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Description Of Business And Basis Of Presentation (Tables)
6 Months Ended
Jun. 30, 2025
Description Of Business And Basis Of Presentation [Abstract]  
Reconciliation Of Cash, Cash Equivalents, And Restricted Cash

June 30,

June 30,

Amounts in thousands

2025

2024

Cash and cash equivalents

$

85,541

$

123,200

Restricted cash included in deposits and other

266

244

Total cash, cash equivalents, and restricted cash shown in the condensed consolidated statements of cash flows

$

85,807

$

123,444

Schedule Of Exchange Rates Used To Translate Balances

As of June 30,

As of December 31,

Ending Rates

2025

2024

Canadian dollar (CAD)

1.3660

1.4349

Euros (EUR)

0.8529

0.9611

Polish zloty (PLN)

3.6156

4.1106

Schedule Of Average Exchange Rates Used To Translate Balances

For the three months

For the six months

ended June 30,

ended June 30,

Average Rates

2025

2024

% Change

2025

2024

% Change

Canadian dollar (CAD)

1.3843

1.3683

(1.2%)

1.4096

1.3579

(3.8%)

Euros (EUR)

0.8816

0.9290

5.1%

0.9166

0.9250

0.9%

Polish zloty (PLN)

3.7569

3.9965

6.0%

3.8787

3.9932

2.9%

Source: Xe Currency Converter

Summary Of Effect Of Error On Financial Statements The following table summarizes the effect of the error on the Company's condensed consolidated balance sheets as of June 30, 2025:

June 30,

June 30,

2025

2025

As Previously

Amounts in thousands

Reported

Adjustments

As Restated

Goodwill

$

37,288

$

(26,473)

$

10,815

Total Assets

$

1,208,451

$

(26,473)

$

1,181,978

Deferred income taxes

$

5,292

$

(1,042)

$

4,250

Total Liabilities

1,158,252

(1,042)

1,157,210

Retained loss

(152,025)

(25,431)

(177,456)

Total Century Casinos, Inc. Shareholders' Equity (Deficit)

(41,493)

(25,431)

(66,924)

Total Equity

50,199

(25,431)

24,768

Total Liabilities and Equity

$

1,208,451

$

(26,473)

$

1,181,978

The following table summarizes the effect of the error on the Company's condensed consolidated statements of equity for the three and six months ended June 30, 2025:

For the three months ended

For the three months ended

June 30, 2025

June 30, 2025

As Previously

Amounts in thousands

Reported

Adjustments

As Restated

Retained (Loss) Earnings

Balance, beginning of period

$

(139,716)

$

(25,431)

$

(165,147)

Balance, end of period

(152,025)

(25,431)

(177,456)

Total Century Casinos, Inc. Shareholder's Equity (Deficit)

$

(41,493)

$

(25,431)

$

(66,924)

Total Equity

$

50,199

$

(25,431)

$

24,768

For the six months ended

For the six months ended

June 30, 2025

June 30, 2025

As Previously

Amounts in thousands

Reported

Adjustments

As Restated

Retained (Loss) Earnings

Balance, beginning of period

$

(119,103)

$

(25,431)

$

(144,534)

Balance, end of period

(152,025)

(25,431)

(177,456)

Total Century Casinos, Inc. Shareholder's Equity (Deficit)

$

(41,493)

$

(25,431)

$

(66,924)

Total Equity

$

50,199

$

(25,431)

$

24,768


The following table summarizes the effect of the error on the Company's notes to condensed consolidated financial statements Note 3. Goodwill and Intangible Assets for the period ended June 30, 2025:

United States

Total

United States

Total

As Previously

As Previously

Amounts in thousands

Reported

Reported

Adjustments

As Restated

As Restated

Accumulated impairment losses January 1, 2025

(63,502)

(66,877)

(26,473)

(89,975)

(93,350)

Accumulated impairment losses June 30, 2025

(63,502)

(66,877)

(26,473)

(89,975)

(93,350)

Net carrying value at January 1, 2025

$

26,473

$

36,256

$

(26,473)

$

$

9,783

Net carrying value at June 30, 2025

$

26,473

$

37,288

$

(26,473)

$

$

10,815

The following table summarizes the effect of the error on the Company's notes to condensed consolidated financial statements Note 12. Segment Information for the three and six months ended June 30, 2025:

United States

Total

United States

Total

As Previously

As Previously

Amounts in thousands

Reported

Reported

Adjustments

As Restated

As Restated

Long-lived assets

893,661

1,071,861

(26,473)

867,188

1,045,388

Total assets

940,744

1,208,451

(26,473)

914,271

1,181,978