v3.25.1
DERIVATIVES AND HEDGING - Schedule of Fair Value of Derivatives Held by Consolidated Funds (Details) - Consolidated VIEs - Not Designated as Hedging Instrument - USD ($)
$ in Thousands
Mar. 31, 2025
Dec. 31, 2024
Assets    
Notional $ 998,564 $ 812,682
Fair Value 21,766 33,349
Liabilities    
Notional (190,402) (298,593)
Fair Value (26,290) (13,385)
Foreign-currency forward contracts    
Assets    
Notional 780,526 797,475
Fair Value 3,723 17,578
Liabilities    
Notional (161,599) (81,625)
Fair Value (20,129) (8,513)
Total-return and interest-rate and credit default swaps    
Assets    
Notional 218,038 15,207
Fair Value 18,043 15,771
Liabilities    
Notional 0 (203,533)
Fair Value 0 (19)
Options and futures    
Assets    
Notional 0 0
Fair Value 0 0
Liabilities    
Notional (28,803) (13,435)
Fair Value $ (6,161) $ (4,853)