Quarterly report pursuant to Section 13 or 15(d)

FAIR VALUE MEASUREMENTS - Summary of Assets and Liabilities Measured at Fair Value on Recurring Basis (Detail)

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FAIR VALUE MEASUREMENTS - Summary of Assets and Liabilities Measured at Fair Value on Recurring Basis (Detail) - Bridge Investment Group Holdings LLC - Fair Value, Recurring - USD ($)
$ in Thousands
Sep. 30, 2022
Dec. 31, 2021
Assets    
Total assets at fair value $ 652,067 $ 491,589
Other    
Assets    
Total assets at fair value 7,364 4,321
General Partner notes payable    
Liabilities    
Total liabilities at fair value 9,786 12,003
Common shares in publicly traded company    
Assets    
Total assets at fair value 77  
Exchange traded funds    
Assets    
Total assets at fair value 1,374 1,171
Mutual funds    
Assets    
Total assets at fair value 8,058 6,864
Accrued performance allocations    
Assets    
Total assets at fair value 559,160 439,548
Partnership interests    
Assets    
Total assets at fair value 76,034 39,685
Level 1    
Assets    
Total assets at fair value 9,509 8,035
Level 1 | Other    
Assets    
Total assets at fair value 0 0
Level 1 | General Partner notes payable    
Liabilities    
Total liabilities at fair value 0 0
Level 1 | Common shares in publicly traded company    
Assets    
Total assets at fair value 77  
Level 1 | Exchange traded funds    
Assets    
Total assets at fair value 1,374 1,171
Level 1 | Mutual funds    
Assets    
Total assets at fair value 8,058 6,864
Level 1 | Accrued performance allocations    
Assets    
Total assets at fair value 0 0
Level 1 | Partnership interests    
Assets    
Total assets at fair value 0 0
Level 2    
Assets    
Total assets at fair value 0 0
Level 2 | Other    
Assets    
Total assets at fair value 0 0
Level 2 | General Partner notes payable    
Liabilities    
Total liabilities at fair value 0 0
Level 2 | Common shares in publicly traded company    
Assets    
Total assets at fair value 0  
Level 2 | Exchange traded funds    
Assets    
Total assets at fair value 0 0
Level 2 | Mutual funds    
Assets    
Total assets at fair value 0 0
Level 2 | Accrued performance allocations    
Assets    
Total assets at fair value 0 0
Level 2 | Partnership interests    
Assets    
Total assets at fair value 0 0
Level 3    
Assets    
Total assets at fair value 7,364 4,321
Level 3 | Other    
Assets    
Total assets at fair value 7,364 4,321
Level 3 | General Partner notes payable    
Liabilities    
Total liabilities at fair value 0 0
Level 3 | Common shares in publicly traded company    
Assets    
Total assets at fair value 0  
Level 3 | Exchange traded funds    
Assets    
Total assets at fair value 0 0
Level 3 | Mutual funds    
Assets    
Total assets at fair value 0 0
Level 3 | Accrued performance allocations    
Assets    
Total assets at fair value 0 0
Level 3 | Partnership interests    
Assets    
Total assets at fair value 0 0
Measured at NAV    
Assets    
Total assets at fair value 635,194 479,233
Measured at NAV | Other    
Assets    
Total assets at fair value 0 0
Measured at NAV | General Partner notes payable    
Liabilities    
Total liabilities at fair value 9,786 12,003
Measured at NAV | Common shares in publicly traded company    
Assets    
Total assets at fair value 0  
Measured at NAV | Exchange traded funds    
Assets    
Total assets at fair value 0 0
Measured at NAV | Mutual funds    
Assets    
Total assets at fair value 0 0
Measured at NAV | Accrued performance allocations    
Assets    
Total assets at fair value 559,160 439,548
Measured at NAV | Partnership interests    
Assets    
Total assets at fair value $ 76,034 $ 39,685