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CONSOLIDATED STATEMENTS OF STOCKHOLDERS' EQUITY - USD ($)
shares in Thousands, $ in Thousands
Total
Common Stock
Retained Earnings
Accumulated Other Comprehensive (Loss) Income, Net
Total Korn Ferry Stockholders' Equity
Noncontrolling Interest
Beginning Balance at Apr. 30, 2018 $ 1,219,615 $ 683,942 $ 572,800 $ (40,135) $ 1,216,607 $ 3,008
Beginning Balance, Shares at Apr. 30, 2018   56,517        
Net (loss) income (38,592)   (38,611)   (38,611) 19
Other comprehensive (loss) income (14,150)     (14,156) (14,156) 6
Effect of adopting new accounting standards 6,656   8,853 (2,197) 6,656  
Dividends paid to shareholders (6,027)   (6,027)   (6,027)  
Purchase of stock (13,054) $ (13,054)     (13,054)  
Purchase of stock, shares   (200)        
Issuance of stock 4,803 $ 4,803     4,803  
Issuance of stock (shares)   621        
Stock-based compensation 5,369 $ 5,369     5,369  
Ending Balance at Jul. 31, 2018 1,164,620 $ 681,060 537,015 (56,488) 1,161,587 3,033
Ending Balance, Shares at Jul. 31, 2018   56,938        
Beginning Balance at Apr. 30, 2018 1,219,615 $ 683,942 572,800 (40,135) 1,216,607 3,008
Beginning Balance, Shares at Apr. 30, 2018   56,517        
Net (loss) income 54,169          
Ending Balance at Jan. 31, 2019 1,207,040 $ 651,683 616,282 (63,271) 1,204,694 2,346
Ending Balance, Shares at Jan. 31, 2019   56,420        
Beginning Balance at Jul. 31, 2018 1,164,620 $ 681,060 537,015 (56,488) 1,161,587 3,033
Beginning Balance, Shares at Jul. 31, 2018   56,938        
Net (loss) income 47,317   46,034   46,034 1,283
Other comprehensive (loss) income (12,360)     (12,093) (12,093) (267)
Dividends paid to shareholders (5,716)   (5,716)   (5,716)  
Dividends paid to noncontrolling interest (690)         (690)
Purchase of stock (22,875) $ (22,875)     (22,875)  
Purchase of stock, shares   (459)        
Issuance of stock (shares)   32        
Stock-based compensation 6,301 $ 6,301     6,301  
Ending Balance at Oct. 31, 2018 1,176,597 $ 664,486 577,333 (68,581) 1,173,238 3,359
Ending Balance, Shares at Oct. 31, 2018   56,511        
Net (loss) income 45,444   44,964   44,964 480
Other comprehensive (loss) income 5,382     5,310 5,310 72
Dividends paid to shareholders (6,015)   (6,015)   (6,015)  
Dividends paid to noncontrolling interest (1,565)         (1,565)
Purchase of stock (21,940) $ (21,940)     (21,940)  
Purchase of stock, shares   (503)        
Issuance of stock 3,724 $ 3,724     3,724  
Issuance of stock (shares)   412        
Stock-based compensation 5,413 $ 5,413     5,413  
Ending Balance at Jan. 31, 2019 1,207,040 $ 651,683 616,282 (63,271) 1,204,694 2,346
Ending Balance, Shares at Jan. 31, 2019   56,420        
Beginning Balance at Apr. 30, 2019 $ 1,243,387 $ 656,463 660,845 (76,652) 1,240,656 2,731
Beginning Balance, Shares at Apr. 30, 2019 56,431 56,431        
Net (loss) income $ 43,650   42,951   42,951 699
Other comprehensive (loss) income (5,398)     (5,462) (5,462) 64
Dividends paid to shareholders (6,081)   (6,081)   (6,081)  
Purchase of stock (21,329) $ (21,329)     (21,329)  
Purchase of stock, shares   (546)        
Issuance of stock 5,074 $ 5,074     5,074  
Issuance of stock (shares)   711        
Stock-based compensation 5,091 $ 5,091     5,091  
Ending Balance at Jul. 31, 2019 1,264,394 $ 645,299 697,715 (82,114) 1,260,900 3,494
Ending Balance, Shares at Jul. 31, 2019   56,596        
Beginning Balance at Apr. 30, 2019 $ 1,243,387 $ 656,463 660,845 (76,652) 1,240,656 2,731
Beginning Balance, Shares at Apr. 30, 2019 56,431 56,431        
Net (loss) income $ 107,638          
Ending Balance at Jan. 31, 2020 $ 1,277,653 $ 604,609 749,301 (78,810) 1,275,100 2,553
Ending Balance, Shares at Jan. 31, 2020 55,258 55,258        
Beginning Balance at Jul. 31, 2019 $ 1,264,394 $ 645,299 697,715 (82,114) 1,260,900 3,494
Beginning Balance, Shares at Jul. 31, 2019   56,596        
Net (loss) income 43,032   42,804   42,804 228
Other comprehensive (loss) income 1,352     1,468 1,468 (116)
Dividends paid to shareholders (5,628)   (5,628)   (5,628)  
Dividends paid to noncontrolling interest (1,046)         (1,046)
Purchase of stock (49,325) $ (49,325)     (49,325)  
Purchase of stock, shares   (1,313)        
Issuance of stock (shares)   32        
Stock-based compensation 5,712 $ 5,712     5,712  
Ending Balance at Oct. 31, 2019 1,258,491 $ 601,686 734,891 (80,646) 1,255,931 2,560
Ending Balance, Shares at Oct. 31, 2019   55,315        
Net (loss) income 20,956   19,993   19,993 963
Other comprehensive (loss) income 1,930     1,836 1,836 94
Dividends paid to shareholders (5,583)   (5,583)   (5,583)  
Dividends paid to noncontrolling interest (1,064)         (1,064)
Purchase of stock (6,263) $ (6,263)     (6,263)  
Purchase of stock, shares   (157)        
Issuance of stock 3,967 $ 3,967     3,967  
Issuance of stock (shares)   100        
Stock-based compensation 5,219 $ 5,219     5,219  
Ending Balance at Jan. 31, 2020 $ 1,277,653 $ 604,609 $ 749,301 $ (78,810) $ 1,275,100 $ 2,553
Ending Balance, Shares at Jan. 31, 2020 55,258 55,258