v3.25.1
Condensed Consolidated Statements of Financial Condition (Unaudited) - USD ($)
$ in Thousands
Mar. 31, 2025
Dec. 31, 2024
Assets    
Derivative assets, at fair value $ 21,766 $ 33,349
Total assets 7,014,675 7,073,432
Liabilities:    
Derivative liabilities, at fair value 26,290 13,385
Total liabilities 1,737,656 1,602,984
Commitments and contingencies (Note 13)
Unitholders’ capital:    
Paid-in capital 1,703,195 1,663,384
Retained earnings 144,869 329,631
Unitholders’ capital attributable to Brookfield Oaktree Holdings, LLC 2,248,648 2,393,599
Non-controlling interests in consolidated subsidiaries 9,519 7,765
Total unitholders’ capital 2,258,167 2,401,364
Total liabilities and unitholders’ capital 7,014,675 7,073,432
Series A Preferred Units    
Unitholders’ capital:    
Preferred stock 173,669 173,669
Series B Preferred Units    
Unitholders’ capital:    
Preferred stock 226,915 226,915
Class A Units    
Unitholders’ capital:    
Common stock 0 0
Class B Units    
Unitholders’ capital:    
Common stock 0 0
Related Party    
Assets    
Due from affiliates 801 227
Liabilities:    
Due to affiliates 0 200
Oaktree    
Assets    
Cash and cash-equivalents 15,882 22,303
Corporate investments 1,416,705 1,520,260
Other assets, net 29,904 16,728
Liabilities:    
Accrued compensation expense 33 300
Oaktree | Related Party    
Assets    
Due from affiliates 801 227
Liabilities:    
Due to affiliates 0 200
Oaktree | Nonrelated Party    
Liabilities:    
Due to affiliates 492 648
Consolidated Funds    
Assets    
Cash and cash-equivalents 597,075 427,548
Corporate investments 4,769,084 4,946,862
Other assets, net 44,843 49,340
Dividends and interest receivable 27,594 34,127
Receivable for securities sold 91,021 22,688
Derivative assets, at fair value 21,766 33,349
Total assets 5,600,000  
Liabilities:    
Due to affiliates 20,547 12,981
Payables for securities purchased 118,060 102,607
Derivative liabilities, at fair value 26,290 13,385
Distributions payable 68 68
Debt obligations of the consolidated funds 1,572,166 1,472,795
Total liabilities 1,700,000  
Non-controlling redeemable interests in consolidated funds $ 3,018,852 $ 3,069,084