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Fair Value Measurements (Tables)
9 Months Ended
Sep. 30, 2011
Fair Value Measurements [Abstract] 
Fair value measurement of assets and liabilities on recurring basis
                                 
    Carrying     Fair Value  
Description   Value     Level 1     Level 2     Level 3  
Interest rate swap liabilities — current (see Note 12)
  $ (12,326 )   $     $     $ (12,326 )
Interest rate swap liabilities — long term (see Note 12)
  $ (5,680 )   $     $     $ (5,680 )
Investment in RealD (see Note 10)
  $ 11,433     $ 11,433     $     $  
     Below is a summary of assets and liabilities measured at fair value on a recurring basis by the Company under FASB ASC Topic 820 as of December 31, 2010:
                                 
    Carrying     Fair Value  
Description   Value     Level 1     Level 2     Level 3  
Interest rate swap liabilities — current (see Note 12)
  $ (2,928 )   $     $     $ (2,928 )
Interest rate swap liabilities — long term (see Note 12)
  $ (13,042 )   $     $     $ (13,042 )
Interest rate swap assets — long term (see Note 12)
  $ 8,955     $     $     $ 8,955  
Investment in RealD (see Note 10)
  $ 27,993     $     $ 27,993     $  
Reconciliation of beginning and ending balance for assets and liabilities measured at fair value
                                 
    Liabilities     Assets  
    2011     2010     2011     2010  
Beginning balances — January 1
  $ (15,970 )   $ (18,524 )   $ 8,955     $  
Total loss included in accumulated other comprehensive income (loss)
    (2,790 )     (363 )     (8,955 )      
Total gain included in earnings
    754                    
     
Ending balances — September 30
  $ (18,006 )   $ (18,887 )   $     $