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FAIR VALUE - Schedule of Investments Using NAV per Share (Details) - Consolidated Funds  - USD ($)
$ in Thousands
Dec. 31, 2023
Dec. 31, 2022
FAIR VALUE    
Investments (held at fair value) $ 1,642,489 $ 1,392,169
Investments Measured at NAV    
FAIR VALUE    
Investments (held at fair value) 1,642,489 1,023,514
Investments Measured at NAV | Non-core investments    
FAIR VALUE    
Investments (held at fair value) 1,642,489 1,023,514
Unfunded commitments $ 738,621 $ 869,016