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Assets and Liabilities, at Fair Value (Tables)
6 Months Ended
Mar. 31, 2023
Fair Value Disclosures [Abstract]  
Schedule of 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, 2023 and September 30, 2022 by level in the fair value hierarchy. All fair value measurements were performed on a recurring basis as of March 31, 2023 and September 30, 2022.
 March 31, 2023
(in millions)Level 1Level 2Level 3Netting (1)Total
Assets:
Certificates of deposit $15.8 $— $— $— $15.8 
Money market mutual funds66.1 — — — 66.1 
Cash and cash equivalents81.9 — — — 81.9 
Commodities warehouse receipts25.7 — — — 25.7 
U.S. Treasury obligations0.1 — — — 0.1 
Securities and other assets segregated under federal and other regulations25.8 — — — 25.8 
U.S. Treasury obligations4,153.3 — — — 4,153.3 
To be announced and forward settling securities — 55.4 — (41.1)14.3 
Foreign government obligations16.4 — — — 16.4 
Derivatives6,505.1 1,261.5 — (7,294.9)471.7 
Deposits with and receivables from broker-dealers, clearing organizations and counterparties, net10,674.8 1,316.9 — (7,336.0)4,655.7 
Receivables from clients, net - Derivatives50.8 495.4 — (543.9)2.3 
Equity securities 372.4 18.5 — — 390.9 
Corporate and municipal bonds— 196.8 — — 196.8 
U.S. Treasury obligations641.0 — — — 641.0 
U.S. government agency obligations— 334.1 — — 334.1 
Foreign government obligations4.1 — — — 4.1 
Agency mortgage-backed obligations— 3,021.4 — — 3,021.4 
Asset-backed obligations— 75.8 — — 75.8 
Derivatives0.6 901.5 — (616.7)285.4 
Commodities leases— 23.9 — — 23.9 
Commodities warehouse receipts 33.1 — — — 33.1 
Exchange firm common stock 11.5 — — — 11.5 
Cash flow hedges— 4.7 — — 4.7 
Mutual funds and other25.8 — 0.6 — 26.4 
Financial instruments owned1,088.5 4,576.7 0.6 (616.7)5,049.1 
Physical commodities inventory111.5 240.1 — — 351.6 
Total assets at fair value$12,033.3 $6,629.1 $0.6 $(8,496.6)$10,166.4 
Liabilities:
Accounts payable and other accrued liabilities$— $— $1.3 $— $1.3 
Payables to clients - Derivatives6,435.2 207.0 — (5,972.7)669.5 
TBA and forward settling securities — 72.5 — (37.5)35.0 
Derivatives109.9 1,505.4 — (1,616.2)(0.9)
Payable to broker-dealers, clearing organizations and counterparties109.9 1,577.9 — (1,653.7)34.1 
Equity securities 318.0 13.0 — — 331.0 
Foreign government obligations5.9 — — — 5.9 
Corporate and municipal bonds— 98.6 — — 98.6 
U.S. Treasury obligations1,830.6 — — — 1,830.6 
U.S. government agency obligations— 13.8 — — 13.8 
Agency mortgage-backed obligations— 40.8 — — 40.8 
Derivatives2.5 762.7 — (555.5)209.7 
Cash flow hedges— 38.5 — — 38.5 
Other— 0.8 1.2 — 2.0 
Financial instruments sold, not yet purchased2,157.0 968.2 1.2 (555.5)2,570.9 
Total liabilities at fair value $8,702.1 $2,753.1 $2.5 $(8,181.9)$3,275.8 
(1)Represents cash collateral and the impact of netting across at each level of the fair value hierarchy.
 September 30, 2022
(in millions)Level 1Level 2Level 3Netting (1)Total
Assets:
Certificates of deposit $4.0 $— $— $— $4.0 
Money market mutual funds39.5 — — — 39.5 
Cash and cash equivalents43.5 — — — 43.5 
Commodities warehouse receipts19.7 — — — 19.7 
U.S. Treasury obligations786.0 — — — 786.0 
Securities and other assets segregated under federal and other regulations805.7 — — — 805.7 
U.S. Treasury obligations4,258.5 — — — 4,258.5 
TBA and forward settling securities — 207.6 — (91.4)116.2 
Foreign government obligations14.4 — — — 14.4 
Derivatives7,714.4 461.4 — (9,747.7)(1,571.9)
Deposits with and receivables from broker-dealers, clearing organizations and counterparties, net11,987.3 669.0 — (9,839.1)2,817.2 
Receivables from clients, net - Derivatives67.2 511.6 (579.3)(0.5)
Equity securities 367.9 11.8 — — 379.7 
Corporate and municipal bonds— 156.8 — — 156.8 
U.S. Treasury obligations347.6 — — — 347.6 
U.S. government agency obligations— 343.0 — — 343.0 
Foreign government obligations4.8 — — — 4.8 
Agency mortgage-backed obligations— 2,588.7 — — 2,588.7 
Asset-backed obligations— 70.7 — — 70.7 
Derivatives0.7 694.3 — (502.4)192.6 
Commodities leases— 26.4 — — 26.4 
Commodities warehouse receipts 24.9 — — — 24.9 
Exchange firm common stock 10.6 — — — 10.6 
Mutual funds and other17.4 4.1 — — 21.5 
Financial instruments owned773.9 3,895.8 — (502.4)4,167.3 
Physical commodities inventory136.3 223.5 — — 359.8 
Total assets at fair value$13,813.9 $5,299.9 $— $(10,920.8)$8,193.0 
Liabilities:
Payables to clients - Derivatives7,722.5 175.4 (9,290.3)(1,392.4)
TBA and forward settling securities — 154.9 — (96.9)58.0 
Derivatives58.7 590.6 — (651.5)(2.2)
Payable to broker-dealers, clearing organizations and counterparties58.7 745.5 — (748.4)55.8 
Equity securities 299.9 5.7 — — 305.6 
Foreign government obligations0.5 — — — 0.5 
Corporate and municipal bonds— 63.2 — — 63.2 
U.S. Treasury obligations1,686.5 — — — 1,686.5 
U.S. government agency obligations— 24.3 — — 24.3 
Agency mortgage-backed obligations— 5.4 — — 5.4 
Derivatives— 779.7 — (466.3)313.4 
Cash flow hedges— 70.6 — — 70.6 
Other— 0.1 — — 0.1 
Financial instruments sold, not yet purchased1,986.9 949.0 — (466.3)2,469.6 
Total liabilities at fair value $9,768.1 $1,869.9 $— $(10,505.0)$1,133.0 
(1)Represents cash collateral and the impact of netting across at each level of the fair value hierarchy.