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Segments - Adjusted EBITDA Calculation by Segment (Detail) - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended
Sep. 30, 2021
Sep. 30, 2020
Sep. 30, 2021
Sep. 30, 2020
Segment Reporting Information [Line Items]        
Net income attributable to CBRE Group, Inc. $ 435,743 $ 184,132 $ 1,144,582 $ 438,224
Adjustments to increase (decrease) net income:        
Depreciation and amortization 122,564 127,725 363,727 357,903
Asset impairments 0 0 0 75,171
Interest expense, net of interest income 11,038 17,829 34,916 51,795
Provision for income taxes 133,507 49,062 343,279 119,047
Costs associated with transformation initiatives 0 55,374 0 55,374
Carried interest incentive compensation expense (reversal) to align with the timing of associated revenue 16,959 3,767 33,963 (11,517)
Impact of fair value adjustments to real estate assets acquired in the Telford Acquisition (purchase accounting) that were sold in period 47 2,289 772 9,289
Costs incurred related to legal entity restructuring 0 1,061 0 4,995
Integration and other costs related to acquisitions 16,211 525 24,345 1,544
Total reportable segment operating profit 854,899 518,906 2,187,865 1,356,114
A2020 Covid19 Response | Employee Severance        
Adjustments to increase (decrease) net income:        
Restructuring charges 0 0 0 37,594
A2020 Covid19 Response | Employee Severance | Cost Of Revenues        
Adjustments to increase (decrease) net income:        
Restructuring charges       7,400
A2020 Covid19 Response | Employee Severance | Operating Administrative And Other Expenses        
Adjustments to increase (decrease) net income:        
Restructuring charges       30,200
Corporate and other loss, including eliminations        
Adjustments to increase (decrease) net income:        
Total reportable segment operating profit $ 118,830 $ 77,142 $ 242,281 $ 216,695