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Investment Partnerships and Other Entities, Net Impact by Line Item on Financial Statements (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
Sep. 30, 2021
Jun. 30, 2021
Mar. 31, 2021
Sep. 30, 2020
Jun. 30, 2020
Mar. 31, 2020
Dec. 31, 2019
Assets [Abstract]                  
Cash and cash equivalents $ 319,048 $ 39,509              
Investments in U.S. Treasury Bills 60,996 344,453              
Investments in securities 273,087 249,887              
Investments in affiliated registered investment companies 134,548 170,605              
Investments in partnerships 154,460 123,994              
Receivable from brokers 42,478 24,677              
Investment advisory fees receivable 8,315 7,346              
Other assets [1] 35,295 39,034              
Investments in marketable securities held in trust 175,109 175,040 [2]              
Total assets 1,203,336 1,174,545              
Liabilities and equity [Abstract]                  
Securities sold, not yet purchased 12,905 17,571              
Accrued expenses and other liabilities [1] 52,629 48,757              
Redeemable noncontrolling interests 202,456 206,828              
Total equity 935,346 901,389 $ 931,188 $ 932,465 $ 915,746 $ 854,167 $ 852,687 $ 820,803 $ 897,435
Total liabilities and equity 1,203,336 1,174,545              
Consolidated Statements of Income [Abstract]                  
Total revenues 20,924 18,983              
Total expenses 40,000 31,452              
Operating loss (19,076) (12,469)              
Total other income, net 100,415 42,352              
Income/(loss) before income taxes 81,339 29,883              
Income tax expense 17,705 9,374              
Income/(loss) from continuing operations, net of taxes 63,634 20,509              
Income/(loss) from discontinued operations, net of taxes 0 (632)              
Income/(loss) before noncontrolling interests 63,634 19,877              
Income/(loss) attributable to noncontrolling interests 4,431 1,061              
Net income/(loss) attributable to Associated Capital Group, Inc.'s shareholders 59,203 18,816              
Consolidated Entities [Member]                  
Assets [Abstract]                  
Cash and cash equivalents 4,039 7,162              
Investments in U.S. Treasury Bills 0 9,499              
Investments in securities 88,858 82,570              
Investments in affiliated registered investment companies (51,926) (50,713)              
Investments in partnerships (20,223) (22,168)              
Receivable from brokers 20,485 18,015              
Investment advisory fees receivable (5) (54)              
Other assets [1] (4,105) 7,387              
Investments in marketable securities held in trust 175,109 175,040              
Total assets 212,232 226,738              
Liabilities and equity [Abstract]                  
Securities sold, not yet purchased 1,706 8,057              
Accrued expenses and other liabilities [1] 18,804 11,853              
Redeemable noncontrolling interests 202,456 206,828              
Total equity (10,734) 0              
Total liabilities and equity 212,232 226,738              
Consolidated Statements of Income [Abstract]                  
Total revenues (2,928) (490)              
Total expenses 755 2,800              
Operating loss (3,683) (3,290)              
Total other income, net 8,114 4,319              
Income/(loss) before income taxes 4,431 1,029              
Income tax expense 0 (52)              
Income/(loss) from continuing operations, net of taxes   1,081              
Income/(loss) from discontinued operations, net of taxes   0              
Income/(loss) before noncontrolling interests 4,431 1,081              
Income/(loss) attributable to noncontrolling interests 4,431 1,081              
Net income/(loss) attributable to Associated Capital Group, Inc.'s shareholders 0 0              
Prior to Consolidation [Member]                  
Assets [Abstract]                  
Cash and cash equivalents 315,009 32,347              
Investments in U.S. Treasury Bills 60,996 334,954              
Investments in securities 184,229 167,317              
Investments in affiliated registered investment companies 186,474 221,318              
Investments in partnerships 174,683 146,162              
Receivable from brokers 21,993 6,662              
Investment advisory fees receivable 8,320 7,400              
Other assets [1] 39,400 31,647              
Investments in marketable securities held in trust 0 0              
Total assets 991,104 947,807              
Liabilities and equity [Abstract]                  
Securities sold, not yet purchased 11,199 9,514              
Accrued expenses and other liabilities [1] 33,825 36,904              
Redeemable noncontrolling interests 0 0              
Total equity 946,080 901,389              
Total liabilities and equity 991,104 947,807              
Consolidated Statements of Income [Abstract]                  
Total revenues 23,852 19,473              
Total expenses 39,245 28,652              
Operating loss (15,393) (9,179)              
Total other income, net 92,301 38,033              
Income/(loss) before income taxes 76,908 28,854              
Income tax expense 17,705 9,426              
Income/(loss) from continuing operations, net of taxes   19,428              
Income/(loss) from discontinued operations, net of taxes   (632)              
Income/(loss) before noncontrolling interests 59,203 18,796              
Income/(loss) attributable to noncontrolling interests 0 (20)              
Net income/(loss) attributable to Associated Capital Group, Inc.'s shareholders $ 59,203 $ 18,816              
[1] Represents the summation of multiple captions from the consolidated statements of financial condition.
[2] At December 31, 2020, marketable securities held in the trust account through PMV were comprised primarily of U.S. Treasury Bills which mature in less than one year with an amortized cost and fair value of approximately $175 million, due to the short maturity profile.