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FAIR VALUE - Changes in Fair Value of Level III Measurements (Details) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2022
Mar. 31, 2021
Consolidated Funds     
Level III Net Assets of Consolidated Funds    
Balance, beginning of period $ 1,317,703 $ 996,265
Transfer in 171,945 223,844
Transfer out (90,417) (209,035)
Purchases 174,897 146,963
Sales/settlements (129,666) (127,589)
Amortized discounts/premiums 654 770
Realized and unrealized appreciation (depreciation), net 3,286 1,147
Balance, end of period 1,448,402 1,032,365
Change in net unrealized appreciation/depreciation included in earnings related to financial assets still held at the reporting date (9,173) 6,444
Consolidated Funds  | Equity securities    
Level III Net Assets of Consolidated Funds    
Balance, beginning of period 339,183 221,043
Transfer in 0 2,289
Transfer out 0 (33)
Purchases 7,320 8,308
Sales/settlements (10,189) (424)
Amortized discounts/premiums 0 0
Realized and unrealized appreciation (depreciation), net 14,826 (549)
Balance, end of period 351,140 230,634
Change in net unrealized appreciation/depreciation included in earnings related to financial assets still held at the reporting date 20 (582)
Consolidated Funds  | Fixed Income    
Level III Net Assets of Consolidated Funds    
Balance, beginning of period 742,952 542,305
Transfer in 171,945 221,555
Transfer out (90,417) (209,002)
Purchases 143,577 137,655
Sales/settlements (97,975) (127,350)
Amortized discounts/premiums 654 770
Realized and unrealized appreciation (depreciation), net (11,435) (5,553)
Balance, end of period 859,301 560,380
Change in net unrealized appreciation/depreciation included in earnings related to financial assets still held at the reporting date (9,031) (863)
Consolidated Funds  | Partnership Interests    
Level III Net Assets of Consolidated Funds    
Balance, beginning of period 238,673 231,857
Transfer in 0 0
Transfer out 0 0
Purchases 24,000 1,000
Sales/settlements (21,500) 0
Amortized discounts/premiums 0 0
Realized and unrealized appreciation (depreciation), net (50) 10,595
Balance, end of period 241,123 243,452
Change in net unrealized appreciation/depreciation included in earnings related to financial assets still held at the reporting date (50) 10,594
Consolidated Funds  | Derivatives, Net    
Level III Net Assets of Consolidated Funds    
Balance, beginning of period (3,105) 1,060
Transfer in 0 0
Transfer out 0 0
Purchases 0 0
Sales/settlements (2) 185
Amortized discounts/premiums 0 0
Realized and unrealized appreciation (depreciation), net (55) (3,346)
Balance, end of period (3,162) (2,101)
Change in net unrealized appreciation/depreciation included in earnings related to financial assets still held at the reporting date (112) (2,705)
Ares Management L.P    
Level III Net Assets of Consolidated Funds    
Balance, beginning of period 106,486 144,336
Transfer in due to changes in consolidation 1,491  
Sales/settlements 46,775 (1,539)
Change in fair value (988)  
Realized and unrealized appreciation (depreciation), net 4,218 2,541
Balance, end of period 157,982 145,338
Change in net unrealized appreciation/depreciation included in earnings related to financial assets still held at the reporting date 3,230 2,541
Ares Management L.P | Contingent Consideration    
Level III Liabilities of the Company    
Balance, beginning of period (57,435)  
Transfer in due to changes in consolidation 0  
Sales/settlements 47,873  
Change in fair value (988)  
Realized and unrealized appreciation (depreciation), net 0  
Balance, end of period (10,550)  
Change in net unrealized appreciation and fair value included in earnings related to financial liabilities still held at the reporting date (988)  
Ares Management L.P | Equity securities    
Level III Net Assets of Consolidated Funds    
Balance, beginning of period 108,949 88,412
Transfer in due to changes in consolidation 1,491  
Sales/settlements (213) 0
Change in fair value 0  
Realized and unrealized appreciation (depreciation), net 4,272 821
Balance, end of period 114,499 89,233
Change in net unrealized appreciation/depreciation included in earnings related to financial assets still held at the reporting date 4,272 821
Ares Management L.P | Fixed Income    
Level III Net Assets of Consolidated Funds    
Balance, beginning of period 52,397 53,349
Transfer in due to changes in consolidation 0  
Sales/settlements (885) (1,539)
Change in fair value 0  
Realized and unrealized appreciation (depreciation), net (54) 1,720
Balance, end of period 51,458 53,530
Change in net unrealized appreciation/depreciation included in earnings related to financial assets still held at the reporting date (54) 1,720
Ares Management L.P | Partnership Interests    
Level III Net Assets of Consolidated Funds    
Balance, beginning of period 2,575 2,575
Transfer in due to changes in consolidation 0  
Sales/settlements 0 0
Change in fair value 0  
Realized and unrealized appreciation (depreciation), net 0 0
Balance, end of period 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