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CONSOLIDATED CONDENSED BALANCE SHEETS (USD $)
In Millions, unless otherwise specified
Sep. 30, 2014
Dec. 31, 2013
Current assets    
Cash and cash equivalents ($989.2 and $976.9 attributable to our VIE) $ 3,182.4 $ 2,771.2
Restricted cash ($17.1 and $28.8 attributable to our VIE) 61.5 87.5
Receivables, net ($99.5 and $54.8 attributable to our VIE) 622.6 619.9
Deferred income taxes ($3.9 and $7.0 attributable to our VIE) 4.6 8.7
Prepayments and other current assets ($23.3 and $15.6 attributable to our VIE) 246.0 237.4
Inventory 44.7 45.6
Total current assets 4,161.8 3,770.3
Property and equipment, net ($2,557.6 and $516.0 attributable to our VIE) 13,484.8 13,237.9
Goodwill ($447.2 and $112.8 attributable to our VIE) 2,772.7 3,063.3
Intangible assets other than goodwill ($299.5 and $180.0 attributable to our VIE) 3,223.4 3,487.7
Investments in and advances to non-consolidated affiliates 168.8 176.8
Restricted cash ($22.5 and $231.6 attributable to our VIE) 42.5 336.8
Deferred income taxes ($20.3 and $0.0 attributable to our VIE) 23.8 0
Deferred charges and other ($59.9 and $11.0 attributable to our VIE) 610.8 604.2
Assets held for sale 2.9 11.9
Total assets 24,491.5 24,688.9
Current liabilities    
Accounts payable ($126.9 and $54.8 attributable to our VIE) 431.1 442.7
Accrued expenses and other current liabilities ($205.1 and $126.1 attributable to our VIE) 1,318.4 1,212.3
Interest payable ($49.7 and $5.5 attributable to our VIE) 594.3 389.5
Deferred income taxes ($5.4 and $0.0 attributable to our VIE) 314.1 289.2
Current portion of long-term debt ($18.3 and $47.8 attributable to our VIE) 140.6 197.1
Total current liabilities 2,798.5 2,530.8
Long-term debt ($2,300.5 and $673.9 attributable to our VIE) 22,888.9 20,918.4
Deferred income taxes ($5.0 and $3.8 attributable to our VIE) 2,077.4 2,476.0
Deferred credits and other ($89.5 and $67.3 attributable to our VIE) 441.1 667.5
Total liabilities 28,205.9 26,592.7
Commitments and contingencies (Note 15)      
Stockholders’ deficit    
Common stock, voting: par value $0.01; 146.5 and 139.0 shares 1.5 1.4
Treasury stock: 2.2 and 2.2 shares (18.9) (16.3)
Additional paid-in capital 8,103.9 7,230.5
Accumulated deficit (12,081.7) (10,320.7)
Accumulated other comprehensive loss (17.0) (16.9)
Total Caesars stockholders’ deficit (4,012.2) (3,122.0)
Noncontrolling interests 297.8 1,218.2
Total stockholders' deficit (3,714.4) (1,903.8)
Total liabilities and stockholder's deficit $ 24,491.5 $ 24,688.9