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Consolidated Statements Of Changes In Equity (USD $)
In Thousands, except Share data
Total
Predecessor
SUMMIT HOTEL OP, LP
Preferred Stock
Preferred Stock
SUMMIT HOTEL OP, LP
Common Stock
Additional Paid-In Capital
Accumulated Other Comprehensive Income (Loss)
Accumulated Deficit and Distributions
Total Stockholders' Equity
Total Stockholders' Equity
Predecessor
Noncontrolling Interests
Noncontrolling Interests
Predecessor
Common Summit Hotel Properties, Inc.
SUMMIT HOTEL OP, LP
Unaffiliated Limited Partners' Equity
SUMMIT HOTEL OP, LP
Beginning Balance at Dec. 31, 2009   $ 81,299                 $ 82,923   $ (1,624)    
Net income (loss) (20,920) (20,920)                 (20,920)        
Distributions to members   (535)                 (535)        
Ending Balance at Dec. 31, 2010   59,844                 61,468   (1,624)    
Net income (loss)   (6,207)                 (6,207)        
Distributions to members   (8,282)                 (8,282)        
Ending Balance at Feb. 13, 2011   45,355                 46,979   (1,624)    
Beginning Balance at Dec. 31, 2010   59,844                     (1,624)    
Net income (loss) (10,384) (10,384)                          
Ending Balance at Dec. 31, 2011 319,449                            
Beginning Balance at Feb. 13, 2011     45,355                       45,355
Beginning Balance at Feb. 13, 2011 45,355                     45,355 (1,624)    
Net proceeds from sale of common stock (in shares)           27,278,000                  
Net proceeds from sale of common stock 240,840         273 240,567     240,840          
Contributions     288,715   47,875                 240,840  
Net proceeds from sale of preferred stock (in shares)       2,000,000                      
Net proceeds from sale of preferred stock 47,875     20     47,855     47,875          
Distributions (10,924)   (10,924)   (411)       (8,083) (8,083)   (2,841)   (7,672) (2,841)
Equity-based compensation 480   480       480     480       480  
Net income (loss) (4,177)   (4,177)   411       (2,937) (2,937)   (1,240)   (3,348) (1,240)
Ending Balance at Dec. 31, 2011     319,449   47,875                 230,300 41,274
Ending Balance at Dec. 31, 2011 319,449     20   273 288,902   (11,020) 278,175   41,274      
Ending Balance (in shares) at Dec. 31, 2011       2,000,000   27,278,000                  
Net proceeds from sale of common stock (in shares)           13,800,000                  
Net proceeds from sale of common stock 106,405         138 106,267     106,405          
Contributions     178,858   72,453                 106,405  
Net proceeds from sale of preferred stock (in shares)       3,000,000                      
Net proceeds from sale of preferred stock 72,453     30     72,423     72,453          
Common stock redemption of common units (in shares)           4,873,625                  
Common stock redemption of common units           49 205     254   (254)   254 (254)
Distributions (23,066)   (23,066)   (4,625)       (19,889) (19,889)   (3,177)   (15,264) (3,177)
Equity-based compensation (in shares)           208,027                  
Equity-based compensation 1,205   1,205     2 1,023     1,025   180   1,025 180
Other comprehensive income (loss) (639)   (639)         (528)   (528)   (111)   (528) (111)
Net income (loss) (2,270)   (2,270)   4,625       (1,076) (1,076)   (1,194)   (5,701) (1,194)
Ending Balance at Dec. 31, 2012     473,537   120,328                 316,491 36,718
Ending Balance at Dec. 31, 2012 $ 473,537     $ 50   $ 462 $ 468,820 $ (528) $ (31,985) $ 436,819   $ 36,718      
Ending Balance (in shares) at Dec. 31, 2012       5,000,000   46,159,652