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FAIR VALUE (Valuation Techniques) (Details)
$ in Thousands
6 Months Ended 12 Months Ended
Jun. 30, 2017
USD ($)
Dec. 31, 2016
USD ($)
Ares Management L.P    
FAIR VALUE    
Assets, at fair value $ 577,664 $ 451,507
Liabilities, at fair value 5,677 22,156
Ares Management L.P | Level III    
FAIR VALUE    
Assets, at fair value 198,217 122,521
Liabilities, at fair value 1,940 22,156
Ares Management L.P | Level III | Liabilities | Other Valuation Technique    
FAIR VALUE    
Liabilities, at fair value   20,278
Ares Management L.P | Level III | Liabilities | Discounted cash flow    
FAIR VALUE    
Liabilities, at fair value $ 1,940 $ 1,878
Unobservable Input    
Discount rate 6.40% 6.50%
Ares Management L.P | Level III | Partnership interests | Other Valuation Technique    
FAIR VALUE    
Assets, at fair value $ 33,410 $ 33,410
Ares Management L.P | Level III | Fixed income-collateralized loan obligations | Broker quotes and/or 3rd party pricing services    
FAIR VALUE    
Assets, at fair value 164,807 89,111
Consolidated Funds    
FAIR VALUE    
Assets, at fair value 3,444,611 3,331,023
Liabilities, at fair value 3,093,598 3,034,111
Consolidated Funds | Level III    
FAIR VALUE    
Assets, at fair value 554,402 544,930
Liabilities, at fair value 0 2,999
Consolidated Funds | Level III | Derivatives liabilities of Consolidated Funds | Broker quotes and/or 3rd party pricing services    
FAIR VALUE    
Liabilities, at fair value   2,999
Consolidated Funds | Level III | Equity securities | Broker quotes and/or 3rd party pricing services    
FAIR VALUE    
Assets, at fair value 271 421
Consolidated Funds | Level III | Equity securities | Discounted cash flow    
FAIR VALUE    
Assets, at fair value $ 217,740 $ 171,696
Unobservable Input    
Discount rate 17.00% 20.00%
Consolidated Funds | Level III | Equity securities | Discounted cash flow | Weighted Average    
Unobservable Input    
Discount rate 17.00% 20.00%
Consolidated Funds | Level III | Equity securities | Enterprise value market multiple analysis    
FAIR VALUE    
Assets, at fair value $ 46,707 $ 43,011
Consolidated Funds | Level III | Equity securities | Enterprise value market multiple analysis | Minimum    
Unobservable Input    
EBITDA multiple 2.3 2.0
Consolidated Funds | Level III | Equity securities | Enterprise value market multiple analysis | Maximum    
Unobservable Input    
EBITDA multiple 7.9 11.2
Consolidated Funds | Level III | Equity securities | Enterprise value market multiple analysis | Weighted Average    
Unobservable Input    
EBITDA multiple 2.5 2.3
Consolidated Funds | Level III | Equity securities | Market approach (comparable companies)    
FAIR VALUE    
Assets, at fair value $ 61,215 $ 32,598
Unobservable Input    
Illiquidity discount (as a percent)   25.00%
Consolidated Funds | Level III | Equity securities | Market approach (comparable companies) | Minimum    
Unobservable Input    
Net income multiple 30.0 30.0
Illiquidity discount (as a percent) 25.00%  
Consolidated Funds | Level III | Equity securities | Market approach (comparable companies) | Maximum    
Unobservable Input    
Net income multiple 40.0 40.0
Consolidated Funds | Level III | Equity securities | Market approach (comparable companies) | Weighted Average    
Unobservable Input    
Net income multiple 36.5 35.0
Illiquidity discount (as a percent) 25.00% 25.00%
Consolidated Funds | Level III | Equity securities | Recent transaction price    
FAIR VALUE    
Assets, at fair value $ 38,081 $ 54,660
Consolidated Funds | Level III | Fixed Income | Broker quotes and/or 3rd party pricing services    
FAIR VALUE    
Assets, at fair value 134,462 170,231
Consolidated Funds | Level III | Fixed Income | Discounted cash flow    
FAIR VALUE    
Assets, at fair value   $ 24,052
Consolidated Funds | Level III | Fixed Income | Discounted cash flow | Minimum    
Unobservable Input    
Discount rate   7.80%
Consolidated Funds | Level III | Fixed Income | Discounted cash flow | Maximum    
Unobservable Input    
Discount rate   15.30%
Consolidated Funds | Level III | Fixed Income | Discounted cash flow | Weighted Average    
Unobservable Input    
Yield   11.10%
Consolidated Funds | Level III | Fixed Income | Enterprise value market multiple analysis    
FAIR VALUE    
Assets, at fair value   $ 6,693
Unobservable Input    
EBITDA multiple   7.1
Consolidated Funds | Level III | Fixed Income | Enterprise value market multiple analysis | Weighted Average    
Unobservable Input    
EBITDA multiple   7.1
Consolidated Funds | Level III | Fixed Income | Market approach (comparable companies)    
FAIR VALUE    
Assets, at fair value $ 208 $ 1,776
Unobservable Input    
EBITDA multiple 5.6 6.5
Consolidated Funds | Level III | Fixed Income | Market approach (comparable companies) | Weighted Average    
Unobservable Input    
EBITDA multiple 5.6 6.5
Consolidated Funds | Level III | Fixed Income | Recent transaction price    
FAIR VALUE    
Assets, at fair value   $ 4,887
Consolidated Funds | Level III | Fixed Income | Income approach, Yield    
FAIR VALUE    
Assets, at fair value $ 52,909 $ 28,595
Consolidated Funds | Level III | Fixed Income | Income approach, Yield | Minimum    
Unobservable Input    
Yield 6.00% 6.00%
Consolidated Funds | Level III | Fixed Income | Income approach, Yield | Maximum    
Unobservable Input    
Yield 14.30% 13.60%
Consolidated Funds | Level III | Fixed Income | Income approach, Yield | Weighted Average    
Unobservable Input    
Discount rate   10.90%
Yield 9.40%  
Consolidated Funds | Level III | Fixed Income | Income approach, collection rate    
FAIR VALUE    
Assets, at fair value   $ 5,473
Unobservable Input    
Collection rates   1.2
Consolidated Funds | Level III | Fixed Income | Income approach, collection rate | Weighted Average    
Unobservable Input    
Collection rates   1.2
Consolidated Funds | Level III | Fixed Income | Market approach    
FAIR VALUE    
Assets, at fair value   $ 546
Consolidated Funds | Level III | Fixed Income | Market approach | Minimum    
Unobservable Input    
EBITDA multiple   6.1
Consolidated Funds | Level III | Fixed Income | Market approach | Weighted Average    
Unobservable Input    
EBITDA multiple   6.1
Consolidated Funds | Level III | Derivative Financial Instruments | Broker quotes and/or 3rd party pricing services    
FAIR VALUE    
Assets, at fair value $ 2,809 $ 291