v3.26.1
DERIVATIVES AND HEDGING - Schedule of Fair Value of Derivatives Held by Consolidated Funds (Details) - Consolidated Funds - Not Designated as Hedging Instrument - USD ($)
$ in Thousands
Mar. 31, 2026
Dec. 31, 2025
Assets    
Notional $ 1,203,511 $ 1,348,731
Fair Value 21,258 9,070
Liabilities    
Notional (258,745) (238,360)
Fair Value (42,760) (48,893)
Foreign-currency forward contracts    
Assets    
Notional 908,722 1,066,772
Fair Value 20,539 7,800
Liabilities    
Notional (126,920) (216,189)
Fair Value (39,054) (47,032)
Total-return and interest-rate and credit default swaps    
Assets    
Notional 154,973 219,693
Fair Value 663 1,270
Liabilities    
Notional (117,915) (5,584)
Fair Value (686) 0
Options and futures    
Assets    
Notional 139,816 62,266
Fair Value 56 0
Liabilities    
Notional (13,910) (16,587)
Fair Value $ (3,020) $ (1,861)