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Consolidated Statements Of Cash Flows - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2015
Dec. 31, 2014
Dec. 31, 2013
Cash flows from operating activities:      
Net income $ 331,655 $ 318,713 $ 288,474
Depreciation 24,044 22,448 22,497
Amortization 42,630 38,679 34,602
Equity in earnings of unconsolidated affiliates (137,057) (127,786) (118,076)
Distributions received from unconsolidated affiliate 141,767 137,866 137,104
Stock-based compensation 17,312 13,463 37,865
Provision for losses on receivables (135) 133 (154)
Deferred income tax expense (1,394) (3,330) (22,825)
Gain from sale of SEI AK (2,791) (5,582) (22,112)
Net realized loss (gain) from investments 456 (614) (659)
Change in other long-term liabilities 1,070 1,720 1,575
Change in other assets 783 (5,886) 600
Write off of capitalized and purchased software 6,055 0 0
Other (2,440) (2,439) (3,972)
Decrease (increase) in Restricted cash for broker-dealer operations 0 0 500
Decrease (increase) in Receivables from regulated investment companies 295 (9,029) (8,280)
Decrease (increase) in Receivables (28,469) (7,888) (17,513)
Decrease (increase) in Other current assets (8,014) (2,027) 1,971
(Decrease) increase in Accounts payable (5,441) (6,283) 5,000
(Decrease) increase in Accrued liabilities 10,498 12,873 15,102
(Decrease) increase in Deferred revenue 636 (228) (475)
Total adjustments 59,805 56,090 62,750
Net cash provided by operating activities 391,460 374,803 351,224
Cash flows from investing activities:      
Decrease (increase) in restricted cash 301 (301) 0
Additions to property and equipment (44,465) (28,469) (16,351)
Additions to capitalized software (29,416) (34,877) (39,500)
Purchases of marketable securities (52,538) (56,754) (57,560)
Prepayments and maturities of marketable securities 38,551 38,973 40,257
Sales of marketable securities 7,761 24,461 7,317
Purchases of other investments (1,000) (2,000) (2,604)
Sale of subsidiary, net of cash transferred 2,791 5,582 6,028
Net cash used in investing activities (78,015) (53,385) (62,413)
Cash flows from financing activities:      
Purchase and retirement of common stock (291,374) (275,788) (206,577)
Proceeds from issuance of common stock 65,543 104,897 66,367
Tax benefit on stock options exercised 16,056 20,435 11,825
Payment of dividends (80,030) (74,294) (34,400)
Net cash used in financing activities (289,805) (224,750) (162,785)
Effect of exchange rate changes on cash and cash equivalents (11,425) (7,495) 0
Net increase in cash and cash equivalents 12,215 89,173 126,026
Cash and cash equivalents, beginning of year 667,446 578,273 452,247
Cash and cash equivalents, end of year 679,661 667,446 578,273
Interest paid 460 458 458
Income taxes paid 159,605 151,250 163,834
Non-cash financing activities      
Dividends declared but not paid $ 42,625 $ 40,178 $ 37,314