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Consolidated Statements of Changes in Equity (Unaudited) - USD ($)
$ in Thousands
Total
Total Jefferies Financial Group Inc. shareholders' equity
Preferred Stock
Common Stock
Additional paid-in capital
Accumulated other comprehensive loss, net of tax
Retained earnings
Noncontrolling interests
Balance, beginning of period at Nov. 30, 2024     $ 55 $ 205,504 $ 2,104,199 $ (423,131) $ 8,270,145 $ 68,215
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Purchase of common shares for treasury       (696) (55,622)      
Other       1,442 474   0 5,670
Share-based compensation expense         35,637      
Dividend equivalents         8,597      
Change in equity interest related to consolidated subsidiaries         853      
Other comprehensive income (loss), net of tax $ 15,059 [1]         15,059    
Net earnings attributable to Jefferies Financial Group Inc.             143,832  
Dividends - common shares ($0.40 and $0.40 per share)             (91,095)  
Dividends - preferred shares (11,000)           (11,025)  
Net losses attributable to noncontrolling interests 136,849             (6,983)
Contributions               104
Distributions               (2,795)
Balance, end of period at Feb. 28, 2025 10,268,439 $ 10,204,228 55 206,250 2,094,138 (408,072) 8,311,857 64,211
Balance, beginning of period at Nov. 30, 2025 10,642,203   55 206,296 2,177,954 (384,434) 8,574,825 67,507
Increase (Decrease) in Stockholders' Equity [Roll Forward]                
Purchase of common shares for treasury       (2,996) (171,307)      
Other       1,123 2,232   (5) 633
Share-based compensation expense         50,672      
Dividend equivalents         10,908      
Change in equity interest related to consolidated subsidiaries         4,606      
Other comprehensive income (loss), net of tax 69,411 [1]         69,411    
Net earnings attributable to Jefferies Financial Group Inc.             175,204  
Dividends - common shares ($0.40 and $0.40 per share)             (92,674)  
Dividends - preferred shares (11,000)           (11,025)  
Net losses attributable to noncontrolling interests 159,346             (15,858)
Contributions               119
Distributions               (1,518)
Balance, end of period at Feb. 28, 2026 $ 10,661,728 $ 10,610,845 $ 55 $ 204,423 $ 2,075,065 $ (315,023) $ 8,646,325 $ 50,883
[1] Includes unrealized losses of $0.2 million for the three months ended February 28, 2025, related to currency translation adjustments attributable to
noncontrolling interests.