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Condensed Consolidated Statement of Changes in Stockholders' Equity and Redeemable Noncontrolling Interest - USD ($)
$ in Thousands
Total
Common Stock [Member]
Additional Paid-In-Capital [Member]
Retained Earnings [Member]
Accumulated Other Comprehensive Income (Loss), Net of Tax [Member]
Class A Common Stock Held By Subsidiaries [Member]
Total Lazard Ltd Stockholders' Equity [Member]
Noncontrolling Interests [Member]
Redeemable Noncontrolling Interests [Member]
Balance at Dec. 31, 2020 $ 999,433 $ 1,128 $ 135,439 $ 1,295,386 $ (238,368) $ (281,813) $ 911,772 $ 87,661  
Balance (in shares) at Dec. 31, 2020   112,766,091       7,728,387      
Comprehensive income (loss):                  
Net income (loss) 215,742     210,478     210,478 5,264  
Other comprehensive income (loss) - net of tax 11,720       11,720   11,720    
Amortization of share-based incentive compensation 143,887   137,984       137,984 5,903  
Dividend equivalents (4,318)   9,963 (10,819)     (856) (3,462)  
Class A common stock dividends (98,964)     (98,964)     (98,964)    
Purchase of Class A common stock $ (233,745)         $ (233,745) (233,745)    
Purchase of Class A common stock (in shares) 5,329,541         5,329,541      
Delivery of Class A common stock in connection with share-based incentive compensation and related tax expense (benefit) $ (66,736)   (145,081) (47,902)   $ 126,247 (66,736)    
Delivery of Class A common stock in connection with share-based incentive compensation and related tax expense (benefit) (in shares)           (3,340,667)      
Business acquisitions and related equity transactions:                  
Delivery of Class A common stock     (35,593)     $ 35,593      
Delivery of Class A common stock (in shares)           (1,011,964)      
Dividend equivalents     58 (58)          
Distributions to noncontrolling interests, net (2,421)             (2,421)  
LFI Consolidated Funds 7,511             7,511  
Contribution from redeemable noncontrolling interests, net                 $ 534,746
Change in redemption value of redeemable noncontrolling interests (40,254)   (44,770)       (44,770) 4,516 40,254
Balance at Jun. 30, 2021 931,855 $ 1,128 58,000 1,348,121 (226,648) $ (353,718) 826,883 104,972 575,000
Balance (in shares) at Jun. 30, 2021   112,766,091       8,705,297      
Balance at Mar. 31, 2021 866,699 $ 1,128   1,278,907 (255,711) $ (259,319) 765,005 101,694 575,000
Balance (in shares) at Mar. 31, 2021   112,766,091       6,675,269      
Comprehensive income (loss):                  
Net income (loss) 124,916     123,178     123,178 1,738  
Other comprehensive income (loss) - net of tax 29,062       29,063   29,063 (1)  
Amortization of share-based incentive compensation 75,696   72,078       72,078 3,618  
Dividend equivalents (2,065)   4,104 (4,438)     (334) (1,731)  
Class A common stock dividends (49,523)     (49,523)     (49,523)    
Purchase of Class A common stock (111,093)         $ (111,093) (111,093)    
Purchase of Class A common stock (in shares)           2,430,000      
Delivery of Class A common stock in connection with share-based incentive compensation and related tax expense (benefit) (843)   (12,259)     $ 11,416 (843)    
Delivery of Class A common stock in connection with share-based incentive compensation and related tax expense (benefit) (in shares)           (286,615)      
Business acquisitions and related equity transactions:                  
Delivery of Class A common stock     (5,278)     $ 5,278      
Delivery of Class A common stock (in shares)           (113,357)      
Dividend equivalents     3 (3)          
Distributions to noncontrolling interests, net (1,401)             (1,401)  
LFI Consolidated Funds (264)             (264)  
Contribution from redeemable noncontrolling interests, net                 671
Change in redemption value of redeemable noncontrolling interests 671   (648)       (648) 1,319 (671)
Balance at Jun. 30, 2021 931,855 $ 1,128 58,000 1,348,121 (226,648) $ (353,718) 826,883 104,972 575,000
Balance (in shares) at Jun. 30, 2021   112,766,091       8,705,297      
Balance at Dec. 31, 2021 1,077,964 $ 1,128 144,729 1,560,636 (223,847) $ (507,426) 975,220 102,744 575,000
Balance (in shares) at Dec. 31, 2021   112,766,091       12,046,140      
Comprehensive income (loss):                  
Net income (loss) 207,120     209,356     209,356 (2,236) 5,506
Other comprehensive income (loss) - net of tax (66,183)       (66,182)   (66,182) (1)  
Amortization of share-based incentive compensation 126,186   118,248       118,248 7,938  
Dividend equivalents (6,738)   8,089 (8,576)     (487) (6,251)  
Class A common stock dividends (92,676)     (92,676)     (92,676)    
Purchase of Class A common stock $ (375,185)         $ (375,185) (375,185)    
Purchase of Class A common stock (in shares) 10,598,882         10,598,882      
Delivery of Class A common stock in connection with share-based incentive compensation and related tax expense (benefit) $ (52,481)   (202,505) (40,558)   $ 187,074 (55,989) 3,508  
Delivery of Class A common stock in connection with share-based incentive compensation and related tax expense (benefit) (in shares)           (4,404,963)      
Business acquisitions and related equity transactions:                  
Distributions to noncontrolling interests, net (9,254)             (9,254)  
LFI Consolidated Funds 13,408             13,408  
Change in redemption value of redeemable noncontrolling interests 4,796   3,357       3,357 1,439 (4,796)
Balance at Jun. 30, 2022 826,957 $ 1,128 71,918 1,628,182 (290,029) $ (695,537) 715,662 111,295 575,710
Balance (in shares) at Jun. 30, 2022   112,766,091       18,240,059      
Balance at Mar. 31, 2022 969,628 $ 1,128   1,583,005 (237,626) $ (496,681) 849,826 119,802 575,000
Balance (in shares) at Mar. 31, 2022   112,766,091       12,371,148      
Comprehensive income (loss):                  
Net income (loss) 88,805     95,480     95,480 (6,675) 2,846
Other comprehensive income (loss) - net of tax (52,403)       (52,403)   (52,403)    
Amortization of share-based incentive compensation 72,749   67,482       67,482 5,267  
Dividend equivalents (1,830)   4,086 (4,292)     (206) (1,624)  
Class A common stock dividends (46,012)     (46,012)     (46,012)    
Purchase of Class A common stock (199,388)         $ (199,388) (199,388)    
Purchase of Class A common stock (in shares)           5,881,061      
Delivery of Class A common stock in connection with share-based incentive compensation and related tax expense (benefit) (613)   (1,145) 1   $ 532 (612) (1)  
Delivery of Class A common stock in connection with share-based incentive compensation and related tax expense (benefit) (in shares)           (12,150)      
Business acquisitions and related equity transactions:                  
Distributions to noncontrolling interests, net (4,971)             (4,971)  
LFI Consolidated Funds (1,144)             (1,144)  
Change in redemption value of redeemable noncontrolling interests 2,136   1,495       1,495 641 (2,136)
Balance at Jun. 30, 2022 $ 826,957 $ 1,128 $ 71,918 $ 1,628,182 $ (290,029) $ (695,537) $ 715,662 $ 111,295 $ 575,710
Balance (in shares) at Jun. 30, 2022   112,766,091       18,240,059