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Fair Value Measurements, Investments in Certain Entities Carried at Fair Value Using Net Asset Value per Share (Details) - Net Asset Value [Member] - Equity Securities [Member] - USD ($)
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Growth Equity [Member]    
Investments in Certain Entities Carried at Fair Value Using Net Asset Value per Share [Abstract]    
Fair value $ 84,141,189 $ 52,738,701
Unfunded commitments 4,125,771 5,961,145
Growth Equity Redeemable [Member]    
Investments in Certain Entities Carried at Fair Value Using Net Asset Value per Share [Abstract]    
Fair value 52,518,353 34,081,797
Unfunded commitments $ 0 $ 0
Redemption frequency Quarterly Quarterly
Redemption notice period 45 days 45 days
Growth Equity Non-Redeemable [Member] | Limited Liability Companies [Member]    
Investments in Certain Entities Carried at Fair Value Using Net Asset Value per Share [Abstract]    
Fair value $ 4,802,917 $ 9,710,311
Unfunded commitments 2,100,000 3,550,546
Growth Equity Non-Redeemable [Member] | Limited Partnerships [Member]    
Investments in Certain Entities Carried at Fair Value Using Net Asset Value per Share [Abstract]    
Fair value 26,819,919 8,946,593
Unfunded commitments $ 2,025,771 $ 2,410,599