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Fair Value Measurement (Investments in LLCs and Limited Partnerships Footnote) (Details)
3 Months Ended
Mar. 31, 2017
Long equity fund [Member]  
Fair Value, Investments, Entities that Calculate Net Asset Value Per Share [Line Items]  
Investment redemption notice period 15 days
Payment period for redemption of LP valued at NAV 10 days
Long/Short Equity Funds [Member]  
Fair Value, Investments, Entities that Calculate Net Asset Value Per Share [Line Items]  
Payment period for redemption of LP valued at NAV 30 days
Redemption percentage of LP at NAV for which initial payment is limited 90.00%
Non-public equity funds [Member]  
Fair Value, Investments, Entities that Calculate Net Asset Value Per Share [Line Items]  
Liquidating investments remaining period 9 years
Structured credit fund [Member]  
Fair Value, Investments, Entities that Calculate Net Asset Value Per Share [Line Items]  
Investment redemption notice period 90 days
Long/Short commodities fund [Member]  
Fair Value, Investments, Entities that Calculate Net Asset Value Per Share [Line Items]  
Investment redemption notice period 30 days
Minimum [Member] | Secured debt fund [Member]  
Fair Value, Investments, Entities that Calculate Net Asset Value Per Share [Line Items]  
Liquidating investments remaining period 3 years
Minimum [Member] | Long/Short Equity Funds [Member]  
Fair Value, Investments, Entities that Calculate Net Asset Value Per Share [Line Items]  
Investment redemption notice period 30 days
Maximum [Member] | Secured debt fund [Member]  
Fair Value, Investments, Entities that Calculate Net Asset Value Per Share [Line Items]  
Liquidating investments remaining period 8 years
Maximum [Member] | Long/Short Equity Funds [Member]  
Fair Value, Investments, Entities that Calculate Net Asset Value Per Share [Line Items]  
Investment redemption notice period 90 days
Maximum [Member] | Long/Short commodities fund [Member]  
Fair Value, Investments, Entities that Calculate Net Asset Value Per Share [Line Items]  
Payment period for redemption of LP valued at NAV 30 days