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Fair Value Measurement (Investments in LLCs and Limited Partnerships Footnote) (Details)
6 Months Ended
Jun. 30, 2021
fund
Mortgage fund  
Fair Value, Investments, Entities that Calculate Net Asset Value Per Share [Line Items]  
Investment redemption notice period 65 days
Payment period for redemption of LP valued at NAV 45 days
Secured debt fund  
Fair Value, Investments, Entities that Calculate Net Asset Value Per Share [Line Items]  
Number of limited partners in investment 2
Number of limited partners to allow redemption by special consent 1
Secured debt fund | Minimum  
Fair Value, Investments, Entities that Calculate Net Asset Value Per Share [Line Items]  
Liquidating investments remaining period 3 years
Secured debt fund | Maximum  
Fair Value, Investments, Entities that Calculate Net Asset Value Per Share [Line Items]  
Liquidating investments remaining period 8 years
Long/short equity funds  
Fair Value, Investments, Entities that Calculate Net Asset Value Per Share [Line Items]  
Payment period for redemption of LP valued at NAV 30 days
Redemption percentage of LP at NAV for which initial payment is limited 90.00%
Non-public equity funds  
Fair Value, Investments, Entities that Calculate Net Asset Value Per Share [Line Items]  
Liquidating investments remaining period 10 years
Credit funds | Minimum  
Fair Value, Investments, Entities that Calculate Net Asset Value Per Share [Line Items]  
Investment redemption notice period 90 days
Credit funds | Maximum  
Fair Value, Investments, Entities that Calculate Net Asset Value Per Share [Line Items]  
Investment redemption notice period 180 days