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Stockholders' Equity (Schedule Of Changes In Equity) (Details) - USD ($)
3 Months Ended 6 Months Ended
Jun. 22, 2023
May 10, 2023
May 31, 2023
Feb. 28, 2023
Nov. 30, 2022
Aug. 31, 2022
May 31, 2022
May 31, 2023
May 31, 2022
Mar. 31, 2022
Increase (Decrease) in Stockholders' Equity [Roll Forward]                    
Balance, beginning     $ 24,555,287,000 $ 24,240,367,000 [1]   $ 21,789,774,000 $ 20,847,432,000 $ 24,240,367,000 [1] $ 20,996,282,000  
Net earnings (including net earnings attributable to noncontrolling interests)     877,742,000       1,322,558,000 1,477,050,000 1,831,873,000  
Employee stock and directors plans     4,229,000       (2,533,000) (62,761,000) (57,419,000)  
Purchases of treasury stock     (209,928,000)       (320,710,000) (400,859,000) (847,071,000)  
Amortization of restricted stock     40,173,000       35,053,000 126,731,000 116,510,000  
Cash dividends     (110,386,000)       (110,846,000) (218,277,000) (220,968,000)  
Receipts related to noncontrolling interests     2,421,000       11,111,000 4,918,000 18,095,000  
Payments related to noncontrolling interests             (3,708,000) (20,623,000) (65,521,000)  
Non-cash purchase or activity of noncontrolling interests, net     1,008,000       11,355,000 13,149,000 14,904,000  
Total other comprehensive income, net of tax     573,000       62,000 1,424,000 3,089,000  
Balance, ending     25,161,119,000 [1] $ 24,555,287,000 $ 24,240,367,000 [1]   $ 21,789,774,000 25,161,119,000 [1] 21,789,774,000  
Cash dividend paid (in dollars per share)   $ 0.375   $ 0.375 $ 0.375 $ 0.375 $ 0.375      
Stock repurchase program, authorized value                   $ 2,000,000,000
Stock repurchase program, authorized shares (in shares)                   30,000,000
Subsequent Event                    
Increase (Decrease) in Stockholders' Equity [Roll Forward]                    
Cash dividend paid (in dollars per share) $ 0.375                  
Additional Paid - in Capital                    
Increase (Decrease) in Stockholders' Equity [Roll Forward]                    
Balance, beginning     5,503,789,000 $ 5,417,796,000   $ 5,355,182,000 $ 8,855,151,000 5,417,796,000 8,807,891,000  
Employee stock and directors plans     1,631,000       994,000 1,442,000 854,000  
Retirement of treasury stock             (3,533,425,000)   (3,533,425,000)  
Amortization of restricted stock     40,173,000       35,053,000 126,731,000 116,510,000  
Non-cash purchase or activity of noncontrolling interests, net     535,000       (2,591,000) 159,000 (36,648,000)  
Balance, ending     5,546,128,000 5,503,789,000 $ 5,417,796,000   5,355,182,000 5,546,128,000 5,355,182,000  
Treasury Stock                    
Increase (Decrease) in Stockholders' Equity [Roll Forward]                    
Balance, beginning     (468,347,000) (210,389,000)   (76,615,000) (3,290,748,000) (210,389,000) (2,709,448,000)  
Employee stock and directors plans     2,589,000       (3,533,000) (64,438,000) (58,472,000)  
Retirement of treasury stock             3,538,376,000   3,538,376,000  
Purchases of treasury stock     (209,928,000)       (320,710,000) (400,859,000) (847,071,000)  
Balance, ending     (675,686,000) (468,347,000) (210,389,000)   (76,615,000) (675,686,000) (76,615,000)  
Accumulated Other Comprehensive Income                    
Increase (Decrease) in Stockholders' Equity [Roll Forward]                    
Balance, beginning     3,259,000 2,408,000   1,748,000 1,686,000 2,408,000 (1,341,000)  
Total other comprehensive income, net of tax     573,000       62,000 1,424,000 3,089,000  
Balance, ending     3,832,000 3,259,000 2,408,000   1,748,000 3,832,000 1,748,000  
Retained Earnings                    
Increase (Decrease) in Stockholders' Equity [Roll Forward]                    
Balance, beginning     19,350,060,000 18,861,417,000   16,288,698,000 15,078,788,000 18,861,417,000 14,685,329,000  
Net earnings (including net earnings attributable to noncontrolling interests)     871,694,000       1,320,756,000 1,468,228,000 1,824,337,000  
Cash dividends     (110,386,000)       (110,846,000) (218,277,000) (220,968,000)  
Balance, ending     20,111,368,000 19,350,060,000 18,861,417,000   16,288,698,000 20,111,368,000 16,288,698,000  
Noncontrolling Interests                    
Increase (Decrease) in Stockholders' Equity [Roll Forward]                    
Balance, beginning     137,032,000 139,867,000   191,519,000 168,368,000 139,867,000 179,857,000  
Net earnings (including net earnings attributable to noncontrolling interests)     6,048,000       1,802,000 8,822,000 7,536,000  
Receipts related to noncontrolling interests     2,421,000       11,111,000 4,918,000 18,095,000  
Payments related to noncontrolling interests             (3,708,000) (20,623,000) (65,521,000)  
Non-cash purchase or activity of noncontrolling interests, net     473,000       13,946,000 12,990,000 51,552,000  
Balance, ending     $ 145,974,000 137,032,000 139,867,000   $ 191,519,000 $ 145,974,000 $ 191,519,000  
Common Class A                    
Increase (Decrease) in Stockholders' Equity [Roll Forward]                    
Shares repurchased during period (in shares)     1,269,681       3,630,000 2,715,886 8,246,000  
Total purchase price     $ 138,800,000       $ 289,358,000 $ 281,868,000 $ 762,282,000  
Average share price of shares repurchased (in dollars per share)     $ 109.32       $ 79.71 $ 103.78 $ 92.44  
Common Class A | Common Stock                    
Increase (Decrease) in Stockholders' Equity [Roll Forward]                    
Balance, beginning     $ 25,834,000 25,608,000   25,582,000 $ 30,243,000 $ 25,608,000 $ 30,050,000  
Employee stock and directors plans     9,000       6,000 235,000 199,000  
Retirement of treasury stock             (4,667,000)   (4,667,000)  
Balance, ending     $ 25,843,000 25,834,000 25,608,000   $ 25,582,000 $ 25,843,000 $ 25,582,000  
Common Class B                    
Increase (Decrease) in Stockholders' Equity [Roll Forward]                    
Shares repurchased during period (in shares)     730,319       470,000 1,284,114 1,122,000  
Total purchase price     $ 69,010,000       $ 31,270,000 $ 115,116,000 $ 84,601,000  
Average share price of shares repurchased (in dollars per share)     $ 94.49       $ 66.53 $ 89.65 $ 75.40  
Common Class B | Common Stock                    
Increase (Decrease) in Stockholders' Equity [Roll Forward]                    
Balance, beginning     $ 3,660,000 3,660,000   $ 3,660,000 $ 3,944,000 $ 3,660,000 $ 3,944,000  
Retirement of treasury stock             (284,000)   (284,000)  
Balance, ending     $ 3,660,000 $ 3,660,000 $ 3,660,000   $ 3,660,000 $ 3,660,000 $ 3,660,000  
[1] As of May 31, 2023, total liabilities include $715.3 million related to consolidated VIEs as to which there was no recourse against the Company, of which $85.6 million is included in Homebuilding accounts payable, $597.9 million in Homebuilding liabilities related to consolidated inventory not owned, $25.9 million in Homebuilding senior notes and other debts payable, $3.9 million in Multifamily liabilities and $2.0 million in Lennar Other liabilities.As of November 30, 2022, total liabilities include $620.4 million related to consolidated VIEs as to which there was no recourse against the Company, of which $66.9 million is included in Homebuilding accounts payable, $510.9 million in Homebuilding liabilities related to consolidated inventory not owned, $29.4 million in Homebuilding senior notes and other debt payable, $7.2 million in Homebuilding other liabilities, $3.8 million in Multifamily liabilities and $2.2 million in Lennar Other liabilities.