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DERIVATIVE FINANCIAL INSTRUMENTS (Details) - USD ($)
$ in Thousands
Jun. 30, 2016
Dec. 31, 2015
Ares Management L.P.    
Assets    
Notional amount, Assets $ 47,137 $ 94,634
Fair Value, Assets 3,366 1,339
Liabilities    
Notional amount, Liabilities 33,984 303,245
Fair Value, Liabilities 729 390
Ares Management L.P. | Interest Rate Contracts    
Liabilities    
Notional amount, Liabilities   250,000
Fair Value, Liabilities   214
Ares Management L.P. | Foreign Exchange Contracts    
Assets    
Notional amount, Assets 47,137 94,634
Fair Value, Assets 3,366 1,339
Liabilities    
Notional amount, Liabilities 33,984 53,245
Fair Value, Liabilities 729 176
Consolidated Funds    
Assets    
Notional amount, Total 11,833 522
Fair Value, Assets 289  
Fair Value, Total 289 159
Liabilities    
Notional amount, Liabilities 16,859 29,635
Fair Value, Liabilities 2,373 10,676
Consolidated Funds | Foreign Exchange Contracts    
Assets    
Notional amount, Assets 11,580  
Fair Value, Assets 289  
Liabilities    
Notional amount, Liabilities 12,226 25,572
Fair Value, Liabilities 297 369
Consolidated Funds | Other Contracts    
Liabilities    
Fair Value, Liabilities 2,076 10,307
Consolidated Funds | Other Financial Instrument [Member]    
Liabilities    
Notional amount, Liabilities 4,633 4,063
Fair Value, Liabilities 2,076 10,307
Consolidated Funds | Equity Contracts    
Assets    
Notional amount, Assets $ 253 522
Fair Value, Assets   $ 159