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Assets and Liabilities, at Fair Value (Tables)
6 Months Ended
Mar. 31, 2022
Fair Value Disclosures [Abstract]  
Fair Value, Assets Measured on Recurring Basis
The following tables set forth the Company’s financial and nonfinancial assets and liabilities accounted for at fair value, on a recurring basis, as of March 31, 2022 and September 30, 2021 by level in the fair value hierarchy. All fair value measurements were performed on a recurring basis as of March 31, 2022 and September 30, 2021.
 March 31, 2022
(in millions)Level 1Level 2Level 3Netting (1)Total
Assets:
Certificates of deposit $6.7 $— $— $— $6.7 
Money market mutual funds43.4 — — — 43.4 
Cash and cash equivalents50.1 — — — 50.1 
Commodities warehouse receipts25.5 — — — 25.5 
U.S. Treasury obligations165.2 — — — 165.2 
Securities and other assets segregated under federal and other regulations190.7 — — — 190.7 
U.S. Treasury obligations814.4 — — — 814.4 
To be announced ("TBA") and forward settling securities — 152.2 — (58.8)93.4 
Foreign government obligations15.5 — — — 15.5 
Derivatives9,732.5 418.9 — (10,327.9)(176.5)
Deposits with and receivables from broker-dealers, clearing organizations and counterparties, net10,562.4 571.1 — (10,386.7)746.8 
Receivables from clients, net - Derivatives62.2 589.9 (667.6)(15.5)
Equity securities 1,016.6 219.4 — — 1,236.0 
Corporate and municipal bonds— 120.3 — — 120.3 
U.S. Treasury obligations176.2 — — — 176.2 
U.S. government agency obligations— 342.1 — — 342.1 
Agency mortgage-backed obligations— 1,989.2 — — 1,989.2 
Asset-backed obligations— 41.4 — — 41.4 
Derivatives0.8 1,079.7 — (908.2)172.3 
Commodities leases— 17.2 — — 17.2 
Commodities warehouse receipts 26.9 — — — 26.9 
Exchange firm common stock 14.3 — — — 14.3 
Mutual funds and other17.4 2.9 — — 20.3 
Financial instruments owned1,252.2 3,812.2 — (908.2)4,156.2 
Physical commodities inventory100.1 262.3 — — 362.4 
Total assets at fair value$12,217.7 $5,235.5 $— $(11,962.5)$5,490.7 
Liabilities:
Accounts payable and other accrued liabilities - contingent liabilities$— $— $1.5 $— $1.5 
Payables to clients - Derivatives9,702.3 269.4 — (10,517.8)(546.1)
TBA and forward settling securities — 120.3 — (58.0)62.3 
Derivatives89.4 377.0 — (476.7)(10.3)
Payable to broker-dealers, clearing organizations and counterparties89.4 497.3 — (534.7)52.0 
Equity securities 963.6 191.5 — — 1,155.1 
Corporate and municipal bonds— 78.2 — — 78.2 
U.S. Treasury obligations1,018.1 — — — 1,018.1 
U.S. government agency obligations— 3.6 — — 3.6 
Agency mortgage-backed obligations— 38.9 — — 38.9 
Derivatives4.3 1,256.3 — (800.5)460.1 
Cash flow hedges— 24.3 — — 24.3 
Other— 3.5 — — 3.5 
Financial instruments sold, not yet purchased1,986.0 1,596.3 — (800.5)2,781.8 
Total liabilities at fair value $11,777.7 $2,363.0 $1.5 $(11,853.0)$2,289.2 
(1)Represents cash collateral and the impact of netting across at each level of the fair value hierarchy.
 September 30, 2021
(in millions)Level 1Level 2Level 3Netting (1)Total
Assets:
Certificates of deposit $7.9 $— $— $— $7.9 
Money market mutual funds12.9 — — — 12.9 
Cash and cash equivalents20.8 — — — 20.8 
Commodities warehouse receipts13.9 — — — 13.9 
U.S. Treasury obligations0.2 — — — 0.2 
Securities and other assets segregated under federal and other regulations14.1 — — — 14.1 
U.S. Treasury obligations798.5 — — — 798.5 
TBA and forward settling securities — 59.1 — (40.1)19.0 
Foreign government obligations12.2 — — — 12.2 
Derivatives4,475.8 167.4 — (4,402.3)240.9 
Deposits with and receivables from broker-dealers, clearing organizations and counterparties, net5,286.5 226.5 — (4,442.4)1,070.6 
Receivables from clients, net - Derivatives— 413.7 (411.1)2.6 
Equity securities 512.4 14.6 — — 527.0 
Corporate and municipal bonds— 150.8 — — 150.8 
U.S. Treasury obligations433.1 — — — 433.1 
U.S. government agency obligations— 327.6 — — 327.6 
Agency mortgage-backed obligations— 2,599.8 — — 2,599.8 
Asset-backed obligations— 110.4 — — 110.4 
Derivatives0.6 644.1 — (500.4)144.3 
Commodities leases— 18.1 — — 18.1 
Commodities warehouse receipts 21.4 — — — 21.4 
Exchange firm common stock 11.6 — — — 11.6 
Mutual funds and other10.5 — — — 10.5 
Financial instruments owned989.6 3,865.4 — (500.4)4,354.6 
Physical commodities inventory111.2 248.7 — — 359.9 
Total assets at fair value$6,422.2 $4,754.3 $— $(5,353.9)$5,822.6 
Liabilities:
Accounts payable and other accrued liabilities - contingent liabilities$— $— $2.8 $— $2.8 
Payables to clients - Derivatives4,413.8 156.1 (4,278.4)291.5 
TBA and forward settling securities — 52.2 — (39.5)12.7 
Derivatives63.1 239.4 — (302.5)— 
Payable to broker-dealers, clearing organizations and counterparties63.1 291.6 — (342.0)12.7 
Equity securities 429.9 6.2 — — 436.1 
Corporate and municipal bonds— 51.1 — — 51.1 
U.S. Treasury obligations851.2 — — — 851.2 
Agency mortgage-backed obligations— 63.4 — — 63.4 
Derivatives3.2 700.3 — (335.0)368.5 
Commodities leases— 0.9 — — 0.9 
Financial instruments sold, not yet purchased1,284.3 821.9 — (335.0)1,771.2 
Total liabilities at fair value $5,761.2 $1,269.6 $2.8 $(4,955.4)$2,078.2 
(1)Represents cash collateral and the impact of netting across at each level of the fair value hierarchy.