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DEBT - Schedule of Credit Facilities of the Consolidated Funds (Details) - Consolidated Funds  - USD ($)
$ in Thousands
Dec. 31, 2024
Dec. 31, 2023
DEBT    
Total borrowings of Consolidated Funds $ 275,000 $ 125,241
Credit Facility Maturing 7/1/2024    
DEBT    
Total Capacity 18,000  
Outstanding loan   $ 15,241
Effective Rate   6.88%
Credit Facility Maturing 9/25/2025    
DEBT    
Total Capacity 150,000  
Outstanding loan $ 121,000  
Effective Rate 8.00%  
Credit Facility Maturing 9/24/2026    
DEBT    
Total Capacity $ 150,000  
Outstanding loan $ 0 $ 0
Effective Rate 0.00%  
Credit Facility Maturing 6/26/2027    
DEBT    
Total Capacity $ 200,000  
Outstanding loan $ 154,000 $ 110,000
Effective Rate 7.15% 8.29%
Credit Facility Maturing 9/12/2027    
DEBT    
Total Capacity $ 54,000  
Outstanding loan $ 0 $ 0
Effective Rate 0.00%