XML 85 R46.htm IDEA: XBRL DOCUMENT v3.23.2
FAIR VALUE - Investments Using NAV per Share (Details) - USD ($)
Jun. 30, 2023
Dec. 31, 2022
Consolidated Funds     
FAIR VALUE    
Fair value $ 1,287,240,000 $ 1,392,169,000
Investments Measured at NAV | Consolidated Funds     
FAIR VALUE    
Fair value 1,287,240,000 1,023,514,000
Investments Measured at NAV | Non-core investments    
FAIR VALUE    
Fair value 1,100,000 1,400,000
Unfunded commitments 0 0
Investments Measured at NAV | Non-core investments | Consolidated Funds     
FAIR VALUE    
Fair value 1,287,200,000 1,023,500,000
Unfunded commitments $ 1,002,300,000 $ 869,000,000