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Fair Value of Financial Instruments
12 Months Ended
Dec. 31, 2024
Fair Value Disclosures [Abstract]  
FAIR VALUE OF FINANCIAL INSTRUMENTS FAIR VALUE MEASUREMENTS:
ASC 820 defines fair value, establishes a framework for measuring fair value and requires additional disclosures regarding certain fair value measurements. ASC 820 establishes a three-tier hierarchy for measuring fair value, as follows:
Level 1 – quoted market prices in active markets for identical assets and liabilities
Level 2 – inputs other than quoted prices that are directly or indirectly observable
Level 3 – unobservable inputs where there is little or no market activity
Our investments in InvestCloud, Vista, WEBs and TXSE, discussed in Note 6 "Investments" are excluded from the recurring fair value table shown below, as we have elected to apply the measurement alternative for those investments.
The following table summarizes our assets and liabilities measured at fair value on a recurring basis, as of the dates indicated within the fair value hierarchy (in thousands):
 Level 1Level 2Level 3
Measured at NAV (1)
Total
As of December 31, 2024    
Investments in trading securities$25,748 $— $— $— $25,748 
Private investment funds— — — 1,946 1,946 
Total assets measured at fair value$25,748 $— $— $1,946 $27,694 
Salient Acquisition contingent consideration$— $— $4,657 $— $4,657 
Total liabilities measured at fair value$— $— $4,657 $— $4,657 
As of December 31, 2023    
Investments in trading securities$32,674 $— $— $— $32,674 
Private investment fund— — — 241 241 
Total assets measured at fair value$32,674 $— $— $241 $32,915 
Salient Acquisition contingent consideration$— $— $10,133 $— $10,133 
Total liabilities measured at fair value$— $— $10,133 $— $10,133 
(1) Comprised of certain investments measured at fair value using NAV as a practical expedient. The fair value amounts presented in this table are intended to allow reconciliation of the fair value hierarchy to the amounts presented on our Consolidated Balance Sheets.