provision

    (47,845 )     (42,065 )     (46,359 )     (53,160 )     (189,429 )

Net income

  $ 162,928     $ 146,763     $ 157,002     $ 172,684     $ 639,377  
                                         

Basic net income per common share

  $ 1.45     $ 1.33     $ 1.46     $ 1.64     $ 5.87  

Weighted average basic shares outstanding

    112,195       110,118       107,743       105,569       108,885  
                                         

Diluted net income per common share

  $ 1.45     $ 1.33     $ 1.46     $ 1.63     $ 5.87  

Weighted average diluted shares outstanding

    112,358       110,259       107,840       105,649       109,004  

__________________________________________

(a) Rent expense incurred by those properties subject to a master lease with a real estate investment trust.

 

 

1

 

 

 

BOYD GAMING CORPORATION

CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS 

(Unaudited)

 

   

Three Months Ended

   

Year Ended

 

(In thousands, except per share data)

 

Q1 2021

   

Q2 2021

   

Q3 2021

   

Q4 2021

   

2021

 

Revenues

                                       

Gaming

  $ 617,926     $ 727,462     $ 674,227     $ 685,908     $ 2,705,523  

Food & beverage

    44,112       57,428       61,101       67,404       230,045  

Room

    25,990       39,077       44,317       44,796       154,180  

Online

    43,593       42,815       34,516       51,594       172,518  

Management fee

                             

Other

    21,686       26,820       28,899       30,139       107,544  

Total revenues

    753,307       893,602       843,060       879,841       3,369,810  

Operating costs and expenses

                                       

Gaming

    232,113       259,378       249,685       258,352       999,528  

Food & beverage

    38,913       46,819       50,659       55,943       192,334  

Room

    12,132       14,207       15,074       16,214       57,627  

Online

    36,269       36,841       30,645       44,518       148,273  

Other

    5,638       7,646       10,999       10,435       34,718  

Selling, general and administrative

    90,007       90,473       91,159       94,517       366,156  

Master lease rent expense (a)

    25,915       26,175       26,306       26,306       104,702  

Maintenance and utilities

    28,231       31,157       35,868       30,859       126,115  

Depreciation and amortization

    64,467       67,279       67,586       68,455       267,787  

Corporate expense

    23,315       34,716       28,264       31,380       117,675  

Project development, preopening and writedowns

    1,415       1,454       10,646       18,300       31,815  

Impairment of assets

                      8,200       8,200  

Other operating items, net

    1,157       11,115       3,023       (519 )     14,776  

Total operating costs and expenses

    559,572       627,260       619,914       662,960       2,469,706  

Operating income

    193,735       266,342       223,146       216,881       900,104  

Other expense (income)

                                       

Interest income

    (509 )     (455 )     (442 )     (413 )     (1,819 )

Interest expense, net of amounts capitalized

    57,890       55,131       45,171       41,250       199,442  

Loss on early extinguishments and modifications of debt

          65,475       42       29,638       95,155  

Other, net

    1,932       237       119       1,099       3,387  

Total other expense, net

    59,313       120,388       44,890       71,574       296,165  

Income before income taxes

    134,422       145,954       178,256       145,307       603,939  

Income tax provision

    (32,261 )     (32,225 )     (40,082 )     (35,525 )     (140,093 )

Net income

  $ 102,161     $ 113,729     $ 138,174     $ 109,782     $ 463,846  
                                         

Basic net income per common share

  $ 0.90     $ 1.00     $ 1.21     $ 0.96     $ 4.07  

Weighted average basic shares outstanding

    113,626       113,779       114,095       113,957       113,866  
                                         

Diluted net income per common share

  $ 0.90     $ 1.00     $ 1.21     $ 0.96     $ 4.07  

Weighted average diluted shares outstanding

    113,967       114,040       114,284       114,114       114,103  

__________________________________________

(a) Rent expense incurred by those properties subject to a master lease with a real estate investment trust.

 

 

 

2

 

 

BOYD GAMING CORPORATION

SUPPLEMENTAL INFORMATION

Reconciliation of Adjusted EBITDA to Net Income 

(Unaudited)

 

                                         
   

Three Months Ended

   

Year Ended

 

(In thousands)

 

Q1 2022

   

Q2 2022

   

Q3 2022

   

Q4 2022

   

2022

 

Total Revenues by Segment

                                       

Las Vegas Locals

  $ 227,562     $ 236,461     $ 225,791       240,916     $ 930,730  

Downtown Las Vegas

    49,484       53,899       49,507       62,442       215,332  

Midwest & South

    517,061       534,937       527,536       496,532       2,076,066  

Online

    55,076       56,774       52,353       89,695       253,898  

Managed & Other

    11,560       12,379       22,076       33,336       79,351  

Total revenues

  $ 860,743     $ 894,450     $ 877,263     $ 922,921     $ 3,555,377  
                                         

Adjusted EBITDAR by Segment

                                       

Las Vegas Locals

  $ 118,695     $ 125,334     $ 111,733       125,881     $ 481,643  

Downtown Las Vegas

    18,389       22,123       17,704       27,833       86,049  

Midwest & South

    212,200       218,859       211,292       188,431       830,782  

Online

    8,888       7,678       6,350       16,862       39,778  

Managed & Other

    2,393       2,512       12,553       23,523       40,981  

Property Adjusted EBITDAR

    360,565       376,506       359,632       382,530       1,479,233  

Corporate expense, net of share-based compensation expense (a)

    (21,729 )     (22,633 )     (21,934 )     (22,428 )     (88,724 )

Adjusted EBITDAR

    338,836       353,873       337,698       360,102       1,390,509  

Master lease rent expense (b)

    (26,306 )     (26,654 )     (26,828 )     (26,828 )     (106,616 )

Adjusted EBITDA

    312,530       327,219       310,870       333,274       1,283,893  
                                         

Other operating costs and expenses

                                       

Deferred rent

    191       192       192       193       768  

Depreciation and amortization

    62,478       66,757       64,956       63,988       258,179  

Share-based compensation expense

    8,734       14,100       5,653       5,579       34,066  

Project development, preopening and writedowns

    (10,029 )     912       9,645       (19,464 )     (18,936 )

Impairment of assets

                5,575       35,200       40,775  

Other operating items, net

    98       188       (12,610 )     141       (12,183 )

Total other operating costs and expenses

    61,472       82,149       73,411       85,637       302,669  

Operating income

    251,058       245,070       237,459       247,637       981,224  

Other expense (income)

                                       

Interest income

    (420 )     (483 )     (2,073 )     (18,554 )     (21,530 )

Interest expense, net of amounts capitalized

    37,658       36,466       36,001       41,124       151,249  

Loss on early extinguishments and modifications of debt

    3,300       16,509             6       19,815  

Other, net

    (253 )     3,750       170       (783 )     2,884  

Total other expense, net

    40,285       56,242       34,098       21,793       152,418  

Income before income taxes

    210,773       188,828       203,361       225,844       828,806  

Income tax provision

    (47,845 )     (42,065 )     (46,359 )     (53,160 )     (189,429 )

Net income

  $ 162,928     $ 146,763     $ 157,002     $ 172,684     $ 639,377  

__________________________________________

(a) Reconciliation of corporate expense:

 

   

Three Months Ended

   

Year Ended

 

(In thousands)

 

Q1 2022

   

Q2 2022

   

Q3 2022

   

Q4 2022

   

2022

 

Corporate expense as reported on Condensed Consolidated

                                       

Statements of Operations

  $ 29,004     $ 34,872     $ 26,375     $ 26,756     $ 117,007  

Corporate share-based compensation expense

    (7,275 )     (12,239 )     (4,441 )     (4,328 )     (28,283 )

Corporate expense, net, as reported on the above table

  $ 21,729     $ 22,633     $ 21,934     $ 22,428     $ 88,724  

 

(b) Rent expense incurred by those properties subject to a master lease with a real estate investment trust.

 

3

 

 

BOYD GAMING CORPORATION

SUPPLEMENTAL INFORMATION

Reconciliation of Adjusted EBITDA to Net Income 

(Unaudited)

 

   

Three Months Ended

   

Year Ended

 

(In thousands)

 

Q1 2021

   

Q2 2021

   

Q3 2021

   

Q4 2021

   

2021

 

Total Revenues by Segment

                                       

Las Vegas Locals

  $ 182,423     $ 236,095     $ 231,264       236,272     $ 886,054  

Downtown Las Vegas

    21,433       38,780       42,137       53,456       155,806  

Midwest & South

    495,024       561,479       522,509       526,765       2,105,777  

Online

    43,594       42,815       34,515       51,594       172,518  

Managed & Other

    10,833       14,433       12,635       11,754       49,655  

Total revenues

  $ 753,307     $ 893,602     $ 843,060     $ 879,841     $ 3,369,810  
                                         

Adjusted EBITDAR by Segment

                                       

Las Vegas Locals

  $ 90,642     $ 133,570     $ 125,360       123,615     $ 473,187  

Downtown Las Vegas

    2,440       15,421       13,222       20,217       51,300  

Midwest & South

    208,532       250,813       215,568       217,177       892,090  

Online

    7,194       5,801       3,582       7,006       23,583  

Managed & Other

    2,423       3,378       2,908       2,573       11,282  

Property Adjusted EBITDAR

    311,231       408,983       360,640       370,588       1,451,442  

Corporate expense, net of share-based compensation expense (a)

    (18,634 )     (23,588 )     (19,943 )     (23,292 )     (85,457 )

Adjusted EBITDAR

    292,597       385,395       340,697       347,296       1,365,985  

Master lease rent expense (b)

    (25,915 )     (26,175 )     (26,306 )     (26,306 )     (104,702 )

Adjusted EBITDA

    266,682       359,220       314,391       320,990       1,261,283  
                                         

Other operating costs and expenses

                                       

Deferred rent

    207       207       207       207       828  

Depreciation and amortization

    64,467       67,279       67,586       68,455       267,787  

Share-based compensation expense

    5,701       12,823       9,783       9,466       37,773  

Project development, preopening and writedowns

    1,415       1,454       10,646       18,300       31,815  

Impairment of assets

                      8,200       8,200  

Other operating items, net

    1,157       11,115       3,023       (519 )     14,776  

Total other operating costs and expenses

    72,947       92,878       91,245       104,109       361,179  

Operating income

    193,735       266,342       223,146       216,881       900,104  

Other expense (income)

                                       

Interest income

    (509 )     (455 )     (442 )     (413 )     (1,819 )

Interest expense, net of amounts capitalized

    57,890       55,131       45,171       41,250       199,442  

Loss on early extinguishments and modifications of debt

          65,475       42       29,638       95,155  

Other, net

    1,932       237       119       1,099       3,387  

Total other expense, net

    59,313       120,388       44,890       71,574       296,165  

Income before income taxes

    134,422       145,954       178,256       145,307       603,939  

Income tax provision

    (32,261 )     (32,225 )     (40,082 )     (35,525 )     (140,093 )

Net income

  $ 102,161     $ 113,729     $ 138,174     $ 109,782     $ 463,846  

__________________________________________

(a) Reconciliation of corporate expense:

 

   

Three Months Ended

   

Year Ended

 

(In thousands)

 

Q1 2021

   

Q2 2021

   

Q3 2021

   

Q4 2021

   

2021

 

Corporate expense as reported on Condensed Consolidated

                                       

Statements of Operations

  $ 23,315     $ 34,716     $ 28,264     $ 31,380     $ 117,675  

Corporate share-based compensation expense

    (4,681 )     (11,128 )     (8,321 )     (8,088 )     (32,218 )

Corporate expense, net, as reported on the above table

  $ 18,634     $ 23,588     $ 19,943     $ 23,292     $ 85,457  

 

 

(b) Rent expense incurred by those properties subject to a master lease with a real estate investment trust.

 

 

4

 

 

Non-GAAP Financial Measures

 

Our financial presentations include the following non-GAAP financial measures:

 

 

EBITDA: earnings before interest, taxes, depreciation and amortization,

 

Adjusted EBITDA: EBITDA adjusted for deferred rent, share-based compensation expense, project development, preopening and writedown expenses, impairments of assets, other operating items, net, gain or loss on early extinguishments and modifications of debt and other items, net,

 

EBITDAR: EBITDA further adjusted for rent expense associated with master leases with a real estate investment trust,

 

Adjusted EBITDAR: Adjusted EBITDA further adjusted for rent expense associated with master leases with a real estate investment trust.

 

Collectively, we refer to these and other non-GAAP financial measures as the "Non-GAAP Measures."

 

The Non-GAAP Measures are commonly used measures of performance in our industry that we believe, when considered with measures calculated in accordance with accounting principles generally accepted in the United States (GAAP), provide our investors with a more complete understanding of our operating results and facilitates comparisons between us and our competitors. We provide this information to investors to enable them to perform comparisons of our past, present and future operating results and as a means to evaluate the results of core on-going operations. We have historically reported these measures to our investors and believe that the continued inclusion of the Non-GAAP Measures provides consistency in our financial reporting. We also believe this information is useful to investors in allowing greater transparency related to significant measures used by our management in their financial and operational decision-making, their evaluation of total company and individual property performance, in the evaluation of incentive compensation and in the annual budget process. Management also uses Non-GAAP Measures in the evaluation of potential acquisitions and dispositions. We believe these measures continue to be used by investors in their assessment of our operating performance and the valuation of our company.

 

The use of Non-GAAP Measures has certain limitations. Our presentation of the Non-GAAP Measures may be different from the presentation used by other companies and therefore comparability may be limited. While excluded from certain of the Non-GAAP Measures, depreciation and amortization expense, interest expense, income taxes and other items have been and will be incurred. Each of these items should also be considered in the overall evaluation of our results. Additionally, the Non-GAAP Measures do not consider capital expenditures and other investing activities and should not be considered as a measure of our liquidity. We compensate for these limitations by providing the relevant disclosure of our depreciation and amortization, interest and income taxes, capital expenditures and other items both in our reconciliations to the historical GAAP financial measures and in our consolidated financial statements, all of which should be considered when evaluating our performance. We do not provide a reconciliation of forward-looking Non-GAAP Measures to the corresponding forward-looking GAAP measure due to our inability to project special charges and certain expenses.

 

The Non-GAAP Measures are to be used in addition to and in conjunction with results presented in accordance with GAAP. The Non-GAAP Measures should not be considered as an alternative to net income, operating income, or any other operating performance measure prescribed by GAAP, nor should these measures be relied upon to the exclusion of GAAP financial measures. The Non-GAAP Measures reflect additional ways of viewing our operations that we believe, when viewed with our GAAP results and the reconciliations to the corresponding historical GAAP financial measures, provide a more complete understanding of factors and trends affecting our business than could be obtained absent this disclosure. Management strongly encourages investors to review our financial information in its entirety and not to rely on a single financial measure.

 

 

5
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Document And Entity Information
Apr. 11, 2023
Document Information [Line Items]  
Entity, Registrant Name Boyd Gaming Corporation
Document, Type 8-K
Document, Period End Date Apr. 11, 2023
Entity, Incorporation, State or Country Code NV
Entity, File Number 001-12882
Entity, Tax Identification Number 88-0242733
Entity, Address, Address Line One 6465 South Rainbow Boulevard
Entity, Address, City or Town Las Vegas
Entity, Address, State or Province NV
Entity, Address, Postal Zip Code 89118
City Area Code 702
Local Phone Number 792-7200
Title of 12(b) Security Common stock
Trading Symbol BYD
Security Exchange Name NYSE
Written Communications false
Soliciting Material false
Pre-commencement Tender Offer false
Pre-commencement Issuer Tender Offer false
Entity, Emerging Growth Company false
Amendment Flag false
Entity, Central Index Key 0000906553
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