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Fair Value Measurements (Tables)
6 Months Ended
Jun. 30, 2025
Fair Value Disclosures [Abstract]  
Schedule of Fair Value Of Certain Financial Assets And Liabilities
The fair value of certain financial assets of the Company was determined using the following inputs:
 At June 30, 2025
 
Level 1

Level 2
Level 3NAV as a Practical ExpedientTotal
Assets
Equity securities$52,674 $— $— $— $52,674 
Available-for-sale debt securities— 156,374 — — 156,374 
Securities owned— 31,682 — — 31,682 
Investment funds sponsored by LSV— — — 9,273 9,273 
Investments in limited partnership funds— — — 367 367 
Total assets measured at fair value$52,674 $188,056 $— $9,640 $250,370 
Liabilities
Contingent considerations$— $— $10,951 $— $10,951 
Total liabilities measured at fair value$— $— $10,951 $— $10,951 

 At December 31, 2024
 
Level 1

Level 2
Level 3NAV as a Practical ExpedientTotal
Assets
Equity securities$40,530 $— $— $— $40,530 
Available-for-sale debt securities— 143,126 — — 143,126 
Securities owned— 29,583 — — 29,583 
Investment funds sponsored by LSV— — — 8,129 8,129 
Total assets measured at fair value$40,530 $172,709 $— $8,129 $221,368 
Liabilities
Contingent considerations$— $— $14,355 $— $14,355 
Total liabilities measured at fair value$— $— $14,355 $— $14,355