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FAIR VALUE - Changes in Fair Value of Level III Measurements (Details) - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended
Sep. 30, 2021
Sep. 30, 2020
Sep. 30, 2021
Sep. 30, 2020
Consolidated Funds        
Level III Net Assets of Consolidated Funds        
Balance, beginning of period $ 938,346 $ 942,584 $ 996,265 $ 717,030
Transfer in (out) due to changes in consolidation     (49,483) 392,037
Transfer in 18,792 96,671 50,013 146,839
Transfer out (209,282) (230,326) (216,210) (350,078)
Purchases 246,526 118,708 486,627 321,065
Sales/settlements (118,272) (74,330) (403,581) (306,928)
Amortized discounts/premiums 394 5 1,465 1,068
Realized and unrealized appreciation (depreciation), net 21,788 14,869 33,196 (52,852)
Balance, end of period 898,292 868,181 898,292 868,181
Change in net unrealized appreciation/depreciation included in earnings related to financial assets still held at the reporting date 16,736 12,562 26,521 (55,970)
Consolidated Funds | Equity securities        
Level III Net Assets of Consolidated Funds        
Balance, beginning of period 229,300 42,259 221,043 85,988
Transfer in (out) due to changes in consolidation     (157) (635)
Transfer in 0 0 2,195 0
Transfer out 0 0 (33) 0
Purchases 27,346 150 36,201 551
Sales/settlements (313) (25) (876) (714)
Amortized discounts/premiums 0 0 1 0
Realized and unrealized appreciation (depreciation), net 2,913 828 872 (41,978)
Balance, end of period 259,246 43,212 259,246 43,212
Change in net unrealized appreciation/depreciation included in earnings related to financial assets still held at the reporting date 2,912 878 790 (41,930)
Consolidated Funds | Fixed Income        
Level III Net Assets of Consolidated Funds        
Balance, beginning of period 455,426 586,287 542,305 339,136
Transfer in (out) due to changes in consolidation     (49,326) 392,672
Transfer in 18,792 96,671 47,818 146,839
Transfer out (209,282) (230,326) (216,177) (350,078)
Purchases 219,180 118,558 437,426 256,514
Sales/settlements (88,584) (73,010) (371,006) (249,027)
Amortized discounts/premiums 394 (135) 1,464 777
Realized and unrealized appreciation (depreciation), net 6,750 15,836 10,172 (22,952)
Balance, end of period 402,676 513,881 402,676 513,881
Change in net unrealized appreciation/depreciation included in earnings related to financial assets still held at the reporting date 1,607 13,690 2,700 (25,701)
Consolidated Funds | Partnership Interests        
Level III Net Assets of Consolidated Funds        
Balance, beginning of period 255,278 312,636 231,857 296,012
Transfer in (out) due to changes in consolidation     0 0
Transfer in 0 0 0 0
Transfer out 0 0 0 0
Purchases 0 0 13,000 64,000
Sales/settlements (30,000) (2,000) (32,000) (58,000)
Amortized discounts/premiums 0 0 0 0
Realized and unrealized appreciation (depreciation), net 12,280 (1,402) 24,701 7,222
Balance, end of period 237,558 309,234 237,558 309,234
Change in net unrealized appreciation/depreciation included in earnings related to financial assets still held at the reporting date 12,280 (1,402) 24,701 7,222
Consolidated Funds | Derivatives, Net        
Level III Net Assets of Consolidated Funds        
Balance, beginning of period (1,658) 1,402 1,060 (4,106)
Transfer in (out) due to changes in consolidation     0 0
Transfer in 0 0 0 0
Transfer out 0 0 0 0
Purchases 0 0 0 0
Sales/settlements 625 705 301 813
Amortized discounts/premiums 0 140 0 291
Realized and unrealized appreciation (depreciation), net (155) (393) (2,549) 4,856
Balance, end of period (1,188) 1,854 (1,188) 1,854
Change in net unrealized appreciation/depreciation included in earnings related to financial assets still held at the reporting date (63) (604) (1,670) 4,439
Ares Management L.P        
Level III Net Assets of Consolidated Funds        
Balance, beginning of period 165,655 84,634 144,336 119,079
Transfer in (out) due to changes in consolidation   72,967 7,623 76,653
Established in connection with acquisition (34,200)   (34,200)  
Purchases 708 5,983 20,967 7,285
Sales/settlements (2,904) (899) (12,120) (34,017)
Realized and unrealized appreciation (depreciation), net (5,393) 1,429 (2,740) (4,886)
Balance, end of period 123,866 164,114 123,866 164,114
Change in net unrealized appreciation/depreciation included in earnings related to financial assets still held at the reporting date (5,381) (1,429) (4,191) 1,848
Ares Management L.P | Contingent Consideration        
Level III Liabilities of the Company        
Balance, beginning of period 0   0  
Transfer in due to changes in consolidation     0  
Established in connection with acquisition (34,200)   (34,200)  
Purchases 0   0  
Sales/settlements 0   0  
Realized and unrealized appreciation (depreciation), net (7,213)   (7,213)  
Balance, end of period (41,413)   (41,413)  
Change in net unrealized appreciation/depreciation included in earnings related to financial assets and liabilities still held at the reporting date (7,213)   (7,213)  
Ares Management L.P | Equity securities        
Level III Net Assets of Consolidated Funds        
Balance, beginning of period 107,240 14,704 88,412 14,704
Transfer in (out) due to changes in consolidation   72,967 0 72,967
Established in connection with acquisition 0   0  
Purchases 0 0 19,278 0
Sales/settlements 0 0 0 0
Realized and unrealized appreciation (depreciation), net 1,157 (1,746) 707 (1,746)
Balance, end of period 108,397 85,925 108,397 85,925
Change in net unrealized appreciation/depreciation included in earnings related to financial assets still held at the reporting date 1,157 1,746 707 (1,746)
Ares Management L.P | Fixed Income        
Level III Net Assets of Consolidated Funds        
Balance, beginning of period 55,840 67,355 53,349 69,183
Transfer in (out) due to changes in consolidation   0 7,623 3,686
Established in connection with acquisition 0   0  
Purchases 708 5,983 1,689 7,285
Sales/settlements (2,904) (899) (12,120) (1,587)
Realized and unrealized appreciation (depreciation), net 663 3,175 3,766 (2,953)
Balance, end of period 54,307 75,614 54,307 75,614
Change in net unrealized appreciation/depreciation included in earnings related to financial assets still held at the reporting date 675 (3,175) 2,315 (1,917)
Ares Management L.P | Partnership Interests        
Level III Net Assets of Consolidated Funds        
Balance, beginning of period 2,575 2,575 2,575 35,192
Transfer in (out) due to changes in consolidation   0 0 0
Established in connection with acquisition 0   0  
Purchases 0 0 0 0
Sales/settlements 0 0 0 (32,430)
Realized and unrealized appreciation (depreciation), net 0 0 0 (187)
Balance, end of period 2,575 2,575 2,575 2,575
Change in net unrealized appreciation/depreciation included in earnings related to financial assets still held at the reporting date $ 0 $ 0 $ 0 $ 5,511