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Consolidated Investment Products - Schedule of Investments measured at NAV (Details) - USD ($)
$ in Millions
Sep. 30, 2025
Sep. 30, 2024
Schedule Of Consolidated Investment Products [Line Items]    
Unfunded commitments $ 13.3 $ 14.0
Redeemable Investments [Member]    
Schedule Of Consolidated Investment Products [Line Items]    
Alternative Investment [1] 64.0 60.3
Nonredeemable Investments With Unknown Liquidation Periods    
Schedule Of Consolidated Investment Products [Line Items]    
Alternative Investment [2] 15.2 16.1
Consolidated Investment Products [Member]    
Schedule Of Consolidated Investment Products [Line Items]    
Unfunded commitments 14.0 42.8
Consolidated Investment Products [Member] | Redeemable Investments [Member]    
Schedule Of Consolidated Investment Products [Line Items]    
Alternative Investment [3] 74.4 138.1
Consolidated Investment Products [Member] | Nonredeemable Investments With Unknown Liquidation Periods    
Schedule Of Consolidated Investment Products [Line Items]    
Alternative Investment $ 114.7 $ 49.0
[1] Investments are redeemable on a semi-monthly, monthly and quarterly basis.
[2] The investments are expected to be returned through distributions over the life of the funds as a result of liquidations of the funds’ underlying assets. Investments with known liquidation periods have an expected weighted-average life of 2.2 years and 1.9 years at September 30, 2025 and 2024.
[3] Investments are redeemable on a monthly basis and liquidation periods are unknown.
3Of the total unfunded commitments, the Company was contractually obligated to fund $5.3 million and $9.9 million based on its ownership percentage in the CIPs, at September 30, 2025 and 2024.