XML 34 R23.htm IDEA: XBRL DOCUMENT v3.24.1.u1
FAIR VALUE MEASUREMENTS (Tables)
3 Months Ended
Mar. 31, 2024
Fair Value Disclosures [Abstract]  
Schedule of Fair Value Measurements The following table summarizes our investments and liabilities that are recognized in our unaudited condensed consolidated balance sheets using fair value measurements determined based on the differing levels of inputs. This table excludes investments held by the consolidated sponsored investment products which are presented separately on our unaudited condensed consolidated balance sheets and are detailed in Note 5.
3/31/202412/31/2023
(in millions)
Level 1
Level 2
Level 3
Level 1
Level 2
Level 3
T. Rowe Price investment products
Cash equivalents held in money market funds$1,997.4 $— $— $1,678.1 $— $— 
Discretionary investments259.9 — — 246.4 — — 
Seed capital187.0 50.7 — 206.0 41.8 — 
Supplemental savings plan liability economic hedges837.4 — — 806.6 — — 
Other investments0.6 — — 0.7 — — 
Investments in affiliated collateralized loan obligations— 7.9 — — 8.4 — 
Total$3,282.3 $58.6 $— $2,937.8 $50.2 $— 
Contingent consideration liability$— $— $13.4 $— $— $13.4 
Schedule of Change in Contingent Consideration Liability
The change in the contingent consideration liability measured at fair value for which we used Level 3 inputs to determine fair value is as follows:

Three months ended
(in millions)3/31/20243/31/2023
Balance at beginning of period$13.4 $95.8 
  Unrealized gains, included in earnings— (49.6)
Balance at end of period$13.4 $46.2