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Condensed Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
9 Months Ended
Sep. 30, 2023
Sep. 30, 2022
Operating Activities    
Net Income $ 2,335,130 $ 2,245,568
Adjustments to Reconcile Net Income to Net Cash Provided by Operating Activities    
Net Realized Gains on Investments (2,171,161) (5,869,897)
Changes in Unrealized Losses on Investments 236,161 1,712,735
Non-Cash Performance Allocations 708,021 2,946,255
Non-Cash Performance Allocations and Incentive Fee Compensation 612,097 914,965
Equity-Based Compensation Expense 797,762 636,454
Amortization of Intangibles 31,073 52,288
Other Non-Cash Amounts Included in Net Income (691,415) (923,678)
Cash Flows Due to Changes in Operating Assets and Liabilities    
Cash Acquired with Consolidation of Fund Entities 0 31,791
Cash Relinquished with Deconsolidation of Fund Entities (113,588) 0
Accounts Receivable (236,453) (190,786)
Due from Affiliates 101,157 661,934
Other Assets (44,728) (142,410)
Accrued Compensation and Benefits (510,514) (1,562,779)
Accounts Payable, Accrued Expenses and Other Liabilities 88,010 404,867
Due to Affiliates (3,955) 93,669
Investments Purchased (2,437,975) (3,783,564)
Cash Proceeds from Sale of Investments 4,461,596 8,393,706
Net Cash Provided by Operating Activities 3,161,218 5,621,118 Close
Investing Activities    
Purchase of Furniture, Equipment and Leasehold Improvements (192,904) (186,783)
Net Cash Paid for Acquisitions, Net of Cash Acquired (5,420) 0
Net Cash Used in Investing Activities (198,324) (186,783) Close
Financing Activities    
Distributions to Non-Controlling Interest Holders in Consolidated Entities (795,554) (969,606)
Contributions from Non-Controlling Interest Holders in Consolidated Entities 591,547 989,963
Payments Under Tax Receivable Agreement (64,634) (46,880)
Net Settlement of Vested Common Stock and Repurchase of Common Stock and Blackstone Holdings Partnership Units (374,401) (461,759)
Proceeds from Loans Payable 0 2,036,264
Repayment and Repurchase of Loans Payable (469,460) (250,101)
Dividends/Distributions to Stockholders and Unitholders (3,229,127) (5,330,882)
Net Cash Used in Financing Activities (4,341,629) (4,033,001) Close
Effect of Exchange Rate Changes on Cash and Cash Equivalents and Cash Held by Blackstone Funds and Other (5,185) (26,705) Close
Cash and Cash Equivalents and Cash Held by Blackstone Funds and Other    
Net Increase (Decrease) (1,383,920) 1,374,629 Close
Beginning of Period 4,493,715 2,199,732
End of Period 3,109,795 3,574,361
Supplemental Disclosure of Cash Flows Information    
Payments for Interest 292,525 221,155
Payments for Income Taxes 460,531 604,137
Supplemental Disclosure of Non-Cash Investing and Financing Activities    
Non-Cash Contributions from Non-Controlling Interest Holders 18,566 14,410
Non-Cash Distributions to Non-Controlling Interest Holders (107,232) 0
Notes Issuance Costs 0 18,423
Transfer of Interests to Non-Controlling Interest Holders (3,072) 3,764
Change in Blackstone Inc.'s Ownership Interest (15,867) 28,846
Net Settlement of Vested Common Stock 617,197 364,976
Conversion of Blackstone Holdings Units to Common Stock 44,588 45,582
Acquisition of Ownership Interests from Non-Controlling Interest Holders    
Deferred Tax Asset (98,627) (102,947)
Due to Affiliates 91,770 89,856
Equity $ 6,857 $ 13,091