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DERIVATIVE FINANCIAL INSTRUMENTS (Details) - USD ($)
$ in Thousands
Sep. 30, 2021
Dec. 31, 2020
Consolidated Funds    
Assets     
Notional amount, assets $ 44,521 $ 7,600
Fair Value 325 1,104
Liabilities    
Notional amount, liabilities 269,701 540
Fair Value 18,513 44
Derivative liability, amount offset (300) (400)
Derivative asset, amount offset 300 400
Consolidated Funds | Warrants    
Assets     
Notional amount, assets 0 0
Fair Value 0 0
Liabilities    
Notional amount, liabilities 230,000 0
Fair Value 17,000 0
Consolidated Funds | Asset swap - other    
Assets     
Notional amount, assets 44,521 7,600
Fair Value 325 1,104
Liabilities    
Notional amount, liabilities 39,701 540
Fair Value 1,513 44
Ares Management L.P    
Assets     
Notional amount, assets 99,463 30,040
Fair Value 4,361 1,440
Liabilities    
Notional amount, liabilities 9,868 39,362
Fair Value 265 1,565
Derivative liability, amount offset (300) (1,600)
Ares Management L.P | Foreign exchange contracts    
Assets     
Notional amount, assets 81,008 30,040
Fair Value 4,352 1,440
Liabilities    
Notional amount, liabilities 9,868 39,362
Fair Value 265 1,565
Ares Management L.P | Interest rate contracts    
Assets     
Notional amount, assets 18,455 0
Fair Value 9 0
Liabilities    
Notional amount, liabilities 0 0
Fair Value $ 0 $ 0