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Variable Interest Entities - Schedule of Assets and Liabilities Related to VIE Securitization Transactions (Details) - USD ($)
$ in Thousands
Mar. 31, 2025
Dec. 31, 2024
Mar. 31, 2024
Variable Interest Entity [Line Items]      
Cash and cash equivalents $ 821,971 $ 808,017 $ 1,090,713
Restricted cash 13,285 [1] 13,175 [1] $ 13,327
Due from affiliates 308,046 447,012  
Total assets 11,314,024 10,535,109  
Accrued interest 240,003 211,914  
Total liabilities 7,815,309 6,943,120  
Variable Interest Entity, Primary Beneficiary      
Variable Interest Entity [Line Items]      
Cash and cash equivalents 37,229 21,297  
Restricted cash 13,285 13,175  
Participation rights receivable 657,356 647,448  
Due from affiliates 435 435  
Total assets 708,305 682,355  
Accrued interest 3,450 191  
Due to affiliates and other 191 162  
Secured notes, net 245,952 245,875  
Total liabilities $ 249,593 $ 246,228  
[1] The Company’s consolidated total assets and liabilities as of March 31, 2025 and December 31, 2024 include assets and liabilities of variable interest entities (“VIEs”). These assets can be used only to satisfy obligations of the VIEs, and the creditors of the VIEs have recourse only to these assets, and not to TPG Inc. See Notes 2, 6 and 7 to the Condensed Consolidated Financial Statements