0001193125-12-445164.txt : 20121101 0001193125-12-445164.hdr.sgml : 20121101 20121101073416 ACCESSION NUMBER: 0001193125-12-445164 CONFORMED SUBMISSION TYPE: 10-Q PUBLIC DOCUMENT COUNT: 11 CONFORMED PERIOD OF REPORT: 20120930 FILED AS OF DATE: 20121101 DATE AS OF CHANGE: 20121101 FILER: COMPANY DATA: COMPANY CONFORMED NAME: CARMIKE CINEMAS INC CENTRAL INDEX KEY: 0000799088 STANDARD INDUSTRIAL CLASSIFICATION: SERVICES-MOTION PICTURE THEATERS [7830] IRS NUMBER: 581469127 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 10-Q SEC ACT: 1934 Act SEC FILE NUMBER: 000-14993 FILM NUMBER: 121172111 BUSINESS ADDRESS: STREET 1: 1301 FIRST AVE CITY: COLUMBUS STATE: GA ZIP: 31901 BUSINESS PHONE: 7065763400 MAIL ADDRESS: STREET 1: P O BOX 391 CITY: COLUMBUS STATE: GA ZIP: 31994 10-Q 1 d398844d10q.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 September 30, 2012

OR

 

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

For the transition period from          to         

Commission file number 000-14993

 

 

CARMIKE CINEMAS, INC.

(Exact Name of Registrant as Specified in Its Charter)

 

 

 

DELAWARE   58-1469127

(State or Other Jurisdiction of

Incorporation or Organization)

 

(I.R.S. Employer

Identification No.)

1301 First Avenue, Columbus, Georgia   31901-2109
(Address of Principal Executive Offices)   (Zip Code)

(706) 576-3400

(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.    Yes  x    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).    Yes  x    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. (Check one):

 

Large accelerated filer   ¨    Accelerated filer   x
Non-accelerated filer   ¨  (Do not check if a smaller reporting company)    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  ¨    No  x

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

Common Stock, par value $0.03 per share — 17,784,949 shares outstanding as of October 24, 2012.

 

 

 


Table of Contents

TABLE OF CONTENTS

 

     Page  

PART I. FINANCIAL INFORMATION

  

ITEM 1. FINANCIAL STATEMENTS (UNAUDITED)

     3   

CONDENSED CONSOLIDATED BALANCE SHEETS

     3   

CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS

     4   

CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS

     5   

NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

     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

     33   

ITEM 4. CONTROLS AND PROCEDURES

     33   

PART II. OTHER INFORMATION

  

ITEM 1. LEGAL PROCEEDINGS

     35   

ITEM 1A. RISK FACTORS

     35   

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

     35   

ITEM 3. DEFAULTS UPON SENIOR SECURITIES

     35   

ITEM 4. MINE SAFETY DISCLOSURES

     35   

ITEM 5. OTHER INFORMATION

     35   

ITEM 6. EXHIBITS

     36   

EXHIBIT INDEX

     36   

SIGNATURES

     37   

EX-31.1 SECTION 302 CERTIFICATION OF CEO

  

EX-31.2 SECTION 302 CERTIFICATION OF CFO

  

EX-32.1 SECTION 906 CERTIFICATION OF CEO

  

EX-32.2 SECTION 906 CERTIFICATION OF CFO

  


Table of Contents

PART I. FINANCIAL INFORMATION

 

ITEM 1. FINANCIAL STATEMENTS

CARMIKE CINEMAS, INC. and SUBSIDIARIES

CONDENSED CONSOLIDATED BALANCE SHEETS

(in thousands except share and per share data)

 

     September 30,     December 31,  
     2012     2011  
     (Unaudited)        

Assets:

    

Current assets:

    

Cash and cash equivalents

   $ 82,043      $ 13,616   

Restricted cash

     58        331   

Accounts receivable

     4,706        4,985   

Inventories

     2,860        2,955   

Prepaid expenses and other current assets

     9,878        9,410   
  

 

 

   

 

 

 

Total current assets

     99,545        31,297   
  

 

 

   

 

 

 

Property and equipment:

    

Land

     52,646        53,909   

Buildings and building improvements

     269,016        276,221   

Leasehold improvements

     121,853        123,547   

Assets under capital leases

     44,970        44,970   

Equipment

     220,801        212,457   

Construction in progress

     7,466        2,349   
  

 

 

   

 

 

 

Total property and equipment

     716,752        713,453   

Accumulated depreciation and amortization

     (365,258     (357,518
  

 

 

   

 

 

 

Property and equipment, net of accumulated depreciation

     351,494        355,935   

Goodwill

     8,087        8,087   

Intangible assets, net of accumulated amortization

     1,088        1,169   

Investments in unconsolidated affiliates (Note 10)

     7,960        8,498   

Other assets

     21,020        17,870   
  

 

 

   

 

 

 

Total assets

   $ 489,194      $ 422,856   
  

 

 

   

 

 

 

Liabilities and stockholders’ equity (deficit):

    

Current liabilities:

    

Accounts payable

   $ 20,075      $ 29,583   

Accrued expenses

     36,671        31,136   

Current maturities of long-term debt, capital leases and long-term financing obligations

     2,216        3,959   
  

 

 

   

 

 

 

Total current liabilities

     58,962        64,678   
  

 

 

   

 

 

 

Long-term liabilities:

    

Long-term debt, less current maturities

     209,530        196,880   

Capital leases and long-term financing obligations, less current maturities

     113,237        114,608   

Deferred revenue

     33,273        34,009   

Other

     17,024        18,306   
  

 

 

   

 

 

 

Total long-term liabilities

     373,064        363,803   
  

 

 

   

 

 

 

Commitments and contingencies (Note 7)

    

Stockholders’ equity (deficit):

    

Preferred Stock, $1.00 par value per share: 1,000,000 shares authorized, no shares issued

     —          —     

Common Stock, $0.03 par value per share: 35,000,000 shares authorized, 18,238,847 shares issued and 17,781,617 shares outstanding at September 30, 2012, and 13,419,872 shares issued and 12,966,942 shares outstanding at December 31, 2011

     539        401   

Treasury stock, 457,230 and 452,930 shares at cost at September 30, 2012 and December 31, 2011, respectively

     (11,740     (11,683

Paid-in capital

     349,046        290,997   

Accumulated deficit

     (280,677     (285,340
  

 

 

   

 

 

 

Total stockholders’ equity (deficit)

     57,168        (5,625
  

 

 

   

 

 

 

Total liabilities and stockholders’ equity (deficit)

   $ 489,194      $ 422,856   
  

 

 

   

 

 

 

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

 

3


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CARMIKE CINEMAS, INC. and SUBSIDIARIES

CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS

(in thousands except per share data)

 

     Three Months Ended September 30,     Nine Months Ended September 30,  
     2012     2011     2012     2011  
     (Unaudited)     (Unaudited)     (Unaudited)     (Unaudited)  

Revenues:

        

Admissions

   $ 80,409      $ 86,081      $ 250,423      $ 231,677   

Concessions and other

     47,067        47,253        143,888        128,665   
  

 

 

   

 

 

   

 

 

   

 

 

 

Total operating revenues

     127,476        133,334        394,311        360,342   

Operating costs and expenses:

        

Film exhibition costs

     44,146        46,996        136,126        125,627   

Concession costs

     5,768        5,671        16,863        14,858   

Other theatre operating costs

     53,380        54,093        158,465        152,385   

General and administrative expenses

     5,650        4,458        15,826        13,687   

Severance agreement charges

     95        —          588        845   

Depreciation and amortization

     8,488        8,246        24,028        23,905   

Loss on sale of property and equipment

     699        47        948        108   

Write-off of note receivable

     —          —          —          750   

Impairment of long-lived assets

     1,835        18        3,371        1,342   
  

 

 

   

 

 

   

 

 

   

 

 

 

Total operating costs and expenses

     120,061        119,529        356,215        333,507   
  

 

 

   

 

 

   

 

 

   

 

 

 

Operating income

     7,415        13,805        38,096        26,835   

Interest expense

     8,605        8,050        25,478        25,833   

Loss on extinguishment of debt

     —          —          4,961        —     
  

 

 

   

 

 

   

 

 

   

 

 

 

(Loss) income before income tax and income from unconsolidated affiliates

     (1,190     5,755        7,657        1,002   

Income tax expense (Note 4)

     464        3,936        3,822        11,251   

Income from unconsolidated affiliates (Note 10)

     1,950        1,291        958        987   
  

 

 

   

 

 

   

 

 

   

 

 

 

Income (loss) from continuing operations

     296        3,110        4,793        (9,262

Loss from discontinued operations (Note 6)

     (63     (20     (130     (163
  

 

 

   

 

 

   

 

 

   

 

 

 

Net income (loss)

   $ 233      $ 3,090      $ 4,663      $ (9,425
  

 

 

   

 

 

   

 

 

   

 

 

 

Weighted average shares outstanding:

        

Basic

     17,519        12,823        15,775        12,801   

Diluted

     17,881        12,849        16,061        12,801   

Net income (loss) per common share (Basic):

        

Income (loss) from continuing operations

   $ 0.02      $ 0.24      $ 0.31      $ (0.72

Loss from discontinued operations, net of tax

     (0.01     —          (0.01     (0.01
  

 

 

   

 

 

   

 

 

   

 

 

 

Net income (loss)

   $ 0.01      $ 0.24      $ 0.30      $ (0.73
  

 

 

   

 

 

   

 

 

   

 

 

 

Net income (loss) per common share (Diluted):

        

Income (loss) from continuing operations

   $ 0.02      $ 0.24      $ 0.30      $ (0.72

Loss from discontinued operations, net of tax

     (0.01     —          (0.01     (0.01
  

 

 

   

 

 

   

 

 

   

 

 

 

Net income (loss)

   $ 0.01      $ 0.24      $ 0.29      $ (0.73
  

 

 

   

 

 

   

 

 

   

 

 

 

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

 

4


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CARMIKE CINEMAS, INC. and SUBSIDIARIES

CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS

(in thousands)

 

     Nine Months Ended September 30,  
     2012     2011  
     (Unaudited)     (Unaudited)  

Cash flows from operating activities:

    

Net income (loss)

   $ 4,663      $ (9,425

Adjustments to reconcile net income (loss) to net cash provided by operating activities:

    

Depreciation and amortization

     24,068        24,043   

Amortization of debt issuance costs

     1,398        2,582   

Impairment on long-lived assets

     3,466        1,342   

Loss on extinguishment of debt

     4,961        —     

Stock-based compensation

     1,622        1,590   

Loss (income) from unconsolidated affiliates

     114        (987

Other

     284        416   

Write-off of note receivable

     —          750   

Loss (gain) on sale of property and equipment

     767        (123

Changes in operating assets and liabilities:

    

Accounts receivable and inventories

     275        302   

Screenvision receivable

     —          30,000   

Prepaid expenses and other assets

     111        869   

Accounts payable

     (10,133     (4,692

Accrued expenses and other liabilities

     4,271        2,512   

Distributions from unconsolidated affiliates

     348        344   
  

 

 

   

 

 

 

Net cash provided by operating activities

     36,215        49,523   
  

 

 

   

 

 

 

Cash flows from investing activities:

    

Purchases of property and equipment

     (25,923     (12,306

Release of restricted cash

     273        260   

Theatre acquisition

     (702     (2,550

Investment in unconsolidated affiliates

     (54     (718

Proceeds from sale of property and equipment

     2,857        444   
  

 

 

   

 

 

 

Net cash used in investing activities

     (23,549     (14,870
  

 

 

   

 

 

 

Cash flows from financing activities:

    

Debt activities:

    

Short-term borrowings

     5,000        —     

Repayment of short-term borrowings

     (5,000     —     

Issuance of long-term debt

     209,500        —     

Repayments of long-term debt

     (200,229     (26,698

Debt issuance costs

     (8,621     (588

Repayments of capital lease and long-term financing obligations

     (1,397     (1,408

Issuance of common stock

     56,565        —     

Purchase of treasury stock

     (57     (26
  

 

 

   

 

 

 

Net cash provided by (used in) financing activities

     55,761        (28,720
  

 

 

   

 

 

 

Increase in cash and cash equivalents

     68,427        5,933   

Cash and cash equivalents at beginning of period

     13,616        13,066   
  

 

 

   

 

 

 

Cash and cash equivalents at end of period

   $ 82,043      $ 18,999   
  

 

 

   

 

 

 

SUPPLEMENTAL DISCLOSURES OF CASH FLOW INFORMATION:

    

Cash paid during the period for:

    

Interest

   $ 17,105      $ 25,738   

Income taxes

   $ 4,884      $ 9,405   

Non-cash investing and financing activities:

    

Non-cash purchase of property and equipment

   $ 2,314      $ 3,165   

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

 

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CARMIKE CINEMAS, INC. and SUBSIDIARIES

NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

For the three and nine months ended September 30, 2012 and 2011

(unaudited)

(in thousands except share and per share data)

NOTE 1—BASIS OF PRESENTATION AND SIGNIFICANT ACCOUNTING POLICIES

Basis of Presentation

Carmike Cinemas, Inc. (referred to as “we”, “us”, “our”, and the “Company”) has prepared the accompanying unaudited condensed consolidated financial statements in accordance with accounting principles generally accepted in the United States of America (“GAAP”) for interim financial information and the rules and regulations of the Securities and Exchange Commission (the “SEC”). This information reflects all adjustments which in the opinion of management are necessary for a fair presentation of the balance sheet as of September 30, 2012 and December 31, 2011, the results of operations for the three and nine month periods ended September 30, 2012 and 2011 and cash flows for the nine months ended September 30, 2012 and 2011. Certain information and footnote disclosures normally included in financial statements prepared in accordance with GAAP have been condensed or omitted. The Company believes that the disclosures are adequate to make the information presented not misleading. These condensed consolidated financial statements should be read in conjunction with the consolidated financial statements and the notes thereto included in our Annual Report on Form 10-K for the year ended December 31, 2011. That report includes a summary of our critical accounting policies. There have been no material changes in our accounting policies during the first nine months of 2012.

The consolidated financial statements include the accounts of the Company’s wholly owned subsidiaries. All intercompany transactions and balances have been eliminated.

Accounting Estimates

In the preparation of financial statements in conformity with GAAP, management must make certain estimates, judgments and assumptions. These estimates, judgments and assumptions are made when accounting for items and matters such as, but not limited to, depreciation, amortization, asset valuations, impairment assessments, lease classification, employee benefits, income taxes, reserves and other provisions and contingencies. These estimates are based on the information available when recorded. These estimates, judgments and assumptions can affect the reported amounts of assets and liabilities as of the date of the financial statements, as well as the reported amounts of revenue and expenses during the periods presented. The Company bases its estimates on historical experience and on various other assumptions that are believed to be reasonable under the circumstances, the results of which form the basis for making judgments about the carrying values of assets and liabilities that are not readily apparent from other sources. Actual results may differ from these estimates under different assumptions or conditions. Changes in estimates are recognized in the period they are determined.

Discontinued Operations

The results of operations for theatres that have been disposed of or classified as held for sale are eliminated from the Company’s continuing operations and classified as discontinued operations for each period presented within the Company’s condensed consolidated statements of operations. Theatres are reported as discontinued operations when the Company no longer has continuing involvement in the theatre operations and the cash flows have been eliminated, which generally occurs when the Company no longer has operations in a given market. See Note 6 – Discontinued Operations.

Impairment of Long-Lived Assets

Long-lived assets are tested for recoverability whenever events or circumstances indicate that the assets’ carrying values may not be recoverable. The Company performs its impairment analysis at the individual theatre-level, the lowest level of independent, identifiable cash flow. Management reviews all available evidence when assessing long-lived assets for impairment, including negative trends in theatre-level cash flow, the impact of competition, the age of the theatre, and alternative uses of the assets. The Company’s evaluation of negative trends in theatre-level cash flow considers the seasonality of the business, with significant revenues and cash flow generated in the summer and year-end holiday season. Absent any unusual circumstances, management evaluates new theatres for potential impairment only after a theatre has been open and operational for a sufficient period of time to allow its operations to mature.

For those assets that are identified as potentially being impaired, if the undiscounted future cash flows from such assets are less than the carrying value, the Company recognizes a loss equal to the difference between the carrying value and the asset’s fair value. The fair value of the assets is primarily estimated using the discounted future cash flow of the assets with consideration of other valuation techniques and using assumptions consistent with those used by market participants. Significant judgment is involved in estimating cash flows and fair value; significant assumptions include attendance levels, admissions and concessions pricing, and the weighted-average cost of capital. Management’s estimates are based on historical and projected operating performance.

 

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Fair Value Measurements

The carrying values of cash and cash equivalents, accounts receivable, accounts payable and accrued liabilities approximate their fair value due to the short-term maturities of these assets and liabilities.

The fair value of the Senior Secured Notes and Credit Facility described in Note 3 – Debt is estimated based on quoted market prices at the date of measurement.

Comprehensive Income

The Company has no other comprehensive income items.

Recent Accounting Pronouncements

In July 2012, the Financial Accounting Standards Board (“FASB”) issued Accounting Standards Update (“ASU”) 2012-02, “Testing Indefinite-Lived Intangible Assets for Impairment.” Under ASU 2012-02, an entity testing an indefinite-lived intangible asset for impairment has the option of performing a qualitative assessment before calculating the fair value of the asset. The ASU does not revise the requirements to test indefinite-lived intangible assets annually and test between annual tests if there is a change in events of circumstances. The amendments are effective for fiscal years, and interim periods within those years, beginning after September 15, 2012. The amendments are not expected to have any impact on the Company’s financial position or results of operations.

NOTE 2—IMPAIRMENT OF LONG-LIVED ASSETS

For the three and nine months ended September 30, 2012, impairment charges aggregated to $1,930 and $3,466, respectively. The impairment charges were primarily the result of the Company’s plan to replace two owned theatres prior to the end of their useful lives and the continued deterioration of previously impaired theatres. The Company recorded impairment charges of $18 and $1,342 during the three and nine months ended September 30, 2011 which were primarily the result of continued deterioration of previously impaired theatres and a decline in market value of a previously closed theatre.

The estimated aggregate fair value of the long-lived assets impaired during the three and nine months ended September 30, 2012 was approximately $1,248 and $6,925, respectively. These fair value estimates are considered Level 3 estimates and were derived primarily from discounting estimated future cash flows and appraisals of certain owned properties. Future cash flows for a particular theatre are based on historical cash flows for that theatre, after giving effect to future attendance fluctuations, and are projected through the remainder of its lease term or useful life. The Company projects future attendance fluctuations of (10%) to 10%. The risk-adjusted rate of return used to discount these cash flows ranges from 10% to 15%.

NOTE 3—DEBT

The Company’s debt consisted of the following on the dates indicated:

 

     September 30,     December 31,  
     2012     2011  

Term loan

   $ —        $ 200,229   

Senior secured notes

     210,000        —     

Revolving credit facility

     —          —     

Original issue discount

     (470     (1,306
  

 

 

   

 

 

 

Total debt

     209,530        198,923   

Current maturities

     —          (2,043
  

 

 

   

 

 

 

Total long-term debt

   $ 209,530      $ 196,880   
  

 

 

   

 

 

 

Senior Secured Notes

In April 2012, the Company issued $210,000 aggregate principal amount of 7.375% Senior Secured Notes due May 15, 2019 (the “Senior Secured Notes”). The proceeds were used to repay the Company’s $265,000 senior secured term loan that was due in January 2016 with a then outstanding balance of $198,700. The Company recorded a loss on extinguishment of debt of $4,961 during the nine months ended September 30, 2012, for the write-off of unamortized debt issuance costs. Interest is payable on the Senior Secured Notes on May 15 and November 15 of each year, beginning on November 15, 2012.

 

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The Senior Secured Notes are fully and unconditionally guaranteed by each of the Company’s existing subsidiaries and will be guaranteed by any future domestic wholly-owned restricted subsidiaries of the Company. Debt issuance costs and other transaction fees of $8,600 are included in prepaid expenses and other current assets and other non-current assets and amortized over the life of the debt as interest expense. The Senior Secured Notes are secured, subject to certain permitted liens, on a second priority basis by substantially all of the Company’s and the guarantors’ current and future property and assets (including the capital stock of the Company’s current subsidiaries), other than certain excluded assets.

At any time prior to May 15, 2015, the Company may redeem up to 35% of the aggregate principal amount of the Senior Secured Notes with the proceeds of certain equity offerings at a redemption price equal to 107.375% of the principal amount of the Senior Secured Notes, plus accrued and unpaid interest to, but excluding the redemption date; provided, however, that at least 65% of the aggregate principal amount of the Senior Secured Notes are outstanding immediately following the redemption. In addition, at any time prior to May 15, 2015, the Company may redeem all or a portion of the Senior Secured Notes by paying a “make-whole” premium calculated as described in the indenture governing the Senior Secured Notes (the “Indenture”). The Company has not separated the make-whole premium from the underlying debt instrument to account for it as a derivative instrument as the economic characteristics and risks of this embedded derivative are clearly and closely related to the economic characteristics of the underlying debt.

At any time on or after May 15, 2015, the Company may redeem all or a portion of the Senior Secured Notes at redemption prices calculated based on a percentage of the principal amount of the Senior Secured Notes being redeemed, plus accrued and unpaid interest, if any, to the redemption date, depending on the date on which the Senior Secured Notes are redeemed. These percentages range from between 100.00% and 105.53%.

Following a change of control, as defined in the Indenture, the Company will be required to make an offer to repurchase all or any portion of the Senior Secured Notes at a purchase price of 101% of the principal amount, plus accrued and unpaid interest to, but excluding, the date of repurchase.

Revolving Credit Facility

In April 2012, the Company also entered into a new $25,000 revolving credit facility (the “Credit Facility”) with an interest rate of LIBOR (subject to a 1.00% floor) plus a margin of 4.50%, or Base Rate (subject to a 2.00% floor) plus a margin of 3.50%, as the Company may elect. In addition, the Company is required to pay commitment fees on the unused portion of the Credit Facility at the rate of 0.50% per annum. The termination date of the Credit facility is April 27, 2016. The new $25,000 revolving credit facility replaced the prior $30,000 revolving credit facility that was scheduled to mature in January 2013.

The Credit Facility includes a sub-facility for the issuance of letters of credit totaling up to $10,000. The Company’s obligations under the Credit Facility are guaranteed by each of the Company’s existing and future direct and indirect wholly-owned domestic subsidiaries, and the obligations of the Company and such guarantors in respect of the Credit Facility are secured by first priority liens on substantially all of the Company’s and such subsidiaries’ current and future property and assets, other than certain excluded assets pursuant to the first lien guarantee and collateral agreement by and among the Company, such guarantors and Wells Fargo Bank, National Association, as collateral trustee. In addition, the Credit Facility contains provisions to accommodate the incurrence of up to $150,000 in future incremental borrowings. While the Credit Facility does not contain any commitment by the lenders to provide this incremental indebtedness, the Credit Facility describes how such debt (if provided by the Company’s existing or new lenders) would be subject to various financial and other covenant compliance requirements and conditions at the time the additional debt is incurred. There was no outstanding balance on the revolving credit facility at September 30, 2012.

The fair value of the Senior Secured Notes at September 30, 2012 and the senior secured term loan at December 31, 2011 is estimated based on quoted market prices as follows:

 

     As of September 30,      As of December 31,  
     2012      2011  

Carrying amount, net

   $ 210,000       $ 198,923 (1) 

Fair value

   $ 224,175       $ 198,247   

 

(1) Term loan is reflected net of unamortized discount of $1,306 at December 31, 2011.

 

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Debt Covenants

The Indenture and the Credit Facility include covenants which, among other things, limit the Company’s ability, and its subsidiaries, to:

 

   

incur additional indebtedness or guarantee obligations;

 

   

issue certain preferred stock or redeemable stock;

 

   

pay dividends beyond certain calculated thresholds, repurchase or make distributions in respect of the Company’s capital stock or make other restricted payments;

 

   

make certain investments;

 

   

sell, transfer or otherwise convey certain assets;

 

   

create or incur liens or other encumbrances;

 

   

prepay, redeem or repurchase subordinated debt prior to stated maturities;

 

   

designate the Company’s subsidiaries as unrestricted subsidiaries;

 

   

consolidate, merge, sell or otherwise dispose of all or substantially all of the Company’s assets;

 

   

enter into a new or different line of business; and

 

   

enter into certain transactions with the Company’s affiliates.

The restrictive covenants are subject to a number of important exceptions and qualifications set forth in the Indenture and the Credit Facility.

The Indenture provides for customary events of default. If any event of default occurs and is continuing, subject to certain exceptions, the trustee or the holders of at least 25% in aggregate principal amount of the then outstanding Senior Secured Notes may declare all the Senior Secured Notes to be due and payable immediately, together with any accrued and unpaid interest, if any, to the acceleration date. In the case of an event of default resulting from certain events of bankruptcy, insolvency or reorganization, such amounts with respect to the Senior Secured Notes will be due and payable immediately without any declaration or other act on the part of the trustee or the holders of the Senior Secured Notes.

The Credit Facility contains further limitations on the Company’s ability to incur additional indebtedness and liens. In addition, to the extent the Company incurs certain specified levels of additional indebtedness, further limitations under the Credit Facility will become applicable under covenants related to sales of assets, sale-leaseback transactions, investment transactions, and the payment of dividends and other restricted payments. If the Company draws on the Credit Facility, the Company will be required to maintain a first lien leverage ratio as defined (the “Leverage Ratio”) not more than 2.75 to 1.00. The Credit Facility also contains certain representations and warranties, other affirmative and negative covenants, and events of default customary for secured revolving credit facilities of this type.

The Company’s failure to comply with any of these covenants, including compliance with the Leverage Ratio, will be an event of default under the Credit Facility, in which case the administrative agent may, with the consent or at the request of lenders holding a majority of the commitments and outstanding loans, terminate the Credit Facility and declare all or any portion of the obligations under the Credit Facility due and payable. Other events of default under the Credit Facility include:

 

   

the Company’s failure to pay principal on the loans when due and payable, or its failure to pay interest on the loans or to pay certain fees and expenses (subject to applicable grace periods);

 

   

the occurrence of a change of control (as defined in the Credit Facility);

 

   

a breach or default by the Company or its subsidiaries on the payment of principal of any other indebtedness in an aggregate amount greater than $10,000;

 

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breach of representations or warranties in any material respect;

 

   

failure to perform other obligations under the Credit Facility and the security documents for the Credit Facility (subject to applicable cure periods); or

 

   

certain bankruptcy or insolvency events.

In the event of a bankruptcy or insolvency event of default, the Credit Facility will automatically terminate, and all obligations thereunder will immediately become due and payable.

As of September 30, 2012, the Company was in compliance with all of the financial covenants in its Credit Facility.

NOTE 4—INCOME TAXES

The Company’s effective income tax rate is based on expected income, statutory tax rates, tax planning opportunities available in the various jurisdictions in which it operates and the impact of valuation allowances against deferred tax assets. For interim financial reporting, the Company estimates the annual income tax rate based on projected taxable income for the full year and records a quarterly income tax provision or benefit in accordance with the anticipated annual rate. The Company refines the estimates of the year’s taxable income as new information becomes available, including actual year-to-date financial results. This continual estimation process often results in a change to the expected effective income tax rate for the year. When this occurs, the Company adjusts the income tax provision during the quarter in which the change in estimate occurs so that the year-to-date provision reflects the expected annual income tax rate. Significant judgment is required in determining the effective tax rate and in evaluating the tax positions.

The effective tax rate from continuing operations for the three months ended September 30, 2012 was 61.1%. The effective tax rate from continuing operations for the nine months ended September 30, 2012 was 44.4%. The Company’s tax rates for the three and nine months ended September 30, 2012 differ from the statutory tax rate primarily due to temporary differences between the financial reporting basis and tax basis of our assets and liabilities and the inability to recognize an associated deferred tax benefit, due to our ongoing assessment that the realization of our deferred tax assets is unlikely.

The Company experienced an “ownership change” within the meaning of Section 382(g) of the Internal Revenue Code of 1986, as amended, during the fourth quarter of 2008. The ownership change has and will continue to subject the Company’s pre-ownership change net operating loss carryforwards to an annual limitation, which will significantly restrict its ability to use them to offset taxable income in periods following the ownership change. In general, the annual use limitation equals the aggregate value of the Company’s stock at the time of the ownership change multiplied by a specified tax-exempt interest rate. The Company determined that at the date of the ownership change, it had a net unrealized built-in loss (“NUBIL”). The NUBIL is determined based on the difference between the fair market value of the Company’s assets and their tax basis at the ownership change. Because of the NUBIL, certain deductions recognized during the five-year period beginning on the date of the IRC Section 382 ownership change (the “recognition period”) are subjected to the same limitation as the net operating loss carryforwards. Because the annual limitation is applied first against the realized built-in losses (“RBILs”), the Company does not expect to utilize any of its net operating loss carryforwards during the five year recognition period. The amount of the disallowed RBILs could increase if the Company disposes of assets with built-in losses at the date of the ownership change during the recognition period. As a result of the 2008 ownership change, the Company is limited to an approximate $1.7 million annual limitation on its ability to utilize its pre-change net operating loss (“NOLs”) and recognized built-in losses.

The Company believes it has incurred an additional ownership change during the current year. While the Company is evaluating the impact of the current ownership change, it believes that the annual limitation under this ownership change would be greater than the 2008 limitation. Furthermore, it does not believe that it had a NUBIL immediately before the ownership change. A subsequent ownership change can reduce, but not increase, the size of the § 382 limitation that applies to pre-change losses from an earlier ownership change. Consequently, the Company does not believe the 2012 ownership change will more adversely impact its ability to utilize its NOL carryforwards.

As a result of the Company’s history of operating losses, the Company’s net deferred tax assets are fully offset by a valuation allowance at September 30, 2012 and December 31, 2011. The Company regularly assesses whether it is more likely than not that its deferred tax asset balance will be recovered from future taxable income, taking into account such factors as its earnings history, carryback and carryforward periods, and tax planning strategies. When evidence exists that indicates that recovery is uncertain, a valuation allowance is maintained against the deferred tax asset. At this time, the Company does not believe that realization of its deferred tax assets is more likely than not to occur. However, the amount of deferred tax asset considered realizable could be increased in the near term if estimates of future taxable income are determined to be sustainable.

The Company recognizes a tax benefit associated with an uncertain tax position when, in the Company’s judgment, it is more likely than not that the position will be sustained upon examination by a taxing authority. For a tax position that meets the more-likely-than-not recognition threshold, the Company initially and subsequently measures the tax benefit as the largest amount that the Company judges to have a greater than 50% likelihood of being realized upon ultimate settlement with a taxing authority.

 

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As of September 30, 2012 and December 31, 2011, the amount of unrecognized tax benefits was $2,500, all of which would affect the Company’s annual effective tax rate, if recognized. This unrecognized tax benefit is associated with the Company’s non-forfeitable ownership interest in SV Holdco, LLC (see Note 9 - Screenvision Exhibition, Inc.). The Company has recognized a tax basis for these units that is lower than their carrying value for financial statement purposes. However, as this tax position may not be sustained upon examination, the Company has recorded a related liability for this uncertain tax position.

NOTE 5—EQUITY BASED COMPENSATION

In March 2004, the Board of Directors adopted the Carmike Cinemas, Inc. 2004 Incentive Stock Plan (the “2004 Incentive Stock Plan”). The Company’s Compensation and Nominating Committee (or similar committee) may grant stock options, stock grants, stock units, and stock appreciation rights under the 2004 Incentive Stock Plan to certain eligible employees and to outside directors. As of September 30, 2012, there were 1,319,684 shares available for future grants under the 2004 Incentive Stock Plan. The Company’s policy is to issue new shares upon exercise of options and the issuance of stock grants.

The Company also issues restricted stock awards to certain key employees and directors. Generally, the restricted stock vests over a one to three year period and compensation expense is recognized over the one to three year period equal to the grant date fair value of the shares awarded. As of September 30, 2012, the Company also had 240,083 shares of performance-based awards outstanding which are dependent on the achievement of EBITDA targets that vest over a three-year period. As of September 30, 2012, 96,083 shares of these performance-based stock awards have been earned due to the achievement of EBITDA targets. Performance-based stock awards are recognized as compensation expense over the vesting period based on the fair value on the date of grant and the number of shares ultimately expected to vest. The Company has determined the achievement of the performance target for the unearned awards is probable.

The Company’s total stock-based compensation expense was approximately $521 and $403 for the three months ended September 30, 2012 and 2011, respectively, and $1,622 and $1,590 for the nine months ended September 30, 2012 and 2011, respectively. Included in stock-based compensation expense for the nine months ended September 30, 2012, is $115 related to the accelerated vesting of stock-based awards to the Company’s former Vice President-General Manager Theatre Operations. Included in stock-based compensation expense for the three and nine months ended September 30, 2011, is $222 related to the accelerated vesting of stock-based awards to the Company’s former Senior Vice President-General Counsel and Secretary. Stock-based compensation expense is included in general and administrative expenses in the consolidated statement of operations with the exception of the accelerated vested awards which are included in Severance Agreement Charges. As of September 30, 2012, the Company had approximately $3,549 of total unrecognized compensation cost related to non-vested share-based compensation arrangements granted under the Company’s plans. This cost is expected to be recognized as stock-based compensation expense over a weighted-average period of approximately 2.0 years. This expected cost does not include the impact of any future stock-based compensation awards.

Options – Service Condition Vesting

The Company currently uses the Black-Scholes option pricing model to determine the fair value of its stock options for which vesting is dependent only on employees providing future service.

No options were granted during the first nine months of 2012. The following table sets forth information about the weighted-average fair value of options granted and the weighted-average assumptions for such options granted during the first nine months of 2011:

 

     2011  

Fair value of options on grant date

   $ 4.87   

Expected life (years)

     6.0   

Risk-free interest rate

     2.3

Expected dividend yield

     —  

Expected volatility

     76.2

The Company’s stock-based compensation expense is recorded based on an estimated forfeiture rate of 5%.

 

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The following table sets forth the summary of option activity for stock options with service vesting conditions as of September 30, 2012:

 

                  Weighted         
           Weighted      Average         
           Average      Remaining      Aggregate  
           Exercise      Contractual      Intrinsic  
     Shares     Price      Life (Yrs.)      Value  

Outstanding at January 1, 2012

     796,500      $ 12.20         6.93      

Granted

     —        $ —           

Exercised

     (39,000   $ 7.81          $ 245   

Expired

     (10,000   $ 19.95         

Forfeited

     —        $ —           
  

 

 

   

 

 

    

 

 

    

 

 

 

Outstanding at September 30, 2012

     747,500      $ 12.32         6.18       $ 1,633   
  

 

 

   

 

 

    

 

 

    

 

 

 

Exercisable on September 30, 2012

     595,827      $ 13.34         5.68       $ 1,185   
  

 

 

   

 

 

    

 

 

    

 

 

 

Expected to vest September 30, 2012

     145,645      $ 8.33         8.13       $ 427   
  

 

 

   

 

 

    

 

 

    

 

 

 

Restricted Stock

The following table sets forth the summary of activity for restricted stock grants, including performance-based awards, for the nine months ended September 30, 2012:

 

           Weighted  
           Average  
           Grant Date  
     Shares     Fair Value  

Nonvested at January 1, 2012

     248,804      $ 8.43   

Granted

     263,928      $ 12.13   

Vested

     (65,808   $ 7.92   

Forfeited

     (6,000   $ 10.91   
  

 

 

   

Nonvested at September 30, 2012

     440,924      $ 10.69   
  

 

 

   

NOTE 6 – DISCONTINUED OPERATIONS

Theatres are generally considered for closure due to an expiring lease, underperformance, or the opportunity to better deploy invested capital. During the three months ended September 30, 2012 and 2011, the Company closed one theatre in each period and for the nine months ended September 30, 2012 and 2011, the Company closed eight and five theatres, respectively. With respect to the closures during the three months ended September 30, 2012 and 2011, the Company classified one theatre in each period as discontinued operations and for the nine months ended September 30, 2012 and 2011, the Company classified five theatres in each period as discontinued operations. The Company reported the results of these operations, including gains and losses on disposal, as discontinued operations. The operations and cash flows of these theatres have been eliminated from the Company’s operations, and the Company will not have any continuing involvement in their operations.

All activity during the three and nine months ended September 30, 2012 included in the accompanying consolidated statements of operations has been reclassified to separately reflect the results of operations from theatres closed in 2012 and considered discontinued operations through the respective date of the theatre closings. Assets and liabilities associated with the discontinued operations have not been segregated from assets and liabilities from continuing operations as they are not material.

 

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The following table sets forth the summary of activity for discontinued operations for the three and nine months ended September 30, 2012 and 2011:

 

     Three Months Ended September 30,  
     2012     2011  

Revenue from discontinued operations

   $ 112      $ 743   
  

 

 

   

 

 

 

Operating loss before income taxes

   $ (158   $ (32

Income tax benefit from discontinued operations

     59        14   

Gain (loss) on disposal, before income taxes

     57        (3

Income tax (expense) benefit on disposal

     (21     1   
  

 

 

   

 

 

 

Loss from discontinued operations

   $ (63   $ (20
  

 

 

   

 

 

 
     Nine Months Ended September 30,  
     2012     2011  

Revenue from discontinued operations

   $ 519      $ 2,257   
  

 

 

   

 

 

 

Operating loss before income taxes

   $ (389   $ (487

Income tax benefit from discontinued operations

     146        178   

Gain on disposal, before income taxes

     181        230   

Income tax expense on disposal

     (68     (84
  

 

 

   

 

 

 

Loss from discontinued operations

   $ (130   $ (163
  

 

 

   

 

 

 

NOTE 7—COMMITMENTS AND CONTINGENCIES

Contingencies

The Company, in the normal course of business, is involved in routine litigation and legal proceedings, such as personal injury claims, employment matters, contractual disputes and claims alleging Americans with Disabilities Act violations. Currently, there is no pending litigation or proceedings that the Company believes will have a material adverse effect, either individually or in the aggregate, on its business or its financial position, results of operations or cash flow.

On September 28, 2012, the Company entered into a definitive purchase agreement to acquire all of the membership units of Rave Reviews Cinemas, L.L.C. (“Rave”) (see Note 11 – Theatre Acquisitions). The Company expects the transaction to close during the fourth quarter of 2012. Upon closing, the Company expects to pay approximately $1.2 million for certain acquisition-related expenses.

NOTE 8—NET INCOME (LOSS) PER SHARE

Basic net income (loss) per common share has been computed using the weighted-average number of shares of common stock outstanding during the period. Diluted income (loss) per share is computed using the weighted-average number of common shares and common stock equivalents outstanding. Common stock equivalents totaling 361,507 and 285,786 for the three and nine months ended September 30, 2012, respectively, were excluded from the calculation of diluted earnings per share because of a decline in the average market price of the common stock below the exercise. As a result of the Company’s net losses, all common stock equivalents aggregating 1,049,092 for the nine months ended September 30, 2011 were excluded from the calculation of diluted loss per share given their anti-dilutive effect.

NOTE 9—SCREENVISION EXHIBITION, INC.

On October 14, 2010, the Company finalized the modification of its long-term exhibition agreement (the “Modified Exhibition Agreement”) with Screenvision Exhibition, Inc. (“Screenvision”), the Company’s exclusive provider of on-screen advertising services. The Modified Exhibition Agreement extends the Company’s exhibition agreement with Screenvision, which was set to expire on July 1, 2012, for an additional 30 year term through July 1, 2042 (“Expiration Date”).

In connection with the Modified Exhibition Agreement, the Company received a cash payment of $30,000 from Screenvision in January 2011. In addition, on October 14, 2010, the Company received, for no additional consideration, Class C membership units representing, as of that date, approximately 20% of the issued and outstanding membership units of SV Holdco, LLC (“SV Holdco”). SV Holdco is a holding company that owns and operates the Screenvision business through a subsidiary entity. SV Holdco has elected to be taxed as a partnership for U.S. federal income tax purposes.

 

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In September 2011, the Company made a voluntary capital contribution of $718 to SV Holdco. The capital contribution was made to maintain the Company’s relative ownership interest following an acquisition by Screenvision and additional capital contributions by other owners of SV Holdco. The Company received Class A membership units representing less than 1% of the issued and outstanding membership units of SV Holdco in return for the Company’s capital contribution.

As of September 30, 2012, the Company held Class C and Class A membership units representing approximately 19% of the total issued and outstanding membership units of SV Holdco. As of September 30, 2012, the carrying value of the Company’s ownership interest in SV Holdco is $7,000 and is included in investments in unconsolidated affiliates in the consolidated balance sheets. For book purposes, the Company has accounted for its investment in SV Holdco, LLC, a limited liability company for which separate accounts of each investor are maintained, as an equity method investment pursuant to Accounting Standards Codification 970-323-25-6.

The Company’s Class C membership units are intended to be treated as a “profits interest” in SV Holdco for U.S. federal income tax purposes and thus do not give the Company an interest in the other members’ initial or subsequent capital contributions. As a profits interest, the Company’s Class C membership units are designed to represent an equity interest in SV Holdco’s future profits and appreciation in assets beyond a defined threshold amount, which equaled $85,000 as of October 14, 2010. The $85,000 threshold amount represented the agreed upon value of initial capital contributions made by the members to SV Holdco and is subject to adjustment to account for future capital contributions made to SV Holdco. Accordingly, the threshold amount applicable to the Company’s Class C membership units has increased to $88,000 as of September 30, 2012.

The Company will also receive additional Class C membership units (“bonus units”), all of which will be subject to forfeiture, or may forfeit some of its initial Class C membership units, based upon changes in the Company’s future theatre and screen count. However, the Company will not forfeit more than 25% of the Class C membership units it received in October 2010, and the Company will not receive bonus units in excess of 33% of the Class C membership units it received in October 2010. Any bonus units and the initial Class C membership units subject to forfeiture will each become non-forfeitable on the Expiration Date, or upon the earlier occurrence of certain events, including (1) a change of control or liquidation of SV Holdco or (2) the consummation of an initial public offering of securities of SV Holdco. The Company’s Class C units in SV Holdco LLC that are subject to forfeiture, and any bonus units that may be awarded in future periods, will not be recognized in its consolidated financial statements until such units become non-forfeitable. Upon recognition, the Company will record its investment in any additional Class C and bonus units and will recognize revenue equal to the then estimated fair value of such units. The non-forfeitable ownership interest in SV Holdco was recorded at an estimated fair value of $6,555 which was determined using the Black Scholes Model. The Company has applied the equity method of accounting for the non-forfeitable units and for financial reporting purposes began recording the related percentage of the earnings or losses of SV Holdco in its consolidated statement of operations since October 14, 2010. The Company’s non-forfeitable Class C and Class A membership units represented approximately 15% of the total issued and outstanding membership units of SV Holdco as of September 30, 2012.

For financial reporting purposes, the gains from both the $30,000 cash payment to the Company and its non-forfeitable membership units in SV Holdco ($36,555 in the aggregate) have been deferred and will be recognized as concessions and other revenue on a straight line basis over the remaining term of the Modified Exhibition Agreement. The Company has included in concessions and other revenue in the consolidated statement of operations amounts related to Screenvision of approximately $2,700 and $7,600 for the three and nine months ended September 30, 2012 and approximately $2,800 and $7,100 for the three and nine months ended September 30, 2011, respectively. The Company reclassifies certain amounts from Screenvision included in concessions and other revenue to earnings from unconsolidated affiliates. The amount reclassified is based on the Company’s non-forfeitable ownership percentage of SV Holdco membership units, represents an intercompany gain to the Company and totaled approximately $400 for the three months ended September 30, 2012 and 2011 and approximately $1,200 and $1,300 for the nine months ended September 30, 2012 and 2011, respectively. The Company has included in accounts receivable in the consolidated balance sheets amounts due from Screenvision of $1,336 and $1,860 at September 30, 2012 and December 31, 2011, respectively.

A summary of changes in investments in unconsolidated affiliates and deferred revenue for the Company’s equity method investment in SV Holdco for the nine months ended September 30, 2012 is as follows:

 

Investments in unconsolidated affiliates

   SV Holdco  

Balance at January 1, 2012

   $ 7,514   

Equity earnings of SV Holdco

     (503
  

 

 

 

Balance at September 30, 2012

   $ 7,011   
  

 

 

 

 

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Deferred revenue

   SV Holdco  

Balance at January 1, 2012

   $ 35,162   

Amortization of up-front payment

     (710

Theatre acquisition bonus- MNM Theatres

     134   

Amortization of Class C units

     (155
  

 

 

 

Balance at September 30, 2012

   $ 34,431   
  

 

 

 

NOTE 10—INVESTMENTS IN UNCONSOLIDATED AFFILIATES

Our investments in affiliated companies accounted for by the equity method consist of our ownership interest in Screenvision, as discussed in Note 9 – Screenvision Exhibition, Inc., and interests in other joint ventures.

Combined financial information of the unconsolidated affiliated companies accounted for by the equity method is as follows:

 

     As of September 30,  
     2012  

Assets:

  

Current assets

   $ 58,738   

Noncurrent assets

     161,150   
  

 

 

 

Total assets

   $ 219,888   
  

 

 

 

Liabilities:

  

Current liabilities

   $ 44,819   

Noncurrent liabilities

     88,957   
  

 

 

 

Total liabilities

   $ 133,776   
  

 

 

 

 

     Three Months Ended  
     September 30, 2012     September 30, 2011  

Results of operations:

    

Revenue

   $ 50,927      $ 55,828   

Net income

   $ 9,591      $ 5,217   
     Nine Months Ended  
     September 30, 2012     September 30, 2011  

Results of operations:

    

Revenue

   $ 105,575      $ 124,770   

Net loss

   $ (4,036   $ (2,519

 

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A summary of activity in income from unconsolidated affiliates for the nine months ended September 30, 2012 is as follows:

 

Income from unconsolidated affiliates

      

Income from unconsolidated affiliates

   $ (244

Elimination of intercompany revenue

     1,202   
  

 

 

 

Income from unconsolidated affiliates

   $ 958   
  

 

 

 

NOTE 11—THEATRE ACQUISITIONS

On March 30, 2012, the Company completed its purchase of certain assets from Destinta Theatres for approximately $700. The acquisition consisted of a seven screen theatre in Clarion, Pennsylvania. The Company has accounted for this transaction as an asset acquisition. The purchase price was allocated to the assets acquired, primarily leasehold improvements, based on their respective fair values.

On September 28, 2012, the Company entered into a definitive purchase agreement with Rave, pursuant to which, subject to satisfaction of certain conditions, the Company will acquire all of the membership units of Rave for approximately $19,000, subject to customary working capital and other adjustments. The Company will assume certain liabilities, including certain lease obligations which, upon closing, will be reflected on the Company’s consolidated balance sheet as capital lease and financing obligations, in the amount of approximately $100,400, subject to customary accounting adjustments to reflect the acquisition date fair value of such obligations. Rave operates 16 theatres located in 7 states. The Company is expected to complete the transaction in the fourth quarter of 2012. In accordance with the acquisition method of accounting, the acquired net assets will be recorded at fair value as of the date of the acquisition. The results of operations of Rave will be included in the Company’s consolidated statement of operations beginning on the date of the acquisition.

NOTE 12—COMMON STOCK OFFERING

On April 11, 2012, the Company issued 4.0 million shares of its common stock, at a price to the public of $13.00 per share through a registered public offering. The Company granted the underwriters an option to purchase up to an additional 600 thousand shares of the Company’s common stock to cover over-allotments, if any, which the underwriters could exercise within 30 days of the date of the final prospectus. The underwriters purchased the additional 600 thousand shares of common stock on April 11, 2012. The offering was made pursuant to the Company’s effective shelf registration statement previously filed with the Securities and Exchange Commission (“SEC”). The net proceeds from the transaction were approximately $56,300. The funds received from the issuance of the shares will be used for general corporate purposes, including working capital, repayment of debt, possible acquisitions and other capital expenditures.

 

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NOTE 13—GUARANTOR SUBSIDIARIES

The Company’s Senior Secured Notes, the offering of which was registered under the Securities Act of 1933, as amended, are fully and unconditionally guaranteed, on a joint and several basis, by the following 100% directly or indirectly owned subsidiaries: Eastwynn Theatres, Inc., George G. Kerasotes Corporation, GKC Indiana Theatres, Inc., GKC Michigan Theatres, Inc., GKC Theatres, Inc., and Military Services, Inc. Therefore, the Company is providing the following condensed consolidating financial statement information as of September 30, 2012 and December 31, 2011 and for the three and nine months ended September 30, 2012 and 2011 in accordance with SEC Regulation S-X Rule 3-10, Financial Statements of Guarantors and Issuers of Guaranteed Securities Registered or Being Registered:

CONDENSED CONSOLIDATING BALANCE SHEET

 

     As of September 30, 2012  
     Carmike     Guarantor              
     Cinemas, Inc.     Subsidiaries     Eliminations     Consolidated  

Assets:

        

Current assets:

        

Cash and cash equivalents

   $ 71,106      $ 10,937      $ —        $ 82,043   

Restricted cash

     58        —          —          58   

Accounts receivable

     4,554        152        —          4,706   

Inventories

     649        2,211        —          2,860   

Prepaid expenses and other assets

     9,194        4,660        (3,976     9,878   
  

 

 

   

 

 

   

 

 

   

 

 

 

Total current assets

     85,561        17,960        (3,976     99,545   
  

 

 

   

 

 

   

 

 

   

 

 

 

Property and equipment:

        

Land

     12,079        40,567        —          52,646   

Buildings and building improvements

     45,558        223,458        —          269,016   

Leasehold improvements

     19,375        102,478        —          121,853   

Assets under capital leases

     8,675        36,295        —          44,970   

Equipment

     65,161        155,640        —          220,801   

Construction in progress

     1,076        6,390        —          7,466   
  

 

 

   

 

 

   

 

 

   

 

 

 

Total property and equipment

     151,924        564,828        —          716,752   

Accumulated depreciation and amortization

     (77,068     (288,190     —          (365,258
  

 

 

   

 

 

   

 

 

   

 

 

 

Property and equipment, net of accumulated depreciation

     74,856        276,638        —          351,494   

Intercompany receivables

     102,346        —          (102,346     —     

Investments in subsidiaries

     90,553        —          (90,553     —     

Goodwill

     —          8,087        —          8,087   

Intangible assets, net of accumulated amortization

     —          1,088        —          1,088   

Investments in unconsolidated affiliates

     7,011        949        —          7,960   

Other assets

     14,926        6,094        —          21,020   
  

 

 

   

 

 

   

 

 

   

 

 

 

Total assets

   $ 375,253      $ 310,816      $ (196,875   $ 489,194   
  

 

 

   

 

 

   

 

 

   

 

 

 

Liabilities and stockholders’ equity:

        

Current liabilities:

        

Accounts payable

   $ 18,250      $ 1,825      $ —        $ 20,075   

Accrued expenses

     23,370        17,277        (3,976     36,671   

Current maturities of long-term debt, capital leases and long-term financing obligations

     420        1,796        —          2,216   
  

 

 

   

 

 

   

 

 

   

 

 

 

Total current liabilities

     42,040        20,898        (3,976     58,962   
  

 

 

   

 

 

   

 

 

   

 

 

 

Long-term liabilities:

        

Long-term debt, less current maturities

     209,530        —          —          209,530   

Capital leases and long-term financing obligations, less current maturities

     27,970        85,267        —          113,237   

Intercompany liabilities

     —          102,346        (102,346     —     

Deferred revenue

     33,273        —          —          33,273   

Other

     5,272        11,752        —          17,024   
  

 

 

   

 

 

   

 

 

   

 

 

 

Total long-term liabilities

     276,045        199,365        (102,346     373,064   
  

 

 

   

 

 

   

 

 

   

 

 

 

Stockholders’ equity:

        

Preferred stock

     —          —          —          —     

Common stock

     539        1        (1     539   

Treasury stock

     (11,740     —          —          (11,740

Paid-in capital

     349,046        237,800        (237,800     349,046   

Accumulated deficit

     (280,677     (147,248     147,248        (280,677
  

 

 

   

 

 

   

 

 

   

 

 

 

Total stockholders’ equity

     57,168        90,553        (90,553     57,168   
  

 

 

   

 

 

   

 

 

   

 

 

 

Total liabilities and stockholders’ equity

   $ 375,253      $ 310,816      $ (196,875   $ 489,194   
  

 

 

   

 

 

   

 

 

   

 

 

 

 

17


Table of Contents

CONDENSED CONSOLIDATING BALANCE SHEET

 

     As of December 31, 2011  
     Carmike     Guarantor              
     Cinemas, Inc     Subsidiaries     Eliminations     Consolidated  

Assets:

        

Current assets:

        

Cash and cash equivalents

   $ 3,623      $ 9,993      $ —        $ 13,616   

Restricted cash

     331        —          —          331   

Accounts receivable

     4,654        331        —          4,985   

Inventories

     722        2,233        —          2,955   

Prepaid expenses and other assets

     4,953        4,457        —          9,410   
  

 

 

   

 

 

   

 

 

   

 

 

 

Total current assets

     14,283        17,014        —          31,297   
  

 

 

   

 

 

   

 

 

   

 

 

 

Property and equipment:

        

Land

     12,716        41,193        —          53,909   

Buildings and building improvements

     46,676        229,545        —          276,221   

Leasehold improvements

     19,307        104,240        —          123,547   

Assets under capital leases

     8,675        36,295        —          44,970   

Equipment

     58,128        154,329        —          212,457   

Construction in progress

     159        2,190        —          2,349   
  

 

 

   

 

 

   

 

 

   

 

 

 

Total property and equipment

     145,661        567,792        —          713,453   

Accumulated depreciation and amortization

     (75,760     (281,758     —          (357,518
  

 

 

   

 

 

   

 

 

   

 

 

 

Property and equipment, net of accumulated depreciation

     69,901        286,034        —          355,935   

Intercompany receivables

     123,071        —          (123,071     —     

Investment in subsidiaries

     82,985        —          (82,985     —     

Goodwill

     —          8,087        —          8,087   

Intangible assets, net of accumulated amortization

     —          1,169        —          1,169   

Investment in unconsolidated affiliates

     8,498        —          —          8,498   

Other

     10,536        7,334        —          17,870   
  

 

 

   

 

 

   

 

 

   

 

 

 

Total assets

   $ 309,274      $ 319,638      $ (206,056   $ 422,856   
  

 

 

   

 

 

   

 

 

   

 

 

 

Liabilities and stockholders’ (deficit) equity:

        

Current liabilities:

        

Accounts payable

   $ 27,598      $ 1,985      $ —        $ 29,583   

Accrued expenses

     19,752        11,384        —          31,136   

Current maturities of long-term debt, capital leases and long-term financing obligations

     2,391        1,568        —          3,959   
  

 

 

   

 

 

   

 

 

   

 

 

 

Total current liabilities

     49,741        14,937        —          64,678   
  

 

 

   

 

 

   

 

 

   

 

 

 

Long-term liabilities:

        

Long-term debt, less current maturities

     196,880        —          —          196,880   

Capital leases and long-term financing obligations, less current maturities

     28,223        86,385        —          114,608   

Intercompany liabilities

     —          123,071        (123,071     —     

Deferred revenue

     34,009        —          —          34,009   

Other

     6,045        12,261        —          18,306   
  

 

 

   

 

 

   

 

 

   

 

 

 

Total long-term liabilities

     265,157        221,717        (123,071     363,803   
  

 

 

   

 

 

   

 

 

   

 

 

 

Stockholders’ (deficit) equity:

        

Preferred Stock

     —          —          —          —     

Common Stock

     401        1        (1     401   

Treasury stock

     (11,683     —          —          (11,683

Paid-in capital

     290,997        237,800        (237,800     290,997   

Accumulated deficit

     (285,340     (154,816     154,816        (285,340
  

 

 

   

 

 

   

 

 

   

 

 

 

Total stockholders’ (deficit) equity

     (5,625     82,985        (82,985     (5,625
  

 

 

   

 

 

   

 

 

   

 

 

 

Total liabilities and stockholders’ (deficit) equity

   $ 309,274      $ 319,638      $ (206,056   $ 422,856   
  

 

 

   

 

 

   

 

 

   

 

 

 

 

18


Table of Contents

CONDENSED CONSOLIDATING STATEMENT OF OPERATIONS

 

     Three Months Ended September 30, 2012  
     Carmike     Guarantor              
     Cinemas, Inc.     Subsidiaries     Eliminations     Consolidated  

Revenues:

        

Admissions

   $ 12,946      $ 67,463      $ —        $ 80,409   

Concessions and other

     14,062        39,168        (6,163     47,067   
  

 

 

   

 

 

   

 

 

   

 

 

 

Total operating revenues

     27,008        106,631        (6,163     127,476   
  

 

 

   

 

 

   

 

 

   

 

 

 

Operating costs and expenses:

        

Film exhibition costs

     7,163        36,983        —          44,146   

Concession costs

     975        4,793        —          5,768   

Other theatre operating costs

     10,402        49,141        (6,163     53,380   

General and administrative expenses

     5,094        556        —          5,650   

Severance agreement charges

     95        —          —          95   

Depreciation and amortization

     1,925        6,563        —          8,488   

Loss (gain) on sale of property and equipment

     718        (19     —          699   

Impairment of long-lived assets

     579        1,256        —          1,835   
  

 

 

   

 

 

   

 

 

   

 

 

 

Total operating costs and expenses

     26,951        99,273        (6,163     120,061   
  

 

 

   

 

 

   

 

 

   

 

 

 

Operating income

     57        7,358        —          7,415   

Interest expense

     2,117        6,488        —          8,605   

Equity in earnings of subsidiaries

     (284     —          284        —     
  

 

 

   

 

 

   

 

 

   

 

 

 

Loss (income) before income tax and income from unconsolidated affiliates

     (1,776     870        (284     (1,190

Income tax (benefit) expense

     (157     621        —          464   

Income from unconsolidated affiliates

     1,870        80        —          1,950   
  

 

 

   

 

 

   

 

 

   

 

 

 

Income from continuing operations

     251        329        (284     296   

Loss from discontinued operations

     (18     (45     —          (63
  

 

 

   

 

 

   

 

 

   

 

 

 

Net income

   $ 233      $ 284      $ (284   $ 233   
  

 

 

   

 

 

   

 

 

   

 

 

 

 

19


Table of Contents

CONDENSED CONSOLIDATING STATEMENT OF OPERATIONS

 

     Three Months Ended September 30, 2011  
     Carmike     Guarantor              
     Cinemas, Inc.     Subsidiaries     Eliminations     Consolidated  

Revenues:

        

Admissions

   $ 14,045      $ 72,036      $ —        $ 86,081   

Concessions and other

     14,247        39,450        (6,444     47,253   
  

 

 

   

 

 

   

 

 

   

 

 

 

Total operating revenues

     28,292        111,486        (6,444     133,334   
  

 

 

   

 

 

   

 

 

   

 

 

 

Operating costs and expenses:

        

Film exhibition costs

     7,764        39,232        —          46,996   

Concession costs

     980        4,691        —          5,671   

Other theatre operating costs

     10,905        49,632        (6,444     54,093   

General and administrative expenses

     3,922        536        —          4,458   

Depreciation and amortization

     1,686        6,560        —          8,246   

Loss (gain) on sale of property and equipment

     51        (4     —          47   

Impairment of long-lived assets

     —          18        —          18   
  

 

 

   

 

 

   

 

 

   

 

 

 

Total operating costs and expenses

     25,308        100,665        (6,444     119,529   
  

 

 

   

 

 

   

 

 

   

 

 

 

Operating income

     2,984        10,821        —          13,805   

Interest expense

     2,267        5,783        —          8,050   

Equity in earnings of subsidiaries

     (5,173     —          5,173        —     
  

 

 

   

 

 

   

 

 

   

 

 

 

Income before income tax and income from unconsolidated affiliates

     5,890        5,038        (5,173     5,755   

Income tax expense (benefit)

     3,999        (63     —          3,936   

Income from unconsolidated affiliates

     1,189        102        —          1,291   
  

 

 

   

 

 

   

 

 

   

 

 

 

Income from continuing operations

     3,080        5,203        (5,173     3,110   

Income (loss) from discontinued operations

     10        (30     —          (20
  

 

 

   

 

 

   

 

 

   

 

 

 

Net income

   $ 3,090      $ 5,173      $ (5,173   $ 3,090   
  

 

 

   

 

 

   

 

 

   

 

 

 

 

20


Table of Contents

CONDENSED CONSOLIDATING STATEMENT OF OPERATIONS

 

     Nine Months Ended September 30, 2012  
     Carmike
Cinemas, Inc.
    Guarantor
Subsidiaries
    Eliminations     Consolidated  

Revenues:

        

Admissions

   $ 40,863      $ 209,560      $ —        $ 250,423   

Concessions and other

     43,815        119,156        (19,083     143,888   
  

 

 

   

 

 

   

 

 

   

 

 

 

Total operating revenues

     84,678        328,716        (19,083     394,311   
  

 

 

   

 

 

   

 

 

   

 

 

 

Operating costs and expenses:

        

Film exhibition costs

     22,341        113,785        —          136,126   

Concession costs

     2,983        13,880        —          16,863   

Other theatre operating costs

     31,763        145,785        (19,083     158,465   

General and administrative expenses

     14,112        1,714        —          15,826   

Severance agreement charges

     588        —          —          588   

Depreciation and amortization

     5,348        18,680        —          24,028   

Loss on sale of property and equipment

     739        209        —          948   

Impairment of long-lived assets

     593        2,778        —          3,371   
  

 

 

   

 

 

   

 

 

   

 

 

 

Total operating costs and expenses

     78,467        296,831        (19,083     356,215   
  

 

 

   

 

 

   

 

 

   

 

 

 

Operating income

     6,211        31,885        —          38,096   

Interest expense

     6,998        18,480        —          25,478   

Loss on extinguishment of debt

     4,961        —          —          4,961   

Equity in earnings of subsidiaries

     (7,570     —          7,570        —     
  

 

 

   

 

 

   

 

 

   

 

 

 

Income before income tax and income from unconsolidated affiliates

     1,822        13,405        (7,570     7,657   

Income tax (benefit) expense

     (2,240     6,062        —          3,822   

Income from unconsolidated affiliates

     698        260        —          958   
  

 

 

   

 

 

   

 

 

   

 

 

 

Income from continuing operations

     4,760        7,603        (7,570     4,793   

Loss from discontinued operations

     (97     (33     —          (130
  

 

 

   

 

 

   

 

 

   

 

 

 

Net income

   $ 4,663      $ 7,570      $ (7,570   $ 4,663   
  

 

 

   

 

 

   

 

 

   

 

 

 

 

21


Table of Contents

CONDENSED CONSOLIDATING STATEMENT OF OPERATIONS

 

     Nine Months Ended September 30, 2011  
     Carmike
Cinemas, Inc.
    Guarantor
Subsidiaries
    Eliminations     Consolidated  

Revenues:

        

Admissions

   $ 39,046      $ 192,631      $ —        $ 231,677   

Concessions and other

     40,490        105,885        (17,710     128,665   
  

 

 

   

 

 

   

 

 

   

 

 

 

Total operating revenues

     79,536        298,516        (17,710     360,342   
  

 

 

   

 

 

   

 

 

   

 

 

 

Operating costs and expenses:

        

Film exhibition costs

     21,352        104,275        —          125,627   

Concession costs

     2,688        12,170        —          14,858   

Other theatre operating costs

     31,146        138,949        (17,710     152,385   

General and administrative expenses

     12,091        1,596        —          13,687   

Severance agreement charges

     845        —          —          845   

Depreciation and amortization

     4,975        18,930        —          23,905   

Loss (gain) on sale of property and equipment

     118        (10     —          108   

Write-off of note receivable

     750        —          —          750   

Impairment of long-lived assets

     907        435        —          1,342   
  

 

 

   

 

 

   

 

 

   

 

 

 

Total operating costs and expenses

     74,872        276,345        (17,710     333,507   
  

 

 

   

 

 

   

 

 

   

 

 

 

Operating income

     4,664        22,171        —          26,835   

Interest expense

     8,242        17,591        —          25,833   

Equity in earnings of subsidiaries

     (4,621     —          4,621        —     
  

 

 

   

 

 

   

 

 

   

 

 

 

Income before income tax and income from unconsolidated affiliates

     1,043        4,580        (4,621     1,002   

Income tax expense (benefit)

     11,255        (4     —          11,251   

Income from unconsolidated affiliates

     744        243        —          987   
  

 

 

   

 

 

   

 

 

   

 

 

 

(Loss) income from continuing operations

     (9,468     4,827        (4,621     (9,262

Income (loss) from discontinued operations

     43        (206     —          (163
  

 

 

   

 

 

   

 

 

   

 

 

 

Net (loss) income

   $ (9,425   $ 4,621      $ (4,621   $ (9,425
  

 

 

   

 

 

   

 

 

   

 

 

 

 

22


Table of Contents

CONDENSED CONSOLIDATING STATEMENT OF CASH FLOWS

 

     For the Nine Months Ended September 30, 2012  
     Carmike
Cinemas, Inc.
    Guarantor
Subsidiaries
    Eliminations      Consolidated  

Net cash provided by operating activities:

   $ 1,288      $ 34,927      $ —         $ 36,215   

Cash flows from investing activities:

         

Purchases of property and equipment

     (13,768     (12,155     —           (25,923

Theatre acquistion

     —          (702     —           (702

Investment in unconsolidated affiliates

     —          (54     —           (54

Proceeds from sale of property and equipment

     2,059        798        —           2,857   

Other investing activities

     273        —          —           273   
  

 

 

   

 

 

   

 

 

    

 

 

 

Net cash used in investing activities

     (11,436     (12,113        (23,549

Cash flows from financing activities:

         

Short-term borrowings

     5,000        —          —           5,000   

Repayments of short term borrowings

     (5,000     —          —           (5,000

Issuance of long-term debt

     209,500        —          —           209,500   

Repayments of long-term debt

     (200,229     —          —           (200,229

Debt issuance costs

     (8,621     —          —           (8,621

Repayments of capital leases and long-term financing obligations

     (252     (1,145     —           (1,397

Issuance of common stock

     56,565        —          —           56,565   

Purchase of treasury stock

     (57     —          —           (57

Intercompany receivable/payable

     20,725        (20,725     —           —     
  

 

 

   

 

 

   

 

 

    

 

 

 

Net cash provided by (used in) financing activities

     77,631        (21,870     —           55,761   
  

 

 

   

 

 

   

 

 

    

 

 

 

Increase in cash and cash equivalents

     67,483        944        —           68,427   

Cash and cash equivalents at beginning of period

     3,623        9,993        —           13,616   
  

 

 

   

 

 

   

 

 

    

 

 

 

Cash and cash equivalents at end of period

   $ 71,106      $ 10,937      $  —         $ 82,043   
  

 

 

   

 

 

   

 

 

    

 

 

 

 

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CONDENSED CONSOLIDATING STATEMENT OF CASH FLOWS

 

     For the Nine Months Ended September 30, 2011  
     Carmike
Cinemas, Inc.
    Guarantor
Subsidiaries
    Eliminations      Consolidated  

Net cash provided by operating activities:

   $ 21,830      $ 27,693      $ —         $ 49,523   

Cash flows from investing activities:

         

Purchases of property and equipment

     (1,527     (10,779        (12,306

Theatre acquistion

     (2,550     —          —           (2,550

Investment in unconsolidated affiliates

     (718     —          —           (718

Proceeds from sale of property and equipment

     6        438           444   

Other investing activities

     260        —             260   
  

 

 

   

 

 

   

 

 

    

 

 

 

Net cash used in investing activities

     (4,529     (10,341        (14,870

Cash flows from financing activities:

         

Repayments of long-term debt

     (26,698     —             (26,698

Intercompany receivable/payable

     19,188        (19,188        —     

Repayments of capital lease and long-term financing obligations

     (182     (1,226        (1,408

Other financing activities

     (614     —             (614
  

 

 

   

 

 

   

 

 

    

 

 

 

Net cash used in financing activities

     (8,306     (20,414     —           (28,720
  

 

 

   

 

 

   

 

 

    

 

 

 

Increase / (decrease) in cash and cash equivalents

     8,995        (3,062     —           5,933   

Cash and cash equivalents at beginning of period

     3,418        9,648           13,066   
  

 

 

   

 

 

   

 

 

    

 

 

 

Cash and cash equivalents at end of period

   $ 12,413      $ 6,586      $ —         $ 18,999   
  

 

 

   

 

 

   

 

 

    

 

 

 

 

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

The Company

We are one of the largest motion picture exhibitors in the United States and as of September 30, 2012 we owned, operated or had an interest in 232 theatres with 2,242 screens located in 35 states. We target small to mid-size non-urban markets with the belief that they provide a number of operating benefits, including lower operating costs and fewer alternative forms of entertainment.

As of September 30, 2012, we had 216 theatres with 2,119 screens on a digital-based platform, including 208 theatres with 748 screens equipped for 3-D. We believe our leading-edge technologies allow us not only greater flexibility in showing feature films, but also provide us with the capability to explore revenue-enhancing alternative content programming. Digital film content can be easily moved to and from auditoriums in our theatres to maximize attendance. The superior quality of digital cinema and our 3-D capability allows us to provide a quality presentation to our patrons.

We generate revenue primarily from box office receipts and concession sales along with additional revenues from screen advertising sales, our two Hollywood Connection fun centers, video games located in some of our theatres, and theatre rentals. Our revenue depends to a substantial degree on the availability of suitable motion pictures for screening in our theatres and the appeal of such motion pictures to patrons in our specific theatre markets. A disruption in the production of motion pictures, a lack of motion pictures, or the failure of motion pictures to attract the patrons in our theatre markets will likely adversely affect our business and results of operations.

Our revenue also varies significantly depending upon the timing of the film releases by distributors. While motion picture distributors now release major motion pictures more evenly throughout the year, the most marketable films are usually released during the summer months and the year-end holiday season, and we usually earn more during those periods than in other periods during the year. As a result, the timing of such releases affects our results of operations, which may vary significantly from quarter to quarter and year to year.

We generate the majority of our box office revenue from a particular film within the first 30 days of its release date to theatre exhibitors. Historically, films have not been released in other formats, such as DVD or video-on-demand, until approximately 120 days after the film’s initial release. However, over the past several years, the release window for films in other formats has shortened. It is possible that these release windows will continue to shorten, which could impact our ability to attract patrons to our theatres.

Film rental costs are variable in nature and fluctuate with the prospects of a film and the box office revenues of a film. Film rental rates are generally negotiated on a film-by-film and theatre-by-theatre basis and are typically higher for blockbuster films. Advertising costs, which are expensed as incurred, primarily represent advertisements and movie listings placed in newspapers. The cost of these advertisements is based on, among other things, the size of the advertisement and the circulation of the newspaper.

Concessions costs fluctuate with our concession revenues. We purchase substantially all of our non-beverage concession supplies from one supplier and substantially all of our beverage supplies from one supplier.

Other theatre costs consist primarily of theatre labor and occupancy costs. Theatre labor includes a fixed cost component that represents the minimum staffing needed to operate a theatre and a variable component that fluctuates in relation to revenues as theatre staffing is adjusted to address changes in attendance. Facility lease expense is primarily a fixed cost as most of our leases require a fixed monthly rent payment. Certain of our leases are subject to percentage rent clauses that require payments of amounts based on the level of revenue achieved at the theatre-level. Other occupancy costs are substantially fixed.

The ultimate performance of our film product any time during the calendar year will have a dramatic impact on our operating results and cash needs. In addition, the seasonal nature of the exhibition industry and positioning of film product makes our need for cash vary significantly from quarter to quarter. Generally, our liquidity needs are funded by operating cash flow, available funds under our credit agreement and short term float. Our ability to generate this cash will depend largely on future operations.

We continue to focus on operating performance improvements. This includes managing our operating costs, implementing pricing initiatives and closing underperforming theatres. We also intend to allocate our available capital primarily to developing new build-to-suit theatres, making strategic acquisitions, installing Big D auditoriums and improving the condition of our theatres.

 

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We actively seek ways to grow our circuit through the building of new theatres and acquisitions. On March 30, 2012, we finalized our purchase of certain assets from Destinta Theatres for approximately $0.7 million. The acquisition consisted of a seven screen theatre in Clarion, Pennsylvania.

On September 28, 2012, we entered into a definitive purchase agreement with Rave Reviews Cinemas, L.L.C (“Rave”), pursuant to which, subject to satisfaction of certain conditions, we will acquire all of the membership units of Rave for approximately $19.0 million, subject to customary working capital and other adjustments. We will assume certain liabilities, including certain lease obligations which, upon closing, will be reflected on our consolidated balance sheet as capital lease and financing obligations, in the amount of approximately $100.4 million, subject to customary accounting adjustments to reflect the acquisition date fair value of such obligations. Rave operates 16 theatres located in 7 states. The pending acquisition of Rave supports our growth strategy. We expect to complete the transaction in the fourth quarter of 2012.

In addition, we continue to pursue opportunities for organic growth through new theatre development. We opened two new build-to-suit theatres during the first nine months of 2012 and plan to open two additional theatres in 2012.

For a summary of risks and uncertainties relevant to our business, please see “Item 1A. Risk Factors” contained in our Annual Report on Form 10-K for the year ended December 31, 2011 and our Quarterly Report on Form 10-Q for the quarter ended March 31, 2012.

Results of Operations

Comparison of Three and Nine Months Ended September 30, 2012 and September 30, 2011

Revenues. We collect substantially all of our revenues from the sale of admission tickets and concessions. The table below provides a comparative summary of the operating data for this revenue generation.

 

     Three Months Ended      Nine Months Ended  
     September 30,      September 30,  
     2012      2011      2012      2011  

Average theatres

     233         235         235         236   

Average screens

     2,244         2,217         2,256         2,221   

Average attendance per screen (1)

     5,504         6,013         16,449         16,106   

Average admission per patron (1)

   $ 6.52       $ 6.49       $ 6.76       $ 6.51   

Average concessions and other sales per patron (1)

   $ 3.81       $ 3.57       $ 3.88       $ 3.63   

Total attendance (in thousands) (1)

     12,353         13,332         37,117         35,776   

Total operating revenues (in thousands)

   $ 127,476       $ 133,334       $ 394,311       $ 360,342   

 

(1) Includes activity from theatres designated as discontinued operations and reported as such in the consolidated statements of operations.

Total revenue decreased approximately 4.4% to $127.5 million for the three months ended September 30, 2012 compared to $133.3 million for the three months ended September 30, 2011, due to a decrease in total attendance from 13.3 million in the third quarter of 2011 to 12.4 million for the third quarter of 2012, partially offset by an increase in average admissions per patron from $6.49 in the third quarter of 2011 to $6.52 in the third quarter of 2012 and an increase in average concessions and other sales per patron from $3.57 in the third quarter of 2011 to $3.81 for the third quarter of 2012. Attendance was down period over period due principally to a more favorable movie slate in 2011. Average concessions and other sales per patron increased, primarily due to concession promotions and increased prices.

Total revenue increased approximately 9.4% to $394.3 million for the nine months ended September 30, 2012 from $360.3 million for the nine months ended September 30, 2011 due to an increase in total attendance from 35.8 million for the 2011 period to 37.1 million for the 2012 period, an increase in average admissions per patron from $6.51 for the 2011 period to $6.76 in the 2012 period and an increase in average concessions and other sales per patron from $3.63 in the 2011 period to $3.88 in the 2012 period.

Admissions revenue decreased approximately 6.6% to $80.4 million for the three months ended September 30, 2012 from $86.1 million for the same period in 2011, due to a decrease in total attendance from 13.3 million in the third quarter of 2011 to 12.4 million for the third quarter of 2012, partially offset by an increase in average admissions per patron from $6.49 in the third quarter of 2011 to $6.52 for the third quarter of 2012.

 

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Admissions revenue increased approximately 8.1% to $250.4 million for the nine months ended September 30, 2012 from $231.7 million for the same period in 2011, due to an increase in total attendance from 35.8 million for the nine months ended September 30, 2011 to 37.1 million for the nine months ended September 30, 2012 and an increase in average admissions per patron from $6.51 for the 2011 period to $6.76 for the 2012 period.

Concessions and other revenue decreased approximately 0.4% to $47.1 million for the three months ended September 30, 2012 compared to $47.3 million for the same period in 2011, due to a decrease in total attendance from 13.3 million for the three months ended September 30, 2011 to 12.4 million for the three months ended September 30, 2012, offset by an increase in average concessions and other sales per patron from $3.57 in the third quarter of 2011 to $3.81 for the third quarter of 2012.

Concessions and other revenue increased approximately 11.8% to $143.9 million for the nine months ended September 30, 2012 compared to $128.7 million for the nine months ended September 30, 2011 due to an increase in total attendance from 35.8 million for the nine months ended September 30, 2011 to 37.1 million for the nine months ended September 30, 2012 and an increase in average concession and other sales per patron from $3.63 in the 2011 period to $3.88 for the 2012 period.

We operated 232 theatres with 2,242 screens at September 30, 2012 compared to 235 theatres with 2,215 screens at September 30, 2011.

Operating costs and expenses. The table below summarizes operating expense data for the periods presented.

 

     Three Months Ended            Nine Months Ended         
     September 30,            September 30,         
($’s in thousands)    2012      2011      % Change     2012      2011      % Change  

Film exhibition costs

   $ 44,146       $ 46,996         (6   $ 136,126       $ 125,627         8   

Concession costs

   $ 5,768       $ 5,671         2      $ 16,863       $ 14,858         13   

Other theatre operating costs

   $ 53,380       $ 54,093         (1   $ 158,465       $ 152,385         4   

General and administrative expenses

   $ 5,650       $ 4,458         27      $ 15,826       $ 13,687         16   

Severance agreement charges

   $ 95       $ —           n/m      $ 588       $ 845         (30

Depreciation and amortization

   $ 8,488       $ 8,246         3      $ 24,028       $ 23,905         1   

Loss on sale of property and equipment

   $ 699       $ 47         n/m      $ 948       $ 108         n/m   

Write-off of note receivable

   $ —         $ —           —        $ —         $ 750         n/m   

Impairment of long-lived assets

   $ 1,835       $ 18         n/m      $ 3,371       $ 1,342         n/m   

Film exhibition costs. Film exhibition costs fluctuate in direct relation to the increases and decreases in admissions revenue and the mix of aggregate and term film deals. Film exhibition costs as a percentage of revenues are generally higher for periods with more blockbuster films. Film exhibition costs for the three months ended September 30, 2012 decreased to $44.1 million as compared to $47.0 million for the three months ended September 30, 2011 primarily resulting from a decrease in total attendance. As a percentage of admissions revenue, film exhibition costs increased to 54.9% for the three months ended September 30, 2012 as compared to 54.6% for the three months ended September 30, 2011. Film exhibition costs for the nine months ended September 30, 2012 increased to $136.1 million as compared to $125.6 million for the nine months ended September 30, 2011. As a percentage of admissions revenue, film exhibition costs for the nine months ended September 30, 2012 were 54.4% as compared to 54.2% for the nine months ended September 30, 2011.

Concession costs. Concession costs fluctuate with changes in concessions revenue and product sales mix and changes in our cost of goods sold. Concession costs for the three months ended September 30, 2012 remained consistent with the three months ended September 30, 2011. Concession costs were $5.8 million and $5.7 million for the three months ended September 30, 2012 and 2011, respectively. As a percentage of concessions and other revenues, concession costs for the three months ended September 30, 2012 were 12.3% as compared to 12.0% for the three months ended September 30, 2011. Concession costs increased to approximately $16.9 million for the nine months ended September 30, 2012, compared to $14.9 million for the nine months ended September 30, 2011 due to increased concessions sales resulting from increased attendance during the nine months ended September 30, 2012. As a percentage of concessions and other revenues, concession costs were 11.7% and 11.5% for the nine months ended September 30, 2012 and 2011, respectively.

Other theatre operating costs. Other theatre operating costs for the three months ended September 30, 2012 decreased to $53.4 million as compared to $54.1 million for the three months ended September 30, 2011. The decrease in our other theatre

 

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operating costs was primarily the result of decreases in salaries and wages expense of $0.4 million, decreases in 3-D equipment service charges of $0.6 million and decreases in utilities of $0.2 million, partially offset by increases in theatre occupancy costs of $0.9 million. Other theatre operating costs for the nine months ended September 30, 2012 increased to $158.5 million as compared to $152.4 million for the nine months ended September 30, 2011. The increase in other theatre operating costs was primarily the result of increases in salaries and wages expense of $1.7 million, theatre occupancy costs of $3.0 million, insurance costs of $0.4 million and credit card fees of $0.4 million.

General and administrative expenses. General and administrative expenses increased to $5.7 million for the three months ended September 30, 2012 compared to $4.5 million for the three months ended September 30, 2011. The increase in general and administrative expenses during the three months ended September 30, 2012 was primarily the result of increases in professional fees related to acquisition activities. General and administrative expenses for the nine months ended September 30, 2012 increased to $15.8 million as compared to $13.7 million for the nine months ended September 30, 2011. The increase in general and administrative expenses during the nine months ended September 30, 2012 was primarily the result of increases in salaries and wages expense of $0.7 million and professional fees of $1.4 million.

Severance agreement charge. During the three and nine months ended September 30, 2012, we recorded severance charges of $0.1 million and $0.6 million, respectively. These charges were primarily related to the departure of our former Vice President-General Manager Theatre Operations. During the nine months ended September 30, 2011, we recorded severance charges of $0.8 million. These charges were primarily related to the departure of our former Senior Vice President, General Counsel and Secretary.

Depreciation and amortization. Depreciation and amortization expenses remained consistent for the three and nine months ended September 30, 2012 as compared to the three and nine months ended September 30, 2011. Depreciation and amortization expenses were $8.5 and $8.2 million for the three months ended September 30, 2012 and 2011, respectively, and $24.0 million and $23.9 million for the nine months ended September 30, 2012 and 2011, respectively.

Net gain (loss) on sales of property and equipment. We recognized a loss of $0.7 million on the sale of property and equipment for the three months ended September 30, 2012. We recognized a loss of $47,000 on the sale of property and equipment for the three months ended September 30, 2011. We recognized a loss of $0.9 million and $108,000 on the sale of property and equipment for the nine months ended September 30, 2012 and 2011, respectively.

Write-off of note receivable. We did not write-off any note receivable for the three and nine months ended September 30, 2012. For the nine months ended September 30, 2011, we wrote off a note receivable of $750,000. The loss was the result of an uncollectible note receivable on a theatre sold in August 2008.

Impairment of long-lived assets. Impairment of long-lived assets for the three months ended September 30, 2012 increased to $1.8 million from $18,000 for the three months ended September 30, 2011. Impairment of long-lived assets for the nine months ended September 30, 2012 increased to $3.4 million from $1.3 million in the 2011 period. The impairment charges for the three and nine months ended September 30, 2012 were primarily the result of the Company’s plan to replace two owned theatres prior to the end of their useful lives and the continued deterioration of previously impaired theatres. The impairment charges for the nine months ended September 30, 2011 were primarily the result of deterioration in the operating results of an impaired theatre and a decline in market value of a previously closed theatre.

Operating income. Operating income for the three months ended September 30, 2012 decreased to $7.4 million from $13.8 million for the three months ended September 30, 2011. As a percentage of revenues, operating income for the three months ended September 30, 2012 was 5.8% as compared to 10.4% for the three months ended September 30, 2011. This fluctuation is primarily a result of a decrease in total revenue resulting from a decrease in attendance for the three months ended September 30, 2012, an increase in impairment charges and the factors described above. Operating income for the nine months ended September 30, 2012 increased 42.0% to $38.1 million as compared to $26.8 million for the nine months ended September 30, 2011. As a percentage of revenues, operating income for the nine months ended September 30, 2012 was 9.7% as compared to 7.4% for the nine months ended September 30, 2011. These fluctuations are primarily a result of the factors described above.

Interest expense, net. Interest expense, net for the three months ended September 30, 2012 and 2011 was $8.6 million and $8.1 million, respectively. Interest expense increased for the three months ended September 30, 2012 due to an increase in the weighted average interest rate of our senior secured notes compared to our term loan. Interest expense, net for the nine months ended September 30, 2012 decreased to $25.5 million from $25.8 million for the nine months ended September 30, 2011. The decrease for the nine months ended September 30, 2012 was primarily related to a decrease in the average debt outstanding, partially offset by an increase in the weighted average interest rate of our senior secured notes compared to our term loan.

Income tax. During the three and nine months ended September 30, 2012, we recorded income tax expense of $0.5 million and $3.8 million, respectively, as compared to $3.9 million and $11.3 million during the three and nine months ended September 30, 2011. Income tax expense was higher for the nine months ended September 30, 2011 primarily due to the current tax expense

 

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associated with the $30 million Screenvision payment received in January 2011 (as discussed in Note 9 - Screenvision Exhibition, Inc. in the Interim Financial Statements) and the inability to recognize an associated deferred tax benefit, due to our ongoing assessment that the realization of our deferred tax assets is unlikely. At September 30, 2012 and December 31, 2011, our consolidated deferred tax assets were $85.0 million, before the effects of any valuation allowance. We regularly assess whether it is more likely than not that our deferred tax asset balance will be recovered from future taxable income, taking into account such factors as our earnings history, carryback and carryforward periods and tax planning strategies. When evidence exists that indicates that recovery is uncertain, a valuation allowance is established against the deferred tax asset, increasing our income tax expense in the period that such determination is made.

The effective tax rate from continuing operations for the three and nine months ended September 30, 2012 was 61.1% and 44.4%, respectively. The effective tax rate differs from the statutory tax rate primarily due to temporary differences between the financial reporting basis and tax basis of our assets and liabilities and the inability to recognize an associated deferred tax benefit, due to our ongoing assessment that the realization of our deferred tax assets is unlikely.

Loss from discontinued operations, net of tax benefit. Theatres are generally considered for closure due to an expiring lease term, underperformance, or the opportunity to better deploy invested capital. During the three months ended September 30, 2012 and 2011, we closed one theatre in each period and for the nine months ended September 30, 2012 and 2011, we closed eight and five theatres, respectively. With respect to the closures during the three months ended September 30, 2012 and 2011, we classified one theatre in each period as discontinued operations, and for the nine months ended September 30, 2012 and 2011 we classified five theatres in each period as discontinued operations. We reported the results of these operations, including gains or losses on disposal, as discontinued operations. The operations and cash flow of these theatres have been eliminated from our operations, and we will not have any continuing involvement in their operations.

Liquidity and Capital Resources

General

We typically maintain current liabilities in excess of our current assets which results in a working capital deficit. We are able to operate with a substantial working capital deficit because our operating revenues are primarily received on a cash basis. Rather than maintain significant cash balances that would result from this pattern of operating cash flows, we utilize operating cash flows in excess of those required to fund capital projects, including new build-to-suit theatres and acquisitions. We had a working capital surplus of $40.6 million as of September 30, 2012 compared to a working capital deficit of $33.4 million at December 31, 2011. The working capital surplus in 2012 resulted from proceeds of $56.3 million received from our common stock offering in April 2012.

At September 30, 2012, we had available borrowing capacity of $25 million under our revolving Credit Facility (as defined below) and approximately $82.0 million in cash and cash equivalents on hand as compared to $13.6 million in cash and cash equivalents at December 31, 2011. The material terms of our revolving credit facility (including limitations on our ability to freely use all the available borrowing capacity) are described below in “Credit Agreement and Covenant Compliance.”

On April 11, 2012, we issued 4.6 million shares of our common stock at a price to the public of $13.00 per share through a registered public offering, including 0.6 million shares upon the underwriters option to fully exercise the overallotment. The net proceeds from the transaction were approximately $56.3 million. The funds received from the issuance of the shares will be used for general corporate purposes, including working capital, repayment of debt, possible acquisitions and other capital expenditures.

On April 27, 2012, we issued $210.0 million aggregate principal amount of 7.375% Senior Secured Notes due 2019 (the “Senior Secured Notes”). A portion of the proceeds of the Senior Secured Notes were used to repay in full our current senior secured term loan which had an outstanding balance of $199.7 million as of March 31, 2012. Following this repayment, we retained net cash proceeds of $0.8 million from the transaction after the payment of offering and other transaction expenses which we intend to use for general corporate purposes. On April 27, 2012, we also entered into a new $25.0 million senior secured revolving credit facility (the “Credit Facility”), which was undrawn at closing, and terminated our existing credit facility. The material terms of the Senior Secured Notes and the Credit Facility are described below in “Credit Agreement and Covenant Compliance.”

Net cash provided by operating activities was $36.2 million for the nine months ended September 30, 2012 compared to net cash provided by operating activities of $49.5 million for the nine months ended September 30, 2011. Cash provided by operating activities was higher for the nine months ended September 30, 2011 due primarily to the collection of the $30.0 million receivable from Screenvision in January 2011 partially offset by increased box office attendance during the nine months ended September 30, 2012. Net cash used in investing activities was $23.5 million for the nine months ended September 30, 2012 compared to $14.9 million for the nine months ended September 30, 2011. The increase in our net cash used in investing activities is primarily due to an increase in cash used for the purchases of property and equipment and the acquisition of one theatre in June 2012 partially offset

 

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by an increase in proceeds from sales of property and equipment. Capital expenditures were $25.9 million and $12.3 million for the nine months ended September 30, 2012 and 2011, respectively. Capital expenditures for the 2012 period were primarily due to the construction of two new build-to-suit theatres opened during the first quarter of 2012 and Big D renovations (as described below). Capital expenditures for the 2011 period related primarily to additional 3-D rollouts, Big D renovations, theatre renovations and upgrades to computer equipment. Net cash provided by financing activities was $55.8 million for the nine months ended September 30, 2012 compared to net cash used in financing activities of $28.7 million for the nine months ended September 30, 2011. The increase in our net cash from financing activities is primarily due to the proceeds of $56.3 million received from our common stock offering in April 2012 and the repayment of $25.0 million on our term loan during the nine months ended September 30, 2011.

Our liquidity needs are funded by operating cash flow and availability under our Credit Facility. The exhibition industry is seasonal with the studios normally releasing their premiere film product during the holiday season and summer months. This seasonal positioning of film product makes our needs for cash vary significantly from quarter to quarter. Additionally, the ultimate performance of the films any time during the calendar year will have a dramatic impact on our cash flow.

We from time to time close older theatres or do not renew the leases, and the expenses associated with exiting these closed theatres typically relate to costs associated with removing owned equipment for redeployment in other locations and are not material to our operations. In the first nine months of 2012, we closed eight of our underperforming theatres and estimate closing up to a total of 10 theatres for the full year 2012.

We plan to incur between $32 and $36 million in capital expenditures for calendar year 2012. We opened two new build-to-suit theatres during the first quarter of 2012 and plan to open two additional theatres in 2012. In 2010, we began installing our own large digital format screen in select theatres. The Big D-Large Format Digital Experience (“Big D”) includes a larger screen, enhanced sound and premium seating accommodations. As of September 30, 2012, we have 14 Big D auditoriums, including one auditorium in each of our new build-to-suit theatres opened during the first quarter of 2012. We intend to roll out additional Big D auditoriums during the remainder of 2012, including one Big D auditorium in each new build-to-suit theatre.

We actively seek ways to grow our circuit through acquisitions. On March 30, 2012, we completed our purchase of certain assets from Destinta Theatres for approximately $0.7 million. The acquisition consisted of a seven screen theatre in Clarion, Pennsylvania.

On September 28, 2012, we entered into a definitive purchase agreement with Rave, pursuant to which, subject to satisfaction of certain conditions, we will acquire all of the membership units of Rave for approximately $19.0 million, subject to customary working capital and other adjustments. We will assume certain liabilities, including certain lease obligations which, upon closing, will be reflected on our consolidated balance sheet as capital lease and financing obligations, in the amount of approximately $100.4 million, subject to customary accounting adjustments to reflect the acquisition date fair value of such obligations. Rave operates 16 theatres located in 7 states. The pending acquisition of Rave supports our growth strategy. We expect to complete the transaction in the fourth quarter of 2012.

7.375% Senior Secured Notes

On April 27, 2012, we issued $210.0 million aggregate principal amount of 7.375% Senior Secured Notes due May 15, 2019 (the “Senior Secured Notes”). Interest is payable on the Senior Secured Notes on May 15 and November 15 of each year, beginning on November 15, 2012. The Senior Secured Notes are fully and unconditionally guaranteed by each of our existing subsidiaries and will be guaranteed by any future domestic wholly-owned restricted subsidiaries. Debt issuance costs and other transaction fees of $8.6 million are included in prepaid expenses and other current assets and other non-current assets and amortized over the life of the debt as interest expense. The Senior Secured Notes are secured, subject to certain permitted liens, on a second priority basis by substantially all of our and our guarantors’ current and future property and assets (including the capital stock of our current subsidiaries), other than certain excluded assets.

At any time prior to May 15, 2015, we may redeem up to 35% of the aggregate principal amount of the Senior Secured Notes with the proceeds of certain equity offerings at a redemption price equal to 107.375% of the principal amount of the Senior Secured Notes, plus accrued and unpaid interest to, but excluding the redemption date; provided, however, that at least 65% of the aggregate principal amount of the Senior Secured Notes are outstanding immediately following the redemption. In addition, at any time prior to May 15, 2015, we may redeem all or a portion of the Senior Secured Notes by paying a “make-whole” premium calculated as described in the indenture governing the Senior Secured Notes (the “Indenture”).

At any time on or after May 15, 2015, we may redeem all or a portion of the Senior Secured Notes at redemption prices calculated based on a percentage of the principal amount of the Senior Secured Notes being redeemed, plus accrued and unpaid interest, if any, to the redemption date, depending on the date on which the Senior Secured Notes are redeemed. These percentages range from between 100.00% and 105.53%.

 

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Following a change of control, as defined in the Indenture, we will be required to make an offer to repurchase all or any portion of the Senior Secured Notes at a purchase price of 101% of the principal amount, plus accrued and unpaid interest to, but excluding, the date of repurchase.

The Indenture includes covenants that limit the ability of us and our restricted subsidiaries to, among other things: incur additional indebtedness or guarantee obligations; issue certain preferred stock or redeemable stock; subject to certain exceptions, pay dividends beyond certain calculated thresholds, repurchase or make distributions in respect of our capital stock or make other restricted payments; make certain investments; sell, transfer or otherwise convey certain assets; create or incur liens or other encumbrances; prepay, redeem or repurchase subordinated debt prior to stated maturities; designate our subsidiaries as unrestricted subsidiaries; consolidate, merge, sell or otherwise dispose of all or substantially all of our assets; enter into a new or different line of business; and enter into certain transactions with our affiliates. The restrictive covenants are subject to a number of important exceptions and qualifications set forth in the Indenture.

The Indenture provides for customary events of default. If any event of default occurs and is continuing, subject to certain exceptions, the trustee or the holders of at least 25% in aggregate principal amount of the then outstanding Senior Secured Notes may declare all the Senior Secured Notes to be due and payable immediately, together with any accrued and unpaid interest, if any, to the acceleration date. In the case of an event of default resulting from certain events of bankruptcy, insolvency or reorganization, such amounts with respect to the Senior Secured Notes will be due and payable immediately without any declaration or other act on the part of the trustee or the holders of the Senior Secured Notes.

Revolving Credit Facility

On April 27, 2012, we entered into a revolving credit facility (the “Credit Facility”) by and among us, as borrower, the banks and other financial institutions or entities from time to time parties to the credit agreement governing the Credit Facility (the “Credit Agreement”), as lenders, and Macquarie US Trading LLC as administrative agent. Macquarie US Trading, LLC and Raymond James Bank, N.A. are lenders under the Credit Agreement as initially in effect.

The Credit Agreement provides a $25.0 million senior secured revolving credit facility having a four year term, and includes a sub-facility for the issuance of letters of credit totaling up to $10.0 million. Our obligations under the Credit Facility are guaranteed by each of our existing and future direct and indirect wholly owned domestic subsidiaries, and the obligations of us and our guarantors in respect of the Credit Facility are secured by first priority liens on substantially all of our and such subsidiaries’ current and future property and assets, other than certain excluded assets pursuant to the first lien guarantee and collateral agreement by and among us, such guarantors and Wells Fargo Bank, National Association, as collateral trustee. In addition, the Credit Agreement contains provisions to accommodate the incurrence of up to $150.0 million in future incremental borrowings. While the Credit Agreement does not contain any commitment by the lenders to provide this incremental indebtedness, the Credit Agreement describes how such debt (if provided by our existing or new lenders) would be subject to various financial and other covenant compliance requirements and conditions at the time the additional debt is incurred.

The interest rate for borrowings under the Credit Facility is LIBOR (subject to a 1.00% floor) plus a margin of 4.50%, or Base Rate (as defined in the Credit Facility) (subject to a 2.00% floor) plus a margin of 3.50%, as we may elect. In addition, we will be required to pay commitment fees on the unused portion of the Credit Facility at the rate of 0.50% per annum. The termination date of the Credit Facility is April 27, 2016.

The Credit Facility contains covenants which, among other things, limit our ability, and that of our subsidiaries, to:

 

   

pay dividends beyond certain calculated thresholds or make any other restricted payments to parties other than to us;

 

   

incur additional indebtedness and financing obligations;

 

   

create liens on our assets;

 

   

make certain investments;

 

   

sell or otherwise dispose of our assets other than in the ordinary course of business;

 

   

consolidate, merge or otherwise transfer all or any substantial part of our assets;

 

   

enter into transactions with our affiliates; and

 

   

engage in businesses other than those in which we are currently engaged or those reasonably related thereto.

 

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These limitations are similar to the corresponding limitations applicable under the terms of the Indenture, except that the Credit Facility contains further limitations on our ability to incur additional indebtedness and liens. In addition, to the extent we incur certain specified levels of additional indebtedness, further limitations under the Credit Facility will become applicable under covenants related to sales of assets, sale-leaseback transactions, investment transactions, and the payment of dividends and other restricted payments. In addition, if we draw on the Credit Facility, we will be required to maintain a first lien leverage ratio as defined (the “Leverage Ratio”) not more than 2.75 to 1.00. The Credit Agreement also contains certain representations and warranties, other affirmative and negative covenants, and events of default customary for secured revolving credit facilities of this type.

Our failure to comply with any of these covenants, including compliance with the Leverage Ratio, will be an event of default under the Credit Facility, in which case the administrative agent may, with the consent or at the request of lenders holding a majority of the commitments and outstanding loans, terminate the Credit Facility and declare all or any portion of the obligations under the Credit Facility due and payable. Other events of default under the Credit Facility include:

 

   

our failure to pay principal on the loans when due and payable, or our failure to pay interest on the loans or to pay certain fees and expenses (subject to applicable grace periods);

 

   

the occurrence of a change of control (as defined in the Credit Agreement);

 

   

a breach or default by us or our subsidiaries on the payment of principal of any other indebtedness in an aggregate amount greater than $10 million;

 

   

breach of representations or warranties in any material respect;

 

   

failure to perform other obligations under the Credit Agreement and the security documents for the Credit Facility (subject to applicable cure periods); or

 

   

certain bankruptcy or insolvency events.

In the event of a bankruptcy or insolvency event of default, the Credit Facility will automatically terminate, and all obligations thereunder will immediately become due and payable.

Contractual Obligations

We did not have any material changes to our contractual obligations from those disclosed in our Annual Report on Form 10-K for the year ended December 31, 2011, with the exception of the issuance of the Senior Secured Notes. The following table reflects our contractual obligations as of September 30, 2012.

 

     Less than      1-3      3-5      More than         
     one year      years      years      5 years      Total  

7.375% Notes1

   $ —         $ —         $ —         $ 210.0       $ 210.0   

Interest payments

     16.2         31.0         31.0         31.0         109.2   

Financing obligations

     11.4         23.5         25.7         157.6         218.2   

Capital lease obligations

     6.1         12.0         11.8         21.5         51.4   

Operating leases

     45.2         84.4         76.9         201.7         408.2   

Contingencies

     1.2         —           —           —           1.2   

Christie contract

     0.2         0.2         0.1         —           0.5   

Employment agreement with Chief Executive Officer

     0.6         0.2         —           —           0.8   
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

Total contractual cash obligations

   $ 80.9       $ 151.3       $ 145.5       $ 621.8       $ 999.5   
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

 

(1) Includes only principal payments on the Senior Secured Notes.

Forward-Looking Information

Certain items in this report are considered forward-looking statements within the meaning of the Securities Act of 1933 and the Securities Exchange Act of 1934, as amended (the “Exchange Act”). In addition, we, or our executive officers on our behalf, may from time to time make forward-looking statements in reports and other documents we file with the SEC or in connection with oral statements made to the press, potential investors or others. You can identify these statements by the fact that they do not relate

 

32


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strictly to historical or current facts. They use words such as “plan,” “estimate,” “expect,” “project,” “anticipate,” “intend,” “believe” and other words and terms of similar meaning in connection with discussion of future operating or financial performance. These statements include, among others, statements regarding our future operating results, our strategies, sources of liquidity, debt covenant compliance, the availability of film product, our capital expenditures, and the opening and closing of theatres. These statements are based on the current expectations, estimates or projections of management and do not guarantee future performance. The forward-looking statements also involve risks and uncertainties, which could cause actual outcomes and results to differ materially from what is expressed or forecasted in these statements. As a result, these statements speak only as of the date they were made and we undertake no obligation to update or revise any forward-looking statements, whether as a result of new information, future events or otherwise. Our actual results and future trends may differ materially depending on a variety of factors, including:

 

   

general economic conditions in our regional and national markets;

 

   

our ability to comply with covenants contained in the agreements governing our indebtedness;

 

   

our ability to operate at expected levels of cash flow;

 

   

financial market conditions including, but not limited to, changes in interest rates and the availability and cost of capital;

 

   

our ability to meet our contractual obligations, including all outstanding financing commitments;

 

   

the availability of suitable motion pictures for exhibition in our markets;

 

   

competition in our markets;

 

   

competition with other forms of entertainment;

 

   

the effect of leverage on our financial condition;

 

   

prices and availability of operating supplies;

 

   

impact of continued cost control procedures on operating results;

 

   

the impact of asset impairments;

 

   

the impact of terrorist acts;

 

   

changes in tax laws, regulations and rates;

 

   

financial, legal, tax, regulatory, legislative or accounting changes or actions that may affect the overall performance of our business; and

 

   

other factors, including the risk factors disclosed in our Annual Report on Form 10-K for the year ended December 31, 2011 and Quarterly Report on Form 10-Q for the quarterly period ended March 31, 2012 under the caption “Risk Factors”.

Other important assumptions and factors that could cause actual results to differ materially from those in the forward-looking statements are specified elsewhere in this report and our other SEC reports, accessible on the SEC’s website at www.sec.gov and our website at www.carmike.com.

 

ITEM 3. QUANTITATIVE AND QUALITATIVE DISCLOSURES ABOUT MARKET RISK

There have been no material changes in market risk from the information provided under “Quantitative and Qualitative Disclosures about Market Risk” in Item 7A of our Annual Report on Form 10-K for the year ended December 31, 2011 other than as described below.

On April 27, 2012, in connection with the issuance of our 7.375% Senior Secured Notes due 2019, we repaid our outstanding term loan. Following this repayment, we do not have any material variable rate indebtedness outstanding.

 

ITEM 4. CONTROLS AND PROCEDURES

Disclosure Controls and Procedures

We maintain disclosure controls and procedures designed to ensure that information required to be disclosed 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. Disclosure controls and procedures, as defined in Rules 13a–15(e) and 15d–15(e) under the Exchange Act, include controls and procedures designed to ensure that information required to be disclosed in the reports we file or submit under the Exchange Act is accumulated and communicated to our management, including the chief executive officer and the chief financial officer, as appropriate, to allow timely decisions regarding required disclosure. It should be noted that any system of controls, however well designed and operated, can provide only reasonable, and not absolute, assurance that the objectives of the system are met.

 

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As required by SEC rules, we have evaluated the effectiveness of the design and operation of our disclosure controls and procedures as of the end of the period covered by this Quarterly Report on Form 10–Q. This evaluation was carried out under the supervision and with the participation of our management, including our chief executive officer and our chief financial officer. Based on this evaluation, these officers have concluded that, as of September 30, 2012, our disclosure controls and procedures were effective.

Changes in Internal Control Over Financial Reporting

There has been no change in the Company’s internal control over financial reporting during the three months ended September 30, 2012 that has materially affected, or is reasonably likely to materially affect, the Company’s internal control over financial reporting.

 

34


Table of Contents

PART II. OTHER INFORMATION

 

ITEM 1. LEGAL PROCEEDINGS

For information relating to the Company’s legal proceedings, see Note 7 - Commitments and Contingencies, under Part I, Item 1 of this Quarterly Report on Form 10-Q.

 

ITEM 1A. RISK FACTORS

For information regarding factors that could affect the Company’s results of operations, financial condition and liquidity, see the risk factors discussed under “Risk Factors” in Part I, Item 1A of the Company’s Annual Report on Form 10-K for the year ended December 31, 2011 and in Part II, Item 1A of the Company’s Quarterly Report on Form 10-Q for the quarterly period ended March 31, 2012. See also “Forward-Looking Statements,” included in Part I, Item 2 of this Quarterly Report on Form 10-Q.

There have been no material changes from the risk factors previously disclosed in the Company’s Annual Report on Form 10-K for the year ended December 31, 2011 with the exception of the risk factors related to the issuance of the Senior Secured Notes in Part II, Item 1A of the Company’s Quarterly Report on Form 10-Q for the quarterly period ended March 31, 2012.

 

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

None.

 

ITEM 3. DEFAULTS UPON SENIOR SECURITIES

None.

 

ITEM 4. MINE SAFETY DISCLOSURES

None.

 

ITEM 5. OTHER INFORMATION

None.

 

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Table of Contents
ITEM 6. EXHIBITS

Listing of exhibits

 

Exhibit
Number

    

Description

      2.1       Membership Interest Purchase Agreement, dated as of September 28, 2012, by and among Carmike Cinemas, Inc., Rave Reviews Cinemas, L.L.C. and Rave Reviews Holdings, LLC (filed as Exhibit 2.1 to Carmike’s Current Report on Form 8-K filed on October 1, 2012 and incorporated herein by reference). (Schedules and exhibits omitted pursuant to Item 601(b)(2) of Regulation S-K. Carmike agrees to furnish supplementally a copy of any omitted schedule to the Securities and Exchange Commission upon request.)
      3.1       Amended and Restated Certificate of Incorporation of Carmike Cinemas, Inc. (filed as Exhibit 3.1 to Carmike’s Amendment to Form 8-A filed January 31, 2002 and incorporated herein by reference).
      3.2       Certificate of Amendment to amended and Restated Certificate of Incorporation of Carmike Cinemas, Inc, (filed as Exhibit 3.1 to Carmike’s Current Report on Form 8-K filed May 21, 2010 and incorporated herein by reference).
      3.3       Amended and Restated By-Laws of Carmike Cinemas, Inc. (filed as Exhibit 3.1 to Carmike’s Current Report on Form 8-K filed on January 22, 2009 and incorporated herein by reference).
    10.1       First Amendment, dated as of September 28, 2012, to the Credit Agreement, dated as of April 27, 2012, by and among Carmike Cinemas, Inc., as borrower, the banks and other financial institutions or entities from time to time parties thereto, as lenders, and Macquarie US Trading LLC as administrative agent and syndication agent (filed as Exhibit 10.1 to Carmike’s Current Report on Form 8-K filed on October 1, 2012 and incorporated herein by reference).
    11       Computation of per share earnings (provided in Note 8 of the notes to condensed consolidated financial statements included in this report under the caption “Net Income (Loss) Per Share”).
    31.1       Certification of the Chief Executive Officer Pursuant to Rule 13a-14(a) or 15d-14(a) of the Securities Exchange Act of 1934, as amended, as Adopted Pursuant to Section 302 of the Sarbanes-Oxley Act of 2002.
    31.2       Certification of the Chief Financial Officer Pursuant to Rule 13a-14(a) or 15d-14(a) of the Securities Exchange Act of 1934, as amended, as Adopted Pursuant to Section 302 of the Sarbanes-Oxley Act of 2002.
    32.1       Certificate of the Chief Executive Officer Pursuant to 18 U.S.C. Section 1350, as Adopted Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002.
    32.2       Certificate of the Chief Financial Officer Pursuant to 18 U.S.C. Section 1350, as Adopted Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002.
  101       The following financial information for Carmike, formatted in XBRL (Extensible Business Reporting Language): (i) the Condensed Consolidated Balance Sheets, (ii) the Condensed Consolidated Statements of Operations, (iii) the Condensed Consolidated Statements of Cash Flows, and (iv) the Notes to the Condensed Consolidated Financial Statements, tagged as detailed text.

 

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SIGNATURES

Pursuant to the requirements of Section 13 or 15(d) 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.

 

    CARMIKE CINEMAS, INC.
Date: November 1, 2012     By:  

/s/ S. David Passman III

      S. David Passman III
      President, Chief Executive Officer and Director
      (Principal Executive Officer)
Date: November 1, 2012     By:  

/s/ Richard B. Hare

      Richard B. Hare
     

Senior Vice President—Finance, Treasurer and

Chief Financial Officer

      (Principal Financial and Accounting Officer)

 

37

EX-31.1 2 d398844dex311.htm EX-31.1 EX-31.1

Exhibit 31.1

CERTIFICATE OF CHIEF EXECUTIVE OFFICER

I, S. David Passman III, certify that:

 

  1. I have reviewed this Quarterly Report on Form 10-Q of Carmike Cinemas, Inc.;

 

  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 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 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: November 1, 2012

 

/s/ S. David Passman III

S. David Passman III

President, Chief Executive Officer and

Director

 

38

EX-31.2 3 d398844dex312.htm EX-31.2 EX-31.2

Exhibit 31.2

CERTIFICATE OF CHIEF FINANCIAL OFFICER

I, Richard B. Hare, certify that:

 

  1. I have reviewed this Quarterly Report on Form 10-Q of Carmike Cinemas, Inc.;

 

  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 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 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: November 1, 2012

 

/s/ Richard B. Hare

Richard B. Hare
Senior Vice President-Finance, Treasurer and Chief Financial Officer

 

39

EX-32.1 4 d398844dex321.htm EX-32.1 EX-32.1

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 Carmike Cinemas, Inc. on Form 10-Q for the period ended September 30, 2012 as filed with the Securities and Exchange Commission on the date hereof (the “Report”), I, S. David Passman III, the Chief Executive Officer of the registrant, certify, pursuant to 18 U.S.C. 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, to my knowledge, 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 issuer.

Date: November 1, 2012

 

/s/ S. David Passman III

S. David Passman III

President, Chief Executive Officer and

Director

 

40

EX-32.2 5 d398844dex322.htm EX-32.2 EX-32.2

Exhibit 32.2

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 Carmike Cinemas, Inc. on Form 10-Q for the period ended September 30, 2012 as filed with the Securities and Exchange Commission on the date hereof (the “Report”), I, Richard B. Hare, Chief Financial Officer of the registrant, certify, pursuant to 18 U.S.C. 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, to my knowledge, 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 issuer.

Date: November 1, 2012

 

/s/ Richard B. Hare

Richard B. Hare
Senior Vice President-Finance, Treasurer and Chief Financial Officer

 

41

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Screenvision Exhibition, Inc. (Details) (USD $)
In Thousands, unless otherwise specified
9 Months Ended
Sep. 30, 2012
Dec. 31, 2011
Sep. 30, 2012
S V Holdco [Member]
Investment in unconsolidated affiliates      
Balance at January 1, 2012 $ 7,960 $ 8,498 $ 7,514
Equity earnings of SV Holdco     (503)
Balance at September 30, 2012 7,960 8,498 7,011
Deferred revenue      
Balance at January 1, 2012     35,162
Amortization of up-front payment     (710)
Theatre acquisition bonus- MNM Theatres     134
Amortization of Class C units     (155)
Balance at September 30, 2012     $ 34,431
XML 13 R46.htm IDEA: XBRL DOCUMENT v2.4.0.6
Guarantor Subsidiaries (Details 1) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Sep. 30, 2012
Sep. 30, 2011
Sep. 30, 2012
Sep. 30, 2011
Revenues:        
Admissions $ 80,409 $ 86,081 $ 250,423 $ 231,677
Concessions and other 47,067 47,253 143,888 128,665
Total operating revenues 127,476 133,334 394,311 360,342
Operating costs and expenses:        
Film exhibition costs 44,146 46,996 136,126 125,627
Concession costs 5,768 5,671 16,863 14,858
Other theatre operating costs 53,380 54,093 158,465 152,385
General and administrative expenses 5,650 4,458 15,826 13,687
Severance agreement charges 95    588 845
Depreciation and amortization 8,488 8,246 24,028 23,905
Loss (gain) on sale of Property and equipment 699 47 948 108
Write-off of note receivable          750
Impairment of long-lived assets 1,835 18 3,371 1,342
Total operating costs and expenses 120,061 119,529 356,215 333,507
Operating income 7,415 13,805 38,096 26,835
Interest expense 8,605 8,050 25,478 25,833
Loss on extinguishment of debt       4,961   
Equity in earnings of subsidiaries            
(Loss) income before income tax and income from unconsolidated affiliates (1,190) 5,755 7,657 1,002
Income tax (benefit) expense 464 3,936 3,822 11,251
Loss (Income) from unconsolidated affiliates 1,950 1,291 958 987
Income from continuing operations 296 3,110 4,793 (9,262)
Loss from discontinued operations (63) (20) (130) (163)
Net income (loss) 233 3,090 4,663 (9,425)
Carmike Cinemas, Inc [Member]
       
Revenues:        
Admissions 12,946 14,045 40,863 39,046
Concessions and other 14,062 14,247 43,815 40,490
Total operating revenues 27,008 28,292 84,678 79,536
Operating costs and expenses:        
Film exhibition costs 7,163 7,764 22,341 21,352
Concession costs 975 980 2,983 2,688
Other theatre operating costs 10,402 10,905 31,763 31,146
General and administrative expenses 5,094 3,922 14,112 12,091
Severance agreement charges 95   588 845
Depreciation and amortization 1,925 1,686 5,348 4,975
Loss (gain) on sale of Property and equipment 718 51 739 118
Write-off of note receivable       750
Impairment of long-lived assets 579    593 907
Total operating costs and expenses 26,951 25,308 78,467 74,872
Operating income 57 2,984 6,211 4,664
Interest expense 2,117 2,267 6,998 8,242
Loss on extinguishment of debt     4,961  
Equity in earnings of subsidiaries (284) (5,173) (7,570) (4,621)
(Loss) income before income tax and income from unconsolidated affiliates (1,776) 5,890 1,822 1,043
Income tax (benefit) expense (157) 3,999 (2,240) 11,255
Loss (Income) from unconsolidated affiliates 1,870 1,189 698 744
Income from continuing operations 251 3,080 4,760 (9,468)
Loss from discontinued operations (18) 10 (97) 43
Net income (loss) 233 3,090 4,663 (9,425)
Guarantor Subsidiaries [Member]
       
Revenues:        
Admissions 67,463 72,036 209,560 192,631
Concessions and other 39,168 39,450 119,156 105,885
Total operating revenues 106,631 111,486 328,716 298,516
Operating costs and expenses:        
Film exhibition costs 36,983 39,232 113,785 104,275
Concession costs 4,793 4,691 13,880 12,170
Other theatre operating costs 49,141 49,632 145,785 138,949
General and administrative expenses 556 536 1,714 1,596
Severance agreement charges           
Depreciation and amortization 6,563 6,560 18,680 18,930
Loss (gain) on sale of Property and equipment (19) (4) 209 (10)
Write-off of note receivable         
Impairment of long-lived assets 1,256 18 2,778 435
Total operating costs and expenses 99,273 100,665 296,831 276,345
Operating income 7,358 10,821 31,885 22,171
Interest expense 6,488 5,783 18,480 17,591
Loss on extinguishment of debt         
Equity in earnings of subsidiaries            
(Loss) income before income tax and income from unconsolidated affiliates 870 5,038 13,405 4,580
Income tax (benefit) expense 621 (63) 6,062 (4)
Loss (Income) from unconsolidated affiliates 80 102 260 243
Income from continuing operations 329 5,203 7,603 4,827
Loss from discontinued operations (45) (30) (33) (206)
Net income (loss) 284 5,173 7,570 4,621
Eliminations [Member]
       
Revenues:        
Admissions            
Concessions and other (6,163) (6,444) (19,083) (17,710)
Total operating revenues (6,163) (6,444) (19,083) (17,710)
Operating costs and expenses:        
Film exhibition costs            
Concession costs            
Other theatre operating costs (6,163) (6,444) (19,083) (17,710)
General and administrative expenses            
Severance agreement charges           
Depreciation and amortization            
Loss (gain) on sale of Property and equipment            
Write-off of note receivable         
Impairment of long-lived assets            
Total operating costs and expenses (6,163) (6,444) (19,083) (17,710)
Operating income            
Interest expense            
Loss on extinguishment of debt         
Equity in earnings of subsidiaries 284 5,173 7,570 4,621
(Loss) income before income tax and income from unconsolidated affiliates (284) (5,173) (7,570) (4,621)
Income tax (benefit) expense            
Loss (Income) from unconsolidated affiliates            
Income from continuing operations (284) (5,173) (7,570) (4,621)
Loss from discontinued operations            
Net income (loss) $ (284) $ (5,173) $ (7,570) $ (4,621)
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Equity Based Compensation (Details 2) (USD $)
9 Months Ended
Sep. 30, 2012
Summary of activity for restricted stock grants  
Non-vested at January 1, 2012, Shares 248,804
Granted, Shares 263,928
Vested, Shares (65,808)
Forfeited, Shares (6,000)
Non-vested at September 30, 2012, Shares 440,924
Non-vested at January 1, 2012, Weighted Average Grant Date Fair Value $ 8.43
Granted, Weighted Average Grant Date Fair Value $ 12.13
Vested, Weighted Average Grant Date Fair Value $ 7.92
Forfeited, Weighted Average Grant Date Fair Value $ 10.91
Non-vested at September 30, 2012, Weighted Average Grant Date Fair Value $ 10.69
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Guarantor Subsidiaries (Tables)
9 Months Ended
Sep. 30, 2012
Guarantor Subsidiaries [Abstract]  
CONDENSED CONSOLIDATING BALANCE SHEET
                                 
    As of September 30, 2012  
    Carmike     Guarantor              
    Cinemas, Inc.     Subsidiaries     Eliminations     Consolidated  

Assets:

                               

Current assets:

                               

Cash and cash equivalents

  $ 71,106     $ 10,937     $ —       $ 82,043  

Restricted cash

    58       —         —         58  

Accounts receivable

    4,554       152       —         4,706  

Inventories

    649       2,211       —         2,860  

Prepaid expenses and other assets

    9,194       4,660       (3,976     9,878  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total current assets

    85,561       17,960       (3,976     99,545  
   

 

 

   

 

 

   

 

 

   

 

 

 

Property and equipment:

                               

Land

    12,079       40,567       —         52,646  

Buildings and building improvements

    45,558       223,458       —         269,016  

Leasehold improvements

    19,375       102,478       —         121,853  

Assets under capital leases

    8,675       36,295       —         44,970  

Equipment

    65,161       155,640       —         220,801  

Construction in progress

    1,076       6,390       —         7,466  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total property and equipment

    151,924       564,828       —         716,752  

Accumulated depreciation and amortization

    (77,068     (288,190     —         (365,258
   

 

 

   

 

 

   

 

 

   

 

 

 

Property and equipment, net of accumulated depreciation

    74,856       276,638       —         351,494  
         

Intercompany receivables

    102,346       —         (102,346     —    

Investments in subsidiaries

    90,553       —         (90,553     —    

Goodwill

    —         8,087       —         8,087  

Intangible assets, net of accumulated amortization

    —         1,088       —         1,088  

Investments in unconsolidated affiliates

    7,011       949       —         7,960  

Other assets

    14,926       6,094       —         21,020  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total assets

  $ 375,253     $ 310,816     $ (196,875   $ 489,194  
   

 

 

   

 

 

   

 

 

   

 

 

 

Liabilities and stockholders’ equity:

                               

Current liabilities:

                               

Accounts payable

  $ 18,250     $ 1,825     $ —       $ 20,075  

Accrued expenses

    23,370       17,277       (3,976     36,671  

Current maturities of long-term debt, capital leases and long-term financing obligations

    420       1,796       —         2,216  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total current liabilities

    42,040       20,898       (3,976     58,962  
   

 

 

   

 

 

   

 

 

   

 

 

 

Long-term liabilities:

                               

Long-term debt, less current maturities

    209,530       —         —         209,530  

Capital leases and long-term financing obligations, less current maturities

    27,970       85,267       —         113,237  

Intercompany liabilities

    —         102,346       (102,346     —    

Deferred revenue

    33,273       —         —         33,273  

Other

    5,272       11,752       —         17,024  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total long-term liabilities

    276,045       199,365       (102,346     373,064  
   

 

 

   

 

 

   

 

 

   

 

 

 

Stockholders’ equity:

                               

Preferred stock

    —         —         —         —    

Common stock

    539       1       (1     539  

Treasury stock

    (11,740     —         —         (11,740

Paid-in capital

    349,046       237,800       (237,800     349,046  

Accumulated deficit

    (280,677     (147,248     147,248       (280,677
   

 

 

   

 

 

   

 

 

   

 

 

 

Total stockholders’ equity

    57,168       90,553       (90,553     57,168  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total liabilities and stockholders’ equity

  $ 375,253     $ 310,816     $ (196,875   $ 489,194  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
    As of December 31, 2011  
    Carmike     Guarantor              
    Cinemas, Inc     Subsidiaries     Eliminations     Consolidated  

Assets:

                               

Current assets:

                               

Cash and cash equivalents

  $ 3,623     $ 9,993     $ —       $ 13,616  

Restricted cash

    331       —         —         331  

Accounts receivable

    4,654       331       —         4,985  

Inventories

    722       2,233       —         2,955  

Prepaid expenses and other assets

    4,953       4,457       —         9,410  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total current assets

    14,283       17,014       —         31,297  
   

 

 

   

 

 

   

 

 

   

 

 

 

Property and equipment:

                               

Land

    12,716       41,193       —         53,909  

Buildings and building improvements

    46,676       229,545       —         276,221  

Leasehold improvements

    19,307       104,240       —         123,547  

Assets under capital leases

    8,675       36,295       —         44,970  

Equipment

    58,128       154,329       —         212,457  

Construction in progress

    159       2,190       —         2,349  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total property and equipment

    145,661       567,792       —         713,453  

Accumulated depreciation and amortization

    (75,760     (281,758     —         (357,518
   

 

 

   

 

 

   

 

 

   

 

 

 

Property and equipment, net of accumulated depreciation

    69,901       286,034       —         355,935  
         

Intercompany receivables

    123,071       —         (123,071     —    

Investment in subsidiaries

    82,985       —         (82,985     —    

Goodwill

    —         8,087       —         8,087  

Intangible assets, net of accumulated amortization

    —         1,169       —         1,169  

Investment in unconsolidated affiliates

    8,498       —         —         8,498  

Other

    10,536       7,334       —         17,870  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total assets

  $ 309,274     $ 319,638     $ (206,056   $ 422,856  
   

 

 

   

 

 

   

 

 

   

 

 

 

Liabilities and stockholders’ (deficit) equity:

                               

Current liabilities:

                               

Accounts payable

  $ 27,598     $ 1,985     $ —       $ 29,583  

Accrued expenses

    19,752       11,384       —         31,136  

Current maturities of long-term debt, capital leases and long-term financing obligations

    2,391       1,568       —         3,959  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total current liabilities

    49,741       14,937       —         64,678  
   

 

 

   

 

 

   

 

 

   

 

 

 

Long-term liabilities:

                               

Long-term debt, less current maturities

    196,880       —         —         196,880  

Capital leases and long-term financing obligations, less current maturities

    28,223       86,385       —         114,608  

Intercompany liabilities

    —         123,071       (123,071     —    

Deferred revenue

    34,009       —         —         34,009  

Other

    6,045       12,261       —         18,306  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total long-term liabilities

    265,157       221,717       (123,071     363,803  
   

 

 

   

 

 

   

 

 

   

 

 

 

Stockholders’ (deficit) equity:

                               

Preferred Stock

    —         —         —         —    

Common Stock

    401       1       (1     401  

Treasury stock

    (11,683     —         —         (11,683

Paid-in capital

    290,997       237,800       (237,800     290,997  

Accumulated deficit

    (285,340     (154,816     154,816       (285,340
   

 

 

   

 

 

   

 

 

   

 

 

 

Total stockholders’ (deficit) equity

    (5,625     82,985       (82,985     (5,625
   

 

 

   

 

 

   

 

 

   

 

 

 

Total liabilities and stockholders’ (deficit) equity

  $ 309,274     $ 319,638     $ (206,056   $ 422,856  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
    Three Months Ended September 30, 2012  
    Carmike     Guarantor              
    Cinemas, Inc.     Subsidiaries     Eliminations     Consolidated  

Revenues:

                               

Admissions

  $ 12,946     $ 67,463     $ —       $ 80,409  

Concessions and other

    14,062       39,168       (6,163     47,067  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total operating revenues

    27,008       106,631       (6,163     127,476  
   

 

 

   

 

 

   

 

 

   

 

 

 

Operating costs and expenses:

                               

Film exhibition costs

    7,163       36,983       —         44,146  

Concession costs

    975       4,793       —         5,768  

Other theatre operating costs

    10,402       49,141       (6,163     53,380  

General and administrative expenses

    5,094       556       —         5,650  

Severance agreement charges

    95       —         —         95  

Depreciation and amortization

    1,925       6,563       —         8,488  

Loss (gain) on sale of property and equipment

    718       (19     —         699  

Impairment of long-lived assets

    579       1,256       —         1,835  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total operating costs and expenses

    26,951       99,273       (6,163     120,061  
   

 

 

   

 

 

   

 

 

   

 

 

 

Operating income

    57       7,358       —         7,415  

Interest expense

    2,117       6,488       —         8,605  

Equity in earnings of subsidiaries

    (284     —         284       —    
   

 

 

   

 

 

   

 

 

   

 

 

 

Loss (income) before income tax and income from unconsolidated affiliates

    (1,776     870       (284     (1,190

Income tax (benefit) expense

    (157     621       —         464  

Income from unconsolidated affiliates

    1,870       80       —         1,950  
   

 

 

   

 

 

   

 

 

   

 

 

 

Income from continuing operations

    251       329       (284     296  

Loss from discontinued operations

    (18     (45     —         (63
   

 

 

   

 

 

   

 

 

   

 

 

 

Net income

  $ 233     $ 284     $ (284   $ 233  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
    Three Months Ended September 30, 2011  
    Carmike     Guarantor              
    Cinemas, Inc.     Subsidiaries     Eliminations     Consolidated  

Revenues:

                               

Admissions

  $ 14,045     $ 72,036     $ —       $ 86,081  

Concessions and other

    14,247       39,450       (6,444     47,253  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total operating revenues

    28,292       111,486       (6,444     133,334  
   

 

 

   

 

 

   

 

 

   

 

 

 

Operating costs and expenses:

                               

Film exhibition costs

    7,764       39,232       —         46,996  

Concession costs

    980       4,691       —         5,671  

Other theatre operating costs

    10,905       49,632       (6,444     54,093  

General and administrative expenses

    3,922       536       —         4,458  

Depreciation and amortization

    1,686       6,560       —         8,246  

Loss (gain) on sale of property and equipment

    51       (4     —         47  

Impairment of long-lived assets

    —         18       —         18  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total operating costs and expenses

    25,308       100,665       (6,444     119,529  
   

 

 

   

 

 

   

 

 

   

 

 

 

Operating income

    2,984       10,821       —         13,805  

Interest expense

    2,267       5,783       —         8,050  

Equity in earnings of subsidiaries

    (5,173     —         5,173       —    
   

 

 

   

 

 

   

 

 

   

 

 

 

Income before income tax and income from unconsolidated affiliates

    5,890       5,038       (5,173     5,755  

Income tax expense (benefit)

    3,999       (63     —         3,936  

Income from unconsolidated affiliates

    1,189       102       —         1,291  
   

 

 

   

 

 

   

 

 

   

 

 

 

Income from continuing operations

    3,080       5,203       (5,173     3,110  

Income (loss) from discontinued operations

    10       (30     —         (20
   

 

 

   

 

 

   

 

 

   

 

 

 

Net income

  $ 3,090     $ 5,173     $ (5,173   $ 3,090  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
    Nine Months Ended September 30, 2012  
    Carmike
Cinemas, Inc.
    Guarantor
Subsidiaries
    Eliminations     Consolidated  

Revenues:

                               

Admissions

  $ 40,863     $ 209,560     $ —       $ 250,423  

Concessions and other

    43,815       119,156       (19,083     143,888  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total operating revenues

    84,678       328,716       (19,083     394,311  
   

 

 

   

 

 

   

 

 

   

 

 

 

Operating costs and expenses:

                               

Film exhibition costs

    22,341       113,785       —         136,126  

Concession costs

    2,983       13,880       —         16,863  

Other theatre operating costs

    31,763       145,785       (19,083     158,465  

General and administrative expenses

    14,112       1,714       —         15,826  

Severance agreement charges

    588       —         —         588  

Depreciation and amortization

    5,348       18,680       —         24,028  

Loss on sale of property and equipment

    739       209       —         948  

Impairment of long-lived assets

    593       2,778       —         3,371  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total operating costs and expenses

    78,467       296,831       (19,083     356,215  
   

 

 

   

 

 

   

 

 

   

 

 

 

Operating income

    6,211       31,885       —         38,096  

Interest expense

    6,998       18,480       —         25,478  

Loss on extinguishment of debt

    4,961       —         —         4,961  

Equity in earnings of subsidiaries

    (7,570     —         7,570       —    
   

 

 

   

 

 

   

 

 

   

 

 

 

Income before income tax and income from unconsolidated affiliates

    1,822       13,405       (7,570     7,657  

Income tax (benefit) expense

    (2,240     6,062       —         3,822  

Income from unconsolidated affiliates

    698       260       —         958  
   

 

 

   

 

 

   

 

 

   

 

 

 

Income from continuing operations

    4,760       7,603       (7,570     4,793  

Loss from discontinued operations

    (97     (33     —         (130
   

 

 

   

 

 

   

 

 

   

 

 

 

Net income

  $ 4,663     $ 7,570     $ (7,570   $ 4,663  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
    Nine Months Ended September 30, 2011  
    Carmike
Cinemas, Inc.
    Guarantor
Subsidiaries
    Eliminations     Consolidated  

Revenues:

                               

Admissions

  $ 39,046     $ 192,631     $ —       $ 231,677  

Concessions and other

    40,490       105,885       (17,710     128,665  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total operating revenues

    79,536       298,516       (17,710     360,342  
   

 

 

   

 

 

   

 

 

   

 

 

 

Operating costs and expenses:

                               

Film exhibition costs

    21,352       104,275       —         125,627  

Concession costs

    2,688       12,170       —         14,858  

Other theatre operating costs

    31,146       138,949       (17,710     152,385  

General and administrative expenses

    12,091       1,596       —         13,687  

Severance agreement charges

    845       —         —         845  

Depreciation and amortization

    4,975       18,930       —         23,905  

Loss (gain) on sale of property and equipment

    118       (10     —         108  

Write-off of note receivable

    750       —         —         750  

Impairment of long-lived assets

    907       435       —         1,342  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total operating costs and expenses

    74,872       276,345       (17,710     333,507  
   

 

 

   

 

 

   

 

 

   

 

 

 

Operating income

    4,664       22,171       —         26,835  

Interest expense

    8,242       17,591       —         25,833  

Equity in earnings of subsidiaries

    (4,621     —         4,621       —    
   

 

 

   

 

 

   

 

 

   

 

 

 

Income before income tax and income from unconsolidated affiliates

    1,043       4,580       (4,621     1,002  

Income tax expense (benefit)

    11,255       (4     —         11,251  

Income from unconsolidated affiliates

    744       243       —         987  
   

 

 

   

 

 

   

 

 

   

 

 

 

(Loss) income from continuing operations

    (9,468     4,827       (4,621     (9,262

Income (loss) from discontinued operations

    43       (206     —         (163
   

 

 

   

 

 

   

 

 

   

 

 

 

Net (loss) income

  $ (9,425   $ 4,621     $ (4,621   $ (9,425
   

 

 

   

 

 

   

 

 

   

 

 

 
CONDENSED CONSOLIDATING STATEMENT OF CASH FLOWS
                                 
    For the Nine Months Ended September 30, 2012  
    Carmike
Cinemas, Inc.
    Guarantor
Subsidiaries
    Eliminations     Consolidated  

Net cash provided by operating activities:

  $ 1,288     $ 34,927     $ —       $ 36,215  
         

Cash flows from investing activities:

                               

Purchases of property and equipment

    (13,768     (12,155     —         (25,923

Theatre acquistion

    —         (702     —         (702

Investment in unconsolidated affiliates

    —         (54     —         (54

Proceeds from sale of property and equipment

    2,059       798       —         2,857  

Other investing activities

    273       —         —         273  
   

 

 

   

 

 

   

 

 

   

 

 

 

Net cash used in investing activities

    (11,436     (12,113             (23,549
         

Cash flows from financing activities:

                               

Short-term borrowings

    5,000       —         —         5,000  

Repayments of short term borrowings

    (5,000     —         —         (5,000

Issuance of long-term debt

    209,500       —         —         209,500  

Repayments of long-term debt

    (200,229     —         —         (200,229

Debt issuance costs

    (8,621     —         —         (8,621

Repayments of capital leases and long-term financing obligations

    (252     (1,145     —         (1,397

Issuance of common stock

    56,565       —         —         56,565  

Purchase of treasury stock

    (57     —         —         (57

Intercompany receivable/payable

    20,725       (20,725     —         —    
   

 

 

   

 

 

   

 

 

   

 

 

 

Net cash provided by (used in) financing activities

    77,631       (21,870     —         55,761  
   

 

 

   

 

 

   

 

 

   

 

 

 

Increase in cash and cash equivalents

    67,483       944       —         68,427  

Cash and cash equivalents at beginning of period

    3,623       9,993       —         13,616  
   

 

 

   

 

 

   

 

 

   

 

 

 

Cash and cash equivalents at end of period

  $ 71,106     $ 10,937     $  —       $ 82,043  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
    For the Nine Months Ended September 30, 2011  
    Carmike
Cinemas, Inc.
    Guarantor
Subsidiaries
    Eliminations     Consolidated  

Net cash provided by operating activities:

  $ 21,830     $ 27,693     $ —       $ 49,523  
         

Cash flows from investing activities:

                               

Purchases of property and equipment

    (1,527     (10,779             (12,306

Theatre acquistion

    (2,550     —         —         (2,550

Investment in unconsolidated affiliates

    (718     —         —         (718

Proceeds from sale of property and equipment

    6       438               444  

Other investing activities

    260       —                 260  
   

 

 

   

 

 

   

 

 

   

 

 

 

Net cash used in investing activities

    (4,529     (10,341             (14,870
         

Cash flows from financing activities:

                               

Repayments of long-term debt

    (26,698     —                 (26,698

Intercompany receivable/payable

    19,188       (19,188             —    

Repayments of capital lease and long-term financing obligations

    (182     (1,226             (1,408

Other financing activities

    (614     —                 (614
   

 

 

   

 

 

   

 

 

   

 

 

 

Net cash used in financing activities

    (8,306     (20,414     —         (28,720
   

 

 

   

 

 

   

 

 

   

 

 

 

Increase / (decrease) in cash and cash equivalents

    8,995       (3,062     —         5,933  

Cash and cash equivalents at beginning of period

    3,418       9,648               13,066  
   

 

 

   

 

 

   

 

 

   

 

 

 

Cash and cash equivalents at end of period

  $ 12,413     $ 6,586     $ —       $ 18,999  
   

 

 

   

 

 

   

 

 

   

 

 

 
XML 17 R42.htm IDEA: XBRL DOCUMENT v2.4.0.6
Investments in Unconsolidated Affiliates (Details 1) (USD $)
In Thousands, unless otherwise specified
9 Months Ended 12 Months Ended
Sep. 30, 2012
Dec. 31, 2011
Summary of activity in income from unconsolidated affiliates    
Income from unconsolidated affiliates $ 958 $ (244)
Elimination of intercompany revenue 1,202  
Income from unconsolidated affiliates $ 958 $ (244)
XML 18 R37.htm IDEA: XBRL DOCUMENT v2.4.0.6
Commitments and Contingencies (Details) (USD $)
In Millions, unless otherwise specified
9 Months Ended
Sep. 30, 2012
Litigation
Commitments and Contingencies (Textual) [Abstract]  
Number of pending litigation or proceedings 0
Acquisition related expenses expected $ 1.2
XML 19 R47.htm IDEA: XBRL DOCUMENT v2.4.0.6
Guarantor Subsidiaries (Details 2) (USD $)
In Thousands, unless otherwise specified
0 Months Ended 9 Months Ended
Apr. 11, 2012
Sep. 30, 2012
Sep. 30, 2011
CONDENSED CONSOLIDATING STATEMENT OF CASH FLOWS      
Net cash provided by operating activities   $ 36,215 $ 49,523
Cash flows from investing activities:      
Purchases of property and equipment   (25,923) (12,306)
Theatre acquisition   (702) (2,550)
Investment in unconsolidated affiliates   (54) (718)
Proceeds from sale of property and equipment   2,857 444
Other investing activities   273 260
Net cash used in investing activities   (23,549) (14,870)
Cash flows from financing activities:      
Short-term borrowings   5,000  
Repayments of short-term borrowings   (5,000)  
Issuance of long-term debt   209,500  
Debt issuance costs   (8,621) (588)
Repayments of capital lease and long-term financing obligations   (1,397) (1,408)
Repayments of long-term debt   (200,229) (26,698)
Intercompany receivable/payable        
Issuance of common stock 56,300 56,565  
Purchase of treasury stock   (57) (26)
Other financing activities     (614)
Net cash provided by (used in) financing activities   55,761 (28,720)
Increase in cash and cash equivalents   68,427 5,933
Cash and cash equivalents at beginning of period   13,616 13,066
Cash and cash equivalents at end of period   82,043 18,999
Carmike Cinemas, Inc [Member]
     
CONDENSED CONSOLIDATING STATEMENT OF CASH FLOWS      
Net cash provided by operating activities   1,288 21,830
Cash flows from investing activities:      
Purchases of property and equipment   (13,768) (1,527)
Theatre acquisition      (2,550)
Investment in unconsolidated affiliates      (718)
Proceeds from sale of property and equipment   2,059 6
Other investing activities   273 260
Net cash used in investing activities   (11,436) (4,529)
Cash flows from financing activities:      
Short-term borrowings   5,000  
Repayments of short-term borrowings   (5,000)  
Issuance of long-term debt   209,500  
Debt issuance costs   (8,621)  
Repayments of capital lease and long-term financing obligations   (252) (182)
Repayments of long-term debt   (200,229) (26,698)
Intercompany receivable/payable   20,725 19,188
Issuance of common stock   56,565  
Purchase of treasury stock   (57)  
Other financing activities     (614)
Net cash provided by (used in) financing activities   77,631 (8,306)
Increase in cash and cash equivalents   67,483 8,995
Cash and cash equivalents at beginning of period   3,623 3,418
Cash and cash equivalents at end of period   71,106 12,413
Guarantor Subsidiaries [Member]
     
CONDENSED CONSOLIDATING STATEMENT OF CASH FLOWS      
Net cash provided by operating activities   34,927 27,693
Cash flows from investing activities:      
Purchases of property and equipment   (12,155) (10,779)
Theatre acquisition   (702)   
Investment in unconsolidated affiliates   (54)   
Proceeds from sale of property and equipment   798 438
Other investing activities        
Net cash used in investing activities   (12,113) (10,341)
Cash flows from financing activities:      
Short-term borrowings       
Repayments of short-term borrowings       
Issuance of long-term debt       
Debt issuance costs       
Repayments of capital lease and long-term financing obligations   (1,145) (1,226)
Repayments of long-term debt        
Intercompany receivable/payable   (20,725) (19,188)
Issuance of common stock       
Purchase of treasury stock       
Other financing activities       
Net cash provided by (used in) financing activities   (21,870) (20,414)
Increase in cash and cash equivalents   944 (3,062)
Cash and cash equivalents at beginning of period   9,993 9,648
Cash and cash equivalents at end of period   10,937 6,586
Eliminations [Member]
     
CONDENSED CONSOLIDATING STATEMENT OF CASH FLOWS      
Net cash provided by operating activities        
Cash flows from investing activities:      
Purchases of property and equipment       
Theatre acquisition        
Investment in unconsolidated affiliates        
Proceeds from sale of property and equipment       
Other investing activities       
Net cash used in investing activities       
Cash flows from financing activities:      
Short-term borrowings       
Repayments of short-term borrowings       
Issuance of long-term debt       
Debt issuance costs       
Repayments of capital lease and long-term financing obligations       
Repayments of long-term debt       
Intercompany receivable/payable       
Issuance of common stock       
Purchase of treasury stock       
Net cash provided by (used in) financing activities        
Increase in cash and cash equivalents        
Cash and cash equivalents at beginning of period       
Cash and cash equivalents at end of period        
XML 20 R9.htm IDEA: XBRL DOCUMENT v2.4.0.6
Income Taxes
9 Months Ended
Sep. 30, 2012
Income Taxes [Abstract]  
INCOME TAXES

NOTE 4—INCOME TAXES

The Company’s effective income tax rate is based on expected income, statutory tax rates, tax planning opportunities available in the various jurisdictions in which it operates and the impact of valuation allowances against deferred tax assets. For interim financial reporting, the Company estimates the annual income tax rate based on projected taxable income for the full year and records a quarterly income tax provision or benefit in accordance with the anticipated annual rate. The Company refines the estimates of the year’s taxable income as new information becomes available, including actual year-to-date financial results. This continual estimation process often results in a change to the expected effective income tax rate for the year. When this occurs, the Company adjusts the income tax provision during the quarter in which the change in estimate occurs so that the year-to-date provision reflects the expected annual income tax rate. Significant judgment is required in determining the effective tax rate and in evaluating the tax positions.

The effective tax rate from continuing operations for the three months ended September 30, 2012 was 61.1%. The effective tax rate from continuing operations for the nine months ended September 30, 2012 was 44.4%. The Company’s tax rates for the three and nine months ended September 30, 2012 differ from the statutory tax rate primarily due to temporary differences between the financial reporting basis and tax basis of our assets and liabilities and the inability to recognize an associated deferred tax benefit, due to our ongoing assessment that the realization of our deferred tax assets is unlikely.

The Company experienced an “ownership change” within the meaning of Section 382(g) of the Internal Revenue Code of 1986, as amended, during the fourth quarter of 2008. The ownership change has and will continue to subject the Company’s pre-ownership change net operating loss carryforwards to an annual limitation, which will significantly restrict its ability to use them to offset taxable income in periods following the ownership change. In general, the annual use limitation equals the aggregate value of the Company’s stock at the time of the ownership change multiplied by a specified tax-exempt interest rate. The Company determined that at the date of the ownership change, it had a net unrealized built-in loss (“NUBIL”). The NUBIL is determined based on the difference between the fair market value of the Company’s assets and their tax basis at the ownership change. Because of the NUBIL, certain deductions recognized during the five-year period beginning on the date of the IRC Section 382 ownership change (the “recognition period”) are subjected to the same limitation as the net operating loss carryforwards. Because the annual limitation is applied first against the realized built-in losses (“RBILs”), the Company does not expect to utilize any of its net operating loss carryforwards during the five year recognition period. The amount of the disallowed RBILs could increase if the Company disposes of assets with built-in losses at the date of the ownership change during the recognition period. As a result of the 2008 ownership change, the Company is limited to an approximate $1.7 million annual limitation on its ability to utilize its pre-change net operating loss (“NOLs”) and recognized built-in losses.

The Company believes it has incurred an additional ownership change during the current year. While the Company is evaluating the impact of the current ownership change, it believes that the annual limitation under this ownership change would be greater than the 2008 limitation. Furthermore, it does not believe that it had a NUBIL immediately before the ownership change. A subsequent ownership change can reduce, but not increase, the size of the § 382 limitation that applies to pre-change losses from an earlier ownership change. Consequently, the Company does not believe the 2012 ownership change will more adversely impact its ability to utilize its NOL carryforwards.

As a result of the Company’s history of operating losses, the Company’s net deferred tax assets are fully offset by a valuation allowance at September 30, 2012 and December 31, 2011. The Company regularly assesses whether it is more likely than not that its deferred tax asset balance will be recovered from future taxable income, taking into account such factors as its earnings history, carryback and carryforward periods, and tax planning strategies. When evidence exists that indicates that recovery is uncertain, a valuation allowance is maintained against the deferred tax asset. At this time, the Company does not believe that realization of its deferred tax assets is more likely than not to occur. However, the amount of deferred tax asset considered realizable could be increased in the near term if estimates of future taxable income are determined to be sustainable.

The Company recognizes a tax benefit associated with an uncertain tax position when, in the Company’s judgment, it is more likely than not that the position will be sustained upon examination by a taxing authority. For a tax position that meets the more-likely-than-not recognition threshold, the Company initially and subsequently measures the tax benefit as the largest amount that the Company judges to have a greater than 50% likelihood of being realized upon ultimate settlement with a taxing authority.

 

As of September 30, 2012 and December 31, 2011, the amount of unrecognized tax benefits was $2,500, all of which would affect the Company’s annual effective tax rate, if recognized. This unrecognized tax benefit is associated with the Company’s non-forfeitable ownership interest in SV Holdco, LLC (see Note 9 - Screenvision Exhibition, Inc.). The Company has recognized a tax basis for these units that is lower than their carrying value for financial statement purposes. However, as this tax position may not be sustained upon examination, the Company has recorded a related liability for this uncertain tax position.

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M("`@("`@/'1R(&-L87-S/3-$6UE;G1S(&]F(&-A<&ET86P@;&5A'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^)FYB'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`\+W1R M/@T*("`@("`@/'1R(&-L87-S/3-$'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT M9"!C;&%S'0^)FYB'0^/'-P86X^/"]S<&%N/CPO=&0^ M#0H@("`@("`\+W1R/@T*("`@("`@/'1R(&-L87-S/3-$2!S=&]C:SPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P M86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^)FYB M'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`\+W1R/@T*("`@ M("`@/'1R(&-L87-S/3-$'0^/'-P86X^/"]S<&%N/CPO=&0^ M#0H@("`@("`@(#QT9"!C;&%S'0^)FYB'0^/'-P86X^ M/"]S<&%N/CPO=&0^#0H@("`@("`\+W1R/@T*("`@("`@/'1R(&-L87-S/3-$ M7!E.B!T97AT+VAT;6P[(&-H87)S970](G5S+6%S8VEI(@T*#0H\>&UL M('AM;&YS.F\],T0B=7)N.G-C:&5M87,M;6EC'1087)T7S9A8C)B968Q7S XML 22 R43.htm IDEA: XBRL DOCUMENT v2.4.0.6
Theatre Acquisitions (Details) (USD $)
9 Months Ended
Sep. 30, 2012
Sep. 28, 2012
Theatres
States
Mar. 30, 2012
Theatre Acquisitions (Textual) [Abstract]      
Date of assets acquisition Mar. 30, 2012    
Purchase price of assets acquired     $ 700,000
Payment of Definitive purchase agreement , net of cash acquired 19,000,000    
Capital lease and financing obligation   $ 100,400  
No. of theatres of Rave   16  
No. of theatres located states   7  

XML 23 R29.htm IDEA: XBRL DOCUMENT v2.4.0.6
Debt (Details Textual) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Sep. 30, 2012
Sep. 30, 2011
Sep. 30, 2012
Sep. 30, 2011
Dec. 31, 2011
Debt (Textual) [Abstract]          
Loss on extinguishment of debt       $ (4,961)     
Debt (Additional Textual) [Abstract]          
Unamortized discount on term loan 470   470   1,306
Minimum [Member]
         
Debt (Textual) [Abstract]          
Aggregate percentage required for trustee or holder to declare debt due upon default     25.00%    
Default in payment of principal 10,000   10,000    
7.375% Senior Secured Notes due May 15, 2019 [Member]
         
Debt (Textual) [Abstract]          
Loss on extinguishment of debt 4,961   4,961    
Debt issuance costs     8,600    
Date of maturity     15 May 2019    
Percentage of aggregate principal amount, maximum redeemable     35.00%    
Calculated percentage for redemption price before May 15, 2015     107.375%    
Redemption price percentage upon change of control     101.00%    
Interest rate 7.375%   7.375%    
Stated principal amount at time of issuance 210,000   210,000    
7.375% Senior Secured Notes due May 15, 2019 [Member] | Maximum [Member]
         
Debt (Textual) [Abstract]          
Calculated percentages for redemption price after May 15, 2015     105.53%    
7.375% Senior Secured Notes due May 15, 2019 [Member] | Minimum [Member]
         
Debt (Textual) [Abstract]          
Percentage of aggregate principal amount required to be outstanding immediately following redemption     65.00%    
Calculated percentages for redemption price after May 15, 2015     100.00%    
Secured term loan facility [Member]
         
Debt (Textual) [Abstract]          
Outstanding balance of term loan at time of extinguishment 198,700   198,700    
Date of maturity     January 2016    
Stated principal amount at time of issuance 265,000   265,000    
Secured term loan facility [Member] | Maximum [Member]
         
Debt (Textual) [Abstract]          
Required leverage ratio upon credit facility draw 275.00%   275.00%    
Secured term loan facility [Member] | Minimum [Member]
         
Debt (Textual) [Abstract]          
Required leverage ratio upon credit facility draw 100.00%   100.00%    
Revolving credit facility [Member]
         
Debt (Textual) [Abstract]          
Outstanding balance on the revolving credit facility 198,700   198,700    
Maximum borrowing capacity 25,000   25,000    
Date of maturity     27 April 2016    
Revolving credit facility [Member] | Maximum [Member]
         
Debt (Textual) [Abstract]          
Amount of potential future incremental borrowings 150,000   150,000    
Revolving credit facility [Member] | Minimum [Member]
         
Debt (Textual) [Abstract]          
Aggregate amount of indebtedness that could result in default 10,000   10,000    
Terminated revolving credit facility [Member]
         
Debt (Textual) [Abstract]          
Maximum borrowing capacity $ 30,000   $ 30,000    
Date of maturity     January 2013    
Interest rate option, LIBOR based [Member] | Revolving credit facility [Member]
         
Debt (Textual) [Abstract]          
Interest rate description     LIBOR (subject to a 1.00% floor) plus a margin of 4.50%,    
Interest rate 1.00%   1.00%    
Interest rate, margin added 4.50%   4.50%    
Commitment fees on unused portion of the facility     0.50%    
Interest rate option, Base Rate based [Member] | Revolving credit facility [Member]
         
Debt (Textual) [Abstract]          
Interest rate description     Base Rate (subject to a 2.00% floor) plus a margin 3.50%    
Interest rate 2.00%   2.00%    
Interest rate, margin added 3.50%   3.50%    
XML 24 R28.htm IDEA: XBRL DOCUMENT v2.4.0.6
Debt (Details 1) (USD $)
In Thousands, unless otherwise specified
Sep. 30, 2012
Dec. 31, 2011
Fair value of senior secured term loan based on quoted market prices    
Carrying amount, net $ 210,000 $ 198,923
Fair value $ 224,175 $ 198,247
XML 25 R44.htm IDEA: XBRL DOCUMENT v2.4.0.6
Common Stock Offering (Details) (USD $)
In Thousands, except Share data, unless otherwise specified
0 Months Ended 9 Months Ended
Apr. 11, 2012
Sep. 30, 2012
Common Stock Offering (Textual) [Abstract]    
Shares of common stock issued 4,000,000  
Common stock issued, price per share $ 13.00  
Additional shares of common stock purchased by underwriters 600,000  
Common stock exercise period for underwriters 30 days  
Net proceeds from issuance of common stock $ 56,300 $ 56,565
Additional options granted to underwriters to cover over-allotments 600  
XML 26 R30.htm IDEA: XBRL DOCUMENT v2.4.0.6
Income Taxes (Details) (USD $)
3 Months Ended 9 Months Ended
Sep. 30, 2012
Sep. 30, 2012
Dec. 31, 2011
Income Taxes (Textual) [Abstract]      
Effective tax rate from continuing operations 61.10% 44.40%  
Minimum probability of realization   greater than 50%  
Unrecognized tax benefits $ 2,500,000 $ 2,500,000 $ 2,500,000
Annual limitation net operating loss   $ 1,700,000  
XML 27 R31.htm IDEA: XBRL DOCUMENT v2.4.0.6
Equity Based Compensation (Details) (USD $)
9 Months Ended
Sep. 30, 2011
Weighted-average fair value of options granted and assumptions  
Fair value of options on grant date $ 4.87
Expected life (years) 6 years
Risk-free interest rate 2.30%
Expected dividend yield   
Expected volatility 76.20%
XML 28 R8.htm IDEA: XBRL DOCUMENT v2.4.0.6
Debt
9 Months Ended
Sep. 30, 2012
Debt [Abstract]  
DEBT

NOTE 3—DEBT

The Company’s debt consisted of the following on the dates indicated:

 

                 
    September 30,     December 31,  
    2012     2011  

Term loan

  $ —       $ 200,229  

Senior secured notes

    210,000       —    

Revolving credit facility

    —         —    

Original issue discount

    (470     (1,306
   

 

 

   

 

 

 

Total debt

    209,530       198,923  

Current maturities

    —         (2,043
   

 

 

   

 

 

 

Total long-term debt

  $ 209,530     $ 196,880  
   

 

 

   

 

 

 

Senior Secured Notes

In April 2012, the Company issued $210,000 aggregate principal amount of 7.375% Senior Secured Notes due May 15, 2019 (the “Senior Secured Notes”). The proceeds were used to repay the Company’s $265,000 senior secured term loan that was due in January 2016 with a then outstanding balance of $198,700. The Company recorded a loss on extinguishment of debt of $4,961 during the nine months ended September 30, 2012, for the write-off of unamortized debt issuance costs. Interest is payable on the Senior Secured Notes on May 15 and November 15 of each year, beginning on November 15, 2012.

The Senior Secured Notes are fully and unconditionally guaranteed by each of the Company’s existing subsidiaries and will be guaranteed by any future domestic wholly-owned restricted subsidiaries of the Company. Debt issuance costs and other transaction fees of $8,600 are included in prepaid expenses and other current assets and other non-current assets and amortized over the life of the debt as interest expense. The Senior Secured Notes are secured, subject to certain permitted liens, on a second priority basis by substantially all of the Company’s and the guarantors’ current and future property and assets (including the capital stock of the Company’s current subsidiaries), other than certain excluded assets.

At any time prior to May 15, 2015, the Company may redeem up to 35% of the aggregate principal amount of the Senior Secured Notes with the proceeds of certain equity offerings at a redemption price equal to 107.375% of the principal amount of the Senior Secured Notes, plus accrued and unpaid interest to, but excluding the redemption date; provided, however, that at least 65% of the aggregate principal amount of the Senior Secured Notes are outstanding immediately following the redemption. In addition, at any time prior to May 15, 2015, the Company may redeem all or a portion of the Senior Secured Notes by paying a “make-whole” premium calculated as described in the indenture governing the Senior Secured Notes (the “Indenture”). The Company has not separated the make-whole premium from the underlying debt instrument to account for it as a derivative instrument as the economic characteristics and risks of this embedded derivative are clearly and closely related to the economic characteristics of the underlying debt.

At any time on or after May 15, 2015, the Company may redeem all or a portion of the Senior Secured Notes at redemption prices calculated based on a percentage of the principal amount of the Senior Secured Notes being redeemed, plus accrued and unpaid interest, if any, to the redemption date, depending on the date on which the Senior Secured Notes are redeemed. These percentages range from between 100.00% and 105.53%.

Following a change of control, as defined in the Indenture, the Company will be required to make an offer to repurchase all or any portion of the Senior Secured Notes at a purchase price of 101% of the principal amount, plus accrued and unpaid interest to, but excluding, the date of repurchase.

Revolving Credit Facility

In April 2012, the Company also entered into a new $25,000 revolving credit facility (the “Credit Facility”) with an interest rate of LIBOR (subject to a 1.00% floor) plus a margin of 4.50%, or Base Rate (subject to a 2.00% floor) plus a margin of 3.50%, as the Company may elect. In addition, the Company is required to pay commitment fees on the unused portion of the Credit Facility at the rate of 0.50% per annum. The termination date of the Credit facility is April 27, 2016. The new $25,000 revolving credit facility replaced the prior $30,000 revolving credit facility that was scheduled to mature in January 2013.

The Credit Facility includes a sub-facility for the issuance of letters of credit totaling up to $10,000. The Company’s obligations under the Credit Facility are guaranteed by each of the Company’s existing and future direct and indirect wholly-owned domestic subsidiaries, and the obligations of the Company and such guarantors in respect of the Credit Facility are secured by first priority liens on substantially all of the Company’s and such subsidiaries’ current and future property and assets, other than certain excluded assets pursuant to the first lien guarantee and collateral agreement by and among the Company, such guarantors and Wells Fargo Bank, National Association, as collateral trustee. In addition, the Credit Facility contains provisions to accommodate the incurrence of up to $150,000 in future incremental borrowings. While the Credit Facility does not contain any commitment by the lenders to provide this incremental indebtedness, the Credit Facility describes how such debt (if provided by the Company’s existing or new lenders) would be subject to various financial and other covenant compliance requirements and conditions at the time the additional debt is incurred. There was no outstanding balance on the revolving credit facility at September 30, 2012.

The fair value of the Senior Secured Notes at September 30, 2012 and the senior secured term loan at December 31, 2011 is estimated based on quoted market prices as follows:

 

                 
    As of September 30,     As of December 31,  
    2012     2011  

Carrying amount, net

  $ 210,000     $ 198,923 (1)  

Fair value

  $ 224,175     $ 198,247  

 

(1) Term loan is reflected net of unamortized discount of $1,306 at December 31, 2011.

 

Debt Covenants

The Indenture and the Credit Facility include covenants which, among other things, limit the Company’s ability, and its subsidiaries, to:

 

   

incur additional indebtedness or guarantee obligations;

 

   

issue certain preferred stock or redeemable stock;

 

   

pay dividends beyond certain calculated thresholds, repurchase or make distributions in respect of the Company’s capital stock or make other restricted payments;

 

   

make certain investments;

 

   

sell, transfer or otherwise convey certain assets;

 

   

create or incur liens or other encumbrances;

 

   

prepay, redeem or repurchase subordinated debt prior to stated maturities;

 

   

designate the Company’s subsidiaries as unrestricted subsidiaries;

 

   

consolidate, merge, sell or otherwise dispose of all or substantially all of the Company’s assets;

 

   

enter into a new or different line of business; and

 

   

enter into certain transactions with the Company’s affiliates.

The restrictive covenants are subject to a number of important exceptions and qualifications set forth in the Indenture and the Credit Facility.

The Indenture provides for customary events of default. If any event of default occurs and is continuing, subject to certain exceptions, the trustee or the holders of at least 25% in aggregate principal amount of the then outstanding Senior Secured Notes may declare all the Senior Secured Notes to be due and payable immediately, together with any accrued and unpaid interest, if any, to the acceleration date. In the case of an event of default resulting from certain events of bankruptcy, insolvency or reorganization, such amounts with respect to the Senior Secured Notes will be due and payable immediately without any declaration or other act on the part of the trustee or the holders of the Senior Secured Notes.

The Credit Facility contains further limitations on the Company’s ability to incur additional indebtedness and liens. In addition, to the extent the Company incurs certain specified levels of additional indebtedness, further limitations under the Credit Facility will become applicable under covenants related to sales of assets, sale-leaseback transactions, investment transactions, and the payment of dividends and other restricted payments. If the Company draws on the Credit Facility, the Company will be required to maintain a first lien leverage ratio as defined (the “Leverage Ratio”) not more than 2.75 to 1.00. The Credit Facility also contains certain representations and warranties, other affirmative and negative covenants, and events of default customary for secured revolving credit facilities of this type.

The Company’s failure to comply with any of these covenants, including compliance with the Leverage Ratio, will be an event of default under the Credit Facility, in which case the administrative agent may, with the consent or at the request of lenders holding a majority of the commitments and outstanding loans, terminate the Credit Facility and declare all or any portion of the obligations under the Credit Facility due and payable. Other events of default under the Credit Facility include:

 

   

the Company’s failure to pay principal on the loans when due and payable, or its failure to pay interest on the loans or to pay certain fees and expenses (subject to applicable grace periods);

 

   

the occurrence of a change of control (as defined in the Credit Facility);

 

   

a breach or default by the Company or its subsidiaries on the payment of principal of any other indebtedness in an aggregate amount greater than $10,000;

 

   

breach of representations or warranties in any material respect;

 

   

failure to perform other obligations under the Credit Facility and the security documents for the Credit Facility (subject to applicable cure periods); or

 

   

certain bankruptcy or insolvency events.

In the event of a bankruptcy or insolvency event of default, the Credit Facility will automatically terminate, and all obligations thereunder will immediately become due and payable.

As of September 30, 2012, the Company was in compliance with all of the financial covenants in its Credit Facility.

XML 29 R32.htm IDEA: XBRL DOCUMENT v2.4.0.6
Equity Based Compensation (Details 1) (USD $)
In Thousands, except Share data, unless otherwise specified
9 Months Ended 12 Months Ended
Sep. 30, 2012
Dec. 31, 2011
Summary of option activity for stock options    
Outstanding at January 1, 2012, Shares 796,500  
Granted, Shares     
Exercised, Shares (39,000)  
Expired, Shares (10,000)  
Forfeited, Shares     
Outstanding at September 30, 2012, Shares 747,500 796,500
Exercisable on September 30, 2012, Shares 595,827  
Expected to vest September 30, 2012, Shares 145,645  
Granted, Weighted Average Exercise Price     
Exercised, Weighted Average Exercise Price $ 7.81  
Expired, Weighted Average Exercise Price $ 19.95  
Forfeited, Weighted Average Exercise Price     
Outstanding at January 1, 2012, Weighted Average Exercise Price $ 12.20  
Outstanding at September 30, 2012, Weighted Average Exercise Price $ 12.32 $ 12.20
Exercisable on September 30, 2012, Weighted Average Exercise Price $ 13.34  
Expected to vest September 30, 2012, Weighted Average Exercise Price $ 8.33  
Outstanding, Weighted Average Remaining Contractual Life (Yrs.) 6 years 2 months 5 days 6 years 11 months 5 days
Exercisable on September 30, 2012, Weighted Average Remaining Contractual Life (Yrs.) 5 years 8 months 5 days  
Expected to vest September 30, 2012, Weighted Average Remaining Contractual Life (Yrs.) 8 years 1 month 17 days  
Exercised, Aggregate Intrinsic Value $ 245  
Outstanding at September 30, 2012, Aggregate Intrinsic Value 1,633  
Exercisable on September 30, 2012, Aggregate Intrinsic Value 1,185  
Expected to vest September 30, 2012, Aggregate Intrinsic Value $ 427  
XML 30 R40.htm IDEA: XBRL DOCUMENT v2.4.0.6
Screenvision Exhibition, Inc. (Details Textual) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended 1 Months Ended 0 Months Ended 9 Months Ended 1 Months Ended 3 Months Ended 9 Months Ended
Sep. 30, 2012
Sep. 30, 2011
Sep. 30, 2012
Sep. 30, 2011
Dec. 31, 2011
Sep. 30, 2011
Class A membership units [Member]
Oct. 14, 2010
Class C membership units [Member]
Sep. 30, 2012
Class C membership units [Member]
Jan. 31, 2011
Screenvision [Member]
Sep. 30, 2012
Screenvision [Member]
Sep. 30, 2011
Screenvision [Member]
Sep. 30, 2012
Screenvision [Member]
Sep. 30, 2011
Screenvision [Member]
Dec. 31, 2011
Screenvision [Member]
Screenvision Exhibition, Inc. (Textual) [Abstract]                            
Exhibition agreement, expiration date                       Jul. 01, 2012    
Modified Exhibition Agreement, additional term                       30 years    
Modified Exhibition Agreement, expiration date                       Jul. 01, 2042    
Cash received on Modified Exhibition Agreement                 $ 30,000          
Percentage of Class C and Class A membership units held                   19.00%   19.00%    
Percentage of issued and outstanding membership units received           1.00% 20.00%              
Carrying value of ownership interest in SV Holdco 7,960   7,960   8,498         7,000   7,000    
Threshold amount applicable for future profits and appreciation in assets             85,000 88,000            
Maximum forfeiture limit               25.00%            
Maximum bonus units to be received               33.00%            
Concessions and other 47,067 47,253 143,888 128,665           2,700 2,800 7,600 7,100  
Total intercompany gain (1,950) (1,291) (958) (987)           400 400 1,200 1,300  
Amounts due included in accounts receivable related to Screenvision 4,706   4,706   4,985         1,336   1,336   1,860
Non-forfeitable ownership interest at estimated fair value                   6,555   6,555    
Non-forfeitable Class C and Class A membership units                   15.00%   15.00%    
Aggregate amount deferred to be recognized as concessions and other revenue                       36,555    
Voluntary capital contribution made to SV Holdco           $ 718                 
XML 31 R2.htm IDEA: XBRL DOCUMENT v2.4.0.6
Condensed Consolidated Balance Sheets (USD $)
In Thousands, unless otherwise specified
Sep. 30, 2012
Dec. 31, 2011
Current assets:    
Cash and cash equivalents $ 82,043 $ 13,616
Restricted cash 58 331
Accounts receivable 4,706 4,985
Inventories 2,860 2,955
Prepaid expenses and other current assets 9,878 9,410
Total current assets 99,545 31,297
Property and equipment:    
Land 52,646 53,909
Buildings and building improvements 269,016 276,221
Leasehold improvements 121,853 123,547
Assets under capital leases 44,970 44,970
Equipment 220,801 212,457
Construction in progress 7,466 2,349
Total property and equipment 716,752 713,453
Accumulated depreciation and amortization (365,258) (357,518)
Property and equipment, net of accumulated depreciation 351,494 355,935
Goodwill 8,087 8,087
Intangible assets, net of accumulated amortization 1,088 1,169
Investments in unconsolidated affiliates 7,960 8,498
Other assets 21,020 17,870
Total assets 489,194 422,856
Current liabilities:    
Accounts payable 20,075 29,583
Accrued expenses 36,671 31,136
Current maturities of long-term debt, capital leases and long-term financing obligations 2,216 3,959
Total current liabilities 58,962 64,678
Long-term liabilities:    
Long-term debt, less current maturities 209,530 196,880
Capital leases and long-term financing obligations, less current maturities 113,237 114,608
Deferred revenue 33,273 34,009
Other 17,024 18,306
Total long-term liabilities 373,064 363,803
Commitments and contingencies (Note 7)      
Stockholders' equity (deficit):    
Preferred Stock, $1.00 par value per share: 1,000,000 shares authorized, no shares issued      
Common Stock, $0.03 par value per share: 35,000,000 shares authorized, 18,238,847 shares issued and 17,781,617 shares outstanding at September 30, 2012, and 13,419,872 shares issued and 12,966,942 shares outstanding at December 31, 2011 539 401
Treasury stock, 457,230 and 452,930 shares at cost at September 30, 2012 and December 31, 2011, respectively (11,740) (11,683)
Paid-in capital 349,046 290,997
Accumulated deficit (280,677) (285,340)
Total stockholders' equity (deficit) 57,168 (5,625)
Total liabilities and stockholders' equity (deficit) $ 489,194 $ 422,856
XML 32 R45.htm IDEA: XBRL DOCUMENT v2.4.0.6
Guarantor Subsidiaries (Details) (USD $)
In Thousands, unless otherwise specified
Sep. 30, 2012
Dec. 31, 2011
Sep. 30, 2011
Dec. 31, 2010
Current assets:        
Cash and cash equivalents $ 82,043 $ 13,616 $ 18,999 $ 13,066
Restricted cash 58 331    
Accounts receivable 4,706 4,985    
Inventories 2,860 2,955    
Prepaid expenses and other assets 9,878 9,410    
Total current assets 99,545 31,297    
Property and equipment:        
Land 52,646 53,909    
Buildings and building improvements 269,016 276,221    
Leasehold improvements 121,853 123,547    
Assets under capital leases 44,970 44,970    
Equipment 220,801 212,457    
Construction in progress 7,466 2,349    
Total property and equipment 716,752 713,453    
Accumulated depreciation and amortization (365,258) (357,518)    
Property and equipment, net of accumulated depreciation 351,494 355,935    
Intercompany receivables          
Investment in subsidiaries          
Goodwill 8,087 8,087    
Intangible assets, net of accumulated amortization 1,088 1,169    
Investments in unconsolidated affiliates 7,960 8,498    
Other assets 21,020 17,870    
Total assets 489,194 422,856    
Current liabilities:        
Accounts payable 20,075 29,583    
Accrued expenses 36,671 31,136    
Current maturities of long-term debt, capital leases and long-term financing obligations 2,216 3,959    
Total current liabilities 58,962 64,678    
Long-term liabilities:        
Long-term debt, less current maturities 209,530 196,880    
Capital leases and long-term financing obligations, less current maturities 113,237 114,608    
Intercompany liabilities          
Deferred revenue 33,273 34,009    
Other 17,024 18,306    
Total long-term liabilities 373,064 363,803    
Stockholders' equity (deficit):        
Preferred Stock          
Common Stock 539 401    
Treasury stock (11,740) (11,683)    
Paid-in capital 349,046 290,997    
Accumulated deficit (280,677) (285,340)    
Total stockholders' equity (deficit) 57,168 (5,625)    
Total liabilities and stockholders' equity (deficit) 489,194 422,856    
Carmike Cinemas, Inc [Member]
       
Current assets:        
Cash and cash equivalents 71,106 3,623 12,413 3,418
Restricted cash 58 331    
Accounts receivable 4,554 4,654    
Inventories 649 722    
Prepaid expenses and other assets 9,194 4,953    
Total current assets 85,561 14,283    
Property and equipment:        
Land 12,079 12,716    
Buildings and building improvements 45,558 46,676    
Leasehold improvements 19,375 19,307    
Assets under capital leases 8,675 8,675    
Equipment 65,161 58,128    
Construction in progress 1,076 159    
Total property and equipment 151,924 145,661    
Accumulated depreciation and amortization (77,068) (75,760)    
Property and equipment, net of accumulated depreciation 74,856 69,901    
Intercompany receivables 102,346 123,071    
Investment in subsidiaries 90,553 82,985    
Goodwill          
Intangible assets, net of accumulated amortization          
Investments in unconsolidated affiliates 7,011 8,498    
Other assets 14,926 10,536    
Total assets 375,253 309,274    
Current liabilities:        
Accounts payable 18,250 27,598    
Accrued expenses 23,370 19,752    
Current maturities of long-term debt, capital leases and long-term financing obligations 420 2,391    
Total current liabilities 42,040 49,741    
Long-term liabilities:        
Long-term debt, less current maturities 209,530 196,880    
Capital leases and long-term financing obligations, less current maturities 27,970 28,223    
Intercompany liabilities          
Deferred revenue 33,273 34,009    
Other 5,272 6,045    
Total long-term liabilities 276,045 265,157    
Stockholders' equity (deficit):        
Preferred Stock          
Common Stock 539 401    
Treasury stock (11,740) (11,683)    
Paid-in capital 349,046 290,997    
Accumulated deficit (280,677) (285,340)    
Total stockholders' equity (deficit) 57,168 (5,625)    
Total liabilities and stockholders' equity (deficit) 375,253 309,274    
Guarantor Subsidiaries [Member]
       
Current assets:        
Cash and cash equivalents 10,937 9,993 6,586 9,648
Restricted cash          
Accounts receivable 152 331    
Inventories 2,211 2,233    
Prepaid expenses and other assets 4,660 4,457    
Total current assets 17,960 17,014    
Property and equipment:        
Land 40,567 41,193    
Buildings and building improvements 223,458 229,545    
Leasehold improvements 102,478 104,240    
Assets under capital leases 36,295 36,295    
Equipment 155,640 154,329    
Construction in progress 6,390 2,190    
Total property and equipment 564,828 567,792    
Accumulated depreciation and amortization (288,190) (281,758)    
Property and equipment, net of accumulated depreciation 276,638 286,034    
Intercompany receivables          
Investment in subsidiaries          
Goodwill 8,087 8,087    
Intangible assets, net of accumulated amortization 1,088 1,169    
Investments in unconsolidated affiliates 949       
Other assets 6,094 7,334    
Total assets 310,816 319,638    
Current liabilities:        
Accounts payable 1,825 1,985    
Accrued expenses 17,277 11,384    
Current maturities of long-term debt, capital leases and long-term financing obligations 1,796 1,568    
Total current liabilities 20,898 14,937    
Long-term liabilities:        
Long-term debt, less current maturities          
Capital leases and long-term financing obligations, less current maturities 85,267 86,385    
Intercompany liabilities 102,346 123,071    
Deferred revenue          
Other 11,752 12,261    
Total long-term liabilities 199,365 221,717    
Stockholders' equity (deficit):        
Preferred Stock          
Common Stock 1 1    
Treasury stock          
Paid-in capital 237,800 237,800    
Accumulated deficit (147,248) (154,816)    
Total stockholders' equity (deficit) 90,553 82,985    
Total liabilities and stockholders' equity (deficit) 310,816 319,638    
Eliminations [Member]
       
Current assets:        
Cash and cash equivalents           
Restricted cash          
Accounts receivable          
Inventories          
Prepaid expenses and other assets (3,976)       
Total current assets (3,976)       
Property and equipment:        
Land          
Buildings and building improvements          
Leasehold improvements          
Assets under capital leases          
Equipment          
Construction in progress          
Total property and equipment          
Accumulated depreciation and amortization          
Property and equipment, net of accumulated depreciation          
Intercompany receivables (102,346) (123,071)    
Investment in subsidiaries (90,553) (82,985)    
Goodwill          
Intangible assets, net of accumulated amortization          
Investments in unconsolidated affiliates          
Other assets          
Total assets (196,875) (206,056)    
Current liabilities:        
Accounts payable          
Accrued expenses (3,976)       
Current maturities of long-term debt, capital leases and long-term financing obligations          
Total current liabilities (3,976)       
Long-term liabilities:        
Long-term debt, less current maturities          
Capital leases and long-term financing obligations, less current maturities          
Intercompany liabilities (102,346) (123,071)    
Deferred revenue          
Other          
Total long-term liabilities (102,346) (123,071)    
Stockholders' equity (deficit):        
Preferred Stock          
Common Stock (1) (1)    
Treasury stock          
Paid-in capital (237,800) (237,800)    
Accumulated deficit 147,248 154,816    
Total stockholders' equity (deficit) (90,553) (82,985)    
Total liabilities and stockholders' equity (deficit) $ (196,875) $ (206,056)    
XML 33 R6.htm IDEA: XBRL DOCUMENT v2.4.0.6
Basis of Presentation and Significant Accounting Policies
9 Months Ended
Sep. 30, 2012
Basis of Presentation and Significant Accounting Policies [Abstract]  
BASIS OF PRESENTATION AND SIGNIFICANT ACCOUNTING POLICIES

NOTE 1—BASIS OF PRESENTATION AND SIGNIFICANT ACCOUNTING POLICIES

Basis of Presentation

Carmike Cinemas, Inc. (referred to as “we”, “us”, “our”, and the “Company”) has prepared the accompanying unaudited condensed consolidated financial statements in accordance with accounting principles generally accepted in the United States of America (“GAAP”) for interim financial information and the rules and regulations of the Securities and Exchange Commission (the “SEC”). This information reflects all adjustments which in the opinion of management are necessary for a fair presentation of the balance sheet as of September 30, 2012 and December 31, 2011, the results of operations for the three and nine month periods ended September 30, 2012 and 2011 and cash flows for the nine months ended September 30, 2012 and 2011. Certain information and footnote disclosures normally included in financial statements prepared in accordance with GAAP have been condensed or omitted. The Company believes that the disclosures are adequate to make the information presented not misleading. These condensed consolidated financial statements should be read in conjunction with the consolidated financial statements and the notes thereto included in our Annual Report on Form 10-K for the year ended December 31, 2011. That report includes a summary of our critical accounting policies. There have been no material changes in our accounting policies during the first nine months of 2012.

The consolidated financial statements include the accounts of the Company’s wholly owned subsidiaries. All intercompany transactions and balances have been eliminated.

Accounting Estimates

In the preparation of financial statements in conformity with GAAP, management must make certain estimates, judgments and assumptions. These estimates, judgments and assumptions are made when accounting for items and matters such as, but not limited to, depreciation, amortization, asset valuations, impairment assessments, lease classification, employee benefits, income taxes, reserves and other provisions and contingencies. These estimates are based on the information available when recorded. These estimates, judgments and assumptions can affect the reported amounts of assets and liabilities as of the date of the financial statements, as well as the reported amounts of revenue and expenses during the periods presented. The Company bases its estimates on historical experience and on various other assumptions that are believed to be reasonable under the circumstances, the results of which form the basis for making judgments about the carrying values of assets and liabilities that are not readily apparent from other sources. Actual results may differ from these estimates under different assumptions or conditions. Changes in estimates are recognized in the period they are determined.

Discontinued Operations

The results of operations for theatres that have been disposed of or classified as held for sale are eliminated from the Company’s continuing operations and classified as discontinued operations for each period presented within the Company’s condensed consolidated statements of operations. Theatres are reported as discontinued operations when the Company no longer has continuing involvement in the theatre operations and the cash flows have been eliminated, which generally occurs when the Company no longer has operations in a given market. See Note 6 – Discontinued Operations.

Impairment of Long-Lived Assets

Long-lived assets are tested for recoverability whenever events or circumstances indicate that the assets’ carrying values may not be recoverable. The Company performs its impairment analysis at the individual theatre-level, the lowest level of independent, identifiable cash flow. Management reviews all available evidence when assessing long-lived assets for impairment, including negative trends in theatre-level cash flow, the impact of competition, the age of the theatre, and alternative uses of the assets. The Company’s evaluation of negative trends in theatre-level cash flow considers the seasonality of the business, with significant revenues and cash flow generated in the summer and year-end holiday season. Absent any unusual circumstances, management evaluates new theatres for potential impairment only after a theatre has been open and operational for a sufficient period of time to allow its operations to mature.

For those assets that are identified as potentially being impaired, if the undiscounted future cash flows from such assets are less than the carrying value, the Company recognizes a loss equal to the difference between the carrying value and the asset’s fair value. The fair value of the assets is primarily estimated using the discounted future cash flow of the assets with consideration of other valuation techniques and using assumptions consistent with those used by market participants. Significant judgment is involved in estimating cash flows and fair value; significant assumptions include attendance levels, admissions and concessions pricing, and the weighted-average cost of capital. Management’s estimates are based on historical and projected operating performance.

 

Fair Value Measurements

The carrying values of cash and cash equivalents, accounts receivable, accounts payable and accrued liabilities approximate their fair value due to the short-term maturities of these assets and liabilities.

The fair value of the Senior Secured Notes and Credit Facility described in Note 3 – Debt is estimated based on quoted market prices at the date of measurement.

Comprehensive Income

The Company has no other comprehensive income items.

Recent Accounting Pronouncements

In July 2012, the Financial Accounting Standards Board (“FASB”) issued Accounting Standards Update (“ASU”) 2012-02, “Testing Indefinite-Lived Intangible Assets for Impairment.” Under ASU 2012-02, an entity testing an indefinite-lived intangible asset for impairment has the option of performing a qualitative assessment before calculating the fair value of the asset. The ASU does not revise the requirements to test indefinite-lived intangible assets annually and test between annual tests if there is a change in events of circumstances. The amendments are effective for fiscal years, and interim periods within those years, beginning after September 15, 2012. The amendments are not expected to have any impact on the Company’s financial position or results of operations.

XML 34 R35.htm IDEA: XBRL DOCUMENT v2.4.0.6
Discontinued Operations (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Sep. 30, 2012
Sep. 30, 2011
Sep. 30, 2012
Sep. 30, 2011
Summary of activity for discontinued operations        
Revenue from discontinued operations $ 112 $ 743 $ 519 $ 2,257
Operating loss before income taxes (158) (32) (389) (487)
Income tax benefit from discontinued operations 59 14 146 178
Gain (loss) on disposal, before income taxes 57 (3) 181 230
Income tax expense (benefit) on disposal (21) 1 (68) (84)
Loss from discontinued operations $ (63) $ (20) $ (130) $ (163)
XML 35 R22.htm IDEA: XBRL DOCUMENT v2.4.0.6
Discontinued Operations (Tables)
9 Months Ended
Sep. 30, 2012
Discontinued Operations [Abstract]  
Summary of activity for discontinued operations
                 
    Three Months Ended September 30,  
    2012     2011  

Revenue from discontinued operations

  $ 112     $ 743  
   

 

 

   

 

 

 

Operating loss before income taxes

  $ (158   $ (32

Income tax benefit from discontinued operations

    59       14  

Gain (loss) on disposal, before income taxes

    57       (3

Income tax (expense) benefit on disposal

    (21     1  
   

 

 

   

 

 

 

Loss from discontinued operations

  $ (63   $ (20
   

 

 

   

 

 

 
   
    Nine Months Ended September 30,  
    2012     2011  

Revenue from discontinued operations

  $ 519     $ 2,257  
   

 

 

   

 

 

 

Operating loss before income taxes

  $ (389   $ (487

Income tax benefit from discontinued operations

    146       178  

Gain on disposal, before income taxes

    181       230  

Income tax expense on disposal

    (68     (84
   

 

 

   

 

 

 

Loss from discontinued operations

  $ (130   $ (163
   

 

 

   

 

 

 
XML 36 R36.htm IDEA: XBRL DOCUMENT v2.4.0.6
Discontinued Operations (Details Textual)
3 Months Ended 9 Months Ended
Sep. 30, 2012
Theatre
Sep. 30, 2011
Theatre
Sep. 30, 2012
Theatre
Sep. 30, 2011
Theatre
Discontinued Operations (Textual) [Abstract]        
Number of theatres closed during the period 1 1 8 5
Number of theatres closed during the period as discontinued operations 1 1 5 5
XML 37 R24.htm IDEA: XBRL DOCUMENT v2.4.0.6
Investments in Unconsolidated Affiliates (Tables)
9 Months Ended
Sep. 30, 2012
Investments in Unconsolidated Affiliates [Abstract]  
Combined financial information of the unconsolidated affiliated companies
         
    As of September 30,  
    2012  

Assets:

       

Current assets

  $ 58,738  

Noncurrent assets

    161,150  
   

 

 

 

Total assets

  $ 219,888  
   

 

 

 

Liabilities:

       

Current liabilities

  $ 44,819  

Noncurrent liabilities

    88,957  
   

 

 

 

Total liabilities

  $ 133,776  
   

 

 

 

 

                 
    Three Months Ended  
    September 30, 2012     September 30, 2011  

Results of operations:

               

Revenue

  $ 50,927     $ 55,828  

Net income

  $ 9,591     $ 5,217  
   
    Nine Months Ended  
    September 30, 2012     September 30, 2011  

Results of operations:

               

Revenue

  $ 105,575     $ 124,770  

Net loss

  $ (4,036   $ (2,519
Summary of activity in income from unconsolidated affiliates
         

Income from unconsolidated affiliates

     

Income from unconsolidated affiliates

  $ (244

Elimination of intercompany revenue

    1,202  
   

 

 

 

Income from unconsolidated affiliates

  $ 958  
   

 

 

 
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XML 39 R7.htm IDEA: XBRL DOCUMENT v2.4.0.6
Impairment of Long-Lived Assets
9 Months Ended
Sep. 30, 2012
Impairment of Long-Lived Assets [Abstract]  
IMPAIRMENT OF LONG-LIVED ASSETS

NOTE 2—IMPAIRMENT OF LONG-LIVED ASSETS

For the three and nine months ended September 30, 2012, impairment charges aggregated to $1,930 and $3,466, respectively. The impairment charges were primarily the result of the Company’s plan to replace two owned theatres prior to the end of their useful lives and the continued deterioration of previously impaired theatres. The Company recorded impairment charges of $18 and $1,342 during the three and nine months ended September 30, 2011 which were primarily the result of continued deterioration of previously impaired theatres and a decline in market value of a previously closed theatre.

The estimated aggregate fair value of the long-lived assets impaired during the three and nine months ended September 30, 2012 was approximately $1,248 and $6,925, respectively. These fair value estimates are considered Level 3 estimates and were derived primarily from discounting estimated future cash flows and appraisals of certain owned properties. Future cash flows for a particular theatre are based on historical cash flows for that theatre, after giving effect to future attendance fluctuations, and are projected through the remainder of its lease term or useful life. The Company projects future attendance fluctuations of (10%) to 10%. The risk-adjusted rate of return used to discount these cash flows ranges from 10% to 15%.

XML 40 R3.htm IDEA: XBRL DOCUMENT v2.4.0.6
Condensed Consolidated Balance Sheets (Parenthetical) (USD $)
Sep. 30, 2012
Dec. 31, 2011
Condensed Consolidated Balance Sheets [Abstract]    
Preferred Stock, par value $ 1.00 $ 1.00
Preferred Stock, shares authorized 1,000,000 1,000,000
Preferred Stock, shares issued 0 0
Common Stock, par value $ 0.03 $ 0.03
Common Stock, shares authorized 35,000,000 35,000,000
Common Stock, shares issued 18,238,847 13,419,872
Common Stock, shares outstanding 17,781,617 12,966,942
Treasury stock, shares 457,230 452,930
XML 41 R17.htm IDEA: XBRL DOCUMENT v2.4.0.6
Common Stock Offering
9 Months Ended
Sep. 30, 2012
Common Stock Offering [Abstract]  
COMMON STOCK OFFERING

NOTE 12—COMMON STOCK OFFERING

On April 11, 2012, the Company issued 4.0 million shares of its common stock, at a price to the public of $13.00 per share through a registered public offering. The Company granted the underwriters an option to purchase up to an additional 600 thousand shares of the Company’s common stock to cover over-allotments, if any, which the underwriters could exercise within 30 days of the date of the final prospectus. The underwriters purchased the additional 600 thousand shares of common stock on April 11, 2012. The offering was made pursuant to the Company’s effective shelf registration statement previously filed with the Securities and Exchange Commission (“SEC”). The net proceeds from the transaction were approximately $56,300. The funds received from the issuance of the shares will be used for general corporate purposes, including working capital, repayment of debt, possible acquisitions and other capital expenditures.

 

XML 42 R1.htm IDEA: XBRL DOCUMENT v2.4.0.6
Document and Entity Information
9 Months Ended
Sep. 30, 2012
Oct. 24, 2012
Document and Entity Information [Abstract]    
Entity Registrant Name CARMIKE CINEMAS INC  
Entity Central Index Key 0000799088  
Document Type 10-Q  
Document Period End Date Sep. 30, 2012  
Amendment Flag false  
Document Fiscal Year Focus 2012  
Document Fiscal Period Focus Q3  
Current Fiscal Year End Date --12-31  
Entity Filer Category Accelerated Filer  
Entity Common Stock, Shares Outstanding   17,784,949
XML 43 R18.htm IDEA: XBRL DOCUMENT v2.4.0.6
Guarantor Subsidiaries
9 Months Ended
Sep. 30, 2012
Guarantor Subsidiaries [Abstract]  
GUARANTOR SUBSIDIARIES

NOTE 13—GUARANTOR SUBSIDIARIES

The Company’s Senior Secured Notes, the offering of which was registered under the Securities Act of 1933, as amended, are fully and unconditionally guaranteed, on a joint and several basis, by the following 100% directly or indirectly owned subsidiaries: Eastwynn Theatres, Inc., George G. Kerasotes Corporation, GKC Indiana Theatres, Inc., GKC Michigan Theatres, Inc., GKC Theatres, Inc., and Military Services, Inc. Therefore, the Company is providing the following condensed consolidating financial statement information as of September 30, 2012 and December 31, 2011 and for the three and nine months ended September 30, 2012 and 2011 in accordance with SEC Regulation S-X Rule 3-10, Financial Statements of Guarantors and Issuers of Guaranteed Securities Registered or Being Registered:

CONDENSED CONSOLIDATING BALANCE SHEET

 

                                 
    As of September 30, 2012  
    Carmike     Guarantor              
    Cinemas, Inc.     Subsidiaries     Eliminations     Consolidated  

Assets:

                               

Current assets:

                               

Cash and cash equivalents

  $ 71,106     $ 10,937     $ —       $ 82,043  

Restricted cash

    58       —         —         58  

Accounts receivable

    4,554       152       —         4,706  

Inventories

    649       2,211       —         2,860  

Prepaid expenses and other assets

    9,194       4,660       (3,976     9,878  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total current assets

    85,561       17,960       (3,976     99,545  
   

 

 

   

 

 

   

 

 

   

 

 

 

Property and equipment:

                               

Land

    12,079       40,567       —         52,646  

Buildings and building improvements

    45,558       223,458       —         269,016  

Leasehold improvements

    19,375       102,478       —         121,853  

Assets under capital leases

    8,675       36,295       —         44,970  

Equipment

    65,161       155,640       —         220,801  

Construction in progress

    1,076       6,390       —         7,466  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total property and equipment

    151,924       564,828       —         716,752  

Accumulated depreciation and amortization

    (77,068     (288,190     —         (365,258
   

 

 

   

 

 

   

 

 

   

 

 

 

Property and equipment, net of accumulated depreciation

    74,856       276,638       —         351,494  
         

Intercompany receivables

    102,346       —         (102,346     —    

Investments in subsidiaries

    90,553       —         (90,553     —    

Goodwill

    —         8,087       —         8,087  

Intangible assets, net of accumulated amortization

    —         1,088       —         1,088  

Investments in unconsolidated affiliates

    7,011       949       —         7,960  

Other assets

    14,926       6,094       —         21,020  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total assets

  $ 375,253     $ 310,816     $ (196,875   $ 489,194  
   

 

 

   

 

 

   

 

 

   

 

 

 

Liabilities and stockholders’ equity:

                               

Current liabilities:

                               

Accounts payable

  $ 18,250     $ 1,825     $ —       $ 20,075  

Accrued expenses

    23,370       17,277       (3,976     36,671  

Current maturities of long-term debt, capital leases and long-term financing obligations

    420       1,796       —         2,216  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total current liabilities

    42,040       20,898       (3,976     58,962  
   

 

 

   

 

 

   

 

 

   

 

 

 

Long-term liabilities:

                               

Long-term debt, less current maturities

    209,530       —         —         209,530  

Capital leases and long-term financing obligations, less current maturities

    27,970       85,267       —         113,237  

Intercompany liabilities

    —         102,346       (102,346     —    

Deferred revenue

    33,273       —         —         33,273  

Other

    5,272       11,752       —         17,024  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total long-term liabilities

    276,045       199,365       (102,346     373,064  
   

 

 

   

 

 

   

 

 

   

 

 

 

Stockholders’ equity:

                               

Preferred stock

    —         —         —         —    

Common stock

    539       1       (1     539  

Treasury stock

    (11,740     —         —         (11,740

Paid-in capital

    349,046       237,800       (237,800     349,046  

Accumulated deficit

    (280,677     (147,248     147,248       (280,677
   

 

 

   

 

 

   

 

 

   

 

 

 

Total stockholders’ equity

    57,168       90,553       (90,553     57,168  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total liabilities and stockholders’ equity

  $ 375,253     $ 310,816     $ (196,875   $ 489,194  
   

 

 

   

 

 

   

 

 

   

 

 

 

 

CONDENSED CONSOLIDATING BALANCE SHEET

 

                                 
    As of December 31, 2011  
    Carmike     Guarantor              
    Cinemas, Inc     Subsidiaries     Eliminations     Consolidated  

Assets:

                               

Current assets:

                               

Cash and cash equivalents

  $ 3,623     $ 9,993     $ —       $ 13,616  

Restricted cash

    331       —         —         331  

Accounts receivable

    4,654       331       —         4,985  

Inventories

    722       2,233       —         2,955  

Prepaid expenses and other assets

    4,953       4,457       —         9,410  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total current assets

    14,283       17,014       —         31,297  
   

 

 

   

 

 

   

 

 

   

 

 

 

Property and equipment:

                               

Land

    12,716       41,193       —         53,909  

Buildings and building improvements

    46,676       229,545       —         276,221  

Leasehold improvements

    19,307       104,240       —         123,547  

Assets under capital leases

    8,675       36,295       —         44,970  

Equipment

    58,128       154,329       —         212,457  

Construction in progress

    159       2,190       —         2,349  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total property and equipment

    145,661       567,792       —         713,453  

Accumulated depreciation and amortization

    (75,760     (281,758     —         (357,518
   

 

 

   

 

 

   

 

 

   

 

 

 

Property and equipment, net of accumulated depreciation

    69,901       286,034       —         355,935  
         

Intercompany receivables

    123,071       —         (123,071     —    

Investment in subsidiaries

    82,985       —         (82,985     —    

Goodwill

    —         8,087       —         8,087  

Intangible assets, net of accumulated amortization

    —         1,169       —         1,169  

Investment in unconsolidated affiliates

    8,498       —         —         8,498  

Other

    10,536       7,334       —         17,870  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total assets

  $ 309,274     $ 319,638     $ (206,056   $ 422,856  
   

 

 

   

 

 

   

 

 

   

 

 

 

Liabilities and stockholders’ (deficit) equity:

                               

Current liabilities:

                               

Accounts payable

  $ 27,598     $ 1,985     $ —       $ 29,583  

Accrued expenses

    19,752       11,384       —         31,136  

Current maturities of long-term debt, capital leases and long-term financing obligations

    2,391       1,568       —         3,959  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total current liabilities

    49,741       14,937       —         64,678  
   

 

 

   

 

 

   

 

 

   

 

 

 

Long-term liabilities:

                               

Long-term debt, less current maturities

    196,880       —         —         196,880  

Capital leases and long-term financing obligations, less current maturities

    28,223       86,385       —         114,608  

Intercompany liabilities

    —         123,071       (123,071     —    

Deferred revenue

    34,009       —         —         34,009  

Other

    6,045       12,261       —         18,306  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total long-term liabilities

    265,157       221,717       (123,071     363,803  
   

 

 

   

 

 

   

 

 

   

 

 

 

Stockholders’ (deficit) equity:

                               

Preferred Stock

    —         —         —         —    

Common Stock

    401       1       (1     401  

Treasury stock

    (11,683     —         —         (11,683

Paid-in capital

    290,997       237,800       (237,800     290,997  

Accumulated deficit

    (285,340     (154,816     154,816       (285,340
   

 

 

   

 

 

   

 

 

   

 

 

 

Total stockholders’ (deficit) equity

    (5,625     82,985       (82,985     (5,625
   

 

 

   

 

 

   

 

 

   

 

 

 

Total liabilities and stockholders’ (deficit) equity

  $ 309,274     $ 319,638     $ (206,056   $ 422,856  
   

 

 

   

 

 

   

 

 

   

 

 

 

 

CONDENSED CONSOLIDATING STATEMENT OF OPERATIONS

 

                                 
    Three Months Ended September 30, 2012  
    Carmike     Guarantor              
    Cinemas, Inc.     Subsidiaries     Eliminations     Consolidated  

Revenues:

                               

Admissions

  $ 12,946     $ 67,463     $ —       $ 80,409  

Concessions and other

    14,062       39,168       (6,163     47,067  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total operating revenues

    27,008       106,631       (6,163     127,476  
   

 

 

   

 

 

   

 

 

   

 

 

 

Operating costs and expenses:

                               

Film exhibition costs

    7,163       36,983       —         44,146  

Concession costs

    975       4,793       —         5,768  

Other theatre operating costs

    10,402       49,141       (6,163     53,380  

General and administrative expenses

    5,094       556       —         5,650  

Severance agreement charges

    95       —         —         95  

Depreciation and amortization

    1,925       6,563       —         8,488  

Loss (gain) on sale of property and equipment

    718       (19     —         699  

Impairment of long-lived assets

    579       1,256       —         1,835  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total operating costs and expenses

    26,951       99,273       (6,163     120,061  
   

 

 

   

 

 

   

 

 

   

 

 

 

Operating income

    57       7,358       —         7,415  

Interest expense

    2,117       6,488       —         8,605  

Equity in earnings of subsidiaries

    (284     —         284       —    
   

 

 

   

 

 

   

 

 

   

 

 

 

Loss (income) before income tax and income from unconsolidated affiliates

    (1,776     870       (284     (1,190

Income tax (benefit) expense

    (157     621       —         464  

Income from unconsolidated affiliates

    1,870       80       —         1,950  
   

 

 

   

 

 

   

 

 

   

 

 

 

Income from continuing operations

    251       329       (284     296  

Loss from discontinued operations

    (18     (45     —         (63
   

 

 

   

 

 

   

 

 

   

 

 

 

Net income

  $ 233     $ 284     $ (284   $ 233  
   

 

 

   

 

 

   

 

 

   

 

 

 

 

CONDENSED CONSOLIDATING STATEMENT OF OPERATIONS

 

                                 
    Three Months Ended September 30, 2011  
    Carmike     Guarantor              
    Cinemas, Inc.     Subsidiaries     Eliminations     Consolidated  

Revenues:

                               

Admissions

  $ 14,045     $ 72,036     $ —       $ 86,081  

Concessions and other

    14,247       39,450       (6,444     47,253  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total operating revenues

    28,292       111,486       (6,444     133,334  
   

 

 

   

 

 

   

 

 

   

 

 

 

Operating costs and expenses:

                               

Film exhibition costs

    7,764       39,232       —         46,996  

Concession costs

    980       4,691       —         5,671  

Other theatre operating costs

    10,905       49,632       (6,444     54,093  

General and administrative expenses

    3,922       536       —         4,458  

Depreciation and amortization

    1,686       6,560       —         8,246  

Loss (gain) on sale of property and equipment

    51       (4     —         47  

Impairment of long-lived assets

    —         18       —         18  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total operating costs and expenses

    25,308       100,665       (6,444     119,529  
   

 

 

   

 

 

   

 

 

   

 

 

 

Operating income

    2,984       10,821       —         13,805  

Interest expense

    2,267       5,783       —         8,050  

Equity in earnings of subsidiaries

    (5,173     —         5,173       —    
   

 

 

   

 

 

   

 

 

   

 

 

 

Income before income tax and income from unconsolidated affiliates

    5,890       5,038       (5,173     5,755  

Income tax expense (benefit)

    3,999       (63     —         3,936  

Income from unconsolidated affiliates

    1,189       102       —         1,291  
   

 

 

   

 

 

   

 

 

   

 

 

 

Income from continuing operations

    3,080       5,203       (5,173     3,110  

Income (loss) from discontinued operations

    10       (30     —         (20
   

 

 

   

 

 

   

 

 

   

 

 

 

Net income

  $ 3,090     $ 5,173     $ (5,173   $ 3,090  
   

 

 

   

 

 

   

 

 

   

 

 

 

CONDENSED CONSOLIDATING STATEMENT OF OPERATIONS

 

                                 
    Nine Months Ended September 30, 2012  
    Carmike
Cinemas, Inc.
    Guarantor
Subsidiaries
    Eliminations     Consolidated  

Revenues:

                               

Admissions

  $ 40,863     $ 209,560     $ —       $ 250,423  

Concessions and other

    43,815       119,156       (19,083     143,888  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total operating revenues

    84,678       328,716       (19,083     394,311  
   

 

 

   

 

 

   

 

 

   

 

 

 

Operating costs and expenses:

                               

Film exhibition costs

    22,341       113,785       —         136,126  

Concession costs

    2,983       13,880       —         16,863  

Other theatre operating costs

    31,763       145,785       (19,083     158,465  

General and administrative expenses

    14,112       1,714       —         15,826  

Severance agreement charges

    588       —         —         588  

Depreciation and amortization

    5,348       18,680       —         24,028  

Loss on sale of property and equipment

    739       209       —         948  

Impairment of long-lived assets

    593       2,778       —         3,371  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total operating costs and expenses

    78,467       296,831       (19,083     356,215  
   

 

 

   

 

 

   

 

 

   

 

 

 

Operating income

    6,211       31,885       —         38,096  

Interest expense

    6,998       18,480       —         25,478  

Loss on extinguishment of debt

    4,961       —         —         4,961  

Equity in earnings of subsidiaries

    (7,570     —         7,570       —    
   

 

 

   

 

 

   

 

 

   

 

 

 

Income before income tax and income from unconsolidated affiliates

    1,822       13,405       (7,570     7,657  

Income tax (benefit) expense

    (2,240     6,062       —         3,822  

Income from unconsolidated affiliates

    698       260       —         958  
   

 

 

   

 

 

   

 

 

   

 

 

 

Income from continuing operations

    4,760       7,603       (7,570     4,793  

Loss from discontinued operations

    (97     (33     —         (130
   

 

 

   

 

 

   

 

 

   

 

 

 

Net income

  $ 4,663     $ 7,570     $ (7,570   $ 4,663  
   

 

 

   

 

 

   

 

 

   

 

 

 

CONDENSED CONSOLIDATING STATEMENT OF OPERATIONS

 

                                 
    Nine Months Ended September 30, 2011  
    Carmike
Cinemas, Inc.
    Guarantor
Subsidiaries
    Eliminations     Consolidated  

Revenues:

                               

Admissions

  $ 39,046     $ 192,631     $ —       $ 231,677  

Concessions and other

    40,490       105,885       (17,710     128,665  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total operating revenues

    79,536       298,516       (17,710     360,342  
   

 

 

   

 

 

   

 

 

   

 

 

 

Operating costs and expenses:

                               

Film exhibition costs

    21,352       104,275       —         125,627  

Concession costs

    2,688       12,170       —         14,858  

Other theatre operating costs

    31,146       138,949       (17,710     152,385  

General and administrative expenses

    12,091       1,596       —         13,687  

Severance agreement charges

    845       —         —         845  

Depreciation and amortization

    4,975       18,930       —         23,905  

Loss (gain) on sale of property and equipment

    118       (10     —         108  

Write-off of note receivable

    750       —         —         750  

Impairment of long-lived assets

    907       435       —         1,342  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total operating costs and expenses

    74,872       276,345       (17,710     333,507  
   

 

 

   

 

 

   

 

 

   

 

 

 

Operating income

    4,664       22,171       —         26,835  

Interest expense

    8,242       17,591       —         25,833  

Equity in earnings of subsidiaries

    (4,621     —         4,621       —    
   

 

 

   

 

 

   

 

 

   

 

 

 

Income before income tax and income from unconsolidated affiliates

    1,043       4,580       (4,621     1,002  

Income tax expense (benefit)

    11,255       (4     —         11,251  

Income from unconsolidated affiliates

    744       243       —         987  
   

 

 

   

 

 

   

 

 

   

 

 

 

(Loss) income from continuing operations

    (9,468     4,827       (4,621     (9,262

Income (loss) from discontinued operations

    43       (206     —         (163
   

 

 

   

 

 

   

 

 

   

 

 

 

Net (loss) income

  $ (9,425   $ 4,621     $ (4,621   $ (9,425
   

 

 

   

 

 

   

 

 

   

 

 

 

CONDENSED CONSOLIDATING STATEMENT OF CASH FLOWS

 

                                 
    For the Nine Months Ended September 30, 2012  
    Carmike
Cinemas, Inc.
    Guarantor
Subsidiaries
    Eliminations     Consolidated  

Net cash provided by operating activities:

  $ 1,288     $ 34,927     $ —       $ 36,215  
         

Cash flows from investing activities:

                               

Purchases of property and equipment

    (13,768     (12,155     —         (25,923

Theatre acquistion

    —         (702     —         (702

Investment in unconsolidated affiliates

    —         (54     —         (54

Proceeds from sale of property and equipment

    2,059       798       —         2,857  

Other investing activities

    273       —         —         273  
   

 

 

   

 

 

   

 

 

   

 

 

 

Net cash used in investing activities

    (11,436     (12,113             (23,549
         

Cash flows from financing activities:

                               

Short-term borrowings

    5,000       —         —         5,000  

Repayments of short term borrowings

    (5,000     —         —         (5,000

Issuance of long-term debt

    209,500       —         —         209,500  

Repayments of long-term debt

    (200,229     —         —         (200,229

Debt issuance costs

    (8,621     —         —         (8,621

Repayments of capital leases and long-term financing obligations

    (252     (1,145     —         (1,397

Issuance of common stock

    56,565       —         —         56,565  

Purchase of treasury stock

    (57     —         —         (57

Intercompany receivable/payable

    20,725       (20,725     —         —    
   

 

 

   

 

 

   

 

 

   

 

 

 

Net cash provided by (used in) financing activities

    77,631       (21,870     —         55,761  
   

 

 

   

 

 

   

 

 

   

 

 

 

Increase in cash and cash equivalents

    67,483       944       —         68,427  

Cash and cash equivalents at beginning of period

    3,623       9,993       —         13,616  
   

 

 

   

 

 

   

 

 

   

 

 

 

Cash and cash equivalents at end of period

  $ 71,106     $ 10,937     $  —       $ 82,043  
   

 

 

   

 

 

   

 

 

   

 

 

 

CONDENSED CONSOLIDATING STATEMENT OF CASH FLOWS

 

                                 
    For the Nine Months Ended September 30, 2011  
    Carmike
Cinemas, Inc.
    Guarantor
Subsidiaries
    Eliminations     Consolidated  

Net cash provided by operating activities:

  $ 21,830     $ 27,693     $ —       $ 49,523  
         

Cash flows from investing activities:

                               

Purchases of property and equipment

    (1,527     (10,779             (12,306

Theatre acquistion

    (2,550     —         —         (2,550

Investment in unconsolidated affiliates

    (718     —         —         (718

Proceeds from sale of property and equipment

    6       438               444  

Other investing activities

    260       —                 260  
   

 

 

   

 

 

   

 

 

   

 

 

 

Net cash used in investing activities

    (4,529     (10,341             (14,870
         

Cash flows from financing activities:

                               

Repayments of long-term debt

    (26,698     —                 (26,698

Intercompany receivable/payable

    19,188       (19,188             —    

Repayments of capital lease and long-term financing obligations

    (182     (1,226             (1,408

Other financing activities

    (614     —                 (614
   

 

 

   

 

 

   

 

 

   

 

 

 

Net cash used in financing activities

    (8,306     (20,414     —         (28,720
   

 

 

   

 

 

   

 

 

   

 

 

 

Increase / (decrease) in cash and cash equivalents

    8,995       (3,062     —         5,933  

Cash and cash equivalents at beginning of period

    3,418       9,648               13,066  
   

 

 

   

 

 

   

 

 

   

 

 

 

Cash and cash equivalents at end of period

  $ 12,413     $ 6,586     $ —       $ 18,999  
   

 

 

   

 

 

   

 

 

   

 

 

 
XML 44 R4.htm IDEA: XBRL DOCUMENT v2.4.0.6
Condensed Consolidated Statements of Operations (USD $)
In Thousands, except Per Share data, unless otherwise specified
3 Months Ended 9 Months Ended
Sep. 30, 2012
Sep. 30, 2011
Sep. 30, 2012
Sep. 30, 2011
Revenues:        
Admissions $ 80,409 $ 86,081 $ 250,423 $ 231,677
Concessions and other 47,067 47,253 143,888 128,665
Total operating revenues 127,476 133,334 394,311 360,342
Operating costs and expenses:        
Film exhibition costs 44,146 46,996 136,126 125,627
Concession costs 5,768 5,671 16,863 14,858
Other theatre operating costs 53,380 54,093 158,465 152,385
General and administrative expenses 5,650 4,458 15,826 13,687
Severance agreement charges 95    588 845
Depreciation and amortization 8,488 8,246 24,028 23,905
Loss on sale of property and equipment 699 47 948 108
Write-off of note receivable          750
Impairment of long-lived assets 1,835 18 3,371 1,342
Total operating costs and expenses 120,061 119,529 356,215 333,507
Operating income 7,415 13,805 38,096 26,835
Interest expense 8,605 8,050 25,478 25,833
Loss on extinguishment of debt       4,961   
(Loss) income before income tax and income from unconsolidated affiliates (1,190) 5,755 7,657 1,002
Income tax expense (Note 4) 464 3,936 3,822 11,251
Loss (Income) from unconsolidated affiliates 1,950 1,291 958 987
Income (loss) from continuing operations 296 3,110 4,793 (9,262)
Loss from discontinued operations (Note 6) (63) (20) (130) (163)
Net income (loss) $ 233 $ 3,090 $ 4,663 $ (9,425)
Weighted average shares outstanding:        
Basic 17,519 12,823 15,775 12,801
Diluted 17,881 12,849 16,061 12,801
Net income (loss) per common share (Basic):        
Income (loss) from continuing operations $ 0.02 $ 0.24 $ 0.31 $ (0.72)
Loss from discontinued operations, net of tax $ (0.01)    $ (0.01) $ (0.01)
Net income (loss) $ 0.01 $ 0.24 $ 0.30 $ (0.73)
Net income (loss) per common share (Diluted):        
Income (loss) from continuing operations $ 0.02 $ 0.24 $ 0.30 $ (0.72)
Loss from discontinued operations, net of tax $ (0.01)    $ (0.01) $ (0.01)
Net income (loss) $ 0.01 $ 0.24 $ 0.29 $ (0.73)
XML 45 R12.htm IDEA: XBRL DOCUMENT v2.4.0.6
Commitments and Contingencies
9 Months Ended
Sep. 30, 2012
Commitments and Contingencies [Abstract]  
COMMITMENTS AND CONTINGENCIES

NOTE 7—COMMITMENTS AND CONTINGENCIES

Contingencies

The Company, in the normal course of business, is involved in routine litigation and legal proceedings, such as personal injury claims, employment matters, contractual disputes and claims alleging Americans with Disabilities Act violations. Currently, there is no pending litigation or proceedings that the Company believes will have a material adverse effect, either individually or in the aggregate, on its business or its financial position, results of operations or cash flow.

On September 28, 2012, the Company entered into a definitive purchase agreement to acquire all of the membership units of Rave Reviews Cinemas, L.L.C. (“Rave”) (see Note 11 – Theatre Acquisitions). The Company expects the transaction to close during the fourth quarter of 2012. Upon closing, the Company expects to pay approximately $1.2 million for certain acquisition-related expenses.

XML 46 R11.htm IDEA: XBRL DOCUMENT v2.4.0.6
Discontinued Operations
9 Months Ended
Sep. 30, 2012
Discontinued Operations [Abstract]  
DISCONTINUED OPERATIONS

NOTE 6 – DISCONTINUED OPERATIONS

Theatres are generally considered for closure due to an expiring lease, underperformance, or the opportunity to better deploy invested capital. During the three months ended September 30, 2012 and 2011, the Company closed one theatre in each period and for the nine months ended September 30, 2012 and 2011, the Company closed eight and five theatres, respectively. With respect to the closures during the three months ended September 30, 2012 and 2011, the Company classified one theatre in each period as discontinued operations and for the nine months ended September 30, 2012 and 2011, the Company classified five theatres in each period as discontinued operations. The Company reported the results of these operations, including gains and losses on disposal, as discontinued operations. The operations and cash flows of these theatres have been eliminated from the Company’s operations, and the Company will not have any continuing involvement in their operations.

All activity during the three and nine months ended September 30, 2012 included in the accompanying consolidated statements of operations has been reclassified to separately reflect the results of operations from theatres closed in 2012 and considered discontinued operations through the respective date of the theatre closings. Assets and liabilities associated with the discontinued operations have not been segregated from assets and liabilities from continuing operations as they are not material.

 

The following table sets forth the summary of activity for discontinued operations for the three and nine months ended September 30, 2012 and 2011:

 

                 
    Three Months Ended September 30,  
    2012     2011  

Revenue from discontinued operations

  $ 112     $ 743  
   

 

 

   

 

 

 

Operating loss before income taxes

  $ (158   $ (32

Income tax benefit from discontinued operations

    59       14  

Gain (loss) on disposal, before income taxes

    57       (3

Income tax (expense) benefit on disposal

    (21     1  
   

 

 

   

 

 

 

Loss from discontinued operations

  $ (63   $ (20
   

 

 

   

 

 

 
   
    Nine Months Ended September 30,  
    2012     2011  

Revenue from discontinued operations

  $ 519     $ 2,257  
   

 

 

   

 

 

 

Operating loss before income taxes

  $ (389   $ (487

Income tax benefit from discontinued operations

    146       178  

Gain on disposal, before income taxes

    181       230  

Income tax expense on disposal

    (68     (84
   

 

 

   

 

 

 

Loss from discontinued operations

  $ (130   $ (163
   

 

 

   

 

 

 
XML 47 R23.htm IDEA: XBRL DOCUMENT v2.4.0.6
Screenvision Exhibition, Inc. (Tables)
9 Months Ended
Sep. 30, 2012
Screenvision Exhibition, Inc. [Abstract]  
Summary of changes in investments in unconsolidated affiliates and deferred revenue
         

Investments in unconsolidated affiliates

  SV Holdco  

Balance at January 1, 2012

  $ 7,514  

Equity earnings of SV Holdco

    (503
   

 

 

 

Balance at September 30, 2012

  $ 7,011  
   

 

 

 

 

         

Deferred revenue

  SV Holdco  

Balance at January 1, 2012

  $ 35,162  

Amortization of up-front payment

    (710

Theatre acquisition bonus- MNM Theatres

    134  

Amortization of Class C units

    (155
   

 

 

 

Balance at September 30, 2012

  $ 34,431  
   

 

 

 
XML 48 R19.htm IDEA: XBRL DOCUMENT v2.4.0.6
Basis of Presentation and Significant Accounting Policies (Policies)
9 Months Ended
Sep. 30, 2012
Basis of Presentation and Significant Accounting Policies [Abstract]  
Basis of Presentation

Basis of Presentation

Carmike Cinemas, Inc. (referred to as “we”, “us”, “our”, and the “Company”) has prepared the accompanying unaudited condensed consolidated financial statements in accordance with accounting principles generally accepted in the United States of America (“GAAP”) for interim financial information and the rules and regulations of the Securities and Exchange Commission (the “SEC”). This information reflects all adjustments which in the opinion of management are necessary for a fair presentation of the balance sheet as of September 30, 2012 and December 31, 2011, the results of operations for the three and nine month periods ended September 30, 2012 and 2011 and cash flows for the nine months ended September 30, 2012 and 2011. Certain information and footnote disclosures normally included in financial statements prepared in accordance with GAAP have been condensed or omitted. The Company believes that the disclosures are adequate to make the information presented not misleading. These condensed consolidated financial statements should be read in conjunction with the consolidated financial statements and the notes thereto included in our Annual Report on Form 10-K for the year ended December 31, 2011. That report includes a summary of our critical accounting policies. There have been no material changes in our accounting policies during the first nine months of 2012.

The consolidated financial statements include the accounts of the Company’s wholly owned subsidiaries. All intercompany transactions and balances have been eliminated.

Accounting Estimates

Accounting Estimates

In the preparation of financial statements in conformity with GAAP, management must make certain estimates, judgments and assumptions. These estimates, judgments and assumptions are made when accounting for items and matters such as, but not limited to, depreciation, amortization, asset valuations, impairment assessments, lease classification, employee benefits, income taxes, reserves and other provisions and contingencies. These estimates are based on the information available when recorded. These estimates, judgments and assumptions can affect the reported amounts of assets and liabilities as of the date of the financial statements, as well as the reported amounts of revenue and expenses during the periods presented. The Company bases its estimates on historical experience and on various other assumptions that are believed to be reasonable under the circumstances, the results of which form the basis for making judgments about the carrying values of assets and liabilities that are not readily apparent from other sources. Actual results may differ from these estimates under different assumptions or conditions. Changes in estimates are recognized in the period they are determined.

Discontinued Operations

Discontinued Operations

The results of operations for theatres that have been disposed of or classified as held for sale are eliminated from the Company’s continuing operations and classified as discontinued operations for each period presented within the Company’s condensed consolidated statements of operations. Theatres are reported as discontinued operations when the Company no longer has continuing involvement in the theatre operations and the cash flows have been eliminated, which generally occurs when the Company no longer has operations in a given market. See Note 6 – Discontinued Operations.

Impairment of Long-Lived Assets

Impairment of Long-Lived Assets

Long-lived assets are tested for recoverability whenever events or circumstances indicate that the assets’ carrying values may not be recoverable. The Company performs its impairment analysis at the individual theatre-level, the lowest level of independent, identifiable cash flow. Management reviews all available evidence when assessing long-lived assets for impairment, including negative trends in theatre-level cash flow, the impact of competition, the age of the theatre, and alternative uses of the assets. The Company’s evaluation of negative trends in theatre-level cash flow considers the seasonality of the business, with significant revenues and cash flow generated in the summer and year-end holiday season. Absent any unusual circumstances, management evaluates new theatres for potential impairment only after a theatre has been open and operational for a sufficient period of time to allow its operations to mature.

For those assets that are identified as potentially being impaired, if the undiscounted future cash flows from such assets are less than the carrying value, the Company recognizes a loss equal to the difference between the carrying value and the asset’s fair value. The fair value of the assets is primarily estimated using the discounted future cash flow of the assets with consideration of other valuation techniques and using assumptions consistent with those used by market participants. Significant judgment is involved in estimating cash flows and fair value; significant assumptions include attendance levels, admissions and concessions pricing, and the weighted-average cost of capital. Management’s estimates are based on historical and projected operating performance.

Fair Value Measurements

Fair Value Measurements

The carrying values of cash and cash equivalents, accounts receivable, accounts payable and accrued liabilities approximate their fair value due to the short-term maturities of these assets and liabilities.

The fair value of the Senior Secured Notes and Credit Facility described in Note 3 – Debt is estimated based on quoted market prices at the date of measurement.

Comprehensive Income

Comprehensive Income

The Company has no other comprehensive income items.

Recent Accounting Pronouncements

Recent Accounting Pronouncements

In July 2012, the Financial Accounting Standards Board (“FASB”) issued Accounting Standards Update (“ASU”) 2012-02, “Testing Indefinite-Lived Intangible Assets for Impairment.” Under ASU 2012-02, an entity testing an indefinite-lived intangible asset for impairment has the option of performing a qualitative assessment before calculating the fair value of the asset. The ASU does not revise the requirements to test indefinite-lived intangible assets annually and test between annual tests if there is a change in events of circumstances. The amendments are effective for fiscal years, and interim periods within those years, beginning after September 15, 2012. The amendments are not expected to have any impact on the Company’s financial position or results of operations.

XML 49 R15.htm IDEA: XBRL DOCUMENT v2.4.0.6
Investments in Unconsolidated Affiliates
9 Months Ended
Sep. 30, 2012
Investments in Unconsolidated Affiliates [Abstract]  
INVESTMENTS IN UNCONSOLIDATED AFFILIATES

NOTE 10—INVESTMENTS IN UNCONSOLIDATED AFFILIATES

Our investments in affiliated companies accounted for by the equity method consist of our ownership interest in Screenvision, as discussed in Note 9 – Screenvision Exhibition, Inc., and interests in other joint ventures.

Combined financial information of the unconsolidated affiliated companies accounted for by the equity method is as follows:

 

         
    As of September 30,  
    2012  

Assets:

       

Current assets

  $ 58,738  

Noncurrent assets

    161,150  
   

 

 

 

Total assets

  $ 219,888  
   

 

 

 

Liabilities:

       

Current liabilities

  $ 44,819  

Noncurrent liabilities

    88,957  
   

 

 

 

Total liabilities

  $ 133,776  
   

 

 

 

 

                 
    Three Months Ended  
    September 30, 2012     September 30, 2011  

Results of operations:

               

Revenue

  $ 50,927     $ 55,828  

Net income

  $ 9,591     $ 5,217  
   
    Nine Months Ended  
    September 30, 2012     September 30, 2011  

Results of operations:

               

Revenue

  $ 105,575     $ 124,770  

Net loss

  $ (4,036   $ (2,519

 

A summary of activity in income from unconsolidated affiliates for the nine months ended September 30, 2012 is as follows:

 

         

Income from unconsolidated affiliates

     

Income from unconsolidated affiliates

  $ (244

Elimination of intercompany revenue

    1,202  
   

 

 

 

Income from unconsolidated affiliates

  $ 958  
   

 

 

 
XML 50 R13.htm IDEA: XBRL DOCUMENT v2.4.0.6
Net Income (Loss) Per Share
9 Months Ended
Sep. 30, 2012
Net Income (Loss) Per Share [Abstract]  
NET INCOME (LOSS) PER SHARE

NOTE 8—NET INCOME (LOSS) PER SHARE

Basic net income (loss) per common share has been computed using the weighted-average number of shares of common stock outstanding during the period. Diluted income (loss) per share is computed using the weighted-average number of common shares and common stock equivalents outstanding. Common stock equivalents totaling 361,507 and 285,786 for the three and nine months ended September 30, 2012, respectively, were excluded from the calculation of diluted earnings per share because of a decline in the average market price of the common stock below the exercise. As a result of the Company’s net losses, all common stock equivalents aggregating 1,049,092 for the nine months ended September 30, 2011 were excluded from the calculation of diluted loss per share given their anti-dilutive effect.

XML 51 R14.htm IDEA: XBRL DOCUMENT v2.4.0.6
Screenvision Exhibition, Inc.
9 Months Ended
Sep. 30, 2012
Screenvision Exhibition, Inc. [Abstract]  
SCREENVISION EXHIBITION, INC.

NOTE 9—SCREENVISION EXHIBITION, INC.

On October 14, 2010, the Company finalized the modification of its long-term exhibition agreement (the “Modified Exhibition Agreement”) with Screenvision Exhibition, Inc. (“Screenvision”), the Company’s exclusive provider of on-screen advertising services. The Modified Exhibition Agreement extends the Company’s exhibition agreement with Screenvision, which was set to expire on July 1, 2012, for an additional 30 year term through July 1, 2042 (“Expiration Date”).

In connection with the Modified Exhibition Agreement, the Company received a cash payment of $30,000 from Screenvision in January 2011. In addition, on October 14, 2010, the Company received, for no additional consideration, Class C membership units representing, as of that date, approximately 20% of the issued and outstanding membership units of SV Holdco, LLC (“SV Holdco”). SV Holdco is a holding company that owns and operates the Screenvision business through a subsidiary entity. SV Holdco has elected to be taxed as a partnership for U.S. federal income tax purposes.

 

In September 2011, the Company made a voluntary capital contribution of $718 to SV Holdco. The capital contribution was made to maintain the Company’s relative ownership interest following an acquisition by Screenvision and additional capital contributions by other owners of SV Holdco. The Company received Class A membership units representing less than 1% of the issued and outstanding membership units of SV Holdco in return for the Company’s capital contribution.

As of September 30, 2012, the Company held Class C and Class A membership units representing approximately 19% of the total issued and outstanding membership units of SV Holdco. As of September 30, 2012, the carrying value of the Company’s ownership interest in SV Holdco is $7,000 and is included in investments in unconsolidated affiliates in the consolidated balance sheets. For book purposes, the Company has accounted for its investment in SV Holdco, LLC, a limited liability company for which separate accounts of each investor are maintained, as an equity method investment pursuant to Accounting Standards Codification 970-323-25-6.

The Company’s Class C membership units are intended to be treated as a “profits interest” in SV Holdco for U.S. federal income tax purposes and thus do not give the Company an interest in the other members’ initial or subsequent capital contributions. As a profits interest, the Company’s Class C membership units are designed to represent an equity interest in SV Holdco’s future profits and appreciation in assets beyond a defined threshold amount, which equaled $85,000 as of October 14, 2010. The $85,000 threshold amount represented the agreed upon value of initial capital contributions made by the members to SV Holdco and is subject to adjustment to account for future capital contributions made to SV Holdco. Accordingly, the threshold amount applicable to the Company’s Class C membership units has increased to $88,000 as of September 30, 2012.

The Company will also receive additional Class C membership units (“bonus units”), all of which will be subject to forfeiture, or may forfeit some of its initial Class C membership units, based upon changes in the Company’s future theatre and screen count. However, the Company will not forfeit more than 25% of the Class C membership units it received in October 2010, and the Company will not receive bonus units in excess of 33% of the Class C membership units it received in October 2010. Any bonus units and the initial Class C membership units subject to forfeiture will each become non-forfeitable on the Expiration Date, or upon the earlier occurrence of certain events, including (1) a change of control or liquidation of SV Holdco or (2) the consummation of an initial public offering of securities of SV Holdco. The Company’s Class C units in SV Holdco LLC that are subject to forfeiture, and any bonus units that may be awarded in future periods, will not be recognized in its consolidated financial statements until such units become non-forfeitable. Upon recognition, the Company will record its investment in any additional Class C and bonus units and will recognize revenue equal to the then estimated fair value of such units. The non-forfeitable ownership interest in SV Holdco was recorded at an estimated fair value of $6,555 which was determined using the Black Scholes Model. The Company has applied the equity method of accounting for the non-forfeitable units and for financial reporting purposes began recording the related percentage of the earnings or losses of SV Holdco in its consolidated statement of operations since October 14, 2010. The Company’s non-forfeitable Class C and Class A membership units represented approximately 15% of the total issued and outstanding membership units of SV Holdco as of September 30, 2012.

For financial reporting purposes, the gains from both the $30,000 cash payment to the Company and its non-forfeitable membership units in SV Holdco ($36,555 in the aggregate) have been deferred and will be recognized as concessions and other revenue on a straight line basis over the remaining term of the Modified Exhibition Agreement. The Company has included in concessions and other revenue in the consolidated statement of operations amounts related to Screenvision of approximately $2,700 and $7,600 for the three and nine months ended September 30, 2012 and approximately $2,800 and $7,100 for the three and nine months ended September 30, 2011, respectively. The Company reclassifies certain amounts from Screenvision included in concessions and other revenue to earnings from unconsolidated affiliates. The amount reclassified is based on the Company’s non-forfeitable ownership percentage of SV Holdco membership units, represents an intercompany gain to the Company and totaled approximately $400 for the three months ended September 30, 2012 and 2011 and approximately $1,200 and $1,300 for the nine months ended September 30, 2012 and 2011, respectively. The Company has included in accounts receivable in the consolidated balance sheets amounts due from Screenvision of $1,336 and $1,860 at September 30, 2012 and December 31, 2011, respectively.

A summary of changes in investments in unconsolidated affiliates and deferred revenue for the Company’s equity method investment in SV Holdco for the nine months ended September 30, 2012 is as follows:

 

         

Investments in unconsolidated affiliates

  SV Holdco  

Balance at January 1, 2012

  $ 7,514  

Equity earnings of SV Holdco

    (503
   

 

 

 

Balance at September 30, 2012

  $ 7,011  
   

 

 

 

 

         

Deferred revenue

  SV Holdco  

Balance at January 1, 2012

  $ 35,162  

Amortization of up-front payment

    (710

Theatre acquisition bonus- MNM Theatres

    134  

Amortization of Class C units

    (155
   

 

 

 

Balance at September 30, 2012

  $ 34,431  
   

 

 

 
XML 52 R16.htm IDEA: XBRL DOCUMENT v2.4.0.6
Theatre Acquisitions
9 Months Ended
Sep. 30, 2012
Theatre Acquisitions [Abstract]  
THEATRE ACQUISITIONS

NOTE 11—THEATRE ACQUISITIONS

On March 30, 2012, the Company completed its purchase of certain assets from Destinta Theatres for approximately $700. The acquisition consisted of a seven screen theatre in Clarion, Pennsylvania. The Company has accounted for this transaction as an asset acquisition. The purchase price was allocated to the assets acquired, primarily leasehold improvements, based on their respective fair values.

On September 28, 2012, the Company entered into a definitive purchase agreement with Rave, pursuant to which, subject to satisfaction of certain conditions, the Company will acquire all of the membership units of Rave for approximately $19,000, subject to customary working capital and other adjustments. The Company will assume certain liabilities, including certain lease obligations which, upon closing, will be reflected on the Company’s consolidated balance sheet as capital lease and financing obligations, in the amount of approximately $100,400, subject to customary accounting adjustments to reflect the acquisition date fair value of such obligations. Rave operates 16 theatres located in 7 states. The Company is expected to complete the transaction in the fourth quarter of 2012. In accordance with the acquisition method of accounting, the acquired net assets will be recorded at fair value as of the date of the acquisition. The results of operations of Rave will be included in the Company’s consolidated statement of operations beginning on the date of the acquisition.

XML 53 R34.htm IDEA: XBRL DOCUMENT v2.4.0.6
Equity Based Compensation (Details Textual) (USD $)
In Thousands, except Share data, unless otherwise specified
3 Months Ended 9 Months Ended
Sep. 30, 2012
Sep. 30, 2011
Sep. 30, 2012
Sep. 30, 2011
Dec. 31, 2011
Equity Based Compensation (Textual) [Abstract]          
Performance-based awards outstanding 440,924   440,924   248,804
Equity Based Compensation (Additional Textual) [Abstract]          
Shares available for future grants Under 2004 Incentive Stock Plan 1,319,684   1,319,684    
Performance-based stock awards earned     96,083    
Stock-based compensation expense $ 521 $ 403 $ 1,622 $ 1,590  
Total unrecognized compensation cost 3,549   3,549    
Weighted-average period for recognition of unrecognized compensation cost     2 years    
Options granted           
Accelerate vesting of stock-based awards $ 0 $ 222 $ 115 $ 222  
Estimated forfeiture rate     5.00%    
Restricted stock [Member] | Minimum [Member]
         
Equity Based Compensation (Textual) [Abstract]          
Vesting period     1 year    
Compensation expense, recognition period     1 year    
Restricted stock [Member] | Maximum [Member]
         
Equity Based Compensation (Textual) [Abstract]          
Vesting period     3 years    
Compensation expense, recognition period     3 years    
Performance-based awards [Member]
         
Equity Based Compensation (Textual) [Abstract]          
Vesting period     3 years    
Performance-based awards outstanding dependent on performance criteria 240,083   240,083    
XML 54 R21.htm IDEA: XBRL DOCUMENT v2.4.0.6
Equity Based Compensation (Tables)
9 Months Ended
Sep. 30, 2012
Equity Based Compensation [Abstract]  
Weighted-average fair value of options granted and assumptions
         
    2011  

Fair value of options on grant date

  $ 4.87  

Expected life (years)

    6.0  

Risk-free interest rate

    2.3

Expected dividend yield

    —  

Expected volatility

    76.2
Summary of option activity for stock options
                                 
                Weighted        
          Weighted     Average        
          Average     Remaining     Aggregate  
          Exercise     Contractual     Intrinsic  
    Shares     Price     Life (Yrs.)     Value  

Outstanding at January 1, 2012

    796,500     $ 12.20       6.93          

Granted

    —       $ —                    

Exercised

    (39,000   $ 7.81             $ 245  

Expired

    (10,000   $ 19.95                  

Forfeited

    —       $ —                    
   

 

 

   

 

 

   

 

 

   

 

 

 

Outstanding at September 30, 2012

    747,500     $ 12.32       6.18     $ 1,633  
   

 

 

   

 

 

   

 

 

   

 

 

 

Exercisable on September 30, 2012

    595,827     $ 13.34       5.68     $ 1,185  
   

 

 

   

 

 

   

 

 

   

 

 

 

Expected to vest September 30, 2012

    145,645     $ 8.33       8.13     $ 427  
   

 

 

   

 

 

   

 

 

   

 

 

 
Summary of activity for restricted stock grants
                 
          Weighted  
          Average  
          Grant Date  
    Shares     Fair Value  

Nonvested at January 1, 2012

    248,804     $ 8.43  

Granted

    263,928     $ 12.13  

Vested

    (65,808   $ 7.92  

Forfeited

    (6,000   $ 10.91  
   

 

 

         

Nonvested at September 30, 2012

    440,924     $ 10.69  
   

 

 

         
XML 55 R26.htm IDEA: XBRL DOCUMENT v2.4.0.6
Impairment of Long-Lived Assets (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Sep. 30, 2012
Sep. 30, 2011
Sep. 30, 2012
Sep. 30, 2011
Impairment of Long-Lived Assets (Additional Textual) [Abstract]        
Impairment charges $ 1,835 $ 18 $ 3,371 $ 1,342
Estimated aggregate fair value of long-lived assets impaired $ 1,248   $ 6,925  
Minimum [Member]
       
Impairment of Long-Lived Assets (Textual) [Abstract]        
Projected future attendance fluctuations     (10.00%)  
Risk-adjusted rate of return     10.00%  
Maximum [Member]
       
Impairment of Long-Lived Assets (Textual) [Abstract]        
Projected future attendance fluctuations     10.00%  
Risk-adjusted rate of return     15.00%  
XML 56 R41.htm IDEA: XBRL DOCUMENT v2.4.0.6
Investments in Unconsolidated Affiliates (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Sep. 30, 2012
Sep. 30, 2011
Sep. 30, 2012
Sep. 30, 2011
Assets:        
Current assets $ 58,738   $ 58,738  
Noncurrent assets 161,150   161,150  
Total assets 219,888   219,888  
Liabilities:        
Current liabilities 44,819   44,819  
Noncurrent liabilities 88,957   88,957  
Total liabilities 133,776   133,776  
Results of operations:        
Revenue 50,927 55,828 105,575 124,770
Net loss $ 9,591 $ 5,217 $ (4,036) $ (2,519)
XML 57 R5.htm IDEA: XBRL DOCUMENT v2.4.0.6
Condensed Consolidated Statements of Cash Flows (USD $)
In Thousands, unless otherwise specified
9 Months Ended
Sep. 30, 2012
Sep. 30, 2011
Cash flows from operating activities:    
Net income (loss) $ 4,663 $ (9,425)
Adjustments to reconcile net income (loss) to net cash provided by operating activities:    
Depreciation and amortization 24,068 24,043
Amortization of debt issuance costs 1,398 2,582
Impairment on long-lived assets 3,466 1,342
Loss on extinguishment of debt 4,961   
Stock-based compensation 1,622 1,590
Loss (Income) from unconsolidated affiliates 958 987
Other 284 416
Write-off of note receivable    750
Loss (gain) on sale of property and equipment 767 (123)
Changes in operating assets and liabilities:    
Accounts receivable and inventories 275 302
Screenvision receivable    30,000
Prepaid expenses and other assets 111 869
Accounts payable (10,133) (4,692)
Accrued expenses and other liabilities 4,271 2,512
Distributions from unconsolidated affiliates 348 344
Net cash provided by operating activities 36,215 49,523
Cash flows from investing activities:    
Purchases of property and equipment (25,923) (12,306)
Release of restricted cash 273 260
Theatre acquisition (702) (2,550)
Investment in unconsolidated affiliates (54) (718)
Proceeds from sale of property and equipment 2,857 444
Net cash used in investing activities (23,549) (14,870)
Debt activities:    
Short-term borrowings 5,000  
Repayment of short-term borrowings (5,000)  
Issuance of long-term debt 209,500  
Repayments of long-term debt (200,229) (26,698)
Debt issuance costs (8,621) (588)
Repayments of capital lease and long-term financing obligations (1,397) (1,408)
Issuance of common stock 56,565  
Purchase of treasury stock (57) (26)
Net cash provided by (used in) financing activities 55,761 (28,720)
Increase in cash and cash equivalents 68,427 5,933
Cash and cash equivalents at beginning of period 13,616 13,066
Cash and cash equivalents at end of period 82,043 18,999
Cash paid during the period for:    
Interest 17,105 25,738
Income taxes 4,884 9,405
Non-cash investing and financing activities:    
Non-cash purchase of property and equipment $ 2,314 $ 3,165
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Equity Based Compensation
9 Months Ended
Sep. 30, 2012
Equity Based Compensation [Abstract]  
EQUITY BASED COMPENSATION

NOTE 5—EQUITY BASED COMPENSATION

In March 2004, the Board of Directors adopted the Carmike Cinemas, Inc. 2004 Incentive Stock Plan (the “2004 Incentive Stock Plan”). The Company’s Compensation and Nominating Committee (or similar committee) may grant stock options, stock grants, stock units, and stock appreciation rights under the 2004 Incentive Stock Plan to certain eligible employees and to outside directors. As of September 30, 2012, there were 1,319,684 shares available for future grants under the 2004 Incentive Stock Plan. The Company’s policy is to issue new shares upon exercise of options and the issuance of stock grants.

The Company also issues restricted stock awards to certain key employees and directors. Generally, the restricted stock vests over a one to three year period and compensation expense is recognized over the one to three year period equal to the grant date fair value of the shares awarded. As of September 30, 2012, the Company also had 240,083 shares of performance-based awards outstanding which are dependent on the achievement of EBITDA targets that vest over a three-year period. As of September 30, 2012, 96,083 shares of these performance-based stock awards have been earned due to the achievement of EBITDA targets. Performance-based stock awards are recognized as compensation expense over the vesting period based on the fair value on the date of grant and the number of shares ultimately expected to vest. The Company has determined the achievement of the performance target for the unearned awards is probable.

The Company’s total stock-based compensation expense was approximately $521 and $403 for the three months ended September 30, 2012 and 2011, respectively, and $1,622 and $1,590 for the nine months ended September 30, 2012 and 2011, respectively. Included in stock-based compensation expense for the nine months ended September 30, 2012, is $115 related to the accelerated vesting of stock-based awards to the Company’s former Vice President-General Manager Theatre Operations. Included in stock-based compensation expense for the three and nine months ended September 30, 2011, is $222 related to the accelerated vesting of stock-based awards to the Company’s former Senior Vice President-General Counsel and Secretary. Stock-based compensation expense is included in general and administrative expenses in the consolidated statement of operations with the exception of the accelerated vested awards which are included in Severance Agreement Charges. As of September 30, 2012, the Company had approximately $3,549 of total unrecognized compensation cost related to non-vested share-based compensation arrangements granted under the Company’s plans. This cost is expected to be recognized as stock-based compensation expense over a weighted-average period of approximately 2.0 years. This expected cost does not include the impact of any future stock-based compensation awards.

Options – Service Condition Vesting

The Company currently uses the Black-Scholes option pricing model to determine the fair value of its stock options for which vesting is dependent only on employees providing future service.

No options were granted during the first nine months of 2012. The following table sets forth information about the weighted-average fair value of options granted and the weighted-average assumptions for such options granted during the first nine months of 2011:

 

         
    2011  

Fair value of options on grant date

  $ 4.87  

Expected life (years)

    6.0  

Risk-free interest rate

    2.3

Expected dividend yield

    —  

Expected volatility

    76.2

The Company’s stock-based compensation expense is recorded based on an estimated forfeiture rate of 5%.

 

The following table sets forth the summary of option activity for stock options with service vesting conditions as of September 30, 2012:

 

                                 
                Weighted        
          Weighted     Average        
          Average     Remaining     Aggregate  
          Exercise     Contractual     Intrinsic  
    Shares     Price     Life (Yrs.)     Value  

Outstanding at January 1, 2012

    796,500     $ 12.20       6.93          

Granted

    —       $ —                    

Exercised

    (39,000   $ 7.81             $ 245  

Expired

    (10,000   $ 19.95                  

Forfeited

    —       $ —                    
   

 

 

   

 

 

   

 

 

   

 

 

 

Outstanding at September 30, 2012

    747,500     $ 12.32       6.18     $ 1,633  
   

 

 

   

 

 

   

 

 

   

 

 

 

Exercisable on September 30, 2012

    595,827     $ 13.34       5.68     $ 1,185  
   

 

 

   

 

 

   

 

 

   

 

 

 

Expected to vest September 30, 2012

    145,645     $ 8.33       8.13     $ 427  
   

 

 

   

 

 

   

 

 

   

 

 

 

Restricted Stock

The following table sets forth the summary of activity for restricted stock grants, including performance-based awards, for the nine months ended September 30, 2012:

 

                 
          Weighted  
          Average  
          Grant Date  
    Shares     Fair Value  

Nonvested at January 1, 2012

    248,804     $ 8.43  

Granted

    263,928     $ 12.13  

Vested

    (65,808   $ 7.92  

Forfeited

    (6,000   $ 10.91  
   

 

 

         

Nonvested at September 30, 2012

    440,924     $ 10.69  
   

 

 

         

XML 60 R27.htm IDEA: XBRL DOCUMENT v2.4.0.6
Debt (Details) (USD $)
In Thousands, unless otherwise specified
Sep. 30, 2012
Dec. 31, 2011
Components of debt    
Term loan $ 210,000 $ 198,923
Original issue discount (470) (1,306)
Total Debt 209,530 198,923
Current maturities    (2,043)
Total long-term debt 209,530 196,880
Term loan [Member]
   
Components of debt    
Term loan    200,229
Senior secured notes [Member]
   
Components of debt    
Term loan 210,000   
Revolving credit facility [Member]
   
Components of debt    
Term loan      
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Net Income (Loss) Per Share (Details)
3 Months Ended 9 Months Ended
Sep. 30, 2012
Sep. 30, 2012
Sep. 30, 2011
Net Income (Loss) Per Share (Textual) [Abstract]      
Common stock equivalents excluded from the calculation of diluted loss per share 361,507 285,786 1,049,092
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Debt (Tables)
9 Months Ended
Sep. 30, 2012
Debt [Abstract]  
Components of debt
                 
    September 30,     December 31,  
    2012     2011  

Term loan

  $ —       $ 200,229  

Senior secured notes

    210,000       —    

Revolving credit facility

    —         —    

Original issue discount

    (470     (1,306
   

 

 

   

 

 

 

Total debt

    209,530       198,923  

Current maturities

    —         (2,043
   

 

 

   

 

 

 

Total long-term debt

  $ 209,530     $ 196,880  
   

 

 

   

 

 

 
Fair value of senior secured term loan based on quoted market prices
                 
    As of September 30,     As of December 31,  
    2012     2011  

Carrying amount, net

  $ 210,000     $ 198,923 (1)  

Fair value

  $ 224,175     $ 198,247  

 

(1) Term loan is reflected net of unamortized discount of $1,306 at December 31, 2011.