0001193125-12-339220.txt : 20120807 0001193125-12-339220.hdr.sgml : 20120807 20120807065215 ACCESSION NUMBER: 0001193125-12-339220 CONFORMED SUBMISSION TYPE: 10-Q PUBLIC DOCUMENT COUNT: 10 CONFORMED PERIOD OF REPORT: 20120630 FILED AS OF DATE: 20120807 DATE AS OF CHANGE: 20120807 FILER: COMPANY DATA: COMPANY CONFORMED NAME: GAYLORD ENTERTAINMENT CO /DE CENTRAL INDEX KEY: 0001040829 STANDARD INDUSTRIAL CLASSIFICATION: HOTELS & MOTELS [7011] IRS NUMBER: 730664379 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 10-Q SEC ACT: 1934 Act SEC FILE NUMBER: 001-13079 FILM NUMBER: 121011228 BUSINESS ADDRESS: STREET 1: ONE GAYLORD DR CITY: NASHVILLE STATE: TN ZIP: 37214 BUSINESS PHONE: 6153166000 MAIL ADDRESS: STREET 1: ONE GAYLORD DRIVE CITY: NASHVILLE STATE: TN ZIP: 37214 FORMER COMPANY: FORMER CONFORMED NAME: NEW GAYLORD ENTERTAINMENT CO DATE OF NAME CHANGE: 19970611 10-Q 1 d353706d10q.htm FORM 10-Q Form 10-Q
Table of Contents

 

 

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

WASHINGTON, D.C. 20549

 

 

FORM 10-Q

 

 

(Mark One)

x QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

For the quarterly period ended June 30, 2012

or

 

¨ TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

Commission file number 1-13079

 

 

GAYLORD ENTERTAINMENT COMPANY

(Exact name of registrant as specified in its charter)

 

 

 

Delaware   73-0664379

(State or other jurisdiction of

incorporation or organization)

 

(I.R.S. Employer

Identification No.)

One Gaylord Drive

Nashville, Tennessee 37214

(Address of principal executive offices) (Zip Code)

(615) 316-6000

(Registrant’s telephone number, including area code)

 

 

Indicate by check mark whether the registrant (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days.    x  Yes  ¨    No

Indicate by check mark whether the registrant has submitted electronically and posted on its corporate Web site, if any, every Interactive Data File required to be submitted and posted pursuant to Rule 405 of Regulation S-T (§232.405 of this chapter) during the preceding 12 months (or for such shorter period that the registrant was required to submit and post such files).    x  Yes  ¨    No

Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer, or a smaller reporting company. See the definitions of “large accelerated filer,” “accelerated filer” and “smaller reporting company” in Rule 12b-2 of the Exchange Act.

 

Large accelerated filer   x    Accelerated filer   ¨
Non-accelerated filer   ¨    Smaller reporting company   ¨

Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Exchange Act).    ¨  Yes    x  No

Indicate the number of shares outstanding of each of the issuer’s classes of common stock, as of the latest practicable date.

 

Class

   Outstanding as of July 31, 2012
Common Stock, par value $.01    49,137,465 shares

 

 

 


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GAYLORD ENTERTAINMENT COMPANY

FORM 10-Q

For the Quarter Ended June 30, 2012

INDEX

 

     Page  

Part I—Financial Information

  

Item 1. Financial Statements

  

Condensed Consolidated Statements of Operations and Comprehensive Income (Unaudited)—For the Three Months and Six Months Ended June 30, 2012 and 2011

     3   

Condensed Consolidated Balance Sheets (Unaudited)—June 30, 2012 and December 31, 2011

     4   

Condensed Consolidated Statements of Cash Flows (Unaudited)—For the Six Months Ended June 30, 2012 and 2011

     5   

Notes to Condensed Consolidated Financial Statements (Unaudited)

     6   

Item 2. Management’s Discussion and Analysis of Financial Condition and Results of Operations

     25   

Item 3. Quantitative and Qualitative Disclosures About Market Risk

     51   

Item 4. Controls and Procedures

     52   

Part II—Other Information

  

Item 1. Legal Proceedings

     52   

Item 1A. Risk Factors

     52   

Item 2. Unregistered Sales of Equity Securities and Use of Proceeds

     55   

Item 3. Defaults Upon Senior Securities

     55   

Item 4. Mine Safety Disclosures

     55   

Item 5. Other Information

     55   

Item 6. Exhibits

     56   

SIGNATURES

     57   

 

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Part I – FINANCIAL INFORMATION

Item 1. – FINANCIAL STATEMENTS.

GAYLORD ENTERTAINMENT COMPANY AND SUBSIDIARIES

CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS

AND COMPREHENSIVE INCOME

(Unaudited)

(In thousands, except per share data)

 

     Three Months Ended     Six Months Ended  
     June 30,     June 30,  
     2012     2011     2012     2011  

Revenues

   $ 253,229      $ 236,775      $ 492,144      $ 457,513   

Operating expenses:

        

Operating costs

     139,216        132,746        274,199        266,624   

Selling, general and administrative

     51,771        43,048        101,080        86,126   

Casualty loss

     372        469        546        468   

Preopening costs

     8        41        339        41   

Depreciation and amortization

     30,254        29,271        62,688        58,328   
  

 

 

   

 

 

   

 

 

   

 

 

 

Operating income

     31,608        31,200        53,292        45,926   

Interest expense, net of amounts capitalized

     (14,451     (21,377     (28,813     (42,186

Interest income

     3,021        3,316        6,175        6,489   

Income from unconsolidated companies

     109        152        109        325   

Other gains and (losses), net

     —          141        —          (50
  

 

 

   

 

 

   

 

 

   

 

 

 

Income before income taxes and discontinued operations

     20,287        13,432        30,763        10,504   

Provision for income taxes

     (11,314     (4,799     (15,783     (3,832
  

 

 

   

 

 

   

 

 

   

 

 

 

Income from continuing operations

     8,973        8,633        14,980        6,672   

Income (loss) from discontinued operations, net of income taxes

     (19     4        2        8   
  

 

 

   

 

 

   

 

 

   

 

 

 

Net income

   $ 8,954      $ 8,637      $ 14,982      $ 6,680   
  

 

 

   

 

 

   

 

 

   

 

 

 

Basic income per share:

        

Income from continuing operations

   $ 0.18      $ 0.18      $ 0.31      $ 0.14   

Income from discontinued operations, net of income taxes

     —          —          —          —     
  

 

 

   

 

 

   

 

 

   

 

 

 

Net income

   $ 0.18      $ 0.18      $ 0.31      $ 0.14   
  

 

 

   

 

 

   

 

 

   

 

 

 

Fully diluted income per share:

        

Income from continuing operations

   $ 0.17      $ 0.17      $ 0.29      $ 0.13   

Income from discontinued operations, net of income taxes

     —          —          —          —     
  

 

 

   

 

 

   

 

 

   

 

 

 

Net income

   $ 0.17      $ 0.17      $ 0.29      $ 0.13   
  

 

 

   

 

 

   

 

 

   

 

 

 

Comprehensive income, net of deferred taxes of $0, $1,962, $0 and $3,820, respectively

   $ 8,954      $ 12,150      $ 14,982      $ 13,602   
  

 

 

   

 

 

   

 

 

   

 

 

 

The accompanying notes are an integral part of these condensed consolidated financial statements.

 

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GAYLORD ENTERTAINMENT COMPANY AND SUBSIDIARIES

CONDENSED CONSOLIDATED BALANCE SHEETS

(Unaudited)

(In thousands)

 

     June 30,     December 31,  
     2012     2011  
ASSETS   

Current assets:

    

Cash and cash equivalents—unrestricted

   $ 29,504      $ 44,388   

Cash and cash equivalents—restricted

     1,150        1,150   

Trade receivables, less allowance of $540 and $719, respectively

     54,194        41,939   

Deferred income taxes

     4,993        8,641   

Other current assets

     44,397        48,538   
  

 

 

   

 

 

 

Total current assets

     134,238        144,656   
  

 

 

   

 

 

 

Property and equipment, net of accumulated depreciation

     2,200,616        2,209,127   

Notes receivable, net of current portion

     145,271        142,567   

Long-term deferred financing costs

     13,602        15,947   

Other long-term assets

     52,285        50,713   

Long-term assets of discontinued operations

     335        390   
  

 

 

   

 

 

 

Total assets

   $ 2,546,347      $ 2,563,400   
  

 

 

   

 

 

 
LIABILITIES AND STOCKHOLDERS’ EQUITY   

Current liabilities:

    

Current portion of long-term debt and capital lease obligations

   $ 750      $ 755   

Accounts payable and accrued liabilities

     151,735        168,975   

Current liabilities of discontinued operations

     147        186   
  

 

 

   

 

 

 

Total current liabilities

     152,632        169,916   
  

 

 

   

 

 

 

Long-term debt and capital lease obligations, net of current portion

     1,034,456        1,073,070   

Deferred income taxes

     119,817        108,219   

Other long-term liabilities

     170,779        166,209   

Long-term liabilities of discontinued operations

     451        451   

Commitments and contingencies

    

Stockholders’ equity:

    

Preferred stock, $.01 par value, 100,000 shares authorized, no shares issued or outstanding

     —          —     

Common stock, $.01 par value, 150,000 shares authorized, 49,098 and 48,428 shares issued and outstanding, respectively

     491        484   

Additional paid-in capital

     937,592        929,904   

Treasury stock of 385 shares, at cost

     (4,599     (4,599

Retained earnings

     170,759        155,777   

Accumulated other comprehensive loss

     (36,031     (36,031
  

 

 

   

 

 

 

Total stockholders’ equity

     1,068,212        1,045,535   
  

 

 

   

 

 

 

Total liabilities and stockholders’ equity

   $ 2,546,347      $ 2,563,400   
  

 

 

   

 

 

 

The accompanying notes are an integral part of these condensed consolidated financial statements.

 

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GAYLORD ENTERTAINMENT COMPANY AND SUBSIDIARIES

CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS

For the Six Months Ended June 30, 2012 and 2011

(Unaudited)

(In thousands)

 

     2012     2011  

Cash Flows from Operating Activities:

    

Net income

   $ 14,982      $ 6,680   

Amounts to reconcile net income to net cash flows provided by operating activities:

    

Income from discontinued operations, net of taxes

     (2     (8

Income from unconsolidated companies

     (109     (325

Loss on disposals of long-lived assets

     —          40   

Provision for deferred income taxes

     15,363        3,076   

Depreciation and amortization

     62,688        58,328   

Amortization of deferred financing costs

     2,423        2,635   

Amortization of discount on convertible notes

     6,754        6,216   

Stock-based compensation expense

     5,277        4,826   

Changes in:

    

Trade receivables

     (12,255     (17,184

Interest receivable

     (2,394     1,951   

Accounts payable and accrued liabilities

     (16,228     (22,580

Other assets and liabilities

     2,600        (4,005
  

 

 

   

 

 

 

Net cash flows provided by operating activities—continuing operations

     79,099        39,650   

Net cash flows provided by (used in) operating activities—discontinued operations

     51        (28
  

 

 

   

 

 

 

Net cash flows provided by operating activities

     79,150        39,622   
  

 

 

   

 

 

 

Cash Flows from Investing Activities:

    

Purchases of property and equipment

     (58,788     (61,413

Collection of notes receivable

     2,870        2,465   

Other investing activities

     424        2,183   
  

 

 

   

 

 

 

Net cash flows used in investing activities—continuing operations

     (55,494     (56,765

Net cash flows used in investing activities—discontinued operations

     —          —     
  

 

 

   

 

 

 

Net cash flows used in investing activities

     (55,494     (56,765
  

 

 

   

 

 

 

Cash Flows from Financing Activities:

    

Repayments under credit facility

     (45,000     —     

Proceeds from exercise of stock option and purchase plans

     6,833        4,193   

Other financing activities, net

     (373     (85
  

 

 

   

 

 

 

Net cash flows provided by (used in) financing activities—continuing operations

     (38,540     4,108   

Net cash flows provided by financing activities—discontinued operations

     —          —     
  

 

 

   

 

 

 

Net cash flows provided by (used in) financing activities

     (38,540     4,108   
  

 

 

   

 

 

 

Net change in cash and cash equivalents

     (14,884     (13,035

Cash and cash equivalents—unrestricted, beginning of period

     44,388        124,398   
  

 

 

   

 

 

 

Cash and cash equivalents—unrestricted, end of period

   $ 29,504      $ 111,363   
  

 

 

   

 

 

 

The accompanying notes are an integral part of these condensed consolidated financial statements.

 

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GAYLORD ENTERTAINMENT COMPANY AND SUBSIDIARIES

NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

(UNAUDITED)

1. BASIS OF PRESENTATION:

The condensed consolidated financial statements include the accounts of Gaylord Entertainment Company and its subsidiaries (the “Company” or “Gaylord”) and have been prepared by the Company, without audit, pursuant to the rules and regulations of the Securities and Exchange Commission (the “SEC”). Certain information and footnote disclosures normally included in annual financial statements prepared in accordance with generally accepted accounting principles have been condensed or omitted pursuant to such rules and regulations, although the Company believes that the disclosures are adequate to make the financial information presented not misleading. These condensed consolidated financial statements should be read in conjunction with the audited consolidated financial statements and the notes thereto included in the Company’s Annual Report on Form 10-K for the year ended December 31, 2011. In the opinion of management, all adjustments necessary for a fair statement of the results of operations for the interim periods have been included. All adjustments are of a normal, recurring nature. The results of operations for such interim periods are not necessarily indicative of the results for the full year because of seasonal and short-term variations.

As more fully described in Note 11, the Company and its newly formed, wholly-owned subsidiary, Granite Hotel Properties, Inc. (“Granite”) have filed a registration statement on Form S-4 with the SEC. The registration statement contains a preliminary proxy statement/prospectus that describes the Company’s plans to qualify as a real estate investment trust (“REIT”) for federal income tax purposes following the consummation of the Company’s previously announced transaction with Marriott International, Inc., and the contemplated merger between Granite and Gaylord to facilitate the REIT election expected to be effective January 1, 2013. The registration statement can be located, free of charge, at the SEC’s website at www.sec.gov or on the Company’s website at www.gaylordentertainment.com.

2. NEWLY ISSUED ACCOUNTING STANDARDS:

In May 2011, the Financial Accounting Standards Board (“FASB”) issued Accounting Standards Update (“ASU”) No. 2011-04, Topic 820, “Fair Value Measurements,” to clarify existing guidance and to require more detailed disclosures relating to Level 3 fair value measurements. In addition, this ASU requires that a reporting entity provide the hierarchy classification for items whose fair value is not recorded on the balance sheet but is disclosed in the footnotes. The Company adopted this ASU in the first quarter of 2012 and this adoption did not have a material impact on the Company’s consolidated financial statements.

In June 2011, the FASB issued ASU No. 2011-05, Topic 220, “Comprehensive Income,” to allow an entity the option to present the total of comprehensive income, the components of net income, and the components of other comprehensive income either in a single continuous statement of comprehensive income or in two separate but consecutive statements. In either instance, an entity is required to present each component of net income along with total net income, each component of other comprehensive income along with a total for other comprehensive income, and a total amount for comprehensive income. This ASU eliminates the option to present the components of other comprehensive income as part of the statement of changes in stockholders’ equity. The amendments in this ASU do not change the items that must be reported in other comprehensive income or when an item of other comprehensive income must be reclassified to net income. Portions of this ASU were deferred, and the Company adopted the required portions of this ASU in the first quarter of 2012. This adoption did not have a material impact on the Company’s consolidated financial statements.

 

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3. INCOME PER SHARE:

The weighted average number of common shares outstanding is calculated as follows (in thousands):

 

     Three Months
Ended June 30,
     Six Months Ended
June 30,
 
     2012      2011      2012      2011  

Weighted average shares outstanding

     48,974         48,370         48,844         48,296   

Effect of dilutive stock-based compensation

     675         723         654         783   

Effect of convertible notes

     2,803         1,851         1,904         2,494   

Effect of common stock warrants

     722         —           —           350   
  

 

 

    

 

 

    

 

 

    

 

 

 

Weighted average shares outstanding—assuming dilution

     53,174         50,944         51,402         51,923   
  

 

 

    

 

 

    

 

 

    

 

 

 

The Company had stock-based compensation awards outstanding with respect to approximately 834,000 and 960,000 shares of common stock as of June 30, 2012 and 2011, respectively, that could potentially dilute earnings per share in the future but were excluded from the computation of diluted earnings per share for the three months ended June 30, 2012 and 2011, respectively, as the effect of their inclusion would have been anti-dilutive.

The Company had stock-based compensation awards outstanding with respect to approximately 903,000 and 955,000 shares of common stock as of June 30, 2012 and 2011, respectively, that could potentially dilute earnings per share in the future but were excluded from the computation of diluted earnings per share for the six months ended June 30, 2012 and 2011, respectively, as the effect of their inclusion would have been anti-dilutive.

As discussed more fully in the Company’s Annual Report on Form 10-K for the year ended December 31, 2011, in 2009 the Company issued 3.75% Convertible Senior Notes (the “Convertible Notes”). It is the Company’s intention to settle the face value of the Convertible Notes in cash upon conversion/maturity. Any conversion spread associated with the conversion/maturity of the Convertible Notes may be settled in cash or shares of the Company’s common stock. The Convertible Notes are currently convertible through September 30, 2012; however, at this time, the Company has received no notices of note holders electing to convert their Convertible Notes.

In connection with the issuance of the Convertible Notes, the Company sold common stock purchase warrants to counterparties affiliated with the initial purchasers of the Convertible Notes whereby the warrant holders may purchase approximately 13.2 million shares of Company common stock at a price per share of $32.70, subject to anti-dilution adjustments. If the average closing price of the Company’s stock during a reporting period exceeds this strike price, these warrants will be dilutive. The warrants may only be settled in shares of the Company’s common stock.

 

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4. PROPERTY AND EQUIPMENT:

Property and equipment of continuing operations at June 30, 2012 and December 31, 2011 is recorded at cost and summarized as follows (in thousands):

 

     June 30,     December 31,  
     2012     2011  

Land and land improvements

   $ 234,307      $ 217,811   

Buildings

     2,288,767        2,272,381   

Furniture, fixtures and equipment

     552,468        533,396   

Construction in progress

     48,982        59,822   
  

 

 

   

 

 

 
     3,124,524        3,083,410   

Accumulated depreciation

     (923,908     (874,283
  

 

 

   

 

 

 

Property and equipment, net

   $ 2,200,616      $ 2,209,127   
  

 

 

   

 

 

 

5. NOTES RECEIVABLE:

In connection with the development of the Gaylord National Resort and Convention Center (“Gaylord National”), the Company is currently holding two issuances of bonds and receives the debt service thereon, which is payable from tax increments, hotel taxes and special hotel rental taxes generated from Gaylord National through the maturity date. The Company is recording the amortization of discount on these notes receivable as interest income over the life of the notes.

During the three months ended June 30, 2012 and 2011, the Company recorded interest income of $2.9 million and $3.2 million, respectively, on these bonds. During the six months ended June 30, 2012 and 2011, the Company recorded interest income of $6.1 million and $6.3 million, respectively, on these bonds. The Company received payments of $6.6 million and $10.7 million during the six months ended June 30, 2012 and 2011, respectively, relating to these notes receivable.

6. DEBT:

The Company’s debt and capital lease obligations related to continuing operations at June 30, 2012 and December 31, 2011 consisted of (in thousands):

 

     June 30,     December 31,  
     2012     2011  

$925 Million Credit Facility, interest at LIBOR plus 2.25% or bank’s base rate plus 1.25%, maturing August 1, 2015

   $ 555,000      $ 600,000   

Convertible Senior Notes, interest at 3.75%, maturing October 1, 2014, net of unamortized discount of $34,000 and $40,754

     326,000        319,246   

Senior Notes, interest at 6.75%, maturing November 15, 2014

     152,180        152,180   

Capital lease obligations

     2,026        2,399   
  

 

 

   

 

 

 

Total debt

     1,035,206        1,073,825   

Less amounts due within one year

     (750     (755
  

 

 

   

 

 

 

Total long-term debt

   $ 1,034,456      $ 1,073,070   
  

 

 

   

 

 

 

As of June 30, 2012, the Company was in compliance with all of its covenants related to its debt.

 

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$925 Million Credit Facility

Prior to consummating the anticipated Marriott sale transaction, the Company must obtain waivers and consents of the required lenders pursuant to the $925 million credit facility to amend the facility to accommodate the Marriott sale transaction, the merger of Gaylord with and into Granite, and the REIT conversion. The Company anticipates that such amendment, among other things, will (i) permit dividends to the extent permitted by the indenture for the Company’s 6.75% senior notes, and, if such indenture is terminated, to the extent necessary for the Company to maintain REIT status, (ii) allow the Company’s taxable REIT subsidiaries to lease its hotel properties, and (iii) update the facility generally to permit the Company to restructure and operate its business as a REIT. The Company has engaged with its principal lender concerning the amendment, and it believes that it will be able to obtain such waivers and consents.

Convertible Senior Notes

In 2009, the Company issued $360 million of the Convertible Notes. The Convertible Notes are convertible, under certain circumstances as described in the Company’s Annual Report on Form 10-K for the year ended December 31, 2011, at the holder’s option, into shares of the Company’s common stock, at an initial conversion rate of 36.6972 shares of common stock per $1,000 principal amount of the Convertible Notes, which is equivalent to an initial conversion price of approximately $27.25 per share. The Company may elect, at its option, to deliver shares of its common stock, cash or a combination of cash and shares of its common stock in satisfaction of its obligations upon conversion of the Convertible Notes.

Based on the Company’s stock price during the three months ended June 30, 2012, a condition permitting conversion (as defined in the indenture governing the Convertible Notes) had been satisfied, and thus the Convertible Notes are currently convertible through September 30, 2012. At this time, the Company has received no notices of note holders electing to convert their Convertible Notes. Based on the Company’s borrowing capacity under its $925 million credit facility as of June 30, 2012, the Convertible Notes remain classified as long-term debt in the accompanying condensed consolidated balance sheet as of June 30, 2012.

Concurrently with the offering of the Convertible Notes, the Company entered into convertible note hedge transactions with respect to its common stock (the “Purchased Options”) with counterparties affiliated with the initial purchasers of the Convertible Notes, for purposes of reducing the potential dilutive effect upon conversion of the Convertible Notes. The initial strike price of the Purchased Options is $27.25 per share of the Company’s common stock (the same as the initial conversion price of the Convertible Notes) and is subject to certain customary adjustments. The Purchased Options entitle the Company to purchase, subject to anti-dilution adjustments substantially similar to the Convertible Notes, approximately 13.2 million shares of Company common stock. The Company may settle the Purchased Options in shares, cash or a combination of cash and shares, at the Company’s option.

Separately and concurrently with entering into the Purchased Options, the Company also entered into warrant transactions whereby it sold warrants to each of the hedge counterparties entitling them to acquire up to approximately 13.2 million shares of common stock at an initial exercise price of $32.70 per share, subject to anti-dilution adjustments. The warrants may be settled only in shares of the Company’s common stock.

 

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7. DERIVATIVE FINANCIAL INSTRUMENTS:

The Company is exposed to certain risks relating to its ongoing business operations. The primary risks managed by using derivative instruments are interest rate risk and commodity price risk. From time to time, interest rate swaps may be entered into to manage interest rate risk associated with portions of the Company’s variable rate borrowings. From time to time, natural gas price swaps may be entered into to manage the price risk associated with forecasted purchases of natural gas and electricity used by the Company’s hotels. The Company designates its interest rate swaps as cash flow hedges of variable rate borrowings and its natural gas price swaps as cash flow hedges of forecasted purchases of natural gas and electricity. All of the Company’s derivatives are held for hedging purposes. The Company does not engage in speculative transactions, nor does it hold or issue financial instruments for trading purposes. All of the counterparties to the Company’s derivative agreements are financial institutions with at least investment grade credit ratings.

Cash Flow Hedging Strategy

For derivative instruments that are designated and qualify as a cash flow hedge, the effective portion of the gain or loss on the derivative instrument is reported as a component of other comprehensive income (loss) (“OCI”) and reclassified into earnings in the same line item associated with the forecasted transaction and in the same period or periods during which the hedged transaction affects earnings (e.g., in “interest expense” when the hedged transactions are interest cash flows associated with variable rate debt). The remaining gain or loss on the derivative instrument in excess of the cumulative change in the present value of future cash flows of the hedged item, or ineffectiveness, if any, is recognized in the statement of operations during the current period.

At June 30, 2012 and December 31, 2011, the Company had no variable to fixed interest rate swap contracts. The interest rate swap agreement previously utilized by the Company until its expiration on July 25, 2011 effectively modified the Company’s exposure to interest rate risk by converting $500.0 million, or 71%, of the Company’s variable rate debt outstanding under the term loan portion of the Company’s $1.0 billion credit facility to a weighted average fixed rate of 3.94% plus the applicable margin on these borrowings, thus reducing the impact of interest rate changes on future interest expense. This agreement involved the receipt of variable rate amounts in exchange for fixed rate interest payments through July 25, 2011, without an exchange of the underlying principal amount. The critical terms of the swap agreements matched the critical terms of the borrowings under the term loan portion of the $1.0 billion credit facility. Therefore, the Company designated these interest rate swap agreements as cash flow hedges. As the terms of these derivatives matched the terms of the underlying hedged items, there was no gain (loss) from ineffectiveness recognized in income on derivatives.

At June 30, 2012 and December 31, 2011, the Company had no variable to fixed natural gas price swap contracts. The Company previously entered into natural gas price swap contracts to manage the price risk associated with a portion of the Company’s forecasted purchases of natural gas and electricity used by the Company’s hotels. The objective of the hedge was to reduce the variability of cash flows associated with the forecasted purchases of these commodities.

 

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The effect of derivative instruments on the statement of operations for the respective periods is as follows (in thousands):

 

     Amount of Loss Recognized
in OCI on Derivative
(Effective Portion)
         Amount Reclassified from
Accumulated OCI into
Income
 

Derivatives in Cash Flow Hedging
Relationships

   Three
Months
Ended
June 30, 2012
     Three
Months
Ended
June 30, 2011
   

Location of Amount Reclassified from
Accumulated OCI into Income

   Three
Months
Ended
June 30, 2012
     Three
Months
Ended
June 30, 2011
 

Interest rate swaps

   $ —         $ (141   Interest expense, net of amounts capitalized    $ —         $ 5,672   

Natural gas swaps

     —           (115   Operating Costs      —           58   
  

 

 

    

 

 

      

 

 

    

 

 

 

Total

   $ —         $ (256   Total    $ —         $ 5,730   
  

 

 

    

 

 

      

 

 

    

 

 

 

 

     Amount of Loss Recognized
in OCI on Derivative
(Effective Portion)
         Amount Reclassified from
Accumulated OCI into
Income
 

Derivatives in Cash Flow Hedging
Relationships

   Six Months
Ended
June 30, 2012
     Six Months
Ended
June 30, 2011
   

Location of Amount Reclassified from
Accumulated OCI into Income

   Six Months
Ended
June 30, 2012
     Six Months
Ended
June 30, 2011
 

Interest rate swaps

   $ —         $ (427   Interest expense, net of amounts capitalized    $ —         $ 11,125   

Natural gas swaps

     —           (209   Operating Costs      —           215   
  

 

 

    

 

 

      

 

 

    

 

 

 

Total

   $ —         $ (636   Total    $ —         $ 11,340   
  

 

 

    

 

 

      

 

 

    

 

 

 

8. STOCK PLANS:

In addition to grants of stock options to its directors and employees, the Company’s 2006 Omnibus Incentive Plan (the “Plan”) permits the award of restricted stock and restricted stock units. The fair value of restricted stock and restricted stock units with time-based vesting or performance conditions is determined based on the market price of the Company’s stock at the date of grant. The Company generally records compensation expense equal to the fair value of each restricted stock award granted over the vesting period.

During the six months ended June 30, 2012, the Company granted 311,230 restricted stock units with time-based vesting and a weighted-average grant-date fair value of $30.23 per award. Additionally, the Company granted 104,500 restricted stock units to certain members of its management team which may vest in 2015 based on the level of performance during the performance period and subject to continued employment. The number of awards that will ultimately vest is based on the Company’s total shareholder return over the three-year performance period ended December 31, 2014 relative to the total shareholder return of the Russell 2000 Index during the same period. The weighted-average grant date fair value of $39.88 per award was determined using a Monte Carlo simulation model, which assumed a risk-free rate of 0.54%, an expected life of 3.0 years and historical volatilities that ranged from 15% to 238%. As these awards include a market condition, the Company records compensation expense for these awards based on the grant date fair value of the award recognized ratably over the measurement period.

At June 30, 2012 and December 31, 2011, restricted stock units of 861,317 and restricted stock and restricted stock units of 633,647 shares, respectively, were outstanding.

The compensation cost that has been charged against pre-tax income for all of the Company’s stock-based compensation plans was $2.9 million and $2.5 million for the three months ended June 30, 2012 and 2011, respectively, and $5.3 million and $4.8 million for the six months ended June 30, 2012 and 2011, respectively.

 

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9. RETIREMENT AND POSTRETIREMENT BENEFITS OTHER THAN PENSION PLANS:

Net periodic pension expense reflected in the accompanying condensed consolidated statements of operations included the following components for the respective periods (in thousands):

 

     Three months ended     Six months ended  
     June 30,     June 30,  
     2012     2011     2012     2011  

Interest cost

   $ 1,087      $ 1,209      $ 2,174      $ 2,417   

Expected return on plan assets

     (1,173     (1,334     (2,346     (2,667

Amortization of net actuarial loss

     1,170        619        2,340        1,238   
  

 

 

   

 

 

   

 

 

   

 

 

 

Total net periodic pension expense

   $ 1,084      $ 494      $ 2,168      $ 988   
  

 

 

   

 

 

   

 

 

   

 

 

 

Net postretirement benefit expense reflected in the accompanying condensed consolidated statements of operations included the following components for the respective periods (in thousands):

 

     Three months ended     Six months ended  
     June 30,     June 30,  
     2012     2011     2012     2011  

Service cost

   $ 15      $ 15      $ 29      $ 29   

Interest cost

     253        257        507        515   

Amortization of net actuarial loss

     176        —          352        —     

Amortization of prior service credit

     (109     —          (217     —     

Amortization of curtailment gain

     (22     (61     (44     (122
  

 

 

   

 

 

   

 

 

   

 

 

 

Total net postretirement benefit expense

   $ 313      $ 211      $ 627      $ 422   
  

 

 

   

 

 

   

 

 

   

 

 

 

10. INCOME TAXES:

The Company’s effective tax rate as applied to pre-tax income was 56% and 36% for the three months ended June 30, 2012 and 2011, respectively, and 51% and 36% for the six months ended June 30, 2012 and 2011, respectively. The change in the Company’s effective tax rate during both periods was due primarily to increases in permanent tax adjustments related to compensation and state tax expense.

As of June 30, 2012 and December 31, 2011, the Company had $13.9 million and $14.1 million of unrecognized tax benefits, respectively, of which $7.4 million would affect the Company’s effective tax rate if recognized. These liabilities are recorded in other long-term liabilities in the accompanying condensed consolidated balance sheets. The Company estimates the overall decrease in unrecognized tax benefits in the next twelve months will be approximately $13.1 million, mainly due to the expiration of various statutes of limitations. As of June 30, 2012 and December 31, 2011, the Company had accrued $2.3 million and $2.1 million, respectively, of interest and $0.1 million of penalties related to uncertain tax positions.

11. COMMITMENTS AND CONTINGENCIES:

The Company and its newly formed, wholly-owned subsidiary, Granite, have filed a registration statement on Form S-4 with the SEC. The registration statement contains a preliminary proxy statement/prospectus of Gaylord that describes the Company’s plans to qualify as a REIT for federal income tax purposes following the consummation of the Company’s previously announced transaction with Marriott International, Inc., and the contemplated merger between Granite and Gaylord to facilitate the REIT election.

 

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The Company’s board of directors has approved a plan to restructure the Company’s business operations to facilitate the qualification of Granite, as the successor to the Company’s assets and business operations following the completion of the merger, as a REIT for federal income tax purposes. In connection therewith, on May 31, 2012, the Company announced its agreement to sell the Gaylord Hotels brand and rights to manage its Gaylord Hotels properties to Marriott for $210 million in cash. The closing of the Marriott sale transaction is subject to the satisfaction of certain conditions, including the Company’s stockholders’ adoption of the merger agreement. The Company expects the consummation of the Marriott sale transaction to occur promptly after its stockholders adopt the merger agreement. Upon consummation of the Marriott sale transaction, Marriott will manage the day-to-day operations of the Gaylord Hotels properties pursuant to management agreements to be entered into upon the closing of the Marriott sales transaction, and the Company anticipates that this management transition will be complete by January 1, 2013, when the Company anticipates that its election to become a REIT will be effective. In addition, prior to the completion of the REIT conversion, the Company will identify and engage a third-party hotel manager to operate and manage the Radisson Hotel at Opryland.

The Company currently estimates that it will incur approximately $55 million in one-time costs related to the REIT conversion. These costs include investment banking fees, legal fees, consulting fees, severance and retention costs, and conversion costs. The Company also anticipates that it will incur federal income taxes associated with the receipt of the purchase price in the Marriott sale transaction and other transactions related to the REIT conversion, net of remaining net operating losses, of approximately $43 million to $53 million. In addition, the Company will be required to issue a special earnings and profits distribution (as more fully described in the Granite registration statement on Form S-4).

The merger, Marriott sales transaction, special earnings and profits distribution, and other restructuring transactions are designed to enable Granite, as the business successor of Gaylord, to hold its assets and business operations in a manner that will enable the Company to elect to be treated as a REIT for federal income tax purposes. If Granite qualifies as a REIT, it generally will not be subject to federal corporate income taxes on that portion of its capital gain or ordinary income from its REIT operations that is distributed to its stockholders. This treatment would substantially eliminate the federal “double taxation” on earnings from REIT operations, or taxation once at the corporate level and again at the stockholder level, that generally results from investment in a regular C- corporation. As explained more fully in the registration statement, to comply with certain REIT qualification requirements, the Company must engage third-party managers to operate and manage its hotel properties. Additionally, non-REIT operations, which consist of the activities of taxable REIT subsidiaries that will act as lessees of the Company’s hotels, as well as the businesses within the Company’s Opry and Attractions segment, would continue to be subject, as applicable, to federal and state corporate income taxes.

Upon completion of the REIT conversion, the Company will no longer view independent, large-scale development of resort and convention hotels as a means of its growth. As a result, the Company will not proceed with its previously announced Aurora, Colorado, Mesa, Arizona, and other potential development projects in the form previously anticipated. The Company will reexamine how the Aurora or Mesa projects could be completed with minimal financial commitment, although it may not identify such opportunity.

In January 2012, the Company announced that it had entered into a memorandum of understanding for a 50/50 joint venture with the Dollywood Company to develop a family entertainment zone adjacent to Gaylord Opryland on land that the Company currently owns. The Dollywood Company will operate the park, and the Company will contribute both land and cash to represent its 50 percent share of the venture. Phase one of the project is a yet to be named approximately $50 million water and snow park, which the Company believes will be the first of its kind in the U.S. A 2013 groundbreaking date is expected with the park opening slated for summer 2014. The project is contingent upon finalizing agreements with governmental authorities pertaining to the construction of the necessary infrastructure. At this time, the Company has not made any material financial commitments in connection with this development.

 

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Through joint venture arrangements with two private real estate funds, the Company previously invested in two joint ventures which were formed to own and operate hotels in Hawaii. As part of the joint venture arrangements, the Company entered into contribution agreements with the majority owners, which owners had guaranteed certain recourse liabilities under third-party loans to the joint ventures. The guarantees of the joint venture loans guaranteed each of the subsidiaries’ obligations under its third party loans for as long as those loans remain outstanding (i) in the event of certain types of fraud, breaches of environmental representations or warranties, or breaches of certain “special purpose entity” covenants by the subsidiaries, or (ii) in the event of bankruptcy or reorganization proceedings of the subsidiaries. The Company agreed that, in the event a majority owner is required to make any payments pursuant to the terms of these guarantees of joint venture loans, it will contribute to the majority owner an amount based on its proportional commitment in the applicable joint venture. The Company estimates that the maximum potential amount for which the Company could be liable under the contribution agreements is $16.9 million, which represents its pro rata share of the $86.4 million of total debt that is subject to the guarantees. As of June 30, 2012, the Company had not recorded any liability in the condensed consolidated balance sheet associated with the contribution agreements.

The Company has purchased stop-loss coverage in order to limit its exposure to any significant levels of claims relating to workers’ compensation, employee medical benefits and general liability for which it is self-insured.

The Company has entered into employment agreements with certain officers, which provide for severance payments upon certain events, including certain terminations in connection with a change of control.

The Company, in the ordinary course of business, is involved in certain legal actions and claims on a variety of matters. It is the opinion of management that such legal actions will not have a material effect on the results of operations, financial condition or liquidity of the Company.

12. FAIR VALUE MEASUREMENTS:

The Company uses a three-tier fair value hierarchy, which prioritizes the inputs used in measuring fair value. These tiers include: Level 1, defined as observable inputs such as quoted prices in active markets; Level 2, defined as inputs other than quoted prices in active markets that are either directly or indirectly observable; and Level 3, defined as unobservable inputs in which little or no market data exists, therefore requiring an entity to develop its own assumptions.

As of June 30, 2012 and December 31, 2011, the Company held certain assets that are required to be measured at fair value on a recurring basis. These included investments held in conjunction with the Company’s non-qualified contributory deferred compensation plan.

The investments held by the Company in connection with its deferred compensation plan consist of mutual funds traded in an active market. The Company determined the fair value of these mutual funds based on the net asset value per unit of the funds or the portfolio, which is based upon quoted market prices in an active market. Therefore, the Company has categorized these investments as Level 1. The Company has consistently applied these valuation techniques in all periods presented and believes it has obtained the most accurate information available for the types of investments it holds.

 

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The Company had no liabilities required to be measured at fair value at June 30, 2012 and December 31, 2011. The Company’s assets measured at fair value on a recurring basis at June 30, 2012 and December 31, 2011, were as follows (in thousands):

 

     June 30,
2012
     Markets for
Identical Assets
(Level 1)
     Observable
Inputs
(Level 2)
     Unobservable
Inputs

(Level 3)
 

Deferred compensation plan investments

   $ 15,507       $ 15,507       $ —         $ —     
  

 

 

    

 

 

    

 

 

    

 

 

 

Total assets measured at fair value

   $ 15,507       $ 15,507       $ —         $ —     
  

 

 

    

 

 

    

 

 

    

 

 

 

 

     December 31,
2011
     Markets for
Identical Assets
(Level 1)
     Observable
Inputs
(Level 2)
     Unobservable
Inputs

(Level 3)
 

Deferred compensation plan investments

   $ 13,892       $ 13,892       $ —         $ —     
  

 

 

    

 

 

    

 

 

    

 

 

 

Total assets measured at fair value

   $ 13,892       $ 13,892       $ —         $ —     
  

 

 

    

 

 

    

 

 

    

 

 

 

The remainder of the assets and liabilities held by the Company at June 30, 2012 are not required to be measured at fair value. The carrying value of certain of these assets and liabilities do not approximate fair value, as described below.

As further discussed in Note 5 and the Company’s Annual Report on Form 10-K for the year ended December 31, 2011, in connection with the development of Gaylord National, the Company received two bonds (“a Series A Bond” and “a Series B Bond”) from Prince George’s County, Maryland which had aggregate carrying values of $92.3 million and $60.0 million, respectively, as of June 30, 2012. The maturity dates of the Series A Bond and the Series B Bond are July 1, 2034 and September 1, 2037, respectively. Based upon current market interest rates of notes receivable with comparable market ratings and current expectations about the timing of debt service payments under the note, which the Company considers as Level 3, the fair value of the Series A Bond, which has the senior claim to the cash flows supporting these bonds, approximated carrying value as of June 30, 2012 and the fair value of the Series B Bond was approximately $39 million as of June 30, 2012. While the fair value of the Series B Bond decreased to less than its carrying value during 2011 due to a change in the timing of the debt service payments, the Company has the intent and ability to hold this bond to maturity and expects to receive all debt service payments due under the note. Therefore, the Company does not consider the Series B Bond to be other than temporarily impaired as of June 30, 2012.

The Company has outstanding $360.0 million in aggregate principal amount of Convertible Notes that accrue interest at a fixed rate of 3.75%. The carrying value of these notes on June 30, 2012 was $326.0 million, net of discount. The fair value of the Convertible Notes, based upon the present value of cash flows discounted at current market interest rates, which the Company considers as Level 2, was approximately $344 million as of June 30, 2012.

The Company has outstanding $152.2 million in aggregate principal amount of senior notes due 2014 that accrue interest at a fixed rate of 6.75% (the “Senior Notes”). The fair value of these notes, based upon quoted market prices, which the Company considers as Level 1, was $153.0 million as of June 30, 2012.

The carrying amount of short-term financial instruments held by the Company (cash, short-term investments, trade receivables, accounts payable and accrued liabilities) approximates fair value due to the short maturity of those instruments. The concentration of credit risk on trade receivables is minimized by the large and diverse nature of the Company’s customer base.

 

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13. FINANCIAL REPORTING BY BUSINESS SEGMENTS:

The Company’s continuing operations are organized into three principal business segments:

 

   

Hospitality, which includes the Gaylord Opryland Resort and Convention Center, the Gaylord Palms Resort and Convention Center, the Gaylord Texan Resort and Convention Center, the Gaylord National Resort and Convention Center and the Radisson Hotel at Opryland;

 

   

Opry and Attractions, which includes the Grand Ole Opry, WSM-AM, and the Company’s Nashville-based attractions; and

 

   

Corporate and Other, which includes the Company’s corporate expenses.

The following information from continuing operations is derived directly from the segments’ internal financial reports used for corporate management purposes (amounts in thousands):

 

     Three Months Ended     Six Months Ended  
     June 30,     June 30,  
     2012     2011     2012     2011  

Revenues:

        

Hospitality

   $ 233,047      $ 218,173      $ 459,095      $ 427,515   

Opry and Attractions

     20,153        18,569        32,988        29,936   

Corporate and Other

     29        33        61        62   
  

 

 

   

 

 

   

 

 

   

 

 

 

Total

   $ 253,229      $ 236,775      $ 492,144      $ 457,513   
  

 

 

   

 

 

   

 

 

   

 

 

 

Depreciation and amortization:

        

Hospitality

   $ 26,346      $ 25,291      $ 54,882      $ 50,566   

Opry and Attractions

     1,278        1,340        2,563        2,672   

Corporate and Other

     2,630        2,640        5,243        5,090   
  

 

 

   

 

 

   

 

 

   

 

 

 

Total

   $ 30,254      $ 29,271      $ 62,688      $ 58,328   
  

 

 

   

 

 

   

 

 

   

 

 

 

Operating income (loss):

        

Hospitality

   $ 46,423      $ 41,713      $ 86,459      $ 71,167   

Opry and Attractions

     4,800        3,866        5,593        3,223   

Corporate and Other

     (19,235     (13,869     (37,875     (27,955

Casualty loss

     (372     (469     (546     (468

Preopening costs

     (8     (41     (339     (41
  

 

 

   

 

 

   

 

 

   

 

 

 

Total operating income

     31,608        31,200        53,292        45,926   

Interest expense, net of amounts capitalized

     (14,451     (21,377     (28,813     (42,186

Interest income

     3,021        3,316        6,175        6,489   

Income from unconsolidated companies

     109        152        109        325   

Other gains and (losses), net

     —          141        —          (50
  

 

 

   

 

 

   

 

 

   

 

 

 

Income before income taxes and discontinued operations

   $ 20,287      $ 13,432      $ 30,763      $ 10,504   
  

 

 

   

 

 

   

 

 

   

 

 

 

14. SUBSEQUENT EVENTS:

In August 2012, the Company entered into an agreement with TRT Holdings, Inc. and its affiliates (“TRT”) pursuant to which the Company concurrently repurchased from TRT 5.0 million shares of the Company’s common stock, at a total cost of $185.0 million. The Company plans to retire these common stock shares and funded the purchase price for the share repurchase with borrowings under its $925 million credit facility. The Company obtained waivers and consents of the required lenders pursuant to the $925 Million Credit Facility to amend the facility in order to accommodate this repurchase.

 

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15. INFORMATION CONCERNING GUARANTOR AND NON-GUARANTOR SUBSIDIARIES:

Not all of the Company’s subsidiaries have guaranteed the Company’s Convertible Notes and the Senior Notes. The Company’s Convertible Notes and Senior Notes are guaranteed on a senior unsecured basis by generally all of the Company’s significant active domestic subsidiaries (the “Guarantors”). Certain discontinued operations and inactive subsidiaries (the “Non-Guarantors”) do not guarantee the Company’s Convertible Notes and Senior Notes. The Guarantors are 100% owned, and the guarantees are full and unconditional and joint and several.

The following condensed consolidating financial information includes certain allocations of revenues and expenses based on management’s best estimates, which are not necessarily indicative of financial position, results of operations and cash flows that these entities would have achieved on a stand alone basis.

GAYLORD ENTERTAINMENT COMPANY AND SUBSIDIARIES

 

Condensed Consolidating Statement of Operations and Comprehensive Income

For the Three Months Ended June 30, 2012

 

                 Non-              
(in thousands)    Issuer     Guarantors     Guarantors     Eliminations     Consolidated  

Revenues

   $ 9,301      $ 253,222      $ —        $ (9,294   $ 253,229   

Operating expenses:

          

Operating costs

     —          139,216        —          —          139,216   

Selling, general and administrative

     8,387        43,384        —          —          51,771   

Casualty loss

     243        129        —          —          372   

Preopening costs

     9        (1     —          —          8   

Management fees

     —          9,294        —          (9,294     —     

Depreciation and amortization

     757        29,497        —          —          30,254   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Operating income (loss)

     (95     31,703        —          —          31,608   

Interest expense, net of amounts capitalized

     (14,660     (29,645     (105     29,959        (14,451

Interest income

     25,132        3,716        4,132        (29,959     3,021   

Income from unconsolidated companies

     —          109        —          —          109   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income before income taxes and discontinued operations

     10,377        5,883        4,027        —          20,287   

Provision for income taxes

     (5,688     (3,225     (2,401     —          (11,314

Equity in subsidiaries’ earnings, net

     4,265        —          —          (4,265     —     
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income from continuing operations

     8,954        2,658        1,626        (4,265     8,973   

Loss from discontinued operations, net of taxes

     —          —          (19     —          (19
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net income

   $ 8,954      $ 2,658      $ 1,607      $ (4,265   $ 8,954   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Comprehensive income

   $ 8,954      $ 2,658      $ 1,607      $ (4,265   $ 8,954   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

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GAYLORD ENTERTAINMENT COMPANY AND SUBSIDIARIES

 

Condensed Consolidating Statement of Operations and Comprehensive Income

For the Three Months Ended June 30, 2011

 

                 Non-              
(in thousands)    Issuer     Guarantors     Guarantors     Eliminations     Consolidated  

Revenues

   $ 1,461      $ 236,770      $ —        $ (1,456   $ 236,775   

Operating expenses:

          

Operating costs

     —          132,746        —          —          132,746   

Selling, general and administrative

     4,050        38,998        —          —          43,048   

Casualty loss

     48        421        —          —          469   

Preopening costs

     —          41        —          —          41   

Management fees

     —          1,456        —          (1,456     —     

Depreciation and amortization

     1,002        28,269        —          —          29,271   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Operating income (loss)

     (3,639     34,839        —          —          31,200   

Interest expense, net of amounts capitalized

     (21,447     (30,542     (101     30,713        (21,377

Interest income

     26,247        3,860        3,922        (30,713     3,316   

Income from unconsolidated companies

     —          152        —          —          152   

Other gains and (losses), net

     —          141        —          —          141   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income before income taxes and discontinued operations

     1,161        8,450        3,821        —          13,432   

Provision for income taxes

     (365     (3,290     (1,144     —          (4,799

Equity in subsidiaries’ earnings, net

     7,841        —          —          (7,841     —     
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income from continuing operations

     8,637        5,160        2,677        (7,841     8,633   

Income from discontinued operations, net of taxes

     —          —          4        —          4   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net income

   $ 8,637      $ 5,160      $ 2,681      $ (7,841   $ 8,637   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Comprehensive income

   $ 12,150      $ 5,160      $ 2,681      $ (7,841   $ 12,150   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

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GAYLORD ENTERTAINMENT COMPANY AND SUBSIDIARIES

 

Condensed Consolidating Statement of Operations and Comprehensive Income

For the Six Months Ended June 30, 2012

 

                 Non-              
(in thousands)    Issuer     Guarantors     Guarantors     Eliminations     Consolidated  

Revenues

   $ 12,099      $ 492,233      $ —        $ (12,188   $ 492,144   

Operating expenses:

          

Operating costs

     —          274,199        —          —          274,199   

Selling, general and administrative

     16,417        84,766        —          (103     101,080   

Casualty loss

     276        270        —          —          546   

Preopening costs

     22        317        —          —          339   

Management fees

     —          12,085        —          (12,085     —     

Depreciation and amortization

     1,526        61,162        —          —          62,688   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Operating income (loss)

     (6,142     59,434        —          —          53,292   

Interest expense, net of amounts capitalized

     (29,294     (59,473     (209     60,163        (28,813

Interest income

     50,461        7,665        8,212        (60,163     6,175   

Income from unconsolidated companies

     —          109        —          —          109   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income before income taxes and discontinued operations

     15,025        7,735        8,003        —          30,763   

Provision for income taxes

     (7,639     (4,074     (4,070     —          (15,783

Equity in subsidiaries’ earnings, net

     7,596        —          —          (7,596     —     
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income from continuing operations

     14,982        3,661        3,933        (7,596     14,980   

Income from discontinued operations, net of taxes

     —          —          2        —          2   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net income

   $ 14,982      $ 3,661      $ 3,935      $ (7,596   $ 14,982   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Comprehensive income

   $ 14,982      $ 3,661      $ 3,935      $ (7,596   $ 14,982   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

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GAYLORD ENTERTAINMENT COMPANY AND SUBSIDIARIES

 

Condensed Consolidating Statement of Operations and Comprehensive Income

For the Six Months Ended June 30, 2011

 

                 Non-              
(in thousands)    Issuer     Guarantors     Guarantors     Eliminations     Consolidated  

Revenues

   $ 2,936      $ 457,529      $ —        $ (2,952   $ 457,513   

Operating expenses:

          

Operating costs

     —          266,652        —          (28     266,624   

Selling, general and administrative

     8,342        77,784        —          —          86,126   

Casualty loss

     48        420        —          —          468   

Preopening costs

     —          41        —          —          41   

Management fees

     —          2,924        —          (2,924     —     

Depreciation and amortization

     2,029        56,299        —          —          58,328   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Operating income (loss)

     (7,483     53,409        —          —          45,926   

Interest expense, net of amounts capitalized

     (42,521     (60,526     (200     61,061        (42,186

Interest income

     52,074        7,725        7,751        (61,061     6,489   

Income from unconsolidated companies

     —          325        —          —          325   

Other gains and (losses), net

     —          (50     —          —          (50
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income before income taxes and discontinued operations

     2,070        883        7,551        —          10,504   

Provision for income taxes

     (840     (399     (2,593     —          (3,832

Equity in subsidiaries’ earnings, net

     5,450        —          —          (5,450     —     
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income from continuing operations

     6,680        484        4,958        (5,450     6,672   

Income (loss) from discontinued operations, net of taxes

     —          22        (14     —          8   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net income

   $ 6,680      $ 506      $ 4,944      $ (5,450   $ 6,680   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Comprehensive income

   $ 13,602      $ 506      $ 4,944      $ (5,450   $ 13,602   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

20


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GAYLORD ENTERTAINMENT COMPANY AND SUBSIDIARIES

 

Condensed Consolidating Balance Sheet

June 30, 2012

 

                 Non-              
(in thousands)    Issuer     Guarantors     Guarantors     Eliminations     Consolidated  
ASSETS           

Current assets:

          

Cash and cash equivalents — unrestricted

   $ 25,844      $ 3,660      $ —        $ —        $ 29,504   

Cash and cash equivalents — restricted

     1,150        —          —          —          1,150   

Trade receivables, net

     —          54,194        —          —          54,194   

Deferred income taxes

     88        4,882        23        —          4,993   

Other current assets

     1,746        42,777        —          (126     44,397   

Intercompany receivables, net

     1,730,974        —          310,422        (2,041,396     —     
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total current assets

     1,759,802        105,513        310,445        (2,041,522     134,238   

Property and equipment, net of accumulated depreciation

     48,481        2,152,135        —          —          2,200,616   

Notes receivable, net of current portion

     —          145,271        —          —          145,271   

Long-term deferred financing costs

     13,602        —          —          —          13,602   

Other long-term assets

     668,174        358,460        —          (974,349     52,285   

Long-term assets of discontinued operations

     —          —          335        —          335   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total assets

   $ 2,490,059      $ 2,761,379      $ 310,780      $ (3,015,871   $ 2,546,347   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
LIABILITIES AND STOCKHOLDERS’ EQUITY           

Current liabilities:

          

Current portion of long-term debt and capital lease obligations

   $ —        $ 750      $ —        $ —        $ 750   

Accounts payable and accrued liabilities

     8,791        143,361        —          (417     151,735   

Intercompany payables, net

     —          1,948,379        93,017        (2,041,396     —     

Current liabilities of discontinued operations

     —          —          147        —          147   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total current liabilities

     8,791        2,092,490        93,164        (2,041,813     152,632   

Long-term debt and capital lease obligations, net of current portion

     1,033,180        1,276        —          —          1,034,456   

Deferred income taxes

     (29,598     149,496        (81     —          119,817   

Other long-term liabilities

     84,480        86,008        —          291        170,779   

Long-term liabilities of discontinued operations

     —          —          451        —          451   

Commitments and contingencies

          

Stockholders’ equity:

          

Preferred stock

     —          —          —          —          —     

Common stock

     491        2,388        1        (2,389     491   

Additional paid-in capital

     937,592        1,081,067        (40,129     (1,040,938     937,592   

Treasury stock

     (4,599     —          —          —          (4,599

Retained earnings

     495,753        (651,346     257,374        68,978        170,759   

Accumulated other comprehensive loss

     (36,031     —          —          —          (36,031
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total stockholders’ equity

     1,393,206        432,109        217,246        (974,349     1,068,212   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total liabilities and stockholders’ equity

   $ 2,490,059      $ 2,761,379      $ 310,780      $ (3,015,871   $ 2,546,347   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

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GAYLORD ENTERTAINMENT COMPANY AND SUBSIDIARIES

 

Condensed Consolidating Balance Sheet

December 31, 2011

 

                 Non-              
(in thousands)    Issuer     Guarantors     Guarantors     Eliminations     Consolidated  
ASSETS:           

Current assets:

          

Cash and cash equivalents — unrestricted

   $ 37,562      $ 6,826      $ —        $ —        $ 44,388   

Cash and cash equivalents — restricted

     1,150        —          —          —          1,150   

Trade receivables, net

     —          41,939        —          —          41,939   

Deferred income taxes

     1,195        7,423        23        —          8,641   

Other current assets

     2,710        45,954        —          (126     48,538   

Intercompany receivables, net

     1,745,197        —          302,368        (2,047,565     —     
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total current assets

     1,787,814        102,142        302,391        (2,047,691     144,656   

Property and equipment, net of accumulated depreciation

     43,733        2,165,394        —          —          2,209,127   

Notes receivable, net of current portion

     —          142,567        —          —          142,567   

Long-term deferred financing costs

     15,947        —          —          —          15,947   

Other long-term assets

     658,167        359,297        —          (966,751     50,713   

Long-term assets of discontinued operations

     —          —          390        —          390   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total assets

   $ 2,505,661      $ 2,769,400      $ 302,781      $ (3,014,442   $ 2,563,400   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
LIABILITIES AND STOCKHOLDERS’ EQUITY:           

Current liabilities:

          

Current portion of long-term debt and capital lease obligations

   $ —        $ 755      $ —        $ —        $ 755   

Accounts payable and accrued liabilities

     17,934        151,458        —          (417     168,975   

Intercompany payables, net

     —          1,958,653        88,912        (2,047,565     —     

Current liabilities of discontinued operations

     —          —          186        —          186   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total current liabilities

     17,934        2,110,866        89,098        (2,047,982     169,916   

Long-term debt and capital lease obligations, net of current portion

     1,071,426        1,644        —          —          1,073,070   

Deferred income taxes

     (36,586     144,886        (81     —          108,219   

Other long-term liabilities

     82,358        83,560        —          291        166,209   

Long-term liabilities of discontinued operations

     —          —          451        —          451   

Commitments and contingencies

          

Stockholders’ equity:

          

Preferred stock

     —          —          —          —          —     

Common stock

     484        2,388        1        (2,389     484   

Additional paid-in capital

     929,904        1,081,063        (40,127     (1,040,936     929,904   

Treasury stock

     (4,599     —          —          —          (4,599

Retained earnings

     480,771        (655,007     253,439        76,574        155,777   

Accumulated other comprehensive loss

     (36,031     —          —          —          (36,031
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total stockholders’ equity

     1,370,529        428,444        213,313        (966,751     1,045,535   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total liabilities and stockholders’ equity

   $ 2,505,661      $ 2,769,400      $ 302,781      $ (3,014,442   $ 2,563,400   
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

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GAYLORD ENTERTAINMENT COMPANY AND SUBSIDIARIES

 

Condensed Consolidating Statement of Cash Flows

For the Six Months Ended June 30, 2012

 

                 Non-               
(in thousands)    Issuer     Guarantors     Guarantors     Eliminations      Consolidated  

Net cash provided by (used in) continuing operating activities

   $ 32,560      $ 46,590      $ (51   $ —         $ 79,099   

Net cash provided by discontinued operating activities

     —          —          51        —           51   
  

 

 

   

 

 

   

 

 

   

 

 

    

 

 

 

Net cash provided by operating activities

     32,560        46,590        —          —           79,150   
  

 

 

   

 

 

   

 

 

   

 

 

    

 

 

 

Purchases of property and equipment

     (6,111     (52,677     —          —           (58,788

Collection of notes receivable

     —          2,870        —          —           2,870   

Other investing activities

     —          424        —          —           424   
  

 

 

   

 

 

   

 

 

   

 

 

    

 

 

 

Net cash used in investing activities — continuing operations

     (6,111     (49,383     —          —           (55,494

Net cash used investing activities — discontinued operations

     —          —          —          —           —     
  

 

 

   

 

 

   

 

 

   

 

 

    

 

 

 

Net cash used in investing activities

     (6,111     (49,383     —          —           (55,494
  

 

 

   

 

 

   

 

 

   

 

 

    

 

 

 

Net repayments under credit facility

     (45,000     —          —          —           (45,000

Proceeds from exercise of stock option and purchase plans

     6,833        —          —          —           6,833   

Other financing activities, net

     —          (373     —          —           (373
  

 

 

   

 

 

   

 

 

   

 

 

    

 

 

 

Net cash used in financing activities — continuing operations

     (38,167     (373     —          —           (38,540

Net cash provided by financing activities — discontinued operations

     —          —          —          —           —     
  

 

 

   

 

 

   

 

 

   

 

 

    

 

 

 

Net cash used in financing activities

     (38,167     (373     —          —           (38,540
  

 

 

   

 

 

   

 

 

   

 

 

    

 

 

 

Net change in cash and cash equivalents

     (11,718     (3,166     —          —           (14,884

Cash and cash equivalents at beginning of period

     37,562        6,826        —          —           44,388   
  

 

 

   

 

 

   

 

 

   

 

 

    

 

 

 

Cash and cash equivalents at end of period

   $ 25,844      $ 3,660      $ —        $ —         $ 29,504   
  

 

 

   

 

 

   

 

 

   

 

 

    

 

 

 

 

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GAYLORD ENTERTAINMENT COMPANY AND SUBSIDIARIES

 

Condensed Consolidating Statement of Cash Flows

For the Six Months Ended June 30, 2011

 

                 Non-               
(in thousands)    Issuer     Guarantors     Guarantors     Eliminations      Consolidated  

Net cash provided by (used in) continuing operating activities

   $ (12,553   $ 52,137      $ 66      $ —         $ 39,650   

Net cash provided by (used in) discontinued operating activities

     —          38        (66     —           (28
  

 

 

   

 

 

   

 

 

   

 

 

    

 

 

 

Net cash provided by (used in) operating activities

     (12,553     52,175        —          —           39,622   
  

 

 

   

 

 

   

 

 

   

 

 

    

 

 

 

Purchases of property and equipment

     (2,247     (59,166     —          —           (61,413

Collection of notes receivable

     —          2,465        —          —           2,465   

Other investing activities

     4        2,179        —          —           2,183   
  

 

 

   

 

 

   

 

 

   

 

 

    

 

 

 

Net cash used in investing activities — continuing operations

     (2,243     (54,522     —          —           (56,765

Net cash used in investing activities — discontinued operations

     —          —          —          —           —     
  

 

 

   

 

 

   

 

 

   

 

 

    

 

 

 

Net cash used in investing activities

     (2,243     (54,522     —          —           (56,765
  

 

 

   

 

 

   

 

 

   

 

 

    

 

 

 

Proceeds from exercise of stock option and purchase plans

     4,193        —          —          —           4,193   

Other financing activities, net

     —          (85     —          —           (85
  

 

 

   

 

 

   

 

 

   

 

 

    

 

 

 

Net cash provided by (used in) financing activities — continuing operations

     4,193        (85     —          —           4,108   

Net cash provided by financing activities — discontinued operations

     —          —          —          —           —     
  

 

 

   

 

 

   

 

 

   

 

 

    

 

 

 

Net cash provided by (used in) financing activities

     4,193        (85     —          —           4,108   
  

 

 

   

 

 

   

 

 

   

 

 

    

 

 

 

Net change in cash and cash equivalents

     (10,603     (2,432     —          —           (13,035

Cash and cash equivalents at beginning of period

     117,913        6,485        —          —           124,398   
  

 

 

   

 

 

   

 

 

   

 

 

    

 

 

 

Cash and cash equivalents at end of period

   $ 107,310      $ 4,053      $ —        $ —         $ 111,363   
  

 

 

   

 

 

   

 

 

   

 

 

    

 

 

 

 

24


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ITEM 2. MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION AND RESULTS OF OPERATIONS.

The following discussion and analysis should be read in conjunction with our condensed consolidated financial statements and related notes included elsewhere in this report and our audited consolidated financial statements and related notes for the year ended December 31, 2011, appearing in our Annual Report on Form 10-K that was filed with the Securities and Exchange Commission (“SEC”) on February 24, 2012.

Cautionary Note Regarding Forward-Looking Statements

This quarterly report on Form 10-Q contains “forward-looking statements” intended to qualify for the safe harbor from liability established by the Private Securities Litigation Reform Act of 1995. These forward-looking statements concern our goals, beliefs, expectations, strategies, objectives, plans, future operating results and underlying assumptions, and other statements that are not necessarily based on historical facts. Without limitation, you can identify these statements by the fact that they do not relate strictly to historical or current facts, and these statements may contain words such as “may,” “will,” “could,” “might,” “projects,” “expects,” “believes,” “anticipates,” “intends,” “plans,” “continue,” or “pursue,” or the negative or other variations thereof or comparable terms. In particular, they include statements relating to, among other things, future actions, new projects, strategies, future performance, the outcome of contingencies such as legal proceedings and future financial results. These also include statements regarding (i) our expectation to effect restructuring transactions intended to facilitate our qualification as a real estate investment trust (“REIT”) for federal income tax purposes, including the consummation of the Marriott sale transaction and fulfillment of the conditions to the closing, including our obtaining consent and waivers of the lenders to our $925 million senior secured credit facility permitting us to amend the facility; (ii) our expectation to effect the REIT conversion and to elect REIT status, including the timing and effect(s) of such election; (iii) the expected form, timing and amount of the special distribution of our accumulated earnings and profits; (iv) the anticipated benefits of the REIT conversion, Marriott sale transaction and merger, including potential increases in revenue and anticipated annualized cost synergies, net of management fees, of approximately $33 million to $40 million; (v) estimated one-time costs related to the REIT conversion, including conversion, transaction, severance, and retention costs of $55 million, and anticipated federal income taxes associated with the receipt of the purchase price in the Marriott sale transaction and other transactions related to the REIT conversion net of remaining net operating losses of approximately $43 million to $53 million; (vi) the holding of our non-qualifying REIT assets in one or more taxable REIT subsidiaries; (vii) our expectation that our common stock will trade on the New York Stock Exchange after the REIT conversion; (viii) potential growth opportunities, including future expansion of the geographic diversity of our existing asset portfolio through acquisitions; (ix) the anticipated pace of recovery in demand for products and services provided by the lodging industry relative to general economic conditions; (x) the potential operating and financial restrictions imposed on our activities under existing and future financing agreements and other contractual arrangements with third-parties; (xi) any potential future adoption of a shareholder rights plan before or after the REIT conversion; and (xii) any other business or operational matters. We have based these forward-looking statements on our current expectations and projections about future events.

We caution the reader that forward-looking statements involve risks and uncertainties that cannot be predicted or quantified, and, consequently, actual results may differ materially from those expressed or implied by such forward-looking statements. Important factors that could cause actual results to differ materially from those in the forward-looking statements include, among other things, those factors described in our Annual Report on Form 10-K for the year ended December 31, 2011, in this Quarterly Report on Form 10-Q, or described from time to time in our other reports filed with the SEC, and the following risks and uncertainties: those associated with economic conditions affecting the hospitality business generally; the failure to receive, on a timely basis or otherwise, the required approvals of our stockholders or the private letter ruling from the IRS; our ability to elect and qualify for REIT status, and the timing and effect(s) of that election; our ability to remain qualified as a REIT; the form, timing and amount of the special distribution of our accumulated earnings and profits; our and Marriott’s ability to consummate the Marriott sale transaction; operating costs and business disruption may be greater than expected; and our ability to realize cost savings and revenue enhancements from the proposed REIT conversion and the Marriott sale transaction.

 

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Any forward-looking statement made in this quarterly report on Form 10-Q speaks only as of the date on which the statement is made. New risks and uncertainties arise from time to time, and it is impossible for us to predict these events or how they may affect us. We have no duty to, and do not intend to, update or revise the forward-looking statements we make in this quarterly report on Form 10-Q, except as may be required by law.

Additional Information on the REIT Conversion and Where to Find It; Interests of Participants

This quarterly report on Form 10-Q does not constitute an offer to sell or the solicitation of an offer to buy securities or a solicitation of any vote or approval. Granite Hotel Properties, Inc. (“Granite”) and Gaylord Entertainment Company (“Gaylord”) have filed with the SEC a registration statement on Form S-4 containing a preliminary proxy statement/prospectus which describes our plans to qualify as a REIT for federal income tax purposes following the consummation of our transaction with Marriott International, Inc., and the contemplated merger of Gaylord with and into Granite to facilitate the REIT election. The registration statement has not yet become effective. Notice of a special meeting and a definitive proxy statement/prospectus will be mailed to stockholders of Gaylord who hold shares of Gaylord common stock on the record date to be determined by the Company. INVESTORS ARE URGED TO READ THE FORM S-4 AND PROXY STATEMENT (INCLUDING ALL AMENDMENTS AND SUPPLEMENTS THERETO) AND ANY OTHER RELEVANT DOCUMENTS THAT ARE FILED WITH THE SEC BECAUSE THEY WILL CONTAIN IMPORTANT INFORMATION ABOUT THE PROPOSED MERGER AND REIT CONVERSION. You may obtain copies of all documents filed with the SEC concerning the proposed transaction, free of charge, at the SEC’s website at www.sec.gov or our website at www.gaylordentertainment.com. In addition, stockholders may obtain free copies of the documents by sending a written request to Gaylord’s Secretary at Gaylord Entertainment Company, One Gaylord Drive, Nashville, Tennessee 37214, or by calling the Secretary at (615) 316-6000.

Gaylord and its directors and executive officers may be deemed to be participants in the solicitation of proxies from Gaylord’s stockholders in connection with the proposed merger and REIT conversion. Information regarding Gaylord’s directors and executive officers is set forth in Gaylord’s proxy statement for its 2012 annual meeting of stockholders and its Annual Report on Form 10-K for the fiscal year ended December 31, 2011, which were filed with the SEC on April 3, 2012 and February 24, 2012, respectively. Additional information regarding persons who may be deemed to be participants in the solicitation of proxies in respect of the proposed merger and REIT conversion is contained in the proxy statement/prospectus filed with the SEC.

Overall Outlook

Our concentration in the hospitality industry, and in particular the large group meetings sector of the hospitality industry, exposes us to certain risks outside of our control. Recessionary conditions in the national economy have resulted in economic pressures on the hospitality industry generally, and on our operations and expansion plans. However, in 2010 and 2011, and thus far in 2012, the trend has reversed, and we have begun to see stabilization in our industry and specifically in our business. During these periods, we have seen increases in group travel as compared to recessionary levels, as well as growth in outside-the-room revenue, indicating that not only are our group customers traveling again, they are spending more on food and beverage and entertainment during their stay at our properties.

Group customers typically book rooms and meeting space with significant lead times, sometimes several years in advance of guest arrival. During an economic recovery, group pricing tends to lag transient pricing due to the significant lead times for group bookings. Group business booked in earlier periods at lower rates continues to roll off, and with improving group demand, is being replaced with bookings reflecting generally higher rates. As a result of the higher levels of group business, we have experienced an increase in occupancy in recent quarters as well as increases in rates and future bookings, although there can be no assurance that we can continue to achieve further improvements in occupancy and revenue levels. Our attrition and cancellation levels have also decreased compared to recessionary levels.

 

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See Part II, Item 1, “Risk Factors” in this Quarterly Report on Form 10-Q and Item 1A, “Risk Factors,” in our Annual Report on Form 10-K for the year ended December 31, 2011, filed with the SEC on February 24, 2012, for important information regarding forward-looking statements made in this report and risks and uncertainties we face.

Proposed REIT Conversion and Marriott Transaction

On May 30, 2012, the board of directors of Gaylord unanimously approved a plan to restructure our business operations to facilitate our qualification as a REIT for federal income tax purposes. We intend to complete the REIT conversion so that we may qualify as a REIT commencing with our 2013 tax year.

The REIT conversion will be implemented through a series of steps including, among other things, the merger of Gaylord with and into Granite, a Delaware corporation and wholly-owned subsidiary of Gaylord, which we formed in preparation for the REIT conversion. Upon the completion of the merger, the outstanding shares of Gaylord common stock will be converted into the right to receive the same number of shares of Granite common stock, and Granite will succeed to and continue to operate, directly or indirectly, the then existing business of Gaylord. We anticipate that the shares of Granite common stock will trade on the New York Stock Exchange after completion of the merger. Consummation of the merger is subject to Gaylord’s stockholders adopting the merger agreement and approving the issuance of shares of common stock in connection with our distribution of our undistributed earnings and profits attributable to taxable periods ending prior to the REIT election. Gaylord intends to hold a special meeting of stockholders in the third quarter of 2012 to seek such stockholder approval. On June 27, 2012, Gaylord caused Granite to file a registration statement on Form S-4 with the SEC. On July 30, 2012, Gaylord and Granite filed an amendment to the registration statement on Form S-4. The registration statement contains a preliminary proxy statement/prospectus that describes our plans to qualify as a REIT.

Due to federal income tax laws that restrict REITs from operating and managing hotels, after completing the anticipated REIT conversion, we will not operate or manage any of our hotel properties. We will lease or sublease our hotel properties to taxable REIT subsidiaries, and such taxable REIT subsidiaries will engage third-party hotel managers pursuant to hotel management agreements. Our third-party hotel managers will be responsible for the day-to-day management of our hotel properties, including, but not limited to, implementing significant operating decisions, setting rates for rooms and meeting space, controlling revenue and expenditures, collecting accounts receivable, and recruiting, employing and supervising employees at the hotel properties.

Gaylord’s board of directors unanimously approved a Purchase Agreement by and among Gaylord, Gaylord Hotels, Inc., Marriott Hotel Services, Inc., and Marriott International, Inc. pursuant to which we have agreed to sell the Gaylord Hotels brand and rights to manage the Gaylord Opryland Resort and Convention Center (“Gaylord Opryland”), Gaylord Palms Resort and Convention Center (“Gaylord Palms”), Gaylord Texan Resort and Convention Center (“Gaylord Texan”), and Gaylord National Resort and Convention Center (“Gaylord National”) to Marriott International, Inc. (“Marriott”) for $210 million in cash. The closing of the Marriott sale transaction is subject to the satisfaction of certain conditions, including our stockholders’ adoption of the merger agreement and our obtaining waivers and consents of the required lenders pursuant to our $925 million senior secured credit facility to amend the facility. We expect the consummation of the Marriott sale transaction to occur promptly after our stockholders adopt the merger agreement.

Upon the consummation of the Marriott sale transaction, we will become a party to four management agreements (one for each of our Gaylord Hotels properties) with Marriott. Under the management agreements, Marriott will be responsible for the day-to-day management of the Gaylord Hotels properties. We will not have the authority to require Marriott to operate our Gaylord Hotels properties in a particular manner, although we will have consent

 

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and approval rights for certain matters under the hotel management agreements, subject to the limitations described therein. Each management agreement will have a term of thirty-five years, with three automatic ten-year renewal terms (provided the applicable hotel has met certain performance thresholds), and Marriott will be entitled to a base management fee of two-percent of gross revenues from each Gaylord Hotel property for each fiscal year or portion thereof, which will be deducted by Marriott from gross revenues of each Gaylord Hotel property for each fiscal year.

The Marriott purchase agreement also calls for the Gaylord Hotels properties to enter into a pooling agreement, which provides for (i) the calculation of incentive management fees for the Gaylord Hotel properties on an aggregated basis; and (ii) the application of the limitations on secured debt on an aggregated basis. The incentive management fee will be based on the profitability of our Gaylord Hotels properties calculated on a pooled basis, and the fee, if any, will be retained by Marriott from Operating Profit (as defined in the pooling agreement).

We anticipate that this management transition will be complete by January 1, 2013, when the REIT election is anticipated to be effective. In addition, prior to the completion of the REIT conversion, we will identify and engage a third-party hotel manager to operate and manage the Radisson Hotel at Opryland (the “Radisson Hotel”).

Following the completion of the REIT conversion, we will own our Opry and Attractions businesses in taxable REIT subsidiaries, which will conduct their business consistent with past practice, except that we expect to negotiate a management or service agreement with Marriott to manage Gaylord Springs Golf Links. Additionally, we may negotiate and enter into additional management or service agreements with Marriott with respect to certain of our other Opry and Attractions businesses, including the General Jackson and the Wildhorse Saloon.

We anticipate that there will be a reorganization within, and a reduction in the number of members of, our current executive management team and the other employees currently within the Corporate and Other segment. In connection with the reorganization, we anticipate that our corporate overhead expenses within the Corporate and Other segment will be reduced. Although the specific actions to be taken in connection with this reorganization have not yet been finally determined, we anticipate that we will terminate the employment of approximately 310 employees within our Corporate and Other segment of whom approximately 40% will transition their employment to Marriott. The severance cost associated with these terminations is included within our $19 million estimate of severance and retention costs related to the REIT conversion.

A REIT is not permitted to retain earnings and profits accumulated during years when the company or its predecessor was taxed as a regular C corporation. To qualify for taxation as a REIT for the taxable year beginning January 1, 2013, we must distribute to our stockholders on or before December 31, 2013, our undistributed earnings and profits attributable to taxable periods ending prior to January 1, 2013 (the “Special E&P Distribution”). In the event we receive a favorable ruling from the Internal Revenue Service, we expect to limit the total amount of cash payable in the Special E&P Distribution to a maximum of 20% of the total value of the Special E&P Distribution. The balance of the Special E&P Distribution will be in the form of shares of our common stock.

We currently estimate that we will incur $55 million in one-time costs related to the REIT conversion. These costs would include approximately $10 million in investment banking fees, $6 million in legal fees, $4 million in consulting fees, $19 million in severance and retention costs, and $16 million in conversion costs. We also anticipate that we will incur federal income taxes associated with the receipt of the purchase price in the Marriott sale transaction and other transactions related to the REIT conversion, net of remaining net operating losses, of approximately $43 million to $53 million. In addition, we anticipate annualized costs synergies, net of management fees, of approximately $33 million to $40 million.

If Granite qualifies as a REIT, it generally will not be subject to federal corporate income taxes on that portion of its capital gain or ordinary income from its REIT operations that is distributed to its stockholders. This treatment would substantially eliminate the federal “double taxation” on earnings from REIT operations, or taxation once at the corporate level and again at the stockholder level, that generally results from investment in a regular C-corporation. As explained more fully in the registration statement on Form S-4, Granite’s non-REIT operations, which will consist of the activities of taxable REIT subsidiaries that will act as lessees of our hotels, as well as the businesses within our Opry and Attractions segment, would continue to be subject, as applicable, to federal and state corporate income taxes.

 

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After the consummation of the Marriott sale transaction and the completion of the REIT conversion, acquisitions of other hotels, either alone or through joint ventures or alliances with one or more third-parties, will be part of our long-term growth strategy. We intend to pursue attractive investment opportunities that meet our acquisition parameters, specifically, group-oriented large hotels and overflow hotels with existing or potential leisure appeal. We are interested in highly accessible upper-upscale assets with over 400 hotel rooms in urban and resort group destination markets. We will also consider assets that possess or are located near convention centers that present a repositioning opportunity and/or would significantly benefit from capital investment in additional rooms or meeting space. Through acquisitions we plan to expand the geographic diversity of our existing asset portfolio.

The merger will facilitate our compliance with REIT tax rules by ensuring the effective adoption by Granite of a certificate of incorporation that implements share ownership and transfer restrictions that are intended to enable compliance with certain REIT tax rules relating to the ownership of our common stock.

Development Update

Upon completion of the REIT conversion, we will no longer view independent, large-scale development of resort and convention hotels as a means of our growth. As a result, we will not proceed with our previously announced Aurora, Colorado, Mesa, Arizona, and other potential development projects in the form we previously anticipated. We will reexamine how the Aurora or Mesa projects could be completed with minimal financial commitment, although we may not identify any such opportunity.

 

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In January 2012, we announced that we had entered into a memorandum of understanding for a 50/50 joint venture with the Dollywood Company to develop a family entertainment zone adjacent to Gaylord Opryland on land that we currently own. The Dollywood Company will operate the park, and we will contribute both land and cash to represent our 50 percent share of the venture. Phase one of the project is a yet-to-be-named approximately $50 million water and snow park, which we believe will be the first of its kind in the U.S. A 2013 groundbreaking is expected with the park opening slated for summer 2014. The project is contingent upon finalizing agreements with governmental authorities pertaining to the construction of the necessary infrastructure and other contingencies.

Our investments thus far in 2012 consisted primarily of the continuance of the renovation of the guestrooms and the completion of new resort pools and a new sports bar entertainment facility at Gaylord Palms, the completion of the enhancement to our flood protection system at Gaylord Opryland, and ongoing maintenance capital expenditures for our existing properties. Our investments in the remainder of 2012 are expected to consist primarily of ongoing maintenance capital expenditures for our existing properties and the completion of the rooms renovation at Gaylord Palms.

Our Current Operations

Our ongoing operations are organized into three principal business segments:

 

   

Hospitality, consisting of Gaylord Opryland, Gaylord Palms, Gaylord Texan, Gaylord National and the Radisson Hotel. Pursuant to the proposed Marriott sale transaction, we will become a party to four hotel management agreements, under which Marriott will operate and manage our Gaylord Hotels properties. Additionally, in connection with the REIT conversion, we will engage a third-party hotel manager to operate and manage the Radisson Hotel.

 

   

Opry and Attractions, consisting of our Grand Ole Opry assets, WSM-AM and our Nashville-based attractions. In connection with the proposed REIT conversion, we will own our Opry and Attractions businesses in taxable REIT subsidiaries, which will conduct their business consistent with past practice, except that we expect to negotiate management or service agreements for Marriott to manage Gaylord Springs Golf Links. In addition, we may negotiate and enter into additional management or service agreements with Marriott with respect to certain of our other Opry and Attractions businesses, including the General Jackson and the Wildhorse Saloon.

 

   

Corporate and Other, consisting of our corporate expenses. Following the consummation of the proposed Marriott sale transaction, we anticipate that our corporate overhead expenses within the Corporate and Other segment will be reduced.

For the three months and six months ended June 30, 2012 and 2011, our total revenues were divided among these business segments as follows:

 

     Three months ended     Six months ended  
     June 30,     June 30,  

Segment

   2012     2011     2012     2011  

Hospitality

     92.0     92.2     93.3     93.5

Opry and Attractions

     8.0     7.8     6.7     6.5

Corporate and Other

     0.0     0.0     0.0     0.0

We generate a significant portion of our revenues from our Hospitality segment. We believe that we are the only hospitality company whose stated primary focus is on the large group meetings and conventions sector of the lodging market. Our strategy is to concentrate on our “All-in-One-Place” self-contained service offerings and by emphasizing customer rotation among our convention properties, while also offering additional entertainment opportunities to guests and target customers.

 

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Following the anticipated consummation of the Marriott sale transaction, Marriott will be responsible for planning and conducting hotel operations and special events at our Gaylord Hotels properties. As a result, we will no longer be responsible for determining the content of or for actually conducting these activities, although we expect such types of activities to be continued as determined by Marriott. In 2011, we announced a multi-year strategic alliance with DreamWorks Animation SKG, Inc. to become the official hotel provider of DreamWorks vacation experiences. Through this strategic alliance DreamWorks has provided leisure experiences featuring the DreamWorks characters for guests at our Gaylord Hotels properties.

As discussed above, we have entered into a memorandum of understanding for a 50/50 joint venture to develop a family entertainment zone adjacent to Gaylord Opryland that will include what we believe to be the first combined water and snow park in the U.S.

Key Performance Indicators

The operating results of our Hospitality segment are highly dependent on the volume of customers at our hotels and the quality of the customer mix at our hotels. These factors impact the price we can charge for our hotel rooms and other amenities, such as food and beverage and meeting space, and following the anticipated consummation of the Marriott sale transaction, will impact the prices that Marriott charges at our Gaylord Hotel properties. Key performance indicators related to revenue are:

 

   

hotel occupancy (a volume indicator);

 

   

average daily rate (“ADR”) (a price indicator calculated by dividing room revenue by the number of rooms sold);

 

   

Revenue per Available Room (“RevPAR”) (a summary measure of hotel results calculated by dividing room revenue by room nights available to guests for the period);

 

   

Total Revenue per Available Room (“Total RevPAR”) (a summary measure of hotel results calculated by dividing the sum of room, food and beverage and other ancillary service revenue by room nights available to guests for the period); and

 

   

Net Definite Room Nights Booked (a volume indicator which represents the total number of definite bookings for future room nights at Gaylord hotels confirmed during the applicable period, net of cancellations).

We recognize Hospitality segment revenue from our occupied hotel rooms as earned on the close of business each day and from concessions and food and beverage sales at the time of sale. Attrition fees, which are charged to groups when they do not fulfill the minimum number of room nights or minimum food and beverage spending requirements originally contracted for, as well as cancellation fees, are recognized as revenue in the period they are collected. Almost all of our Hospitality segment revenues are either cash-based or, for meeting and convention groups meeting our credit criteria, billed and collected on a short-term receivables basis. Our industry is capital intensive, and we rely on the ability of our hotels to generate operating cash flow to repay debt financing, fund maintenance capital expenditures and provide excess cash flow for future development.

The results of operations of our Hospitality segment are affected by the number and type of group meetings and conventions scheduled to attend our hotels in a given period. We attempt to offset any identified shortfalls in occupancy by creating special events at our hotels or offering incentives to groups in order to attract increased business during this period. A variety of factors can affect the results of any interim period, including the nature and quality of the group meetings and conventions attending our hotels during such period, which meetings and conventions have often been contracted for several years in advance, the level of attrition we experience, and the level of transient business at our hotels during such period.

 

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Following the anticipated consummation of the Marriott sale transaction, Marriott will manage the day-to-day operations of our Gaylord Hotels properties. We will engage a third-party hotel manager to operate and manage the Radisson Hotel prior to the completion of the REIT conversion.

Selected Financial Information

The following table contains our unaudited selected summary financial data for the three months and six months ended June 30, 2012 and 2011. The table also shows the percentage relationships to total revenues and, in the case of segment operating income (loss), its relationship to segment revenues (in thousands, except percentages).

 

     Unaudited     Unaudited  
     Three Months ended June 30,     Six Months ended June 30,  
     2012     %     2011     %     2012     %     2011     %  

Income Statement Data:

                

REVENUES:

                

Hospitality

   $ 233,047        92.0   $ 218,173        92.1   $ 459,095        93.3   $ 427,515        93.4

Opry and Attractions

     20,153        8.0     18,569        7.8     32,988        6.7     29,936        6.5

Corporate and Other

     29        0.0     33        0.0     61        0.0     62        0.0
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total revenues

     253,229        100.0     236,775        100.0     492,144        100.0     457,513        100.0
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

OPERATING EXPENSES:

                

Operating costs

     139,216        55.0     132,746        56.1     274,199        55.7     266,624        58.3

Selling, general and administrative

     51,771        20.4     43,048        18.2     101,080        20.5     86,126        18.8

Casualty loss

     372        0.1     469        0.2     546        0.1     468        0.1

Preopening costs

     8        0.0     41        0.0     339        0.1     41        0.0

Depreciation and amortization:

       0.0            

Hospitality

     26,346        10.4     25,291        10.7     54,882        11.2     50,566        11.1

Opry and Attractions

     1,278        0.5     1,340        0.6     2,563        0.5     2,672        0.6

Corporate and Other

     2,630        1.0     2,640        1.1     5,243        1.1     5,090        1.1
  

 

 

     

 

 

     

 

 

     

 

 

   

Total depreciation and amortization

     30,254        11.9     29,271        12.4     62,688        12.7     58,328        12.7
  

 

 

     

 

 

     

 

 

     

 

 

   

Total operating expenses

     221,621        87.5     205,575        86.8     438,852        89.2     411,587        90.0
  

 

 

     

 

 

     

 

 

     

 

 

   

OPERATING INCOME (LOSS):

                

Hospitality

     46,423        19.9     41,713        19.1     86,459        18.8     71,167        16.6

Opry and Attractions

     4,800        23.8     3,866        20.8     5,593        17.0     3,223        10.8

Corporate and Other

     (19,235     (A     (13,869     (A     (37,875     (A     (27,955     (A

Casualty loss

     (372     (B     (469     (B     (546     (B     (468     (B

Preopening costs

     (8     (B     (41     (B     (339     (B     (41     (B
  

 

 

     

 

 

     

 

 

     

 

 

   

Total operating income

     31,608        12.5     31,200        13.2     53,292        10.8     45,926        10.0

Interest expense, net of amounts capitalized

     (14,451     (B     (21,377     (B     (28,813     (B     (42,186     (B

Interest income

     3,021        (B     3,316        (B     6,175        (B     6,489        (B

Income from unconsolidated companies

     109        (B     152        (B     109        (B     325        (B

Other gains and (losses), net

     —          (B     141        (B     —          (B     (50     (B

Provision for income taxes

     (11,314     (B     (4,799     (B     (15,783     (B     (3,832     (B

Income (loss) from discontinued operations, net

     (19     (B     4        (B     2        (B     8        (B
  

 

 

     

 

 

     

 

 

     

 

 

   

Net income

   $ 8,954        (B   $ 8,637        (B   $ 14,982        (B   $ 6,680        (B
  

 

 

     

 

 

     

 

 

     

 

 

   

 

(A) These amounts have not been shown as a percentage of segment revenue because the Corporate and Other segment generates only minimal revenue.
(B) These amounts have not been shown as a percentage of revenue because they have no relationship to revenue.

 

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Summary Financial Results

Results

The following table summarizes our financial results for the three months and six months ended June 30, 2012 and 2011 (in thousands, except percentages and per share data):

 

     Three Months     Six Months  
     Ended June 30,     Ended June 30,  
     2012      2011      % Change     2012      2011      % Change  

Total revenues

   $ 253,229       $ 236,775         6.9   $ 492,144       $ 457,513         7.6

Total operating expenses

     221,621         205,575         7.8     438,852         411,587         6.6

Operating income

     31,608         31,200         1.3     53,292         45,926         16.0

Net income

     8,954         8,637         3.7     14,982         6,680         124.3

Net income per share—fully diluted

     0.17         0.17         0.0     0.29         0.13         123.1

Total Revenues

The increase in our total revenues for the three months and six months ended June 30, 2012, as compared to the same periods in 2011, is attributable to an increase in our Hospitality segment revenues of $14.9 million and $31.6 million for the 2012 periods, respectively, and an increase in our Opry and Attractions segment revenue of $1.6 million and $3.1 million for the 2012 periods, respectively, as discussed more fully below. Total Hospitality revenues in the three months and six months ended June 30, 2012 includes $1.7 million and $2.9 million, respectively, in attrition and cancellation fee collections, which is a reduction of $1.2 million and $1.6 million, respectively, when compared to the same 2011 periods.

Total Operating Expenses

The increase in our total operating expenses for the three months and six months ended June 30, 2012, as compared to the same periods in 2011, is primarily due to an increase of $10.1 million and $16.8 million, respectively, in our Hospitality segment operating expenses associated with higher occupancy and increased depreciation expense, and an increase of $5.4 million and $9.9 million, respectively, in our Corporate and Other segment, as discussed more fully below.

Net Income

Our net income of $9.0 million for the three months ended June 30, 2012, as compared to net income of $8.6 million for the same period in 2011, was due to the change in our operating income reflected above and the following factors, each as described more fully below:

 

   

A $6.9 million decrease in interest expense, net of amounts capitalized, during the 2012 period, as compared to the 2011 period.

 

   

An increase in the provision for income taxes of $6.5 million during the 2012 period, as compared to the 2011 period.

 

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Our net income of $15.0 million for the six months ended June 30, 2012, as compared to net income of $6.7 million for the same period in 2011, was due to the change in our operating income reflected above and the following factors, each as described more fully below:

 

   

A $13.4 million decrease in interest expense, net of amounts capitalized, during the 2012 period, as compared to the 2011 period.

 

   

An increase in the provision for income taxes of $12.0 million during the 2012 period, as compared to the 2011 period.

Factors and Trends Contributing to Operating Performance

The most important factors and trends contributing to our operating performance during the three months and six months ended June 30, 2012 described herein were:

 

   

Increased occupancy levels and ADR at Gaylord Palms (an increase of 12.0 percentage points of occupancy and 8.4 percentage points of occupancy, respectively, during the 2012 periods, as compared to the 2011 periods, and an increase of 2.1% and 5.4%, respectively, in ADR for the 2012 periods, as compared to the 2011 periods), primarily due to increased levels of group business. This increase in group business led to an increase in outside-the-room spending per room (an increase of 28.0% and 18.4%, respectively, during the 2012 periods, as compared to the 2011 periods), primarily due to increases in banquets and conference services. Note that the above stats for Gaylord Palms for the 2012 periods exclude 6,808 room nights that were taken out of service as a result of a rooms renovation program.

 

   

Increased occupancy levels at Gaylord National (an increase of 10.6 percentage points of occupancy and 5.9 percentage points of occupancy, respectively, during the 2012 periods, as compared to the 2011 periods), primarily due to increased levels of group and association business. This increase led to an increase in outside-the-room spending (an increase of 10.6% and 5.4%, respectively, during the 2012 periods, as compared to the 2011 periods), primarily due to an increase in banquets.

 

   

Decreased attrition and cancellation levels for the 2012 periods, as compared to the 2011 periods, which increased our operating income, RevPAR and Total RevPAR. Attrition for the 2012 periods was 6.7% and 5.6% of bookings, respectively, compared to 10.3% and 8.3%, respectively, for the 2011 periods. Cancellations for the 2012 periods were down 11.3% and 36.5%, respectively, as compared to the 2011 periods.

 

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Operating Results – Detailed Segment Financial Information

Hospitality Segment

Total Segment Results. The following presents the financial results of our Hospitality segment for the three months and six months ended June 30, 2012 and 2011 (in thousands, except percentages and performance metrics):

 

     Three Months     Six Months  
     Ended June 30,     Ended June 30,  
     2012     2011     % Change     2012     2011     % Change  

Hospitality revenue (1)

   $ 233,047      $ 218,173        6.8   $ 459,095      $ 427,515        7.4

Hospitality operating expenses:

            

Operating costs

     125,902        120,350        4.6     250,605        244,115        2.7

Selling, general and administrative

     34,376        30,818        11.5     67,149        61,666        8.9

Depreciation and amortization

     26,346        25,292        4.2     54,882        50,567        8.5
  

 

 

   

 

 

     

 

 

   

 

 

   

Total Hospitality operating expenses

     186,624        176,460        5.8     372,636        356,348        4.6
  

 

 

   

 

 

     

 

 

   

 

 

   

Hospitality operating income (2)

   $ 46,423      $ 41,713        11.3   $ 86,459      $ 71,167        21.5
  

 

 

   

 

 

     

 

 

   

 

 

   

Hospitality performance metrics:

            

Occupancy (5)

     79.2     73.3     8.0     74.6     71.5     4.3

ADR

   $ 172.60      $ 173.60        -0.6   $ 171.33      $ 169.18        1.3

RevPAR (3)(5)

   $ 136.75      $ 127.20        7.5   $ 127.75      $ 120.89        5.7

Total RevPAR (4)(5)

   $ 318.72      $ 298.84        6.7   $ 312.76      $ 295.76        5.7

Net Definite Room Nights Booked

     487,000        271,000        79.3     793,000        546,000        45.1

 

(1) Hospitality results and performance metrics include the results of our Gaylord Hotels and our Radisson Hotel for all periods presented.
(2) Hospitality operating income does not include the effect of casualty loss and preopening costs. See the discussion of casualty loss and preopening costs set forth below.
(3) We calculate Hospitality RevPAR by dividing room revenue by room nights available to guests for the period. Hospitality RevPAR is not comparable to similarly titled measures such as revenues.
(4) We calculate Hospitality Total RevPAR by dividing the sum of room revenue, food and beverage, and other ancillary services (which equals Hospitality segment revenue) by room nights available to guests for the period. Hospitality Total RevPAR is not comparable to similarly titled measures such as revenues.
(5) Excludes 6,808 room nights for the three months and six months ended June 30, 2012 that were taken out of service as a result of a rooms renovation program at Gaylord Palms.

The increase in total Hospitality segment revenue in the three months ended June 30, 2012, as compared to the same period in 2011, is primarily due to increases of $6.6 million and $7.1 million at Gaylord Palms and Gaylord National, respectively, primarily as a result of increased occupancy and increased outside-the-room spending during the 2012 period. Total Hospitality revenues were also impacted by a $1.2 million decrease in attrition and cancellation fee collections during the 2012 period as compared to the 2011 period.

The increase in total Hospitality segment revenue in the six months ended June 30, 2012, as compared to the same period in 2011, is primarily due to increases of $12.6 million, $11.5 million and $8.2 million at Gaylord Palms, Gaylord Opryland and Gaylord National, respectively, primarily as a result of increased occupancy, ADR and outside-the-room spending during the 2012 period. These increases are partially offset by a decrease of $3.3 million at Gaylord Texan during the 2012 period, due primarily to the 2011 period benefitting from the impact of the Super Bowl in February 2011. Total Hospitality revenues were also impacted by a $1.6 million decrease in attrition and cancellation fee collections during the 2012 period as compared to the 2011 period.

 

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The percentage of group versus transient business based on rooms sold for our hospitality segment for the periods presented was approximately as follows:

 

     Three months ended     Six months ended  
     June 30,     June 30,  
     2012     2011     2012     2011  

Group

     80.7     79.8     82.2     82.4

Transient

     19.3     20.2     17.8     17.6

Total Hospitality segment operating expenses consist of direct operating costs, selling, general and administrative expenses, and depreciation and amortization expense. The increase in Hospitality operating expenses in the three months and six months ended June 30, 2012, as compared to the same periods in 2011, is primarily attributable to increases at Gaylord Opryland and Gaylord Palms, as described below.

Total Hospitality segment operating costs, which consist of direct costs associated with the daily operations of our hotels (primarily room, food and beverage and convention costs), increased in the three months and six months ended June 30, 2012, as compared to the same periods in 2011, primarily as a result of increases at Gaylord Palms and Gaylord Opryland, as described below.

Total Hospitality segment selling, general and administrative expenses, consisting of administrative and overhead costs, increased in the three months and six months ended June 30, 2012, as compared to the same periods in 2011, primarily as a result of an increase at Gaylord Opryland, as described below.

Total Hospitality segment depreciation and amortization expense increased in the three months and six months ended June 30, 2012, as compared to the same periods in 2011, primarily related to the disposal of certain fixed assets associated with a rooms renovation and resort pools at Gaylord Palms and a corridor renovation at Gaylord Opryland, partially offset by a decrease at Gaylord Texan due to the initial furniture, fixtures and equipment placed in service at the hotel’s opening in 2004 becoming fully depreciated during 2012.

 

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Property-Level Results. The following presents the property-level financial results of our Hospitality segment for the three months and six months ended June 30, 2012 and 2011.

Gaylord Opryland Results. The results of Gaylord Opryland for the three months and six months ended June 30, 2012 and 2011 are as follows (in thousands, except percentages and performance metrics):

 

     Three Months     Six Months  
     Ended June 30,     Ended June 30,  
     2012     2011     % Change     2012     2011     % Change  

Total revenues

   $ 74,179      $ 73,064        1.5   $ 144,848      $ 133,374        8.6

Operating expense data:

            

Operating costs

     40,090        38,135        5.1     78,491        76,408        2.7

Selling, general and administrative

     10,620        8,699        22.1     20,232        16,955        19.3

Hospitality performance metrics:

            

Occupancy

     81.6     75.8     7.7     74.8     72.2     3.6

ADR

   $ 157.31      $ 159.83        -1.6   $ 155.66      $ 149.17        4.4

RevPAR

   $ 128.41      $ 121.08        6.1   $ 116.48      $ 107.71        8.1

Total RevPAR

   $ 282.84      $ 278.88        1.4   $ 276.15      $ 255.95        7.9

Total revenue, RevPAR and Total RevPAR increased at Gaylord Opryland in the three months ended June 30, 2012, as compared to the same period in 2011, primarily as a result of increased occupancy, partially offset by declines in ADR and outside-the-room spending that resulted from an increase in lower-rated groups.

Total revenue, RevPAR and Total RevPAR increased at Gaylord Opryland in the six months ended June 30, 2012, as compared to the same period in 2011, primarily as a result of increased occupancy, primarily due to increased group business from associations, and increased ADR, primarily due to an increase in higher-rated association groups primarily in February and March 2012. The increase in occupancy led to an increase in outside-the-room spending at the hotel, which drove the hotel’s increased Total RevPAR during the 2012 period. The increase in Total RevPAR for the six month 2012 period was also impacted by higher collection of attrition and cancellation fees.

Operating costs increased at Gaylord Opryland in the three months and six months ended June 30, 2012 as compared to the same periods in 2011, primarily due to higher variable costs associated with the increase in occupancy. Selling, general and administrative expenses increased during the three months and six months ended June 30, 2012, as compared to the same periods in 2011, primarily due to increased sales and marketing expenses and increased employee benefit costs.

 

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Gaylord Palms Results. The results of Gaylord Palms for the three months and six months ended June 30, 2012 and 2011 are as follows (in thousands, except percentages and performance metrics):

 

     Three Months     Six Months  
     Ended June 30,     Ended June 30,  
     2012     2011     % Change     2012     2011     % Change  

Total revenues

   $ 44,353      $ 37,747        17.5   $ 95,885      $ 83,239        15.2

Operating expense data:

            

Operating costs

     23,386        21,117        10.7     47,932        44,849        6.9

Selling, general and administrative

     8,544        7,832        9.1     16,891        15,881        6.4

Hospitality performance metrics:

            

Occupancy (1)

     85.8     73.8     16.3     84.4     76.0     11.1

ADR

   $ 168.73      $ 165.32        2.1   $ 174.65      $ 165.70        5.4

RevPAR (1)

   $ 144.78      $ 122.02        18.7   $ 147.38      $ 125.95        17.0

Total RevPAR (1)

   $ 366.14      $ 295.02        24.1   $ 385.48      $ 327.09        17.9

 

(1) Excludes 6,808 room nights for the three months and six months ended June 30, 2012 that were taken out of service as a result of a rooms renovation program at Gaylord Palms.

Gaylord Palms revenue, RevPAR and Total RevPAR increased in the three months and six months ended June 30, 2012, as compared to the same periods in 2011, as a result of an increase in occupancy driven by an increase in corporate groups and an increase in ADR due to a shift to corporate groups from associations and other lower-rated groups. In addition, that shift resulted in an increase in outside-the-room spending, with contribution from the new sports bar, which opened on February 2, 2012, increasing revenue and Total RevPAR for the periods.

Operating costs increased at Gaylord Palms in the three months and six months ended June 30, 2012, as compared to the same periods in 2011, primarily as a result of higher variable costs associated with the increase in occupancy and outside-the-room spending. Selling, general and administrative expenses increased during the three months and six months ended June 30, 2012, as compared to the same periods in 2011, primarily as a result of an increase in sales and marketing expenses.

 

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Gaylord Texan Results. The results of Gaylord Texan for the three months and six months ended June 30, 2012 and 2011 are as follows (in thousands, except percentages and performance metrics):

 

     Three Months     Six Months  
     Ended June 30,     Ended June 30,  
     2012     2011     % Change     2012     2011     % Change  

Total revenues

   $ 44,478      $ 45,690        -2.7   $ 92,752      $ 96,050        -3.4

Operating expense data:

            

Operating costs

     25,183        25,103        0.3     50,793        51,349        -1.1

Selling, general and administrative

     6,711        6,097        10.1     12,913        12,337        4.7

Hospitality performance metrics:

            

Occupancy

     71.3     76.2     -6.4     70.7     74.3     -4.8

ADR

   $ 172.53      $ 172.15        0.2   $ 174.30      $ 180.88        -3.6

RevPAR

   $ 122.96      $ 131.24        -6.3   $ 123.16      $ 134.38        -8.3

Total RevPAR

   $ 321.11      $ 332.29        -3.4   $ 335.93      $ 351.20        -4.3

The decrease in Gaylord Texan revenue, RevPAR and Total RevPAR in the three months and six months ended June 30, 2012, as compared to the same periods in 2011, was primarily due to lower occupancy during the periods and lower ADR during the six month period, driven by a decrease in association business. The six month period was also impacted by the 2011 period including higher-rated business due to the impact of the 2011 Super Bowl being held in metropolitan Dallas in February 2011.

Operating costs at Gaylord Texan remained stable in the three months and decreased during the six months ended June 30, 2012, as compared to the same periods in 2011. The decrease during the six month period is primarily due to decreased variable operating costs associated with the lower occupancy at the hotel. Selling, general and administrative expenses increased during the three months and six months ended June 30, 2012, as compared to the same periods in 2011, primarily due to an increase in sales and marketing expenses and training costs.

 

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Gaylord National Results. The results of Gaylord National for the three months and six months ended June 30, 2012 and 2011 are as follows (in thousands, except percentages and performance metrics):

 

     Three Months     Six Months  
     Ended June 30,     Ended June 30,  
     2012     2011     % Change     2012     2011     % Change  

Total revenues

   $ 67,038      $ 59,914        11.9   $ 120,451      $ 112,268        7.3

Operating expense data:

            

Operating costs

     35,783        35,040        2.1     70,615        69,846        1.1

Selling, general and administrative

     7,920        7,687        3.0     16,101        15,623        3.1

Hospitality performance metrics:

            

Occupancy

     78.5     67.9     15.6     72.0     66.1     8.9

ADR

   $ 207.62      $ 211.25        -1.7   $ 198.96      $ 199.97        -0.5

RevPAR

   $ 162.94      $ 143.39        13.6   $ 143.22      $ 132.11        8.4

Total RevPAR

   $ 369.08      $ 329.85        11.9   $ 331.57      $ 310.75        6.7

Gaylord National revenue, RevPAR and Total RevPAR increased in the three months and six months ended June 30, 2012, as compared to the same periods in 2011, primarily as a result of higher occupancy and increased outside-the-room spending during the 2012 periods, driven by an increase in group room nights and stronger government group attendance. Revenue and Total RevPAR were partially offset by lower collection of attrition and cancellation fees during the 2012 periods.

Operating costs at Gaylord National increased in the three months and six months ended June 30, 2012, as compared to the same periods in 2011, due to increased variable costs associated with the increase in occupancy and outside-the-room spending at the hotel, partially offset by margin management initiatives at the property level, including favorable food costs. Selling, general and administrative expenses increased during the three months and six months ended June 30, 2012, as compared to the same periods in 2011, primarily due to an increase in sales and marketing expenses.

 

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Opry and Attractions Segment

Total Segment Results. The following presents the financial results of our Opry and Attractions segment for the three months and six months ended June 30, 2012 and 2011 (in thousands, except percentages):

 

     Three Months     Six Months  
     Ended June 30,     Ended June 30,  
     2012      2011      % Change     2012      2011      % Change  

Total revenues

   $ 20,153       $ 18,569         8.5   $ 32,988       $ 29,936         10.2

Operating expense data:

                

Operating costs

     10,279         9,560         7.5     17,530         16,829         4.2

Selling, general and administrative

     3,796         3,803         -0.2     7,302         7,212         1.2

Depreciation and amortization

     1,278         1,340         -4.6     2,563         2,672         -4.1
  

 

 

    

 

 

      

 

 

    

 

 

    

Operating income

   $ 4,800       $ 3,866         24.2   $ 5,593       $ 3,223         73.5
  

 

 

    

 

 

      

 

 

    

 

 

    

The increase in revenues in the Opry and Attractions segment for the three months and six months ended June 30, 2012, as compared to the same periods in 2011, was primarily due to increases at the Grand Ole Opry and the Ryman Auditorium.

Opry and Attractions operating costs increased during the three months and six months ended June 30, 2012, as compared to the same periods in 2011, primarily as a result of the increased variable costs associated with the increase in revenues. Selling, general and administrative costs remained fairly stable in the three months and six months ended June 30, 2012, as compared to the same periods in 2011.

Opry and Attractions depreciation expense decreased slightly in the three months and six months ended June 30, 2012, as compared to the same periods in 2011.

Corporate and Other Segment

Total Segment Results. The following presents the financial results of our Corporate and Other segment for the three months and six months ended June 30, 2012 and 2011 (in thousands, except percentages):

 

     Three Months     Six Months  
     Ended June 30,     Ended June 30,  
     2012     2011     % Change     2012     2011     % Change  

Total revenues

   $ 29      $ 33        -12.1   $ 61      $ 62        -1.6

Operating expense data:

            

Operating costs

     3,035        2,836        7.0     6,065        5,680        6.8

Selling, general and administrative

     13,599        8,426        61.4     26,628        17,247        54.4

Depreciation and amortization

     2,630        2,640        -0.4     5,243        5,090        3.0
  

 

 

   

 

 

     

 

 

   

 

 

   

Operating loss

   $ (19,235   $ (13,869     -38.7   $ (37,875   $ (27,955     -35.5
  

 

 

   

 

 

     

 

 

   

 

 

   

Corporate and Other segment revenue consists of rental income and corporate sponsorships.

 

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Corporate and Other operating costs, which consist primarily of costs associated with information technology, increased in the three months and six months ended June 30, 2012, as compared to the same periods in 2011, due primarily to higher maintenance costs.

Corporate and Other selling, general and administrative expenses, which consist of senior management salaries and benefits, legal, human resources, accounting, pension and other administrative costs, increased in the three months and six months ended June 30, 2012, as compared to same periods in 2011, due primarily to legal and consulting costs associated with the planned restructuring of our business operations to facilitate our qualification as a REIT for federal income tax purposes.

Corporate and Other depreciation and amortization expense increased slightly in the six months ended June 30, 2012 as compared with the same period in 2011, primarily due to an increase in software placed into service.

Operating Results – Casualty Loss

As a result of the Nashville flood (which occurred during May 2010 and is discussed more fully in our Annual Report on Form 10-K for the year ended December 31, 2011), the Company recognized approximately $0.4 million and $0.5 million, respectively, of casualty loss expense during the three months and six months ended June 30, 2012, which primarily represents non-capitalized repairs of equipment within our Opry and Attractions segment.

Operating Results – Preopening Costs

We expense the costs associated with start-up activities and organization costs as incurred. Our preopening costs for the three months and six months ended June 30, 2012 primarily relate to our new sports bar entertainment facility at Gaylord Palms.

Non-Operating Results Affecting Net Income

General

The following table summarizes the other factors which affected our net income for the three months and six months ended June 30, 2012 and 2011 (in thousands, except percentages):

 

     Three Months     Six Months  
     Ended June 30,     Ended June 30,  
     2012     2011     % Change     2012     2011     % Change  

Interest expense, net of amounts capitalized

   $ (14,451   $ (21,377     32.4   $ (28,813   $ (42,186     31.7

Interest income

     3,021        3,316        -8.9     6,175        6,489        -4.8

Income from unconsolidated companies

     109        152        -28.3     109        325        -66.5

Other gains and (losses), net

     —          141        -100.0     —          (50     100.0

(Provision) benefit for income taxes

     (11,314     (4,799     -135.8     (15,783     (3,832     -311.9

Income (loss) from discontinued operations, net of taxes

     (19     4        -575.0     2        8        -75.0

 

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Interest Expense, Net of Amounts Capitalized

Interest expense, net of amounts capitalized, decreased $6.9 million to $14.5 million (net of capitalized interest of $0.2 million) during the three months ended June 30, 2012, as compared to the same period in 2011, and decreased $13.4 million to $28.8 million (net of capitalized interest of $0.5 million) during the six months ended June 30, 2012, as compared to the same period in 2011, due primarily to a decrease in interest expense associated with our refinanced credit facility due to lower interest rates.

Cash interest expense decreased $7.0 million to $10.0 million in the three months ended June 30, 2012, and decreased $13.4 million to $20.1 million in the six months ended June 30, 2012, as compared to the same periods in 2011. Noncash interest expense, which includes amortization of deferred financing costs and debt discounts, as well as capitalized interest, remained stable at $4.5 million in the three months ended June 30, 2012, and increased $0.1 million to $8.8 million in the six months ended June 30, 2012, as compared to the same periods in 2011.

Our weighted average interest rate on our borrowings was 5.4% and 7.0% for the three months and 5.4% and 6.9% for the six months ended June 30, 2012 and 2011, respectively.

Interest Income

Interest income for the three months and six months ended June 30, 2012 and 2011 primarily includes amounts earned on the notes that were received in connection with the development of Gaylord National.

Income from Unconsolidated Companies

We account for our previous minority investments under the equity method of accounting. Income from unconsolidated companies for the three months and six months ended June 30, 2012 and 2011 consisted of income from these investments.

Other Gains and (Losses)

Other gains and (losses), net for the three months and six months ended June 30, 2011 primarily consisted of miscellaneous income and expense related to retirements of fixed assets.

Provision for Income Taxes

The effective tax rate as applied to pretax income from continuing operations differed from the statutory federal rate due to the following (in percentage points):

 

     Three Months     Six Months  
     Ended June 30,     Ended June 30,  
     2012     2011     2012     2011  

U.S. Federal statutory rate

     35     35     35     35

State taxes (net of federal tax benefit and change in valuation allowance)

     11        4        9        4   

Permanent items

     13        (1     10        (1

Federal tax credits

     (4     (4     (3     (4

Federal valuation allowance

     1        1        —          1   

Unrecognized tax benefits

     —          1        —          1   
  

 

 

   

 

 

   

 

 

   

 

 

 

Effective tax rate

     56     36     51     36
  

 

 

   

 

 

   

 

 

   

 

 

 

 

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Liquidity and Capital Resources

Cash Flows From Operating Activities. Cash flow from operating activities is the principal source of cash used to fund our operating expenses, interest payments on debt, and maintenance capital expenditures. During the six months ended June 30, 2012, our net cash flows provided by operating activities—continuing operations were $79.1 million, reflecting primarily cash provided by our income from continuing operations before non-cash depreciation expense, amortization expense, income tax provision, stock-based compensation expense and income from unconsolidated companies of approximately $107.4 million, partially offset by unfavorable changes in working capital of approximately $28.3 million. The unfavorable changes in working capital primarily resulted from an increase in trade receivables due to a seasonal change in the timing of payments received from corporate group customers at Gaylord National, Gaylord Opryland and Gaylord Palms, and a decrease in accrued expenses primarily related to the payment of accrued property taxes, accrued compensation, and accrued expenses associated with our hotel holiday programs, partially offset by an increase in deferred revenues due to increased receipts of deposits on advanced bookings of hotel rooms at Gaylord National and Gaylord Texan and an increase in accounts payable due to timing differences.

During the six months ended June 30, 2011, our net cash flows provided by operating activities — continuing operations were $39.7 million, reflecting primarily cash provided by our income from continuing operations before non-cash depreciation expense, amortization expense, income tax provision, stock-based compensation expense, income from unconsolidated companies, and losses on the disposals of certain fixed assets of approximately $81.5 million, partially offset by unfavorable changes in working capital of approximately $41.8 million. The unfavorable changes in working capital primarily resulted from a decrease in accrued expenses, primarily related to the payment of accrued compensation, accrued property taxes, and accrued expenses associated with our hotel holiday programs, and an increase in trade receivables due to a seasonal change in the timing of payments received from corporate group customers at Gaylord Opryland, Gaylord National and Gaylord Palms, partially offset by an increase in deferred revenues due to increased receipts of deposits on advanced bookings of hotel rooms at Gaylord National and Gaylord Opryland.

Cash Flows From Investing Activities. During the six months ended June 30, 2012, our primary uses of funds for investing activities were purchases of property and equipment, which totaled $58.8 million, partially offset by the receipt of a $2.9 million principal payment on the bonds that were received in connection with the development of Gaylord National. Our capital expenditures during the six months ended June 30, 2012 consisted primarily of the continuance of the renovation of the guestrooms and the completion of a new sports bar entertainment facility and new resort pools at Gaylord Palms, the completion of the enhancement to our flood protection system at Gaylord Opryland, and ongoing maintenance capital expenditures for our existing properties.

During the six months ended June 30, 2011, our primary uses of funds for investing activities were purchases of property and equipment, which totaled $61.4 million, partially offset by the receipt of a $2.5 million principal payment on the bonds that were received in April 2008 in connection with the development of Gaylord National and $2.2 million in proceeds from the sale of certain fixed assets. Our capital expenditures during the six months ended June 30, 2011 primarily included remaining flood-related projects at Gaylord Opryland, the building of our new resort pool at Gaylord Texan and various information technology projects, as well as ongoing maintenance capital expenditures for our existing properties.

Cash Flows From Financing Activities. Our cash flows from financing activities reflect primarily the incurrence of debt and the repayment of long-term debt. During the six months ended June 30, 2012, our net cash flows used in financing activities were approximately $38.5 million, primarily reflecting $45.0 million in repayments under our credit facility, partially offset by $6.8 million in proceeds from the exercise of stock option and purchase plans.

 

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During the six months ended June 30, 2011, our net cash flows provided by financing activities were approximately $4.1 million, primarily reflecting $4.2 million in proceeds from the exercise of stock option and purchase plans.

Working Capital

As of June 30, 2012 we had total current assets of $134.2 million and total current liabilities of $152.6 million, which resulted in a working capital deficit of $18.4 million. A significant portion of our current liabilities consist of deferred revenues ($50.2 million at June 30, 2012), which primarily represent deposits received on advance bookings of hotel rooms. While satisfaction of these deferred revenue liabilities will require the use of hotel resources and services, it does not require future cash payments by us. As a result, we believe our current assets, cash flows from operating activities and availability under our credit facility will be sufficient to repay our current liabilities as they become due.

Liquidity

As of June 30, 2012, we had $29.5 million in unrestricted cash and $362.0 million available for borrowing under our $925 million credit facility, which we refinanced in July 2011 and matures in 2015. During the six months ended June 30, 2012, we prepaid $45.0 million of the principal outstanding under our $925 million credit facility. This prepayment, partially offset by the cash flows from operating activities discussed above, was the primary factor in the decrease in our cash balance from December 31, 2011 to June 30, 2012.

As described above, we anticipate investing in our operations during the remainder of 2012 through ongoing maintenance capital expenditures for our existing properties. This would include approximately $2 million to $3 million to complete the room renovation at Gaylord Palms and between $10 million to $12 million in ongoing maintenance capital at the hotels. We also expect to spend approximately $4 million to complete the final portion of the flood levee for the Grand Ole Opry House. In 2013, we anticipate between $25 million to $30 million in ongoing maintenance capital along with $3 million to $4 million to renovate the suites at the Gaylord Palms and $11 million to $13 million to renovate half of the rooms at the Gaylord Texan (the remaining to be completed in 2014). Other projects being discussed, but have not been approved, include the potential expansion of the resort pool complex at Gaylord Texan and investment into the joint venture investment with the Dollywood Company.

We believe that our cash on hand and cash from operations will be adequate to fund these short-term commitments, as well as: (i) normal operating expenses, (ii) interest expense on long-term debt obligations, and (iii) capital lease and operating lease obligations. If our existing cash and cash from operations were inadequate to fund such commitments, we could draw on our $925 million credit facility, subject to the satisfaction of debt incurrence tests. We believe that drawing on this credit facility will not be necessary for general working capital purposes or these 2012 commitments described herein. We may, however, draw on our credit facility for operational and capital needs in the future.

As described above, we will receive cash of $210 million upon the consummation of the Marriott sale transaction. In connection with the Marriott sale transaction, the completion of the merger and the REIT conversion, we anticipate that (i) we will incur federal income taxes associated with the receipt of the purchase price and other transactions related to the REIT conversion, net of remaining net operating losses, of approximately $43 million to $53 million, (ii) we will incur one-time costs related to the REIT conversion, including conversion, transaction, severance, and retention costs, currently estimated to be $55 million, and (iii) we will be required to pay the anticipated cash portion of the special E&P distribution. In addition, if we do not apply

 

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the net proceeds of the Marriott sale transaction in a manner compliant with the asset sale provisions of the indenture for our 6.75% senior notes, we may be required to tender for some of our outstanding 6.75% senior notes within 360 days of the consummation of the Marriott sale transaction. We anticipate that we may not use the net proceeds of the Marriott sale transaction in such a manner, and therefore, we may be required to tender for the purchase of our outstanding 6.75% senior notes in an amount equal to the net proceeds of the Marriott sale transaction within 360 days of its consummation. As of June 30, 2012, $152.2 million in aggregate principal amount of the senior 6.75% senior notes was outstanding. If we are unable to refinance the 6.75% senior notes in the debt capital markets, we would likely wait until on or after November 15, 2012, at which time notes are redeemable at par, and redeem the 6.75% senior notes using operational cash flow or borrowings under our revolving credit line. Given the Company’s operating performance and ample availability under our revolving credit line, we do not believe tendering for some or redeeming all of the 6.75% senior notes would negatively impact our long-term liquidity.

Our outstanding principal debt agreements, none of which mature prior to 2014, are described below. Based on current projections for compliance under our financial covenants contained in these agreements, other than those described in the preceding paragraph, we do not foresee a maturity issue prior to 2014.

Principal Debt Agreements

$925 Million Credit Facility. On August 1, 2011, we refinanced our previous $1.0 billion credit facility by entering into a $925 million senior secured credit facility by and among the Company, certain subsidiaries of the Company party thereto, as guarantors, the lenders party thereto and Bank of America, N.A., as administrative agent (the “$925 Million Credit Facility”). The $925 Million Credit Facility consists of the following components: (a) a $525.0 million senior secured revolving credit facility, of which $200.0 million was drawn at closing, and includes a $75.0 million letter of credit sublimit and a $50.0 million sublimit for swingline loans, and (b) a $400.0 million senior secured term loan facility, which was fully funded at closing. The $925 Million Credit Facility also includes an accordion feature that will allow us to increase the facility by a total of up to $475.0 million, subject to securing additional commitments from existing lenders or new lending institutions. The $925 Million Credit Facility matures on August 1, 2015 and bears interest at an annual rate of LIBOR plus 2.25% or the bank’s base rate plus 1.25%, subject to adjustment based on our implied debt service coverage ratio, as defined in the agreement. Interest on our borrowings is payable quarterly, in arrears, for base rate loans and at the end of each interest rate period for LIBOR-based loans. Principal is payable in full at maturity. We are required to pay a fee of 0.3% to 0.4% per year of the average unused portion of the $925 Million Credit Facility. The purpose of the $925 Million Credit Facility is for working capital, capital expenditures, and other corporate purposes.

The $925 Million Credit Facility is (i) secured by a first mortgage and lien on the real property and related personal and intellectual property of our Gaylord Opryland hotel, Gaylord Texan hotel, Gaylord Palms hotel and Gaylord National hotel, and pledges of equity interests in the entities that own such properties and (ii) guaranteed by each of the four wholly-owned subsidiaries that own the four hotels. Advances are subject to a 55% borrowing base, based on the appraisal value of the hotel properties (reduced to 50% in the event a hotel property is sold).

In addition, the $925 Million Credit Facility contains certain covenants which, among other things, limit the incurrence of additional indebtedness, investments, dividends, transactions with affiliates, asset sales, acquisitions, mergers and consolidations, liens and encumbrances and other matters customarily restricted in such agreements. The material financial covenants, ratios or tests contained in the $925 Million Credit Facility are as follows:

 

   

We must maintain a consolidated funded indebtedness to total asset value ratio as of the end of each calendar quarter of not more than 65%.

 

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We must maintain a consolidated tangible net worth of not less than $850.0 million plus 75% of the proceeds received by us or any of our subsidiaries in connection with any equity issuance.

 

   

We must maintain a minimum consolidated fixed charge coverage ratio, as defined in the agreement, of not less than 1.75 to 1.00.

 

   

We must maintain an implied debt service coverage ratio (the ratio of adjusted net operating income to monthly principal and interest that would be required if the outstanding balance were amortized over 25 years at an assumed fixed rate) of not less than 1.60 to 1.00.

If an event of default were to occur and continue under the $925 Million Credit Facility, the commitments under the $925 Million Credit Facility may be terminated and the principal amount outstanding under the $925 Million Credit Facility, together with all accrued unpaid interest and other amounts owing in respect thereof, may be declared immediately due and payable. The $925 Million Credit Facility is cross-defaulted to our other indebtedness.

As of June 30, 2012, $555.0 million of borrowings were outstanding under the $925 Million Credit Facility, and the lending banks had issued $8.0 million of letters of credit under the facility, which left $362.0 million of availability under the credit facility (subject to the satisfaction of debt incurrence tests under the indentures governing our 6.75% senior notes due 2014).

Prior to consummating the anticipated Marriott sale transaction, we must obtain waivers and consents of the required lenders pursuant to the $925 Million Credit Facility to amend the facility to accommodate the Marriott sale transaction, the merger of Gaylord with and into Granite, and the REIT conversion. We anticipate that such amendment, among other things, will (i) permit dividends to the extent permitted by the indenture for our 6.75% senior notes, and, if such indenture is terminated, to the extent necessary for us to maintain REIT status, (ii) allow our taxable REIT subsidiaries to lease our hotel properties, and (iii) update the facility generally to permit us to restructure and operate our business as a REIT. We have engaged with our principal lender concerning the amendment, and we believe that we will be able to obtain such waivers and consents.

3.75% Convertible Senior Notes. In 2009, we issued $360.0 million of 3.75% Convertible Senior Notes (the “Convertible Notes”). The Convertible Notes have a maturity date of October 1, 2014, and interest is payable semiannually in cash in arrears on April 1 and October 1. The Convertible Notes are convertible, under certain circumstances as described below, at the holder’s option, into shares of our common stock, at an initial conversion rate of 36.6972 shares of common stock per $1,000 principal amount of the Convertible Notes, which is equivalent to an initial conversion price of approximately $27.25 per share. We may elect, at our option, to deliver shares of our common stock, cash or a combination of cash and shares of our common stock in satisfaction of our obligations upon conversion of the Convertible Notes. We intend to settle the face value of the Convertible Notes in cash.

The Convertible Notes are convertible under any of the following circumstances: (1) during any calendar quarter ending after September 30, 2009 (and only during such calendar quarter), if the closing price of our common stock for at least 20 trading days during the 30 consecutive trading day period ending on the last trading day of the immediately preceding calendar quarter exceeds 120% of the applicable conversion price per share of common stock on the last trading day of such preceding calendar quarter; (2) during the ten business day period after any five consecutive trading day period in which the Trading Price (as defined in the Indenture) per $1,000 principal amount of the Convertible Notes, as determined following a request by a Convertible Note holder, for each day in such five consecutive trading day period was less than 98% of the product of the last reported sale price of our common stock and the applicable conversion rate, subject to certain procedures; (3) if specified corporate transactions or events occur; or (4) at any time on or after July 1, 2014, until the second scheduled trading day immediately preceding October 1, 2014. Based on our stock price during the three months ended June 30, 2012, the first condition permitting conversion of the Convertible Notes was satisfied and, thus, the Convertible Notes

 

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are currently convertible through September 30, 2012. At this time, we have received no notices of note holders electing to convert their Convertible Notes. Based on our borrowing capacity under the $925 Million Credit Facility, the Convertible Notes remain classified as long-term debt in the accompanying condensed consolidated balance sheet as of June 30, 2012. Based on the Company’s June 29, 2012 closing stock price of $38.56, the “if-converted value” of the Convertible Notes exceeds the face amount by $149.4 million; however, after giving effect to the exercise of the call options and warrants associated with the Convertible Notes as described in our Form 10-K for the year ended December 31, 2011, the incremental cash or share settlement in excess of the face amount would result in either a cash payment of $77.4 million or a 2.0 million net share issuance, or a combination of cash and stock, at our option. Based on our cash on hand and our availability under the $925 Million Credit Facility as of June 30, 2012, we do not expect any liquidity issues should the Convertible Notes be converted.

The Convertible Notes are general unsecured and unsubordinated obligations and rank equal in right of payment with all of our existing and future senior unsecured indebtedness, including our 6.75% senior notes due 2014, and senior in right of payment to all of our future subordinated indebtedness, if any. The Convertible Notes will be effectively subordinated to any of our secured indebtedness to the extent of the value of the assets securing such indebtedness.

The Convertible Notes are guaranteed, jointly and severally, on an unsecured unsubordinated basis by generally all of our active domestic subsidiaries. Each guarantee will rank equally in right of payment with such subsidiary guarantor’s existing and future senior unsecured indebtedness and senior in right of payment to all future subordinated indebtedness, if any, of such subsidiary guarantor. The Convertible Notes will be effectively subordinated to any secured indebtedness and effectively subordinated to all indebtedness and other obligations of our subsidiaries that do not guarantee the Convertible Notes.

Upon a Fundamental Change (as defined in the indenture for our Convertible Notes), holders may require us to repurchase all or a portion of their Convertible Notes at a purchase price equal to 100% of the principal amount of the Convertible Notes to be repurchased, plus any accrued and unpaid interest, if any, thereon to (but excluding) the Fundamental Change Repurchase Date (as defined in the indenture for our Convertible Notes). The Convertible Notes are not redeemable at our option prior to maturity.

We do not believe the anticipated sale of the Gaylord Hotels brand and the rights to manage our Gaylord Hotels properties to Marriott, the merger, or the REIT conversion will result in a Fundamental Change. Our declaration and payment of the Special E&P Distribution in connection with the REIT conversion will require an adjustment to the conversion rate of the Convertible Notes, resulting in an increase in the number of shares underlying the Convertible Notes. The number of shares subject to the options we purchased and the warrants we sold in connection with the issuance of the Convertible Notes and the exercise prices per share for such options and warrants will also be adjusted.

6.75% Senior Notes. In 2004, we completed our offering of $225 million in aggregate principal amount of senior notes bearing an interest rate of 6.75% (the “Senior Notes”). The Senior Notes, which mature on November 15, 2014, bear interest semi-annually in cash in arrears on May 15 and November 15 of each year. The Senior Notes are redeemable, in whole or in part, at any time on or after November 15, 2009 at a designated redemption amount, plus accrued and unpaid interest. The Senior Notes rank equally in right of payment with our other unsecured unsubordinated debt, but are effectively subordinated to all of our secured debt to the extent of the assets securing such debt. The Senior Notes are fully and unconditionally guaranteed, jointly and severally, on a senior unsecured basis by generally all of our active domestic subsidiaries. In addition, the Senior Notes indenture contains certain covenants which, among other things, limit the incurrence of additional indebtedness (including additional indebtedness under the term loan portion of our $925 Million Credit Facility), investments, dividends, transactions with affiliates, asset sales, capital expenditures, mergers and consolidations, liens and encumbrances and other matters customarily restricted in such agreements. The Senior Notes are cross-defaulted to our other indebtedness.

 

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Our anticipated sale of the Gaylord Hotels brand and the rights to manage our Gaylord Hotels properties to Marriott will constitute an asset sale under the terms of the indenture for the Senior Notes. As a result, the net proceeds we receive from the Marriott sale transaction must be applied within 360 days of our receipt of such proceeds to either (i) repay indebtedness under our $925 Million Credit Facility (and to reduce the amount of the revolving portion of the facility if debt outstanding under such portion is repaid), or (ii) purchase replacement assets or make capital expenditures that are useful to our business. Any amounts of the net proceeds of the Marriott sale transaction that are not used in the manner described above must be used to offer to repurchase outstanding Senior Notes at an offer price of 100% of the principal amount, plus accrued interest. We anticipate that we may not use the net proceeds of the Marriott sale transaction to repay indebtedness, purchase replacement assets, or make capital expenditures, and therefore, we may be required to tender for some of our outstanding Senior Notes within 360 days of the consummation of the Marriott sale transaction.

Additional Debt Limitations. Following the consummation of the anticipated Marriott sale transaction, our Gaylord Hotels properties will enter into the management agreement and pooling agreement. Pursuant to the terms of the management agreement and pooling agreement, we will be subject to certain debt limitations described below.

The management agreement provides for the following limitations on indebtedness encumbering a hotel:

 

   

The aggregate principal balance of all mortgage and mezzanine debt encumbering the hotel shall be no greater than 75% of the fair market value of the hotel; and

 

   

The ratio of (a) aggregate Operating Profit (as defined in the management agreement) in the 12 months prior to the closing on the mortgage or mezzanine debt to (b) annual debt service for the hotel shall equal or exceed 1.2:1; but is subject to the pooling agreement described below.

The pooled limitations on Secured Debt (as defined in the pooling agreement) will be as follows:

 

   

The aggregate principal balance of all mortgage and mezzanine debt on Pooled Hotels (as defined in the pooling agreement), shall be no more than 75% of the fair market value of Pooled Hotels.

 

   

The ratio of (a) aggregate Operating Profit (as defined in the pooling agreement) of Pooled Hotels in the 12 months prior to closing on any mortgage or mezzanine debt, to (b) annual debt service for the Pooled Hotels, shall equal or exceed 1.2:1.

Off-Balance Sheet Arrangements

As described in Note 11 to our condensed consolidated financial statements included herein, we previously invested in two unconsolidated entities that owned hotels located in Hawaii. Our joint venture partner in each of these unconsolidated entities guaranteed, under certain circumstances, certain loans made to wholly-owned subsidiaries of each of these entities, and we agreed to contribute to these joint venture partners our pro rata share of any payments under such guarantees required to be made by such joint venture partners. In addition, we enter into commitments under letters of credit, primarily for the purpose of securing our deductible obligations with our workers’ compensation insurers, and lending banks under our credit facility had issued $8.0 million of letters of credit as of June 30, 2012. Except as set forth in this paragraph, we do not have any off-balance sheet arrangements.

 

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Commitments and Contractual Obligations

The following table summarizes our significant contractual obligations as of June 30, 2012, including long-term debt and operating and capital lease commitments (amounts in thousands):

 

     Total amounts      Less than                    More than  

Contractual obligations

   committed      1 year      1-3 years      3-5 years      5 years  

Long-term debt (1)

   $ 1,067,180       $ —         $ 512,180       $ 555,000       $ —     

Capital leases

     2,026         750         1,224         52         —     

Construction commitments

     42,246         42,246         —           —           —     

Operating leases (2)

     645,565         7,576         13,045         9,106         615,838   

Other

     14,319         5,837         8,482         —           —     
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

Total contractual obligations

   $ 1,771,336       $ 56,409       $ 534,931       $ 564,158       $ 615,838   
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

 

(1) Long-term debt commitments do not include approximately $97.4 million in interest payments projected to be due in future years ($37.6 million less than one year, $58.7 million between one and three years, and $1.2 million between three and five years) based on the stated interest rates on our fixed-rate debt and the rates in effect at June 30, 2012 for our variable-rate debt. Variable rates, as well as outstanding principal balances, could change in future periods. See “Principal Debt Agreements” above for a discussion of our outstanding long-term debt. See “Supplemental Cash Flow Information” in Note 1 to our Annual Report on Form 10-K for the year ended December 31, 2011 for a discussion of the interest we paid during 2011, 2010 and 2009.
(2) The total operating lease commitments of $645.6 million above includes the 75-year operating lease agreement we entered into during 1999 for 65.3 acres of land located in Osceola County, Florida where Gaylord Palms is located.

Due to the uncertainty with respect to the timing of future cash payments associated with our defined benefit pension plan, our non-qualified retirement plan, our non-qualified contributory deferred compensation plan and our defined benefit postretirement health care and life insurance plan, we cannot make reasonably certain estimates of the period of cash settlement. Therefore, these obligations have been excluded from the contractual obligations table above. See Note 10 and Note 11 to our Annual Report on Form 10-K for the year ended December 31, 2011 for further discussion related to these obligations.

Critical Accounting Policies and Estimates

We prepare our condensed consolidated financial statements in conformity with accounting principles generally accepted in the United States. Certain of our accounting policies, including those related to revenue recognition, impairment of long-lived assets and goodwill, stock-based compensation, derivative financial instruments, income taxes, retirement and postretirement benefits other than pension plans, and legal contingencies, require that we apply significant judgment in defining the appropriate assumptions for calculating financial estimates. By their nature, these judgments are subject to an inherent degree of uncertainty. Our judgments are based on our historical experience, our observance of trends in the industry, information provided by our customers and information available from other outside sources, as appropriate. There can be no assurance that actual results will not differ from our estimates. For a discussion of our critical accounting policies and estimates, please refer to Management’s Discussion and Analysis of Financial Condition and Results of Operations and Notes to Consolidated Financial Statements presented in our Annual Report on Form 10-K for the year ended December 31, 2011. There were no newly identified critical accounting policies in the first six months of 2012 nor were there any material changes to the critical accounting policies and estimates discussed in our Annual Report on Form 10-K for the year ended December 31, 2011.

 

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Recently Issued Accounting Standards

For a discussion of recently issued accounting standards, see Note 2 to our condensed consolidated financial statements included herein.

ITEM 3. QUANTITATIVE AND QUALITATIVE DISCLOSURES ABOUT MARKET RISK

Market risk is the risk of loss arising from adverse changes in market rates and prices, such as interest rates, foreign currency exchange rates and commodity prices. Our primary exposures to market risk are from changes in interest rates and equity prices and changes in asset values of investments that fund our pension plan.

Risk Related to Changes in Interest Rates

Borrowings outstanding under our $925 Million Credit Facility currently bear interest at an annual rate of LIBOR plus 2.25%, subject to adjustment as defined in the credit agreement. If LIBOR were to increase by 100 basis points, our annual interest cost on the $555.0 million in borrowings outstanding under our $925 Million Credit Facility as of June 30, 2012 would increase by approximately $5.6 million.

Certain of our outstanding cash balances are occasionally invested overnight with high credit quality financial institutions. We do not have significant exposure to changing interest rates on invested cash at June 30, 2012. As a result, the interest rate market risk implicit in these investments at June 30, 2012, if any, is low.

Risk Related to Changes in Equity Prices

The $360 million aggregate principal amount of Convertible Notes may be converted prior to maturity, at the holder’s option, into shares of our common stock under certain circumstances as described in Item 2 above under Principal Debt Agreements and in our Annual Report on Form 10-K for the year ended December 31, 2011. The initial conversion price is approximately $27.25 per share. Upon conversion, we may elect, at our option, to deliver shares of our common stock, cash or a combination of cash and shares of our common stock in satisfaction of our obligations to the converting note holders. The fair value of the Convertible Notes will generally increase as our share price increases and decrease as our share price declines.

Concurrently with the issuance of the Convertible Notes, we entered into convertible note hedge transactions intended to reduce the potential dilution upon conversion of the Convertible Notes in the event that the market value per share of our common stock, as measured under the Convertible Notes, at the time of exercise is greater than the conversion price of the Convertible Notes. In connection with the convertible note hedge transactions, we purchased call options to purchase approximately 13.2 million shares of our common stock, subject to anti-dilution adjustments, at a price per share equal to $27.25, the initial conversion price of the Convertible Notes, from counterparties affiliated with the initial purchasers of the Convertible Notes. Separately we sold warrants to the counterparties to the call options whereby they may purchase approximately 13.2 million shares of our common stock at a price of $32.70 per share. As a result of our purchasing the call options and issuing the warrants, the Convertible Notes will not have a dilutive impact on shares outstanding if the share price of our common stock is below $32.70. For every $1 increase in the share price of our common stock above $32.70, we will be required to deliver, upon the exercise of the warrants, the equivalent of $13.2 million in shares of our common stock (at the relevant share price).

Risk Related to Changes in Asset Values that Fund our Pension Plans

The expected rates of return on the assets that fund our defined benefit pension plan are based on the asset allocation of the plan and the long-term projected return on those assets, which represent a diversified mix of equity securities, fixed income securities and cash. As of June 30, 2012, the value of the investments in the pension fund was $66.2 million, and an immediate 10% decrease in the value of the investments in the fund would have reduced the value of the fund by approximately $6.6 million.

 

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ITEM 4. CONTROLS AND PROCEDURES.

The Company maintains disclosure controls and procedures, as defined in Rule 13a-15(e) promulgated under the Securities Exchange Act of 1934 (the “Exchange Act”), that are designed to ensure that information required to be disclosed by us in the reports that we file or submit under the Exchange Act is recorded, processed, summarized and reported within the time periods specified in the SEC’s rules and forms and that such information is accumulated and communicated to our management, including our Chief Executive Officer and Chief Financial Officer, as appropriate to allow timely decisions regarding required disclosure. The Company carried out an evaluation under the supervision and with the participation of our management, including our Chief Executive Officer and Chief Financial Officer, of the effectiveness of the design and operation of our disclosure controls and procedures as of the end of the period covered by this report. Based on the evaluation of these disclosure controls and procedures, the Chief Executive Officer and Chief Financial Officer concluded that our disclosure controls and procedures were effective as of the end of the period covered by this report.

There has been no change in our internal control over financial reporting that occurred during the period covered by this report that materially affected, or is reasonably likely to materially affect, our internal control over financial reporting.

PART II — OTHER INFORMATION

 

ITEM 1. LEGAL PROCEEDINGS.

In April 2012, the Company filed suit against the U.S. Government in the U.S. District Court for the Middle District of Tennessee for damages that the Company believes resulted from negligent actions on the part of the National Weather Service and the Army Corps of Engineers during the May 2010 flooding in Nashville, Tennessee. The Company is seeking $250 million in damages. At this time, it is uncertain as to whether the Company will receive any damages related to this suit, nor does the Company have a timetable for resolution.

The Company is also a party to certain litigation, as described in Note 11 to our condensed consolidated financial statements included herein and which is incorporated herein by reference.

ITEM 1A. RISK FACTORS.

The following risk factors should be considered in addition to the risk factors set forth in our Annual Report on Form 10-K for the year ended December 31, 2011.

We may not realize the anticipated tax benefits from the anticipated REIT conversion effective January 1, 2013 because the timing of the merger and REIT conversion is not certain.

We will complete the proposed merger of Gaylord with and into Granite after our stockholders adopt the merger agreement and approve the issuance of shares of our common stock in connection with the Special E&P Distribution and the satisfaction or waiver of the other conditions to the merger. We intend to hold a special meeting of stockholders in the third quarter of 2012 to seek such stockholder approvals. In addition, the timing of the merger will depend on our ability to conform our operations to the requirements for qualification as a REIT. We currently anticipate that the completion of the merger will occur on or about the time of (but not earlier than) the consummation of the Marriott sale transaction. We anticipate that the merger will occur no later than December 31, 2012, although we cannot assure you that the merger will not be delayed. If the merger and the other restructuring transactions were significantly delayed, we may not be qualified to elect REIT status effective January 1, 2013, in which event we could not elect REIT status until the taxable year beginning January 1, 2014,

 

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at the earliest. In that event, the benefits attributable to our qualification and taxation as a REIT, including our ability to reduce our corporate level federal income tax through distributions to our stockholders, would not commence January 1, 2013, and we would pay corporate level income taxes on our taxable income until such time as we became a REIT. Additionally, even if the transactions necessary to implement the REIT conversion are effected, our board of directors may decide not to elect REIT status, or to delay such election, if it determines in its sole discretion that it is not in the best interests of us or our stockholders.

We may be unable to satisfy the remaining conditions to the consummation of the anticipated Marriott sale transaction, and the Marriott sale transaction, merger and REIT conversion may not be completed.

Consummation of the Marriott sale transaction remains conditioned upon our obtaining the consent of the required lenders pursuant to our $925 Million Credit Facility. In addition, consummation of the Marriott sale transaction and completion of the merger are conditioned on, among other things, the absence of any law or regulation that prohibits the consummation of the Marriott sale transaction or completion of the merger and the adoption by our stockholders of the merger agreement. Satisfying the conditions to the consummation of the sale transaction and the completion of the merger may take longer and could cost more than we expect, and our stockholders may not adopt the merger agreement. Failure to consummate the Marriott sale transaction and to complete the merger could negatively affect the market price of our common stock, and any delays in consummation of the Marriott sale transaction or completion of the merger may result in a delay of our qualification to elect REIT status until January 1, 2014, at the earliest.

If we are unable to obtain waivers and consents of the lenders to our $925 Million Credit Facility to amend the facility to accommodate Marriott sale transaction, the REIT conversion and the merger, we may be delayed or prevented from consummating the anticipated Marriott sale transaction and completing the merger and REIT conversion.

Prior to consummating the Marriott sale transaction and completing the merger, we must obtain waivers and consents of the required lenders pursuant to our $925 Million Credit Facility to amend the facility to accommodate the Marriott sale transaction, the merger, and the REIT conversion. If we are unable to obtain such waivers and consents of the lenders, the sale transaction, the merger, and the REIT conversion will not be consummated. Although we believe that we will be able to obtain such waivers and consents, we cannot assure you that the required lenders will agree to the amendment of our $925 Million Credit Facility in a timely manner, or at all.

The purchase agreement with respect to the Marriott sale transaction may make it less likely that a competing transaction would emerge and may make it more difficult or expensive for Gaylord to accept a proposal to acquire Gaylord.

In the purchase agreement with respect to the Marriott sale transaction, we have agreed to cease all activities, discussions or negotiations and not to solicit proposals relating to the sale of the Gaylord Hotels brand and the right to manage our Gaylord Hotels properties. Although the purchase agreement does not prohibit us from considering or negotiating proposals to acquire Gaylord as a whole, if we terminate the purchase agreement because we enter into or our board of directors has approved our entry into a definitive agreement with respect to an acquisition proposal, we would be required to pay Marriott a termination fee of $12.5 million. If the special meeting of stockholders is held and stockholder approval of the merger is not obtained, or other conditions of the transaction are not met and the Marriott sale transaction is terminated, we may be required to pay a termination fee of $5 million (with credit for any conversion expenses reimbursed to Marriott, which may exceed $5 million). We may also be required to pay Marriott an additional fee of $5 million if stockholder approval of the merger is not obtained and an alternative management or acquisition agreement is consummated. Such termination fees and expenses may make it less likely that a competing transaction would emerge and may make it more difficult and expensive for us to accept a competing transaction that our board of directors determines to be in the interests of us and our stockholders.

 

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If we fail to qualify as a REIT or fail to remain qualified as a REIT, we would be subject to tax at corporate income tax rates and would not be able to deduct distributions to stockholders when computing our taxable income.

REIT qualification involves the application of highly technical and complex provisions of the Internal Revenue Code to our operations as well as various factual determinations concerning matters and circumstances not entirely within our control. There are limited judicial or administrative interpretations of these provisions. Although we plan to operate in a manner consistent with the REIT qualification rules, we cannot assure you that we will so qualify or remain so qualified.

If, in any taxable year, we fail to qualify for taxation as a REIT, and are not entitled to relief under the Code:

 

  we would not be allowed a deduction for distributions to stockholders in computing our taxable income;

 

  we would be subject to federal and state income tax, including any applicable alternative minimum tax, on our taxable income at regular corporate rates; and

 

  we would be disqualified from REIT tax treatment for the four taxable years following the year during which we were so disqualified.

Any such corporate tax liability could be substantial and would reduce the amount of cash available for other purposes. This adverse impact could last for five or more years because, unless we are entitled to relief under certain statutory provisions, we would be taxable as a C corporation, beginning in the year in which the failure occurs, and we would not be allowed to re-elect to be taxed as a REIT for the following four years.

The current market price of Gaylord common stock may not be indicative of the market price of Granite common stock following the anticipated completion of the REIT conversion and the Special E&P Distribution.

The current market price of Gaylord common stock may not be indicative of how the market will value Granite common stock following the completion of the REIT conversion because of the effect of the distribution of cash and shares of Granite common stock in connection with the Special E&P Distribution, the change in our organization from a taxable C corporation to a REIT and the change in our distribution policy. Gaylord’s common stock price does not necessarily take into account these effects, and the market price after the completion of the REIT conversion and the Special E&P Distribution could be lower than the current price. Furthermore, one of the factors that may influence the market price of Granite common stock will be the yield from distributions on Granite common stock compared to yields on other financial instruments. If, for example, an increase in market interest rates results in higher yields on other financial instruments, the market price of Granite common stock could be adversely affected. The market price of Granite common stock will also be affected by general market conditions (as the price of Gaylord common stock currently is) and will be potentially affected by the economic and market perception of REIT securities.

Conversion of the Convertible Notes may dilute the ownership interests of our stockholders, and the market price of our common stock may be impacted by note hedge and warrant transactions we entered into in connection with the issuance of the Convertible Notes.

The Convertible Notes are convertible at the option of the holders during the third quarter of 2012. The notes may become convertible in other future calendar quarters if the closing market price of our common stock exceeds 120% of the then effective conversion price for at least 20 trading days during the 30 consecutive trading-day period immediately prior to the beginning of such calendar quarter. The notes may also become convertible if the cash portion of the Special E&P Distribution, or any future distributions, exceeds 10% of the market price of our common stock on the day before the declaration of such distribution.

 

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Upon the conversion of the Convertible Notes, we may elect, at our option, to deliver shares of common stock, cash, or a combination of cash and shares of common stock in satisfaction of our conversion obligations. We intend to settle the face value of any notes that are converted in cash. Any shares of common stock that we elect to issue upon conversion of the notes will dilute the ownership interests of our stockholders, and any sales in the public market of the common stock issued upon such conversion could adversely affect the market price of our common stock.

In addition, we entered into note hedge transactions with various financial institutions at the time of issuance of the Convertible Notes, intended to reduce potential dilution with respect to our common stock upon conversion of the notes. We also entered into separate warrant transactions with the same financial institutions. The warrant transactions could separately have a dilutive effect on our earnings per share to the extent that the market price of our common stock exceeds the strike price of the warrants.

In connection with establishing their initial hedge for the note hedge and warrant transactions, we believe that each of these financial institutions, or their affiliates, entered into their own various derivative transactions with respect to our common stock. These financial institutions or their affiliates are likely to modify their hedge positions by entering into or unwinding various derivative transactions with respect to our common stock and/or by purchasing or selling our common stock in secondary market transactions during the time the Convertible Notes are outstanding. In addition, we will exercise options we hold under the convertible note hedge transactions whenever notes are converted. To unwind its hedge positions with respect to those exercised options, we expect each of these financial institutions or its affiliates will likely sell our common stock in secondary market transactions or unwind various derivative transactions with respect to our common stock during any settlement period for converted notes.

Under the terms of the indenture for the Convertible Notes, our declaration and payment of the Special E&P Distribution in connection with the proposed REIT conversion will trigger the anti-dilution provisions of the Convertible Notes, which will require an adjustment to the conversion rate of the Convertible Notes to increase the number of shares of our common stock that may be issued upon conversion of the Convertible Notes.

The effect, if any, of any of these transactions and activities on the market price of our common stock or the Convertible Notes will depend in part on market conditions and cannot be ascertained at this time, but any of these activities could adversely affect the market price of our common stock.

ITEM 2. UNREGISTERED SALES OF EQUITY SECURITIES AND USE OF PROCEEDS.

Inapplicable.

ITEM 3. DEFAULTS UPON SENIOR SECURITIES.

Inapplicable.

ITEM 4. MINE SAFETY DISCLOSURES.

Inapplicable.

ITEM 5. OTHER INFORMATION.

Inapplicable.

 

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ITEM 6. EXHIBITS.

See Index to Exhibits following the Signatures page.

 

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SIGNATURES

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 thereunto duly authorized.

 

    GAYLORD ENTERTAINMENT COMPANY
Date: August 7, 2012     By:   /s/ Colin V. Reed
      Colin V. Reed
      Chairman of the Board of Directors
      and Chief Executive Officer
      (Principal Executive Officer)
    By:   /s/ Mark Fioravanti
      Mark Fioravanti
      Executive Vice President and
      Chief Financial Officer
      (Principal Financial Officer)
    By:   /s/ Rod Connor
      Rod Connor
      Senior Vice President and
      Chief Administrative Officer
      (Principal Accounting Officer)

 

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INDEX TO EXHIBITS

 

EXHIBIT
NUMBER
   DESCRIPTION
2.1    Purchase Agreement, dated May 30, 2012, by and among Gaylord Entertainment Company, Gaylord Hotels, Inc., Marriott Hotel Services, Inc., and Marriott International, Inc. (including the forms of Management Agreement and Pooling Agreement) (incorporated by reference to Exhibit 2.1 to the Company’s Current Report on Form 8-K filed on May 31, 2012). †
3.1    Restated Certificate of Incorporation of the Company, as amended (restated for SEC filing purposes only) (incorporated by reference to Exhibit 3.1 to the Company’s Annual Report on Form 10-K for the year ended December 31, 2007).
3.2    Second Amended and Restated Bylaws of the Company, as amended (restated for SEC filing purposes only) (incorporated by reference to Exhibit 4.4 to the Company’s Registration Statement on Form S-3 filed on May 7, 2009).
3.3    Certificate of Designations of Series A Junior Participating Preferred Stock of Gaylord Entertainment Company (incorporated by reference to Exhibit 3.1 to the Company’s Current Report on Form 8-K dated August 13, 2008).
31.1    Certification of Colin V. Reed pursuant to Section 302 of Sarbanes-Oxley Act of 2002.
31.2    Certification of Mark Fioravanti pursuant to Section 302 of Sarbanes-Oxley Act of 2002.
32.1    Certification of Colin V. Reed and Mark Fioravanti pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of Sarbanes-Oxley Act of 2002.
101    The following materials from Gaylord Entertainment Company’s Quarterly Report on Form 10-Q for the quarterly period ended June 30, 2012, formatted in XBRL (eXtensible Business Reporting Language): (i) Condensed Consolidated Statements of Operations and Comprehensive Income for the three months and six months ended June 30, 2012 and 2011, (ii) Condensed Consolidated Balance Sheets at June 30, 2012 and December 31, 2011, (iii) Condensed Consolidated Statements of Cash Flows for the six months ended June 30, 2012 and 2011, and (iv) Notes to Condensed Consolidated Financial Statements.*
   Schedules and exhibits have been omitted pursuant to Item 601(b)(2) of Regulation S-K. The Company hereby agrees to furnish supplemental copies of any of the omitted schedules and exhibits upon request by the Securities and Exchange Commission.
*    Pursuant to Rule 406T of Regulation S-T, the Interactive Data Files on Exhibit 101 hereto are deemed not filed or part of a registration statement or prospectus for purposes of Sections 11 or 12 of the Securities Act of 1933, as amended, are deemed not filed for purposes of Section 18 of the Securities and Exchange Act of 1934, as amended, and otherwise are not subject to liability under those sections.

 

58

EX-31.1 2 d353706dex311.htm SECTION 302 CEO CERTIFICATION Section 302 CEO Certification

EXHIBIT 31.1

CERTIFICATIONS

I, Colin V. Reed, certify that:

1. I have reviewed this quarterly report on Form 10-Q of Gaylord Entertainment Company;

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

4. The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:

a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

5. The registrant’s other certifying officer(s) and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and

b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

Date: August 7, 2012
By:  

/s/ Colin V. Reed

Name:   Colin V. Reed
Title:   Chairman of the Board of Directors and Chief Executive Officer
EX-31.2 3 d353706dex312.htm SECTION 302 CFO CERTIFICATION Section 302 CFO Certification

EXHIBIT 31.2

CERTIFICATIONS

I, Mark Fioravanti, certify that:

1. I have reviewed this quarterly report on Form 10-Q of Gaylord Entertainment Company;

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

4. The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:

a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

5. The registrant’s other certifying officer(s) and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and

b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

Date: August 7, 2012
By:   /s/ Mark Fioravanti
Name:   Mark Fioravanti
Title:   Executive Vice President and Chief Financial Officer
EX-32.1 4 d353706dex321.htm SECTION 906 CEO AND CFO CERTIFICATION Section 906 CEO and CFO Certification

EXHIBIT 32.1

CERTIFICATION PURSUANT TO

18 U.S.C. SECTION 1350,

AS ADOPTED PURSUANT TO

SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002

In connection with the Quarterly Report of Gaylord Entertainment Company (the “Company”) on Form 10-Q for the quarter ended June 30, 2012, as filed with the Securities and Exchange Commission on the date hereof (the “Report”), each of the undersigned certifies, pursuant to 18 U.S.C. § 1350, as adopted pursuant to § 906 of the Sarbanes-Oxley Act of 2002, that:

(1) The Report fully complies with the requirements of section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

(2) The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.

 

By:  

/s/ Colin V. Reed

   
  Colin V. Reed    
  Chairman of the Board of Directors and Chief Executive Officer    
  August 7, 2012    
By:  

/s/ Mark Fioravanti

   
  Mark Fioravanti    
  Executive Vice President and Chief Financial Officer    
  August 7, 2012    

A signed original of this written statement required by Section 906, or other document authenticating, acknowledging or otherwise adopting the signature that appears in typed form within the electronic version of this written statement required by Section 906, has been provided to the Company and will be retained by the Company and furnished to the Securities and Exchange Commission or its staff upon request.

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In connection therewith, on May&#160;31, 2012, the Company announced its agreement to sell the Gaylord Hotels brand and rights to manage its Gaylord Hotels properties to Marriott for $210 million in cash. The closing of the Marriott sale transaction is subject to the satisfaction of certain conditions, including the Company&#8217;s stockholders&#8217; adoption of the merger agreement. The Company expects the consummation of the Marriott sale transaction to occur promptly after its stockholders adopt the merger agreement. Upon consummation of the Marriott sale transaction, Marriott will manage the day-to-day operations of the Gaylord Hotels properties pursuant to management agreements to be entered into upon the closing of the Marriott sales transaction, and the Company anticipates that this management transition will be complete by January&#160;1, 2013, when the Company anticipates that its election to become a REIT will be effective. 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Stock Plans (Details) (USD $)
In Millions, except Share data, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Jun. 30, 2012
Jun. 30, 2011
Jun. 30, 2012
Restricted Stock Awards for Certain Management [Member]
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Restricted Stock Awards for Certain Management [Member]
Maximum [Member]
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Restricted Stock Awards for Certain Management [Member]
Minimum [Member]
Jun. 30, 2012
Equity Incentive Plan Restricted Stock [Member]
Dec. 31, 2011
Equity Incentive Plan Restricted Stock [Member]
Stock Plans (Textual) [Abstract]                  
Weighted-average grant-date fair value of restricted stock awards granted         $ 39.88     $ 30.23  
Restricted stock award, outstanding               861,317 633,647
Restricted stock award granted by Company         104,500     311,230  
Possible vesting date         2015        
Volatility of weighted-average grant date fair value           238.00% 15.00%    
Risk-free rate of weighted-average grant date fair value         0.54%        
Expected life assumption for weighted average grant date fair value         3 years        
Additional Stock Plans (Textual) [Abstract]                  
Compensation cost on stock-based compensation plans $ 2.9 $ 2.5 $ 5.3 $ 4.8          
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Information Concerning Guarantor and Non-Guarantor Subsidiaries (Details) (USD $)
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3 Months Ended 6 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Jun. 30, 2012
Jun. 30, 2011
CONDENSED CONSOLIDATING STATEMENT OF OPERATIONS        
Revenues $ 253,229 $ 236,775 $ 492,144 $ 457,513
Operating expenses:        
Operating costs 139,216 132,746 274,199 266,624
Selling, general and administrative 51,771 43,048 101,080 86,126
Casualty loss 372 469 546 468
Preopening costs 8 41 339 41
Depreciation and amortization 30,254 29,271 62,688 58,328
Operating income (loss) 31,608 31,200 53,292 45,926
Interest expense, net of amounts capitalized (14,451) (21,377) (28,813) (42,186)
Interest income 3,021 3,316 6,175 6,489
Income from unconsolidated companies 109 152 109 325
Other gains and (losses), net   141   (50)
Income before income taxes and discontinued operations 20,287 13,432 30,763 10,504
Provision for income taxes (11,314) (4,799) (15,783) (3,832)
Income from continuing operations 8,973 8,633 14,980 6,672
Income (loss) from discontinued operations, net of taxes (19) 4 2 8
Net income 8,954 8,637 14,982 6,680
Comprehensive income 8,954 12,150 14,982 13,602
Issuer [Member]
       
CONDENSED CONSOLIDATING STATEMENT OF OPERATIONS        
Revenues 9,301 1,461 12,099 2,936
Operating expenses:        
Selling, general and administrative 8,387 4,050 16,417 8,342
Casualty loss 243 48 276 48
Preopening costs 9   22  
Depreciation and amortization 757 1,002 1,526 2,029
Operating income (loss) (95) (3,639) (6,142) (7,483)
Interest expense, net of amounts capitalized (14,660) (21,447) (29,294) (42,521)
Interest income 25,132 26,247 50,461 52,074
Income before income taxes and discontinued operations 10,377 1,161 15,025 2,070
Provision for income taxes (5,688) (365) (7,639) (840)
Equity in subsidiaries' earnings, net 4,265 7,841 7,596 5,450
Income from continuing operations 8,954 8,637 14,982 6,680
Net income 8,954 8,637 14,982 6,680
Comprehensive income 8,954 12,150 14,982 13,602
Guarantor [Member]
       
CONDENSED CONSOLIDATING STATEMENT OF OPERATIONS        
Revenues 253,222 236,770 492,233 457,529
Operating expenses:        
Operating costs 139,216 132,746 274,199 266,652
Selling, general and administrative 43,384 38,998 84,766 77,784
Casualty loss 129 421 270 420
Preopening costs (1) 41 317 41
Management fees 9,294 1,456 12,085 2,924
Depreciation and amortization 29,497 28,269 61,162 56,299
Operating income (loss) 31,703 34,839 59,434 53,409
Interest expense, net of amounts capitalized (29,645) (30,542) (59,473) (60,526)
Interest income 3,716 3,860 7,665 7,725
Income from unconsolidated companies 109 152 109 325
Other gains and (losses), net   141   (50)
Income before income taxes and discontinued operations 5,883 8,450 7,735 883
Provision for income taxes (3,225) (3,290) (4,074) (399)
Income from continuing operations 2,658 5,160 3,661 484
Income (loss) from discontinued operations, net of taxes       22
Net income 2,658 5,160 3,661 506
Comprehensive income 2,658 5,160 3,661 506
Non-Guarantor [Member]
       
Operating expenses:        
Interest expense, net of amounts capitalized (105) (101) (209) (200)
Interest income 4,132 3,922 8,212 7,751
Income before income taxes and discontinued operations 4,027 3,821 8,003 7,551
Provision for income taxes (2,401) (1,144) (4,070) (2,593)
Income from continuing operations 1,626 2,677 3,933 4,958
Income (loss) from discontinued operations, net of taxes (19) 4 2 (14)
Net income 1,607 2,681 3,935 4,944
Comprehensive income 1,607 2,681 3,935 4,944
Eliminations [Member]
       
CONDENSED CONSOLIDATING STATEMENT OF OPERATIONS        
Revenues (9,294) (1,456) (12,188) (2,952)
Operating expenses:        
Operating costs       (28)
Selling, general and administrative     (103)  
Management fees (9,294) (1,456) (12,085) (2,924)
Interest expense, net of amounts capitalized 29,959 30,713 60,163 61,061
Interest income (29,959) (30,713) (60,163) (61,061)
Equity in subsidiaries' earnings, net (4,265) (7,841) (7,596) (5,450)
Income from continuing operations (4,265) (7,841) (7,596) (5,450)
Net income (4,265) (7,841) (7,596) (5,450)
Comprehensive income $ (4,265) $ (7,841) $ (7,596) $ (5,450)
XML 13 R46.htm IDEA: XBRL DOCUMENT v2.4.0.6
Financial Reporting by Business Segments (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Jun. 30, 2012
Segment
Jun. 30, 2011
Segments internal financial reports        
Revenues $ 253,229 $ 236,775 $ 492,144 $ 457,513
Depreciation and amortization 30,254 29,271 62,688 58,328
Operating income (loss) 31,608 31,200 53,292 45,926
Interest expense, net of amounts capitalized (14,451) (21,377) (28,813) (42,186)
Interest income 3,021 3,316 6,175 6,489
Income from unconsolidated companies 109 152 109 325
Other gains and (losses), net   141   (50)
Income before income taxes and discontinued operations 20,287 13,432 30,763 10,504
Financial Reporting by Business Segments (Textual) [Abstract]        
Number of business segments     3  
Casualty Loss [Member]
       
Segments internal financial reports        
Operating income (loss) (372) (469) (546) (468)
Hospitality [Member]
       
Segments internal financial reports        
Revenues 233,047 218,173 459,095 427,515
Depreciation and amortization 26,346 25,291 54,882 50,566
Operating income (loss) 46,423 41,713 86,459 71,167
Opry and Attractions [Member]
       
Segments internal financial reports        
Revenues 20,153 18,569 32,988 29,936
Depreciation and amortization 1,278 1,340 2,563 2,672
Operating income (loss) 4,800 3,866 5,593 3,223
Corporate and Other [Member]
       
Segments internal financial reports        
Revenues 29 33 61 62
Depreciation and amortization 2,630 2,640 5,243 5,090
Operating income (loss) (19,235) (13,869) (37,875) (27,955)
Preopening Costs [Member]
       
Segments internal financial reports        
Operating income (loss) $ (8) $ (41) $ (339) $ (41)
XML 14 R33.htm IDEA: XBRL DOCUMENT v2.4.0.6
Property and Equipment (Details) (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2012
Dec. 31, 2011
Property and equipment    
Land and land improvements $ 234,307 $ 217,811
Buildings 2,288,767 2,272,381
Furniture, fixtures and equipment 552,468 533,396
Construction in progress 48,982 59,822
Property and equipment, gross 3,124,524 3,083,410
Accumulated depreciation (923,908) (874,283)
Property and equipment, net $ 2,200,616 $ 2,209,127
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Debt (Tables)
6 Months Ended
Jun. 30, 2012
Debt [Abstract]  
Debt and capital lease obligations related to continuing operations
                 
    June 30,     December 31,  
    2012     2011  

$925 Million Credit Facility, interest at LIBOR plus 2.25% or bank’s base rate plus 1.25%, maturing August 1, 2015

  $ 555,000     $ 600,000  

Convertible Senior Notes, interest at 3.75%, maturing October 1, 2014, net of unamortized discount of $34,000 and $40,754

    326,000       319,246  

Senior Notes, interest at 6.75%, maturing November 15, 2014

    152,180       152,180  

Capital lease obligations

    2,026       2,399  
   

 

 

   

 

 

 

Total debt

    1,035,206       1,073,825  

Less amounts due within one year

    (750     (755
   

 

 

   

 

 

 

Total long-term debt

  $ 1,034,456     $ 1,073,070  
   

 

 

   

 

 

 
XML 17 R50.htm IDEA: XBRL DOCUMENT v2.4.0.6
Information Concerning Guarantor and Non-Guarantor Subsidiaries (Details 2) (USD $)
In Thousands, unless otherwise specified
6 Months Ended
Jun. 30, 2012
Jun. 30, 2011
CONDENSED CONSOLIDATING STATEMENT OF CASH FLOWS    
Net cash provided by (used in) continuing operating activities $ 79,099 $ 39,650
Net cash provided by discontinued operating activities 51 (28)
Net cash provided by (used in) operating activities 79,150 39,622
Purchases of property and equipment (58,788) (61,413)
Collection of notes receivable 2,870 2,465
Other investing activities 424 2,183
Net cash used in investing activities - continuing operations (55,494) (56,765)
Net cash used investing activities - discontinued operations      
Net cash used in investing activities (55,494) (56,765)
Repayments under credit facility (45,000)  
Proceeds from exercise of stock option and purchase plans 6,833 4,193
Other financing activities, net (373) (85)
Net cash used in financing activities - continuing operations (38,540) 4,108
Net cash provided by financing activities - discontinued operations      
Net cash used in financing activities (38,540) 4,108
Net change in cash and cash equivalents (14,884) (13,035)
Cash and cash equivalents - unrestricted, beginning of period 44,388 124,398
Cash and cash equivalents - unrestricted, end of period 29,504 111,363
Issuer [Member]
   
CONDENSED CONSOLIDATING STATEMENT OF CASH FLOWS    
Net cash provided by (used in) continuing operating activities 32,560 (12,553)
Net cash provided by (used in) operating activities 32,560 (12,553)
Purchases of property and equipment (6,111) (2,247)
Other investing activities   4
Net cash used in investing activities - continuing operations (6,111) (2,243)
Net cash used investing activities - discontinued operations      
Net cash used in investing activities (6,111) (2,243)
Repayments under credit facility (45,000)  
Proceeds from exercise of stock option and purchase plans 6,833 4,193
Net cash used in financing activities - continuing operations (38,167) 4,193
Net cash provided by financing activities - discontinued operations      
Net cash used in financing activities (38,167) 4,193
Net change in cash and cash equivalents (11,718) (10,603)
Cash and cash equivalents - unrestricted, beginning of period 37,562 117,913
Cash and cash equivalents - unrestricted, end of period 25,844 107,310
Guarantor [Member]
   
CONDENSED CONSOLIDATING STATEMENT OF CASH FLOWS    
Net cash provided by (used in) continuing operating activities 46,590 52,137
Net cash provided by discontinued operating activities   38
Net cash provided by (used in) operating activities 46,590 52,175
Purchases of property and equipment (52,677) (59,166)
Collection of notes receivable 2,870 2,465
Other investing activities 424 2,179
Net cash used in investing activities - continuing operations (49,383) (54,522)
Net cash used investing activities - discontinued operations      
Net cash used in investing activities (49,383) (54,522)
Other financing activities, net (373) (85)
Net cash used in financing activities - continuing operations (373) (85)
Net cash provided by financing activities - discontinued operations      
Net cash used in financing activities (373) (85)
Net change in cash and cash equivalents (3,166) (2,432)
Cash and cash equivalents - unrestricted, beginning of period 6,826 6,485
Cash and cash equivalents - unrestricted, end of period 3,660 4,053
Non-Guarantor [Member]
   
CONDENSED CONSOLIDATING STATEMENT OF CASH FLOWS    
Net cash provided by (used in) continuing operating activities (51) 66
Net cash provided by discontinued operating activities 51 (66)
Net cash used investing activities - discontinued operations      
Net cash provided by financing activities - discontinued operations      
Eliminations [Member]
   
CONDENSED CONSOLIDATING STATEMENT OF CASH FLOWS    
Net cash provided by (used in) continuing operating activities     
Net cash provided by discontinued operating activities     
Net cash provided by (used in) operating activities     
Purchases of property and equipment     
Collection of notes receivable     
Other investing activities     
Net cash used in investing activities - continuing operations     
Net cash used investing activities - discontinued operations      
Net cash used in investing activities     
Repayments under credit facility     
Proceeds from exercise of stock option and purchase plans     
Other financing activities, net     
Net cash used in financing activities - continuing operations     
Net cash provided by financing activities - discontinued operations      
Net cash used in financing activities     
Net change in cash and cash equivalents     
Cash and cash equivalents - unrestricted, beginning of period     
Cash and cash equivalents - unrestricted, end of period     
XML 18 R42.htm IDEA: XBRL DOCUMENT v2.4.0.6
Income Taxes (Details Textual) (USD $)
In Millions, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Jun. 30, 2012
Jun. 30, 2011
Dec. 31, 2011
Income Taxes (Textual) [Abstract]          
Effective tax rate as applied to pre-tax income 56.00% 36.00% 51.00% 36.00%  
Unrecognized tax benefits $ 13.9   $ 13.9   $ 14.1
Unrecognized tax benefits, affect effective tax rate if recognized 7.4   7.4   7.4
Estimated overall decrease in unrecognized tax benefits in the next twelve months due to the expiration of various statutes of limitations 13.1   13.1    
Interest on income taxes accrued related to uncertain tax positions 2.3   2.3   2.1
Income tax penalties accrued related to uncertain tax positions $ 0.1   $ 0.1   $ 0.1
XML 19 R37.htm IDEA: XBRL DOCUMENT v2.4.0.6
Derivative Financial Instruments (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Jun. 30, 2012
Jun. 30, 2011
Effect of derivative instruments on the statement of operations        
Amount of Gain (Loss) Recognized in OCI on Derivative (Effective Portion) $ 0 $ (256) $ 0 $ (636)
Amount Reclassified from Accumulated OCI into Income 0 5,730 0 11,340
Operating Costs [Member]
       
Effect of derivative instruments on the statement of operations        
Amount Reclassified from Accumulated OCI into Income 0 58 0 215
Interest expense, net of amounts capitalized [Member]
       
Effect of derivative instruments on the statement of operations        
Amount Reclassified from Accumulated OCI into Income 0 5,672 0 11,125
Interest rate swaps [Member]
       
Effect of derivative instruments on the statement of operations        
Amount of Gain (Loss) Recognized in OCI on Derivative (Effective Portion) 0 (141) 0 (427)
Natural gas swaps [Member]
       
Effect of derivative instruments on the statement of operations        
Amount of Gain (Loss) Recognized in OCI on Derivative (Effective Portion) $ 0 $ (115) $ 0 $ (209)
XML 20 R47.htm IDEA: XBRL DOCUMENT v2.4.0.6
Subsequent Events (Details) (USD $)
In Millions, unless otherwise specified
1 Months Ended
Aug. 07, 2012
Jun. 30, 2012
Jul. 25, 2011
Subsequent events (Textual) [Abstract]      
Repurchase of shares of common stock 5.0    
Value of repurchase of shares of common stock $ 185.0    
Company's credit facility   $ 925 $ 1,000
XML 21 R9.htm IDEA: XBRL DOCUMENT v2.4.0.6
Income Per Share
6 Months Ended
Jun. 30, 2012
Income Per Share [Abstract]  
INCOME PER SHARE

3. INCOME PER SHARE:

The weighted average number of common shares outstanding is calculated as follows (in thousands):

 

                                 
    Three Months
Ended June 30,
    Six Months Ended
June 30,
 
    2012     2011     2012     2011  

Weighted average shares outstanding

    48,974       48,370       48,844       48,296  

Effect of dilutive stock-based compensation

    675       723       654       783  

Effect of convertible notes

    2,803       1,851       1,904       2,494  

Effect of common stock warrants

    722       —         —         350  
   

 

 

   

 

 

   

 

 

   

 

 

 

Weighted average shares outstanding—assuming dilution

    53,174       50,944       51,402       51,923  
   

 

 

   

 

 

   

 

 

   

 

 

 

The Company had stock-based compensation awards outstanding with respect to approximately 834,000 and 960,000 shares of common stock as of June 30, 2012 and 2011, respectively, that could potentially dilute earnings per share in the future but were excluded from the computation of diluted earnings per share for the three months ended June 30, 2012 and 2011, respectively, as the effect of their inclusion would have been anti-dilutive.

The Company had stock-based compensation awards outstanding with respect to approximately 903,000 and 955,000 shares of common stock as of June 30, 2012 and 2011, respectively, that could potentially dilute earnings per share in the future but were excluded from the computation of diluted earnings per share for the six months ended June 30, 2012 and 2011, respectively, as the effect of their inclusion would have been anti-dilutive.

As discussed more fully in the Company’s Annual Report on Form 10-K for the year ended December 31, 2011, in 2009 the Company issued 3.75% Convertible Senior Notes (the “Convertible Notes”). It is the Company’s intention to settle the face value of the Convertible Notes in cash upon conversion/maturity. Any conversion spread associated with the conversion/maturity of the Convertible Notes may be settled in cash or shares of the Company’s common stock. The Convertible Notes are currently convertible through September 30, 2012; however, at this time, the Company has received no notices of note holders electing to convert their Convertible Notes.

In connection with the issuance of the Convertible Notes, the Company sold common stock purchase warrants to counterparties affiliated with the initial purchasers of the Convertible Notes whereby the warrant holders may purchase approximately 13.2 million shares of Company common stock at a price per share of $32.70, subject to anti-dilution adjustments. If the average closing price of the Company’s stock during a reporting period exceeds this strike price, these warrants will be dilutive. The warrants may only be settled in shares of the Company’s common stock.

 

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Commitments and Contingencies (Details Textual) (USD $)
In Millions, unless otherwise specified
6 Months Ended
Jun. 30, 2012
Partner
Venture
May 31, 2012
Jan. 31, 2012
Commitments and Contingencies (Additional Textual) [Abstract]      
Sales price of management rights and intellectual property   $ 210  
Number of joint ventures 2    
Real Estate funds serving as joint venture partners 2    
Ownership in joint venture     50.00%
Estimated amount of investment under project     50
One Time Costs Related to REIT Conversion 55    
Federal Income Taxes Associated With Transaction Minimum 43    
Federal Income Taxes Associated With Transaction Maximum 53    
Corporate Joint Venture [Member]
     
Commitments and contingencies (Textual) [Abstract]      
Maximum potential amount liable under contribution agreement 16.9    
Total debt subject to guarantees $ 86.4    

XML 24 R29.htm IDEA: XBRL DOCUMENT v2.4.0.6
Financial Reporting by Business Segments (Tables)
6 Months Ended
Jun. 30, 2012
Financial Reporting by Business Segments [Abstract]  
Segments internal financial reports
                                 
    Three Months Ended     Six Months Ended  
    June 30,     June 30,  
    2012     2011     2012     2011  

Revenues:

                               

Hospitality

  $ 233,047     $ 218,173     $ 459,095     $ 427,515  

Opry and Attractions

    20,153       18,569       32,988       29,936  

Corporate and Other

    29       33       61       62  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 253,229     $ 236,775     $ 492,144     $ 457,513  
   

 

 

   

 

 

   

 

 

   

 

 

 

Depreciation and amortization:

                               

Hospitality

  $ 26,346     $ 25,291     $ 54,882     $ 50,566  

Opry and Attractions

    1,278       1,340       2,563       2,672  

Corporate and Other

    2,630       2,640       5,243       5,090  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 30,254     $ 29,271     $ 62,688     $ 58,328  
   

 

 

   

 

 

   

 

 

   

 

 

 

Operating income (loss):

                               

Hospitality

  $ 46,423     $ 41,713     $ 86,459     $ 71,167  

Opry and Attractions

    4,800       3,866       5,593       3,223  

Corporate and Other

    (19,235     (13,869     (37,875     (27,955

Casualty loss

    (372     (469     (546     (468

Preopening costs

    (8     (41     (339     (41
   

 

 

   

 

 

   

 

 

   

 

 

 

Total operating income

    31,608       31,200       53,292       45,926  

Interest expense, net of amounts capitalized

    (14,451     (21,377     (28,813     (42,186

Interest income

    3,021       3,316       6,175       6,489  

Income from unconsolidated companies

    109       152       109       325  

Other gains and (losses), net

    —         141       —         (50
   

 

 

   

 

 

   

 

 

   

 

 

 

Income before income taxes and discontinued operations

  $ 20,287     $ 13,432     $ 30,763     $ 10,504  
   

 

 

   

 

 

   

 

 

   

 

 

 
XML 25 R28.htm IDEA: XBRL DOCUMENT v2.4.0.6
Fair Value Measurements (Tables)
6 Months Ended
Jun. 30, 2012
Fair Value Measurements [Abstract]  
Assets and liabilities measured at fair value on a recurring basis
                                 
    June 30,
2012
    Markets for
Identical Assets
(Level 1)
    Observable
Inputs
(Level 2)
    Unobservable
Inputs

(Level 3)
 

Deferred compensation plan investments

  $ 15,507     $ 15,507     $ —       $ —    
   

 

 

   

 

 

   

 

 

   

 

 

 

Total assets measured at fair value

  $ 15,507     $ 15,507     $ —       $ —    
   

 

 

   

 

 

   

 

 

   

 

 

 

 

                                 
    December 31,
2011
    Markets for
Identical Assets
(Level 1)
    Observable
Inputs
(Level 2)
    Unobservable
Inputs

(Level 3)
 

Deferred compensation plan investments

  $ 13,892     $ 13,892     $ —       $ —    
   

 

 

   

 

 

   

 

 

   

 

 

 

Total assets measured at fair value

  $ 13,892     $ 13,892     $ —       $ —    
   

 

 

   

 

 

   

 

 

   

 

 

 
XML 26 R44.htm IDEA: XBRL DOCUMENT v2.4.0.6
Fair Value Measurements (Details) (Fair value measurement on recurring basis [Member], USD $)
In Thousands, unless otherwise specified
Jun. 30, 2012
Dec. 31, 2011
Fair value assets measured on recurring basis    
Deferred compensation plan investments $ 15,507 $ 13,892
Total assets measured at fair value 15,507 13,892
Markets for Identical Assets, Level 1 [Member]
   
Fair value assets measured on recurring basis    
Deferred compensation plan investments 15,507 13,892
Total assets measured at fair value 15,507 13,892
Observable Inputs, Level 2 [Member]
   
Fair value assets measured on recurring basis    
Deferred compensation plan investments      
Total assets measured at fair value      
Unobservable Inputs, Level 3 [Member]
   
Fair value assets measured on recurring basis    
Deferred compensation plan investments      
Total assets measured at fair value      
XML 27 R30.htm IDEA: XBRL DOCUMENT v2.4.0.6
Information Concerning Guarantor and Non-Guarantor Subsidiaries (Tables)
6 Months Ended
Jun. 30, 2012
Information Concerning Guarantor and Non Guarantor Subsidiaries [Abstract]  
Condensed Consolidating Statement of Operations

Condensed Consolidating Statement of Operations and Comprehensive Income

For the Three Months Ended June 30, 2012

 

                                         
                Non-              
(in thousands)   Issuer     Guarantors     Guarantors     Eliminations     Consolidated  

Revenues

  $ 9,301     $ 253,222     $ —       $ (9,294   $ 253,229  

Operating expenses:

                                       

Operating costs

    —         139,216       —         —         139,216  

Selling, general and administrative

    8,387       43,384       —         —         51,771  

Casualty loss

    243       129       —         —         372  

Preopening costs

    9       (1     —         —         8  

Management fees

    —         9,294       —         (9,294     —    

Depreciation and amortization

    757       29,497       —         —         30,254  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Operating income (loss)

    (95     31,703       —         —         31,608  

Interest expense, net of amounts capitalized

    (14,660     (29,645     (105     29,959       (14,451

Interest income

    25,132       3,716       4,132       (29,959     3,021  

Income from unconsolidated companies

    —         109       —         —         109  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income before income taxes and discontinued operations

    10,377       5,883       4,027       —         20,287  

Provision for income taxes

    (5,688     (3,225     (2,401     —         (11,314

Equity in subsidiaries’ earnings, net

    4,265       —         —         (4,265     —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income from continuing operations

    8,954       2,658       1,626       (4,265     8,973  

Loss from discontinued operations, net of taxes

    —         —         (19     —         (19
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net income

  $ 8,954     $ 2,658     $ 1,607     $ (4,265   $ 8,954  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Comprehensive income

  $ 8,954     $ 2,658     $ 1,607     $ (4,265   $ 8,954  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Condensed Consolidating Statement of Operations and Comprehensive Income

For the Three Months Ended June 30, 2011

 

                                         
                Non-              
(in thousands)   Issuer     Guarantors     Guarantors     Eliminations     Consolidated  

Revenues

  $ 1,461     $ 236,770     $ —       $ (1,456   $ 236,775  

Operating expenses:

                                       

Operating costs

    —         132,746       —         —         132,746  

Selling, general and administrative

    4,050       38,998       —         —         43,048  

Casualty loss

    48       421       —         —         469  

Preopening costs

    —         41       —         —         41  

Management fees

    —         1,456       —         (1,456     —    

Depreciation and amortization

    1,002       28,269       —         —         29,271  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Operating income (loss)

    (3,639     34,839       —         —         31,200  

Interest expense, net of amounts capitalized

    (21,447     (30,542     (101     30,713       (21,377

Interest income

    26,247       3,860       3,922       (30,713     3,316  

Income from unconsolidated companies

    —         152       —         —         152  

Other gains and (losses), net

    —         141       —         —         141  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income before income taxes and discontinued operations

    1,161       8,450       3,821       —         13,432  

Provision for income taxes

    (365     (3,290     (1,144     —         (4,799

Equity in subsidiaries’ earnings, net

    7,841       —         —         (7,841     —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income from continuing operations

    8,637       5,160       2,677       (7,841     8,633  

Income from discontinued operations, net of taxes

    —         —         4       —         4  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net income

  $ 8,637     $ 5,160     $ 2,681     $ (7,841   $ 8,637  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Comprehensive income

  $ 12,150     $ 5,160     $ 2,681     $ (7,841   $ 12,150  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Condensed Consolidating Statement of Operations and Comprehensive Income

For the Six Months Ended June 30, 2012

 

                                         
                Non-              
(in thousands)   Issuer     Guarantors     Guarantors     Eliminations     Consolidated  

Revenues

  $ 12,099     $ 492,233     $ —       $ (12,188   $ 492,144  

Operating expenses:

                                       

Operating costs

    —         274,199       —         —         274,199  

Selling, general and administrative

    16,417       84,766       —         (103     101,080  

Casualty loss

    276       270       —         —         546  

Preopening costs

    22       317       —         —         339  

Management fees

    —         12,085       —         (12,085     —    

Depreciation and amortization

    1,526       61,162       —         —         62,688  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Operating income (loss)

    (6,142     59,434       —         —         53,292  

Interest expense, net of amounts capitalized

    (29,294     (59,473     (209     60,163       (28,813

Interest income

    50,461       7,665       8,212       (60,163     6,175  

Income from unconsolidated companies

    —         109       —         —         109  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income before income taxes and discontinued operations

    15,025       7,735       8,003       —         30,763  

Provision for income taxes

    (7,639     (4,074     (4,070     —         (15,783

Equity in subsidiaries’ earnings, net

    7,596       —         —         (7,596     —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income from continuing operations

    14,982       3,661       3,933       (7,596     14,980  

Income from discontinued operations, net of taxes

    —         —         2       —         2  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net income

  $ 14,982     $ 3,661     $ 3,935     $ (7,596   $ 14,982  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Comprehensive income

  $ 14,982     $ 3,661     $ 3,935     $ (7,596   $ 14,982  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Condensed Consolidating Statement of Operations and Comprehensive Income

For the Six Months Ended June 30, 2011

 

                                         
                Non-              
(in thousands)   Issuer     Guarantors     Guarantors     Eliminations     Consolidated  

Revenues

  $ 2,936     $ 457,529     $ —       $ (2,952   $ 457,513  

Operating expenses:

                                       

Operating costs

    —         266,652       —         (28     266,624  

Selling, general and administrative

    8,342       77,784       —         —         86,126  

Casualty loss

    48       420       —         —         468  

Preopening costs

    —         41       —         —         41  

Management fees

    —         2,924       —         (2,924     —    

Depreciation and amortization

    2,029       56,299       —         —         58,328  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Operating income (loss)

    (7,483     53,409       —         —         45,926  

Interest expense, net of amounts capitalized

    (42,521     (60,526     (200     61,061       (42,186

Interest income

    52,074       7,725       7,751       (61,061     6,489  

Income from unconsolidated companies

    —         325       —         —         325  

Other gains and (losses), net

    —         (50     —         —         (50
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income before income taxes and discontinued operations

    2,070       883       7,551       —         10,504  

Provision for income taxes

    (840     (399     (2,593     —         (3,832

Equity in subsidiaries’ earnings, net

    5,450       —         —         (5,450     —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income from continuing operations

    6,680       484       4,958       (5,450     6,672  

Income (loss) from discontinued operations, net of taxes

    —         22       (14     —         8  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net income

  $ 6,680     $ 506     $ 4,944     $ (5,450   $ 6,680  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Comprehensive income

  $ 13,602     $ 506     $ 4,944     $ (5,450   $ 13,602  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
Condensed Consolidated Balance Sheets

Condensed Consolidating Balance Sheet

June 30, 2012

 

                                         
                Non-              
(in thousands)   Issuer     Guarantors     Guarantors     Eliminations     Consolidated  
ASSETS                                        

Current assets:

                                       

Cash and cash equivalents — unrestricted

  $ 25,844     $ 3,660     $ —       $ —       $ 29,504  

Cash and cash equivalents — restricted

    1,150       —         —         —         1,150  

Trade receivables, net

    —         54,194       —         —         54,194  

Deferred income taxes

    88       4,882       23       —         4,993  

Other current assets

    1,746       42,777       —         (126     44,397  

Intercompany receivables, net

    1,730,974       —         310,422       (2,041,396     —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total current assets

    1,759,802       105,513       310,445       (2,041,522     134,238  

Property and equipment, net of accumulated depreciation

    48,481       2,152,135       —         —         2,200,616  

Notes receivable, net of current portion

    —         145,271       —         —         145,271  

Long-term deferred financing costs

    13,602       —         —         —         13,602  

Other long-term assets

    668,174       358,460       —         (974,349     52,285  

Long-term assets of discontinued operations

    —         —         335       —         335  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total assets

  $ 2,490,059     $ 2,761,379     $ 310,780     $ (3,015,871   $ 2,546,347  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
LIABILITIES AND STOCKHOLDERS’ EQUITY                                        

Current liabilities:

                                       

Current portion of long-term debt and capital lease obligations

  $ —       $ 750     $ —       $ —       $ 750  

Accounts payable and accrued liabilities

    8,791       143,361       —         (417     151,735  

Intercompany payables, net

    —         1,948,379       93,017       (2,041,396     —    

Current liabilities of discontinued operations

    —         —         147       —         147  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total current liabilities

    8,791       2,092,490       93,164       (2,041,813     152,632  

Long-term debt and capital lease obligations, net of current portion

    1,033,180       1,276       —         —         1,034,456  

Deferred income taxes

    (29,598     149,496       (81     —         119,817  

Other long-term liabilities

    84,480       86,008       —         291       170,779  

Long-term liabilities of discontinued operations

    —         —         451       —         451  

Commitments and contingencies

                                       

Stockholders’ equity:

                                       

Preferred stock

    —         —         —         —         —    

Common stock

    491       2,388       1       (2,389     491  

Additional paid-in capital

    937,592       1,081,067       (40,129     (1,040,938     937,592  

Treasury stock

    (4,599     —         —         —         (4,599

Retained earnings

    495,753       (651,346     257,374       68,978       170,759  

Accumulated other comprehensive loss

    (36,031     —         —         —         (36,031
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total stockholders’ equity

    1,393,206       432,109       217,246       (974,349     1,068,212  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total liabilities and stockholders’ equity

  $ 2,490,059     $ 2,761,379     $ 310,780     $ (3,015,871   $ 2,546,347  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Condensed Consolidating Balance Sheet

December 31, 2011

 

                                         
                Non-              
(in thousands)   Issuer     Guarantors     Guarantors     Eliminations     Consolidated  
ASSETS:                                        

Current assets:

                                       

Cash and cash equivalents — unrestricted

  $ 37,562     $ 6,826     $ —       $ —       $ 44,388  

Cash and cash equivalents — restricted

    1,150       —         —         —         1,150  

Trade receivables, net

    —         41,939       —         —         41,939  

Deferred income taxes

    1,195       7,423       23       —         8,641  

Other current assets

    2,710       45,954       —         (126     48,538  

Intercompany receivables, net

    1,745,197       —         302,368       (2,047,565     —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total current assets

    1,787,814       102,142       302,391       (2,047,691     144,656  

Property and equipment, net of accumulated depreciation

    43,733       2,165,394       —         —         2,209,127  

Notes receivable, net of current portion

    —         142,567       —         —         142,567  

Long-term deferred financing costs

    15,947       —         —         —         15,947  

Other long-term assets

    658,167       359,297       —         (966,751     50,713  

Long-term assets of discontinued operations

    —         —         390       —         390  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total assets

  $ 2,505,661     $ 2,769,400     $ 302,781     $ (3,014,442   $ 2,563,400  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
LIABILITIES AND STOCKHOLDERS’ EQUITY:                                        

Current liabilities:

                                       

Current portion of long-term debt and capital lease obligations

  $ —       $ 755     $ —       $ —       $ 755  

Accounts payable and accrued liabilities

    17,934       151,458       —         (417     168,975  

Intercompany payables, net

    —         1,958,653       88,912       (2,047,565     —    

Current liabilities of discontinued operations

    —         —         186       —         186  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total current liabilities

    17,934       2,110,866       89,098       (2,047,982     169,916  

Long-term debt and capital lease obligations, net of current portion

    1,071,426       1,644       —         —         1,073,070  

Deferred income taxes

    (36,586     144,886       (81     —         108,219  

Other long-term liabilities

    82,358       83,560       —         291       166,209  

Long-term liabilities of discontinued operations

    —         —         451       —         451  

Commitments and contingencies

                                       

Stockholders’ equity:

                                       

Preferred stock

    —         —         —         —         —    

Common stock

    484       2,388       1       (2,389     484  

Additional paid-in capital

    929,904       1,081,063       (40,127     (1,040,936     929,904  

Treasury stock

    (4,599     —         —         —         (4,599

Retained earnings

    480,771       (655,007     253,439       76,574       155,777  

Accumulated other comprehensive loss

    (36,031     —         —         —         (36,031
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total stockholders’ equity

    1,370,529       428,444       213,313       (966,751     1,045,535  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total liabilities and stockholders’ equity

  $ 2,505,661     $ 2,769,400     $ 302,781     $ (3,014,442   $ 2,563,400  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
Condensed Consolidating Statement of Cash Flows

Condensed Consolidating Statement of Cash Flows

For the Six Months Ended June 30, 2012

 

                                         
                Non-              
(in thousands)   Issuer     Guarantors     Guarantors     Eliminations     Consolidated  

Net cash provided by (used in) continuing operating activities

  $ 32,560     $ 46,590     $ (51   $ —       $ 79,099  

Net cash provided by discontinued operating activities

    —         —         51       —         51  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net cash provided by operating activities

    32,560       46,590       —         —         79,150  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Purchases of property and equipment

    (6,111     (52,677     —         —         (58,788

Collection of notes receivable

    —         2,870       —         —         2,870  

Other investing activities

    —         424       —         —         424  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net cash used in investing activities — continuing operations

    (6,111     (49,383     —         —         (55,494

Net cash used investing activities — discontinued operations

    —         —         —         —         —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net cash used in investing activities

    (6,111     (49,383     —         —         (55,494
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net repayments under credit facility

    (45,000     —         —         —         (45,000

Proceeds from exercise of stock option and purchase plans

    6,833       —         —         —         6,833  

Other financing activities, net

    —         (373     —         —         (373
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net cash used in financing activities — continuing operations

    (38,167     (373     —         —         (38,540

Net cash provided by financing activities — discontinued operations

    —         —         —         —         —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net cash used in financing activities

    (38,167     (373     —         —         (38,540
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net change in cash and cash equivalents

    (11,718     (3,166     —         —         (14,884

Cash and cash equivalents at beginning of period

    37,562       6,826       —         —         44,388  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Cash and cash equivalents at end of period

  $ 25,844     $ 3,660     $ —       $ —       $ 29,504  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Condensed Consolidating Statement of Cash Flows

For the Six Months Ended June 30, 2011

 

                                         
                Non-              
(in thousands)   Issuer     Guarantors     Guarantors     Eliminations     Consolidated  

Net cash provided by (used in) continuing operating activities

  $ (12,553   $ 52,137     $ 66     $ —       $ 39,650  

Net cash provided by (used in) discontinued operating activities

    —         38       (66     —         (28
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net cash provided by (used in) operating activities

    (12,553     52,175       —         —         39,622  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Purchases of property and equipment

    (2,247     (59,166     —         —         (61,413

Collection of notes receivable

    —         2,465       —         —         2,465  

Other investing activities

    4       2,179       —         —         2,183  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net cash used in investing activities — continuing operations

    (2,243     (54,522     —         —         (56,765

Net cash used in investing activities — discontinued operations

    —         —         —         —         —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net cash used in investing activities

    (2,243     (54,522     —         —         (56,765
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Proceeds from exercise of stock option and purchase plans

    4,193       —         —         —         4,193  

Other financing activities, net

    —         (85     —         —         (85
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net cash provided by (used in) financing activities — continuing operations

    4,193       (85     —         —         4,108  

Net cash provided by financing activities — discontinued operations

    —         —         —         —         —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net cash provided by (used in) financing activities

    4,193       (85     —         —         4,108  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net change in cash and cash equivalents

    (10,603     (2,432     —         —         (13,035

Cash and cash equivalents at beginning of period

    117,913       6,485       —         —         124,398  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Cash and cash equivalents at end of period

  $ 107,310     $ 4,053     $ —       $ —       $ 111,363  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
XML 28 R31.htm IDEA: XBRL DOCUMENT v2.4.0.6
Income Per Share (Details)
In Thousands, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Jun. 30, 2012
Jun. 30, 2011
Weighted average number of common shares outstanding        
Weighted average shares outstanding 48,974 48,370 48,844 48,296
Effect of dilutive stock-based compensation 675 723 654 783
Effect of convertible notes 2,803 1,851 1,904 2,494
Effect of common stock warrants 722     350
Weighted average shares outstanding - assuming dilution 53,174 50,944 51,402 51,923
XML 29 R8.htm IDEA: XBRL DOCUMENT v2.4.0.6
Newly Issued Accounting Standards
6 Months Ended
Jun. 30, 2012
Newly Issued Accounting Standards [Abstract]  
NEWLY ISSUED ACCOUNTING STANDARDS

2. NEWLY ISSUED ACCOUNTING STANDARDS:

In May 2011, the Financial Accounting Standards Board (“FASB”) issued Accounting Standards Update (“ASU”) No. 2011-04, Topic 820, “Fair Value Measurements,” to clarify existing guidance and to require more detailed disclosures relating to Level 3 fair value measurements. In addition, this ASU requires that a reporting entity provide the hierarchy classification for items whose fair value is not recorded on the balance sheet but is disclosed in the footnotes. The Company adopted this ASU in the first quarter of 2012 and this adoption did not have a material impact on the Company’s consolidated financial statements.

In June 2011, the FASB issued ASU No. 2011-05, Topic 220, “Comprehensive Income,” to allow an entity the option to present the total of comprehensive income, the components of net income, and the components of other comprehensive income either in a single continuous statement of comprehensive income or in two separate but consecutive statements. In either instance, an entity is required to present each component of net income along with total net income, each component of other comprehensive income along with a total for other comprehensive income, and a total amount for comprehensive income. This ASU eliminates the option to present the components of other comprehensive income as part of the statement of changes in stockholders’ equity. The amendments in this ASU do not change the items that must be reported in other comprehensive income or when an item of other comprehensive income must be reclassified to net income. Portions of this ASU were deferred, and the Company adopted the required portions of this ASU in the first quarter of 2012. This adoption did not have a material impact on the Company’s consolidated financial statements.

 

XML 30 R32.htm IDEA: XBRL DOCUMENT v2.4.0.6
Income Per Share (Details Textual)
3 Months Ended 6 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Jun. 30, 2012
Jun. 30, 2011
Additional Income Per Share (Textual) [Abstract]        
Initial strike price under warrant 32.70   32.70  
Approximate number of common stock share which can be purchased under warrants 13,200,000   13,200,000  
Stock-based compensation awards outstanding 834,000 960,000 903,000 955,000
Convertible Notes Payable [Member]
       
Income Per Share (Textual) [Abstract]        
Interest rate of Senior Notes 3.75%   3.75%  
XML 31 R40.htm IDEA: XBRL DOCUMENT v2.4.0.6
Retirement and Postretirement Benefits Other than Pension Plans (Details) (Pension Plans, Defined Benefit [Member], USD $)
In Thousands, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Jun. 30, 2012
Jun. 30, 2011
Pension Plans, Defined Benefit [Member]
       
Net periodic benefit expense components        
Interest cost $ 1,087 $ 1,209 $ 2,174 $ 2,417
Expected return on plan assets (1,173) (1,334) (2,346) (2,667)
Amortization of net actuarial loss 1,170 619 2,340 1,238
Total net periodic pension expense $ 1,084 $ 494 $ 2,168 $ 988
XML 32 R2.htm IDEA: XBRL DOCUMENT v2.4.0.6
Condensed Consolidated Statements of Operations and Comprehensive Income (Unaudited) (USD $)
In Thousands, except Per Share data, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Jun. 30, 2012
Jun. 30, 2011
Condensed Consolidated Statements of Operations and Comprehensive Income [Abstract]        
Revenues $ 253,229 $ 236,775 $ 492,144 $ 457,513
Operating expenses:        
Operating costs 139,216 132,746 274,199 266,624
Selling, general and administrative 51,771 43,048 101,080 86,126
Casualty loss 372 469 546 468
Preopening costs 8 41 339 41
Depreciation and amortization 30,254 29,271 62,688 58,328
Operating income 31,608 31,200 53,292 45,926
Interest expense, net of amounts capitalized (14,451) (21,377) (28,813) (42,186)
Interest income 3,021 3,316 6,175 6,489
Income from unconsolidated companies 109 152 109 325
Other gains and (losses), net   141   (50)
Income before income taxes and discontinued operations 20,287 13,432 30,763 10,504
Provision for income taxes (11,314) (4,799) (15,783) (3,832)
Income from continuing operations 8,973 8,633 14,980 6,672
Income from discontinued operations, net of income taxes (19) 4 2 8
Net income 8,954 8,637 14,982 6,680
Basic income per share:        
Income from continuing operations $ 0.18 $ 0.18 $ 0.31 $ 0.14
Income from discontinued operations, net of income taxes            
Net income $ 0.18 $ 0.18 $ 0.31 $ 0.14
Fully diluted income per share:        
Income from continuing operations $ 0.17 $ 0.17 $ 0.29 $ 0.13
Income (loss) from discontinued operations, net of income taxes            
Net income $ 0.17 $ 0.17 $ 0.29 $ 0.13
Comprehensive income, net of deferred taxes of $0, $1,962, $0 and $3,820, respectively $ 8,954 $ 12,150 $ 14,982 $ 13,602
XML 33 R45.htm IDEA: XBRL DOCUMENT v2.4.0.6
Fair Value Measurements (Details Textual) (USD $)
6 Months Ended
Jun. 30, 2012
Contract
Dec. 31, 2011
Fair Value Measurements (Textual) [Abstract]    
Number of bonds received 2  
Fair Value Measurements (Additional Textual) [Abstract]    
Total Debt $ 1,035,206,000 $ 1,073,825,000
Convertible Notes Payable [Member]
   
Fair Value Measurements (Additional Textual) [Abstract]    
Total Debt 326,000,000 319,246,000
Face amount of outstanding debt 360,000,000  
Interest rate of senior notes 3.75%  
Fair value of the convertible notes 344,000,000  
Senior Notes [Member]
   
Fair Value Measurements (Additional Textual) [Abstract]    
Total Debt 152,180,000 152,180,000
Interest rate of senior notes 6.75%  
Fair value of senior notes 153,000,000  
Maturity year of note 2014  
Bonds Series A and Series B [Member]
   
Fair Value Measurements (Textual) [Abstract]    
Number of bonds received 2  
Bonds A Series [Member]
   
Fair Value Measurements (Textual) [Abstract]    
Notes receivables, carrying value 92,300,000  
Maturity date of notes receivable Jul. 01, 2034  
Bonds B Series [Member]
   
Fair Value Measurements (Textual) [Abstract]    
Notes receivables, carrying value 60,000,000  
Maturity date of notes receivable Sep. 01, 2037  
Notes receivable, fair value $ 39,000,000  
XML 34 R6.htm IDEA: XBRL DOCUMENT v2.4.0.6
Condensed Consolidated Statements of Cash Flows (Unaudited) (USD $)
In Thousands, unless otherwise specified
6 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Condensed Consolidated Statements of Cash Flows [Abstract]    
Cash and cash equivalents - unrestricted, beginning of period $ 44,388 $ 124,398
Cash Flows from Operating Activities:    
Net income 14,982 6,680
Amounts to reconcile net income to net cash flows provided by operating activities:    
Income from discontinued operations, net of taxes (2) (8)
Income from unconsolidated companies (109) (325)
Loss on disposals of long-lived assets   40
Provision for deferred income taxes 15,363 3,076
Depreciation and amortization 62,688 58,328
Amortization of deferred financing costs 2,423 2,635
Amortization of discount on convertible notes 6,754 6,216
Stock-based compensation expense 5,277 4,826
Changes in:    
Trade receivables (12,255) (17,184)
Interest receivable (2,394) 1,951
Accounts payable and accrued liabilities (16,228) (22,580)
Other assets and liabilities 2,600 (4,005)
Net cash flows provided by operating activities - continuing operations 79,099 39,650
Net cash flows provided by (used in) operating activities - discontinued operations 51 (28)
Net cash flows provided by operating activities 79,150 39,622
Cash Flows from Investing Activities:    
Purchases of property and equipment (58,788) (61,413)
Collection of notes receivable 2,870 2,465
Other investing activities 424 2,183
Net cash flows used in investing activities - continuing operations (55,494) (56,765)
Net cash flows used in investing activities - discontinued operations      
Net cash flows used in investing activities (55,494) (56,765)
Cash Flows from Financing Activities:    
Repayments under credit facility (45,000)  
Proceeds from exercise of stock option and purchase plans 6,833 4,193
Other financing activities, net (373) (85)
Net cash flows provided by (used in) financing activities - continuing operations (38,540) 4,108
Net cash flows provided by financing activities - discontinued operations      
Net cash flows provided by (used in) financing activities (38,540) 4,108
Net change in cash and cash equivalents (14,884) (13,035)
Cash and cash equivalents - unrestricted, end of period $ 29,504 $ 111,363
XML 35 R35.htm IDEA: XBRL DOCUMENT v2.4.0.6
Debt (Details) (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2012
Dec. 31, 2011
Debt and capital lease obligations related to continuing operations    
Total Debt $ 1,035,206 $ 1,073,825
Less amounts due within one year (750) (755)
Total long-term debt 1,034,456 1,073,070
$925 Million Credit Facility [Member]
   
Debt and capital lease obligations related to continuing operations    
Total Debt 555,000 600,000
Convertible Notes Payable [Member]
   
Debt and capital lease obligations related to continuing operations    
Total Debt 326,000 319,246
Senior Notes [Member]
   
Debt and capital lease obligations related to continuing operations    
Total Debt 152,180 152,180
Capital Lease Obligations [Member]
   
Debt and capital lease obligations related to continuing operations    
Total Debt $ 2,026 $ 2,399
XML 36 R22.htm IDEA: XBRL DOCUMENT v2.4.0.6
Newly Issued Accounting Standards (Policies)
6 Months Ended
Jun. 30, 2012
Newly Issued Accounting Standards [Abstract]  
Fair Value Measurements

In May 2011, the Financial Accounting Standards Board (“FASB”) issued Accounting Standards Update (“ASU”) No. 2011-04, Topic 820, “Fair Value Measurements,” to clarify existing guidance and to require more detailed disclosures relating to Level 3 fair value measurements. In addition, this ASU requires that a reporting entity provide the hierarchy classification for items whose fair value is not recorded on the balance sheet but is disclosed in the footnotes. The Company adopted this ASU in the first quarter of 2012 and this adoption did not have a material impact on the Company’s consolidated financial statements.

Comprehensive Income

In June 2011, the FASB issued ASU No. 2011-05, Topic 220, “Comprehensive Income,” to allow an entity the option to present the total of comprehensive income, the components of net income, and the components of other comprehensive income either in a single continuous statement of comprehensive income or in two separate but consecutive statements. In either instance, an entity is required to present each component of net income along with total net income, each component of other comprehensive income along with a total for other comprehensive income, and a total amount for comprehensive income. This ASU eliminates the option to present the components of other comprehensive income as part of the statement of changes in stockholders’ equity. The amendments in this ASU do not change the items that must be reported in other comprehensive income or when an item of other comprehensive income must be reclassified to net income. Portions of this ASU were deferred, and the Company adopted the required portions of this ASU in the first quarter of 2012. This adoption did not have a material impact on the Company’s consolidated financial statements.

XML 37 R36.htm IDEA: XBRL DOCUMENT v2.4.0.6
Debt (Details Textual) (USD $)
6 Months Ended
Jun. 30, 2012
Dec. 31, 2011
Jul. 25, 2011
Debt (Textual) [Abstract]      
Total credit facility $ 925,000,000   $ 1,000,000,000
Debt (Additional Textual) [Abstract]      
Debt discount on Convertible Senior Notes 34,000,000 40,754,000  
Initial strike price of purchased option 27.25    
Purchased options number of shares 13,200,000    
Approximate number of common stock share which can be purchased under warrants 13,200,000    
Initial exercise price of common stock 32.70    
$925 Million Credit Facility [Member]
     
Debt (Textual) [Abstract]      
Total credit facility 925,000,000    
Maturity date for credit facility Aug. 01, 2015    
Accrued interest on line of credit facility LIBOR plus 2.25% or the bank's base rate plus 1.25%, subject to adjustment    
Spread rate added to LIBOR 2.25%    
Spread rate added to bank's base rate 1.25%    
6.75% Senior Notes [Member]
     
Debt (Textual) [Abstract]      
Maturity date for Notes Nov. 15, 2014    
Interest rate of Senior Notes 6.75%    
3.75% Convertible Senior Notes [Member]
     
Debt (Textual) [Abstract]      
Maturity date for Notes Oct. 01, 2014    
Interest rate of Senior Notes 3.75%    
Face amount of outstanding debt $ 360,000,000    
Conversion rate per $1,000 principal of convertible notes 36.6972    
Conversion price per share $ 27.25    
XML 38 R24.htm IDEA: XBRL DOCUMENT v2.4.0.6
Property and Equipment (Tables)
6 Months Ended
Jun. 30, 2012
Property and Equipment [Abstract]  
Property and equipment
                 
    June 30,     December 31,  
    2012     2011  

Land and land improvements

  $ 234,307     $ 217,811  

Buildings

    2,288,767       2,272,381  

Furniture, fixtures and equipment

    552,468       533,396  

Construction in progress

    48,982       59,822  
   

 

 

   

 

 

 
      3,124,524       3,083,410  

Accumulated depreciation

    (923,908     (874,283
   

 

 

   

 

 

 

Property and equipment, net

  $ 2,200,616     $ 2,209,127  
   

 

 

   

 

 

 
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XML 40 R7.htm IDEA: XBRL DOCUMENT v2.4.0.6
Basis of Presentation
6 Months Ended
Jun. 30, 2012
Basis of Presentation [Abstract]  
BASIS OF PRESENTATION

1. BASIS OF PRESENTATION:

The condensed consolidated financial statements include the accounts of Gaylord Entertainment Company and its subsidiaries (the “Company” or “Gaylord”) and have been prepared by the Company, without audit, pursuant to the rules and regulations of the Securities and Exchange Commission (the “SEC”). Certain information and footnote disclosures normally included in annual financial statements prepared in accordance with generally accepted accounting principles have been condensed or omitted pursuant to such rules and regulations, although the Company believes that the disclosures are adequate to make the financial information presented not misleading. These condensed consolidated financial statements should be read in conjunction with the audited consolidated financial statements and the notes thereto included in the Company’s Annual Report on Form 10-K for the year ended December 31, 2011. In the opinion of management, all adjustments necessary for a fair statement of the results of operations for the interim periods have been included. All adjustments are of a normal, recurring nature. The results of operations for such interim periods are not necessarily indicative of the results for the full year because of seasonal and short-term variations.

As more fully described in Note 11, the Company and its newly formed, wholly-owned subsidiary, Granite Hotel Properties, Inc. (“Granite”) have filed a registration statement on Form S-4 with the SEC. The registration statement contains a preliminary proxy statement/prospectus that describes the Company’s plans to qualify as a real estate investment trust (“REIT”) for federal income tax purposes following the consummation of the Company’s previously announced transaction with Marriott International, Inc., and the contemplated merger between Granite and Gaylord to facilitate the REIT election expected to be effective January 1, 2013. The registration statement can be located, free of charge, at the SEC’s website at www.sec.gov or on the Company’s website at www.gaylordentertainment.com.

XML 41 R3.htm IDEA: XBRL DOCUMENT v2.4.0.6
Condensed Consolidated Statements of Operations and Comprehensive Income (Unaudited) (Parenthetical) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Jun. 30, 2012
Jun. 30, 2011
Condensed Consolidated Statements of Operations and Comprehensive Income [Abstract]        
Deferred taxes $ 0 $ 1,962 $ 0 $ 3,820
XML 42 R17.htm IDEA: XBRL DOCUMENT v2.4.0.6
Commitments and Contingencies
6 Months Ended
Jun. 30, 2012
Commitments and Contingencies [Abstract]  
COMMITMENTS AND CONTINGENCIES

11. COMMITMENTS AND CONTINGENCIES:

The Company and its newly formed, wholly-owned subsidiary, Granite, have filed a registration statement on Form S-4 with the SEC. The registration statement contains a preliminary proxy statement/prospectus of Gaylord that describes the Company’s plans to qualify as a REIT for federal income tax purposes following the consummation of the Company’s previously announced transaction with Marriott International, Inc., and the contemplated merger between Granite and Gaylord to facilitate the REIT election.

 

The Company’s board of directors has approved a plan to restructure the Company’s business operations to facilitate the qualification of Granite, as the successor to the Company’s assets and business operations following the completion of the merger, as a REIT for federal income tax purposes. In connection therewith, on May 31, 2012, the Company announced its agreement to sell the Gaylord Hotels brand and rights to manage its Gaylord Hotels properties to Marriott for $210 million in cash. The closing of the Marriott sale transaction is subject to the satisfaction of certain conditions, including the Company’s stockholders’ adoption of the merger agreement. The Company expects the consummation of the Marriott sale transaction to occur promptly after its stockholders adopt the merger agreement. Upon consummation of the Marriott sale transaction, Marriott will manage the day-to-day operations of the Gaylord Hotels properties pursuant to management agreements to be entered into upon the closing of the Marriott sales transaction, and the Company anticipates that this management transition will be complete by January 1, 2013, when the Company anticipates that its election to become a REIT will be effective. In addition, prior to the completion of the REIT conversion, the Company will identify and engage a third-party hotel manager to operate and manage the Radisson Hotel at Opryland.

The Company currently estimates that it will incur approximately $55 million in one-time costs related to the REIT conversion. These costs include investment banking fees, legal fees, consulting fees, severance and retention costs, and conversion costs. The Company also anticipates that it will incur federal income taxes associated with the receipt of the purchase price in the Marriott sale transaction and other transactions related to the REIT conversion, net of remaining net operating losses, of approximately $43 million to $53 million. In addition, the Company will be required to issue a special earnings and profits distribution (as more fully described in the Granite registration statement on Form S-4).

The merger, Marriott sales transaction, special earnings and profits distribution, and other restructuring transactions are designed to enable Granite, as the business successor of Gaylord, to hold its assets and business operations in a manner that will enable the Company to elect to be treated as a REIT for federal income tax purposes. If Granite qualifies as a REIT, it generally will not be subject to federal corporate income taxes on that portion of its capital gain or ordinary income from its REIT operations that is distributed to its stockholders. This treatment would substantially eliminate the federal “double taxation” on earnings from REIT operations, or taxation once at the corporate level and again at the stockholder level, that generally results from investment in a regular C- corporation. As explained more fully in the registration statement, to comply with certain REIT qualification requirements, the Company must engage third-party managers to operate and manage its hotel properties. Additionally, non-REIT operations, which consist of the activities of taxable REIT subsidiaries that will act as lessees of the Company’s hotels, as well as the businesses within the Company’s Opry and Attractions segment, would continue to be subject, as applicable, to federal and state corporate income taxes.

Upon completion of the REIT conversion, the Company will no longer view independent, large-scale development of resort and convention hotels as a means of its growth. As a result, the Company will not proceed with its previously announced Aurora, Colorado, Mesa, Arizona, and other potential development projects in the form previously anticipated. The Company will reexamine how the Aurora or Mesa projects could be completed with minimal financial commitment, although it may not identify such opportunity.

In January 2012, the Company announced that it had entered into a memorandum of understanding for a 50/50 joint venture with the Dollywood Company to develop a family entertainment zone adjacent to Gaylord Opryland on land that the Company currently owns. The Dollywood Company will operate the park, and the Company will contribute both land and cash to represent its 50 percent share of the venture. Phase one of the project is a yet to be named approximately $50 million water and snow park, which the Company believes will be the first of its kind in the U.S. A 2013 groundbreaking date is expected with the park opening slated for summer 2014. The project is contingent upon finalizing agreements with governmental authorities pertaining to the construction of the necessary infrastructure. At this time, the Company has not made any material financial commitments in connection with this development.

 

Through joint venture arrangements with two private real estate funds, the Company previously invested in two joint ventures which were formed to own and operate hotels in Hawaii. As part of the joint venture arrangements, the Company entered into contribution agreements with the majority owners, which owners had guaranteed certain recourse liabilities under third-party loans to the joint ventures. The guarantees of the joint venture loans guaranteed each of the subsidiaries’ obligations under its third party loans for as long as those loans remain outstanding (i) in the event of certain types of fraud, breaches of environmental representations or warranties, or breaches of certain “special purpose entity” covenants by the subsidiaries, or (ii) in the event of bankruptcy or reorganization proceedings of the subsidiaries. The Company agreed that, in the event a majority owner is required to make any payments pursuant to the terms of these guarantees of joint venture loans, it will contribute to the majority owner an amount based on its proportional commitment in the applicable joint venture. The Company estimates that the maximum potential amount for which the Company could be liable under the contribution agreements is $16.9 million, which represents its pro rata share of the $86.4 million of total debt that is subject to the guarantees. As of June 30, 2012, the Company had not recorded any liability in the condensed consolidated balance sheet associated with the contribution agreements.

The Company has purchased stop-loss coverage in order to limit its exposure to any significant levels of claims relating to workers’ compensation, employee medical benefits and general liability for which it is self-insured.

The Company has entered into employment agreements with certain officers, which provide for severance payments upon certain events, including certain terminations in connection with a change of control.

The Company, in the ordinary course of business, is involved in certain legal actions and claims on a variety of matters. It is the opinion of management that such legal actions will not have a material effect on the results of operations, financial condition or liquidity of the Company.

XML 43 R1.htm IDEA: XBRL DOCUMENT v2.4.0.6
Document and Entity Information
6 Months Ended
Jun. 30, 2012
Jul. 31, 2012
Document and Entity Information [Abstract]    
Entity Registrant Name GAYLORD ENTERTAINMENT CO /DE  
Entity Central Index Key 0001040829  
Document Type 10-Q  
Document Period End Date Jun. 30, 2012  
Amendment Flag false  
Document Fiscal Year Focus 2012  
Document Fiscal Period Focus Q2  
Current Fiscal Year End Date --12-31  
Entity Filer Category Large Accelerated Filer  
Entity Common Stock, Shares Outstanding   49,137,465
XML 44 R18.htm IDEA: XBRL DOCUMENT v2.4.0.6
Fair Value Measurements
6 Months Ended
Jun. 30, 2012
Fair Value Measurements [Abstract]  
FAIR VALUE MEASUREMENTS

12. FAIR VALUE MEASUREMENTS:

The Company uses a three-tier fair value hierarchy, which prioritizes the inputs used in measuring fair value. These tiers include: Level 1, defined as observable inputs such as quoted prices in active markets; Level 2, defined as inputs other than quoted prices in active markets that are either directly or indirectly observable; and Level 3, defined as unobservable inputs in which little or no market data exists, therefore requiring an entity to develop its own assumptions.

As of June 30, 2012 and December 31, 2011, the Company held certain assets that are required to be measured at fair value on a recurring basis. These included investments held in conjunction with the Company’s non-qualified contributory deferred compensation plan.

The investments held by the Company in connection with its deferred compensation plan consist of mutual funds traded in an active market. The Company determined the fair value of these mutual funds based on the net asset value per unit of the funds or the portfolio, which is based upon quoted market prices in an active market. Therefore, the Company has categorized these investments as Level 1. The Company has consistently applied these valuation techniques in all periods presented and believes it has obtained the most accurate information available for the types of investments it holds.

 

The Company had no liabilities required to be measured at fair value at June 30, 2012 and December 31, 2011. The Company’s assets measured at fair value on a recurring basis at June 30, 2012 and December 31, 2011, were as follows (in thousands):

 

                                 
    June 30,
2012
    Markets for
Identical Assets
(Level 1)
    Observable
Inputs
(Level 2)
    Unobservable
Inputs

(Level 3)
 

Deferred compensation plan investments

  $ 15,507     $ 15,507     $ —       $ —    
   

 

 

   

 

 

   

 

 

   

 

 

 

Total assets measured at fair value

  $ 15,507     $ 15,507     $ —       $ —    
   

 

 

   

 

 

   

 

 

   

 

 

 

 

                                 
    December 31,
2011
    Markets for
Identical Assets
(Level 1)
    Observable
Inputs
(Level 2)
    Unobservable
Inputs

(Level 3)
 

Deferred compensation plan investments

  $ 13,892     $ 13,892     $ —       $ —    
   

 

 

   

 

 

   

 

 

   

 

 

 

Total assets measured at fair value

  $ 13,892     $ 13,892     $ —       $ —    
   

 

 

   

 

 

   

 

 

   

 

 

 

The remainder of the assets and liabilities held by the Company at June 30, 2012 are not required to be measured at fair value. The carrying value of certain of these assets and liabilities do not approximate fair value, as described below.

As further discussed in Note 5 and the Company’s Annual Report on Form 10-K for the year ended December 31, 2011, in connection with the development of Gaylord National, the Company received two bonds (“a Series A Bond” and “a Series B Bond”) from Prince George’s County, Maryland which had aggregate carrying values of $92.3 million and $60.0 million, respectively, as of June 30, 2012. The maturity dates of the Series A Bond and the Series B Bond are July 1, 2034 and September 1, 2037, respectively. Based upon current market interest rates of notes receivable with comparable market ratings and current expectations about the timing of debt service payments under the note, which the Company considers as Level 3, the fair value of the Series A Bond, which has the senior claim to the cash flows supporting these bonds, approximated carrying value as of June 30, 2012 and the fair value of the Series B Bond was approximately $39 million as of June 30, 2012. While the fair value of the Series B Bond decreased to less than its carrying value during 2011 due to a change in the timing of the debt service payments, the Company has the intent and ability to hold this bond to maturity and expects to receive all debt service payments due under the note. Therefore, the Company does not consider the Series B Bond to be other than temporarily impaired as of June 30, 2012.

The Company has outstanding $360.0 million in aggregate principal amount of Convertible Notes that accrue interest at a fixed rate of 3.75%. The carrying value of these notes on June 30, 2012 was $326.0 million, net of discount. The fair value of the Convertible Notes, based upon the present value of cash flows discounted at current market interest rates, which the Company considers as Level 2, was approximately $344 million as of June 30, 2012.

The Company has outstanding $152.2 million in aggregate principal amount of senior notes due 2014 that accrue interest at a fixed rate of 6.75% (the “Senior Notes”). The fair value of these notes, based upon quoted market prices, which the Company considers as Level 1, was $153.0 million as of June 30, 2012.

The carrying amount of short-term financial instruments held by the Company (cash, short-term investments, trade receivables, accounts payable and accrued liabilities) approximates fair value due to the short maturity of those instruments. The concentration of credit risk on trade receivables is minimized by the large and diverse nature of the Company’s customer base.

 

XML 45 R4.htm IDEA: XBRL DOCUMENT v2.4.0.6
Condensed Consolidated Balance Sheets (Unaudited) (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2012
Dec. 31, 2011
Jun. 30, 2011
Dec. 31, 2010
Current assets:        
Cash and cash equivalents - unrestricted $ 29,504 $ 44,388 $ 111,363 $ 124,398
Cash and cash equivalents - restricted 1,150 1,150    
Trade receivables, less allowance of $540 and $719, respectively 54,194 41,939    
Deferred income taxes 4,993 8,641    
Other current assets 44,397 48,538    
Total current assets 134,238 144,656    
Property and equipment, net of accumulated depreciation 2,200,616 2,209,127    
Notes receivable, net of current portion 145,271 142,567    
Long-term deferred financing costs 13,602 15,947    
Other long-term assets 52,285 50,713    
Long-term assets of discontinued operations 335 390    
Total assets 2,546,347 2,563,400    
Current liabilities:        
Current portion of long-term debt and capital lease obligations 750 755    
Accounts payable and accrued liabilities 151,735 168,975    
Current liabilities of discontinued operations 147 186    
Total current liabilities 152,632 169,916    
Long-term debt and capital lease obligations, net of current portion 1,034,456 1,073,070    
Deferred income taxes 119,817 108,219    
Other long-term liabilities 170,779 166,209    
Long-term liabilities of discontinued operations 451 451    
Commitments and Contingencies          
Stockholders' equity:        
Preferred stock, $.01 par value, 100,000 shares authorized, no shares issued or outstanding          
Common stock, $.01 par value, 150,000 shares authorized, 49,098 and 48,428 shares issued and outstanding, respectively 491 484    
Additional paid-in capital 937,592 929,904    
Treasury stock of 385 shares, at cost (4,599) (4,599)    
Retained earnings 170,759 155,777    
Accumulated other comprehensive loss (36,031) (36,031)    
Total stockholders' equity 1,068,212 1,045,535    
Total liabilities and stockholders' equity $ 2,546,347 $ 2,563,400    
XML 46 R12.htm IDEA: XBRL DOCUMENT v2.4.0.6
Debt
6 Months Ended
Jun. 30, 2012
Debt [Abstract]  
DEBT

6. DEBT:

The Company’s debt and capital lease obligations related to continuing operations at June 30, 2012 and December 31, 2011 consisted of (in thousands):

 

                 
    June 30,     December 31,  
    2012     2011  

$925 Million Credit Facility, interest at LIBOR plus 2.25% or bank’s base rate plus 1.25%, maturing August 1, 2015

  $ 555,000     $ 600,000  

Convertible Senior Notes, interest at 3.75%, maturing October 1, 2014, net of unamortized discount of $34,000 and $40,754

    326,000       319,246  

Senior Notes, interest at 6.75%, maturing November 15, 2014

    152,180       152,180  

Capital lease obligations

    2,026       2,399  
   

 

 

   

 

 

 

Total debt

    1,035,206       1,073,825  

Less amounts due within one year

    (750     (755
   

 

 

   

 

 

 

Total long-term debt

  $ 1,034,456     $ 1,073,070  
   

 

 

   

 

 

 

As of June 30, 2012, the Company was in compliance with all of its covenants related to its debt.

 

$925 Million Credit Facility

Prior to consummating the anticipated Marriott sale transaction, the Company must obtain waivers and consents of the required lenders pursuant to the $925 million credit facility to amend the facility to accommodate the Marriott sale transaction, the merger of Gaylord with and into Granite, and the REIT conversion. The Company anticipates that such amendment, among other things, will (i) permit dividends to the extent permitted by the indenture for the Company’s 6.75% senior notes, and, if such indenture is terminated, to the extent necessary for the Company to maintain REIT status, (ii) allow the Company’s taxable REIT subsidiaries to lease its hotel properties, and (iii) update the facility generally to permit the Company to restructure and operate its business as a REIT. The Company has engaged with its principal lender concerning the amendment, and it believes that it will be able to obtain such waivers and consents.

Convertible Senior Notes

In 2009, the Company issued $360 million of the Convertible Notes. The Convertible Notes are convertible, under certain circumstances as described in the Company’s Annual Report on Form 10-K for the year ended December 31, 2011, at the holder’s option, into shares of the Company’s common stock, at an initial conversion rate of 36.6972 shares of common stock per $1,000 principal amount of the Convertible Notes, which is equivalent to an initial conversion price of approximately $27.25 per share. The Company may elect, at its option, to deliver shares of its common stock, cash or a combination of cash and shares of its common stock in satisfaction of its obligations upon conversion of the Convertible Notes.

Based on the Company’s stock price during the three months ended June 30, 2012, a condition permitting conversion (as defined in the indenture governing the Convertible Notes) had been satisfied, and thus the Convertible Notes are currently convertible through September 30, 2012. At this time, the Company has received no notices of note holders electing to convert their Convertible Notes. Based on the Company’s borrowing capacity under its $925 million credit facility as of June 30, 2012, the Convertible Notes remain classified as long-term debt in the accompanying condensed consolidated balance sheet as of June 30, 2012.

Concurrently with the offering of the Convertible Notes, the Company entered into convertible note hedge transactions with respect to its common stock (the “Purchased Options”) with counterparties affiliated with the initial purchasers of the Convertible Notes, for purposes of reducing the potential dilutive effect upon conversion of the Convertible Notes. The initial strike price of the Purchased Options is $27.25 per share of the Company’s common stock (the same as the initial conversion price of the Convertible Notes) and is subject to certain customary adjustments. The Purchased Options entitle the Company to purchase, subject to anti-dilution adjustments substantially similar to the Convertible Notes, approximately 13.2 million shares of Company common stock. The Company may settle the Purchased Options in shares, cash or a combination of cash and shares, at the Company’s option.

Separately and concurrently with entering into the Purchased Options, the Company also entered into warrant transactions whereby it sold warrants to each of the hedge counterparties entitling them to acquire up to approximately 13.2 million shares of common stock at an initial exercise price of $32.70 per share, subject to anti-dilution adjustments. The warrants may be settled only in shares of the Company’s common stock.

 

XML 47 R11.htm IDEA: XBRL DOCUMENT v2.4.0.6
Notes Receivable
6 Months Ended
Jun. 30, 2012
Notes Receivable [Abstract]  
NOTES RECEIVABLE

5. NOTES RECEIVABLE:

In connection with the development of the Gaylord National Resort and Convention Center (“Gaylord National”), the Company is currently holding two issuances of bonds and receives the debt service thereon, which is payable from tax increments, hotel taxes and special hotel rental taxes generated from Gaylord National through the maturity date. The Company is recording the amortization of discount on these notes receivable as interest income over the life of the notes.

During the three months ended June 30, 2012 and 2011, the Company recorded interest income of $2.9 million and $3.2 million, respectively, on these bonds. During the six months ended June 30, 2012 and 2011, the Company recorded interest income of $6.1 million and $6.3 million, respectively, on these bonds. The Company received payments of $6.6 million and $10.7 million during the six months ended June 30, 2012 and 2011, respectively, relating to these notes receivable.

XML 48 R23.htm IDEA: XBRL DOCUMENT v2.4.0.6
Income Per Share (Tables)
6 Months Ended
Jun. 30, 2012
Income Per Share [Abstract]  
Weighted average number of common shares outstanding
                                 
    Three Months
Ended June 30,
    Six Months Ended
June 30,
 
    2012     2011     2012     2011  

Weighted average shares outstanding

    48,974       48,370       48,844       48,296  

Effect of dilutive stock-based compensation

    675       723       654       783  

Effect of convertible notes

    2,803       1,851       1,904       2,494  

Effect of common stock warrants

    722       —         —         350  
   

 

 

   

 

 

   

 

 

   

 

 

 

Weighted average shares outstanding—assuming dilution

    53,174       50,944       51,402       51,923  
   

 

 

   

 

 

   

 

 

   

 

 

 
XML 49 R19.htm IDEA: XBRL DOCUMENT v2.4.0.6
Financial Reporting by Business Segments
6 Months Ended
Jun. 30, 2012
Financial Reporting by Business Segments [Abstract]  
FINANCIAL REPORTING BY BUSINESS SEGMENTS

13. FINANCIAL REPORTING BY BUSINESS SEGMENTS:

The Company’s continuing operations are organized into three principal business segments:

 

   

Hospitality, which includes the Gaylord Opryland Resort and Convention Center, the Gaylord Palms Resort and Convention Center, the Gaylord Texan Resort and Convention Center, the Gaylord National Resort and Convention Center and the Radisson Hotel at Opryland;

 

   

Opry and Attractions, which includes the Grand Ole Opry, WSM-AM, and the Company’s Nashville-based attractions; and

 

   

Corporate and Other, which includes the Company’s corporate expenses.

The following information from continuing operations is derived directly from the segments’ internal financial reports used for corporate management purposes (amounts in thousands):

 

                                 
    Three Months Ended     Six Months Ended  
    June 30,     June 30,  
    2012     2011     2012     2011  

Revenues:

                               

Hospitality

  $ 233,047     $ 218,173     $ 459,095     $ 427,515  

Opry and Attractions

    20,153       18,569       32,988       29,936  

Corporate and Other

    29       33       61       62  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 253,229     $ 236,775     $ 492,144     $ 457,513  
   

 

 

   

 

 

   

 

 

   

 

 

 

Depreciation and amortization:

                               

Hospitality

  $ 26,346     $ 25,291     $ 54,882     $ 50,566  

Opry and Attractions

    1,278       1,340       2,563       2,672  

Corporate and Other

    2,630       2,640       5,243       5,090  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 30,254     $ 29,271     $ 62,688     $ 58,328  
   

 

 

   

 

 

   

 

 

   

 

 

 

Operating income (loss):

                               

Hospitality

  $ 46,423     $ 41,713     $ 86,459     $ 71,167  

Opry and Attractions

    4,800       3,866       5,593       3,223  

Corporate and Other

    (19,235     (13,869     (37,875     (27,955

Casualty loss

    (372     (469     (546     (468

Preopening costs

    (8     (41     (339     (41
   

 

 

   

 

 

   

 

 

   

 

 

 

Total operating income

    31,608       31,200       53,292       45,926  

Interest expense, net of amounts capitalized

    (14,451     (21,377     (28,813     (42,186

Interest income

    3,021       3,316       6,175       6,489  

Income from unconsolidated companies

    109       152       109       325  

Other gains and (losses), net

    —         141       —         (50
   

 

 

   

 

 

   

 

 

   

 

 

 

Income before income taxes and discontinued operations

  $ 20,287     $ 13,432     $ 30,763     $ 10,504  
   

 

 

   

 

 

   

 

 

   

 

 

 
XML 50 R15.htm IDEA: XBRL DOCUMENT v2.4.0.6
Retirement and Postretirement Benefits Other than Pension Plans
6 Months Ended
Jun. 30, 2012
Retirement and Postretirement Benefits Other than Pension Plans [Abstract]  
RETIREMENT AND POSTRETIREMENT BENEFITS OTHER THAN PENSION PLANS

9. RETIREMENT AND POSTRETIREMENT BENEFITS OTHER THAN PENSION PLANS:

Net periodic pension expense reflected in the accompanying condensed consolidated statements of operations included the following components for the respective periods (in thousands):

 

                                 
    Three months ended     Six months ended  
    June 30,     June 30,  
    2012     2011     2012     2011  

Interest cost

  $ 1,087     $ 1,209     $ 2,174     $ 2,417  

Expected return on plan assets

    (1,173     (1,334     (2,346     (2,667

Amortization of net actuarial loss

    1,170       619       2,340       1,238  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total net periodic pension expense

  $ 1,084     $ 494     $ 2,168     $ 988  
   

 

 

   

 

 

   

 

 

   

 

 

 

Net postretirement benefit expense reflected in the accompanying condensed consolidated statements of operations included the following components for the respective periods (in thousands):

 

                                 
    Three months ended     Six months ended  
    June 30,     June 30,  
    2012     2011     2012     2011  

Service cost

  $ 15     $ 15     $ 29     $ 29  

Interest cost

    253       257       507       515  

Amortization of net actuarial loss

    176       —         352       —    

Amortization of prior service credit

    (109     —         (217     —    

Amortization of curtailment gain

    (22     (61     (44     (122
   

 

 

   

 

 

   

 

 

   

 

 

 

Total net postretirement benefit expense

  $ 313     $ 211     $ 627     $ 422  
   

 

 

   

 

 

   

 

 

   

 

 

 
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Derivative Financial Instruments
6 Months Ended
Jun. 30, 2012
Derivative Financial Instruments [Abstract]  
DERIVATIVE FINANCIAL INSTRUMENTS

7. DERIVATIVE FINANCIAL INSTRUMENTS:

The Company is exposed to certain risks relating to its ongoing business operations. The primary risks managed by using derivative instruments are interest rate risk and commodity price risk. From time to time, interest rate swaps may be entered into to manage interest rate risk associated with portions of the Company’s variable rate borrowings. From time to time, natural gas price swaps may be entered into to manage the price risk associated with forecasted purchases of natural gas and electricity used by the Company’s hotels. The Company designates its interest rate swaps as cash flow hedges of variable rate borrowings and its natural gas price swaps as cash flow hedges of forecasted purchases of natural gas and electricity. All of the Company’s derivatives are held for hedging purposes. The Company does not engage in speculative transactions, nor does it hold or issue financial instruments for trading purposes. All of the counterparties to the Company’s derivative agreements are financial institutions with at least investment grade credit ratings.

Cash Flow Hedging Strategy

For derivative instruments that are designated and qualify as a cash flow hedge, the effective portion of the gain or loss on the derivative instrument is reported as a component of other comprehensive income (loss) (“OCI”) and reclassified into earnings in the same line item associated with the forecasted transaction and in the same period or periods during which the hedged transaction affects earnings (e.g., in “interest expense” when the hedged transactions are interest cash flows associated with variable rate debt). The remaining gain or loss on the derivative instrument in excess of the cumulative change in the present value of future cash flows of the hedged item, or ineffectiveness, if any, is recognized in the statement of operations during the current period.

At June 30, 2012 and December 31, 2011, the Company had no variable to fixed interest rate swap contracts. The interest rate swap agreement previously utilized by the Company until its expiration on July 25, 2011 effectively modified the Company’s exposure to interest rate risk by converting $500.0 million, or 71%, of the Company’s variable rate debt outstanding under the term loan portion of the Company’s $1.0 billion credit facility to a weighted average fixed rate of 3.94% plus the applicable margin on these borrowings, thus reducing the impact of interest rate changes on future interest expense. This agreement involved the receipt of variable rate amounts in exchange for fixed rate interest payments through July 25, 2011, without an exchange of the underlying principal amount. The critical terms of the swap agreements matched the critical terms of the borrowings under the term loan portion of the $1.0 billion credit facility. Therefore, the Company designated these interest rate swap agreements as cash flow hedges. As the terms of these derivatives matched the terms of the underlying hedged items, there was no gain (loss) from ineffectiveness recognized in income on derivatives.

At June 30, 2012 and December 31, 2011, the Company had no variable to fixed natural gas price swap contracts. The Company previously entered into natural gas price swap contracts to manage the price risk associated with a portion of the Company’s forecasted purchases of natural gas and electricity used by the Company’s hotels. The objective of the hedge was to reduce the variability of cash flows associated with the forecasted purchases of these commodities.

 

The effect of derivative instruments on the statement of operations for the respective periods is as follows (in thousands):

 

                                     
    Amount of Loss Recognized
in OCI on Derivative
(Effective Portion)
        Amount Reclassified from
Accumulated OCI into
Income
 

Derivatives in Cash Flow Hedging
Relationships

  Three
Months
Ended
June 30, 2012
    Three
Months
Ended
June 30, 2011
   

Location of Amount Reclassified from
Accumulated OCI into Income

  Three
Months
Ended
June 30, 2012
    Three
Months
Ended
June 30, 2011
 

Interest rate swaps

  $ —       $ (141   Interest expense, net of amounts capitalized   $ —       $ 5,672  

Natural gas swaps

    —         (115   Operating Costs     —         58  
   

 

 

   

 

 

       

 

 

   

 

 

 

Total

  $ —       $ (256   Total   $ —       $ 5,730  
   

 

 

   

 

 

       

 

 

   

 

 

 

 

                                     
    Amount of Loss Recognized
in OCI on Derivative
(Effective Portion)
        Amount Reclassified from
Accumulated OCI into
Income
 

Derivatives in Cash Flow Hedging
Relationships

  Six Months
Ended
June 30, 2012
    Six Months
Ended
June 30, 2011
   

Location of Amount Reclassified from
Accumulated OCI into Income

  Six Months
Ended
June 30, 2012
    Six Months
Ended
June 30, 2011
 

Interest rate swaps

  $ —       $ (427   Interest expense, net of amounts capitalized   $ —       $ 11,125  

Natural gas swaps

    —         (209   Operating Costs     —         215  
   

 

 

   

 

 

       

 

 

   

 

 

 

Total

  $ —       $ (636   Total   $ —       $ 11,340  
   

 

 

   

 

 

       

 

 

   

 

 

 

XML 53 R14.htm IDEA: XBRL DOCUMENT v2.4.0.6
Stock Plans
6 Months Ended
Jun. 30, 2012
Stock Plans [Abstract]  
STOCK PLANS

8. STOCK PLANS:

In addition to grants of stock options to its directors and employees, the Company’s 2006 Omnibus Incentive Plan (the “Plan”) permits the award of restricted stock and restricted stock units. The fair value of restricted stock and restricted stock units with time-based vesting or performance conditions is determined based on the market price of the Company’s stock at the date of grant. The Company generally records compensation expense equal to the fair value of each restricted stock award granted over the vesting period.

During the six months ended June 30, 2012, the Company granted 311,230 restricted stock units with time-based vesting and a weighted-average grant-date fair value of $30.23 per award. Additionally, the Company granted 104,500 restricted stock units to certain members of its management team which may vest in 2015 based on the level of performance during the performance period and subject to continued employment. The number of awards that will ultimately vest is based on the Company’s total shareholder return over the three-year performance period ended December 31, 2014 relative to the total shareholder return of the Russell 2000 Index during the same period. The weighted-average grant date fair value of $39.88 per award was determined using a Monte Carlo simulation model, which assumed a risk-free rate of 0.54%, an expected life of 3.0 years and historical volatilities that ranged from 15% to 238%. As these awards include a market condition, the Company records compensation expense for these awards based on the grant date fair value of the award recognized ratably over the measurement period.

At June 30, 2012 and December 31, 2011, restricted stock units of 861,317 and restricted stock and restricted stock units of 633,647 shares, respectively, were outstanding.

The compensation cost that has been charged against pre-tax income for all of the Company’s stock-based compensation plans was $2.9 million and $2.5 million for the three months ended June 30, 2012 and 2011, respectively, and $5.3 million and $4.8 million for the six months ended June 30, 2012 and 2011, respectively.

 

XML 54 R16.htm IDEA: XBRL DOCUMENT v2.4.0.6
Income Taxes
6 Months Ended
Jun. 30, 2012
Income Taxes [Abstract]  
INCOME TAXES

10. INCOME TAXES:

The Company’s effective tax rate as applied to pre-tax income was 56% and 36% for the three months ended June 30, 2012 and 2011, respectively, and 51% and 36% for the six months ended June 30, 2012 and 2011, respectively. The change in the Company’s effective tax rate during both periods was due primarily to increases in permanent tax adjustments related to compensation and state tax expense.

As of June 30, 2012 and December 31, 2011, the Company had $13.9 million and $14.1 million of unrecognized tax benefits, respectively, of which $7.4 million would affect the Company’s effective tax rate if recognized. These liabilities are recorded in other long-term liabilities in the accompanying condensed consolidated balance sheets. The Company estimates the overall decrease in unrecognized tax benefits in the next twelve months will be approximately $13.1 million, mainly due to the expiration of various statutes of limitations. As of June 30, 2012 and December 31, 2011, the Company had accrued $2.3 million and $2.1 million, respectively, of interest and $0.1 million of penalties related to uncertain tax positions.

XML 55 R34.htm IDEA: XBRL DOCUMENT v2.4.0.6
Notes Receivable (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Jun. 30, 2012
Contract
Jun. 30, 2011
Notes Receivable (Textual) [Abstract]        
Number of notes receivable     2  
Interest Income $ 2.9 $ 3.2 $ 6.1 $ 6.3
Payment received relating to notes receivables     $ 6.6 $ 10.7
XML 56 R21.htm IDEA: XBRL DOCUMENT v2.4.0.6
Information Concerning Guarantor and Non-Guarantor Subsidiaries
6 Months Ended
Jun. 30, 2012
Information Concerning Guarantor and Non Guarantor Subsidiaries [Abstract]  
INFORMATION CONCERNING GUARANTOR AND NON-GUARANTOR SUBSIDIARIES

15. INFORMATION CONCERNING GUARANTOR AND NON-GUARANTOR SUBSIDIARIES:

Not all of the Company’s subsidiaries have guaranteed the Company’s Convertible Notes and the Senior Notes. The Company’s Convertible Notes and Senior Notes are guaranteed on a senior unsecured basis by generally all of the Company’s significant active domestic subsidiaries (the “Guarantors”). Certain discontinued operations and inactive subsidiaries (the “Non-Guarantors”) do not guarantee the Company’s Convertible Notes and Senior Notes. The Guarantors are 100% owned, and the guarantees are full and unconditional and joint and several.

The following condensed consolidating financial information includes certain allocations of revenues and expenses based on management’s best estimates, which are not necessarily indicative of financial position, results of operations and cash flows that these entities would have achieved on a stand alone basis.

GAYLORD ENTERTAINMENT COMPANY AND SUBSIDIARIES

 

Condensed Consolidating Statement of Operations and Comprehensive Income

For the Three Months Ended June 30, 2012

 

                                         
                Non-              
(in thousands)   Issuer     Guarantors     Guarantors     Eliminations     Consolidated  

Revenues

  $ 9,301     $ 253,222     $ —       $ (9,294   $ 253,229  

Operating expenses:

                                       

Operating costs

    —         139,216       —         —         139,216  

Selling, general and administrative

    8,387       43,384       —         —         51,771  

Casualty loss

    243       129       —         —         372  

Preopening costs

    9       (1     —         —         8  

Management fees

    —         9,294       —         (9,294     —    

Depreciation and amortization

    757       29,497       —         —         30,254  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Operating income (loss)

    (95     31,703       —         —         31,608  

Interest expense, net of amounts capitalized

    (14,660     (29,645     (105     29,959       (14,451

Interest income

    25,132       3,716       4,132       (29,959     3,021  

Income from unconsolidated companies

    —         109       —         —         109  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income before income taxes and discontinued operations

    10,377       5,883       4,027       —         20,287  

Provision for income taxes

    (5,688     (3,225     (2,401     —         (11,314

Equity in subsidiaries’ earnings, net

    4,265       —         —         (4,265     —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income from continuing operations

    8,954       2,658       1,626       (4,265     8,973  

Loss from discontinued operations, net of taxes

    —         —         (19     —         (19
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net income

  $ 8,954     $ 2,658     $ 1,607     $ (4,265   $ 8,954  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Comprehensive income

  $ 8,954     $ 2,658     $ 1,607     $ (4,265   $ 8,954  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

GAYLORD ENTERTAINMENT COMPANY AND SUBSIDIARIES

 

Condensed Consolidating Statement of Operations and Comprehensive Income

For the Three Months Ended June 30, 2011

 

                                         
                Non-              
(in thousands)   Issuer     Guarantors     Guarantors     Eliminations     Consolidated  

Revenues

  $ 1,461     $ 236,770     $ —       $ (1,456   $ 236,775  

Operating expenses:

                                       

Operating costs

    —         132,746       —         —         132,746  

Selling, general and administrative

    4,050       38,998       —         —         43,048  

Casualty loss

    48       421       —         —         469  

Preopening costs

    —         41       —         —         41  

Management fees

    —         1,456       —         (1,456     —    

Depreciation and amortization

    1,002       28,269       —         —         29,271  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Operating income (loss)

    (3,639     34,839       —         —         31,200  

Interest expense, net of amounts capitalized

    (21,447     (30,542     (101     30,713       (21,377

Interest income

    26,247       3,860       3,922       (30,713     3,316  

Income from unconsolidated companies

    —         152       —         —         152  

Other gains and (losses), net

    —         141       —         —         141  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income before income taxes and discontinued operations

    1,161       8,450       3,821       —         13,432  

Provision for income taxes

    (365     (3,290     (1,144     —         (4,799

Equity in subsidiaries’ earnings, net

    7,841       —         —         (7,841     —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income from continuing operations

    8,637       5,160       2,677       (7,841     8,633  

Income from discontinued operations, net of taxes

    —         —         4       —         4  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net income

  $ 8,637     $ 5,160     $ 2,681     $ (7,841   $ 8,637  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Comprehensive income

  $ 12,150     $ 5,160     $ 2,681     $ (7,841   $ 12,150  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

GAYLORD ENTERTAINMENT COMPANY AND SUBSIDIARIES

 

Condensed Consolidating Statement of Operations and Comprehensive Income

For the Six Months Ended June 30, 2012

 

                                         
                Non-              
(in thousands)   Issuer     Guarantors     Guarantors     Eliminations     Consolidated  

Revenues

  $ 12,099     $ 492,233     $ —       $ (12,188   $ 492,144  

Operating expenses:

                                       

Operating costs

    —         274,199       —         —         274,199  

Selling, general and administrative

    16,417       84,766       —         (103     101,080  

Casualty loss

    276       270       —         —         546  

Preopening costs

    22       317       —         —         339  

Management fees

    —         12,085       —         (12,085     —    

Depreciation and amortization

    1,526       61,162       —         —         62,688  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Operating income (loss)

    (6,142     59,434       —         —         53,292  

Interest expense, net of amounts capitalized

    (29,294     (59,473     (209     60,163       (28,813

Interest income

    50,461       7,665       8,212       (60,163     6,175  

Income from unconsolidated companies

    —         109       —         —         109  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income before income taxes and discontinued operations

    15,025       7,735       8,003       —         30,763  

Provision for income taxes

    (7,639     (4,074     (4,070     —         (15,783

Equity in subsidiaries’ earnings, net

    7,596       —         —         (7,596     —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income from continuing operations

    14,982       3,661       3,933       (7,596     14,980  

Income from discontinued operations, net of taxes

    —         —         2       —         2  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net income

  $ 14,982     $ 3,661     $ 3,935     $ (7,596   $ 14,982  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Comprehensive income

  $ 14,982     $ 3,661     $ 3,935     $ (7,596   $ 14,982  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

GAYLORD ENTERTAINMENT COMPANY AND SUBSIDIARIES

 

Condensed Consolidating Statement of Operations and Comprehensive Income

For the Six Months Ended June 30, 2011

 

                                         
                Non-              
(in thousands)   Issuer     Guarantors     Guarantors     Eliminations     Consolidated  

Revenues

  $ 2,936     $ 457,529     $ —       $ (2,952   $ 457,513  

Operating expenses:

                                       

Operating costs

    —         266,652       —         (28     266,624  

Selling, general and administrative

    8,342       77,784       —         —         86,126  

Casualty loss

    48       420       —         —         468  

Preopening costs

    —         41       —         —         41  

Management fees

    —         2,924       —         (2,924     —    

Depreciation and amortization

    2,029       56,299       —         —         58,328  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Operating income (loss)

    (7,483     53,409       —         —         45,926  

Interest expense, net of amounts capitalized

    (42,521     (60,526     (200     61,061       (42,186

Interest income

    52,074       7,725       7,751       (61,061     6,489  

Income from unconsolidated companies

    —         325       —         —         325  

Other gains and (losses), net

    —         (50     —         —         (50
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income before income taxes and discontinued operations

    2,070       883       7,551       —         10,504  

Provision for income taxes

    (840     (399     (2,593     —         (3,832

Equity in subsidiaries’ earnings, net

    5,450       —         —         (5,450     —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income from continuing operations

    6,680       484       4,958       (5,450     6,672  

Income (loss) from discontinued operations, net of taxes

    —         22       (14     —         8  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net income

  $ 6,680     $ 506     $ 4,944     $ (5,450   $ 6,680  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Comprehensive income

  $ 13,602     $ 506     $ 4,944     $ (5,450   $ 13,602  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

GAYLORD ENTERTAINMENT COMPANY AND SUBSIDIARIES

 

Condensed Consolidating Balance Sheet

June 30, 2012

 

                                         
                Non-              
(in thousands)   Issuer     Guarantors     Guarantors     Eliminations     Consolidated  
ASSETS                                        

Current assets:

                                       

Cash and cash equivalents — unrestricted

  $ 25,844     $ 3,660     $ —       $ —       $ 29,504  

Cash and cash equivalents — restricted

    1,150       —         —         —         1,150  

Trade receivables, net

    —         54,194       —         —         54,194  

Deferred income taxes

    88       4,882       23       —         4,993  

Other current assets

    1,746       42,777       —         (126     44,397  

Intercompany receivables, net

    1,730,974       —         310,422       (2,041,396     —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total current assets

    1,759,802       105,513       310,445       (2,041,522     134,238  

Property and equipment, net of accumulated depreciation

    48,481       2,152,135       —         —         2,200,616  

Notes receivable, net of current portion

    —         145,271       —         —         145,271  

Long-term deferred financing costs

    13,602       —         —         —         13,602  

Other long-term assets

    668,174       358,460       —         (974,349     52,285  

Long-term assets of discontinued operations

    —         —         335       —         335  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total assets

  $ 2,490,059     $ 2,761,379     $ 310,780     $ (3,015,871   $ 2,546,347  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
LIABILITIES AND STOCKHOLDERS’ EQUITY                                        

Current liabilities:

                                       

Current portion of long-term debt and capital lease obligations

  $ —       $ 750     $ —       $ —       $ 750  

Accounts payable and accrued liabilities

    8,791       143,361       —         (417     151,735  

Intercompany payables, net

    —         1,948,379       93,017       (2,041,396     —    

Current liabilities of discontinued operations

    —         —         147       —         147  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total current liabilities

    8,791       2,092,490       93,164       (2,041,813     152,632  

Long-term debt and capital lease obligations, net of current portion

    1,033,180       1,276       —         —         1,034,456  

Deferred income taxes

    (29,598     149,496       (81     —         119,817  

Other long-term liabilities

    84,480       86,008       —         291       170,779  

Long-term liabilities of discontinued operations

    —         —         451       —         451  

Commitments and contingencies

                                       

Stockholders’ equity:

                                       

Preferred stock

    —         —         —         —         —    

Common stock

    491       2,388       1       (2,389     491  

Additional paid-in capital

    937,592       1,081,067       (40,129     (1,040,938     937,592  

Treasury stock

    (4,599     —         —         —         (4,599

Retained earnings

    495,753       (651,346     257,374       68,978       170,759  

Accumulated other comprehensive loss

    (36,031     —         —         —         (36,031
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total stockholders’ equity

    1,393,206       432,109       217,246       (974,349     1,068,212  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total liabilities and stockholders’ equity

  $ 2,490,059     $ 2,761,379     $ 310,780     $ (3,015,871   $ 2,546,347  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

GAYLORD ENTERTAINMENT COMPANY AND SUBSIDIARIES

 

Condensed Consolidating Balance Sheet

December 31, 2011

 

                                         
                Non-              
(in thousands)   Issuer     Guarantors     Guarantors     Eliminations     Consolidated  
ASSETS:                                        

Current assets:

                                       

Cash and cash equivalents — unrestricted

  $ 37,562     $ 6,826     $ —       $ —       $ 44,388  

Cash and cash equivalents — restricted

    1,150       —         —         —         1,150  

Trade receivables, net

    —         41,939       —         —         41,939  

Deferred income taxes

    1,195       7,423       23       —         8,641  

Other current assets

    2,710       45,954       —         (126     48,538  

Intercompany receivables, net

    1,745,197       —         302,368       (2,047,565     —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total current assets

    1,787,814       102,142       302,391       (2,047,691     144,656  

Property and equipment, net of accumulated depreciation

    43,733       2,165,394       —         —         2,209,127  

Notes receivable, net of current portion

    —         142,567       —         —         142,567  

Long-term deferred financing costs

    15,947       —         —         —         15,947  

Other long-term assets

    658,167       359,297       —         (966,751     50,713  

Long-term assets of discontinued operations

    —         —         390       —         390  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total assets

  $ 2,505,661     $ 2,769,400     $ 302,781     $ (3,014,442   $ 2,563,400  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
LIABILITIES AND STOCKHOLDERS’ EQUITY:                                        

Current liabilities:

                                       

Current portion of long-term debt and capital lease obligations

  $ —       $ 755     $ —       $ —       $ 755  

Accounts payable and accrued liabilities

    17,934       151,458       —         (417     168,975  

Intercompany payables, net

    —         1,958,653       88,912       (2,047,565     —    

Current liabilities of discontinued operations

    —         —         186       —         186  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total current liabilities

    17,934       2,110,866       89,098       (2,047,982     169,916  

Long-term debt and capital lease obligations, net of current portion

    1,071,426       1,644       —         —         1,073,070  

Deferred income taxes

    (36,586     144,886       (81     —         108,219  

Other long-term liabilities

    82,358       83,560       —         291       166,209  

Long-term liabilities of discontinued operations

    —         —         451       —         451  

Commitments and contingencies

                                       

Stockholders’ equity:

                                       

Preferred stock

    —         —         —         —         —    

Common stock

    484       2,388       1       (2,389     484  

Additional paid-in capital

    929,904       1,081,063       (40,127     (1,040,936     929,904  

Treasury stock

    (4,599     —         —         —         (4,599

Retained earnings

    480,771       (655,007     253,439       76,574       155,777  

Accumulated other comprehensive loss

    (36,031     —         —         —         (36,031
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total stockholders’ equity

    1,370,529       428,444       213,313       (966,751     1,045,535  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total liabilities and stockholders’ equity

  $ 2,505,661     $ 2,769,400     $ 302,781     $ (3,014,442   $ 2,563,400  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

GAYLORD ENTERTAINMENT COMPANY AND SUBSIDIARIES

 

Condensed Consolidating Statement of Cash Flows

For the Six Months Ended June 30, 2012

 

                                         
                Non-              
(in thousands)   Issuer     Guarantors     Guarantors     Eliminations     Consolidated  

Net cash provided by (used in) continuing operating activities

  $ 32,560     $ 46,590     $ (51   $ —       $ 79,099  

Net cash provided by discontinued operating activities

    —         —         51       —         51  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net cash provided by operating activities

    32,560       46,590       —         —         79,150  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Purchases of property and equipment

    (6,111     (52,677     —         —         (58,788

Collection of notes receivable

    —         2,870       —         —         2,870  

Other investing activities

    —         424       —         —         424  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net cash used in investing activities — continuing operations

    (6,111     (49,383     —         —         (55,494

Net cash used investing activities — discontinued operations

    —         —         —         —         —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net cash used in investing activities

    (6,111     (49,383     —         —         (55,494
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net repayments under credit facility

    (45,000     —         —         —         (45,000

Proceeds from exercise of stock option and purchase plans

    6,833       —         —         —         6,833  

Other financing activities, net

    —         (373     —         —         (373
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net cash used in financing activities — continuing operations

    (38,167     (373     —         —         (38,540

Net cash provided by financing activities — discontinued operations

    —         —         —         —         —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net cash used in financing activities

    (38,167     (373     —         —         (38,540
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net change in cash and cash equivalents

    (11,718     (3,166     —         —         (14,884

Cash and cash equivalents at beginning of period

    37,562       6,826       —         —         44,388  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Cash and cash equivalents at end of period

  $ 25,844     $ 3,660     $ —       $ —       $ 29,504  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

GAYLORD ENTERTAINMENT COMPANY AND SUBSIDIARIES

 

Condensed Consolidating Statement of Cash Flows

For the Six Months Ended June 30, 2011

 

                                         
                Non-              
(in thousands)   Issuer     Guarantors     Guarantors     Eliminations     Consolidated  

Net cash provided by (used in) continuing operating activities

  $ (12,553   $ 52,137     $ 66     $ —       $ 39,650  

Net cash provided by (used in) discontinued operating activities

    —         38       (66     —         (28
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net cash provided by (used in) operating activities

    (12,553     52,175       —         —         39,622  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Purchases of property and equipment

    (2,247     (59,166     —         —         (61,413

Collection of notes receivable

    —         2,465       —         —         2,465  

Other investing activities

    4       2,179       —         —         2,183  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net cash used in investing activities — continuing operations

    (2,243     (54,522     —         —         (56,765

Net cash used in investing activities — discontinued operations

    —         —         —         —         —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net cash used in investing activities

    (2,243     (54,522     —         —         (56,765
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Proceeds from exercise of stock option and purchase plans

    4,193       —         —         —         4,193  

Other financing activities, net

    —         (85     —         —         (85
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net cash provided by (used in) financing activities — continuing operations

    4,193       (85     —         —         4,108  

Net cash provided by financing activities — discontinued operations

    —         —         —         —         —    
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net cash provided by (used in) financing activities

    4,193       (85     —         —         4,108  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net change in cash and cash equivalents

    (10,603     (2,432     —         —         (13,035

Cash and cash equivalents at beginning of period

    117,913       6,485       —         —         124,398  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Cash and cash equivalents at end of period

  $ 107,310     $ 4,053     $ —       $ —       $ 111,363  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
XML 57 R26.htm IDEA: XBRL DOCUMENT v2.4.0.6
Derivative Financial Instruments (Tables)
6 Months Ended
Jun. 30, 2012
Derivative Financial Instruments [Abstract]  
Effect of derivative instruments on the statement of operations
                                     
    Amount of Loss Recognized
in OCI on Derivative
(Effective Portion)
        Amount Reclassified from
Accumulated OCI into
Income
 

Derivatives in Cash Flow Hedging
Relationships

  Three
Months
Ended
June 30, 2012
    Three
Months
Ended
June 30, 2011
   

Location of Amount Reclassified from
Accumulated OCI into Income

  Three
Months
Ended
June 30, 2012
    Three
Months
Ended
June 30, 2011
 

Interest rate swaps

  $ —       $ (141   Interest expense, net of amounts capitalized   $ —       $ 5,672  

Natural gas swaps

    —         (115   Operating Costs     —         58  
   

 

 

   

 

 

       

 

 

   

 

 

 

Total

  $ —       $ (256   Total   $ —       $ 5,730  
   

 

 

   

 

 

       

 

 

   

 

 

 

 

                                     
    Amount of Loss Recognized
in OCI on Derivative
(Effective Portion)
        Amount Reclassified from
Accumulated OCI into
Income
 

Derivatives in Cash Flow Hedging
Relationships

  Six Months
Ended
June 30, 2012
    Six Months
Ended
June 30, 2011
   

Location of Amount Reclassified from
Accumulated OCI into Income

  Six Months
Ended
June 30, 2012
    Six Months
Ended
June 30, 2011
 

Interest rate swaps

  $ —       $ (427   Interest expense, net of amounts capitalized   $ —       $ 11,125  

Natural gas swaps

    —         (209   Operating Costs     —         215  
   

 

 

   

 

 

       

 

 

   

 

 

 

Total

  $ —       $ (636   Total   $ —       $ 11,340  
   

 

 

   

 

 

       

 

 

   

 

 

 
XML 58 R49.htm IDEA: XBRL DOCUMENT v2.4.0.6
Information Concerning Guarantor and Non-Guarantor Subsidiaries (Details 1) (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2012
Dec. 31, 2011
Jun. 30, 2011
Dec. 31, 2010
Current assets:        
Cash and cash equivalents - unrestricted $ 29,504 $ 44,388 $ 111,363 $ 124,398
Cash and cash equivalents - restricted 1,150 1,150    
Trade receivables, net 54,194 41,939    
Deferred income taxes 4,993 8,641    
Other current assets 44,397 48,538    
Total current assets 134,238 144,656    
Property and equipment, net of accumulated depreciation 2,200,616 2,209,127    
Notes receivable, net of current portion 145,271 142,567    
Long-term deferred financing costs 13,602 15,947    
Other long-term assets 52,285 50,713    
Long-term assets of discontinued operations 335 390    
Total assets 2,546,347 2,563,400    
Current liabilities:        
Current portion of long-term debt and capital lease obligations 750 755    
Accounts payable and accrued liabilities 151,735 168,975    
Current liabilities of discontinued operations 147 186    
Total current liabilities 152,632 169,916    
Long-term debt and capital lease obligations, net of current portion 1,034,456 1,073,070    
Deferred income taxes 119,817 108,219    
Other long-term liabilities 170,779 166,209    
Long-term liabilities of discontinued operations 451 451    
Commitments and Contingencies          
Stockholders' equity:        
Preferred stock          
Common stock 491 484    
Additional paid-in capital 937,592 929,904    
Treasury stock (4,599) (4,599)    
Retained earnings 170,759 155,777    
Accumulated other comprehensive loss (36,031) (36,031)    
Total stockholders' equity 1,068,212 1,045,535    
Total liabilities and stockholders' equity 2,546,347 2,563,400    
Issuer [Member]
       
Current assets:        
Cash and cash equivalents - unrestricted 25,844 37,562 107,310 117,913
Cash and cash equivalents - restricted 1,150 1,150    
Deferred income taxes 88 1,195    
Other current assets 1,746 2,710    
Intercompany receivables, net 1,730,974 1,745,197    
Total current assets 1,759,802 1,787,814    
Property and equipment, net of accumulated depreciation 48,481 43,733    
Long-term deferred financing costs 13,602 15,947    
Other long-term assets 668,174 658,167    
Total assets 2,490,059 2,505,661    
Current liabilities:        
Accounts payable and accrued liabilities 8,791 17,934    
Total current liabilities 8,791 17,934    
Long-term debt and capital lease obligations, net of current portion 1,033,180 1,071,426    
Deferred income taxes (29,598) (36,586)    
Other long-term liabilities 84,480 82,358    
Commitments and Contingencies          
Stockholders' equity:        
Preferred stock          
Common stock 491 484    
Additional paid-in capital 937,592 929,904    
Treasury stock (4,599) (4,599)    
Retained earnings 495,753 480,771    
Accumulated other comprehensive loss (36,031) (36,031)    
Total stockholders' equity 1,393,206 1,370,529    
Total liabilities and stockholders' equity 2,490,059 2,505,661    
Guarantor [Member]
       
Current assets:        
Cash and cash equivalents - unrestricted 3,660 6,826 4,053 6,485
Trade receivables, net 54,194 41,939    
Deferred income taxes 4,882 7,423    
Other current assets 42,777 45,954    
Total current assets 105,513 102,142    
Property and equipment, net of accumulated depreciation 2,152,135 2,165,394    
Notes receivable, net of current portion 145,271 142,567    
Other long-term assets 358,460 359,297    
Total assets 2,761,379 2,769,400    
Current liabilities:        
Current portion of long-term debt and capital lease obligations 750 755    
Accounts payable and accrued liabilities 143,361 151,458    
Intercompany payables, net 1,948,379 1,958,653    
Total current liabilities 2,092,490 2,110,866    
Long-term debt and capital lease obligations, net of current portion 1,276 1,644    
Deferred income taxes 149,496 144,886    
Other long-term liabilities 86,008 83,560    
Commitments and Contingencies          
Stockholders' equity:        
Preferred stock          
Common stock 2,388 2,388    
Additional paid-in capital 1,081,067 1,081,063    
Retained earnings (651,346) (655,007)    
Total stockholders' equity 432,109 428,444    
Total liabilities and stockholders' equity 2,761,379 2,769,400    
Non-Guarantor [Member]
       
Current assets:        
Deferred income taxes 23 23    
Intercompany receivables, net 310,422 302,368    
Total current assets 310,445 302,391    
Long-term assets of discontinued operations 335 390    
Total assets 310,780 302,781    
Current liabilities:        
Intercompany payables, net 93,017 88,912    
Current liabilities of discontinued operations 147 186    
Total current liabilities 93,164 89,098    
Deferred income taxes (81) (81)    
Long-term liabilities of discontinued operations 451 451    
Commitments and Contingencies          
Stockholders' equity:        
Preferred stock          
Common stock 1 1    
Additional paid-in capital (40,129) (40,127)    
Retained earnings 257,374 253,439    
Total stockholders' equity 217,246 213,313    
Total liabilities and stockholders' equity 310,780 302,781    
Eliminations [Member]
       
Current assets:        
Cash and cash equivalents - unrestricted          
Other current assets (126) (126)    
Intercompany receivables, net (2,041,396) (2,047,565)    
Total current assets (2,041,522) (2,047,691)    
Other long-term assets (974,349) (966,751)    
Total assets (3,015,871) (3,014,442)    
Current liabilities:        
Accounts payable and accrued liabilities (417) (417)    
Intercompany payables, net (2,041,396) (2,047,565)    
Total current liabilities (2,041,813) (2,047,982)    
Other long-term liabilities 291 291    
Commitments and Contingencies          
Stockholders' equity:        
Preferred stock          
Common stock (2,389) (2,389)    
Additional paid-in capital (1,040,938) (1,040,936)    
Retained earnings 68,978 76,574    
Total stockholders' equity (974,349) (966,751)    
Total liabilities and stockholders' equity $ (3,015,871) $ (3,014,442)    
XML 59 R41.htm IDEA: XBRL DOCUMENT v2.4.0.6
Retirement and Postretirement Benefits Other than Pension Plans (Details 1) (Other Postretirement Benefit Plans, Defined Benefit [Member], USD $)
In Thousands, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Jun. 30, 2012
Jun. 30, 2011
Other Postretirement Benefit Plans, Defined Benefit [Member]
       
Net periodic benefit expense components        
Service cost $ 15 $ 15 $ 29 $ 29
Interest cost 253 257 507 515
Amortization of net actuarial loss 176   352  
Amortization of prior service credit (109)   (217)  
Amortization of curtailment gain (22) (61) (44) (122)
Total net postretirement benefit expense $ 313 $ 211 $ 627 $ 422
XML 60 R5.htm IDEA: XBRL DOCUMENT v2.4.0.6
Condensed Consolidated Balance Sheets (Unaudited) (Parenthetical) (USD $)
In Thousands, except Per Share data, unless otherwise specified
Jun. 30, 2012
Dec. 31, 2011
Condensed Consolidated Balance Sheets [Abstract]    
Allowance for doubtful accounts receivable $ 540 $ 719
Preferred stock, par value $ 0.01 $ 0.01
Preferred stock, shares authorized 100,000 100,000
Preferred stock, shares issued      
Preferred stock, shares outstanding      
Common stock, par value $ 0.01 $ 0.01
Common stock, shares authorized 150,000 150,000
Common stock, shares issued 49,098 48,428
Common stock, shares outstanding 49,098 48,428
Treasury stock, shares 385 385
XML 61 R10.htm IDEA: XBRL DOCUMENT v2.4.0.6
Property and Equipment
6 Months Ended
Jun. 30, 2012
Property and Equipment [Abstract]  
PROPERTY AND EQUIPMENT

4. PROPERTY AND EQUIPMENT:

Property and equipment of continuing operations at June 30, 2012 and December 31, 2011 is recorded at cost and summarized as follows (in thousands):

 

                 
    June 30,     December 31,  
    2012     2011  

Land and land improvements

  $ 234,307     $ 217,811  

Buildings

    2,288,767       2,272,381  

Furniture, fixtures and equipment

    552,468       533,396  

Construction in progress

    48,982       59,822  
   

 

 

   

 

 

 
      3,124,524       3,083,410  

Accumulated depreciation

    (923,908     (874,283
   

 

 

   

 

 

 

Property and equipment, net

  $ 2,200,616     $ 2,209,127  
   

 

 

   

 

 

 
XML 62 R27.htm IDEA: XBRL DOCUMENT v2.4.0.6
Retirement and Postretirement Benefits Other than Pension Plans (Tables)
6 Months Ended
Jun. 30, 2012
Pension Plans, Defined Benefit [Member]
 
Defined Benefit Plan Disclosure [Line Items]  
Net periodic pension and postretirement benefit expense
                                 
    Three months ended     Six months ended  
    June 30,     June 30,  
    2012     2011     2012     2011  

Interest cost

  $ 1,087     $ 1,209     $ 2,174     $ 2,417  

Expected return on plan assets

    (1,173     (1,334     (2,346     (2,667

Amortization of net actuarial loss

    1,170       619       2,340       1,238  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total net periodic pension expense

  $ 1,084     $ 494     $ 2,168     $ 988  
   

 

 

   

 

 

   

 

 

   

 

 

 
Other Postretirement Benefit Plans, Defined Benefit [Member]
 
Defined Benefit Plan Disclosure [Line Items]  
Net periodic pension and postretirement benefit expense
                                 
    Three months ended     Six months ended  
    June 30,     June 30,  
    2012     2011     2012     2011  

Service cost

  $ 15     $ 15     $ 29     $ 29  

Interest cost

    253       257       507       515  

Amortization of net actuarial loss

    176       —         352       —    

Amortization of prior service credit

    (109     —         (217     —    

Amortization of curtailment gain

    (22     (61     (44     (122
   

 

 

   

 

 

   

 

 

   

 

 

 

Total net postretirement benefit expense

  $ 313     $ 211     $ 627     $ 422  
   

 

 

   

 

 

   

 

 

   

 

 

 
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Derivative Financial Instruments (Details Textual) (USD $)
In Millions, unless otherwise specified
6 Months Ended
Jun. 30, 2012
Jul. 25, 2011
Jun. 30, 2012
Interest rate swaps [Member]
Contract
Dec. 31, 2011
Interest rate swaps [Member]
Contract
Jun. 30, 2012
Natural gas swaps [Member]
Contract
Dec. 31, 2011
Natural gas swaps [Member]
Contract
Jun. 30, 2012
$1.0 Billion Credit Facility [Member]
Derivative Financial Information (Textual) [Abstract]              
Weighted average fixed rate             3.94% plus the applicable margin on these borrowings
Base rate added to applicable margin of borrowings             3.94%
Derivative contracts held     0 0 0 0  
Additional Derivative Financial Instruments (Textual) [Abstract]              
Interest rate swaps associated with term loan borrowings   $ 500.0          
Percentage of variable rate debt outstanding   71.00%          
Company's credit facility $ 925 $ 1,000          
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Subsequent Events
6 Months Ended
Jun. 30, 2012
Subsequent Events [Abstract]  
SUBSEQUENT EVENTS:

14. SUBSEQUENT EVENTS:

In August 2012, the Company entered into an agreement with TRT Holdings, Inc. and its affiliates (“TRT”) pursuant to which the Company concurrently repurchased from TRT 5.0 million shares of the Company’s common stock, at a total cost of $185.0 million. The Company plans to retire these common stock shares and funded the purchase price for the share repurchase with borrowings under its $925 million credit facility. The Company obtained waivers and consents of the required lenders pursuant to the $925 Million Credit Facility to amend the facility in order to accommodate this repurchase.