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Consolidated Statements of Earnings (Loss) - USD ($)
$ in Thousands
3 Months Ended
Mar. 30, 2023
Mar. 31, 2022
Revenues:    
Revenues other than cost reimbursements $ 142,748 $ 124,629
Cost reimbursements 9,528 7,613
Total revenues 152,276 132,242
Costs and expenses:    
Advertising and marketing 5,065 4,481
Administrative 19,851 19,081
Depreciation and amortization 15,876 17,231
Rent 6,493 6,250
Property taxes 4,757 4,745
Other operating expenses 10,049 9,674
Reimbursed costs 9,528 7,613
Total costs and expenses 161,264 149,039
Operating loss (8,988) (16,797)
Other income (expense):    
Investment income (loss) 260 (268)
Interest expense (3,008) (4,092)
Other expense (401) (153)
Equity losses from unconsolidated joint ventures (171) (141)
Nonoperating income (expense), total (3,320) (4,654)
Loss before income taxes (12,308) (21,451)
Income tax benefit (2,842) (6,549)
Net loss (9,466) (14,902)
Net earnings (loss) attributable to noncontrolling interests 0 0
Net loss attributable to The Marcus Corporation $ (9,466) $ (14,902)
Common Stock    
Net loss per share - basic:    
Net loss per share - basic (in dollars per share) $ (0.31) $ (0.48)
Net loss per share - diluted:    
Net loss per share - diluted (in dollars per share) (0.31) (0.48)
Class B Common Stock    
Net loss per share - basic:    
Net loss per share - basic (in dollars per share) (0.28) (0.44)
Net loss per share - diluted:    
Net loss per share - diluted (in dollars per share) $ (0.28) $ (0.44)
Theatre admissions    
Revenues:    
Revenues $ 47,635 $ 38,417
Rooms    
Revenues:    
Revenues 17,857 17,430
Costs and expenses:    
Costs 9,278 8,203
Theatre concessions    
Revenues:    
Revenues 42,375 35,464
Costs and expenses:    
Costs 15,730 15,193
Food and beverage    
Revenues:    
Revenues 15,193 14,511
Costs and expenses:    
Costs 13,568 12,140
Other revenues    
Revenues:    
Revenues 19,688 18,807
Theatre operations    
Costs and expenses:    
Costs $ 51,069 $ 44,428