Summary of Variable Interest Entities |
The table below presents a summary of amounts related to our consolidated investment funds and joint ventures, which we determined meet the definition of a variable interest entity (“VIE”), as of:
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June 30, 2024 (1)
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December 31, 2023 (1)
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Investment Funds |
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Other VIEs |
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Total VIEs |
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Investment Funds |
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Other VIEs |
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Total VIEs |
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Cash and cash equivalents |
$ |
2,362 |
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$ |
3,421 |
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$ |
5,783 |
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$ |
5,099 |
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$ |
16,780 |
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$ |
21,879 |
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Accounts receivable, net |
— |
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1,308 |
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1,308 |
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— |
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1,977 |
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1,977 |
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Costs and estimated earnings in excess of billings |
2,417 |
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16,380 |
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18,797 |
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662 |
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13,409 |
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14,071 |
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Prepaid expenses and other current assets |
20 |
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2,671 |
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2,691 |
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33 |
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3,749 |
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3,782 |
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Total VIE current assets |
4,799 |
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23,780 |
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28,579 |
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5,794 |
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35,915 |
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41,709 |
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Property and equipment, net |
— |
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— |
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— |
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— |
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267 |
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267 |
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Energy assets, net |
77,425 |
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85,066 |
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162,491 |
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79,104 |
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173,808 |
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252,912 |
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Operating lease assets |
4,668 |
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— |
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4,668 |
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4,748 |
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12,908 |
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17,656 |
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Restricted cash, non-current portion |
73 |
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— |
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73 |
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73 |
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— |
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73 |
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Other assets |
10 |
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558 |
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568 |
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10 |
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74 |
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84 |
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Total VIE assets |
$ |
86,975 |
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$ |
109,404 |
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$ |
196,379 |
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$ |
89,729 |
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$ |
222,972 |
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$ |
312,701 |
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Current portions of long-term debt and financing lease liabilities |
$ |
2,174 |
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$ |
— |
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$ |
2,174 |
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$ |
2,190 |
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$ |
132,427 |
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$ |
134,617 |
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Accounts payable |
1,379 |
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11,635 |
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13,014 |
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1,440 |
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6,490 |
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7,930 |
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Accrued expenses and other current liabilities |
222 |
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5,533 |
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5,755 |
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241 |
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22,780 |
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23,021 |
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Current portions of operating lease liabilities |
142 |
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— |
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142 |
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133 |
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6,953 |
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7,086 |
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Total VIE current liabilities |
3,917 |
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17,168 |
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21,085 |
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4,004 |
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168,650 |
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172,654 |
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Long-term debt and financing lease liabilities, net of current portion, unamortized discount and debt issuance costs |
16,594 |
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— |
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16,594 |
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17,167 |
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— |
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17,167 |
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Long-term operating lease liabilities, net of current portion |
5,010 |
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— |
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5,010 |
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5,063 |
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3,823 |
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8,886 |
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Other liabilities |
382 |
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— |
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382 |
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356 |
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— |
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356 |
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Total VIE liabilities |
$ |
25,903 |
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$ |
17,168 |
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$ |
43,071 |
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$ |
26,590 |
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$ |
172,473 |
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$ |
199,063 |
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(1) The amounts in the above table are reflected in Note 1 on our condensed consolidated balance sheets.
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