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Fair Value Measurements - Summary of Changes in Fair Value of Company's Level 3 Assets and Liabilities (Detail) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Assets:      
Beginning Balance $ 871 $ 3,157 $ 2,971
Net Unrealized/Realized Gains/Losses Included In Earnings $ 99 $ 155 $ (117)
Fair Value, Asset, Recurring Basis, Unobservable Input Reconciliation, Gain (Loss), Statement of Income or Comprehensive Income [Extensible Enumeration] Other Other Other
Purchases/Issuances $ 18,000   $ 299
Sales/Settlements (13) $ (2,356) 0
Foreign Currency Translation Adjustments 461 (85) 4
Ending Balance 19,418 871 3,157
Liabilities:      
Beginning Balance 0 0  
Net Unrealized/Realized Gains/Losses Included In Earnings   0  
Purchases/Issuances   11,500  
Sales/Settlements   (11,500)  
Foreign Currency Translation Adjustments   0  
Ending Balance   0 0
Derivative      
Liabilities:      
Beginning Balance 0 0  
Net Unrealized/Realized Gains/Losses Included In Earnings   0  
Purchases/Issuances   11,500  
Sales/Settlements   (11,500)  
Foreign Currency Translation Adjustments   0  
Ending Balance   0 0
Equities [Member]      
Assets:      
Beginning Balance 578 1,671 1,600
Net Unrealized/Realized Gains/Losses Included In Earnings 99 (796) 73
Purchases/Issuances     0
Sales/Settlements   (235) 0
Foreign Currency Translation Adjustments (31) (62) (2)
Ending Balance 646 578 1,671
Private Equity Funds [Member]      
Assets:      
Beginning Balance 293 1,486 1,371
Net Unrealized/Realized Gains/Losses Included In Earnings   951 (190)
Purchases/Issuances 18,000   299
Sales/Settlements (13) (2,121) 0
Foreign Currency Translation Adjustments 492 (23) 6
Ending Balance $ 18,772 $ 293 $ 1,486