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Segment Information - Schedule of Segment Reporting Information (Details) - USD ($)
$ in Thousands
3 Months Ended 12 Months Ended
Sep. 30, 2018
Jun. 30, 2018
Mar. 31, 2018
Dec. 31, 2017
Sep. 30, 2017
Jun. 30, 2017
Mar. 31, 2017
Dec. 31, 2016
Sep. 30, 2016
Jun. 30, 2016
Mar. 31, 2016
Dec. 31, 2015
Sep. 30, 2018
Sep. 30, 2017
Sep. 30, 2016
Revenues $ 40,676 $ 42,634 $ 41,226 $ 41,212 $ 39,210 $ 37,429 $ 34,518 $ 33,739 $ 33,037 $ 33,952 $ 34,396 $ 33,475 $ 165,748 $ 144,896 $ 134,860
Income (loss) from operations 1,533 [1] $ 9,492 [1] $ 8,231 [1] $ 9,140 [1] 1,436 [2] $ 7,883 [2] $ 7,487 [2] $ 6,333 [2] 769 [3] $ 6,657 [3] $ 7,550 [3] $ 5,717 [3] 28,396 23,139 20,693
Capital expenditures                         25,263 11,249 28,148
Depreciation and amortization                         7,722 6,920 7,328
Total assets 330,566       299,884       276,061       330,566 299,884 276,061
Nightclubs [Member]                              
Revenues                         140,060 124,687 113,941
Income (loss) from operations                         44,458 35,138 33,211
Capital expenditures                         2,052 5,142 22,136
Depreciation and amortization                         5,404 5,186 5,008
Total assets 253,169       254,432       244,332       253,169 254,432 244,332
Bombshells [Member]                              
Revenues                         24,094 18,830 18,690
Income (loss) from operations                         2,040 3,084 1,152
Capital expenditures                         22,522 4,489 609
Depreciation and amortization                         1,265 1,025 1,072
Total assets 39,560       18,870       8,378       39,560 18,870 8,378
Other [Member]                              
Revenues                         1,594 1,379 2,229
Income (loss) from operations                         (252) (522) (2,650)
Capital expenditures                         33 14 10
Depreciation and amortization                         179 50 684
Total assets 1,978       780       896       1,978 780 896
General Corporate [Member]                              
Income (loss) from operations                         (17,850) (14,561) (11,020)
Capital expenditures                         656 1,604 5,393
Depreciation and amortization                         874 659 564
Total assets $ 35,859       $ 25,802       $ 22,455       $ 35,859 $ 25,802 $ 22,455
[1] Fiscal year 2018 income from operations, net income attributable to RCIHH shareholders, and earnings per share included the impact of a $1.6 million loss on disposition in the second quarter, a $4.7 million in asset impairments ($1.6 million in the second quarter and $3.2 million in the fourth quarter), and a $9.7 million deferred income tax benefit related to the revaluation of deferred tax assets and liabilities in the first quarter. Quarterly effective income tax expense (benefit) rate was (134.3%), 24.2%, 25.3%, and 202.2% from first to fourth quarter, respectively.
[2] Fiscal year 2017 income from operations, net income attributable to RCIHH shareholders, and earnings per share included the impact of $7.6 million in asset impairment ($1.4 million in the third quarter and $6.2 in the fourth quarter) and $1.3 million additional income tax expense due to change in deferred tax liability rate in the fourth quarter. Quarterly effective income tax expense rate was 33.3%, 33.7%, 32.9%, and 99.6% from first to fourth quarter, respectively.
[3] Fiscal year 2016 income from operations, net income attributable to RCIHH shareholders, and earnings per share included the impact of $3.5 million in asset impairment in the fourth quarter; and $1.9 million in settlement of lawsuits (significant of which were $540,000 in the first quarter and $1.1 million in the fourth quarter). Quarterly effective income tax expense (benefit) rate was 35.9%, 5.2%, 43.0%, and (109.0%) from first to fourth quarter, respectively.