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FAIR VALUE (Changes in Fair Value of Level III Measurements) (Details) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2020
Mar. 31, 2019
Consolidated Funds    
Changes in the fair value of the Level III investments    
Balance, beginning of period $ 717,030 $ 970,837
Additions(1) 392,037  
Deconsolidation of fund   (58,883)
Transfer in 607,588 155,651
Transfer out (61,774) (182,087)
Purchases 363,841 188,182
Sales/settlements (179,788) (84,596)
Amortized discounts/premiums 547 161
Realized and unrealized appreciation (depreciation), net (210,128) 14,099
Balance, end of period 1,629,353 1,003,364
Increase (decrease) in net unrealized appreciation/depreciation included in earnings related to financial assets still held at the reporting date (207,110) 14,617
Consolidated Funds | Equity Securities    
Changes in the fair value of the Level III investments    
Balance, beginning of period 85,988 150,752
Additions(1) (635)  
Deconsolidation of fund   0
Transfer in 0 0
Transfer out 0 0
Purchases 249 10,774
Sales/settlements (351) (5,086)
Amortized discounts/premiums 0 0
Realized and unrealized appreciation (depreciation), net (42,499) 2,592
Balance, end of period 42,752 159,032
Increase (decrease) in net unrealized appreciation/depreciation included in earnings related to financial assets still held at the reporting date (42,500) 2,592
Consolidated Funds | Fixed Income Securities    
Changes in the fair value of the Level III investments    
Balance, beginning of period 339,136 547,958
Additions(1) 392,672  
Deconsolidation of fund   (58,883)
Transfer in 607,588 155,651
Transfer out (61,774) (182,087)
Purchases 355,592 173,408
Sales/settlements (178,159) (79,489)
Amortized discounts/premiums 499 312
Realized and unrealized appreciation (depreciation), net (175,998) 7,434
Balance, end of period 1,279,556 564,304
Increase (decrease) in net unrealized appreciation/depreciation included in earnings related to financial assets still held at the reporting date (170,496) 7,894
Consolidated Funds | Partnership interests    
Changes in the fair value of the Level III investments    
Balance, beginning of period 296,012 271,447
Additions(1) 0  
Deconsolidation of fund   0
Transfer in 0 0
Transfer out 0 0
Purchases 8,000 4,000
Sales/settlements 0 0
Amortized discounts/premiums 0 0
Realized and unrealized appreciation (depreciation), net 3,013 7,612
Balance, end of period 307,025 283,059
Increase (decrease) in net unrealized appreciation/depreciation included in earnings related to financial assets still held at the reporting date 3,012 7,612
Consolidated Funds | Derivatives, Net    
Changes in the fair value of the Level III investments    
Balance, beginning of period (4,106) 680
Additions(1) 0  
Deconsolidation of fund   0
Transfer in 0 0
Transfer out 0 0
Purchases 0 0
Sales/settlements (1,278) (21)
Amortized discounts/premiums 48 (151)
Realized and unrealized appreciation (depreciation), net 5,356 (3,539)
Balance, end of period 20 (3,031)
Increase (decrease) in net unrealized appreciation/depreciation included in earnings related to financial assets still held at the reporting date 2,874 (3,481)
Ares Management L.P    
Changes in the fair value of the Level III investments    
Balance, beginning of period 119,079 106,413
Additions(1) 3,686  
Deconsolidation of fund   8,138
Purchases 643 2,147
Sales/settlements (32,832) (4,964)
Realized and unrealized appreciation (depreciation), net (7,953) 1,045
Balance, end of period 82,623 112,779
Increase (decrease) in net unrealized appreciation/depreciation included in earnings related to financial assets still held at the reporting date (1,220) 719
Ares Management L.P | Equity Securities    
Changes in the fair value of the Level III investments    
Balance, beginning of period 14,704 10,397
Additions(1) 0  
Deconsolidation of fund   0
Purchases 0 0
Sales/settlements 0 0
Realized and unrealized appreciation (depreciation), net 0 0
Balance, end of period 14,704 10,397
Increase (decrease) in net unrealized appreciation/depreciation included in earnings related to financial assets still held at the reporting date 0 0
Ares Management L.P | Fixed Income Securities    
Changes in the fair value of the Level III investments    
Balance, beginning of period 69,183 60,824
Additions(1) 3,686  
Deconsolidation of fund   8,138
Purchases 643 2,147
Sales/settlements (402) (4,964)
Realized and unrealized appreciation (depreciation), net (7,766) 1,045
Balance, end of period 65,344 67,190
Increase (decrease) in net unrealized appreciation/depreciation included in earnings related to financial assets still held at the reporting date (6,731) 719
Ares Management L.P | Partnership interests    
Changes in the fair value of the Level III investments    
Balance, beginning of period 35,192 35,192
Additions(1) 0  
Deconsolidation of fund   0
Purchases 0 0
Sales/settlements (32,430) 0
Realized and unrealized appreciation (depreciation), net (187) 0
Balance, end of period 2,575 35,192
Increase (decrease) in net unrealized appreciation/depreciation included in earnings related to financial assets still held at the reporting date $ 5,511 $ 0