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Assets and Liabilities, at Fair Value (Tables)
3 Months Ended
Dec. 31, 2020
Fair Value Disclosures [Abstract]  
Fair Value, Assets Measured on Recurring Basis
The following table sets forth the Company’s financial and nonfinancial assets and liabilities accounted for at fair value, on a recurring basis, as of December 31, 2020 by level in the fair value hierarchy. Except as disclosed in Note 6, there were no assets or liabilities that were measured at fair value on a nonrecurring basis as of December 31, 2020.
 December 31, 2020
(in millions)Level 1Level 2Level 3Netting (1)Total
Assets:
Certificates of deposit $3.2 $— $— $— $3.2 
Money market mutual funds12.2 — — — 12.2 
Cash and cash equivalents15.4 — — — 15.4 
Commodities warehouse receipts1.8 — — — 1.8 
U.S. Treasury obligations0.2 — — — 0.2 
Securities and other assets segregated under federal and other regulations2.0 — — — 2.0 
U.S. Treasury obligations1,197.0 — — — 1,197.0 
To be announced ("TBA") and forward settling securities — 28.2 — (0.1)28.1 
Foreign government obligations8.7 — — — 8.7 
Derivatives1,765.9 426.3 — (2,232.1)(39.9)
Deposits with and receivables from broker-dealers, clearing organizations and counterparties, net2,971.6 454.5 — (2,232.2)1,193.9 
Receivables from clients - Derivatives— 351.9 (349.7)2.2 
Equity securities 356.0 10.1 — — 366.1 
Corporate and municipal bonds— 85.7 — — 85.7 
U.S. Treasury obligations313.9 — — — 313.9 
U.S. government agency obligations— 298.3 — — 298.3 
Foreign government obligations2.6 — — — 2.6 
Agency mortgage-backed obligations— 1,522.8 — — 1,522.8 
Asset-backed obligations— 34.0 — — 34.0 
Derivatives0.6 597.5 — (471.2)126.9 
Commodities leases— 27.3 — — 27.3 
Commodities warehouse receipts 55.0 — — — 55.0 
Exchange firm common stock 11.0 — — — 11.0 
Mutual funds and other8.8 — — — 8.8 
Financial instruments owned747.9 2,575.7 — (471.2)2,852.4 
Physical commodities inventory21.1 278.4 — — 299.5 
Total assets at fair value$3,758.0 $3,660.5 $— $(3,053.1)$4,365.4 
Liabilities:
Accounts payable and other accrued liabilities - contingent liabilities$— $— $1.3 $— $1.3 
Payables to clients - Derivatives1,759.8 486.9 (2,368.0)(121.3)
TBA and forward settling securities — 30.8 — (0.1)30.7 
Derivatives— 217.3 — (217.4)(0.1)
Payable to broker-dealers, clearing organizations and counterparties— 248.1 — (217.5)30.6 
Equity securities 317.2 1.7 — — 318.9 
Corporate and municipal bonds— 10.8 — — 10.8 
U.S. Treasury obligations249.4 — — — 249.4 
U.S. government agency obligations— 3.5 — — 3.5 
Agency mortgage-backed obligations— 3.1 — — 3.1 
Derivatives— 421.7 — (181.9)239.8 
Commodities leases— 1.9 — — 1.9 
Financial instruments sold, not yet purchased566.6 442.7 — (181.9)827.4 
Total liabilities at fair value $2,326.4 $1,177.7 $1.3 $(2,767.4)$738.0 
(1)Represents cash collateral and the impact of netting across the levels of the fair value hierarchy. Netting among positions classified within the same level is included in that level.
The following table sets forth the Company’s financial and nonfinancial assets and liabilities accounted for at fair value, on a recurring basis, as of September 30, 2020 by level in the fair value hierarchy. Except as disclosed in Note 6, there were no assets or liabilities that were measured at fair value on a nonrecurring basis as of September 30, 2020.
 September 30, 2020
(in millions)Level 1Level 2Level 3Netting (1)Total
Assets:
Certificates of deposit $3.2 $— $— $— $3.2 
Money market mutual funds12.8 — — — 12.8 
Cash and cash equivalents16.0 — — — 16.0 
Commodities warehouse receipts2.4 — — — 2.4 
U.S. Treasury obligations0.2 — — — 0.2 
Securities and other assets segregated under federal and other regulations2.6 — — — 2.6 
U.S. Treasury obligations1,941.3 — — — 1,941.3 
TBA and forward settling securities — 31.0 — (11.8)19.2 
Foreign government obligations8.0 — — — 8.0 
Derivatives1,949.0 395.8 — (2,537.5)(192.7)
Deposits with and receivables from broker-dealers, clearing organizations and counterparties, net3,898.3 426.8 — (2,549.3)1,775.8 
Receivables from clients - Derivatives— 235.6 (234.1)1.5 
Equity securities 254.9 9.4 — — 264.3 
Corporate and municipal bonds— 66.9 — — 66.9 
U.S. Treasury obligations419.9 — — — 419.9 
U.S. government agency obligations— 293.4 — — 293.4 
Foreign government obligations2.5 — — — 2.5 
Agency mortgage-backed obligations— 1,384.6 — — 1,384.6 
Asset-backed obligations— 33.0 — — 33.0 
Derivatives0.7 652.3 — (535.6)117.4 
Commodities leases— 24.9 — — 24.9 
Commodities warehouse receipts 103.2 — — — 103.2 
Exchange firm common stock 10.1 — — — 10.1 
Mutual funds and other7.5 — — — 7.5 
Financial instruments owned798.8 2,464.5 — (535.6)2,727.7 
Physical commodities inventory26.8 188.9 — — 215.7 
Total assets at fair value$4,742.5 $3,315.8 $— $(3,319.0)$4,739.3 
Liabilities:
Accounts payable and other accrued liabilities - contingent liabilities$— $— $1.5 $— $1.5 
Payables to clients - Derivatives2,000.8 176.4 (2,399.9)(222.7)
TBA and forward settling securities — 22.0 — (11.8)10.2 
Derivatives— 306.7 — (302.2)4.5 
Payable to broker-dealers, clearing organizations and counterparties— 328.7 — (314.0)14.7 
Equity securities 218.0 14.9 — — 232.9 
Corporate and municipal bonds— 22.5 — — 22.5 
U.S. Treasury obligations247.5 — — — 247.5 
U.S. government agency obligations— 0.1 — — 0.1 
Agency mortgage-backed obligations— 5.1 — — 5.1 
Derivatives— 563.6 — (386.8)176.8 
Commodities leases— 1.1 — — 1.1 
Financial instruments sold, not yet purchased465.5 607.3 — (386.8)686.0 
Total liabilities at fair value $2,466.3 $1,112.4 $1.5 $(3,100.7)$479.5 
(1)Represents cash collateral and the impact of netting across the levels of the fair value hierarchy. Netting among positions classified within the same level is included in that level.