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DEBT (Credit Facilities of the Consolidated Funds) (Details) - Consolidated Funds - USD ($)
$ in Thousands
3 Months Ended 12 Months Ended
Mar. 31, 2020
Dec. 31, 2019
DEBT    
Total borrowings of Consolidated Funds $ 35,440 $ 107,244
Credit Facility Maturing 1/1/2023    
DEBT    
Maximum borrowing capacity 18,000  
Outstanding Loan $ 17,909 $ 17,550
Effective Rate 2.62% 3.44%
Credit Facility Maturing 3/5/2021    
DEBT    
Maximum borrowing capacity $ 71,500  
Outstanding Loan 0 $ 71,500
Effective Rate   3.14%
Credit Facility Maturing 6/30/2021    
DEBT    
Maximum borrowing capacity 192,780  
Outstanding Loan 0 $ 0
Credit Facility Maturing 7/15/2028    
DEBT    
Maximum borrowing capacity 75,000  
Outstanding Loan $ 16,500 $ 17,000
Effective Rate 4.17% 4.75%
Credit Facility Maturing 6/29/2019    
DEBT    
Interest rate 0.00% 0.00%
Credit Facility Maturing 6/29/2019 | EURIBOR    
DEBT    
Interest rate spread 1.00% 1.00%
Revolving Term Loan    
DEBT    
Maximum borrowing capacity $ 1,900  
Outstanding Loan $ 1,031 $ 1,194
Effective Rate 7.69% 7.70%