XML 52 R35.htm IDEA: XBRL DOCUMENT v3.7.0.1
Variable Interest Entities and Consolidation of Investment Vehicles (Tables)
3 Months Ended
Jun. 30, 2017
Noncontrolling Interest [Line Items]  
Condensed Balance Sheet [Table Text Block]
 
 
June 30, 2017
 
March 31, 2017
 
 
Balance Before Consolidation of CIVs and Other(1)
 
CIVs and Other(1)
 
Eliminations
 
Consolidated Totals
 
Balance Before Consolidation of CIVs and Other(1)
 
CIVs and Other(1)
 
Eliminations
 
Consolidated Totals
Current Assets
 
$
1,541,578

 
$
97,091

 
$
(33,068
)
 
$
1,605,601

 
$
1,749,959

 
$
77,406

 
$
(25,618
)
 
$
1,801,747

Non-current assets
 
6,441,831

 
9,968

 
(2,971
)
 
6,448,828

 
6,481,376

 
9,987

 
(2,695
)
 
6,488,668

Total Assets
 
$
7,983,409

 
$
107,059

 
$
(36,039
)
 
$
8,054,429

 
$
8,231,335

 
$
87,393

 
$
(28,313
)
 
$
8,290,415

Current Liabilities
 
$
584,635

 
$
1,762

 
$
(13
)
 
$
586,384

 
$
808,664

 
$
736

 
$
(13
)
 
$
809,387

Non-current liabilities
 
2,789,069

 

 

 
2,789,069

 
2,792,084

 

 

 
2,792,084

Total Liabilities
 
3,373,704

 
1,762

 
(13
)
 
3,375,453

 
3,600,748

 
736

 
(13
)
 
3,601,471

Redeemable Non-controlling interests
 
614,819

 
12,691

 
56,693

 
684,203

 
619,302

 
26,853

 
31,617

 
677,772

Total Stockholders’ Equity
 
3,994,886

 
92,606

 
(92,719
)
 
3,994,773

 
4,011,285

 
59,804

 
(59,917
)
 
4,011,172

Total Liabilities and Equity
 
$
7,983,409

 
$
107,059

 
$
(36,039
)
 
$
8,054,429

 
$
8,231,335

 
$
87,393

 
$
(28,313
)
 
$
8,290,415


(1)
Other represents consolidated sponsored investment products (VREs) that are not designated as CIVs.
Condensed Income Statement [Table Text Block]
 
 
 
Consolidated Investment Vehicles [Member]  
Noncontrolling Interest [Line Items]  
Fair Value, Investments, Entities that Calculate Net Asset Value Per Share [Table Text Block]
 
 
 
 
Fair Value Determined Using NAV
 
As of June 30, 2017
Category of Investment
 
Investment Strategy
 
June 30, 2017
 
March 31, 2017
 
Unfunded Commitments
 
Remaining Term
Hedge funds
 
Global macro, fixed income, long/short equity, systematic, emerging market, U.S. and European hedge
 
$
23,054

(1) 
$
24,734

 
n/a
 
n/a
n/a - not applicable
(1)
Redemption restrictions: 4% daily redemption; 7% monthly redemption; 47% quarterly redemption; and 42% are subject to three to five-year lock-up or side pocket provisions.

Legg Mason, Inc  
Noncontrolling Interest [Line Items]  
Schedule of Variable Interest Entities [Table Text Block]
 
 
As of June 30, 2017
 
As of March 31, 2017
 
 
Equity Interests on the Consolidated Balance Sheet (1)
 
Maximum Risk of Loss (2)
 
Equity Interests on the Consolidated Balance Sheet (1)
 
Maximum Risk of Loss (2)
Real Estate Investment Trusts
 
$
12,257

 
$
14,760

 
$
11,660

 
$
15,763

Other investment funds
 
47,149

 
63,648

 
47,063

 
73,710

Total
 
$
59,406

 
$
78,408

 
$
58,723

 
$
89,473


(1)
Amounts are related to investments in proprietary and other fund products.
(2)
Includes equity investments the Company has made or is required to make and any earned but uncollected management fees.