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Variable Interest Entities - Assets and Liabilities Related to VIE Securitization Transactions (Details) - USD ($)
$ in Thousands
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Variable Interest Entity [Line Items]      
Cash and cash equivalents $ 1,107,484 $ 972,729 $ 858,220
Restricted cash 13,166 [1] 13,135 [1] $ 13,135
Due from affiliates 202,639 185,321  
Total assets 7,941,738 8,962,013  
Accrued interest 98,171 134,351  
Due to affiliates 139,863 826,999  
Secured borrowings, net [1] 245,259 244,950  
Total liabilities 4,202,232 1,700,572  
Variable Interest Entity, Primary Beneficiary      
Variable Interest Entity [Line Items]      
Cash and cash equivalents 33,612 24,719  
Restricted cash 13,166 13,135  
Participation rights receivable 475,110 492,276  
Due from affiliates 436 1,146  
Total assets 522,324 531,276  
Accrued interest 191 191  
Due to affiliates 280 22,470  
Secured borrowings, net 245,259 244,950  
Total liabilities $ 245,730 $ 267,611  
[1] The Company’s consolidated total assets and liabilities as of December 31, 2022 and December 31, 2021 include assets and liabilities of variable interest entities (“VIEs”). The assets can be used only to satisfy obligations of the VIEs, and the creditors of the VIEs have recourse only to these assets, and not to TPG Inc. These amounts include the assets and liabilities of consolidated Public SPACs, restricted cash, assets pledged of securitization vehicles, secured borrowings of securitization vehicles, and redeemable equity of consolidated Public SPACs. See Notes 2, 11 and 16 to the Consolidated Financial Statements.