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CONSOLIDATED STATEMENTS OF SHAREHOLDERS' EQUITY - USD ($)
$ in Thousands
Total
Total Shareholders' Equity Attributable to Acushnet Holdings Corp.
Common Stock
Additional Paid-in Capital
Accumulated Other Comprehensive Loss, net of tax
Retained Earnings
Treasury Stock
Noncontrolling Interests
Beginning balance (in shares) at Dec. 31, 2022     76,322,000          
Beginning balance at Dec. 31, 2022 $ 976,703 $ 939,056 $ 76 $ 960,685 $ (109,668) $ 473,130 $ (385,167) $ 37,647
Changes in stockholders' equity                
Sale of equity to redeemable noncontrolling interest 264 264   444   (180)    
Net income (loss) 199,642 198,429       198,429   1,213
Other comprehensive (loss) income 5,311 5,319     5,319     (8)
Share-based compensation 29,044 29,044   29,044        
Vesting of restricted common stock, including impact of dividend equivalents rights ("DERs"), net of shares withheld for employee taxes (Note 17) (in shares)     485,000          
Vesting of restricted common stock, including impact of dividend equivalents rights ("DERs"), net of shares withheld for employee taxes (Note 17) (11,394) (11,394)   (11,394)        
Purchases of common stock (Note 16) (240,948) (240,948)         $ (240,948)  
Treasury share retirement (in shares)     (13,378,000)       (13,377,991)  
Treasury share retirement (Note 16) 0   $ (13) (170,164)   (455,938) $ 626,115  
Dividends and dividend equivalents declared (53,335) (53,335)       (53,335)    
Redemption value adjustment (Note 2) (2,200) (2,200)       (2,200)    
Ending balance (in shares) at Dec. 31, 2023     63,429,000          
Ending balance at Dec. 31, 2023 903,087 864,235 $ 63 808,615 (104,349) 159,906 0 38,852
Changes in stockholders' equity                
Net income (loss) 203,328 214,298       214,298   (10,970)
Other comprehensive (loss) income (35,959) (35,966)     (35,966)     7
Share-based compensation 30,336 30,336   30,336        
Vesting of restricted common stock, including impact of dividend equivalents rights ("DERs"), net of shares withheld for employee taxes (Note 17) (in shares)     444,000          
Vesting of restricted common stock, including impact of dividend equivalents rights ("DERs"), net of shares withheld for employee taxes (Note 17) (16,664) (16,664)   (16,664)        
Purchases of common stock (Note 16) (173,859) (173,859)         (173,859)  
Share repurchase liability (Note 16) (62,500) (62,500)         $ (62,500)  
Treasury share retirement (in shares)     (2,658,000)       (2,658,180)  
Treasury share retirement (Note 16) 0   $ (2) (34,220)   (139,637) $ 173,859  
Dividends and dividend equivalents declared (55,291) (55,291)       (55,291)    
Contingent consideration (Note 8) (342) (342)   (342)        
Redemption value adjustment (Note 2) $ 1,000 1,000       1,000    
Ending balance (in shares) at Dec. 31, 2024 61,214,541   61,215,000          
Ending balance at Dec. 31, 2024 $ 793,136 765,247 $ 61 787,725 (140,315) 180,276 (62,500) 27,889
Changes in stockholders' equity                
Net income (loss) 188,357 188,545       188,545   (188)
Other comprehensive (loss) income 18,034 18,034     18,034     0
Share-based compensation 28,580 28,580   28,580        
Vesting of restricted common stock, including impact of dividend equivalents rights ("DERs"), net of shares withheld for employee taxes (Note 17) (in shares)     291,000          
Vesting of restricted common stock, including impact of dividend equivalents rights ("DERs"), net of shares withheld for employee taxes (Note 17) (11,472) (11,472)   (11,472)        
Purchases of common stock (Note 16) (212,194) (212,194)         (212,194)  
Share repurchase liability (Note 16) 62,500 62,500         $ 62,500  
Treasury share retirement (in shares)     (3,134,000)       (3,133,650)  
Treasury share retirement (Note 16) 0   $ (3) (41,005)   (171,186) $ 212,194  
Dividends and dividend equivalents declared (57,374) (57,374)       (57,374)    
Redemption value adjustment (Note 2) 1,700 1,700       1,700    
Deconsolidation of VIE (Note 8) $ (27,701)             (27,701)
Ending balance (in shares) at Dec. 31, 2025 58,371,822   58,372,000          
Ending balance at Dec. 31, 2025 $ 783,566 $ 783,566 $ 58 $ 763,828 $ (122,281) $ 141,961 $ 0 $ 0