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FAIR VALUE MEASUREMENTS - Fair Value of Certain Investments Based on NAV (Details) - USD ($)
$ in Thousands
9 Months Ended 12 Months Ended
Sep. 30, 2025
Dec. 31, 2024
Fair Value Investments Entities That Calculate Net Asset Value Per Share [Line Items]    
NAV $ 90,768 $ 91,676
Unfunded Commitments 5,954 6,068
Hedge funds    
Fair Value Investments Entities That Calculate Net Asset Value Per Share [Line Items]    
NAV $ 43,137 $ 47,788
Hedge funds | Monthly    
Fair Value Investments Entities That Calculate Net Asset Value Per Share [Line Items]    
Investments redeemable (as percent) 100.00% 100.00%
Hedge funds | Minimum    
Fair Value Investments Entities That Calculate Net Asset Value Per Share [Line Items]    
Redemption Notice Period 30 days 30 days
Hedge funds | Maximum    
Fair Value Investments Entities That Calculate Net Asset Value Per Share [Line Items]    
Redemption Notice Period 60 days 60 days
Other    
Fair Value Investments Entities That Calculate Net Asset Value Per Share [Line Items]    
NAV $ 39 $ 679
Other | Monthly    
Fair Value Investments Entities That Calculate Net Asset Value Per Share [Line Items]    
Investments redeemable (as percent)   95.00%
Other | Daily    
Fair Value Investments Entities That Calculate Net Asset Value Per Share [Line Items]    
Investments redeemable (as percent) 100.00% 5.00%
Other | Minimum    
Fair Value Investments Entities That Calculate Net Asset Value Per Share [Line Items]    
Redemption Notice Period 30 days 30 days
Other | Maximum    
Fair Value Investments Entities That Calculate Net Asset Value Per Share [Line Items]    
Redemption Notice Period 90 days 90 days
Debt    
Fair Value Investments Entities That Calculate Net Asset Value Per Share [Line Items]    
NAV $ 3 $ 3
Redemption Notice Period   30 days
Debt | Daily    
Fair Value Investments Entities That Calculate Net Asset Value Per Share [Line Items]    
Investments redeemable (as percent) 100.00% 100.00%
Debt | Minimum    
Fair Value Investments Entities That Calculate Net Asset Value Per Share [Line Items]    
Redemption Notice Period 30 days  
Debt | Maximum    
Fair Value Investments Entities That Calculate Net Asset Value Per Share [Line Items]    
Redemption Notice Period 30 days  
Equity    
Fair Value Investments Entities That Calculate Net Asset Value Per Share [Line Items]    
NAV $ 61 $ 50
Equity | Monthly    
Fair Value Investments Entities That Calculate Net Asset Value Per Share [Line Items]    
Investments redeemable (as percent) 100.00% 100.00%
Equity | Minimum    
Fair Value Investments Entities That Calculate Net Asset Value Per Share [Line Items]    
Redemption Notice Period 30 days 30 days
Equity | Maximum    
Fair Value Investments Entities That Calculate Net Asset Value Per Share [Line Items]    
Redemption Notice Period 30 days 30 days
Private equity | Equity growth    
Fair Value Investments Entities That Calculate Net Asset Value Per Share [Line Items]    
NAV $ 47,528 $ 43,156
Unfunded Commitments $ 5,954 $ 6,068
Fair value not redeemable (as percent) 100.00% 100.00%
Private equity | Consolidated but not owned    
Fair Value Investments Entities That Calculate Net Asset Value Per Share [Line Items]    
Unfunded Commitments $ 19,894 $ 20,205