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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 331,255     317,687     317,687 13,568  
Other comprehensive loss - net of tax (8,167)       (8,166)   (8,166) (1)  
Amortization of share-based incentive compensation 195,779   188,647       188,647 7,132  
Dividend equivalents (6,342)   14,177 (15,326)     (1,149) (5,193)  
Class A common stock dividends (147,593)     (147,593)     (147,593)    
Purchase of Class A common stock $ (286,193)         $ (286,193) (286,193)    
Purchase of Class A common stock (in shares) 6,469,429         6,469,429      
Delivery of Class A common stock in connection with share-based incentive compensation and related tax expense (benefit) $ (69,050)   (163,821) (47,902)   $ 142,673 (69,050)    
Delivery of Class A common stock in connection with share-based incentive compensation and related tax expense (benefit) (in shares)           (3,741,351)      
Business acquisitions and related equity transactions:                  
Delivery of Class A common stock     (35,885)     $ 35,885      
Delivery of Class A common stock (in shares)           (1,018,048)      
Dividend equivalents     61 (61)          
Distributions to noncontrolling interests, net (7,318)             (7,318)  
LFI Consolidated Funds 16,164             16,164  
Contribution from redeemable noncontrolling interests, net                 $ 534,746
Change in redemption value of redeemable noncontrolling interests (40,254)   (28,148)       (28,148) (12,106) 40,254
Balance at Sep. 30, 2021 977,714 $ 1,128 110,470 1,402,191 (246,534) $ (389,448) 877,807 99,907 575,000
Balance (in shares) at Sep. 30, 2021   112,766,091       9,438,417      
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      
Comprehensive income (loss):                  
Net income 115,513     107,209     107,209 8,304  
Other comprehensive loss - net of tax (19,887)       (19,886)   (19,886) (1)  
Amortization of share-based incentive compensation 51,892   50,663       50,663 1,229  
Dividend equivalents (2,024)   4,214 (4,507)     (293) (1,731)  
Class A common stock dividends (48,629)     (48,629)     (48,629)    
Purchase of Class A common stock (52,448)         $ (52,448) (52,448)    
Purchase of Class A common stock (in shares)           1,139,888      
Delivery of Class A common stock in connection with share-based incentive compensation and related tax expense (benefit) (2,314)   (18,740)     $ 16,426 (2,314)    
Delivery of Class A common stock in connection with share-based incentive compensation and related tax expense (benefit) (in shares)           (400,684)      
Business acquisitions and related equity transactions:                  
Delivery of Class A common stock     (292)     $ 292      
Delivery of Class A common stock (in shares)           (6,084)      
Dividend equivalents     3 (3)          
Distributions to noncontrolling interests, net (4,897)             (4,897)  
LFI Consolidated Funds 8,653             8,653  
Change in redemption value of redeemable noncontrolling interests     16,622       16,622 (16,622)  
Balance at Sep. 30, 2021 977,714 $ 1,128 110,470 1,402,191 (246,534) $ (389,448) 877,807 99,907 575,000
Balance (in shares) at Sep. 30, 2021   112,766,091       9,438,417      
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 326,170     315,153     315,153 11,017 9,248
Other comprehensive loss - net of tax (110,536)       (110,535)   (110,535) (1)  
Amortization of share-based incentive compensation 201,102   188,529       188,529 12,573  
Dividend equivalents (8,804)   13,189 (13,919)     (730) (8,074)  
Class A common stock dividends (138,914)     (138,914)     (138,914)    
Purchase of Class A common stock $ (612,175)         $ (612,175) (612,175)    
Purchase of Class A common stock (in shares) 17,249,880         17,249,880      
Delivery of Class A common stock in connection with share-based incentive compensation and related tax expense (benefit) $ (54,653)   (222,190) (40,558)   $ 204,587 (58,161) 3,508  
Delivery of Class A common stock in connection with share-based incentive compensation and related tax expense (benefit) (in shares)           (4,869,445)      
Business acquisitions and related equity transactions:                  
Distributions to noncontrolling interests, net (26,674)             (26,674)  
LFI Consolidated Funds 20,110             20,110  
Change in redemption value of redeemable noncontrolling interests 5,753   4,027       4,027 1,726 (5,753)
Other (2,019)   (1,538)     $ (240) (1,778) (241)  
Other (in shares)           7,661      
Balance at Sep. 30, 2022 677,324 $ 1,128 126,746 1,682,398 (334,382) $ (915,254) 560,636 116,688 578,495
Balance (in shares) at Sep. 30, 2022   112,766,091       24,434,236      
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      
Comprehensive income (loss):                  
Net income 119,050     105,797     105,797 13,253 3,742
Other comprehensive loss - net of tax (44,353)       (44,353)   (44,353)    
Amortization of share-based incentive compensation 74,916   70,281       70,281 4,635  
Dividend equivalents (2,066)   5,100 (5,343)     (243) (1,823)  
Class A common stock dividends (46,238)     (46,238)     (46,238)    
Purchase of Class A common stock (236,990)         $ (236,990) (236,990)    
Purchase of Class A common stock (in shares)           6,650,998      
Delivery of Class A common stock in connection with share-based incentive compensation and related tax expense (benefit) (2,172)   (19,685)     $ 17,513 (2,172)    
Delivery of Class A common stock in connection with share-based incentive compensation and related tax expense (benefit) (in shares)           (464,482)      
Business acquisitions and related equity transactions:                  
Distributions to noncontrolling interests, net (17,420)             (17,420)  
LFI Consolidated Funds 6,702             6,702  
Change in redemption value of redeemable noncontrolling interests 957   670       670 287 (957)
Other (2,019)   (1,538)     $ (240) (1,778) (241)  
Other (in shares)           7,661      
Balance at Sep. 30, 2022 $ 677,324 $ 1,128 $ 126,746 $ 1,682,398 $ (334,382) $ (915,254) $ 560,636 $ 116,688 $ 578,495
Balance (in shares) at Sep. 30, 2022   112,766,091       24,434,236