XML 144 R134.htm IDEA: XBRL DOCUMENT v3.23.2
Compensation - Activity Associated with Restricted Stock Units (Details) - Restricted Stock Units - USD ($)
$ / shares in Units, $ in Thousands
6 Months Ended 12 Months Ended
Jan. 01, 2018
Jun. 30, 2023
Dec. 31, 2022
Dec. 31, 2021
Newmark Holdings, L.P.        
Restricted Stock Units        
Beginning balance (in shares)   11,263,862 10,721,457  
Number of units, Issued (in shares)   2,773,257 3,350,516  
Number of Settled units (delivered shares) (in shares)   (1,672,331) (2,464,570)  
Number of units, Forfeited units (in shares)   (228,012) (343,541)  
Ending balance (in shares)   12,136,776 11,263,862 10,721,457
Weighted- Average Grant Date Fair Value Per Share        
Balance at the beginning of period (in dollars per share)   $ 9.39 $ 8.30  
Granted (in dollars per share)   6.87 12.15  
Settled units (delivered shares) (in dollars per share)   9.26 8.33  
Forfeited units (in dollars per share)   10.10 10.11  
Balance at the end of period (in dollars per share)   $ 8.82 $ 9.39 $ 8.30
Fair Value Amount        
Balance at beginning of period   $ 105,735 $ 89,025  
Granted   19,049 40,710  
Settled units (delivered shares)   (15,494) (20,526)  
Forfeited units   (2,302) (3,474)  
Balance at end of period   $ 106,988 $ 105,735 $ 89,025
Weighted- Average Remaining Contractual Term (Years)   4 years 3 months 25 days 4 years 9 months 4 years 11 months 15 days
Newmark Holdings, L.P. | Minimum        
Fair Value Amount        
Award vesting period 2 years      
Newmark Holdings, L.P. | Maximum        
Fair Value Amount        
Award vesting period 9 years      
BGC Holdings, L.P.        
Restricted Stock Units        
Beginning balance (in shares)   6,928 5,375  
Number of units, Issued (in shares)   0 4,191  
Number of Settled units (delivered shares) (in shares)   (2,045) (2,638)  
Number of units, Forfeited units (in shares)   0 0  
Ending balance (in shares)   4,883 6,928 5,375
Weighted- Average Grant Date Fair Value Per Share        
Balance at the beginning of period (in dollars per share)   $ 4.17 $ 3.85  
Granted (in dollars per share)   0 4.28  
Settled units (delivered shares) (in dollars per share)   4.05 3.69  
Forfeited units (in dollars per share)   0 0  
Balance at the end of period (in dollars per share)   $ 4.22 $ 4.17 $ 3.85
Fair Value Amount        
Balance at beginning of period   $ 29 $ 21  
Granted   0 18  
Settled units (delivered shares)   (8) (10)  
Forfeited units   0 0  
Balance at end of period   $ 21 $ 29 $ 21
Weighted- Average Remaining Contractual Term (Years)   1 year 1 month 13 days 1 year 7 months 13 days 1 year 1 month 28 days
BGC Holdings, L.P. | Minimum        
Fair Value Amount        
Award vesting period   2 years    
BGC Holdings, L.P. | Maximum        
Fair Value Amount        
Award vesting period   4 years