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FAIR VALUE - Assets and Liabilities Measured at Fair Value (Details) - USD ($)
$ in Thousands
Jun. 30, 2022
Dec. 31, 2021
Consolidated Funds     
Assets, at fair value    
Collateralized loan obligations and other fixed income $ 11,039,478 $ 11,768,099
Common stock and other equity securities 480,914 340,272
Partnership interests 1,031,580 708,307
Total investments, at fair value 12,551,972 12,816,678
Total assets, at fair value 12,551,972 12,816,678
Liabilities, at fair value    
Derivative liabilities (7,035) (20,927)
Loan obligations of CLOs (10,309,475) (10,657,661)
Total liabilities, at fair value (10,316,510) (10,678,588)
Consolidated Funds  | Derivatives-foreign currency forward contracts    
Liabilities, at fair value    
Derivative liabilities   (17,822)
Consolidated Funds  | Warrants    
Liabilities, at fair value    
Derivative liabilities (4,000)  
Consolidated Funds  | Asset swaps    
Liabilities, at fair value    
Derivative liabilities (3,035) (3,105)
Consolidated Funds  | Bonds    
Assets, at fair value    
Collateralized loan obligations and other fixed income 785,085 857,125
Consolidated Funds  | Loans    
Assets, at fair value    
Collateralized loan obligations and other fixed income 9,253,491 9,910,689
Consolidated Funds  | U.S. Treasury securities    
Assets, at fair value    
Collateralized loan obligations and other fixed income 1,000,902 1,000,285
Consolidated Funds  | Level I     
Assets, at fair value    
Collateralized loan obligations and other fixed income 1,001,038 1,000,285
Common stock and other equity securities 0 956
Partnership interests 0 0
Total assets, at fair value 1,001,038 1,001,241
Liabilities, at fair value    
Derivative liabilities (4,000) (17,822)
Loan obligations of CLOs 0 0
Total liabilities, at fair value (4,000) (17,822)
Consolidated Funds  | Level I  | Derivatives-foreign currency forward contracts    
Liabilities, at fair value    
Derivative liabilities   (17,822)
Consolidated Funds  | Level I  | Warrants    
Liabilities, at fair value    
Derivative liabilities (4,000)  
Consolidated Funds  | Level I  | Asset swaps    
Liabilities, at fair value    
Derivative liabilities 0 0
Consolidated Funds  | Level I  | Bonds    
Assets, at fair value    
Collateralized loan obligations and other fixed income 0 0
Consolidated Funds  | Level I  | Loans    
Assets, at fair value    
Collateralized loan obligations and other fixed income 136 0
Consolidated Funds  | Level I  | U.S. Treasury securities    
Assets, at fair value    
Collateralized loan obligations and other fixed income 1,000,902 1,000,285
Consolidated Funds  | Level II     
Assets, at fair value    
Collateralized loan obligations and other fixed income 8,962,186 10,024,862
Common stock and other equity securities 0 133
Partnership interests 0 0
Total assets, at fair value 8,962,186 10,024,995
Liabilities, at fair value    
Derivative liabilities 0 0
Loan obligations of CLOs (10,309,475) (10,657,661)
Total liabilities, at fair value (10,309,475) (10,657,661)
Consolidated Funds  | Level II  | Derivatives-foreign currency forward contracts    
Liabilities, at fair value    
Derivative liabilities   0
Consolidated Funds  | Level II  | Warrants    
Liabilities, at fair value    
Derivative liabilities 0  
Consolidated Funds  | Level II  | Asset swaps    
Liabilities, at fair value    
Derivative liabilities 0 0
Consolidated Funds  | Level II  | Bonds    
Assets, at fair value    
Collateralized loan obligations and other fixed income 496,798 525,393
Consolidated Funds  | Level II  | Loans    
Assets, at fair value    
Collateralized loan obligations and other fixed income 8,465,388 9,499,469
Consolidated Funds  | Level II  | U.S. Treasury securities    
Assets, at fair value    
Collateralized loan obligations and other fixed income 0 0
Consolidated Funds  | Level III     
Assets, at fair value    
Collateralized loan obligations and other fixed income 1,076,254 742,952
Common stock and other equity securities 480,914 339,183
Partnership interests 250,123 238,673
Total assets, at fair value 1,807,291 1,320,808
Liabilities, at fair value    
Derivative liabilities (3,035) (3,105)
Loan obligations of CLOs 0 0
Total liabilities, at fair value (3,035) (3,105)
Consolidated Funds  | Level III  | Derivatives-foreign currency forward contracts    
Liabilities, at fair value    
Derivative liabilities   0
Consolidated Funds  | Level III  | Warrants    
Liabilities, at fair value    
Derivative liabilities 0  
Consolidated Funds  | Level III  | Asset swaps    
Liabilities, at fair value    
Derivative liabilities (3,035) (3,105)
Consolidated Funds  | Level III  | Bonds    
Assets, at fair value    
Collateralized loan obligations and other fixed income 288,287 331,732
Consolidated Funds  | Level III  | Loans    
Assets, at fair value    
Collateralized loan obligations and other fixed income 787,967 411,220
Consolidated Funds  | Level III  | U.S. Treasury securities    
Assets, at fair value    
Collateralized loan obligations and other fixed income 0 0
Consolidated Funds  | Investments Measured at NAV    
Assets, at fair value    
Collateralized loan obligations and other fixed income 0 0
Common stock and other equity securities 0 0
Partnership interests 781,457 469,634
Total assets, at fair value 781,457 469,634
Liabilities, at fair value    
Derivative liabilities 0 0
Loan obligations of CLOs 0 0
Total liabilities, at fair value 0 0
Consolidated Funds  | Investments Measured at NAV | Derivatives-foreign currency forward contracts    
Liabilities, at fair value    
Derivative liabilities   0
Consolidated Funds  | Investments Measured at NAV | Warrants    
Liabilities, at fair value    
Derivative liabilities 0  
Consolidated Funds  | Investments Measured at NAV | Asset swaps    
Liabilities, at fair value    
Derivative liabilities 0 0
Consolidated Funds  | Investments Measured at NAV | Bonds    
Assets, at fair value    
Collateralized loan obligations and other fixed income 0 0
Consolidated Funds  | Investments Measured at NAV | Loans    
Assets, at fair value    
Collateralized loan obligations and other fixed income 0 0
Consolidated Funds  | Investments Measured at NAV | U.S. Treasury securities    
Assets, at fair value    
Collateralized loan obligations and other fixed income 0 0
Ares Management L.P    
Assets, at fair value    
Common stock and other equity securities 115,350 110,389
Partnership interests 8,375 8,591
Total investments, at fair value 170,081 171,377
Total assets, at fair value 178,111 177,059
Liabilities, at fair value    
Derivative liabilities   (328)
Contingent consideration (10,748) (57,435)
Total liabilities, at fair value (10,818) (57,763)
Ares Management L.P | Derivatives-foreign currency forward contracts    
Assets, at fair value    
Derivatives-foreign currency forward contracts 8,030  
Ares Management L.P | Derivatives-foreign currency forward contracts    
Assets, at fair value    
Derivatives-foreign currency forward contracts   5,682
Liabilities, at fair value    
Derivative liabilities (70)  
Ares Management L.P | Collateralized loan obligations and other fixed income    
Assets, at fair value    
Collateralized loan obligations and other fixed income 46,356 52,397
Ares Management L.P | Level I     
Assets, at fair value    
Common stock and other equity securities 0 0
Partnership interests 0 0
Total investments, at fair value 0 0
Total assets, at fair value 0 0
Liabilities, at fair value    
Derivative liabilities   0
Contingent consideration 0 0
Total liabilities, at fair value 0 0
Ares Management L.P | Level I  | Derivatives-foreign currency forward contracts    
Assets, at fair value    
Derivatives-foreign currency forward contracts 0  
Ares Management L.P | Level I  | Derivatives-foreign currency forward contracts    
Assets, at fair value    
Derivatives-foreign currency forward contracts   0
Liabilities, at fair value    
Derivative liabilities 0  
Ares Management L.P | Level I  | Collateralized loan obligations and other fixed income    
Assets, at fair value    
Collateralized loan obligations and other fixed income 0 0
Ares Management L.P | Level II     
Assets, at fair value    
Common stock and other equity securities 1,469 1,440
Partnership interests 0 0
Total investments, at fair value 1,469 1,440
Total assets, at fair value 9,499 7,122
Liabilities, at fair value    
Derivative liabilities   (328)
Contingent consideration 0 0
Total liabilities, at fair value (70) (328)
Ares Management L.P | Level II  | Derivatives-foreign currency forward contracts    
Assets, at fair value    
Derivatives-foreign currency forward contracts 8,030  
Ares Management L.P | Level II  | Derivatives-foreign currency forward contracts    
Assets, at fair value    
Derivatives-foreign currency forward contracts   5,682
Liabilities, at fair value    
Derivative liabilities (70)  
Ares Management L.P | Level II  | Collateralized loan obligations and other fixed income    
Assets, at fair value    
Collateralized loan obligations and other fixed income 0 0
Ares Management L.P | Level III     
Assets, at fair value    
Common stock and other equity securities 113,881 108,949
Partnership interests 2,575 2,575
Total investments, at fair value 162,812 163,921
Total assets, at fair value 162,812 163,921
Liabilities, at fair value    
Derivative liabilities   0
Contingent consideration (10,748) (57,435)
Total liabilities, at fair value (10,748) (57,435)
Ares Management L.P | Level III  | Derivatives-foreign currency forward contracts    
Assets, at fair value    
Derivatives-foreign currency forward contracts 0  
Ares Management L.P | Level III  | Derivatives-foreign currency forward contracts    
Assets, at fair value    
Derivatives-foreign currency forward contracts   0
Liabilities, at fair value    
Derivative liabilities 0  
Ares Management L.P | Level III  | Collateralized loan obligations and other fixed income    
Assets, at fair value    
Collateralized loan obligations and other fixed income 46,356 52,397
Ares Management L.P | Investments Measured at NAV    
Assets, at fair value    
Common stock and other equity securities 0 0
Partnership interests 5,800 6,016
Total investments, at fair value 5,800 6,016
Total assets, at fair value 5,800 6,016
Liabilities, at fair value    
Derivative liabilities   0
Contingent consideration 0 0
Total liabilities, at fair value 0 0
Ares Management L.P | Investments Measured at NAV | Derivatives-foreign currency forward contracts    
Assets, at fair value    
Derivatives-foreign currency forward contracts 0  
Ares Management L.P | Investments Measured at NAV | Derivatives-foreign currency forward contracts    
Assets, at fair value    
Derivatives-foreign currency forward contracts   0
Liabilities, at fair value    
Derivative liabilities 0  
Ares Management L.P | Investments Measured at NAV | Collateralized loan obligations and other fixed income    
Assets, at fair value    
Collateralized loan obligations and other fixed income $ 0 $ 0