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DERIVATIVE FINANCIAL INSTRUMENTS - Schedule of Fair Value and Notional Amounts of Derivative Contracts by Major Product Type on a Gross Basis (Details) - USD ($)
$ in Thousands
Mar. 31, 2022
Dec. 31, 2021
Consolidated Funds     
Assets     
Notional amount, assets $ 55,988 $ 56,000
Fair Value 0 0
Liabilities     
Notional amount, liabilities 279,502 279,516
Fair Value 11,402 20,927
Derivative liability, amount offset 0 0
Derivative asset, amount offset 0 0
Consolidated Funds  | Warrants    
Assets     
Notional amount, assets 0 0
Fair Value 0 0
Liabilities     
Notional amount, liabilities 230,000 230,000
Fair Value 8,240 17,822
Consolidated Funds  | Asset swaps    
Assets     
Notional amount, assets 55,988 56,000
Fair Value 0 0
Liabilities     
Notional amount, liabilities 49,502 49,516
Fair Value 3,162 3,105
Ares Management L.P    
Assets     
Notional amount, assets 61,198 409,018
Fair Value 5,457 5,682
Liabilities     
Notional amount, liabilities 11,612 11,011
Fair Value 203 328
Derivative liability, amount offset 200 300
Ares Management L.P | Foreign currency forward contracts and interest rate swaps    
Assets     
Notional amount, assets 61,198 409,018
Fair Value 5,457 5,682
Liabilities     
Notional amount, liabilities 11,612 11,011
Fair Value $ 203 $ 328