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Other Investments (Tables)
12 Months Ended
Dec. 31, 2021
Investments, All Other Investments [Abstract]  
Summary of Fair Value of Investments and Unfunded Commitments The following table summarizes the fair values of these investments and any related unfunded commitments:
 December 31, 2020December 31, 2021
Category of InvestmentFair ValueUnfunded
Commitments
Fair ValueUnfunded
Commitments
Private equity funds(1)
$235.4 $122.2 $310.2 $156.3 
Investments in other strategies(2)
8.0 — 14.6 — 
   Total(3)
$243.4 $122.2 $324.8 $156.3 
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(1)The Company accounts for the majority of its interests in private equity funds one quarter in arrears (adjusted for current period calls and distributions). These funds primarily invest in a broad range of third-party funds and direct investments. Distributions will be received as the underlying assets are liquidated over the life of the funds, which is generally up to 15 years.
(2)These are multi-disciplinary funds that invest across various asset classes and strategies, including equity, credit, and real estate. Investments are generally redeemable on a daily, monthly, or quarterly basis.
(3)Fair value attributable to the controlling interest was $164.4 million and $224.4 million as of December 31, 2020 and 2021, respectively.
Schedule of Investments without Readily Determinable Fair Value The following table summarizes the cost, cumulative unrealized gains, and carrying amount of investments without readily determinable fair values:
 December 31,
20202021
Cost$8.5 $8.5 
Cumulative unrealized gains5.3 41.9 
Carrying amount$13.8 $50.4 
The following table presents the changes in Other investments:
For the Years Ended December 31,
20202021
Measured at NAV as a Practical ExpedientWithout Readily Determinable Fair ValuesTotal Measured at NAV as a Practical ExpedientWithout Readily Determinable Fair ValuesTotal
Balance, beginning of period $211.8 $— $211.8 $243.4 $13.8 $257.2 
Net realized and unrealized gains(1)
18.0 5.3 23.3 79.5 36.6 116.1 
Purchases and commitments36.3 8.5 44.8 60.3 — 60.3 
Sales and distributions(22.7)— (22.7)(58.4)— (58.4)
Balance, end of period $243.4 $13.8 $257.2 $324.8 $50.4 $375.2 
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(1)Recognized in Investment and other income.