v3.10.0.1
CONDENSED CONSOLIDATING FINANCIAL INFORMATION - Statements of Cash Flows (Details)
kr in Millions, $ in Millions
3 Months Ended 9 Months Ended
Mar. 28, 2017
SEK (kr)
Mar. 28, 2017
USD ($)
Sep. 30, 2018
USD ($)
Sep. 30, 2017
USD ($)
Sep. 30, 2018
USD ($)
Sep. 30, 2017
USD ($)
Net change in operating activities:            
Net cash provided by operating activities         $ 298.8 $ 229.6
Cash flows from investing activities:            
Capital expenditures     $ (133.8) $ (149.7) (374.9) (467.7)
Proceeds from sale leaseback transaction         50.1 128.4
Proceeds from disposition of long-term assets         13.9 22.5
Investments in non-consolidated entities           (10.0)
Investments in non-consolidated entities, net         (11.0) (10.0)
Other, net         (0.7) (3.6)
Net cash provided by (used in) investing activities         (114.3) (809.3)
Cash flows from financing activities:            
Proceeds from issuance of Senior Unsecured Convertible Notes due 2024         600.0  
Borrowings under (repayments) Revolving Credit Facility         6.6 60.0
Borrowings under Revolving Credit Facility           60.0
Proceeds from Issuance of Common Stock           616.8
Principal payment of Loan           (350.0)
Principal payments under term loan         (10.3) (9.1)
Principal payments under capital and financing lease obligations         (53.5) (54.1)
Cash used to pay for deferred financing costs         (14.3) (29.8)
Cash used to pay dividends         (237.4) (78.7)
Taxes paid for restricted unit withholdings         (1.7) (6.5)
Retirement of Class B common stock     (422.9)   (422.9)  
Purchase of treasury stock         (21.8) (16.5)
Net cash provided by (used in) financing activities         (155.3) 621.0
Effect of exchange rate changes on cash and cash equivalents and restricted cash         (3.2) 19.9
Net increase (decrease) in cash, cash equivalents, and restricted cash         26.0 61.2
Cash and cash equivalents, and restricted cash at beginning of period         318.3 230.2
Cash and cash equivalents, and restricted cash at end of period     344.3 291.4 344.3 291.4
NCM            
Cash flows from investing activities:            
Proceeds from disposition         162.5 89.4
Screenvision            
Cash flows from investing activities:            
Proceeds from disposition         45.8  
Open Road Films            
Cash flows from investing activities:            
Proceeds from disposition           9.2
Nordic            
Cash flows from investing activities:            
Acquisition kr (5,756) $ (654.9)       (577.6)
Carmike            
Cash flows from investing activities:            
Acquisition           0.1
6.375% Senior Subordinated Notes due 2024            
Cash flows from financing activities:            
Proceeds from issuance of Senior Subordinated Notes           327.8
6.125% Senior Subordinated Notes due 2027            
Cash flows from financing activities:            
Proceeds from issuance of Senior Subordinated Notes           475.0
Term Loan Facility (SEK)            
Cash flows from financing activities:            
Payments of Senior Subordinated Notes           (144.4)
Principal payments under term loan           (144.4)
Term Loan facility (EUR)            
Cash flows from financing activities:            
Payments of Senior Subordinated Notes           (169.5)
Principal payments under term loan           (169.5)
AMCE            
Net change in operating activities:            
Net cash provided by operating activities         44.0 42.0
Cash flows from financing activities:            
Proceeds from issuance of Senior Unsecured Convertible Notes due 2024         600.0  
Borrowings under Revolving Credit Facility           60.0
Proceeds from Issuance of Common Stock           616.8
Principal payment of Loan           (350.0)
Principal payments under term loan         (10.3) (9.1)
Cash used to pay for deferred financing costs         (14.3) (29.8)
Cash used to pay dividends         (237.4) (78.7)
Taxes paid for restricted unit withholdings         (1.7) (6.5)
Retirement of Class B common stock         (422.9)  
Purchase of treasury stock         (21.8) (16.5)
Change in intercompany advances         87.2 (771.4)
Net cash provided by (used in) financing activities         (21.2) (96.3)
Effect of exchange rate changes on cash and cash equivalents and restricted cash         (23.4) 51.4
Net increase (decrease) in cash, cash equivalents, and restricted cash         (0.6) (2.9)
Cash and cash equivalents, and restricted cash at beginning of period         1.1 3.0
Cash and cash equivalents, and restricted cash at end of period     0.5 0.1 0.5 0.1
AMCE | 6.375% Senior Subordinated Notes due 2024            
Cash flows from financing activities:            
Proceeds from issuance of Senior Subordinated Notes           327.8
AMCE | 6.125% Senior Subordinated Notes due 2027            
Cash flows from financing activities:            
Proceeds from issuance of Senior Subordinated Notes           475.0
AMCE | Term Loan Facility (SEK)            
Cash flows from financing activities:            
Payments of Senior Subordinated Notes           (144.4)
AMCE | Term Loan facility (EUR)            
Cash flows from financing activities:            
Payments of Senior Subordinated Notes           (169.5)
Subsidiary Guarantors            
Net change in operating activities:            
Net cash provided by operating activities         141.7 64.0
Cash flows from investing activities:            
Capital expenditures         (194.2) (320.5)
Proceeds from sale leaseback transaction         50.1 128.4
Proceeds from disposition of long-term assets         4.5 9.1
Investments in non-consolidated entities           (11.6)
Investments in non-consolidated entities, net         (11.0)  
Other, net         (2.4) (3.4)
Net cash provided by (used in) investing activities         9.5 (754.2)
Cash flows from financing activities:            
Principal payments under capital and financing lease obligations         (7.8) (6.9)
Change in intercompany advances         (23.5) 773.7
Net cash provided by (used in) financing activities         (31.3) 766.8
Effect of exchange rate changes on cash and cash equivalents and restricted cash         24.3 (44.5)
Net increase (decrease) in cash, cash equivalents, and restricted cash         144.2 32.1
Cash and cash equivalents, and restricted cash at beginning of period         85.0 94.7
Cash and cash equivalents, and restricted cash at end of period     229.2 126.8 229.2 126.8
Subsidiary Guarantors | NCM            
Cash flows from investing activities:            
Proceeds from disposition         162.5 89.4
Subsidiary Guarantors | Open Road Films            
Cash flows from investing activities:            
Proceeds from disposition           9.2
Subsidiary Guarantors | Nordic            
Cash flows from investing activities:            
Acquisition           (654.9)
Subsidiary Guarantors | Carmike            
Cash flows from investing activities:            
Acquisition           0.1
Subsidiary Non-Guarantors            
Net change in operating activities:            
Net cash provided by operating activities         113.1 123.6
Cash flows from investing activities:            
Capital expenditures         (180.7) (147.2)
Proceeds from disposition of long-term assets         9.4 13.4
Investments in non-consolidated entities           1.6
Other, net         1.7 (0.2)
Net cash provided by (used in) investing activities         (123.8) (55.1)
Cash flows from financing activities:            
Borrowings under (repayments) Revolving Credit Facility         6.6  
Principal payments under capital and financing lease obligations         (45.7) (47.2)
Change in intercompany advances         (63.7) (2.3)
Net cash provided by (used in) financing activities         (102.8) (49.5)
Effect of exchange rate changes on cash and cash equivalents and restricted cash         (4.1) 13.0
Net increase (decrease) in cash, cash equivalents, and restricted cash         (117.6) 32.0
Cash and cash equivalents, and restricted cash at beginning of period         232.2 132.5
Cash and cash equivalents, and restricted cash at end of period     $ 114.6 $ 164.5 114.6 164.5
Subsidiary Non-Guarantors | Screenvision            
Cash flows from investing activities:            
Proceeds from disposition         $ 45.8  
Subsidiary Non-Guarantors | Nordic            
Cash flows from investing activities:            
Acquisition           $ 77.3