Form 10 Explorer
10-Q
Quarterly Report
AFFILIATED MANAGERS GROUP, INC.

MGRE

NYSE

CIK: 1004434

File #: 001-13459

Period End: Jun 30, 2025

Fiscal Year: 2025

View on EDGAR
Balance Sheet
51 line items · 2 periods
XBRL
ItemJun 30, 2025Dec 31, 2024
Assets
Cash and cash equivalents
361,000,000950,000,000
Receivables
571,000,000409,700,000
Investments
644,100,000595,600,000
Goodwill
2,537,600,0002,504,900,000
Acquired client relationships (net)
1,716,100,0001,777,800,000
Acquired Client Relationships
1,716,100,0001,777,800,000
Equity method investments in Affiliates (net)
2,618,300,0002,246,600,000
Equity Method Investee
2,618,300,0002,246,600,000
Fixed assets (net)
56,700,00057,600,000
Other assets
302,800,000288,700,000
Affiliate Tax Distributions - Related Party
65,100,00059,200,000
Related Party
8,800,0007,900,000
Total assets
8,807,600,0008,830,900,000
Liabilities and Equity
Payables and accrued liabilities
692,400,000639,100,000
Debt
2,621,200,0002,620,200,000
Senior bank debt
00
Senior notes
1,092,800,0001,092,100,000
Junior subordinated notes
1,189,200,0001,189,000,000
Junior convertible securities
339,200,000339,100,000
Junior Convertible Trust Preferred Securities - Junior convertible securities
341,700,000
Deferred tax liability (net)
544,300,000520,500,000
Other liabilities
474,900,000402,400,000
Private Equity Investment Partnerships of Affiliate - Related Party
12,700,00014,500,000
Affiliate Tax Distributions - Related Party
87,300,00087,800,000
Related Party
117,900,00054,800,000
Total liabilities
4,332,800,0004,182,200,000
Redeemable non-controlling interests
336,100,000350,500,000
Variable Interest Entity, Primary Beneficiary
20,000,00012,900,000
Equity:
Common stock ($0.01 par value, 153.0 shares authorized; 58.5 shares issued as of December 31, 2024 and June 30, 2025)
600,000600,000
Additional paid-in capital
701,200,000733,100,000
Accumulated other comprehensive loss
(125,000,000)(163,600,000)
Retained earnings
7,055,900,0006,899,800,000
Total stockholders' equity before treasury stock
7,632,700,0007,469,900,000
Less: Treasury stock, at cost (28.9 shares and 30.2 shares as of December 31, 2024 and June 30, 2025, respectively)
4,394,000,0004,124,600,000
Total stockholders' equity
3,238,700,0003,345,300,000
Non-controlling interests
900,000,000952,900,000
Total equity
4,138,700,0004,298,200,000
Common Stock ($0.01 par value)
600,000600,000
Additional Paid-In Capital
701,200,000733,100,000
Accumulated Other Comprehensive Loss
(125,000,000)(163,600,000)
Retained Earnings
7,055,900,0006,899,800,000
Treasury Stock at Cost
(4,394,000,000)(4,124,600,000)
Non- controlling Interests
900,000,000952,900,000
Foreign currency translation gain (loss)
(196,200,000)(253,800,000)
Change in net realized and unrealized gain (loss) on derivative financial instruments
1,300,000400,000
Unrealized Gains (Losses) on Available-for-Sale Debt Securities
0(400,000)
Total
(194,900,000)(253,800,000)
Total liabilities and equity
8,807,600,0008,830,900,000