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Fair Value Measurements Classes of Financial Assets and Liabilities Measured at Fair Value on Recurring Basis (Details) - USD ($)
$ in Thousands
Mar. 31, 2016
Dec. 31, 2015
Cash and cash equivalents $ 147,762 $ 172,628
Available-for-sale equity securities 131,980 141,748
Trading securities—equity 18,448 23,398
Trading securities—debt 43,828 9,041
Other assets [1] 1,085 931
Total financial assets 343,103 347,746
Acquisition-related future consideration liabilities 2,090 2,161
Other liabilities [2] 554 3,209
Total financial liabilities 2,644 5,370
Level 1 [Member]    
Cash and cash equivalents 147,762 172,628
Available-for-sale equity securities 107,191 117,422
Trading securities—equity 12,922 15,900
Trading securities—debt 0 0
Other assets [1] 0 4
Total financial assets 267,875 305,954
Acquisition-related future consideration liabilities 0 0
Other liabilities [2] 85 2,681
Total financial liabilities 85 2,681
Level 2 [Member]    
Cash and cash equivalents 0 0
Available-for-sale equity securities 0 0
Trading securities—equity 117 65
Trading securities—debt 43,828 9,041
Other assets [1] 175 17
Total financial assets 44,120 9,123
Acquisition-related future consideration liabilities 0 0
Other liabilities [2] 0 59
Total financial liabilities 0 59
Level 3 [Member]    
Cash and cash equivalents 0 0
Available-for-sale equity securities 0 0
Trading securities—equity 0 0
Trading securities—debt 0 0
Other assets 910 910
Total financial assets 910 910
Acquisition-related future consideration liabilities 2,090 2,161
Other liabilities 469 469
Total financial liabilities 2,559 2,630
Investments Measured Using NAV Practical Expedient [Member]    
Available-for-sale equity securities 24,789 24,326 [3]
Trading securities—equity 5,409 7,433 [3]
Total financial assets $ 30,198 $ 31,759
[1] Amounts include structured trade finance loans held by Federated as well as futures contracts and/or foreign currency forward contracts held within certain consolidated Federated Funds.
[2] Amounts may include investments sold short, foreign currency forward contracts and/or futures contracts held within certain consolidated Federated Funds, as well as certain liabilities attributable to structured trade finance loans held by Federated.
[3] Investments that calculate NAV as a practical expedient were recategorized and are no longer included in Level 2 as of December 31, 2015 (see Note (2) for additional information).