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Consolidated Statement of Earnings - USD ($)
$ in Millions
3 Months Ended
Mar. 31, 2023
Mar. 31, 2022
Revenues before reimbursements $ 2,672.9 $ 2,404.5
Reimbursements 33.2 30.8
Total revenues 2,706.1 2,435.3
Compensation 1,415.5 1,282.0
Operating 382.5 317.3
Reimbursements 33.2 30.8
Cost of revenues from clean coal activities   22.9
Interest 67.9 63.9
Depreciation 37.7 35.2
Amortization 121.7 124.6
Change in estimated acquisition earnout payables 41.8 20.9
Total expenses 2,100.3 1,897.6
Earnings before income taxes 605.8 537.7
Provision for income taxes 119.2 98.6
Net earnings 486.6 439.1
Net earnings attributable to noncontrolling interests 0.1 0.4
Net earnings attributable to controlling interests $ 486.5 $ 438.7
Basic net earnings per share $ 2.29 $ 2.10
Diluted net earnings per share 2.24 2.05
Dividends declared per common share $ 0.55 $ 0.51
Commissions [Member]    
Revenues before reimbursements $ 1,747.4 $ 1,565.3
Broker Fees [Member]    
Revenues before reimbursements 705.7 650.9
Supplemental Revenue [Member]    
Revenues before reimbursements 81.6 74.3
Contingent Revenue [Member]    
Revenues before reimbursements 71.8 71.6
Investment Income [Member]    
Revenues before reimbursements 66.0 18.2
Net Gains on Divestitures [Member]    
Revenues before reimbursements 0.3 1.4
Clean Coal Activities [Member]    
Revenues before reimbursements   22.7
Other Net Revenue [Member]    
Revenues before reimbursements $ 0.1 $ 0.1