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Share-Based Payments (Tables)
12 Months Ended
Dec. 31, 2023
Share-Based Payment Arrangement [Abstract]  
Schedule of Weighted Average Assumptions Used to Determine Fair Value of Awards Granted
The following weighted-average valuation assumptions were used in determining the fair value of options granted:
202320222021
Expected life (in years)6.66.46.2
Risk-free interest rate3.5 %3.1 %0.8 %
Volatility factor44.4 %43.8 %43.6 %
Dividend yield— %— %— %
The following weighted-average valuation assumptions were used in determining the fair value of the market-related components of performance awards granted:
202320222021
Risk-free interest rate3.8 %2.8 %0.3 %
Volatility factor35.6 %43.4 %50.1 %
Dividend yield— %— %— %
Schedule of Stock Option Information and Weighted Average Exercise Prices
The following is a summary of stock option information and weighted-average exercise prices for Mattel's stock options:
 202320222021
 SharesWeighted
Average
Exercise
Price
SharesWeighted
Average
Exercise
Price
SharesWeighted
Average
Exercise
Price
 (In thousands, except weighted-average exercise prices)
Outstanding at January 117,563 $21.73 19,678 $22.38 21,635 $22.10 
Granted579 18.00 721 23.41 1,054 21.71 
Exercised(1,751)15.27 (1,412)19.65 (687)17.65 
Forfeited(146)18.59 (104)18.13 (72)14.00 
Canceled(4,503)27.57 (1,320)34.94 (2,252)21.10 
Outstanding at December 3111,742 $20.30 17,563 $21.73 19,678 $22.38 
Exercisable at December 3110,544 $20.25 15,531 $22.10 16,634 $23.68 
Schedule of RSU Information and Weighted Average Grant Date Fair Values
The following is a summary of RSU information and weighted-average grant-date fair values for Mattel's RSUs:
 202320222021
 SharesWeighted
Average
Grant-Date
Fair Value
SharesWeighted
Average
Grant-Date
Fair Value
SharesWeighted
Average
Grant-Date
Fair Value
 (In thousands, except weighted-average grant-date fair values)
Unvested at January 14,503 $21.00 3,855 $17.03 3,986 $12.52 
Granted3,479 18.24 2,728 23.20 2,167 21.77 
Vested(2,186)19.18 (1,790)16.01 (1,954)13.66 
Forfeited(622)19.91 (290)19.77 (344)13.72 
Unvested at December 315,174 $20.04 4,503 $21.00 3,855 $17.03 
Schedule of Performance Award Information and Weighted Average Grant Date Fair Values
The following is a summary of performance award information and weighted-average grant-date fair values for Mattel's performance awards:
 202320222021
 SharesWeighted
Average
Grant-Date
Fair Value
SharesWeighted
Average
Grant-Date
Fair Value
SharesWeighted
Average
Grant-Date
Fair Value
 (In thousands, except weighted-average grant-date fair values)
Unvested at January 12,894 $18.77 3,347 $15.52 3,405 $13.79 
Granted (a)(b)1,954 16.42 1,440 21.35 906 22.04 
Vested(2,189)11.93 (1,823)14.89 (884)15.63 
Forfeited(219)18.96 (70)17.26 (80)14.70 
Unvested at December 312,440 $23.01 2,894 $18.77 3,347 $15.52 
(a)During 2023, Mattel granted 1.2 million shares as part of its 2023 LTIP and issued 0.8 million incremental shares under the 2020 LTIP based on the final earnout of the 2020 performance cycle, which are included in the weighted average grant-date fair value. During 2022, Mattel granted 0.7 million shares as part of its 2022 LTIP and issued 0.8 million incremental shares under the 2019 LTIP based on the final earnout of the 2019 performance cycle, which are included in the weighted average grant-date fair value. During 2021, Mattel granted 0.8 million shares under the 2021 LTIP and issued 0.1 million incremental shares under the 2018 LTIP based on the final earnout of the 2018 performance cycle, which are included in the weighted average grant-date fair value.
(b)The number of shares granted for the 2023 LTIP, the 2022 LTIP, and the 2021 LTIP, represents the aggregate target numbers of shares that may be issued pursuant to the award over its full term. The aggregate number of shares subject to performance awards that would be issued if performance goals are achieved at the maximum number of shares are approximately 2 million, 1 million, and 2 million for 2023, 2022, and 2021, respectively.