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Condensed Consolidated Statements of Changes in Equity - USD ($)
$ in Thousands
Total
Class A Common Stock [Member]
Class B Common Stock [Member]
Contingent Class A Common Stock
Additional Paid-in Capital [Member]
Treasury Stock [Member]
Retained Earnings [Member]
Noncontrolling Interests in Subsidiaries [Member]
Common Stock
Beginning Balance at Dec. 31, 2017 $ 222,318 $ 1,386 $ 158   $ 59,374   $ 199,492 $ (38,092)  
Consolidated net income 36,781           20,736 16,045  
Cumulative effect of revenue standard adoption 18,805           16,463 2,342  
Reduction of earning distributions 2,144           2,144    
Dividends to common stockholders (13,929)           (13,929)    
Equity-based compensation and related issuance of (Class Acommon stock 327,746 shares) (4,897) 3     (4,900)        
Additional contribution from BGC as a result of Separation 7,217       5,820     1,397  
Earnings distributions to limited partnership interests and other noncontrolling interests (13,713)             (13,713)  
BGC's purchase of 16,606,726 exchangeable limited partnershipunits in Newmark Holdings 241,960             241,960  
Grant of exchangeability, redemption and issuance of limited partnership interests 84,277             84,277  
Issuance of exchangeable preferred partnership units in Newmark OpCo 174,779             174,779  
Issuance of limited partnership units including contingent units 1,653             1,653  
Ending Balance at Jun. 30, 2018 757,395 1,389 158   60,294   224,906 470,648  
Dividends declared per share of common stock                 $ 0.18
Dividends paid per share of common stock                 0.09
Beginning Balance at Mar. 31, 2018 531,577 1,389 158   54,474   238,096 237,460  
Consolidated net income 4,294           739 3,555  
Dividends to common stockholders (13,929)           (13,929)    
Additional contribution from BGC as a result of Separation 7,217       5,820     1,397  
Earnings distributions to limited partnership interests and other noncontrolling interests (12,604)             (12,604)  
Grant of exchangeability, redemption and issuance of limited partnership interests 64,408             64,408  
Issuance of exchangeable preferred partnership units in Newmark OpCo 174,779             174,779  
Issuance of limited partnership units including contingent units 1,653             1,653  
Ending Balance at Jun. 30, 2018 757,395 1,389 158   60,294   224,906 470,648  
Dividends declared per share of common stock                 0.09
Dividends paid per share of common stock                 0.09
Beginning Balance at Dec. 31, 2018 1,056,799 1,570 212 $ 3,250 285,071 $ (486) 277,952 489,230  
Consolidated net income 55,470           39,572 15,898  
Dividends to common stockholders (33,961)           (33,961)    
Preferred dividend on exchangeable preferred partnership units             (6,448) 6,448  
Earnings distributions to limited partnership interests and other noncontrolling interests (41,521)             (41,521)  
Grant of exchangeability, redemption and issuance of limited partnership interests (13,862) 13     4,760     (18,635)  
Issuance of limited partnership units including contingent units 7,021       2,363     4,658  
Repurchase of 1,613,032 shares of Class A common stock (13,896)         (13,896)      
Issuance of Class A common stock, shares       (294) 294        
Other (47)       (47)        
Ending Balance at Jun. 30, 2019 1,016,003 1,583 212 2,956 292,441 (14,382) 277,115 456,078  
Dividends declared per share of common stock                 0.20
Dividends paid per share of common stock                 0.19
Beginning Balance at Mar. 31, 2019 1,020,798 1,574 212 3,141 284,054 (486) 275,589 456,714  
Consolidated net income 32,064           22,668 9,396  
Dividends to common stockholders (17,918)           (17,918)    
Preferred dividend on exchangeable preferred partnership units             (3,224) 3,224  
Earnings distributions to limited partnership interests and other noncontrolling interests (14,241)             (14,241)  
Grant of exchangeability, redemption and issuance of limited partnership interests 1,668 9     5,332     (3,673)  
Issuance of limited partnership units including contingent units 7,021       2,363     4,658  
Repurchase of 1,613,032 shares of Class A common stock (13,896)         (13,896)      
Issuance of Class A common stock, shares       (185) 185        
Other 507       507        
Ending Balance at Jun. 30, 2019 $ 1,016,003 $ 1,583 $ 212 $ 2,956 $ 292,441 $ (14,382) $ 277,115 $ 456,078  
Dividends declared per share of common stock                 0.10
Dividends paid per share of common stock                 $ 0.10