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Financial Assets and Liabilities at Fair Value (Detail) (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]    
Investment Funds $ 892,264 [1] $ 729,070 [1]
Equity Securities 341,612 [1] 345,787 [1]
Partnership and LLC Interests 593,738 [1] 492,911 [1]
Debt Instruments 920,847 [1] 607,059 [1]
Corporate Loans 11,053,513 [1] 7,895,148 [1]
Corporate Bonds 162,456 [1] 153,653 [1]
Freestanding Derivatives-Foreign Currency Contracts 37,898 [1] 22,016 [1]
Freestanding Derivatives-Interest Rate Contracts 6,132 [1] 7,270 [1]
Other 18,285 [1] 53,881 [1]
Investments of Consolidated Funds 14,026,745 [1] 10,306,795 [1]
Blackstone's Treasury Cash Management Strategies 1,411,680 685,859
Money Market Funds 129,549 257,423
Freestanding Derivatives, Assets 99,374 98,738
Loans and Receivables 30,663 8,555
Other Investments 46,124 28,390
Total Financial Assets 15,700,105 11,356,474
Senior Secured Notes 10,695,136 [1] 7,449,766 [1]
Subordinated Notes 846,471 [1] 630,236 [1]
Freestanding Derivatives-Foreign Currency Contracts 17,101 [1] 7,687 [1]
Freestanding Derivatives-Interest Rate Contracts 772 [1] 10,867 [1]
Securities Sold, Not Yet Purchased 226,425 143,825
Total Financial Liabilities 11,790,102 8,243,775
Interest Rate Contracts
   
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]    
Freestanding Derivatives, Assets 55,270 768
Freestanding Derivatives, Liabilities 4,116 1,291
Foreign Currency Contracts
   
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]    
Freestanding Derivatives, Assets 74 1,016
Freestanding Derivatives, Liabilities 81 103
Derivative Instruments Used As Fair Value Hedges
   
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]    
Derivative Instruments Used as Fair Value Hedges   67,668
Level 1
   
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]    
Equity Securities 95,898 [1] 113,007 [1]
Partnership and LLC Interests 212 [1]  
Other   28,900 [1]
Investments of Consolidated Funds 96,110 [1] 141,907 [1]
Blackstone's Treasury Cash Management Strategies 672,766 176,297
Money Market Funds 129,549 257,423
Other Investments 12,443 8,066
Total Financial Assets 911,354 583,852
Total Financial Liabilities 277 1,105
Level 1 | Interest Rate Contracts
   
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]    
Freestanding Derivatives, Assets 486 159
Freestanding Derivatives, Liabilities 277 1,105
Level 2
   
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]    
Investment Funds 1,799 [1] 5,119 [1]
Equity Securities 28,654 [1] 608 [1]
Partnership and LLC Interests 12,375 [1]  
Debt Instruments 903,123 [1] 594,276 [1]
Corporate Loans 9,775,070 [1] 7,259,204 [1]
Corporate Bonds 146,625 [1] 150,653 [1]
Freestanding Derivatives-Foreign Currency Contracts 37,898 [1] 22,016 [1]
Freestanding Derivatives-Interest Rate Contracts 6,132 [1] 7,270 [1]
Other 1,260 [1] 21,973 [1]
Investments of Consolidated Funds 10,912,936 [1] 8,061,119 [1]
Blackstone's Treasury Cash Management Strategies 737,708 509,362
Other Investments 6,783 360
Total Financial Assets 11,712,285 8,640,134
Freestanding Derivatives-Foreign Currency Contracts 17,101 [1] 7,687 [1]
Freestanding Derivatives-Interest Rate Contracts 772 [1] 10,867 [1]
Securities Sold, Not Yet Purchased 226,425 143,825
Total Financial Liabilities 248,218 162,668
Level 2 | Interest Rate Contracts
   
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]    
Freestanding Derivatives, Assets 54,784 609
Freestanding Derivatives, Liabilities 3,839 186
Level 2 | Foreign Currency Contracts
   
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]    
Freestanding Derivatives, Assets 74 1,016
Freestanding Derivatives, Liabilities 81 103
Level 2 | Derivative Instruments Used As Fair Value Hedges
   
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]    
Derivative Instruments Used as Fair Value Hedges   67,668
Level 3
   
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]    
Investment Funds 890,465 [1] 723,951 [1]
Equity Securities 217,060 [1] 232,172 [1]
Partnership and LLC Interests 581,151 [1] 492,911 [1]
Debt Instruments 17,724 [1] 12,783 [1]
Corporate Loans 1,278,443 [1] 635,944 [1]
Corporate Bonds 15,831 [1] 3,000 [1]
Other 17,025 [1] 3,008 [1]
Investments of Consolidated Funds 3,017,699 [1] 2,103,769 [1]
Blackstone's Treasury Cash Management Strategies 1,206 200
Loans and Receivables 30,663 8,555
Other Investments 26,898 19,964
Total Financial Assets 3,076,466 2,132,488
Senior Secured Notes 10,695,136 [1] 7,449,766 [1]
Subordinated Notes 846,471 [1] 630,236 [1]
Total Financial Liabilities $ 11,541,607 $ 8,080,002
[1] Pursuant to GAAP consolidation guidance, the Partnership is required to consolidate all VIEs in which it has been identified as the primary beneficiary, including certain CLO vehicles and other funds in which a consolidated entity of the Partnership, as the general partner of the fund, is presumed to have control. While the Partnership is required to consolidate certain funds, including CLO vehicles, for GAAP purposes, the Partnership has no ability to utilize the assets of these funds and there is no recourse to the Partnership for their liabilities since these are client assets and liabilities.