v3.25.2
UNAUDITED CONDENSED CONSOLIDATED BALANCE SHEETS - USD ($)
$ in Thousands
Jun. 29, 2025
Dec. 31, 2024
Jun. 30, 2024
Current assets:      
Cash and cash equivalents $ 107,386 $ 83,174 $ 52,858
Receivables 220,378 164,861 114,554
Inventories 99,142 71,104 58,166
Other current assets 86,429 80,731 45,815
Total current assets 513,335 399,870 271,393
Property and equipment, gross 7,235,644 6,916,761 4,097,010
Accumulated depreciation (2,831,658) (2,619,806) (2,407,981)
Property and equipment, net 4,403,986 4,296,955 1,689,029
Goodwill 3,399,090 3,296,523 262,592
Other intangibles, net 898,393 897,834 48,581
Right-of-use assets 221,540 227,284 75,175
Other assets 16,571 12,050 1,060
Assets 9,452,915 9,130,516 2,347,830
Current liabilities:      
Current maturities of long-term debt 15,038 210,000 10,000
Accounts payable 160,935 107,056 84,130
Deferred revenue 453,446 302,326 281,795
Accrued interest 52,224 54,342 28,501
Accrued taxes 43,301 41,021 21,322
Accrued salaries, wages and benefits 73,609 51,030 35,081
Self-insurance reserves 37,992 36,630 28,039
Other accrued liabilities 155,440 124,272 51,001
Total current liabilities 991,985 926,677 539,869
Deferred tax liabilities 494,399 542,583 65,382
Lease liabilities 229,222 230,443 66,871
NCI call option liability 306,764 290,390 0
Other liabilities 135,304 133,672 8,996
Long-term debt:      
Revolving credit loans 356,650 296,953 88,000
Term debt 1,455,837 966,712 972,819
Notes 3,460,656 3,459,407 1,287,971
Total long-term debt 5,273,143 4,723,072 2,348,790
Commitments and contingencies (Note 1)
Redeemable non-controlling interests 247,297 241,816
Former Cedar Fair, L.P. Partners’ Deficit:      
Special L.P. interests     5,290
General partner     (7)
Limited partners, 51,243 units outstanding as of June 30, 2024     (702,046)
Six Flags Entertainment Corporation Shareholders' Equity:      
Common stock, 101,254 and 100,350 shares outstanding as of June 29, 2025 and December 31, 2024, respectively 1,013 1,004  
Additional paid-in-capital 2,214,168 2,207,410  
Accumulated deficit (483,637) (164,271)  
Accumulated other comprehensive income (loss) 43,257 (2,280) 14,685
Total Equity 1,774,801 2,041,863  
Total partners' equity     (682,078)
Total Partners' Equity and Liabilities $ 9,452,915 $ 9,130,516 $ 2,347,830