v3.26.1
DEBT - Schedule of Debt Obligations (Details) - Ares Management L.P - USD ($)
$ in Thousands
6 Months Ended
Jun. 30, 2026
Jun. 29, 2026
May 31, 2026
Apr. 30, 2026
Dec. 31, 2025
Carrying Value          
DEBT          
Total debt obligations $ 4,577,159       $ 3,941,415
Fair Value          
DEBT          
Total debt obligations $ 4,375,235       $ 3,790,276
Credit Facility maturing on 2030          
DEBT          
Interest Rate 4.52%       4.86%
Unused commitment fees 0.09%        
Debt instrument, variable rate floor 0.00%        
Credit Facility maturing on 2030 | Carrying Value          
DEBT          
Total debt obligations $ 1,615,000       $ 1,380,000
Credit Facility maturing on 2030 | Fair Value          
DEBT          
Total debt obligations $ 1,615,000       $ 1,380,000
Credit Facility maturing on 2030 | Secured Overnight Financing Rate (SOFR)          
DEBT          
Interest rate spread 0.90%        
Credit Facility maturing on 2030 | Revolving Credit Facility          
DEBT          
Maximum borrowing capacity     $ 2,500,000 $ 1,840,000  
Higher borrowing capacity option     $ 500,000 $ 660,000  
Senior Notes 2028          
DEBT          
Original Borrowing Amount $ 500,000        
Interest Rate 6.42%       6.42%
Debt issuance rate 99.80%        
Senior Notes 2028 | Carrying Value          
DEBT          
Total debt obligations $ 497,343       $ 496,785
Senior Notes 2028 | Fair Value          
DEBT          
Total debt obligations 516,980       $ 529,140
Senior Notes 2030          
DEBT          
Original Borrowing Amount $ 400,000        
Interest Rate 3.28%       3.28%
Debt issuance rate 99.77%        
Senior Notes 2030 | Carrying Value          
DEBT          
Total debt obligations $ 398,182       $ 397,954
Senior Notes 2030 | Fair Value          
DEBT          
Total debt obligations 373,904       $ 379,280
Senior Notes 2052          
DEBT          
Original Borrowing Amount $ 500,000        
Interest Rate 3.77%       3.77%
Debt issuance rate 97.78%        
Senior Notes 2052 | Carrying Value          
DEBT          
Total debt obligations $ 485,219       $ 485,011
Senior Notes 2052 | Fair Value          
DEBT          
Total debt obligations 343,785       $ 348,840
Senior Notes 2054          
DEBT          
Original Borrowing Amount $ 750,000        
Interest Rate 5.65%       5.65%
Debt issuance rate 99.24%        
Senior Notes 2054 | Carrying Value          
DEBT          
Total debt obligations $ 736,534       $ 736,355
Senior Notes 2054 | Fair Value          
DEBT          
Total debt obligations 676,583       $ 709,073
Subordinated Notes 2051          
DEBT          
Original Borrowing Amount $ 450,000        
Interest Rate 4.16%       4.13%
Interest rate 7.357% 4.125%      
Debt term 5 years        
Subordinated Notes 2051 | Carrying Value          
DEBT          
Total debt obligations $ 445,401       $ 445,310
Subordinated Notes 2051 | Fair Value          
DEBT          
Total debt obligations $ 448,983       $ 443,943
Subordinated Notes 2051 | US Treasury          
DEBT          
Interest rate 3.237%        
Term Loan due 2029          
DEBT          
Original Borrowing Amount $ 400,000        
Interest Rate 4.67%        
Interest rate spread 1.00%        
Debt instrument, variable rate floor 0.00%        
Term Loan due 2029 | Carrying Value          
DEBT          
Total debt obligations $ 399,480        
Term Loan due 2029 | Fair Value          
DEBT          
Total debt obligations $ 400,000