0001104659-14-059214.txt : 20140812 0001104659-14-059214.hdr.sgml : 20140812 20140811104429 ACCESSION NUMBER: 0001104659-14-059214 CONFORMED SUBMISSION TYPE: 10-Q PUBLIC DOCUMENT COUNT: 10 CONFORMED PERIOD OF REPORT: 20140630 FILED AS OF DATE: 20140811 DATE AS OF CHANGE: 20140811 FILER: COMPANY DATA: COMPANY CONFORMED NAME: INVESTMENT TECHNOLOGY GROUP, INC. CENTRAL INDEX KEY: 0000920424 STANDARD INDUSTRIAL CLASSIFICATION: SECURITY BROKERS, DEALERS & FLOTATION COMPANIES [6211] IRS NUMBER: 952848406 FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 10-Q SEC ACT: 1934 Act SEC FILE NUMBER: 001-32722 FILM NUMBER: 141029353 BUSINESS ADDRESS: STREET 1: ONE LIBERTY PLAZA STREET 2: 165 BROADWAY CITY: NEW YORK STATE: NY ZIP: 10006 BUSINESS PHONE: (212) 588-4000 MAIL ADDRESS: STREET 1: ONE LIBERTY PLAZA STREET 2: 165 BROADWAY CITY: NEW YORK STATE: NY ZIP: 10006 FORMER COMPANY: FORMER CONFORMED NAME: INVESTMENT TECHNOLOGY GROUP INC DATE OF NAME CHANGE: 19940316 10-Q 1 a14-14126_110q.htm 10-Q

Table of Contents

 

 

 

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

WASHINGTON, D.C. 20549

 

FORM 10-Q

 

(Mark One)

 

x      QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

 

for the fiscal period ended June 30, 2014

 

o         TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

 

for the transition period from          to          

 

Commission File Number 001-32722

 

INVESTMENT TECHNOLOGY GROUP, INC.

(Exact Name of Registrant as Specified in Its Charter)

 

Delaware

 

95 - 2848406

(State or Other Jurisdiction of Incorporation or
Organization)

 

(I.R.S. Employer Identification No.)

 

165 Broadway, New York, New York

 

10006

(Address of Principal Executive Offices)

 

(Zip Code)

 

(212) 588 - 4000

(Registrant’s Telephone Number, Including Area Code)

 

Indicate by check mark whether the registrant (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days.  Yes x  No o

 

Indicate by check mark whether the registrant has submitted electronically and posted on its corporate Web site, if any, every Interactive Data File required to be submitted and posted pursuant to Rule 405 of Regulation S-T (§ 232.405 of this chapter) during the preceding 12 months (or for such shorter period that the registrant was required to submit and post such files).  Yes x  No o

 

Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer, or a smaller reporting company. See definitions of “large accelerated filer,” “accelerated filer,” and “smaller reporting company” in Rule 12b-2 of the Exchange Act.:

 

Large accelerated filer o

 

Accelerated filer x

 

 

 

Non-accelerated filer o

 

Smaller reporting company o

(Do not check if a smaller reporting company)

 

 

 

Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Exchange Act)  Yes o  No x

 

At July 15, 2014, the Registrant had 35,249,940 shares of common stock, $0.01 par value, outstanding.

 

 

 



Table of Contents

 

QUARTERLY REPORT ON FORM 10-Q

 

TABLE OF CONTENTS

 

 

 

Page

 

 

 

 

PART I. — Financial Information

 

 

 

 

Item 1.

Financial Statements

 

 

 

 

 

Condensed Consolidated Statements of Financial Condition: June 30, 2014 (unaudited) and December 31, 2013

3

 

 

 

 

Condensed Consolidated Statements of Income (unaudited): Three and Six Months Ended June 30, 2014 and 2013

4

 

 

 

 

Condensed Consolidated Statements of Comprehensive Income (unaudited): Three and Six Months Ended June 30, 2014 and 2013

5

 

 

 

 

Condensed Consolidated Statement of Changes in Stockholders’ Equity (unaudited): Three and Six Months Ended June 30, 2014

6

 

 

 

 

Condensed Consolidated Statements of Cash Flows (unaudited): Six Months Ended June 30, 2014 and 2013

7

 

 

 

 

Notes to Condensed Consolidated Financial Statements (unaudited)

8

 

 

 

Item 2.

Management’s Discussion and Analysis of Financial Condition and Results of Operations

19

 

 

 

Item 3.

Quantitative and Qualitative Disclosures About Market Risk

33

 

 

 

Item 4.

Controls and Procedures

33

 

 

 

 

PART II. — Other Information

 

 

 

 

Item 1.

Legal Proceedings

33

 

 

 

Item 1A.

Risk Factors

33

 

 

 

Item 2.

Unregistered Sales of Equity Securities and Use of Proceeds

34

 

 

 

Item 3.

Defaults Upon Senior Securities

34

 

 

 

Item 4.

Mine Safety Disclosures

34

 

 

 

Item 5.

Other Information

34

 

 

 

Item 6.

Exhibits

35

 

 

 

 

Signature

36

 

Investment Technology Group, ITG, AlterNet, ITG Net, MATCH Now, POSIT and POSIT Alert are registered trademarks of the Investment Technology Group, Inc. companies. ITG Derivatives is a trademark of the Investment Technology Group, Inc. companies.

 

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Table of Contents

 

PRELIMINARY NOTES

 

When we use the terms “ITG,” the “Company,” “we,” “us” and “our,” we mean Investment Technology Group, Inc. and its consolidated subsidiaries.

 

FORWARD-LOOKING STATEMENTS

 

In addition to the historical information contained throughout this Quarterly Report on Form 10-Q, there are forward-looking statements within the meaning of Section 27A of the Securities Act of 1933, as amended (the “Securities Act”), Section 21E of the Securities Exchange Act of 1934, as amended (the “Exchange Act”) and the Private Securities Litigation Reform Act of 1995. All statements regarding our expectations related to our future financial position, results of operations, revenues, cash flows, dividends, financing plans, business and product strategies, competitive positions, as well as the plans and objectives of management for future operations, and all expectations concerning securities markets, client trading and economic trends are forward-looking statements. In some cases, you can identify these statements by forward-looking words such as “may,” “might,” “will,” “should,” “expect,” “plan,” “anticipate,” “believe,” “estimate,” “predict,” “potential” or “continue” and the negative of these terms and other comparable terminology.

 

Although we believe our expectations reflected in such forward-looking statements are based on reasonable assumptions and beliefs, and on information currently available to our management, there can be no assurance that such expectations will prove to have been correct. Important factors that could cause actual results to differ materially from the expectations reflected in the forward-looking statements herein include, among others, general economic, business, credit and financial market conditions, both internationally and domestically, financial market volatility, fluctuations in market trading volumes, effects of inflation, adverse changes or volatility in interest rates, fluctuations in foreign exchange rates, evolving industry regulations and regulatory scrutiny, changes in tax policy or accounting rules, the actions of both current and potential new competitors, changes in commission pricing, rapid changes in technology, errors or malfunctions in our systems or technology, cash flows into or redemptions from equity mutual funds, ability to meet liquidity requirements related to the clearing of our customers’ trades, customer trading patterns, the success of our products and service offerings, our ability to continue to innovate and meet the demands of our customers for new or enhanced products, our ability to successfully integrate companies we have acquired and our ability to attract and retain talented employees.

 

Certain of these factors, and other factors, are more fully discussed in Item 1A, Risk Factors, Item 7, Management’s Discussion and Analysis of Financial Condition and Results of Operations, and Item 7A, Quantitative and Qualitative Disclosures about Market Risk, in our Annual Report on Form 10-K for the year ended December 31, 2013 (as amended), which you are encouraged to read.  Our 2013 Annual Report on Form 10-K (as amended) is also available through our website at http://investor.itg.com under “SEC Filings.”

 

We disclaim any duty to update any of these forward-looking statements after the filing of this report to conform our prior statements to actual results or revised expectations and we do not intend to do so. These forward-looking statements should not be relied upon as representing our views as of any date subsequent to the filing of this report.

 

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Table of Contents

 

PART I. — FINANCIAL INFORMATION

 

Item 1. Financial Statements

 

INVESTMENT TECHNOLOGY GROUP, INC. AND SUBSIDIARIES

Condensed Consolidated Statements of Financial Condition

(In thousands, except share amounts)

 

 

 

June 30,

 

December 31,

 

 

 

2014

 

2013

 

 

 

(unaudited)

 

 

 

Assets

 

 

 

 

 

Cash and cash equivalents

 

$

239,115

 

$

261,897

 

Cash restricted or segregated under regulations and other

 

72,761

 

71,202

 

Deposits with clearing organizations

 

43,476

 

74,771

 

Securities owned, at fair value

 

14,173

 

7,436

 

Receivables from brokers, dealers and clearing organizations

 

1,740,800

 

1,018,342

 

Receivables from customers

 

1,336,535

 

591,004

 

Premises and equipment, net

 

62,306

 

66,171

 

Capitalized software, net

 

38,015

 

37,892

 

Intangibles, net

 

28,832

 

31,201

 

Income taxes receivable

 

81

 

54

 

Deferred taxes

 

29,278

 

34,130

 

Other assets

 

24,619

 

15,787

 

Total assets

 

$

3,629,991

 

$

2,209,887

 

 

 

 

 

 

 

Liabilities and Stockholders’ Equity

 

 

 

 

 

Liabilities:

 

 

 

 

 

Accounts payable and accrued expenses

 

$

175,882

 

$

175,931

 

Short-term bank loans

 

141,654

 

73,539

 

Payables to brokers, dealers and clearing organizations

 

1,709,697

 

1,025,268

 

Payables to customers

 

1,134,612

 

469,264

 

Securities sold, not yet purchased, at fair value

 

9,108

 

2,953

 

Income taxes payable

 

13,990

 

14,805

 

Deferred taxes

 

9

 

363

 

Term debt

 

24,081

 

30,332

 

Total liabilities

 

3,209,033

 

1,792,455

 

Commitments and contingencies

 

 

 

 

 

Stockholders’ Equity:

 

 

 

 

 

Preferred stock, $0.01 par value; 1,000,000 shares authorized; no shares issued or outstanding

 

 

 

Common stock, $0.01 par value; 100,000,000 shares authorized; 52,191,351 and 52,158,374 shares issued at June 30, 2014 and December 31, 2013, respectively

 

522

 

522

 

Additional paid-in capital

 

233,768

 

240,057

 

Retained earnings

 

463,116

 

436,570

 

Common stock held in treasury, at cost; 16,944,029 and 16,005,500 shares at June 30, 2014 and December 31, 2013, respectively

 

(287,166

)

(268,253

)

Accumulated other comprehensive income (net of tax)

 

10,718

 

8,536

 

Total stockholders’ equity

 

420,958

 

417,432

 

Total liabilities and stockholders’ equity

 

$

3,629,991

 

$

2,209,887

 

 

See accompanying notes to unaudited condensed consolidated financial statements.

 

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INVESTMENT TECHNOLOGY GROUP, INC. AND SUBSIDIARIES

Condensed Consolidated Statements of Income (unaudited)

(In thousands, except per share amounts)

 

 

 

Three Months Ended
June 30,

 

Six Months Ended
June 30,

 

 

 

2014

 

2013

 

2014

 

2013

 

Revenues:

 

 

 

 

 

 

 

 

 

Commissions and fees

 

$

106,453

 

$

108,868

 

$

214,877

 

$

211,876

 

Recurring

 

24,975

 

26,283

 

50,552

 

51,623

 

Other

 

7,038

 

4,142

 

10,646

 

7,844

 

Total revenues

 

138,466

 

139,293

 

276,075

 

271,343

 

 

 

 

 

 

 

 

 

 

 

Expenses:

 

 

 

 

 

 

 

 

 

Compensation and employee benefits

 

52,720

 

51,202

 

103,897

 

100,751

 

Transaction processing

 

20,109

 

22,499

 

40,605

 

44,031

 

Occupancy and equipment

 

14,985

 

20,720

 

30,063

 

37,261

 

Telecommunications and data processing services

 

12,655

 

13,718

 

25,352

 

27,816

 

Other general and administrative

 

20,715

 

19,760

 

39,820

 

38,536

 

Restructuring charges

 

 

(75

)

 

(75

)

Interest expense

 

594

 

699

 

1,230

 

1,301

 

Total expenses

 

121,778

 

128,523

 

240,967

 

249,621

 

Income before income tax expense

 

16,688

 

10,770

 

35,108

 

21,722

 

Income tax expense

 

3,762

 

5,684

 

8,562

 

8,014

 

Net income

 

$

12,926

 

$

5,086

 

$

26,546

 

$

13,708

 

 

 

 

 

 

 

 

 

 

 

Income per share:

 

 

 

 

 

 

 

 

 

Basic

 

$

0.36

 

$

0.14

 

$

0.74

 

$

0.37

 

Diluted

 

$

0.35

 

$

0.13

 

$

0.72

 

$

0.36

 

 

 

 

 

 

 

 

 

 

 

Basic weighted average number of common shares outstanding

 

35,720

 

36,956

 

35,900

 

37,166

 

Diluted weighted average number of common shares outstanding

 

36,641

 

38,000

 

36,933

 

38,371

 

 

See accompanying notes to unaudited condensed consolidated financial statements.

 

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INVESTMENT TECHNOLOGY GROUP, INC. AND SUBSIDIARIES

Condensed Consolidated Statements of Comprehensive Income (unaudited)

(In thousands)

 

 

 

Three Months Ended
June 30,

 

Six Months Ended
June 30,

 

 

 

2014

 

2013

 

2014

 

2013

 

 

 

 

 

 

 

 

 

 

 

Net income

 

$

12,926

 

$

5,086

 

$

26,546

 

$

13,708

 

Other comprehensive income (loss), net of tax:

 

 

 

 

 

 

 

 

 

Currency translation adjustment

 

4,147

 

(3,406

)

2,182

 

(8,700

)

Other comprehensive income (loss)

 

4,147

 

(3,406

)

2,182

 

(8,700

)

Comprehensive income

 

$

17,073

 

$

1,680

 

$

28,728

 

$

5,008

 

 

See accompanying notes to unaudited condensed consolidated financial statements.

 

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INVESTMENT TECHNOLOGY GROUP, INC. AND SUBSIDIARIES

Condensed Consolidated Statement of Changes in Stockholders’ Equity (unaudited)

Six Months Ended June 30, 2014

(In thousands, except share amounts)

 

 

 

Preferred
Stock

 

Common
Stock

 

Additional
Paid-in
Capital

 

Retained
Earnings

 

Common
Stock
Held in
Treasury

 

Accumulated
Other
Comprehensive
Income

 

Total
Stockholders’
Equity

 

Balance at January 1, 2014

 

$

 

$

522

 

$

240,057

 

$

436,570

 

$

(268,253

)

$

8,536

 

$

417,432

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net income

 

 

 

 

26,546

 

 

 

26,546

 

Other comprehensive income

 

 

 

 

 

 

2,182

 

2,182

 

Issuance of common stock for restricted share awards (891,539 shares), including a net excess tax benefit of $0.3 million

 

 

 

(14,211

)

 

14,560

 

 

349

 

Issuance of common stock for the employee stock purchase plan (32,977 shares)

 

 

 

432

 

 

 

 

432

 

Shares withheld for net settlement of share-based awards (315,431 shares)

 

 

 

 

 

(6,426

)

 

(6,426

)

Purchase of common stock for treasury (1,514,637 shares)

 

 

 

 

 

(27,047

)

 

(27,047

)

Share-based compensation

 

 

 

7,490

 

 

 

 

7,490

 

Balance at June 30, 2014

 

$

 

$

522

 

$

233,768

 

$

463,116

 

$

(287,166

)

$

10,718

 

$

420,958

 

 

See accompanying notes to unaudited condensed consolidated financial statements.

 

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INVESTMENT TECHNOLOGY GROUP, INC. AND SUBSIDIARIES

Condensed Consolidated Statements of Cash Flows (unaudited)

(In thousands)

 

 

 

Six Months Ended June 30,

 

 

 

2014

 

2013

 

Cash flows from Operating Activities:

 

 

 

 

 

Net income

 

$

26,546

 

$

13,708

 

Adjustments to reconcile net income to net cash provided by (used in) operating activities

 

 

 

 

 

Depreciation and amortization

 

25,865

 

26,898

 

Deferred income tax expense

 

3,859

 

579

 

Provision for doubtful accounts

 

276

 

(435

)

Share-based compensation

 

8,334

 

10,132

 

Non-cash restructuring charges

 

 

357

 

Fixed asset disposal

 

 

649

 

Changes in operating assets and liabilities:

 

 

 

 

 

Cash restricted or segregated under regulations and other

 

(424

)

(4,331

)

Deposits with clearing organizations

 

31,295

 

4,930

 

Securities owned, at fair value

 

(6,764

)

2,909

 

Receivables from brokers, dealers and clearing organizations

 

(690,374

)

(82,533

)

Receivables from customers

 

(706,514

)

(624,406

)

Accounts payable and accrued expenses

 

(2,215

)

8,270

 

Payables to brokers, dealers and clearing organizations

 

653,266

 

253,467

 

Payables to customers

 

631,104

 

432,803

 

Securities sold, not yet purchased, at fair value

 

6,179

 

(2,539

)

Income taxes receivable/payable

 

164

 

14,539

 

Excess tax benefit from share-based payment arrangements

 

(1,007

)

(207

)

Other, net

 

(8,448

)

(5,922

)

Net cash (used in) provided by operating activities

 

(28,858

)

48,868

 

 

 

 

 

 

 

Cash flows from Investing Activities:

 

 

 

 

 

Investment in unconsolidated affiliates

 

 

(474

)

Capital purchases

 

(5,994

)

(20,574

)

Capitalization of software development costs

 

(13,633

)

(11,836

)

Net cash used in investing activities

 

(19,627

)

(32,884

)

 

 

 

 

 

 

Cash flows from Financing Activities:

 

 

 

 

 

Repayments of long term debt

 

(6,251

)

(3,712

)

Proceeds from borrowing under short-term bank loans

 

68,115

 

7,957

 

Proceeds from sales-leaseback transaction

 

 

18,157

 

Excess tax benefit from share-based payment arrangements

 

1,007

 

207

 

Common stock issued

 

445

 

497

 

Common stock repurchased

 

(27,047

)

(17,938

)

Shares withheld for net settlements of share-based awards

 

(6,426

)

(3,617

)

Net cash provided by financing activities

 

29,843

 

1,551

 

 

 

 

 

 

 

Effect of exchange rate changes on cash and cash equivalents

 

(4,140

)

(4,376

)

Net (decrease) increase in cash and cash equivalents

 

(22,782

)

13,159

 

Cash and cash equivalents — beginning of year

 

261,897

 

245,875

 

Cash and cash equivalents — end of period

 

$

239,115

 

$

259,034

 

 

 

 

 

 

 

Supplemental cash flow information

 

 

 

 

 

Interest paid

 

$

1,866

 

$

1,552

 

Income taxes paid (refunded)

 

$

4,629

 

$

(7,149

)

 

See accompanying notes to unaudited condensed consolidated financial statements.

 

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INVESTMENT TECHNOLOGY GROUP, INC. AND SUBSIDIARIES

 

Notes to Condensed Consolidated Financial Statements (unaudited)

 

(1) Organization and Basis of Presentation

 

Investment Technology Group, Inc. was formed as a Delaware corporation on July 22, 1983. Its principal subsidiaries include: (1) ITG Inc., AlterNet Securities, Inc. (“AlterNet”) and ITG Derivatives LLC (“ITG Derivatives”), institutional broker-dealers in the United States (“U.S.”), (2) Investment Technology Group Limited (“ITGL”), an institutional broker-dealer in Europe, (3) ITG Australia Limited, an institutional broker-dealer in Australia, (4) ITG Canada Corp., an institutional broker-dealer in Canada, (5) ITG Hong Kong Limited, an institutional broker-dealer in Hong Kong, (6) ITG Software Solutions, Inc., our intangible property, software development and maintenance subsidiary in the U.S., and (7) ITG Solutions Network, Inc., a holding company for ITG Analytics, Inc., a provider of pre- and post-trade analysis, fair value and trade optimization services, ITG Investment Research, Inc., a provider of independent data-driven investment research, and ITG Platforms Inc., a provider of trade order and execution management technology and network connectivity services for the financial community.

 

ITG is an independent execution and research broker that partners with global portfolio managers and traders to provide unique data-driven insights throughout the investment process. From investment decision through to settlement, ITG helps clients understand market trends, improve performance, mitigate risk and navigate increasingly complex markets. A leader in electronic trading since launching the POSIT crossing network in 1987, ITG takes a consultative approach in delivering the highest quality institutional liquidity, execution services, analytical tools and proprietary research. The firm is headquartered in New York with offices in North America, Europe, and the Asia Pacific region.

 

Our business is organized into four reportable operating segments (see Note 14, Segment Reporting, to the condensed consolidated financial statements):

 

·                  U.S. Operations

 

·                  Canadian Operations

 

·                  European Operations and

 

·                  Asia Pacific Operations.

 

Our four operating segments offer a wide range of solutions for asset managers and broker-dealers in the areas of electronic brokerage; research, sales and trading; platforms; and analytics. These offerings include trade execution services and solutions for portfolio management, as well as investment research, pre-trade analytics and post-trade analytics and processing.

 

The condensed consolidated financial statements and accompanying notes are prepared in accordance with accounting principles generally accepted in the U.S. (“U.S. GAAP”). All material intercompany balances and transactions have been eliminated in consolidation. The condensed consolidated financial statements reflect all adjustments which, in the opinion of management, are necessary for the fair presentation of results.

 

The preparation of financial statements in conformity with U.S. GAAP requires management to make estimates and assumptions that affect the reported amounts of assets, liabilities, revenues and expenses and the disclosure of contingent assets, liabilities, revenues and expenses. Actual results could differ from those estimates.

 

Certain information and footnote disclosures normally included in financial statements prepared in accordance with U.S. GAAP have been condensed or omitted in accordance with Securities and Exchange Commission (“SEC”) rules and regulations; however, management believes that the disclosures herein are adequate to make the information presented not misleading. This report should be read in conjunction with the audited financial statements and the notes included in the Company’s Annual Report on Form 10-K for the year ended December 31, 2013 (as amended).

 

New Accounting Pronouncements

 

In May 2014, the Financial Accounting Standards Board (the “FASB”) issued Accounting Standards Update (“ASU”) No. 2014-09, (“ASU 2014-09”), Revenue from Contracts with Customers. The standard provides companies with a single model for use in accounting for revenue arising from contracts with customers and supersedes current revenue recognition guidance, including industry-specific revenue guidance. The core principle of the model is to recognize revenue to depict the transfer of promised goods or

 

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services to customers in an amount that reflects the consideration to which the entity expects to be entitled in exchange for those goods or services. Application of the new guidance involves five steps: (1) identifying contracts with customers; (2) identifying the separate performance obligations within the contracts; (3) determining the transaction price; (4) allocating the transaction price to the separate performance obligations; and (5) recognizing revenue when (or as) the performance obligations are satisfied. ASU 2014-09 applies to all contracts with customers except those that are within the scope of other topics in the FASB Accounting Standards Codification. The standard will also require significant additional qualitative and quantitative disclosures describing the nature, amount, timing, and uncertainty of revenues. The new guidance is effective for annual reporting periods (including interim periods within those periods) beginning after December 15, 2016 for public companies. Early adoption is not permitted. Entities have the option of using either a full retrospective or modified approach to adopt ASU 2014-09. The Company is currently evaluating the new guidance and has not yet selected a transition method nor has it determined the impact of adoption on its financial statements.

 

(2) Fair Value Measurements

 

Fair value is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date. In determining fair value, various methods are used including market, income and cost approaches. Based on these approaches, certain assumptions that market participants would use in pricing the asset or liability are used, including assumptions about risk and/or the risks inherent in the inputs to the valuation technique. These inputs can be readily observable, market-corroborated, or generally unobservable firm inputs. Valuation techniques that are used maximize the use of observable inputs and minimize the use of unobservable inputs. Based on the observability of the inputs used in the valuation techniques, fair value measured financial instruments are categorized according to the fair value hierarchy prescribed by ASC 820, Fair Value Measurements and Disclosures. The fair value hierarchy ranks the quality and reliability of the information used to determine fair values. Financial assets and liabilities carried at fair value are classified and disclosed in one of the following three categories:

 

·                  Level 1: Fair value measurements using unadjusted quoted market prices in active markets for identical, unrestricted assets or liabilities.

 

·                  Level 2: Fair value measurements using correlation with (directly or indirectly) observable market-based inputs, unobservable inputs that are corroborated by market data, or quoted prices in markets that are not active.

 

·                  Level 3: Fair value measurements using inputs that are significant and not readily observable in the market.

 

Level 1 consists of financial instruments whose value is based on quoted market prices such as exchange-traded mutual funds and listed equities.

 

Level 2 includes financial instruments that are valued based upon observable market-based inputs.

 

Level 3 is comprised of financial instruments whose fair value is estimated based on internally developed models or methodologies utilizing significant inputs that are generally less readily observable.

 

Fair value measurements for those items measured on a recurring basis are as follows (dollars in thousands):

 

June 30, 2014

 

Total

 

Level 1

 

Level 2

 

Level 3

 

Assets

 

 

 

 

 

 

 

 

 

Cash and cash equivalents:

 

 

 

 

 

 

 

 

 

Tax free money market mutual funds

 

$

33

 

$

33

 

$

 

$

 

Money market mutual funds

 

3,307

 

3,307

 

 

 

Securities owned, at fair value:

 

 

 

 

 

 

 

 

 

Corporate stocks-trading securities

 

9,857

 

9,857

 

 

 

Mutual funds

 

4,316

 

4,316

 

 

 

Total

 

$

17,513

 

$

17,513

 

$

 

$

 

 

 

 

 

 

 

 

 

 

 

Liabilities

 

 

 

 

 

 

 

 

 

Securities sold, not yet purchased, at fair value:

 

 

 

 

 

 

 

 

 

Corporate stocks-trading securities

 

9,108

 

9,108

 

 

 

Total

 

$

9,108

 

$

9,108

 

$

 

$

 

 

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December 31, 2013

 

Total

 

Level 1

 

Level 2

 

Level 3

 

Assets

 

 

 

 

 

 

 

 

 

Cash and cash equivalents:

 

 

 

 

 

 

 

 

 

Tax free money market mutual funds

 

$

33

 

$

33

 

$

 

$

 

Money market mutual funds

 

2,695

 

2,695

 

 

 

Securities owned, at fair value:

 

 

 

 

 

 

 

 

 

Corporate stocks-trading securities

 

2,894

 

2,894

 

 

 

Mutual funds

 

4,542

 

4,542

 

 

 

Total

 

$

10,164

 

$

10,164

 

$

 

$

 

 

 

 

 

 

 

 

 

 

 

Liabilities

 

 

 

 

 

 

 

 

 

Securities sold, not yet purchased, at fair value:

 

 

 

 

 

 

 

 

 

Corporate stocks-trading securities

 

2,953

 

2,953

 

 

 

Total

 

$

2,953

 

$

2,953

 

$

 

$

 

 

Cash and cash equivalents other than bank deposits are measured at fair value and primarily include U.S. government money market mutual funds.

 

Securities owned, at fair value and securities sold, not yet purchased, at fair value include corporate stocks, equity index mutual funds and bond mutual funds, all of which are exchange traded.

 

Certain of the Company’s assets and liabilities are carried at contracted amounts that approximate fair value. Assets and liabilities that are recorded at contracted amounts approximating fair value consist primarily of receivables from and payables to brokers, dealers, clearing organizations and customers. These receivables and payables to brokers, dealers and clearing organizations are short-term in nature, and following June 30, 2014, substantially all have settled at the contracted amounts.

 

The Company believes the carrying amounts of its term-debt obligations at June 30, 2014 and December 31, 2013 approximate fair value because the interest rates on these instruments change with, or approximate, market interest rates.

 

(3) Restructuring Charges

 

2013 Restructuring

 

In the second quarter of 2013, the Company implemented a strategic plan to close its technology research and development facility in Israel and outsource that function to a third party service provider effective January 1, 2014.

 

Activity and liability balances recorded as part of the 2013 restructuring plan through June 30, 2014 are as follows (dollars in thousands):

 

 

 

Employee
separation costs

 

Consolidation
of leased
facilities

 

Total

 

Balance at December 31, 2013

 

$

235

 

$

100

 

$

335

 

Cash payments

 

(37

)

 

(37

)

Other

 

3

 

 

3

 

Balance at June 30, 2014

 

$

201

 

$

100

 

$

301

 

 

The remaining accrued costs are expected to be paid during 2014.

 

2012 Restructuring

 

In the fourth quarter of 2012, the Company implemented a restructuring plan to reduce annual operating costs.

 

Activity and liability balances recorded as part of the 2012 restructuring plan through June 30, 2014 are as follows (dollars in thousands):

 

 

 

Employee
separation costs

 

Balance at December 31, 2013

 

$

75

 

Utilized—cash

 

(14

)

Balance at June 30, 2014

 

$

61

 

 

The remaining accrued costs are expected to be paid by the end of 2014.

 

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2011 Restructuring

 

In the second and fourth quarters of 2011, the Company implemented restructuring plans to improve margins and enhance stockholder returns.

 

Activity and liability balances recorded as part of the 2011 restructuring plan through June 30, 2014 are as follows (dollars in thousands):

 

 

 

Employee
separation costs

 

Consolidation
of leased
facilities

 

Total

 

Balance at December 31, 2013

 

$

7

 

$

1,567

 

$

1,574

 

Utilized - cash

 

(7

)

(454

)

(461

)

Balance at June 30, 2014

 

$

 

$

1,113

 

$

1,113

 

 

The payment of the remaining accrued costs related to the vacated leased facilities will continue through December 2016.

 

2010 Restructuring

 

In the fourth quarter of 2010, the Company closed its Westchester, NY office and relocated the staff, primarily sales traders and support, to its New York City office.

 

Activity and liability balances recorded as part of the 2010 restructuring plan through June 30, 2014 are as follows (dollars in thousands):

 

 

 

Consolidation
of leased
facilities

 

Balance at December 31, 2013

 

$

1,784

 

Utilized—cash

 

(188

)

Balance at June 30, 2014

 

$

1,596

 

 

The payment of the remaining accrued costs related to the vacated leased facilities will continue through December 2016.

 

(4) Cash Restricted or Segregated Under Regulations and Other

 

Cash restricted or segregated under regulations and other represents (i) funds on deposit for the purpose of securing working capital facilities for clearing and settlement activities in Hong Kong, (ii) a special reserve bank account for the exclusive benefit of customers (“Special Reserve Bank Account”) maintained by ITG Inc. in accordance with Rule 15c3-3 of the Exchange Act (“Customer Protection Rule”) or agreements for proprietary accounts of broker dealers (“PABs”), (iii) funds on deposit for Canadian and European trade clearing and settlement activity, (iv) segregated balances under a collateral account control agreement for the benefit of certain customers, and (v) funds relating to the securitization of bank guarantees supporting the Company’s Australian lease.

 

(5) Securities Owned and Sold, Not Yet Purchased

 

The following is a summary of securities owned and securities sold, not yet purchased (dollars in thousands):

 

 

 

Securities Owned

 

Securities Sold, Not Yet
Purchased

 

 

 

June 30,
2014

 

December 31,
2013

 

June 30,
2014

 

December 31,
2013

 

Corporate stocks—trading securities

 

$

9,857

 

$

2,894

 

$

9,108

 

$

2,953

 

Mutual funds

 

4,316

 

4,542

 

 

 

Total

 

$

14,173

 

$

7,436

 

$

9,108

 

$

2,953

 

 

Trading securities owned and sold, not yet purchased primarily consists of temporary positions obtained in the normal course of agency trading activities, including positions held in connection with the creation and redemption of exchange-traded funds on behalf of clients.

 

(6) Income Taxes

 

The tax benefit from an uncertain tax position is recognized only if it is more likely than not that the tax position will be sustained upon examination by the taxing authorities based on the technical merits of the position. The tax benefits recognized in the

 

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financial statements from such a position are measured based on the largest benefit that has a greater than fifty percent likelihood of being realized upon ultimate resolution.

 

During the six months ended June 30, 2014, the Company amended certain prior-year tax returns in the U.S. for deductions in those years not previously taken, resolved uncertain tax positions in the U.S. for fiscal year 2007, reducing tax reserves, and revised estimates for certain tax positions for other prior years, increasing tax reserves.  The net effect was a decrease in tax expense of $0.3 million.

 

The Company had reserves for tax positions taken of $19.3 million and $13.1 million at June 30, 2014 and December 31, 2013, respectively.  The Company had accrued interest expense of $2.2 million, net of related tax effects, related to tax reserves at both June 30, 2014 and December 31, 2013.

 

During the six months ended June 30, 2014, the Company fully utilized net operating loss carry-forwards in the U.K.  As a result the Company’s operations in the U.K. are incurring tax expense.

 

(7) Intangibles

 

Acquired other intangible assets consisted of the following at June 30, 2014 and December 31, 2013 (dollars in thousands):

 

 

 

June 30, 2014

 

December 31, 2013

 

 

 

 

 

Gross Carrying
Amount

 

Accumulated
Amortization

 

Gross Carrying
Amount

 

Accumulated
Amortization

 

Useful Lives
(Years)

 

Trade names

 

$

8,400

 

$

 

$

8,400

 

$

 

 

Customer-related intangibles

 

27,851

 

10,035

 

27,851

 

8,923

 

13.1

 

Proprietary software

 

21,501

 

19,275

 

21,501

 

17,921

 

6.4

 

Trading rights

 

340

 

 

243

 

 

 

Other

 

50

 

 

50

 

 

 

Total

 

$

58,142

 

$

29,310

 

$

58,045

 

$

26,844

 

 

 

 

At June 30, 2014, indefinite-lived intangibles not subject to amortization amounted to $8.8 million, of which $8.4 million related to the POSIT trade name.

 

Amortization expense for definite-lived intangibles was $1.2 million and $2.4 million for the three months and six months ended June 30, 2014, respectively, compared with $1.0 and $2.1 million in the respective prior-year periods. These amounts are included in other general and administrative expense in the Condensed Consolidated Statements of Income.

 

During the six months ended June 30, 2014, no intangibles were deemed impaired, and accordingly, no adjustment was required.

 

(8) Receivables and Payables

 

Receivables from, and Payables to, Brokers, Dealers and Clearing Organizations

 

The following is a summary of receivables from, and payables to, brokers, dealers and clearing organizations (dollars in thousands):

 

 

 

Receivables from

 

Payables to

 

 

 

June 30,
2014

 

December 31,
2013

 

June 30,
2014

 

December 31,
2013

 

Broker-dealers

 

$

881,343

 

$

254,031

 

$

1,128,417

 

$

284,681

 

Clearing organizations

 

331,668

 

23,033

 

9,041

 

2,798

 

Securities borrowed

 

528,827

 

742,307

 

 

 

Securities loaned

 

 

 

572,239

 

737,789

 

Allowance for doubtful accounts

 

(1,038

)

(1,029

)

 

 

Total

 

$

1,740,800

 

$

1,018,342

 

$

1,709,697

 

$

1,025,268

 

 

Receivables from, and Payables to, Customers

 

The following is a summary of receivables from, and payables to, customers (dollars in thousands):

 

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Table of Contents

 

 

 

Receivables from

 

Payables to

 

 

 

June 30,
2014

 

December 31,
2013

 

June 30,
2014

 

December 31,
2013

 

Customers

 

$

1,337,833

 

$

592,139

 

$

1,134,612

 

$

469,264

 

Allowance for doubtful accounts

 

(1,298

)

(1,135

)

 

 

Net

 

$

1,336,535

 

$

591,004

 

$

1,134,612

 

$

469,264

 

 

Securities Borrowed and Loaned

 

As of June 30, 2014, securities borrowed as part of the Company’s matched book operations with a fair value of $513.9 million were delivered for securities loaned. The gross amounts of interest earned on cash provided to counterparties as collateral for securities borrowed, and interest incurred on cash received from counterparties as collateral for securities loaned, and the resulting net amount included in other revenue on the Condensed Consolidated Statements of Income for the three and six months ended June 30, 2014 and 2013, respectively, were as follows (dollars in thousands):

 

 

 

Three Months Ended June 30,

 

Six Months Ended June 30,

 

 

 

2014

 

2013

 

2014

 

2013

 

Interest earned

 

$

6,455

 

$

5,855

 

$

10,858

 

$

8,781

 

Interest incurred

 

(4,337

)

(4,251

)

(7,403

)

(6,304

)

Net

 

$

2,118

 

$

1,604

 

$

3,455

 

$

2,477

 

 

Deposits paid for securities borrowed and deposits received for securities loaned are recorded at the amount of cash collateral advanced or received. Deposits paid for securities borrowed transactions require the Company to deposit cash with the lender. With respect to deposits received for securities loaned, the Company receives collateral in the form of cash in an amount generally in excess of the market value of the securities loaned. The Company monitors the market value of the securities borrowed and loaned on a daily basis, with additional collateral obtained or refunded, as necessary.

 

The Company’s securities borrowing and lending is generally done under industry standard agreements (“Master Securities Lending Agreements”) that may allow, following an event of default by either party, the prompt close-out of all transactions (including the liquidation of securities held) and the offsetting of obligations to return cash or securities, as the case may be, by the non-defaulting party. Events of default under the Master Securities Lending Agreements generally include, subject to certain conditions: (i) failure to timely deliver cash or securities as required under the transaction, (ii) a party’s insolvency, bankruptcy, or similar proceeding, (iii) breach of representation, and (iv) a material breach of the agreement. The counterparty that receives the securities in these transactions generally has unrestricted access in its use of the securities.  For financial statement purposes, the Company does not offset securities borrowed and securities loaned.

 

The following table summarizes the transactions under certain Master Securities Lending Agreements that may be eligible for offsetting if an event of default occurred and a right of offset was legally enforceable (dollars in thousands):

 

 

 

Gross Amounts of
Recognized Assets/
(Liabilities)

 

Gross Amounts
Offset in the
Consolidated
Statement of
Financial Condition

 

Net Amounts
Presented in the
Consolidated
Statement of
Financial Condition

 

Collateral
Received or
Pledged
(including
Cash)

 

Net
Amount

 

As of June 30, 2014:

 

 

 

 

 

 

 

 

 

 

 

Deposits paid for securities borrowed

 

$

528,827

 

$

 

$

528,827

 

$

528,557

 

$

270

 

Deposits received for securities loaned

 

(572,239

)

 

(572,239

)

(560,232

)

(12,007

)

As of December 31, 2013:

 

 

 

 

 

 

 

 

 

 

 

Deposits paid for securities borrowed

 

$

742,307

 

$

 

$

742,307

 

$

742,083

 

$

224

 

Deposits received for securities loaned

 

(737,789

)

 

(737,789

)

(722,091

)

(15,698

)

 

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Table of Contents

 

(9) Accounts Payable and Accrued Expenses

 

The following is a summary of accounts payable and accrued expenses (dollars in thousands):

 

 

 

June 30,
2014

 

December 31,
2013

 

Accrued research payables

 

$

62,299

 

$

52,015

 

Accrued compensation and benefits

 

35,523

 

47,622

 

Accrued rent

 

19,639

 

19,938

 

Trade payables

 

18,301

 

15,222

 

Deferred revenue

 

13,348

 

12,533

 

Deferred compensation

 

4,321

 

4,552

 

Accrued restructuring

 

3,071

 

3,768

 

Accrued transaction processing

 

2,779

 

2,972

 

Other

 

16,601

 

17,309

 

Total

 

$

175,882

 

$

175,931

 

 

(10) Borrowings

 

Short-term Bank Loans

 

The Company’s international securities clearance and settlement activities are funded with operating cash or with short-term bank loans in the form of overdraft facilities.  At June 30, 2014, there was $141.7 million outstanding under these facilities at a weighted average interest rate of approximately 1.4% associated with international settlement activities.

 

In the U.S., securities clearance and settlement activities are funded with operating cash, securities loaned or with short-term bank loans under a committed credit agreement.  ITG Inc. as borrower, and Investment Technology Group, Inc. (“Parent Company”) as guarantor, maintained a $150 million three-year revolving credit agreement with a syndicate of banks and JP Morgan Chase Bank, N.A., as Administrative Agent that matured on January 31, 2014.  On January 31, 2014, ITG Inc. as borrower, and Parent Company as guarantor entered into a new $150 million two-year revolving credit agreement (the “Credit Agreement”) with a syndicate of banks and JPMorgan Chase Bank, N.A., as Administrative Agent. The Credit Agreement includes an accordion feature that allows for potential expansion of the facility up to $225 million. At June 30, 2014, there were no amounts outstanding under the Credit Agreement.

 

Term Debt

 

At June 30, 2014, term debt is comprised of the following (dollars in thousands):

 

Term loan

 

$

5,837

 

Obligations under capital lease

 

18,244

 

Total

 

$

24,081

 

 

On June 1, 2011, Parent Company as borrower, entered into a $25.5 million Master Loan and Security Agreement (“Term Loan Agreement”) with Banc of America Leasing & Capital, LLC (“Bank of America”). The four-year term loan established under this agreement (“Term Loan”) is secured by a security interest in existing furniture, fixtures and equipment owned by the Parent Company and certain U.S. subsidiaries as of June 1, 2011. The primary purpose of this financing was to provide capital for strategic initiatives.

 

Along with the Term Loan Agreement, Parent Company entered into a $5.0 million master lease facility with Bank of America (“Master Lease Agreement”), under which purchases of new equipment may be financed. Each equipment lease under the Master Lease Agreement is structured as a capital lease and has a separate 48-month term from its inception date, at the end of which Parent Company may purchase the underlying equipment for $1.

 

On August 10, 2012, Parent Company entered into a $25.0 million master lease facility with BMO Harris Equipment Finance Company (“BMO”) to finance equipment and construction expenditures related to the build-out of the Company’s new headquarters in lower Manhattan. The amount borrowed of $21.2 million has a 3.39% fixed-rate term financing structured as a capital lease with a 48-month term, at the end of which Parent Company may purchase the underlying assets for $1.

 

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Table of Contents

 

(11) Earnings Per Share

 

The following is a reconciliation of the basic and diluted earnings per share computations (dollars in thousands, except per share amounts):

 

 

 

June 30,

 

 

 

2014

 

2013

 

Three Months Ended

 

 

 

 

 

Net income for basic and diluted earnings per share

 

$

12,926

 

$

5,086

 

Shares of common stock and common stock equivalents:

 

 

 

 

 

Average common shares used in basic computation

 

35,720

 

36,956

 

Effect of dilutive securities

 

921

 

1,044

 

Average common shares used in diluted computation

 

36,641

 

38,000

 

Earnings per share:

 

 

 

 

 

Basic

 

$

0.36

 

$

0.14

 

Diluted

 

$

0.35

 

$

0.13

 

 

 

 

 

 

 

Six Months Ended

 

 

 

 

 

Net income for basic and diluted earnings per share

 

$

26,546

 

$

13,708

 

Shares of common stock and common stock equivalents:

 

 

 

 

 

Average common shares used in basic computation

 

35,900

 

37,166

 

Effect of dilutive securities

 

1,033

 

1,205

 

Average common shares used in diluted computation

 

36,933

 

38,371

 

Earnings per share:

 

 

 

 

 

Basic

 

$

0.74

 

$

0.37

 

Diluted

 

$

0.72

 

$

0.36

 

 

The following is a summary of anti-dilutive equity awards not included in the detailed earnings per share computations (amounts in thousands):

 

 

 

June 30,

 

 

 

2014

 

2013

 

Three months ended

 

83

 

385

 

Six months ended

 

220

 

450

 

 

(12) Other Comprehensive Income

 

The components and allocated tax effects of other comprehensive income for the periods ended June 30, 2014 and December 31, 2013 are as follows (dollars in thousands):

 

 

 

Before Tax
Effects

 

Tax
Effects

 

After Tax
Effects

 

June 30, 2014

 

 

 

 

 

 

 

Currency translation adjustment

 

$

10,718

 

$

 

$

10,718

 

Total

 

$

10,718

 

$

 

$

10,718

 

 

 

 

 

 

 

 

 

December 31, 2013

 

 

 

 

 

 

 

Currency translation adjustment

 

$

8,536

 

$

 

$

8,536

 

Total

 

$

8,536

 

$

 

$

8,536

 

 

Deferred taxes have not been provided on the cumulative undistributed earnings of foreign subsidiaries or the cumulative translation adjustment related to those investments since there is currently no need to repatriate funds from certain foreign subsidiaries to the U.S. by way of dividends.

 

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Table of Contents

 

(13) Net Capital Requirement

 

ITG Inc., AlterNet and ITG Derivatives are subject to the SEC’s Uniform Net Capital Rule (Rule 15c3-1), which requires the maintenance of minimum net capital.  ITG Inc. has elected to use the alternative method permitted by Rule 15c3-1, which requires that ITG Inc. maintain minimum net capital equal to the greater of $1.0 million or 2% of aggregate debit balances arising from customer transactions, as defined. AlterNet and ITG Derivatives have elected to use the basic method permitted by Rule 15c3-1, which requires that they each maintain minimum net capital equal to the greater of 6 2/3% of aggregate indebtedness or $100,000 and $1.0 million, respectively. Dividends or withdrawals of capital cannot be made if capital is needed to comply with regulatory requirements.

 

Net capital balances and the amounts in excess of required net capital at June 30, 2014 for the U.S. Operations are as follows (dollars in thousands):

 

 

 

Net Capital

 

Excess

 

U.S. Operations

 

 

 

 

 

ITG Inc.

 

$

104,424

 

$

103,424

 

AlterNet

 

5,766

 

5,555

 

ITG Derivatives

 

4,447

 

3,447

 

 

As of June 30, 2014, ITG Inc. had $10.6 million of cash in a Special Reserve Bank Account for the benefit of customers under the Customer Protection Rule pursuant to SEC Rule 15c3-3, Computation for Determination of Reserve Requirements and $0.4 million under PABs.

 

In addition, the Company’s Canadian, European and Asia Pacific Operations have subsidiaries with regulatory capital requirements. The regulatory net capital balances and amount of regulatory capital in excess of the minimum requirements applicable to each business at June 30, 2014, is summarized in the following table (dollars in thousands):

 

 

 

Net Capital

 

Excess (Deficit)

 

Canadian Operations

 

 

 

 

 

Canada

 

$

39,215

 

$

38,745

 

European Operations

 

 

 

 

 

Ireland

 

51,008

 

3,060

 

U.K.

 

4,282

 

3,282

 

Asia Pacific Operations

 

 

 

 

 

Australia

 

11,425

 

4,618

 

Hong Kong

 

27,900

 

12,873

 

Singapore

 

373

 

173

 

 

(14) Segment Reporting

 

The Company is organized into four geographic operating segments through which the Company’s chief operating decision maker manages the Company’s business. The U.S., Canadian, European and Asia Pacific Operations segments provide the following categories of products and services:

 

·                  Electronic Brokerage — includes self-directed trading using algorithms, smart routing and matching through POSIT in cash equities (including single stocks and portfolio lists), futures and options

 

·                  Research, Sales and Trading — includes (a) differentiated, unbiased, data-driven equity research through the use of innovative data mining and analysis, as well as detailed analysis of energy plays, and (b) portfolio trading and high-touch trading desks providing execution expertise and trading ideas based on investment research

 

·                  Platforms — includes trade order and execution management software applications in addition to network connectivity

 

·                  Analytics — includes tools enabling portfolio managers and traders to improve pre-trade and real-time execution performance, portfolio construction and optimization decisions and securities valuation.

 

The accounting policies of the reportable segments are the same as those described in Note 2, Summary of Significant Accounting Policies, in our Annual Report on Form 10-K (as amended) for the year ended December 31, 2013. The Company allocates resources to, and evaluates the performance of, its reportable segments based on income or loss before income tax expense.

 

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Table of Contents

 

Consistent with the Company’s resource allocation and operating performance evaluation approach, the effects of inter-segment activities are eliminated except in limited circumstances where certain technology related costs are allocated to a segment to support that segment’s revenue producing activities. Commissions and fees revenue for trade executions and commission share revenues are principally attributed to each segment based upon the location of execution of the related transaction. Recurring revenues are principally attributed based upon the location of the client using the respective service.

 

A summary of the segment financial information is as follows (dollars in thousands):

 

 

 

U.S.
Operations

 

Canadian
Operations

 

European
Operations

 

Asia Pacific
Operations

 

Consolidated

 

Three Months Ended June 30, 2014

 

 

 

 

 

 

 

 

 

 

 

Total revenues

 

$

77,324

 

$

17,911

 

$

31,096

 

$

12,135

 

$

138,466

 

Income (loss) before income tax expense (benefit)

 

4,645

 

3,544

 

8,707

 

(208

)

16,688

 

Identifiable assets

 

984,027

 

106,834

 

1,970,703

 

568,427

 

3,629,991

 

Three Months Ended June 30, 2013

 

 

 

 

 

 

 

 

 

 

 

Total revenues

 

$

84,601

 

$

20,105

 

$

21,794

 

$

12,793

 

$

139,293

 

Income (loss) before income tax expense (benefit) (1)(2)(3)

 

4,561

 

3,795

 

2,820

 

(406

)

10,770

 

Identifiable assets

 

1,181,004

 

95,218

 

997,609

 

600,708

 

2,874,539

 

Six Months Ended June 30, 2014

 

 

 

 

 

 

 

 

 

 

 

Total revenues

 

$

152,991

 

$

37,247

 

$

63,928

 

$

21,909

 

$

276,075

 

Income (loss) before income tax expense (benefit)

 

9,493

 

8,103

 

19,449

 

(1,937

)

35,108

 

Six Months Ended June 30, 2013

 

 

 

 

 

 

 

 

 

 

 

Total revenues

 

$

165,844

 

$

38,649

 

$

42,744

 

$

24,106

 

$

271,343

 

Income (loss) before income tax expense (benefit) (1)(2)(3)

 

10,301

 

6,371

 

6,321

 

(1,271

)

21,722

 

 


(1)         In the second quarter of 2013, the Company incurred $1.6 million to implement a restructuring plan to close its technology research and development facility in Israel and migrate that function to an outsourced service provider model effective January 1, 2014.  This plan primarily focused on reducing costs by limiting ITG’s geographic footprint while maintaining the necessary technological expertise via a consulting arrangement. The Company also reduced previously-recorded 2012 and 2011 restructuring accruals of $1.6 million to reflect the sub-lease of previously-vacated office space and certain legal and other employee-related charges deemed unnecessary.

(2)         During the fourth quarter of 2012, ITG began its build out of its new lower Manhattan headquarters while continuing to occupy its then-existing headquarters in midtown Manhattan.  As a result, ITG incurred duplicate rent charges through June 2013.

(3)         In the second quarter of 2013, ITG moved into its new headquarters and incurred a one-time charge, which includes a reserve for the remaining lease obligation at the previous midtown Manhattan headquarters.

 

The table below details the total revenues for the categories of products and services provided by the Company (dollars in thousands):

 

 

 

Three Months Ended
June 30,

 

Six Months Ended
June 30,

 

 

 

2014

 

2013

 

2014

 

2013

 

Revenues by Product Group:

 

 

 

 

 

 

 

 

 

Electronic Brokerage

 

$

73,193

 

$

74,715

 

$

146,076

 

$

144,363

 

Research, Sales and Trading

 

30,311

 

28,140

 

59,556

 

53,553

 

Platforms

 

23,333

 

24,595

 

47,066

 

49,694

 

Analytics

 

11,351

 

11,600

 

22,801

 

23,270

 

Corporate (non-product)

 

278

 

243

 

576

 

463

 

Total Revenues

 

$

138,466

 

$

139,293

 

$

276,075

 

$

271,343

 

 

17



Table of Contents

 

(15)                          Off-Balance Sheet Risk and Concentration of Credit Risk

 

The Company is a member of various U.S. and non-U.S. exchanges and clearing houses that trade and clear, respectively, equities and/or derivative contracts.  Associated with the Company’s membership, the Company may be required to pay a proportionate share of financial obligations of another member who may default on its obligations to the exchanges or the clearing house.  While the rules governing different exchange or clearing house memberships vary, in general, the Company’s obligations would arise only if the exchanges and clearing houses had previously exhausted other remedies. The maximum potential payout under these memberships cannot be estimated. The Company has not recorded any contingent liability in the condensed consolidated financial statements for these agreements and believes that any potential requirement to make payments under these agreements is remote. In the ordinary course of business, the Company guarantees obligations of subsidiaries which may arise from third-party clearing relationships and trading counterparties. The activities of the subsidiaries covered by these guarantees are included in the Company’s consolidated financial statements.

 

The Company’s customer financing and securities settlement activities may require the Company to pledge customer securities as collateral in support of various secured financing transactions such as bank loans. In the event the counterparty is unable to meet its contractual obligation to return customer securities pledged as collateral, the Company may be exposed to the risk of acquiring the securities at prevailing market prices in order to satisfy its customer obligations. The Company controls this risk by monitoring the market value of securities pledged on a daily basis and by requiring adjustments of collateral levels in the event of excess market exposure.

 

Financial instruments that potentially subject the Company to concentrations of credit risk are primarily cash and cash equivalents, securities owned at fair value, receivables from brokers, dealers and clearing organizations and receivables from customers. Cash and cash equivalents and securities owned, at fair value are deposited with high credit quality financial institutions.

 

The Company loans securities temporarily to other brokers in connection with its securities lending activities. The Company receives cash as collateral for the securities loaned. Increases in security prices may cause the market value of the securities loaned to exceed the amount of cash received as collateral. In the event the counterparty to these transactions does not return the loaned securities, the Company may be exposed to the risk of acquiring the securities at prevailing market prices in order to satisfy its client obligations. The Company controls this risk by requiring credit approvals for counterparties, by monitoring the market value of securities loaned on a daily basis, and by requiring additional cash as collateral or returning collateral when necessary.

 

The Company borrows securities temporarily from other brokers in connection with its securities borrowing activities. The Company deposits cash as collateral for the securities borrowed. Decreases in security prices may cause the market value of the securities borrowed to fall below the amount of cash deposited as collateral. In the event the counterparty to these transactions does not return collateral, the Company may be exposed to the risk of selling the securities at prevailing market prices. The Company controls this risk by requiring credit approvals for counterparties, by monitoring the collateral values on a daily basis, and by depositing additional collateral with counterparties or receiving cash when deemed necessary.

 

The Company may at times maintain inventories in equity securities on both a long and short basis. Whereas long inventory positions represent the Company’s ownership of securities, short inventory positions represent obligations of the Company to deliver specified securities at a contracted price, which may differ from market prices prevailing at the time of completion of the transaction. Accordingly, both long and short inventory positions may result in losses or gains to the Company as market values of securities fluctuate. To mitigate the risk of losses, long and short positions are marked to market daily and are continuously monitored by the Company.

 

(16)                          Subsequent Event

 

On July 30, 2014 the Company acquired all of the capital stock of ID’S for $19.6 million, net of $4.2 million in acquired cash. ID’S is a Paris-based company that develops and licenses RFQ-hub, a request-for-quote technology platform for global listed and over-the-counter financial instruments. This acquisition is closely aligned with the Company’s strategic goals to expand its business across different asset classes and client constituencies and to grow its international businesses.

 

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Table of Contents

 

Item 2.  Management’s Discussion and Analysis of Financial Condition and Results of Operations

 

The following discussion and analysis should be read in conjunction with our condensed consolidated financial statements, including the notes thereto.

 

Overview

 

ITG is an independent execution and research broker that partners with global portfolio managers and traders to provide innovative financial technology and unique data-driven insights throughout the investment process. From investment decision through settlement, ITG helps clients understand market trends, improve performance, mitigate risk and navigate increasingly complex markets. A leader in electronic trading since launching the POSIT crossing network in 1987, ITG takes a consultative approach in delivering the highest quality institutional liquidity, execution services, analytical tools and proprietary research. ITG is headquartered in New York with offices in North America, Europe and the Asia Pacific region.

 

Our business is organized into four reportable operating segments: U.S. Operations, Canadian Operations, European Operations and Asia Pacific Operations (see Note 14, Segment Reporting, to the condensed consolidated financial statements). Our four operating segments provide the following categories of products and services:

 

·                  Electronic Brokerage — includes self-directed trading using algorithms, smart routing and matching through POSIT in cash equities (including single stocks and portfolio lists), futures and options

 

·                  Research, Sales and Trading — includes (a) differentiated, unbiased, data-driven equity research through the use of innovative data mining and analysis, as well as detailed analysis of energy plays, and (b) portfolio trading and high-touch trading desks providing execution expertise and trading ideas based on investment research

 

·                  Platforms — includes trade order and execution management software applications in addition to network connectivity

 

·                  Analytics — includes tools enabling portfolio managers and traders to improve pre-trade and real-time execution performance, portfolio construction and optimization decisions and securities valuation

 

Sources of Revenues

 

Revenues from our products and services are generated from commissions and fees, recurring (subscriptions) and other sources.

 

Commissions and fees are derived primarily from (i) commissions charged for trade execution services, (ii) income generated on net executions, whereby equity orders are filled at different prices within or at the National Best Bid and Offer (“NBBO”) and (iii) commission sharing arrangements between ITG Net (our private value-added FIX-based financial electronic communications network) and third-party brokers and alternative trading systems whose trading products are made available to our clients on our order management system (“OMS”) and execution management system (“EMS”) applications in addition to commission sharing arrangements for our ITG Single Ticket Clearing Service. Because commissions are earned on a per-transaction basis, such revenues fluctuate from period to period depending on (a) the volume of securities traded through our services in the U.S. and Canada, (b) the contract value of securities traded in Europe and the Asia Pacific region and (c) our commission rates. Certain factors that affect our volumes and contract values traded include: (i) macro trends in the global equities markets that affect overall institutional equity trading activity, (ii) competitive pressure, including pricing, created by a proliferation of electronic execution competitors and (iii) potential changes in market structure in the U.S. and other regions. In addition to share volume, revenues from net executions are also impacted by the width of spreads within the NBBO. Trade orders are delivered to us from our OMS and EMS products and other vendors’ products, direct computer-to-computer links to customers through ITG Net and third-party networks and phone orders from our customers.

 

Recurring revenues are derived from the following primary sources: (i) connectivity fees generated through ITG Net for the ability of the sell-side to receive orders from, and send indications of interest to, the buy-side, (ii) subscription revenue generated from providing research, (iii) software and analytical products and services and (iv) maintenance and customer technical support for our OMS.

 

Other revenues include: (i) income from principal trading in Canada, including arbitrage trading, (ii) the net spread on foreign exchange transactions executed to facilitate equity trades by clients in different currencies, (iii) the net interest spread earned on securities borrowed and loaned matched book transactions, (iv) transaction advisory services provided to potential purchasers of energy-related investments, (v) non-recurring consulting services, such as one-time implementation and customer training related activities, (vi) investment and interest income, (vii) interest income on securities borrowed in connection with customers’ settlement activities and (viii) market gains/losses resulting from temporary positions in securities assumed in the normal course of our agency trading business (including client errors and accommodations).

 

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Table of Contents

 

Expenses

 

Compensation and employee benefits, our largest expense, consists of salaries and wages, incentive compensation, including cash and deferred share-based awards, as well as employee benefits and taxes. Incentive compensation fluctuates based on revenues, profitability and other measures, taking into account the landscape for key talent. Incentive compensation includes a combination of cash and deferred share-based awards.  Only the cash portion, which represents a lesser portion of our total compensation costs, is expensed in the current period. As a result, our ratio of compensation expense to revenues may fluctuate from period-to-period based on revenue levels.

 

Transaction processing expense consists of costs to access various third-party execution destinations and to process, clear and settle transactions. These costs tend to fluctuate with share and trade volumes, the mix of trade execution services used by clients and the rates charged by third parties.

 

Occupancy and equipment expense consists primarily of rent and utilities related to leased premises, office equipment and depreciation and amortization of fixed assets and leasehold improvements.

 

Telecommunications and data processing expenses primarily consist of costs for obtaining market data, telecommunications services and systems maintenance.

 

Other general and administrative expenses primarily include software amortization, consulting, business development, professional fees and intangible amortization.

 

Interest expense consists primarily of costs associated with outstanding debt and credit facilities.

 

Non-GAAP Financial Measures

 

To supplement our financial information presented in accordance with U.S. GAAP, management uses certain “non-GAAP financial measures” as such term is defined in SEC Regulation G, to clarify and enhance understanding of past performance and prospects for the future. Generally, a non-GAAP financial measure is a numerical measure of a company’s operating performance, financial position or cash flows that excludes or includes amounts that are included in, or excluded from, the most directly comparable measure calculated and presented in accordance with U.S. GAAP. For example, non-GAAP measures may exclude the impact of certain unique and/or non-operating items such as acquisitions, divestitures, restructuring charges, large write-offs or items outside of management’s control. Management believes that the following non-GAAP financial measures described below provide investors and analysts useful insight into our financial position and operating performance.

 

Adjusted expenses and adjusted net income together with related per share amounts are non-GAAP performance measures that we believe are useful to assist investors in gaining an understanding of the trends and operating results for our core business. These measures should be viewed in addition to, and not in lieu of, results reported under U.S. GAAP.

 

Reconciliations of adjusted expenses and adjusted net income to expenses and net income and related per share amounts as determined in accordance with U.S. GAAP for the three months and six months ended June 30, 2013 are provided below (dollars in thousands except per share amounts).

 

Quarter Ended June 30, 2013:

 

ITG Consolidated

 

U.S.

 

Canada

 

Europe

 

Asia Pacific

 

Total revenues

 

$

139,293

 

$

84,601

 

$

20,105

 

$

21,794

 

$

12,793

 

 

 

 

 

 

 

 

 

 

 

 

 

Total expenses

 

$

128,523

 

$

80,040

 

$

16,310

 

$

18,974

 

$

13,199

 

Less:

 

 

 

 

 

 

 

 

 

 

 

Duplicate rent charges (1)

 

(1,237

)

(1,237

)

 

 

 

Office move (2)

 

(3,910

)

(3,910

)

 

 

 

Restructuring charges (3)

 

75

 

1,264

 

348

 

(1,537

)

 

Adjusted operating expenses

 

$

123,451

 

$

76,157

 

$

16,658

 

$

17,437

 

$

13,199

 

 

 

 

 

 

 

 

 

 

 

 

 

Income before income tax

 

10,770

 

 

 

 

 

 

 

 

 

Effect of adjustments

 

5,072

 

 

 

 

 

 

 

 

 

Adjusted pre-tax operating income

 

$

15,842

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Income tax expense

 

5,684

 

 

 

 

 

 

 

 

 

Tax effect of adjustments

 

(143

)

 

 

 

 

 

 

 

 

Adjusted operating income tax expense

 

$

5,541

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net income

 

$

5,086

 

 

 

 

 

 

 

 

 

Net effect of adjustments

 

5,215

 

 

 

 

 

 

 

 

 

Adjusted operating net income

 

$

10,301

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Diluted earnings per share

 

$

0.13

 

 

 

 

 

 

 

 

 

Net effect of adjustments

 

0.14

 

 

 

 

 

 

 

 

 

Adjusted diluted operating earnings per share

 

$

0.27

 

 

 

 

 

 

 

 

 

 

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Table of Contents

 

Six Months Ended June 30, 2013:

 

ITG Consolidated

 

U.S.

 

Canada

 

Europe

 

Asia Pacific

 

Total revenues

 

$

271,343

 

$

165,844

 

$

38,649

 

$

42,744

 

$

24,106

 

 

 

 

 

 

 

 

 

 

 

 

 

Total expenses

 

$

249,621

 

$

155,543

 

$

32,278

 

$

36,423

 

$

25,377

 

Less:

 

 

 

 

 

 

 

 

 

 

 

Duplicate rent charges (1)

 

(2,567

)

(2,567

)

 

 

 

Office move (2)

 

(3,910

)

(3,910

)

 

 

 

Restructuring charges (3)

 

75

 

1,264

 

348

 

(1,537

)

 

Adjusted operating expenses

 

$

243,219

 

$

150,330

 

$

32,626

 

$

34,886

 

$

25,377

 

 

 

 

 

 

 

 

 

 

 

 

 

Income before income tax

 

21,722

 

 

 

 

 

 

 

 

 

Effect of adjustments

 

6,402

 

 

 

 

 

 

 

 

 

Adjusted pre-tax operating income

 

$

28,124

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Income tax expense

 

8,014

 

 

 

 

 

 

 

 

 

Tax effect of adjustments

 

405

 

 

 

 

 

 

 

 

 

Adjusted operating income tax expense

 

$

8,419

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net income

 

$

13,708

 

 

 

 

 

 

 

 

 

Net effect of adjustments

 

5,997

 

 

 

 

 

 

 

 

 

Adjusted operating net income

 

$

19,705

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Diluted earnings per share

 

$

0.36

 

 

 

 

 

 

 

 

 

Net effect of adjustments

 

0.15

 

 

 

 

 

 

 

 

 

Adjusted diluted operating earnings per share

 

$

0.51

 

 

 

 

 

 

 

 

 

 


(1)         During the fourth quarter of 2012, we began our build out of our new lower Manhattan headquarters while continuing to occupy our then-existing headquarters in midtown Manhattan.  As a result, we incurred duplicate rent charges through June 2013.

(2)         In the second quarter of 2013, we moved into our new headquarters and incurred a one-time charge, which includes a reserve for the remaining lease obligation at the previous midtown Manhattan headquarters.

(3)         In the second quarter of 2013, we incurred $1.6 million to implement a restructuring plan to close our technology research and development facility in Israel and migrate that function to an outsourced service provider model effective January 1, 2014.  This plan primarily focused on reducing costs by limiting our geographic footprint while maintaining the necessary technological expertise via a consulting arrangement. We also reduced previously-recorded 2012 and 2011 restructuring accruals of $1.6 million to reflect the sub-lease of previously-vacated office space and certain legal and other employee-related charges deemed unnecessary.

 

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Table of Contents

 

Executive Summary for the Quarter Ended June 30, 2014

 

Consolidated Overview

 

Our second quarter results showed significant improvement over the prior-year quarter despite the impact of lower trading activity in most of our operating regions. We achieved continued strong profitability in Europe, moved closer to profitability in Asia Pacific, and improved the revenue generated per share in the U.S., while also continuing our focus on cost management. Our net income for the second quarter of 2014 was $12.9 million, or $0.35 per diluted share compared to net income of $5.1 million, or $0.13 per diluted share, and adjusted net income of $10.3 million, or $0.27 per diluted share in the second quarter of 2013 (see Non-GAAP Financial Measures). Revenues were $138.5 million, or less than 1% lower than the second quarter of 2013. Our annualized return on average equity for the quarter was 12.4%, compared to a return of 5.1% in the second quarter of 2013.

 

Our growth in Europe versus the second quarter of 2013 significantly outpaced the growth in market-wide trading with a profit contribution more than tripling the amount from the prior year quarter. Our European results continue to reflect the investments we made in our infrastructure and in our global product capabilities, including global POSIT Alert, together with our ongoing cost discipline.

 

A sustainable uptrend in U.S. trading volume continues to be elusive in this low volatility environment.  Following an improved start to the year, business conditions weakened during the second quarter, with average daily market-wide volumes of NYSE- and NASDAQ-listed securities down 11% from the first quarter of 2014 and 5% from the second quarter of 2013.  The weak conditions were also apparent in domestic equity fund flow activity as we saw net outflows of $24 billion during the second quarter following three consecutive quarters of inflows. Since the historic net outflows of $156 billion in 2012, we have seen only a modest cumulative recovery of $14 billion in net inflows, even with new highs being achieved in equity valuations on several occasions.

 

Going forward, we will continue to look for select opportunities to expand our business across different asset classes and client constituencies and to grow our international businesses. Our recently-announced acquisition of RFQ-hub, a Paris-based request-for-quote technology platform for global listed and over-the-counter financial instruments (see Note 16, Subsequent Event, to the condensed consolidated financial statements), is closely aligned with these strategic goals. We expect this investment to be neutral to earnings for the remainder of 2014 and to be modestly accretive in 2015. We will also continue our focus on the profitability of the products and services within each of our operating regions to ensure that we realize the full value of our combined offering and that we operate our business as efficiently as possible.

 

Segment Discussions

 

Trading volume in the U.S. remains at depressed levels. Overall combined average daily market volume of NYSE- and NASDAQ-listed securities decreased 5% compared to the second quarter of 2013 and 11% sequentially, while our U.S. average daily executed volume during the second quarter of 149.0 million shares per day was down 17% versus the second quarter of 2013 and 9% sequentially.

 

We partially mitigated the impact of lower volumes with an increase in our average revenue per share. Our second quarter 2014 average U.S. revenue per share rose to $0.0050, our highest level in nearly three years, compared with $0.0048 in the second quarter of 2013. While the proportion of lower-rate sell-side volume held steady at 49%, we saw an increase in our average revenue per share from buy-side clients compared to the second quarter of 2013 due in part to higher rates earned from clients using our high-touch trading services as well as trading via our POSIT Alert block crossing system. These rate increases were attributable in-part to clients paying for research through trading at a higher bundled rate. Our energy research capabilities are providing additional sources of revenue in the form of transaction advisory services provided to potential purchasers of energy-related investments. We also continued our focus on expense management in the U.S. to enhance profitability, with total U.S. expenses down 9% compared to the second quarter of 2013 and 5% on an adjusted basis (see Non-GAAP Financial Measures).

 

Average daily trading volumes on all Canadian markets decreased 6% from the second quarter of 2013 while commissions and fees from our Canadian Operations were 14% lower in U.S. dollar terms and 8% lower in local currency terms driven by a reduction in the average revenue realized per share. While the market environment remains challenging, we are generating significantly higher volumes in MATCH Now, which have grown more than 70% from the second quarter of 2013.

 

Daily European market-wide trading activity was 4% higher compared to the second quarter of 2013. European stock indices continued to move higher during the quarter. Our growth in European commissions and fees of 48% as compared to the prior-year quarter significantly outpaced this growth in overall market-wide activity, as we benefitted from investments in our local infrastructure and our global product suite as well as our efforts to diversify our client base and grow liquidity in POSIT. Compared to the second quarter of 2013, average daily value executed in POSIT increased over 50%, while the average daily value traded in POSIT Alert

 

22



Table of Contents

 

more than doubled. Our strong revenue growth together with improved margins from a higher crossing rate in POSIT and our efforts to reduce settlement and clearing costs significantly improved our reported results in the region.

 

Lower market-wide trading activity was seen across all key markets in the Asia-Pacific region due in part to the fears over a possible disruptive economic slowdown in China and the potential impact on emerging markets.  Market-wide value traded in Hong Kong, Australia and Japan decreased 8%, 14% and 41%, respectively, in local currency terms compared to the second quarter of 2013. The impact of the decline in market-wide trading activity, as well as unfavorable currency translation, was partially offset by the growth in commissions from clients using our POSIT Alert block crossing system and higher commission sharing revenues as our commissions and fees in the region declined by only 7%. Despite the decline, we were able to reduce our pre-tax loss in the region to $0.2 million as a result of our efforts to reduce costs, including trade execution costs.

 

Capital Resource Allocation

 

During the second quarter of 2014, we repurchased 770,837 shares for $14.3 million, representing 111% of our net income for the quarter. We intend to continue to use share repurchases to offset dilution from the issuance of stock under employee compensation plans and to opportunistically return capital to stockholders depending on market conditions.

 

Results of Operations — Three Months Ended June 30, 2014 Compared to Three Months Ended June 30, 2013

 

U.S. Operations

 

 

 

Three Months Ended June 30,

 

 

 

 

 

$ in thousands

 

2014

 

2013

 

Change

 

% Change

 

Revenues:

 

 

 

 

 

 

 

 

 

Commissions and fees

 

$

54,294

 

$

62,923

 

$

(8,629

)

(14

)

Recurring

 

17,882

 

19,435

 

(1,553

)

(8

)

Other

 

5,148

 

2,243

 

2,905

 

130

 

Total revenues

 

77,324

 

84,601

 

(7,277

)

(9

)

 

 

 

 

 

 

 

 

 

 

Expenses:

 

 

 

 

 

 

 

 

 

Compensation and employee benefits

 

34,016

 

31,966

 

2,050

 

6

 

Transaction processing

 

9,231

 

11,399

 

(2,168

)

(19

)

Other expenses

 

28,838

 

37,240

 

(8,402

)

(23

)

Restructuring charges

 

 

(1,264

)

1,264

 

100

 

Interest expense

 

594

 

699

 

(105

)

(15

)

Total expenses

 

72,679

 

80,040

 

(7,361

)

(9

)

Income before income tax expense

 

$

4,645

 

$

4,561

 

$

84

 

2

 

 

Commissions and fees decreased 14% as a result of a 17% reduction in our average daily trading volumes and one less trading day in the current period that was partially offset by a 4% increase in our average revenue per share to $0.0050, our highest level in nearly three years. The increase in our average revenue per share was achieved even though the proportion of volumes executed by sell-side clients was consistent with the second quarter of 2013 at 49%. Our average revenue per share from buy-side clients increased compared to the second quarter of 2013 due to higher rates earned from clients using our high-touch trading services and our POSIT Alert block crossing system, attributable in part to the impact of clients paying for research through trading at higher bundled rates.

 

23



Table of Contents

 

 

 

Three Months Ended June 30,

 

 

 

 

 

U.S. Operations: Key Indicators*

 

2014

 

2013

 

Change

 

% Change

 

Total trading volume (in billions of shares)

 

9.4

 

11.4

 

(2.0

)

(18

)

Trading volume per day (in millions of shares)

 

149.0

 

178.6

 

(29.6

)

(17

)

Average revenue per share

 

$

0.0050

 

$

0.0048

 

$

0.0002

 

4

 

U.S. market trading days

 

63

 

64

 

(1

)

(2

)

 


* Excludes activity from ITG Net commission share arrangements.

 

Recurring revenues decreased due to the impact of client attrition from our OMS product, resulting in lower OMS subscription revenues and connectivity fees offset by slightly higher investment research subscriptions.

 

Other revenues increased primarily due to an increase in transaction advisory services revenues generated by our energy research team and higher revenues generated by our stock loan matched book transactions.

 

Total expenses in the second quarter of 2014 decreased 9% compared to the second quarter of 2013. The second quarter of 2013 included $1.2 million of duplicate rent charges associated with building out our new headquarters in lower Manhattan while we still occupied our then-existing headquarters in midtown Manhattan and a one-time charge of $3.9 million upon the completion of the move, that included a reserve for the remaining lease obligation at our then-existing headquarters.  Total expenses in the second quarter of 2013 were reduced by reversals of our remaining 2012 and 2011 restructuring liabilities totaling $1.3 million as a portion of the space vacated in our Los Angeles office was sub-let and certain legal and other employee-related accruals were deemed unnecessary.  Total expenses declined 5% compared to the second quarter of 2013 if these charges are excluded (see Non-GAAP Financial Measures).

 

Compensation and employee benefits increased as a result of higher incentive-based compensation to our management team associated with increased global profitability and higher stock-based compensation associated with the expensing of awards issued for performance in 2013 and prior.

 

Transaction processing costs decreased more than the decrease in commissions and fees due to lower options volumes, which incur higher costs proportionally than our cash equity trading and lower execution costs from the increase in client use of our algorithm technology, which improves performance for clients by trading more passively. As a percentage of commissions and fees, transaction processing costs declined to 17.0% compared to 18.1% during the second quarter of 2013.

 

Other expenses decreased $8.4 million, of which $5.1 million represented the impact of duplicate rent charges incurred and the one-time charge recognized upon the completion of our move during the prior-year period as described above.  In addition, we incurred lower costs for data centers, data and connectivity from our cost reduction initiatives, as well as lower software amortization and consulting costs and a higher credit for research and development costs charged to other segments.  These reductions were partially offset by an increase in employee recruiting and legal fees.

 

In the second quarter of 2013, previously-recorded 2012 and 2011 restructuring accruals were reduced to reflect the sub-lease of previously-vacated office space in Los Angeles and certain legal and other employee-related charges deemed unnecessary.

 

Interest expense primarily relates to interest cost on our term debt and commitment fees relating to our $150 million revolving credit facility, including debt issuance cost amortization.

 

Canadian Operations

 

 

 

Three Months Ended June 30,

 

 

 

 

 

$ in thousands

 

2014

 

2013

 

Change

 

% Change

 

Revenues:

 

 

 

 

 

 

 

 

 

Commissions and fees

 

$

13,540

 

$

15,711

 

$

(2,171

)

(14

)

Recurring

 

2,420

 

2,368

 

52

 

2

 

Other

 

1,951

 

2,026

 

(75

)

(4

)

Total revenues

 

17,911

 

20,105

 

(2,194

)

(11

)

 

 

 

 

 

 

 

 

 

 

Expenses:

 

 

 

 

 

 

 

 

 

Compensation and employee benefits

 

4,781

 

6,549

 

(1,768

)

(27

)

Transaction processing

 

2,061

 

3,084

 

(1,023

)

(33

)

Other expenses

 

7,525

 

7,025

 

500

 

7

 

Restructuring charges

 

 

(348

)

348

 

(100

)

Total expenses

 

14,367

 

16,310

 

(1,943

)

(12

)

Income before income tax expense

 

$

3,544

 

$

3,795

 

$

(251

)

(7

)

 

24



Table of Contents

 

Currency translation from a weaker Canadian Dollar decreased total Canadian revenues and expenses by $1.1 million and $0.8 million, respectively, resulting in a decrease of $0.3 million to pre-tax income.

 

Canadian commissions and fees declined 14% due to a reduction in market-wide trading volumes, a reduction in the average revenue realized per share and the $0.8 million impact of unfavorable currency translation. These declines were offset in part by a more than 70% increase in volumes executed in MATCH Now.

 

Recurring revenues increased slightly as our billing for market data consumed by clients offset decreases in research subscription revenues.

 

Other revenues decreased slightly as additional income earned on foreign exchange transactions was more than offset by lower revenues from principal trading.

 

Compensation and employee benefits costs decreased primarily due to a decrease in share-based compensation, which fluctuates for legacy awards to Canadian employees based on the changes in the market price of our stock, as well as incentive-based compensation, and the impact of currency translation.

 

Transaction processing costs decreased $1.0 million due to a $0.5 million credit received from our clearing provider resulting from contract renegotiations, lower execution costs as a higher percentage of our volume was executed in MATCH Now and the impact of currency translation.

 

The increase in other expenses was primarily driven by increases in business development costs, legal expenses and research and development costs.

 

In the second quarter of 2013, previously recorded restructuring accruals from 2012 and 2011 were adjusted to reflect our revised expectations.

 

European Operations

 

 

 

Three Months Ended June 30,

 

 

 

 

 

$ in thousands

 

2014

 

2013

 

Change

 

% Change

 

Revenues

 

 

 

 

 

 

 

 

 

Commissions and fees

 

$

28,091

 

$

18,934

 

$

9,157

 

48

 

Recurring

 

3,131

 

3,053

 

78

 

3

 

Other

 

(126

)

(193

)

67

 

35

 

Total revenues

 

31,096

 

21,794

 

9,302

 

43

 

 

 

 

 

 

 

 

 

 

 

Expenses:

 

 

 

 

 

 

 

 

 

Compensation and employee benefits

 

8,683

 

7,241

 

1,442

 

20

 

Transaction processing

 

6,098

 

4,653

 

1,445

 

31

 

Other expenses

 

7,608

 

5,543

 

2,065

 

37

 

Restructuring charges

 

 

1,537

 

(1,537

)

(100

)

Total expenses

 

22,389

 

18,974

 

3,415

 

18

 

Income before income tax expense

 

$

8,707

 

$

2,820

 

$

5,887

 

209

 

 

Currency translation from a stronger British Pound increased total European revenues and expenses by $2.9 million and $2.2 million, respectively, resulting in an increase of $0.7 million to pre-tax income.

 

Our 48% growth in European commissions and fees far outpaced the 4% growth in daily market-wide trading activity as we continued to benefit from the investments we have made in our infrastructure and our product suite.  As compared to the second quarter of 2013, we saw increased activity from buy-side and sell-side clients using our electronic brokerage offerings, including our trading algorithms and POSIT, and from buy-side clients using our POSIT Alert block crossing system. We also saw increased commissions from the use of our high-touch trading services. Commissions and fees also benefitted by $2.5 million from favorable currency translation.

 

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Table of Contents

 

Recurring revenues increased slightly year-on-year due to an increase in revenues from our analytical products partially offset by the impact of OMS client attrition.  Other revenues increased due to a decrease in errors and client accommodations.

 

Compensation and employee benefits expense increased due primarily to increased incentive-based compensation related to improved performance, offset in part by the impact of $0.8 million in lower compensation associated with outsourcing our research and development facility in Israel to a third-party service provider.

 

Transaction processing costs increased due to the significant increase in value traded, but decreased as a percentage of commissions and fees due to the impact of a higher percentage of our value traded crossed in POSIT, including our POSIT Alert block crossing system, and our initiatives to reduce settlement and clearing costs.

 

Other expenses increased primarily due to the impact of $0.6 million in higher consulting costs, net of capitalization, from outsourcing our research and development facility in Israel to a third-party service provider, higher charges for historical market data and global research and development costs and the impact of currency translation.

 

In the second quarter of 2013, we implemented a restructuring plan to close our technology research and development facility in Israel and outsource that function to a third party service provider effective January 1, 2014.

 

Asia Pacific Operations

 

 

 

Three Months Ended June 30,

 

 

 

 

 

$ in thousands

 

2014

 

2013

 

Change

 

% Change

 

Revenues:

 

 

 

 

 

 

 

 

 

Commissions and fees

 

$

10,528

 

$

11,300

 

$

(772

)

(7

)

Recurring

 

1,542

 

1,427

 

115

 

8

 

Other

 

65

 

66

 

(1

)

(2

)

Total revenues

 

12,135

 

12,793

 

(658

)

(5

)

 

 

 

 

 

 

 

 

 

 

Expenses:

 

 

 

 

 

 

 

 

 

Compensation and employee benefits

 

5,240

 

5,446

 

(206

)

(4

)

Transaction processing

 

2,719

 

3,363

 

(644

)

(19

)

Other expenses

 

4,384

 

4,390

 

(6

)

 

Total expenses

 

12,343

 

13,199

 

(856

)

(6

)

Loss before income tax benefit

 

$

(208

)

$

(406

)

$

198

 

49

 

 

Currency translation from a weaker Australian Dollar decreased total Asia Pacific revenues and expenses by $0.3 million, respectively, resulting in virtually no impact on pre-tax earnings.

 

Asia Pacific commissions and fees decreased $0.8 million from the prior-year period due primarily to a reduction in market-wide trading activity and unfavorable currency translation, partially offset by the growth in commissions from clients using our POSIT Alert block crossing system and higher commission sharing revenues.

 

The growth in recurring revenues primarily reflects growth in the number of billable network connections through ITG Net.

 

Compensation and employee benefits decreased due to a reduction in incentive-based compensation and the impact of currency translation.

 

Transaction processing costs decreased as a result of the decrease in value traded and from our efforts to reduce trade execution costs. As a percentage of commissions and fees, transaction processing costs declined to 25.8% from 29.8% during the second quarter of 2013.

 

Consolidated income tax expense

 

Our effective tax rate was 22.5% in the second quarter of 2014 compared to 52.8% in the second quarter of 2013.  The rate in 2014 remained relatively low as a significantly higher portion of our pre-tax income came from our European Operations, which are taxed at a lower rate. Following the full utilization of net operating loss carry-forwards in the U.K., we expect the effective tax rate on our international operations to increase by approximately 5% going forward, assuming a similar mix of international pre-tax income. The high rate in the second quarter of 2013 was attributable to the lack of a deduction on the restructuring charge related to the closing of the Israel technology research and development facility and tax charges associated with the anticipated withdrawal of capital from Israel. Our consolidated effective tax rate can vary from period to period depending on, among other factors, the geographic and business mix of our earnings.

 

26



Table of Contents

 

Results of Operations — Six Months Ended June 30, 2014 Compared to Six Months Ended June 30, 2013

 

U.S. Operations

 

 

 

Six Months Ended June 30,

 

 

 

 

 

$ in thousands

 

2014

 

2013

 

Change

 

% Change

 

Revenues:

 

 

 

 

 

 

 

 

 

Commissions and fees

 

$

108,823

 

$

123,759

 

$

(14,936

)

(12

)

Recurring

 

36,334

 

37,993

 

(1,659

)

(4

)

Other

 

7,834

 

4,092

 

3,742

 

91

 

Total revenues

 

152,991

 

165,844

 

(12,853

)

(8

)

 

 

 

 

 

 

 

 

 

 

Expenses:

 

 

 

 

 

 

 

 

 

Compensation and employee benefits

 

66,468

 

62,689

 

3,779

 

6

 

Transaction processing

 

18,171

 

22,814

 

(4,643

)

(20

)

Other expenses

 

57,629

 

70,003

 

(12,374

)

(18

)

Restructuring charges

 

 

(1,264

)

1,264

 

(100

)

Interest expense

 

1,230

 

1,301

 

(71

)

(5

)

Total expenses

 

143,498

 

155,543

 

(12,045

)

(8

)

Income (loss) before income tax expense (benefit)

 

$

9,493

 

$

10,301

 

$

(808

)

(8

)

 

Commissions and fees decreased 12% as a result of a 16% reduction in our average daily trading volumes that was partially offset by a 4% increase in our average revenue per share to $0.0049.  The increase in our average revenue per share was achieved even though the proportion of volumes executed by sell-side clients increased to 50% compared to 49% in the first half of 2013. Our average revenue per share from buy-side clients increased compared to the first half of 2013 due to higher rates earned from clients using our high-touch trading services and our POSIT Alert block crossing system, attributable in part to the impact of clients paying for research through trading at higher bundled rates.

 

 

 

Six Months Ended June 30,

 

 

 

 

 

U.S. Operations: Key Indicators*

 

2014

 

2013

 

Change

 

% Change

 

Total trading volume (in billions of shares)

 

19.4

 

23.0

 

(3.6

)

(16

)

Trading volume per day (in millions of shares)

 

156.5

 

185.7

 

(29.2

)

(16

)

Average revenue per share

 

$

0.0049

 

$

0.0047

 

$

0.0002

 

4

 

U.S. market trading days

 

124

 

124

 

 

 

 


* Excludes activity from ITG Net commission share arrangements.

 

Recurring revenues decreased due to the impact of client attrition from our OMS product, resulting in lower OMS subscription revenues and connectivity fees and lower revenues from our analytical products partially offset by an increase in subscriptions for our research products.

 

Other revenues increased due primarily to an increase in transaction advisory services revenues generated by our energy research team and higher revenues generated by our stock loan matched book transactions.

 

Total expenses in the first half of 2014 decreased 8% compared to the first half of 2013. The first half of 2013 included $2.6 million of duplicate rent charges associated with building out our new headquarters in lower Manhattan while we still occupied our then existing headquarters in midtown Manhattan and a one-time charge of $3.9 million upon the completion of the move, that included a reserve for the remaining lease obligation at our then existing headquarters.  Total expenses in the second quarter of 2013 were also reduced by reversals of our remaining 2012 and 2011 restructuring liabilities totaling $1.3 million as a portion of the space vacated in our Los Angeles office was sub-let and certain legal and other employee related accruals were deemed unnecessary.  Total expenses declined 5% compared to the first half of 2013 excluding these charges (see Non-GAAP Financial Measures).

 

Compensation and employee benefits increased as a result of higher incentive-based compensation to our management team associated with increased global profitability.

 

Transaction processing costs declined more than the decrease in commissions and fees due to lower options volumes, which incur higher costs proportionally than our cash equity trading and lower execution costs from client use of our algorithm technology,

 

27



Table of Contents

 

which improves performance for clients by trading more passively. As a percentage of commissions and fees, transaction processing costs declined to 16.8% from 18.4% during the first half of 2013.

 

Other expenses decreased $12.4 million, of which $6.5 million represented the impact of duplicate rent charges incurred and the one-time charge recognized upon the completion of our move during the prior-year period as described above.  In addition, we incurred lower costs for data center, data and connectivity from our cost reduction initiatives, as well as lower software amortization and consulting and a higher credit for research and development costs charged to other segments.  These reductions were partially offset by an increase in employee recruiting and legal fees.

 

In the second quarter of 2013, previously-recorded 2012 and 2011 restructuring accruals were reduced to reflect the sub-lease of previously-vacated office space in Los Angeles and certain legal and other employee-related charges deemed unnecessary.

 

Interest expense primarily relates to interest cost on our term debt and commitment fees relating to our $150 million revolving credit facility, including debt issuance cost amortization.

 

Canadian Operations

 

 

 

Six Months Ended June 30,

 

 

 

 

 

$ in thousands

 

2014

 

2013

 

Change

 

% Change

 

Revenues:

 

 

 

 

 

 

 

 

 

Commissions and fees

 

$

28,619

 

$

30,211

 

$

(1,592

)

(5

)

Recurring

 

4,852

 

4,540

 

312

 

7

 

Other

 

3,776

 

3,898

 

(122

)

(3

)

Total revenues

 

37,247

 

38,649

 

(1,402

)

(4

)

 

 

 

 

 

 

 

 

 

 

Expenses:

 

 

 

 

 

 

 

 

 

Compensation and employee benefits

 

10,487

 

12,749

 

(2,262

)

(18

)

Transaction processing

 

4,627

 

5,997

 

(1,370

)

(23

)

Other expenses

 

14,030

 

13,880

 

150

 

1

 

Restructuring charges

 

 

(348

)

348

 

100

 

Total expenses

 

29,144

 

32,278

 

(3,134

)

(10

)

Income before income tax expense

 

$

8,103

 

$

6,371

 

$

1,732

 

27

 

 

Currency translation from a weaker Canadian Dollar decreased total Canadian revenues and expenses by $2.7 million and $2.0 million, respectively, resulting in a decrease of $0.7 million to pre-tax income.

 

Canadian commissions and fees declined 5% primarily as a result of the unfavorable currency translation impact totaling $2.1 million. The impact of volume increases in MATCH Now were offset by a reduction in the average revenue realized per share from buy-side clients.

 

Recurring revenues increased due to our billing for market data consumed by clients.

 

Other revenues decreased slightly due to an increase in losses on client trade facilitations and revenues from principal trading, partially offset by additional income earned on foreign exchange transactions.

 

Compensation and employee benefits costs decreased primarily due to a decrease in share-based compensation, which fluctuates for legacy awards to Canadian employees based on the changes in the market price of our stock, as well as the impact of currency translation.

 

Transaction processing costs decreased $1.4 million due to a $0.5 million credit received from our clearing provider resulting from contract renegotiations, lower execution costs as a higher percentage of our volume was executed in MATCH Now and the impact of currency translation.

 

The increase in other expenses was primarily driven by higher historical market data charges and legal related expenses partially offset by lower connectivity and the impact of currency translations.

 

In the second quarter of 2013, previously recorded restructuring accruals from 2012 and 2011 were adjusted to reflect our then-current expectations.

 

28



Table of Contents

 

European Operations

 

 

 

Six Months Ended June 30,

 

 

 

 

 

$ in thousands

 

2014

 

2013

 

Change

 

% Change

 

Revenues:

 

 

 

 

 

 

 

 

 

Commissions and fees

 

$

57,812

 

$

36,634

 

$

21,178

 

58

 

Recurring

 

6,304

 

6,276

 

28

 

 

Other

 

(188

)

(166

)

(22

)

(13

)

Total revenues

 

63,928

 

42,744

 

21,184

 

50

 

 

 

 

 

 

 

 

 

 

 

Expenses:

 

 

 

 

 

 

 

 

 

Compensation and employee benefits

 

17,154

 

14,948

 

2,206

 

15

 

Transaction processing

 

12,556

 

9,066

 

3,490

 

38

 

Other expenses

 

14,769

 

10,872

 

3,897

 

36

 

Restructuring charges

 

 

1,537

 

(1,537

)

(100

)

Total expenses

 

44,479

 

36,423

 

8,056

 

22

 

Income before income tax expense

 

$

19,449

 

$

6,321

 

$

13,128

 

208

 

 

Currency translation from a stronger British Pound increased total European revenues and expenses by $5.1 million and $3.7 million, respectively, resulting in an increase of $1.4 million to pre-tax income.

 

While daily European market-wide value traded increased 13%, the 58% growth in our European commissions and fees far outpaced that rate. We are continuing to benefit from the investments we have made in our infrastructure and our product suite resulting in increased activity from buy-side and sell-side clients using our electronic brokerage offerings, including our trading algorithms and POSIT, and from clients using our POSIT Alert block crossing system. We also saw increased commissions from the use of our high-touch trading services. Commissions and fees also benefitted by $4.5 million from favorable currency translation.

 

Recurring and other revenues remained relatively flat as increases in revenue from our analytical products were offset by the impact of OMS client attrition.  Other revenues decreased due to lower errors and accommodations.

 

Compensation and employee benefits expense increased due primarily to increased incentive-based compensation related to improved performance, offset in part by the impact of $1.9 million in lower compensation associated with outsourcing our research and development facility in Israel to a third-party service provider.

 

Transaction processing costs increased due to the significant increase in value traded, but decreased as a percentage of commissions and fees due to the impact of a higher percentage of our value traded crossed in POSIT, including our POSIT Alert block crossing system, and our initiatives to reduce settlement and clearing costs.

 

Other expenses increased due primarily to the impact of $1.1 million in higher consulting costs, net of capitalization, from outsourcing our research and development facility in Israel to a third-party service provider, higher charges for historical market data costs and the impact of currency translation.

 

In the second quarter of 2013, we implemented a restructuring plan to close our technology research and development facility in Israel and outsource that function to a third party service provider effective January 1, 2014.

 

Asia Pacific Operations

 

 

 

Six Months Ended June 30,

 

 

 

 

 

$ in thousands

 

2014

 

2013

 

Change

 

% Change

 

Revenues:

 

 

 

 

 

 

 

 

 

Commissions and fees

 

$

19,623

 

$

21,272

 

$

(1,649

)

(8

)

Recurring

 

3,062

 

2,814

 

248

 

9

 

Other

 

(776

)

20

 

(796

)

NA

 

Total revenues

 

21,909

 

24,106

 

(2,197

)

(9

)

 

 

 

 

 

 

 

 

 

 

Expenses:

 

 

 

 

 

 

 

 

 

Compensation and employee benefits

 

9,788

 

10,365

 

(577

)

(6

)

Transaction processing

 

5,251

 

6,154

 

(903

)

(15

)

Other expenses

 

8,807

 

8,858

 

(51

)

(1

)

Total expenses

 

23,846

 

25,377

 

(1,531

)

(6

)

Loss before income tax benefit

 

$

(1,937

)

$

(1,271

)

$

(666

)

(52

)

 

29



Table of Contents

 

Currency translation from a weaker Australian Dollar decreased total Asia Pacific revenues and expenses by $0.8 million and $0.9 million, respectively, resulting in a decrease of $0.1 million to our pre-tax loss.

 

Asia Pacific commissions and fees decreased from the prior-year period due primarily to a reduction in market-wide trading activity and unfavorable currency translation, partially offset by the growth in commissions from clients using our POSIT Alert block crossing system and higher commission sharing revenues.

 

The growth in recurring revenues primarily reflects growth in the number of billable network connections through ITG Net and the decrease in other revenues is due to an increase in client trade accommodations of $1.0 million.

 

Compensation and employee benefits decreased due to a decrease in incentive compensation and the impact of currency translation.

 

Transaction processing costs decreased as a result of the decrease in value traded and from our efforts to reduce trade execution costs. As a percentage of commissions and fees, transaction processing costs declined to 26.8% from 28.9% during the first half of 2013.

 

The decrease in other expenses reflects lower foreign currency transaction losses, partially offset by an increase in charges for historical market data.

 

Consolidated income tax expense

 

Our effective tax rate was 24.4% in the first half of 2014 compared to 36.9% in the first half of 2013.  The rate in 2014 remained relatively low as a significantly higher portion of our pre-tax income came from our European Operations, which are taxed at a lower rate. This reduction in rate was partially offset by a higher U.S. effective tax rate in the first half of 2014 due in part to tax legislation extending the research and experimental tax credit into 2014 not being passed and a lower U.S. effective tax rate in the first half of 2013 due to the recording of the full year 2013 research and experimentation credit in such quarter due again to the timing of tax legislation. Our consolidated effective tax rate can vary from period to period depending on, among other factors, the geographic and business mix of our earnings.

 

Liquidity and Capital Resources

 

Liquidity

 

Our primary source of liquidity is cash provided by operations. Our liquidity requirements result from our working capital needs, which include clearing and settlement activities, as well as our regulatory capital needs. A substantial portion of our assets is liquid, consisting of cash and cash equivalents or assets readily convertible into cash. Cash is principally invested in U.S. government money market mutual funds and other money market mutual funds. At June 30, 2014, unrestricted cash and cash equivalents totaled $239.1 million. Included in this amount is $95.1 million of cash and cash equivalents held by subsidiaries outside the United States. Due to our current capital structure, we currently do not foresee a need to repatriate funds from certain foreign subsidiaries to the U.S. by way of dividends. Should we need to do so in the future, our effective tax rate may increase.

 

As a self-clearing broker-dealer in the U.S., we are subject to cash deposit requirements with clearing organizations that may be large in relation to total liquid assets and may fluctuate significantly based upon the nature and size of customers’ trading activity and market volatility. At June 30, 2014, we had interest-bearing security deposits totaling $43.5 million with clearing organizations in the U.S. for the settlement of equity trades. In the normal course of our U.S. settlement activities, we may also need to temporarily finance customer securities positions from short settlements or delivery failures. These financings may be funded from existing cash resources, borrowings under stock loan transactions or short-term bank loans under our committed facility. In January 2014, we entered into a new $150 million two-year revolving credit agreement with a syndicate of banks and JP Morgan Chase Bank, N.A. as administrative agent to finance these temporary positions and to satisfy temporary spikes in clearing margin requirements.

 

We self-clear equity trades in Hong Kong and Australia and maintain restricted cash deposits of $25.8 million to support overdraft facilities. In Europe, we maintain $34.8 million in restricted cash deposits supporting working capital facilities primarily in the form of overdraft protection for our European clearing and settlement needs.

 

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Capital Resources

 

Capital resource requirements relate to capital purchases, as well as business investments, and are generally funded from operations. When required, as in the case of a major acquisition, our strong cash generating ability has historically allowed us to access U.S. capital markets.

 

Operating Activities

 

The table below summarizes the effect of the major components of operating cash flow.

 

 

 

Six Months Ended June 30,

 

(in thousands)

 

2014

 

2013

 

Net income

 

$

26,546

 

$

13,708

 

Non-cash items included in net income

 

38,334

 

38,180

 

Effect of changes in receivables/payables from/to customers and brokers

 

(112,518

)

(20,669

)

Effect of changes in other working capital and operating assets and liabilities

 

18,780

 

17,649

 

Net cash (used in) / provided by operating activities

 

$

(28,858

)

$

48,868

 

 

The cash flow used in operating activities during the first six months of 2014 was driven by an increase in cash used in settlement activities, which were offset in part by a $68.1 million net increase in short-term bank loans that is included in financing activities below.

 

In the normal course of our clearing and settlement activities worldwide, cash is typically used to fund restricted or segregated cash accounts (under regulations and other), broker and customer fails to deliver/receive, securities borrowed, deposits with clearing organizations and net activity related to receivables/payables from/to customers and brokers. The cash requirements vary from day to day depending on volume transacted and customer trading patterns.

 

Investing Activities

 

Net cash used in investing activities of $19.6 million includes our investments in software development projects, computer hardware and software.

 

In July 2014 we invested $19.6 million, net of $4.2 million of acquired cash, to purchase RFQ-hub, a Paris-based request-for-quote technology platform for global listed and over-the-counter financial instruments (see Note 16, Subsequent Event, to the condensed consolidated financial statements). This investment is closely aligned with our strategic goals to expand our business across different asset classes and client constituencies and to grow our international businesses.

 

Financing Activities

 

Net cash provided by financing activities of $29.8 million primarily reflects net proceeds from short-term bank borrowings that are used to support our settlement activities, offset by repurchases of ITG common stock, shares withheld for net settlements of share-based awards and repayments of long-term debt.

 

On January 31, 2014, ITG Inc. as borrower, and Investment Technology Group, Inc. (“Parent Company”) as guarantor entered into a new $150 million two-year revolving credit agreement (the “Credit Agreement”) with a syndicate of banks and JPMorgan Chase Bank, N.A., as Administrative Agent. The Credit Agreement includes an accordion feature that allows for potential expansion of the facility up to $225 million. The terms and conditions of the Credit Agreement are substantially the same as the initial Credit Agreement that matured on January 31, 2014.

 

During the first six months of 2014, we repurchased approximately 1.8 million shares of our common stock at a cost of $33.5 million, which was funded from our available cash resources. Of these shares, 1.5 million were purchased under our Board of Directors’ authorization for a total cost of 27.0 million (average cost of $17.86 per share). An additional 0.3 million shares repurchased ($6.4 million) pertained solely to the satisfaction of minimum statutory withholding tax upon the net settlement of equity awards.  As of June 30, 2014, the total remaining number of shares currently available for repurchase under ITG’s stock repurchase program was 1.9 million.  The specific timing and amount of repurchases will vary based on market conditions and other factors.

 

Regulatory Capital

 

ITG Inc., AlterNet and ITG Derivatives are subject to the SEC’s Uniform Net Capital Rule (Rule 15c3-1), which requires the maintenance of minimum net capital.  ITG Inc. has elected to use the alternative method permitted by Rule 15c3-1, which requires that ITG Inc. maintain minimum net capital equal to the greater of $1.0 million or 2% of aggregate debit balances arising from customer transactions, as defined. AlterNet and ITG Derivatives have elected to use the basic method permitted by Rule 15c3-1, which requires

 

31



Table of Contents

 

that they each maintain minimum net capital equal to the greater of 6 2/3% of aggregate indebtedness or $100,000 and $1.0 million, respectively. Dividends or withdrawals of capital cannot be made if capital is needed to comply with regulatory requirements.

 

Net capital balances and the amounts in excess of required net capital at June 30, 2014 for the U.S. Operations are as follows (dollars in thousands):

 

 

 

Net Capital

 

Excess

 

U.S. Operations

 

 

 

 

 

ITG Inc.

 

$

104,424

 

$

103,424

 

AlterNet

 

5,766

 

5,555

 

ITG Derivatives

 

4,447

 

3,447

 

 

As of June 30, 2014, ITG Inc. had a $10.6 million cash balance in a Special Reserve Bank Account for the benefit of customers under the Customer Protection Rule pursuant to SEC Rule 15c3-3, Computation for Determination of Reserve Requirements and $0.4 million under Proprietary Accounts for Broker Dealers agreements.

 

In addition, the Company’s Canadian, European and Asia Pacific Operations have subsidiaries with regulatory capital requirements. The regulatory net capital balances and amount of regulatory capital in excess of the minimum requirements applicable to each business at June 30, 2014, is summarized in the following table (dollars in thousands):

 

 

 

Net Capital

 

Excess  (Deficit)

 

Canadian Operations

 

 

 

 

 

Canada

 

$

39,215

 

$

38,745

 

European Operations

 

 

 

 

 

Ireland

 

51,008

 

3,060

 

U.K.

 

4,282

 

3,282

 

Asia Pacific Operations

 

 

 

 

 

Australia

 

11,425

 

4,618

 

Hong Kong

 

27,900

 

12,873

 

Singapore

 

373

 

173

 

 

Liquidity and Capital Resource Outlook

 

Historically, our working capital, stock repurchase and investment activity requirements have been funded from cash from operations and short-term loans, with the exception of strategic acquisitions, which at times have required long-term financing. We believe that our cash flow from operations, existing cash balances and our available credit facilities will be sufficient to meet our ongoing operating cash and regulatory capital needs, while also complying with the terms of our Credit Agreement.  However, our ability to borrow additional funds may be inhibited by financial lending institutions’ ability or willingness to lend to us on commercially acceptable terms.

 

Off-Balance Sheet Arrangements and Aggregate Contractual Obligations

 

We are a member of various U.S. and non-U.S. exchanges and clearing houses that trade and clear, respectively, equities and/or derivative contracts.  Associated with our membership, we may be required to pay a proportionate share of financial obligations of another member who may default on its obligations to the exchanges or the clearing house.  While the rules governing different exchange or clearinghouse memberships vary, in general, our guarantee obligations would arise only if the exchange had previously exhausted its resources.  The maximum potential payout under these memberships cannot be estimated.  We have not recorded any contingent liability in the condensed consolidated financial statements for these agreements and believe that any potential requirement to make payments under these agreements is remote.

 

As of June 30, 2014, our other contractual obligations and commercial commitments consisted principally of fixed charges, including minimum future rentals under non-cancelable operating leases, minimum future purchases under non-cancelable purchase agreements and minimum compensation under employment agreements.

 

There has been no significant change to such arrangements and obligations since December 31, 2013.

 

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Table of Contents

 

New Accounting Pronouncements

 

In May 2014, the Financial Accounting Standards Board (the “FASB”) issued Accounting Standards Update (“ASU”) No. 2014-09, (“ASU 2014-09”), Revenue from Contracts with Customers. The standard provides companies with a single model for use in accounting for revenue arising from contracts with customers and supersedes current revenue recognition guidance, including industry-specific revenue guidance. The core principle of the model is to recognize revenue to depict the transfer of promised goods or services to customers in an amount that reflects the consideration to which the entity expects to be entitled in exchange for those goods or services. Application of the new guidance involves five steps: (1) identifying contracts with customers; (2) identifying the separate performance obligations within the contracts; (3) determining the transaction price; (4) allocating the transaction price to the separate performance obligations; and (5) recognizing revenue when (or as) the performance obligations are satisfied. ASU 2014-09 applies to all contracts with customers except those that are within the scope of other topics in the FASB Accounting Standards Codification. The standard will also require significant additional qualitative and quantitative disclosures describing the nature, amount, timing, and uncertainty of revenues. The new guidance is effective for annual reporting periods (including interim periods within those periods) beginning after December 15, 2016 for public companies. Early adoption is not permitted. Entities have the option of using either a full retrospective or modified approach to adopt ASU 2014-09. We are currently evaluating the new guidance and have not yet selected a transition method nor have we determined the impact of adoption on our financial statements.

 

Critical Accounting Estimates

 

There has been no significant change to our critical accounting estimates, which are more fully described in Item 7, Management’s Discussion and Analysis of Financial Condition and Results of Operations, in our Annual Report on Form 10-K for the year ended December 31, 2013 (as amended).

 

Item 3. Quantitative and Qualitative Disclosures About Market Risk

 

Please see our Annual Report on Form 10-K (Item 7A) for the year ended December 31, 2013 (as amended). There has been no material change in this information.

 

Item 4. Controls and Procedures

 

a)            Evaluation of Disclosure Controls and Procedures. The Company’s Chief Executive Officer and Chief Financial Officer, after evaluating the effectiveness of the Company’s disclosure controls and procedures (as such term is defined in Rule 13a-15(e) and 15d-15(e) under the Exchange Act), as of the end of the period covered by this Quarterly Report on Form 10-Q, have concluded that, based on such evaluation, the Company’s disclosure controls and procedures were effective in reporting, on a timely basis, information required to be disclosed by the Company in the reports that the Company files or submits under the Exchange Act and this Quarterly Report on Form 10-Q.

 

b)            Changes in Internal Controls over Financial Reporting. There were no changes in the Company’s internal control over financial reporting identified in connection with the evaluation of such internal control that occurred during the Company’s latest fiscal quarter that have materially affected, or are reasonably likely to materially affect, the Company’s internal control over financial reporting.

 

PART II. — OTHER INFORMATION

 

Item 1. Legal Proceedings

 

We are not a party to any pending legal proceedings other than claims and lawsuits arising in the ordinary course of business. In addition, our broker-dealers are regularly involved in reviews, inquiries, examinations, investigations and proceedings by government agencies and self-regulatory organizations regarding our business, which may result in judgments, settlements, fines, penalties, injunctions or other relief. Although there can be no assurances, at this time, the Company believes, based on information currently available, that the outcome of any such proceeding, review, inquiry, examination and investigation will not have a material adverse effect on our consolidated financial position or results of operations.

 

1A. Risk Factors

 

There has been no significant change to the risks or uncertainties that may affect our results of operations since December 31, 2013. Please see Item 1A in our Annual Report on Form 10-K for the year ended December 31, 2013 (as amended).

 

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Table of Contents

 

Item 2. Unregistered Sales of Equity Securities and Use of Proceeds

 

The following table sets forth our stock repurchase activity during the first  six months of 2014, including the total number of shares purchased, the average price paid per share, the number of shares repurchased as part of a publicly-announced plan or program, and the number of shares yet to be purchased under the plan or program.

 

ISSUER PURCHASES OF EQUITY SECURITIES

 

Period

 

Total Number of
Shares (or Units)
Purchased
(a)

 

Average
Price Paid per
Share (or Unit)

 

Total Number of
Shares (or Units)
Purchased as Part of
Publicly Announced
Plans or Programs

 

Maximum Number
of Shares (or Units)
that
May Yet Be Purchased
Under the Plans or
Programs

 

From: January 1, 2014

 

 

 

 

 

 

 

 

 

To: January 31, 2014

 

 

$

 

 

3,447,440

 

 

 

 

 

 

 

 

 

 

 

From: February 1, 2014

 

 

 

 

 

 

 

 

 

To: February 28, 2014

 

869,072

 

16.80

 

560,000

 

2,887,440

 

 

 

 

 

 

 

 

 

 

 

From: March 1, 2014

 

 

 

 

 

 

 

 

 

To: March 31, 2014

 

186,214

 

18.00

 

183,800

 

2,703,640

 

 

 

 

 

 

 

 

 

 

 

From: April 1, 2014

 

 

 

 

 

 

 

 

 

To: April 30, 2014

 

1,810

 

19.55

 

 

2,703,640

 

 

 

 

 

 

 

 

 

 

 

From: May 1, 2014

 

 

 

 

 

 

 

 

 

To: May 31, 2014

 

458,952

 

18.82

 

458,600

 

2,245,040

 

 

 

 

 

 

 

 

 

 

 

From: June 1, 2014

 

 

 

 

 

 

 

 

 

To: June 30, 2014

 

312,237

 

18.25

 

312,237

 

1,932,803

 

 

 

 

 

 

 

 

 

 

 

Total

 

1,828,285

 

$

17.68

 

1,514,637

 

 

 

 


(a) This column includes the acquisition of 315,000 common shares from employees in order to satisfy minimum statutory withholding tax requirements upon net settlement of restricted share awards.

 

During the first six months of 2014, we repurchased approximately 1.8 million shares of our common stock at a cost of $33.5 million, which was funded from our available cash resources. Of these shares, 1.5 million were purchased under our Board of Directors’ authorization for a total cost of 27.0 million (average cost of $17.86 per share). An additional 0.3 million shares repurchased ($6.4 million) pertained solely to the satisfaction of minimum statutory withholding tax upon the net settlement of equity awards.  As of June 30, 2014, the total remaining number of shares currently available for repurchase under ITG’s stock repurchase program was 1.9 million.  The specific timing and amount of repurchases will vary based on market conditions and other factors.

 

We have not paid a cash dividend to stockholders during any period of time covered by this report.  Our current policy, which is reviewed continually, is to retain earnings to finance the operations and expansion of our businesses and to return capital to stockholders through repurchases. As a result, we are not currently paying cash dividends on common stock.

 

Item 3. Defaults Upon Senior Securities

 

Not applicable.

 

Item 4. Mine Safety Disclosures

 

Not applicable.

 

Item 5. Other Information

 

Not applicable.

 

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Table of Contents

 

Item 6. Exhibits

 

(A)

EXHIBITS

 

 

 

 

 

31.1*

 

Rule 13a-14(a) Certification

 

 

 

 

 

31.2*

 

Rule 13a-14(a) Certification

 

 

 

 

 

32.1**

 

Section 1350 Certification

 

101*

 

Interactive Data File

 

 

 

The following furnished materials from Investment Technology Group, Inc.’s Quarterly Report on Form 10-Q for the quarter ended June 30, 2014, formatted in XBRL (Extensible Business Reporting Language), are collectively included herewith as Exhibit 101:

 

 

 

 

 

 

 

101. INS XBRL Instance Document.

 

 

 

101. SCH XBRL Taxonomy Extension Schema.

 

 

 

101. CAL XBRL Taxonomy Extension Calculation Linkbase.

 

 

 

101. DEF XBRL Taxonomy Extension Definition Linkbase.

 

 

 

101. LAB XBRL Taxonomy Extension Label Linkbase.

 

 

 

101. PRE XBRL Taxonomy Extension Presentation Linkbase.

 

 

 

 


 

*

 

Filed herewith.

 

**

 

Furnished herewith.

 

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Table of Contents

 

SIGNATURE

 

Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned thereunto duly authorized.

 

 

 

INVESTMENT TECHNOLOGY GROUP, INC.

 

 

(Registrant)

 

 

 

Date: August 11, 2014

By:

/s/ STEVEN R. VIGLIOTTI

 

 

Steven R. Vigliotti
Chief Financial Officer and Duly Authorized Signatory of Registrant

 

36


EX-31.1 2 a14-14126_1ex31d1.htm EX-31.1

Exhibit 31.1

 

CERTIFICATION

 

I, Robert C. Gasser, certify that:

 

1.                                      I have reviewed this quarterly report on Form 10-Q of Investment Technology Group, Inc.;

 

2.                                      Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3.                                      Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

 

4.                                      The registrant’s other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:

 

a)                                     Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

b)                                     Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

c)                                      Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

 

d)                                     Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting.

 

5.                                      The registrant’s other certifying officer and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

a)                                     All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and

 

b)                                     Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

Date: August 11, 2014

 

 

 

 

 

 

/s/ ROBERT C. GASSER

 

Robert C. Gasser

 

Chief Executive Officer

 


EX-31.2 3 a14-14126_1ex31d2.htm EX-31.2

Exhibit 31.2

 

CERTIFICATION

 

I, Steven R. Vigliotti, certify that:

 

1.                                      I have reviewed this quarterly report on Form 10-Q of Investment Technology Group, Inc.;

 

2.                                      Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3.                                      Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

 

4.                                      The registrant’s other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:

 

a)                                     Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

b)                                     Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

c)                                      Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

 

d)                                     Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting.

 

5.                                      The registrant’s other certifying officer and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

a)                                     All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and

 

b)                                     Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

Date: August 11, 2014

 

 

 

 

 

 

/s/ STEVEN R. VIGLIOTTI

 

Steven R. Vigliotti

 

Chief Financial Officer

 


EX-32.1 4 a14-14126_1ex32d1.htm EX-32.1

Exhibit 32.1

 

Certification Under Section 906 of the Sarbanes-Oxley Act of 2002

(18 U.S.C., Section 1350)

 

In connection with the Quarterly Report on Form 10-Q of Investment Technology Group, Inc. (the “Company”) for the quarter ended June 30, 2014, as filed with the SEC on the date hereof (the “Report”), Robert C. Gasser, as Chief Executive Officer of the Company, and Steven R. Vigliotti, as Chief Financial Officer of the Company, each hereby certifies, pursuant to 18 U.S.C. §1350, that to his knowledge:

 

(1)                                 The Report fully complies with the requirements of Section 13(a) or 15(d), as applicable, of the Securities Exchange Act of 1934, as amended (the “Exchange Act”); and

 

(2)                                 The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.

 

/s/ ROBERT C. GASSER

 

/s/ STEVEN R. VIGLIOTTI

Robert C. Gasser

 

Steven R. Vigliotti

Chief Executive Officer

 

Chief Financial Officer

August 11, 2014

 

August 11, 2014

 

The foregoing certification is being furnished solely pursuant to 18 U.S.C. § 1350 and shall not be deemed filed by the Company for purposes of Section 18 of the Exchange Act. Such certification will not be deemed to be incorporated by reference into any filing under the Securities Act of 1933, as amended, or the Exchange Act, except to the extent that the Company specifically incorporates it by reference.

 


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Tax Benefits Recognition Basis for Uncertain Tax Position Likelihood Realization Greater than Percentage Percentage of likelihood of realization that the tax position must exceed in order for the amount to be recognized Uncertain income tax positions not recognized, if percentage is less than, likelihood of being sustained Percentage of likelihood of realization that the tax position must exceed in order for the amount to be recognized. Indirect Taxes [Policy Text Block] Taxes Collected from Customers and Remitted to Governmental Authorities Disclosure of accounting policy for various taxes assessed by governmental entities on revenue producing transactions. These taxes may include but are not limited to sales, use, value-added and some excise taxes. Interest expense (as a percent) Represents the percentage of interest expense to total revenues. Interest Expense Percentage The gross amounts of interest incurred on cash received from counterparties as collateral for securities loaned. Interest Expense Securities Loaned Interest incurred The net amount of interest earned and incurred on securities borrowed and securities loaned transactions. Interest Income (Expense), Net on Securities Borrowed and Loaned Interest earned (incurred), net The gross amount of interest earned on cash provided to counterparties as collateral for securities borrowed. Interest Income on Securities Borrowed Interest earned Amendment Description Investment Technology Group Inc Retirement Savings Plan [Member] Retirement Savings Plan (RSP) Represents the Investment Technology Group, Inc. Retirement Savings Plan. Amendment Flag June 2012 Drawn [Member] June 2012 drawn Represents the amount drawn under the Master Lease Agreement during the year 2012. Compensation and employee benefits (as a percent) Represents the percentage of compensation and employee benefit expense to total revenues. Labor and Related Expense Percentage Australia AUSTRALIA Line of Credit Facility, Accordion Expansion Maximum Borrowing Capacity Maximum borrowing capacity under the credit facility when the accordion option is exercised, without consideration of any current restrictions on the amount that could be borrowed or the amounts currently outstanding under the facility. Maximum borrowing capacity including accordion expansion Master lease facility, amount available for funding leasehold improvements The maximum amount of borrowing capacity under a line of credit that is available as of the balance sheet date for construction expenditures of leasehold improvements. Line of Credit Facility Capacity Available for Funding Leasehold Improvements Credit facility initial term The initial period until expiration of the credit facility. Line of Credit Facility, Initial Term Asia Pacific Operations Asia Pacific [Member] Line of Credit, Incremental Interest Rate Incremental interest rate payable in event of default (as a percent) Represents the incremental interest rate payable in the event of default under the Credit Agreement. Majestic Research Corporation [Member] Represents the acquisition of Majestic Research Corp. ("Majestic"), an independent provider of data-driven equity research for the institutional investment community. Majestic Majestic Research Corp. Represents information pertaining to the electronic brokerage, a product group of the entity. Electronic Brokerage [Member] Electronic Brokerage Represents information pertaining to the research sales and trading, a product group of the entity. Research Sales and Trading [Member] Research Sales and Trading Platforms [Member] Platforms Represents information pertaining to the platforms, a product group of the entity. Analytics [Member] Analytics Represents information pertaining to the analytics, a product group of the entity. Market Based Phantom Share Units [Member] Market-based units Represents the market-based phantom share units of the entity. Market Based Restricted Stock [Member] Market-based share awards Represents the market-based restricted stock awards. Time-Based Restricted Stock Units Represents the time-based restricted stock awards. Time Based Restricted Stock [Member] Master Lease Agreement Drawn by Period [Axis] Information pertaining to the Master Lease Agreement, by period. Master Lease Agreement Drawn by Period [Domain] Information, by period, as specified under Master Lease Agreement. Current Fiscal Year End Date Award Type [Axis] Master Loan and Security Agreement [Member] Master Loan and Security Agreement (Term Loan Agreement) Represents information pertaining Master Loan and Security Agreement. Maximum Period of Expenditures Reimbursed Made During Interim Funding Period Maximum period of expenditures reimbursed made during interim funding period Represents the term of reimbursed of expenditures made during the interim funding period. Minimum Net Capital Required for Entity, Percentage Represents the percentage of aggregate indebtedness to compute the minimum amount of net capital required to be maintained by the entity to engage in securities transactions. Net capital percentage of aggregate indebtedness Minimum number of clients Minimum Number of Clients of Acquired Entity Represents the minimum number of clients served by an entity acquired by the reporting entity. Net Capital Requirement Net Capital Requirement [Line Items] Net Capital Requirement Represents the net capital requirement disclosure. Net Capital Requirement [Text Block] Net income (loss) (as a percent) Represents the percentage of net income to total revenues. Net Income (Loss) Available to Common Stockholders Basic Percentage Noncash Restructuring Charges The non-cash portion of the amount charged against earnings in the period for incurred and estimated costs, excluding asset retirement obligations, associated with exit from or disposal of business activities or restructurings pursuant to a program that is planned and controlled by management, and materially changes either the scope of a business undertaken by an entity, or the manner in which that business is conducted. Non-cash restructuring charges Number of Criteria to be Met for Revenue Recognition Number of revenue recognition criteria Represents the number of criteria to be met for revenue recognition from the subscriptions, maintenance, customer technical support and professional services. Number of Parties from Whom Matched Book Business Securities are Purchased Number of parties from whom matched book securities are purchased Represents the number of parties from whom matched book securities are purchased. Occupancy and equipment (as a percent) Represents the percentage of occupancy and equipment to total revenues. Occupancy Net Percentage Document Period End Date Omnibus Equity Compensation Plan 2007 [Member] 2007 Plan Represents the 2007 Omnibus Equity Compensation Plan. Canadian Operations CANADA Net operating loss carryforwards, expiration period Operating Loss Carryforwards Expiration Period Represents the operating loss carryforwards for the expiration periods. Represents the percentage of other general and administrative to total revenues. Other General and Administrative Expense Percentage Other general and administrative (as a percent) Ownership percentage for consolidation of affiliate Represents the maximum percentage of the outstanding voting shares of another entity held directly or indirectly by the parent for consolidation of financial statements. Ownership Percentage by Parent for Consolidation Amounts payable to clearing organizations on open transactions and floor-brokerage payables. Payables to Clearing Organizations Clearing organizations Payables to Customers [Abstract] Payables to customers Payables to Customers, Gross Customers Gross amount due to customers for fees and charges arising from transactions related to the entity's brokerage activities and operations. Performance Based Restricted Stock [Member] Performance-based share awards Represents the performance-based restricted stock awards. Performance Based or Market Based Restricted Stock [Member] Performance-Based or Market-Based Restricted Stock Units Represents the performance-based or market-based restricted stock awards. Entity [Domain] POSIT trade name Represents the information pertaining to POSIT, a registered trademark or a service mark of the entity. Posit Trade Name [Member] Gross amount as of the balance sheet date of the receivable from customers, brokers, dealers and clearing organizations for payments allocated for research products and other services provided by the third parties. Prepaid research, gross Prepaid Research Receivable, Gross Prepaid Research Receivable, Net Prepaid research, net of allowance Carrying amount as of the balance sheet date of the receivable from customers, brokers, dealers and clearing organizations for payments allocated for research products and other services provided by the third parties, net of allowance. Principles of Consolidation [Abstract] Principles of Consolidation Range of Exercise Prices from 12.17 to 18.71 Dollars [Member] Range of Exercise Prices $12.17 to $18.71 Represents the range of exercise prices from 12.17 dollars to 18.71 dollars. Range of Exercise Prices from 18.72 to 37.51 Dollars [Member] Represents the range of exercise prices from 18.72 dollars to 37.51 dollars. Range of Exercise Prices $18.72 to $37.51 Range of Exercise Prices $37.52 to $47.59 Represents the range of exercise prices from 37.52 dollars to 47.59 dollars. Range of Exercise Prices from 37.52 to 47.59 Dollars [Member] Receivables and Payables Receivables and Payables Disclosure [Text Block] Receivables from and Payables to Brokers, Dealers and Clearing Organizations. Receivables and Payables Receivables from Broker Dealers and Clearing Organization, Allowance for Doubtful Accounts Allowance for doubtful accounts Represents the allowance for doubtful accounts on receivables from brokers, dealers and clearing organizations. Receivables from Customers [Abstract] Receivables from customers Allowance for doubtful accounts Represents the allowance for doubtful accounts on receivables from customers. Receivables from Customers Allowance for Doubtful Accounts Receivables from Customers, Gross Customers Gross amount due from customers for fees and charges arising from transactions related to the entity's brokerage activities and operations. Recurring Revenue Recurring Recurring revenues principally consist of revenues from sales of analytical products, network connectivity and order management system services. Represents the reduction in capitalized software costs and related accumulated amortization for fully amortized costs that are no longer in use. Reduction in Capitalized Software Costs and Accumulated Amortization for Fully Amortized Costs No Longer in Use Reduction in capitalized software costs and related accumulated amortization for fully amortized costs that are no longer in use Cash Restricted or Segregated Under Regulations and Other Separate disclosure of the cash and cash items which are restricted as to withdrawal or usage. The provisions of any restrictions shall be described in a note to the financial statements. Restrictions may include legally restricted deposits held as compensating balances against short-term borrowing arrangements, contracts entered into with others, or entity statements of intention with regard to particular deposits; however, time deposits and short-term certificates of deposit are not generally included in legally restricted deposits. Restricted Cash and Cash Equivalents Disclosure [Text Block] Restructuring charges (as a percent) Represents the percentage of restructuring charges to total revenues. Restructuring Charges Percentage Represents the information pertaining to the 2010 restructuring plan. Restructuring Plan 2010 [Member] Restructuring Plan 2010 Restructuring Plan 2011 [Member] Restructuring Plan 2011 Represents the information pertaining to the 2011 restructuring plan. Restructuring accruals recorded in 2012 and 2011 Restructuring Plan 2012 and 2011 [Member] Represents the information pertaining to the 2012 and 2011 restructuring plan. Restructuring Plan 2012 [Member] Restructuring Plan 2012 Represents the information pertaining to the 2012 restructuring plan. Represents information pertaining to the Asia pacific restructuring plan, 2010. Restructuring Plan by Name [Axis] Restructuring Reserve Acceleration of Share Based Compensation in Additional Paid in Capital Acceleration of share-based compensation in additional paid-in capital Represents the acceleration of share-based compensation in additional paid-in capital related to restructuring. Restructuring Reserve Adjustment for Sublease Adjustment for sub-lease Represents the sub-lease adjustments made during the period to the amount of an accrued liability for restructuring activities. Restructuring Reserve, Other Adjustment Other Represents the other adjustments made during the period to the amount of an accrued liability for restructuring activities. Total revenues (as a percent) Represents the percentage of total revenues. Revenues Percentage Represents information pertaining three-year revolving credit agreement with a syndicate of banks. Credit Agreement Revolving Credit Agreement Agreement [Member] Ross Smith Energy Group Ltd [Member] RSEG Represents the acquisition of Ross Smith Energy Group Ltd., a Calgary-based independent provider of research on the oil and gas industry. Ross Smith Energy Group Ltd. ("RSEG") Represents the acquisition of Ross Smith Energy Group Ltd. ("RSEG"), a Calgary-based independent provider of research on the oil and gas industry. Ross Smith Energy Group Ltd RSEG [Member] Schedule of Capitalized Software [Table Text Block] Schedule of capitalized software costs Tabular disclosure pertaining to capitalized software costs. Tabular disclosure of client commissions allocated for research and related prepaid and accrued research balances. Schedule of Client Commission Arrangements [Table Text Block] Schedule of client commission arrangement Summary of receivables from and payables to customers Tabular disclosure of amounts due from customers for fees and charges arising from transactions related to the entity's brokerage activities and operations. Schedule of Due to from Customers [Table Text Block] U.K. UNITED KINGDOM Disclosure of the major classes of finite-lived and indefinite-lived intangible assets showing the amount, any significant residual value, weighted average amortization period, and other characteristics. A major class is composed of intangible assets that can be grouped together because they are similar, either by nature or by their use in the operations of the company. Schedule of Finite Lived and Indefinite Lived Intangible Asset by Major Class [Table] Offsetting Assets and Liabilities [Table Text Block] Summary of the transactions under certain Master Securities Lending Agreements that may be eligible for offsetting if an event of default occurred and a right of offset was legally enforceable Tabular disclosure of derivative and other financial assets and derivative and other financial liabilities that are subject to offsetting, including master netting arrangements. Schedule of Net Capital [Table] Discloses the pertinent information about the maintenance of minimum net capital as per the methods permitted by regulatory authorities. Schedule of information about stock options Tabular disclosure of the total intrinsic value of options exercised, weighted-average grant-date fair value and cash received from options exercised. Schedule of Share Based Compensation Arrangement by Share Based Payment Award, Options, Intrinsic Value of Options Exercised Weighted Average Grant Date Fair Value and Cash Received from Exercise of Stock Options [Table Text Block] Schedule of status of phantom share awards Tabular disclosure of the activity relating to phantom shares during the reporting period. Schedule of Share Based Compensation Phantom Share Activity [Table Text Block] Second Amendment [Member] Second amendment Represents the second amendment. Securities Borrowed and Loaned [Abstract] Securities Borrowed and Loaned Disclosure of financial instruments held by a broker-dealer for its own account (proprietary securities) for trading or investment purposes that are carried at fair value including securities sold, not yet purchased. Securities Owned and Sold, Not Yet Purchased Securities Owned and Sold Not yet Purchased at Fair Value Disclosure [Text Block] Securities Owned and Sold, Not Yet Purchased Securities Transactions [Policy Text Block] Securities Transactions Disclosure of accounting policy for securities transactions. It includes how the transactions are recognized in the financial statements, types of securities involved in the transactions, receivables and payables to broker-dealers. September 2011 Drawn [Member] September 2011 drawn Represents the amount drawn under the Master Lease Agreement during the year 2011. Severance and Restructuring Charges [Member] Severance and restructuring charges The allocation (or location) of expense to (in) severance and restructuring charge. Entity Well-known Seasoned Issuer Share Based Compensation Arrangement by Share Based Payment Award, Award Cliff Vesting Period, Shares Granted Since 2007 For awards issued starting in 2007, description of the period of time over which an employee's right to exercise an award is no longer contingent on satisfaction of either a service condition, market condition or a performance condition. Cliff vesting on anniversary from date of grant, awards granted since 2007 Entity Voluntary Filers Full vesting after the period, on anniversary of the grant For time-based option awards granted under the plan, represents the description of the period of time over which an employee's right to exercise an award is no longer contingent on satisfaction of a service condition. Under the plan, this vesting schedule stipulates that all awards vest in full after the period whereas the alternate vesting schedule is in installments over the period. Share Based Compensation Arrangement by Share Based Payment Award, Award Period for Full Vesting Entity Current Reporting Status Represents the common stock units to be issued as a percentage of cash compensation deferred. Share Based Compensation Arrangement by Share Based Payment Award, Equity Instruments Other than Options, Common Stock Units as Percentage of Compensation Deferred Common stock units to be issued as a percentage of cash compensation deferred Entity Filer Category The period during which the Company's average stock price is assessed in determining the vesting of an award to the recipient. Share Based Compensation Arrangement by Share Based Payment Award, Equity Instruments Other than Options Company Stock Price Average Period Assessed Period during which the Company's average stock price is assessed in determining the vesting of an award to the recipient Entity Public Float Share Based Compensation Arrangement by Share Based Payment Award, Equity Instruments Other than Options, Company Stock Price Average Period Assessed Preceding Grant Date Period preceding the grant date during which the entity's average stock price is assessed in determining the vesting of an award to the recipient Represents the period preceding the grant date during which the entity's average stock price is assessed in determining the vesting of an award to the recipient. Entity Registrant Name Minimum cash compensation required to qualify for elective participation under the plan Share Based Compensation Arrangement by Share Based Payment Award, Equity Instruments Other than Options, Minimum Earnings for Elective Participation in the Plan Represents the minimum cash compensation required in order to qualify for elective participation in the plan. Entity Central Index Key Represents the percentage of deferred compensation that is fully vested at all times and non-forfeitable. Share Based Compensation Arrangement by Share Based Payment Award, Equity Instruments Other than Options, Percentage of Fully Vested and Non Forfeitable Deferred Compensation Percentage of deferred compensation that is fully vested at all times and non-forfeitable Percentage of the deferred compensation representing the match that is contingent only on employment with the Company The percentage of the deferred compensation representing the match that is contingent only on employment with the Company. Share Based Compensation Arrangement by Share Based Payment Award, Equity Instruments Other than Options, Percentage of Match Portion of Deferred Compensation Hong Kong HONG KONG Share Based Compensation Arrangement by Share Based Payment Award, Equity Instruments Other than Options, Percentage of the Match Portion of Deferred Compensation that Vests on Sixth Anniversary Percentage of deferred compensation representing the match that vests on sixth anniversary Represents the percentage of deferred compensation representing the match that vests on the sixth anniversary. Represents the percentage of deferred compensation representing the match that vests on the third anniversary. Share Based Compensation Arrangement by Share Based Payment Award, Equity Instruments Other than Options, Percentage of the Match Portion of Deferred Compensation that Vests on Third Anniversary Percentage of deferred compensation representing the match that vests on third anniversary Entity Common Stock, Shares Outstanding Purchase of common stock for treasury (1,514,637 shares) Share Based Compensation Arrangement by Share Based Payment Award, Equity Instruments Other than Options, Vested in Period Total Value of Shares Paid for Tax Withholding Represents the value of shares repurchased in satisfaction of the minimum statutory withholding tax upon the settlement of equity awards. Value of shares repurchased to satisfy minimum statutory withholding tax upon the net settlement of equity awards (in dollars) The fair value as of grant date pertaining to an equity-based award plan other than a stock (or unit) option plan for which the grantee gained the right during the reporting period, by satisfying service and performance requirements, to receive or retain shares or units, other instruments, or cash in accordance with the terms of the arrangement. Grant date fair value Share Based Compensation Arrangement by Share Based Payment Award, Equity Instruments Other than Options, Vested Total Grant Date Fair Value Number of shares vested or shall vest with performance metrics Share Based Compensation Arrangement by Share Based Payment Award, Options, Vested and Expected to Vest with Performance Metrics As of the balance sheet date, the number of shares into which fully vested and expected to vest stock options outstanding can be converted under the option plan on meeting the performance metrics. Percentage of deferred compensation representing the match that vests on fourth anniversary Represents the percentage of matching units granted on the fourth anniversary of the grant date following vesting in annual installments on the first, second, and third anniversaries from grant date. Share Based Compensation Arrangement by Share Based Payment Award, Percentage of Matching Units Granted on Fourth Anniversary of Grant Date As of the balance sheet date, the number of shares into which fully vested and expected to vest stock options outstanding can be converted under the option plan without meeting the performance metrics. Share Based Compensation Arrangement by Share Based Payment Award, Options, Vested and Expected to Vest without Performance Metrics Number of shares vested or shall vest without performance metrics Ireland IRELAND Percentage of matching units granted on grant date Represents the percentage of matching units granted on grant date. Share Based Compensation Arrangement by Share Based Payment Award, Percentage of Matching Units Granted on Grant Date Represents the percentage of matching units granted on the third anniversary of the grant date following vesting in annual installments on the first, second, and third anniversaries from grant date. Share Based Compensation Arrangement by Share Based Payment Award, Percentage of Matching Units Granted on Third Anniversary of Grant Date Percentage of matching units granted on third anniversary of grant date Percentage of matching units granted on grant date prior to 2012 Represents the percentage of matching units to be granted on grant date. Share Based Compensation Arrangement by Share Based Payment Award, Percentage of Matching Units to be Granted on Grant Date Period after which matching units are granted Represents the period after which matching units are granted. Share Based Compensation Arrangement by Share Based Payment Award, Period after which Matching Units are Granted Share Based Compensation Arrangement by Share Based Payment Award, Value of Shares Granted at or Shortly after Appointment Value of shares granted at or shortly after the time of appointment Represents the value of shares granted at or shortly after the time of appointment. Represents the value of shares granted on the forty fifth day following each of the annual meetings of stockholders. Share Based Compensation Arrangement by Share Based Payment Award, Value of Shares Granted on Forty Fifth Day Following Each Annual Meeting of Stockholders Value of shares granted on the forty fifth day following each of the annual meetings of stockholders Represents July -2008, repurchase program authorization date. Share Repurchase Program Authorization Date July 2008 [Member] July 2008 Share Repurchase Program Authorization Date July 2010 [Member] July 2010 Represents July -2010, repurchase program authorization date. Share Repurchase Program Authorization Date October 2011 [Member] October 2011 Represents October 2011, repurchase program authorization date. Information by various share repurchase programs authorization date. Share Repurchase Program by Authorization Date [Axis] Share Repurchase Program by Authorization Date [Domain] Represents the various repurchase programs. Significant Accounting Policies and Principles of Consolidation Disclosure [Text Block] Summary of Significant Accounting Policies This element encompasses and aggregates all the concepts of financial statement disclosures that pertain to accounting policies, for the reporting entity, into a single text block. Descriptions of the significant accounting policies, consolidations, use of estimates may be encapsulated in one footnote. Document Fiscal Year Focus Issuance of common stock for employee stock unit awards, shares Issuance of common stock for employee stock unit awards. Stock Issued During Period, Shares, Stock Unit Awards Document Fiscal Period Focus SUA Subplan Represents the Stock Unit Award Program Subplan of the entity. Stock Unit Award Program Subplan [Member] Stock Units [Member] Stock units granted to employees as employment inducement awards in conjunction with an acquisition. Stock units Japan JAPAN Term of agreement Subscription Agreement Term Represents the term of the agreement. Summary of Significant Accounting Policies Reductions in the entity's income taxes that arise when compensation cost (from other than stock options awards) recognized on the entity's tax return exceeds compensation cost from other than stock option awards recognized on the income statement. This element increases net cash provided by operating activities. Tax Benefit from Other than Options Vested Tax shortfalls related to the vesting Represents the time-based option awards of the entity. Time Based Option [Member] Time-based option awards Treasury Stock, Shares Acquired Total Represents the total number of shares that have been repurchased during the period and are being held in treasury including shares repurchased under the Company's Board of Director's authorization and the net settlement of equity awards. Total Shares Purchased Treasury Stock Value Acquired Total Represents the total value of shares that have been repurchased during the period and are being held in treasury including shares repurchased under the Company's Board of Director's authorization and the net settlement of equity awards. Total cost (in dollars) Represents the percentage of aggregate debit items to compute the minimum net capital to maintain in accordance with the Formula for Determination of Reserve Requirements for Brokers and Dealers (as defined). Net capital percentage of debit balances arising from customer transactions Two Percent of Debit Items, Percentage Investments in short-term U.S. government money-market mutual funds which pay money market rates of interest. US Government Money Market Mutual Funds [Member] U.S. government money market mutual funds Unrecognized Tax Benefits Interest on Income Taxes Accrued Tax Effect The tax effect amount of interest expense accrued as of the date of the statement of financial position for an underpayment of income taxes. Tax effect of interest accrued on unrecognized tax benefits Legal Entity [Axis] Represents the amount of expenditure for duplicate rent charges. Duplicate Rent Charges Duplicate rent charges Document Type One Time Transfer Charge One-time charge upon completion of the move Represents the amount of expenditure incurred for one-time transfer charges. Time-based award Represents the time-based awards of the entity. Time Based Award [Member] Represents the market-based option awards of the entity. Market Based Award [Member] Market-based award Share Based Compensation Arrangement by Share Based Payment Award, Equity Instruments Other than Options Modified and Settled in Cash Represents the number of equity-based payment instruments, excluding stock (or unit) options that are modified and settled in cash during the reporting period. Number of awards modified and settled in cash (in shares) Deferred shares or units outstanding Represents the deferred shares or units outstanding under the defined contribution plan. Director Benefit Plan Deferred Shares or Units Outstanding Restructuring Plan 2013 [Member] Restructuring Plan 2013 Represents information pertaining to the 2013 restructuring plan. Cash balance under Proprietary Accounts for Introducing Brokers agreements Represents the cash balance, as of date of the balance sheet, under agreements for proprietary accounts of introducing brokers. Cash Balance under Agreements for Proprietary Accounts of Introducing Brokers Accrued research payables Carrying value as of the balance sheet date of obligations incurred through that date and payable for research purposes. Accrued Research Payables Accrued transaction processing Carrying value as of the balance sheet date of transaction processing expense including costs to access various third-party execution destinations and to process, clear and settle transactions. Accrued Transaction Processing, Current and Noncurrent Acquisition Related Costs Percentage Acquisition - related costs (as a percent) Represents the percentage of acquisition related costs to total revenues. Adjustment to Additional Paid in Capital resulting from the classification of awards to liability for cash settlement. Awards reclassified to liability for cash settlement (259,840 shares) Adjustments to Additional Paid in Capital Awards Classified to Liability for Cash Settlement Allowance for Doubtful Accounts [Abstract] Allowance for doubtful accounts Represents a valuation allowance for prepaid research receivables due a company that are expected to be uncollectible. Allowance for Prepaid Research Receivable Allowance for prepaid research Alternet [Member] Represents AlterNet Securities, Inc., a principal subsidiary of the entity. Alter Net Amendment [Axis] Represents the information pertinent to different amendments. Amendment [Domain] Represents different amendments. Asia Pacific Operations Represents information pertaining to Asia Pacific Operations segment which provides electronic and high-touch trade execution, trade execution management, network connectivity, analytical products and investment research services. Asia Pacific Operations [Member] Accounts Payable and Accrued Expenses Accounts Payable and Accrued Liabilities Disclosure [Text Block] Asia Pacific Restructuring 2010 Represents information pertaining to the Asia pacific restructuring plan, 2010. Asia Pacific Restructuring 2010 [Member] Awards Classified to Liability for Cash Settlement, Shares Awards reclassified to liability for cash settlement, shares The number of shares for which the value is classified to liability for cash settlement. Benefit Plans [Domain] The name of the benefit plan, or a description of the plans grouped. Benefit Plans [Table] Disclosures about defined contribution plans. The amount of acquisition cost of a business combination allocated to accounts payable and accrued liabilities of the acquired entity. Accounts payable and accrued liabilities Business Acquisition, Purchase Price Allocation, Current Liabilities, Accounts Payable and Accrued Liabilities Accounts payable and accrued liabilities Number of years over which goodwill is deductible for tax purposes Represents the number of years over which the goodwill is deductible for tax purposes. Business Acquisition, Purchase Price Allocation, Goodwill Number of Years for Expected Tax Deductible Business Acquisition, Purchase Price Allocation, Other Assets, Liabilities, Net Other assets and liabilities, net The amount of acquisition cost of a business combination allocated to other assets and liabilities of the acquired entity. Costs related with termination of a distribution agreement, net Represents the costs associated with the termination of distribution agreement with a third party which is included in the acquisition related costs, net of recovery from acquiree's former owners. Business Combination, Acquisition Termination Costs, Net Costs related with termination of a distribution agreement, recovery from former owners Represents the portion of costs associated with the termination of distribution agreement with a third party which was subject to recovery from acquiree's former owners. Business Combination, Acquisition Termination Costs Portion Covered by Former Owners Disclosure of accounting policy for completed business combinations (purchase method, acquisition method or combination of entities under common control), goodwill and other intangibles. This accounting policy also may address how an entity assesses and measures impairment of goodwill and other intangible assets. Business Combinations, Goodwill and Intangible Assets [Policy Text Block] Business Combinations, Goodwill and Other Intangibles Ending purchase price of underlying assets Capital Lease Obligations Ending Purchase Price Represents the purchase price of the underlying equipment at the end of the capital lease term. Term of capital lease The term of the capital lease. Capital Lease Obligations Term Cash Equivalents, Maximum Original Maturity Period Maximum original maturity period of cash equivalents Represents the maximum original maturity period of highly liquid investments. Cash Restricted or Segregated Under Regulations and Other Client Commission Arrangements [Abstract] Client Commission Arrangements Client Commissions Allocated to Research Client commissions Represents the portion of gross commissions allocated by clients to pay for research products and other services provided by the third parties. Common Stock Held in Treasury [Policy Text Block] Common Stock Held in Treasury, at cost Disclosure of accounting policy for common stock held in treasury. Telecommunications and data processing services (as a percent) Represents the percentage of telecommunications and data processing services to total revenues. Communications and Information Technology Percentage Represents the maximum amount of separation payments payable by the entity in the event of early, without cause, termination of employment arrangements. Entity is liable for the lower of this amount and the minimum compensation remaining under the arrangements at the termination date. Maximum separation payments payable for early termination of employment arrangements without cause Compensation Liability Maximum in Event of Termination without Cause Tabular disclosure pertaining to the net capital balances and the amounts in excess of required net capital for other than U.S. operations. Computation of Net Capital for Other than US Operations [Table Text Block] Net capital balances and the amounts in excess of required net capital for other than U.S. Operations Consolidation of leased facilities Represents the consolidation of leased facilities charges that relate to non-cancelable leases which were vacated. Consolidation of Leased Facilities [Member] Lease consolidation costs Costs and Expenses Percentage Total expenses (as a percent) Represents the percentage of total expenses to total revenues. Expenses (as a percent) Costs and Expenses Percentage [Abstract] 2006 Credit Agreement Represents information pertaining 2006 Credit Agreement with a syndicate of banks, which consists of five-year term loan and five-year revolving facility. Credit Agreement 2006 [Member] Accounts payable and accrued expenses: Rate of additional interest in event of default (as a percent) Represents the additional interest rate payable in the event of a default of the terms of the Term Loan Agreement. Debt Instrument, Additional Interest Rate Debt Instrument, Variable Rate Base Federal Funds [Member] Federal funds rate The Federal Funds rate used to calculate the variable interest rate of the debt instrument. Debt Instrument, Variable Rate Base One Month Eurodollar LIBOR [Member] One month Eurodollar London Interbank Offered Rate The one-month Eurodollar London Interbank Offered Rate (LIBOR) used to calculate the variable interest rate of the debt instrument. The base rate loans used to calculate the variable interest rate of the debt instrument. Debt Instrument, Variable Rate Base Rate Loans [Member] Base rate Deferred Compensation Arrangements [Line Items] Other Commitments Deferred Compensation [Table] Disclosures about deferred compensation. Deferred Gain on Assets Purchased under Capital Lease Obligations Deferred gain Represents the deferred gain on assets purchased under capital lease obligations. The amount as of the balance sheet date of the estimated future tax effects attributable to the difference between the tax basis of depreciation and the basis of depreciation computed in accordance with generally accepted accounting principles. Deferred Tax Assets, Depreciation on Property, Plant and Equipment Depreciation Deferred Tax Assets, Operating Loss and Capital Loss Carryforwards Net Net operating loss and capital loss carryover The sum of the tax effects as of the balance sheet date of the amount of excesses of tax deductions over gross income in a year which cannot be used on the tax returns in the current year but can be carried forward to reduce taxable income or income taxes payable in a future year, for which there must be sufficient tax-basis income to utilize a portion or all of the carryforward amount to realize the deferred tax asset. Also includes the tax effect as of the balance sheet date of the amount of future tax deductions arising from capital losses in excess of statutory limitations in historical filings, and which can only be utilized if sufficient tax-basis income is generated in future periods and providing tax laws continue to allow such utilization. Defined Contribution Plan, Annual Matching Contribution, Per Employee Percent, Prior to 1 January 2011 Company matching contribution, under the plan, prior to January 1, 2011 (as a percent) Maximum percentage of employee gross pay, by the terms of the plan, that the employer may contribute to a defined contribution plan prior to January 1, 2011. Defined Contribution Plan, Discretionary Annual Contribution Per Employee Percent, Prior to 1 January 2011 Based on Profits Represents the discretionary percentage of annual employee eligible compensation that the employer contributed under the defined contribution plan prior to January 1, 2011, based on profits. Company discretionary contribution prior to January 1, 2011, based on profits (as a percent) Represents the guaranteed percentage of annual employee eligible compensation that the employer contributed under the defined contribution plan prior to January 1, 2011, based on profits. Defined Contribution Plan, Guaranteed Annual Contribution Per Employee, Percent Prior to 1 January 2011 Based on Profits Company guaranteed contribution, under the plan, prior to January 1, 2011 (as a percent) Defined Contribution Plan [Line Items] Employee and Non Employee Director Benefit Plans Accounts Payable and Accrued Liabilities Accounts payable and accrued expenses Total Defined Contribution Plan, Maximum Eligible Compensation Percentage Used to Calculate Employer Matching Contribution, Percent Maximum eligible compensation (as a percent) The maximum percentage of eligible compensation that the employer uses to determine the Company's matching contribution rate. Other Intangible Assets Definite Lived and Indefinite Lived Intangible Assets [Line Items] Director Benefit Plan, Annual Retainer Fee Received by Lead Director Chairman Since August 2008 Annual retainer fee received by lead director and chairman since August, 2008 Represents the annual retainer fee received by the external lead director and chairman under the benefit plan since 2008. Director Benefit Plan, Annual Retainer Fee Received Since 2006 Annual retainer fee received by non-employee directors, excluding the lead director and chairman, since 2006 Represents the annual retainer fee received by non-employee directors, except the lead director and chairman, since 2006 under the plan. Director Benefit Plan, Cost Recognized The amount of the cost recognized during the period under the non-employee director benefit plan. Benefit costs Director Benefit Plan, Deferred Shares or Units Received Deferred shares or units received Represents the deferred shares or units received under the defined contribution plan. Represents the Directors' Equity Subplan. Directors Equity Subplan [Member] Directors' Equity Subplan Represents the Directors' Retainer Fee Subplan. Directors Retainer Fee Subplan [Member] Directors' Retainer Fee Subplan Document and Entity Information Effective Income Tax Rate Reconciliation, Nondeductible Expense, Acquisition Costs Non-deductible costs (as a percent) The portion of the difference between the effective income tax rate and domestic federal statutory income tax rate attributable to non-deductible acquisition costs under enacted tax laws. Represents the Equity Deferral Award Program. Equity Deferral Award Program (EDA) Equity Deferral Award Program EDA [Member] European Operations Represents the European Operations segment that provides trade execution, trade order management, network connectivity and research services in Europe, and includes a technology research and development facility in Israel. European [Member] European Operations Represents information pertaining to European Operations segment which provides electronic and high-touch trade execution, trade order and execution management, network connectivity and analytical products and includes a technology research and development facility in Israel. European Operations [Member] Fourth Quarter 2010 Represents the entity's restructuring program implemented in fourth quarter of 2010 involving the closure of its Westchester, NY office and relocate the staff to its New York City office. Fourth Quarter 2010 [Member] First Amendment [Member] First amendment Represents the first amendment. Floor Brokerage Exchange and Clearance Fees Percentage Transaction processing (as a percent) Represents the percentage of transaction processing to total revenues. Goodwill Impairment Loss Percentage Goodwill and other asset impairment (as a percent) Represents the percentage of goodwill impairment loss to total revenues. Represents ITG Derivatives LLC, a principal subsidiary of the entity. ITG Derivatives [Member] ITG Derivatives Represents ITG Inc., a principal subsidiary of the entity which is a self clearing broker-dealer of equity securities. ITG Inc [Member] ITG Inc. Income (Loss) from Continuing Operations before Income Taxes Minority Interest and Income (Loss) from Equity Method Investments Percentage Income (loss) before income tax expense (as a percent) Represents the percentage of income before income tax expense to total revenues. Income Tax Examination, Decrease in Deferred Tax Assets Reduction in deferred tax assets due to uncertain tax positions Represents the decrease in deferred tax assets attributable to uncertain tax positions related to resolution of positions on tax returns for prior years. Trade payables Accounts Payable, Trade Income tax expense (benefit) (as a percent) Represents the percentage of income tax expense (benefit) to total revenues. Income Tax Expense (Benefit) Percentage Income Taxes [Abstract] Income Taxes Singapore SINGAPORE United States Operations [Member] U.S. Operations Represents information pertaining to U.S. Operations segment which provides electronic and high-touch trade execution, trade order and execution management, network connectivity, analytical products and investment research services. Canadian Operations Represents information pertaining to Canadian Operations segment which provides electronic and high-touch trade execution, trade execution management, network connectivity, analytical products and investment research services. Canadian Operations [Member] Mutual funds Mutual Funds [Member] Investments that pool funds from many investors to invest in a combination of underlying investments, primarily fixed income and equity investments. Bank of America Represents information pertaining to the master lease facility entered into with Bank of America. Bank of America [Member] BMO Harris Equipment Finance Company [Member] BMO Harris Equipment Finance Company Represents information pertaining to the master lease facility entered into with BMO Harris Equipment Finance Company. Restructuring charges also triggered the recognition of associated with the anticipated withdrawal from Israel Represents the amount of restructuring charges also triggered the recognition of associated with the anticipated withdrawal from Israel. Restructuring Charges Recognized Tax Charge Gain Related to Adjustments to Historical Dividend with Holdings on Securities Borrowed Gain related to adjustments to historical dividend withholdings on securities borrowed Represents the gain related to adjustments to historical dividend withholdings on securities borrowed. Reserve for Remaining Rent Expense Reserve for remaining rent expense at its old headquarters upon completion of the move Represents the amount of reserve for remaining rent expense at its old headquarters upon completion of the move. Non Operating Charges Reserve for Remaining Lease Obligation Non-operating charge , which included a reserve for the remaining lease obligation for the previous midtown Manhattan headquarters Represents the amount of non-operating charge, which included a reserve for the remaining lease obligation for the previous midtown Manhattan headquarters. Charge Recorded for Remaining Rent Expense Charge recorded for remaining rent expense at the entity's old headquarters upon completion of the move Represents the amount of charge recorded for the remaining rent expense at the entity's old headquarters upon completion of the move. Unrecognized Tax Benefits Resolved Uncertain tax positions resolved Represents the gross amount of unrecognized tax benefits pertaining to uncertain tax positions taken in tax returns resolved during the period. Proceeds from Repayments of Bank Debt (Repayments of) proceeds from borrowing under short-term bank loans The cash inflow from a borrowing net of the cash outflow from repayment of bank borrowing during the year. New Revolving Credit Agreement [Member] Represents information pertaining two-year revolving credit agreement with a syndicate of banks. New Credit Agreement Business Combination Consideration Transferred, Net of Cash Acquired Total consideration, net of cash This element represents the acquisition-date fair value of the total consideration transferred, net of cash acquired. IDS [Member] ID'S Represents information pertaining to the ID'S a Paris-based company that develops and licenses RFQ-Hub. Investment Technology Group Limited [Member] ITGL Represents Investment Technology Group Limited ("ITGL"), a principal subsidiary of the entity which is institutional broker-dealer. Additional Net Capital Contributed Additional capital contributed Represents the amount of additional net capital contributed. U.S. Operations UNITED STATES Accrued Rent Accrued rent Income taxes payable Accrued Income Taxes Reduction in accumulated depreciation and amortization Accumulated Depreciation, Depletion and Amortization, Property, Plant and Equipment, Period Increase (Decrease) Accumulated Depreciation, Depletion and Amortization, Property, Plant, and Equipment Less: accumulated depreciation and amortization Unrealized holding gain on securities, available-for-sale Total gain/(loss) Accumulated Other Comprehensive Income (Loss), Net of Tax Accumulated other comprehensive income (net of tax) After Tax Effects Accumulated Other Comprehensive Income Accumulated Other Comprehensive Income (Loss) [Member] After-Tax Unrealized Holding Gain/(Loss) Accumulated Other Comprehensive Income Accumulated Other Comprehensive Income (Loss) [Line Items] Accumulated Other Comprehensive Income (Loss) [Table] Before Tax Effects Accumulated Other Comprehensive Income (Loss), before Tax Currency translation adjustment Accumulated Translation Adjustment [Member] Additional paid-in capital Additional Paid in Capital, Common Stock Additional Paid-in Capital Additional Paid-in Capital [Member] Adjustments to reconcile net income to net cash provided by (used in) operating activities Adjustments to Reconcile Net Income (Loss) to Cash Provided by (Used in) Operating Activities [Abstract] Share-based compensation Adjustments to Additional Paid in Capital, Share-based Compensation, Requisite Service Period Recognition Increase in current taxes payable Issuance of common stock for restricted share awards, tax benefit shortfall and award cancellations (in dollars) Adjustments to Additional Paid in Capital, Income Tax Benefit from Share-based Compensation Share-based compensation expense Allocated Share-based Compensation Expense Total write-offs against the allowance Allowance for Doubtful Accounts Receivable, Write-offs Excess Net Capital Amortization expense of other intangible assets Amortization of Intangible Assets Equity awards not included in the diluted earnings per share computation Antidilutive Securities Excluded from Computation of Earnings Per Share, Amount Total losses Asset Impairment Charges [Abstract] Assets Assets, Fair Value Disclosure [Abstract] Total assets Identifiable assets Assets Assets Assets [Abstract] Total Assets Assets, Fair Value Disclosure Total Assets, Fair Value Disclosure, Nonrecurring Pre-tax gain on the sale of available-for-sale securities Available-for-sale Securities, Gross Realized Gain (Loss) Commissions and fees Brokerage Commissions Revenue Accounts receivable, net Business Combination, Recognized Identifiable Assets Acquired and Liabilities Assumed, Current Assets, Receivables Deferred income Business Combination, Recognized Identifiable Assets Acquired and Liabilities Assumed, Current Liabilities, Deferred Revenue Business Acquisition [Axis] Cash Business Combination, Recognized Identifiable Assets Acquired and Liabilities Assumed, Cash and Equivalents Facility closing expense Business Exit Costs Customer related intangible asset Business Combination, Recognized Identifiable Assets Acquired and Liabilities Assumed, Intangible Assets, Other than Goodwill Acquisitions Business Acquisition [Line Items] Percentage of interest acquired Business Acquisition, Percentage of Voting Interests Acquired Business Acquisition, Acquiree [Domain] Acquisitions Acquisitions Business Combination Disclosure [Text Block] Contingent payment provisions Business Combination, Contingent Consideration Arrangements, Range of Outcomes, Value, High Acquisition related costs Acquisition related costs , including legal fees, contract settlement costs and other professional fees Acquisition-related costs Business Combination, Acquisition Related Costs Purchase price allocation Business Combination, Recognized Identifiable Assets Acquired, Goodwill, and Liabilities Assumed, Net [Abstract] Total purchase price Business Combination, Recognized Identifiable Assets Acquired, Goodwill, and Liabilities Assumed, Net 2015 Capital Leases, Future Minimum Payments Due in Two Years Capital lease, amount Obligations under capital lease Capital Leases, Future Minimum Payments Due Obligations under capital leases Capital lease principal amount Capital Lease Obligations Master Lease Agreement Capital Lease Obligations [Member] Variable rate basis on capital lease obligation Capital Leases of Lessee, Contingent Rentals, Description of Variable Rate Basis Acquisition payment obligation Interest, margin over base rate (as a percent) Capital Leases of Lessee, Contingent Rentals, Basis Spread on Variable Rate 2016 Capital Leases, Future Minimum Payments Due in Three Years 2011 2017 Capital Leases, Future Minimum Payments Due in Four Years The reductions to the remaining principal balance applying the interest method to the estimated minimum lease payments Capital Leases, Future Minimum Payments Due, Fiscal Year Maturity [Abstract] 2014 Capital Leases, Future Minimum Payments Due, Next Twelve Months Amortization of capitalized software costs Capitalized Computer Software, Amortization Write-off of additional capitalized development initiatives Capitalized software write-off Capitalized Computer Software, Impairments Capitalization of software development costs Capitalized software development costs Capitalized Computer Software, Additions Capitalized software costs Capitalized Computer Software, Gross Capitalized software, net Total Capitalized Computer Software, Net Less: accumulated amortization Capitalized Computer Software, Accumulated Amortization Capitalized software costs not subject to amortization Capitalized Software Development Costs for Software Sold to Customers Cash restricted or segregated under regulations and other Cash and Securities Segregated under Federal and Other Regulations Increase in interest expense due to final settlement of swaps Cash and cash equivalents Cash and cash equivalents - beginning of year Cash and cash equivalents - end of period Cash and Cash Equivalents, at Carrying Value Cash and Cash Equivalents Cash and Cash Equivalents, Policy [Policy Text Block] Cash acquired Cash Acquired from Acquisition Cash and cash equivalents: Cash and Cash Equivalents, Fair Value Disclosure Cash and Cash Equivalents Cash and Cash Equivalents [Abstract] Corporate stocks-available-for-sale Class of Treasury Stock [Table] Client Commission Arrangements Commissions, Policy [Policy Text Block] Commitments and Contingencies. Commitments and contingencies Commitments and Contingencies Commitments and Contingencies Commitments and Contingencies Disclosure [Text Block] Common stock, par value (in dollars per share) Common Stock, Par or Stated Value Per Share Common Stock Common Stock [Member] Common stock, $0.01 par value; 100,000,000 shares authorized; 52,191,351 and 52,158,374 shares issued at June 30, 2014 and December 31, 2013, respectively Common Stock, Value, Issued Common stock, shares issued Common Stock, Shares, Issued Common stock, shares authorized Common Stock, Shares Authorized Common stock, outstanding Telecommunications and data processing services Communications and Information Technology Deferred tax assets: Components of Deferred Tax Assets [Abstract] Tax effects of temporary differences that gave rise to the net deferred tax liability Components of Deferred Tax Assets and Liabilities [Abstract] Deferred tax liabilities: Components of Deferred Tax Liabilities [Abstract] Other Comprehensive Income Comprehensive income Comprehensive Income (Loss), Net of Tax, Attributable to Parent Other Comprehensive Income Comprehensive Income (Loss) Note [Text Block] Comprehensive Income Net capital balances and the amounts in excess of required net capital for the U.S. Operations Computation of Net Capital under Securities and Exchange Commission Regulation [Table Text Block] Off-Balance Sheet Risk and Concentration of Credit Risk Concentration Risk Disclosure [Text Block] Principles of Consolidation Consolidation, Policy [Policy Text Block] Interim funding facility under capital lease Construction Loan Lease abandonment costs Contract Termination [Member] Trading rights Contractual Rights [Member] Corporate (non-product) Corporate Segment [Member] Expenses: Costs and Expenses [Abstract] Total expenses Costs and Expenses State Current State and Local Tax Expense (Benefit) Current: Current Income Tax Expense (Benefit), Continuing Operations [Abstract] Foreign Current Foreign Tax Expense (Benefit) Federal Current Federal Tax Expense (Benefit) Total Current Income Tax Expense (Benefit) Customer related intangibles Customer-related intangibles Customer-Related Intangible Assets [Member] Interest, base rate Basis spread Debt Instrument, Description of Variable Rate Basis Term Loan Information related to 2006 Credit Agreement Debt Instrument [Line Items] Schedule of Long-term Debt Instruments [Table] Term debt Debt Instrument, Face Amount Term debt Total Debt and Capital Lease Obligations Interest, margin over base rate (as a percent) Debt Instrument, Basis Spread on Variable Rate Borrowings Principal amount outstanding Long-term Debt, Gross Borrowings Debt Disclosure [Text Block] Term of credit agreement Term of Term Loan Agreement Debt Instrument, Term Master Lease Agreement Debt and Capital Lease Obligations [Abstract] Interest, fixed rate (as a percent) Debt Instrument, Interest Rate, Stated Percentage Monthly Installments Debt Instrument, Periodic Payment, Principal Goodwill and other intangibles Deferred Tax Assets, Goodwill and Intangible Assets Tax benefit (shortfall) from stock options exercises and cancellation Deferred Tax Expense from Stock Options Exercised Deferred taxes Deferred Tax Liabilities, Gross Federal Deferred Federal Income Tax Expense (Benefit) Deferred: Deferred Income Tax Expense (Benefit), Continuing Operations [Abstract] Foreign Deferred Foreign Income Tax Expense (Benefit) Deferred income tax expense Total Deferred Income Tax Expense (Benefit) State Deferred State and Local Income Tax Expense (Benefit) Net deferred tax assets Deferred Tax Assets, Net Deferred revenue Deferred Revenue Total deferred tax assets Deferred Tax Assets, Gross Share-based compensation Deferred Tax Assets, Tax Deferred Expense, Compensation and Benefits, Share-based Compensation Cost Other Deferred Tax Assets, Other Total deferred tax assets, net of valuation allowance Deferred taxes Deferred Tax Assets, Net of Valuation Allowance Compensation and benefits Deferred Tax Assets, Tax Deferred Expense, Compensation and Benefits, Employee Compensation Allowance for doubtful accounts Deferred Tax Assets, Tax Deferred Expense, Reserves and Accruals, Allowance for Doubtful Accounts Tax benefits on uncertain tax positions Deferred Tax Assets, Tax Deferred Expense, Reserves and Accruals, Contingencies Less: valuation allowance Deferred Tax Assets, Valuation Allowance Capitalized software Deferred Tax Liabilities, Deferred Expense, Capitalized Software Other Deferred Tax Liabilities, Other Depreciation Deferred Tax Liabilities, Property, Plant and Equipment Goodwill and other intangibles Deferred Tax Liabilities, Goodwill and Intangible Assets Total deferred tax liabilities Deferred Tax Liabilities, Net Deferred compensation Deferred Compensation Liability, Current and Noncurrent In accordance with the Internal Revenue Code, the maximum annual eligible compensation under the plan, prior to January 1, 2011 Defined Contribution Plan, Maximum Annual Contributions Per Employee, Amount Company matching contribution, under the plan (as a percent) Defined Contribution Plan, Employer Matching Contribution, Percent of Match Benefit costs Defined Contribution Plan, Cost Recognized Securities loaned Deposits Received for Securities Loaned, at Carrying Value Securities borrowed Deposits Paid for Securities Borrowed, at Carrying Value Deposits with Clearing Organizations and Others, Securities Deposits with clearing organizations Depreciation and amortization Depreciation, Amortization and Accretion, Net Depreciation and amortization expense Depreciation, Depletion and Amortization Gain/(Loss) Recognized in Income Derivative Instruments Not Designated as Hedging Instruments, Gain (Loss), Net Derivative Instrument [Axis] Derivative Instruments Derivative Instruments and Hedging Activities Disclosure [Text Block] Number of open three month forward contracts outstanding Derivative Asset, Number of Instruments Held Derivatives Not Designated as Hedging Instruments Derivative Instruments Not Designated as Hedging Instruments, Gain (Loss), Net [Abstract] Derivative Instruments Basis of interest rate payments Fair Value, Asset Derivatives Fair Value, Liability Derivatives Derivative Contract [Domain] Impact of derivative instruments not designated as hedging instruments on results of operations Derivative Instruments, Gain (Loss) [Line Items] Gain/(Loss) Recognized in OCI (Effective portion) Derivative Instruments, Gain (Loss) Recognized in Other Comprehensive Income (Loss), Effective Portion, Net Gain/(Loss) Reclassified from OCI into Income (Effective Portion) Derivative Instruments, Gain (Loss) Reclassified from Accumulated OCI into Income, Effective Portion, Net Derivative Instruments, Gain (Loss) [Table] Derivative Financial Instruments Derivatives, Policy [Policy Text Block] Fair values and effects of derivatives held Employee and Non-Employee Director Stock and Benefit Plans Disclosure of Compensation Related Costs, Share-based Payments [Text Block] Employee and Non-Employee Director Stock and Benefit Plans U.S. Domestic Tax Authority [Member] Broker-dealers Due to Correspondent Brokers Broker-dealers Due from Correspondent Brokers Income per share: Earnings per share: Earnings Per Share, Basic and Diluted [Abstract] Earnings Per Share Earnings Per Share [Text Block] Earnings per Share Earnings Per Share, Policy [Policy Text Block] Anti-dilutive equity awards not included in the detailed earnings per share computation Earnings Per Share, Diluted, Other Disclosures [Abstract] Basic (in dollars per share) Basic (loss) earnings per share (in dollars per share) Earnings Per Share, Basic Basic earnings (loss) per share (in dollars per share) Diluted (in dollars per share) Diluted (loss) earnings per share (in dollars per share) Earnings Per Share, Diluted Diluted earnings (loss) per share (in dollars per share) Earnings Per Share Estimated related cost savings due to restructuring plan Effect on Future Earnings, Amount Effect of exchange rate changes on cash and cash equivalents Effect of Exchange Rate on Cash and Cash Equivalents, Continuing Operations Effective income tax rate (as a percent) Effective Income Tax Rate Reconciliation, Percent U.S. federal statutory income tax rate and effective tax rate Effective Income Tax Rate Reconciliation, Percent [Abstract] State and local income taxes, net of U.S. federal income tax effect (as a percent) Effective Income Tax Rate Reconciliation, State and Local Income Taxes, Percent Other, net (as a percent) Effective Income Tax Rate Reconciliation, Other Adjustments, Percent U.S. federal statutory income tax rate (as a percent) Effective Income Tax Rate Reconciliation, at Federal Statutory Income Tax Rate, Percent Foreign tax impact, net (as a percent) Effective Income Tax Rate Reconciliation, Foreign Income Tax Rate Differential, Percent Compensation expense Employee Service Share-based Compensation, Allocation of Recognized Period Costs [Line Items] Stock options Employee Stock Option [Member] ESPP Employee Stock [Member] Tax benefit related to share-based compensation expense Employee Service Share-based Compensation, Tax Benefit from Compensation Expense Unrecognized compensation costs Employee Service Share-based Compensation, Nonvested Awards, Compensation Cost Not yet Recognized Weighted average period over which unrecognized compensation costs are expected to be recognized Employee Service Share-based Compensation, Nonvested Awards, Compensation Cost Not yet Recognized, Period for Recognition Employee separation and related costs Employee separation costs Employee Severance [Member] Accrued compensation and benefits Employee-related Liabilities Revenues by Product Group: Revenue from External Customer [Line Items] Stockholders' Equity Carrying value of equity method investment which was written off Equity Method Investments Ownership percentage for equity method investments Equity Method Investment, Ownership Percentage Equity investments Equity Method Investment, Other than Temporary Impairment Write-off of investment in Disclosure Insight, Inc. Equity Component [Domain] Equity investments Equity Method Investments, Fair Value Disclosure Stock Repurchase Program Equity, Class of Treasury Stock [Line Items] Total Estimate of Fair Value Measurement [Member] Excess Net Capital Excess Net Capital at 1500 Percent Excess (Deficit) Excess tax benefit from share-based payment arrangements Excess Tax Benefit from Share-based Compensation, Operating Activities Excess tax benefit from share-based payment arrangements Excess Tax Benefit from Share-based Compensation, Financing Activities Repayments of debt Extinguishment of Debt, Amount Measurement Frequency [Axis] Fair Value Measurements, Recurring and Nonrecurring [Table] Fair Value, Hierarchy [Axis] Recurring basis Fair Value, Measurements, Recurring [Member] Fair Value, Measurement Frequency [Domain] Fair value measurements Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items] Fair Value Measurements Non-recurring basis Fair Value, Measurements, Nonrecurring [Member] Fair Value Hierarchy [Domain] Fair value measurements for assets and liabilities re-measured on a non-recurring basis Fair Value Measurements, Nonrecurring [Table Text Block] Fair Value of Financial Instruments Fair Value of Financial Instruments, Policy [Policy Text Block] Fair value of assets acquired Fair Value of Assets Acquired Fair Value Measurements Fair Value Disclosures [Text Block] Level 3 Fair Value, Inputs, Level 3 [Member] Level 1 Fair Value, Inputs, Level 1 [Member] Level 2 Fair Value, Inputs, Level 2 [Member] Securities sold, not yet purchased, at fair value Securities sold, not yet purchased, at fair value: Financial Instruments Sold, Not yet Purchased, at Fair Value Securities owned, at fair value Securities owned, at fair value: Financial Instruments, Owned, at Fair Value Useful Lives Finite-Lived Intangible Asset, Useful Life Gross Carrying Amount Finite-Lived Intangible Assets, Gross 2018 Finite-Lived Intangible Assets, Amortization Expense, Year Five 2016 Finite-Lived Intangible Assets, Amortization Expense, Year Three Estimate of future amortization expense for acquired other intangibles Finite-Lived Intangible Assets, Net, Amortization Expense, Fiscal Year Maturity [Abstract] Accumulated Amortization Finite-Lived Intangible Assets, Accumulated Amortization Total Finite-Lived Intangible Assets, Net Finite-Lived Intangible Assets, Major Class Name [Domain] Finite-Lived Intangible Assets by Major Class [Axis] Thereafter Finite-Lived Intangible Assets, Amortization Expense, after Year Five 2014 Finite-Lived Intangible Assets, Amortization Expense, Next Twelve Months 2017 Finite-Lived Intangible Assets, Amortization Expense, Year Four 2015 Finite-Lived Intangible Assets, Amortization Expense, Year Two Bond and variable debt mutual funds Transaction processing Floor Brokerage, Exchange and Clearance Fees Foreign Currency Translation Foreign Currency Transactions and Translations Policy [Policy Text Block] Hong Kong, Australia, U.K. and Ireland Foreign Tax Authority [Member] Europe Translation gains due to substantial liquidation of Japanese subsidiary Foreign Currency Transaction Gain (Loss), Realized Currency forward contracts Foreign exchange contracts Foreign Exchange Forward [Member] Furniture, fixtures and equipment Furniture and Fixtures [Member] Fixed asset disposal Gain (Loss) on Disposition of Property Plant Equipment, Excluding Oil and Gas Property and Timber Property Total Goodwill and Intangible Asset Impairment Goodwill and other asset impairment Impairment losses Impairment charges on goodwill included in loss before income tax benefits Goodwill, Impairment Loss Goodwill Net Goodwill Balance at the beginning of the period Balance at the end of the period Goodwill Carrying value of goodwill Goodwill and Intangible Assets Disclosure [Text Block] Intangibles Currency translation adjustment Goodwill, Translation Adjustments Changes in the carrying amount of goodwill Goodwill [Line Items] Accumulated impairment losses at the end of the period Accumulated impairment losses at the beginning of the period Goodwill, Impaired, Accumulated Impairment Loss ITG Investment Research price adjustment Goodwill, Purchase Accounting Adjustments Goodwill Goodwill [Roll Forward] Gross goodwill Gross goodwill at the end of the period Gross goodwill at the beginning of the period Goodwill, Gross Intangibles Acquisition Goodwill, Acquired During Period Goodwill Goodwill, Fair Value Disclosure Fair value of goodwill Impairment of Long-Lived Assets Impairment or Disposal of Long-Lived Assets, Policy [Policy Text Block] Impairment of other intangible assets Impairment of Intangible Assets (Excluding Goodwill) Components of income (loss) before income taxes Income (Loss) from Continuing Operations before Equity Method Investments, Income Taxes, Extraordinary Items, Noncontrolling Interest [Abstract] Condensed Consolidated Statements of Income Income (loss) before income tax expense (benefit) Income before income tax expense Income (Loss) from Continuing Operations before Equity Method Investments, Income Taxes, Extraordinary Items, Noncontrolling Interest Income (loss) before income tax expense (benefit) Income Statement Location [Axis] Income Taxes Income Tax Authority [Domain] Foreign Income (Loss) from Continuing Operations before Income Taxes, Foreign Income Tax Authority [Axis] Income (Loss) from Continuing Operations before Income Taxes, Domestic U.S. Income Taxes Income Tax Disclosure [Text Block] Income Statement Location [Domain] Income tax expense (benefit) Income Tax Expense (Benefit), Continuing Operations [Abstract] Income taxes receivable Income Taxes Receivable Total, income tax expense (benefit) Income tax expense Income Tax Expense (Benefit) Unrecognized tax benefits Income Tax Examination [Line Items] Income Tax Examination, Increase (Decrease) in Liability from Prior Year Decrease in tax expense due to resolve of uncertain tax positions Decrease in income tax liability due to resolution of uncertain tax positions Income Tax Examination [Table] Income taxes paid (refunded) Income Taxes Paid, Net Unrecognized tax benefits Income Tax Uncertainties [Abstract] Income Taxes Income Tax, Policy [Policy Text Block] Deposits with clearing organizations Increase (Decrease) in Deposit Assets Income taxes receivable/payable Increase in current taxes payable Increase (Decrease) in Income Taxes Payable Payables to customers Increase (Decrease) in Payables to Customers Receivables from brokers, dealers and clearing organizations Increase (Decrease) in Receivables from Brokers-Dealers and Clearing Organizations Accounts payable and accrued expenses Increase (Decrease) in Accounts Payable and Accrued Liabilities Changes in operating assets and liabilities: Increase (Decrease) in Operating Capital [Abstract] Securities sold, not yet purchased, at fair value Increase (Decrease) in Financial Instruments Sold, Not yet Purchased Other, net Increase (Decrease) in Other Operating Assets and Liabilities, Net Securities owned, at fair value Increase (Decrease) in Financial Instruments Used in Operating Activities Receivables from customers Increase (Decrease) in Receivables Cash restricted or segregated under regulations and other Increase (Decrease) in Restricted Cash Payables to brokers, dealers and clearing organizations Increase (Decrease) in Payables to Broker-Dealers and Clearing Organizations Increase (Decrease) in Stockholders' Equity Increase (Decrease) in Stockholders' Equity [Roll Forward] Non-forfeitable (in shares) Incremental Common Shares Attributable to Participating Nonvested Shares with Non-forfeitable Dividend Rights Indefinite-lived Intangible Assets [Axis] Other intangible assets not subject to amortization Indefinite-Lived Intangible Assets (Excluding Goodwill) Indefinite-lived Intangible Assets, Major Class Name [Domain] Intangibles, net Intangible Assets, Net (Excluding Goodwill) Intangibles Intangible Assets Disclosure [Text Block] Schedule of interest earned and interest incurred on securities borrowed and loaned Interest Income and Interest Expense Disclosure [Table Text Block] Interest expense Interest Expense Interest expense including amortization of debt issuance costs and net settlement payments on interest rate swaps Interest Expense, Debt Interest paid Interest Paid, Net Interest rate swaps Interest Rate Swap [Member] Capitalized Software Internal Use Software, Policy [Policy Text Block] Investments [Domain] Investment Type [Axis] Amount outstanding under Credit Agreement Letters of Credit Outstanding, Amount Long-term Debt, Type [Axis] Long-term Debt, Type [Domain] Compensation and employee benefits Labor and Related Expense Leasehold improvements Leasehold Improvements [Member] Total liabilities and stockholders' equity Liabilities and Equity Liabilities: Liabilities [Abstract] Total liabilities Liabilities Liabilities and Stockholders' Equity Liabilities and Equity [Abstract] Liabilities Liabilities, Fair Value Disclosure [Abstract] Total Liabilities Financial and Nonfinancial Liabilities, Fair Value Disclosure Unused commitment fee (as a percent) Line of Credit Facility, Unused Capacity, Commitment Fee Percentage Credit Agreement Line of Credit Facility [Abstract] Line of Credit Facility, Lender [Domain] Current borrowing capacity Master lease facility, amount Maximum borrowing capacity Line of Credit Facility, Maximum Borrowing Capacity Amount outstanding under Credit Agreement Line of Credit Facility, Amount Outstanding Lender Name [Axis] 2006 Revolving Credit Facility Line of Credit [Member] Term loan Term loan Loans Payable Term debt Term loan, amount 2011 Schedule of long-lived assets, classified by the geographic region Long-lived Assets by Geographic Areas [Table Text Block] 2015 Long-term Debt, Maturities, Repayments of Principal in Year Two 2015 2015 Long-term Debt, Maturities, Repayments of Principal in Year Three 2014 Long-term Debt, Maturities, Repayments of Principal in Next Twelve Months Remaining scheduled principal repayments Maturities of Long-term Debt [Abstract] Maximum Maximum [Member] Contract period of foreign currency forward contracts Maximum Remaining Maturity of Foreign Currency Derivatives Period during which interest rate payments are likely to occur Minimum Minimum [Member] Minimum net capital under the basic method Minimum Net Capital Required for Entity Money market mutual funds Money Market Funds [Member] Long-lived Assets Long-Lived Assets Cash flows from Financing Activities: Net Cash Provided by (Used in) Financing Activities, Continuing Operations [Abstract] Cash flows from Operating Activities: Net Cash Provided by (Used in) Operating Activities, Continuing Operations [Abstract] Net (decrease) increase in cash and cash equivalents Net Cash Provided by (Used in) Continuing Operations Net income Net income Net Income Net income for basic and diluted earnings per share Net Income (Loss) Available to 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Securities Owned and Sold, Not Yet Purchased (Details) (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2014
Dec. 31, 2013
Securities owned and sold, not yet purchased    
Securities owned, at fair value $ 14,173 $ 7,436
Securities sold, not yet purchased, at fair value 9,108 2,953
Corporate stocks-trading securities
   
Securities owned and sold, not yet purchased    
Securities owned, at fair value 9,857 2,894
Securities sold, not yet purchased, at fair value 9,108 2,953
Mutual funds
   
Securities owned and sold, not yet purchased    
Securities owned, at fair value $ 4,316 $ 4,542
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Other Comprehensive Income (Details) (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2014
Dec. 31, 2013
Accumulated Other Comprehensive Income    
Before Tax Effects $ 10,718 $ 8,536
After Tax Effects 10,718 8,536
Currency translation adjustment
   
Accumulated Other Comprehensive Income    
Before Tax Effects 10,718 8,536
After Tax Effects $ 10,718 $ 8,536
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M`'AL+W=O&PO=V]R:W-H965T&UL4$L!`BT`%``&``@` M```A`-\GAQI-"@``%B\``!D`````````````````6KX!`'AL+W=OR`$`>&PO=V]R:W-H965T&UL4$L!`BT`%``&``@````A`#\GSPLR"0`` M_"@``!D`````````````````1-,!`'AL+W=O&PO=V]R:W-H965T%]>7P,``%T,```0`````````````````(GR`0!D;V-0&UL M4$L!`BT`%``&``@````A`"-[C^$R`0``0`(``!$`````````````````'O&UL4$L%!@`````]`#T`G1```(?Y`0`````` ` end XML 14 R46.htm IDEA: XBRL DOCUMENT v2.4.0.8
Borrowings (Details 3) (USD $)
6 Months Ended 0 Months Ended 6 Months Ended
Jun. 30, 2014
Jun. 30, 2014
Master Loan and Security Agreement (Term Loan Agreement)
Jun. 02, 2011
Master Loan and Security Agreement (Term Loan Agreement)
Aug. 10, 2012
Master Lease Agreement
Jun. 30, 2014
Master Lease Agreement
Term Loan          
Term debt     $ 25,500,000    
Term of Term Loan Agreement   4 years      
Master Lease Agreement          
Master lease facility, amount       25,000,000 5,000,000
Obligations under capital leases 18,244,000     21,200,000  
Interest, fixed rate (as a percent)       3.39%  
Term of capital lease       48 months 48 months
Ending purchase price of underlying assets       $ 1 $ 1

XML 15 R33.htm IDEA: XBRL DOCUMENT v2.4.0.8
Other Comprehensive Income (Tables)
6 Months Ended
Jun. 30, 2014
Other Comprehensive Income  
Schedule of components and allocated tax effects of accumulated other comprehensive income

The components and allocated tax effects of other comprehensive income for the periods ended June 30, 2014 and December 31, 2013 are as follows (dollars in thousands):

 

 

 

Before Tax
Effects

 

Tax
Effects

 

After Tax
Effects

 

June 30, 2014

 

 

 

 

 

 

 

Currency translation adjustment

 

$

10,718

 

$

 

$

10,718

 

Total

 

$

10,718

 

$

 

$

10,718

 

 

 

 

 

 

 

 

 

December 31, 2013

 

 

 

 

 

 

 

Currency translation adjustment

 

$

8,536

 

$

 

$

8,536

 

Total

 

$

8,536

 

$

 

$

8,536

 

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Fair Value Measurements (Tables)
6 Months Ended
Jun. 30, 2014
Fair Value Measurements  
Fair value measurements for assets and liabilities measured on a recurring basis

Fair value measurements for those items measured on a recurring basis are as follows (dollars in thousands):

 

June 30, 2014

 

Total

 

Level 1

 

Level 2

 

Level 3

 

Assets

 

 

 

 

 

 

 

 

 

Cash and cash equivalents:

 

 

 

 

 

 

 

 

 

Tax free money market mutual funds

 

$

33

 

$

33

 

$

 

$

 

Money market mutual funds

 

3,307

 

3,307

 

 

 

Securities owned, at fair value:

 

 

 

 

 

 

 

 

 

Corporate stocks-trading securities

 

9,857

 

9,857

 

 

 

Mutual funds

 

4,316

 

4,316

 

 

 

Total

 

$

17,513

 

$

17,513

 

$

 

$

 

 

 

 

 

 

 

 

 

 

 

Liabilities

 

 

 

 

 

 

 

 

 

Securities sold, not yet purchased, at fair value:

 

 

 

 

 

 

 

 

 

Corporate stocks-trading securities

 

9,108

 

9,108

 

 

 

Total

 

$

9,108

 

$

9,108

 

$

 

$

 

 

December 31, 2013

 

Total

 

Level 1

 

Level 2

 

Level 3

 

Assets

 

 

 

 

 

 

 

 

 

Cash and cash equivalents:

 

 

 

 

 

 

 

 

 

Tax free money market mutual funds

 

$

33

 

$

33

 

$

 

$

 

Money market mutual funds

 

2,695

 

2,695

 

 

 

Securities owned, at fair value:

 

 

 

 

 

 

 

 

 

Corporate stocks-trading securities

 

2,894

 

2,894

 

 

 

Mutual funds

 

4,542

 

4,542

 

 

 

Total

 

$

10,164

 

$

10,164

 

$

 

$

 

 

 

 

 

 

 

 

 

 

 

Liabilities

 

 

 

 

 

 

 

 

 

Securities sold, not yet purchased, at fair value:

 

 

 

 

 

 

 

 

 

Corporate stocks-trading securities

 

2,953

 

2,953

 

 

 

Total

 

$

2,953

 

$

2,953

 

$

 

$

 

XML 18 R50.htm IDEA: XBRL DOCUMENT v2.4.0.8
Segment Reporting (Details) (USD $)
3 Months Ended 6 Months Ended
Jun. 30, 2014
Jun. 30, 2013
Jun. 30, 2014
segment
Jun. 30, 2013
Dec. 31, 2013
Segment Reporting          
Number of operating segments     4    
Segment reporting          
Total revenues $ 138,466,000 $ 139,293,000 $ 276,075,000 $ 271,343,000  
Income (loss) before income tax expense (benefit) 16,688,000 10,770,000 35,108,000 21,722,000  
Identifiable assets 3,629,991,000 2,874,539,000 3,629,991,000 2,874,539,000 2,209,887,000
Facility closing expense   1,600,000      
Restructuring accruals recorded in 2012 and 2011
         
Segment reporting          
Reduction in previously recorded restructuring accruals     1,600,000    
U.S. Operations
         
Segment reporting          
Total revenues 77,324,000 84,601,000 152,991,000 165,844,000  
Income (loss) before income tax expense (benefit) 4,645,000 4,561,000 9,493,000 10,301,000  
Identifiable assets 984,027,000 1,181,004,000 984,027,000 1,181,004,000  
Canadian Operations
         
Segment reporting          
Total revenues 17,911,000 20,105,000 37,247,000 38,649,000  
Income (loss) before income tax expense (benefit) 3,544,000 3,795,000 8,103,000 6,371,000  
Identifiable assets 106,834,000 95,218,000 106,834,000 95,218,000  
European Operations
         
Segment reporting          
Total revenues 31,096,000 21,794,000 63,928,000 42,744,000  
Income (loss) before income tax expense (benefit) 8,707,000 2,820,000 19,449,000 6,321,000  
Identifiable assets 1,970,703,000 997,609,000 1,970,703,000 997,609,000  
Asia Pacific Operations
         
Segment reporting          
Total revenues 12,135,000 12,793,000 21,909,000 24,106,000  
Income (loss) before income tax expense (benefit) (208,000) (406,000) (1,937,000) (1,271,000)  
Identifiable assets $ 568,427,000 $ 600,708,000 $ 568,427,000 $ 600,708,000  
XML 19 R42.htm IDEA: XBRL DOCUMENT v2.4.0.8
Receivables and Payables (Details) (USD $)
3 Months Ended 6 Months Ended
Jun. 30, 2014
Jun. 30, 2013
Jun. 30, 2014
Jun. 30, 2013
Dec. 31, 2013
Receivables from brokers, dealers and clearing organizations          
Broker-dealers $ 881,343,000   $ 881,343,000   $ 254,031,000
Clearing organizations 331,668,000   331,668,000   23,033,000
Securities borrowed 528,827,000   528,827,000   742,307,000
Allowance for doubtful accounts (1,038,000)   (1,038,000)   (1,029,000)
Total 1,740,800,000   1,740,800,000   1,018,342,000
Payables to brokers, dealers and clearing organizations          
Broker-dealers 1,128,417,000   1,128,417,000   284,681,000
Clearing organizations 9,041,000   9,041,000   2,798,000
Securities loaned 572,239,000   572,239,000   737,789,000
Total 1,709,697,000   1,709,697,000   1,025,268,000
Receivables from customers          
Customers 1,337,833,000   1,337,833,000   592,139,000
Allowance for doubtful accounts (1,298,000)   (1,298,000)   (1,135,000)
Net 1,336,535,000   1,336,535,000   591,004,000
Payables to customers          
Customers 1,134,612,000   1,134,612,000   469,264,000
Net 1,134,612,000   1,134,612,000   469,264,000
Securities Borrowed and Loaned          
Fair value of securities borrowed 513,900,000   513,900,000    
Interest earned 6,455,000 5,855,000 10,858,000 8,781,000  
Interest incurred (4,337,000) (4,251,000) (7,403,000) (6,304,000)  
Interest earned (incurred), net 2,118,000 1,604,000 3,455,000 2,477,000  
Deposits paid for securities borrowed          
Gross Amounts of Recognized Assets 528,827,000   528,827,000   742,307,000
Net Amounts Presented in the Consolidated Statement of Financial Condition 528,827,000   528,827,000   742,307,000
Collateral Received or Pledged (including Cash) 528,557,000   528,557,000   742,083,000
Net Amount 270,000   270,000   224,000
Deposits received for securities loaned          
Gross Amounts of Recognized Liabilities (572,239,000)   (572,239,000)   (737,789,000)
Net Amounts Presented in the Consolidated Statement of Financial Condition (572,239,000)   (572,239,000)   (737,789,000)
Collateral Received or Pledged (including Cash) (560,232,000)   (560,232,000)   (722,091,000)
Net Amount $ (12,007,000)   $ (12,007,000)   $ (15,698,000)
XML 20 R37.htm IDEA: XBRL DOCUMENT v2.4.0.8
Fair Value Measurements (Details) (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2014
Dec. 31, 2013
Assets    
Securities owned, at fair value: $ 14,173 $ 7,436
Liabilities    
Securities sold, not yet purchased, at fair value: 9,108 2,953
Recurring basis | Total
   
Assets    
Total Assets 17,513 10,164
Liabilities    
Total Liabilities 9,108 2,953
Recurring basis | Total | Tax free money market mutual funds
   
Assets    
Cash and cash equivalents: 33 33
Recurring basis | Total | Money market mutual funds
   
Assets    
Cash and cash equivalents: 3,307 2,695
Recurring basis | Total | Corporate stocks-trading securities
   
Assets    
Securities owned, at fair value: 9,857 2,894
Liabilities    
Securities sold, not yet purchased, at fair value: 9,108 2,953
Recurring basis | Total | Mutual funds
   
Assets    
Securities owned, at fair value: 4,316 4,542
Recurring basis | Level 1
   
Assets    
Total Assets 17,513 10,164
Liabilities    
Total Liabilities 9,108 2,953
Recurring basis | Level 1 | Tax free money market mutual funds
   
Assets    
Cash and cash equivalents: 33 33
Recurring basis | Level 1 | Money market mutual funds
   
Assets    
Cash and cash equivalents: 3,307 2,695
Recurring basis | Level 1 | Corporate stocks-trading securities
   
Assets    
Securities owned, at fair value: 9,857 2,894
Liabilities    
Securities sold, not yet purchased, at fair value: 9,108 2,953
Recurring basis | Level 1 | Mutual funds
   
Assets    
Securities owned, at fair value: $ 4,316 $ 4,542
XML 21 R52.htm IDEA: XBRL DOCUMENT v2.4.0.8
Subsequent Event (Details) (ID'S, Subsequent event, USD $)
In Millions, unless otherwise specified
0 Months Ended
Jul. 30, 2014
ID'S | Subsequent event
 
Subsequent event  
Total consideration, net of cash $ 19.6
Cash acquired $ 4.2
XML 22 R47.htm IDEA: XBRL DOCUMENT v2.4.0.8
Earnings Per Share (Details) (USD $)
In Thousands, except Per Share data, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2014
Jun. 30, 2013
Jun. 30, 2014
Jun. 30, 2013
Earnings Per Share        
Net income for basic and diluted earnings per share $ 12,926 $ 5,086 $ 26,546 $ 13,708
Shares of common stock and common stock equivalents:        
Average common shares used in basic computation 35,720 36,956 35,900 37,166
Effect of dilutive securities (in shares) 921 1,044 1,033 1,205
Average common shares used in diluted computation 36,641 38,000 36,933 38,371
Earnings per share:        
Basic (in dollars per share) $ 0.36 $ 0.14 $ 0.74 $ 0.37
Diluted (in dollars per share) $ 0.35 $ 0.13 $ 0.72 $ 0.36
Anti-dilutive equity awards not included in the detailed earnings per share computation        
Equity awards not included in the diluted earnings per share computation 83 385 220 450
XML 23 R9.htm IDEA: XBRL DOCUMENT v2.4.0.8
Organization and Basis of Presentation
6 Months Ended
Jun. 30, 2014
Organization and Basis of Presentation  
Organization and Basis of Presentation

(1) Organization and Basis of Presentation

 

Investment Technology Group, Inc. was formed as a Delaware corporation on July 22, 1983. Its principal subsidiaries include: (1) ITG Inc., AlterNet Securities, Inc. (“AlterNet”) and ITG Derivatives LLC (“ITG Derivatives”), institutional broker-dealers in the United States (“U.S.”), (2) Investment Technology Group Limited (“ITGL”), an institutional broker-dealer in Europe, (3) ITG Australia Limited, an institutional broker-dealer in Australia, (4) ITG Canada Corp., an institutional broker-dealer in Canada, (5) ITG Hong Kong Limited, an institutional broker-dealer in Hong Kong, (6) ITG Software Solutions, Inc., our intangible property, software development and maintenance subsidiary in the U.S., and (7) ITG Solutions Network, Inc., a holding company for ITG Analytics, Inc., a provider of pre- and post-trade analysis, fair value and trade optimization services, ITG Investment Research, Inc., a provider of independent data-driven investment research, and ITG Platforms Inc., a provider of trade order and execution management technology and network connectivity services for the financial community.

 

ITG is an independent execution and research broker that partners with global portfolio managers and traders to provide unique data-driven insights throughout the investment process. From investment decision through to settlement, ITG helps clients understand market trends, improve performance, mitigate risk and navigate increasingly complex markets. A leader in electronic trading since launching the POSIT crossing network in 1987, ITG takes a consultative approach in delivering the highest quality institutional liquidity, execution services, analytical tools and proprietary research. The firm is headquartered in New York with offices in North America, Europe, and the Asia Pacific region.

 

Our business is organized into four reportable operating segments (see Note 14, Segment Reporting, to the condensed consolidated financial statements):

 

·         U.S. Operations

 

·         Canadian Operations

 

·         European Operations and

 

·         Asia Pacific Operations.

 

Our four operating segments offer a wide range of solutions for asset managers and broker-dealers in the areas of electronic brokerage; research, sales and trading; platforms; and analytics. These offerings include trade execution services and solutions for portfolio management, as well as investment research, pre-trade analytics and post-trade analytics and processing.

 

The condensed consolidated financial statements and accompanying notes are prepared in accordance with accounting principles generally accepted in the U.S. (“U.S. GAAP”). All material intercompany balances and transactions have been eliminated in consolidation. The condensed consolidated financial statements reflect all adjustments which, in the opinion of management, are necessary for the fair presentation of results.

 

The preparation of financial statements in conformity with U.S. GAAP requires management to make estimates and assumptions that affect the reported amounts of assets, liabilities, revenues and expenses and the disclosure of contingent assets, liabilities, revenues and expenses. Actual results could differ from those estimates.

 

Certain information and footnote disclosures normally included in financial statements prepared in accordance with U.S. GAAP have been condensed or omitted in accordance with Securities and Exchange Commission (“SEC”) rules and regulations; however, management believes that the disclosures herein are adequate to make the information presented not misleading. This report should be read in conjunction with the audited financial statements and the notes included in the Company’s Annual Report on Form 10-K for the year ended December 31, 2013 (as amended).

 

New Accounting Pronouncements

 

In May 2014, the Financial Accounting Standards Board (the “FASB”) issued Accounting Standards Update (“ASU”) No. 2014-09, (“ASU 2014-09”), Revenue from Contracts with Customers. The standard provides companies with a single model for use in accounting for revenue arising from contracts with customers and supersedes current revenue recognition guidance, including industry-specific revenue guidance. The core principle of the model is to recognize revenue to depict the transfer of promised goods or services to customers in an amount that reflects the consideration to which the entity expects to be entitled in exchange for those goods or services. Application of the new guidance involves five steps: (1) identifying contracts with customers; (2) identifying the separate performance obligations within the contracts; (3) determining the transaction price; (4) allocating the transaction price to the separate performance obligations; and (5) recognizing revenue when (or as) the performance obligations are satisfied. ASU 2014-09 applies to all contracts with customers except those that are within the scope of other topics in the FASB Accounting Standards Codification. The standard will also require significant additional qualitative and quantitative disclosures describing the nature, amount, timing, and uncertainty of revenues. The new guidance is effective for annual reporting periods (including interim periods within those periods) beginning after December 15, 2016 for public companies. Early adoption is not permitted. Entities have the option of using either a full retrospective or modified approach to adopt ASU 2014-09. The Company is currently evaluating the new guidance and has not yet selected a transition method nor has it determined the impact of adoption on its financial statements.

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M)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO M'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS M<&%N/CPO'0^ M)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS M<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO7!E.B!T97AT+VAT;6P[(&-H M87)S970](G5S+6%S8VEI(@T*#0H\:'1M;#X-"B`@/&AE860^#0H@("`@/$U% M5$$@:'1T<"UE<75I=CTS1$-O;G1E;G0M5'EP92!C;VYT96YT/3-$)W1E>'0O M:'1M;#L@8VAA2!0'0^)SQS<&%N M/CPO'0^)SQS M<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS M<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N M/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO2!0'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO3X-"CPO:'1M;#X-"@T*+2TM+2TM/5].97AT4&%R=%]F.3ED-3`P M-E]F93`Q7S0X.#=?.3`R8E]A.#8Y8V5F93EA86,-"D-O;G1E;G0M3&]C871I M;VXZ(&9I;&4Z+R\O0SHO9CDY9#4P,#9?9F4P,5\T.#@W7SDP,F)?83@V.6-E M9F4Y86%C+U=O'0O:'1M;#L@8VAA'0^)SQS<&%N/CPO M7!E.B!T97AT+VAT;6P[(&-H87)S970](G5S+6%S8VEI(@T*#0H\>&UL M('AM;&YS.F\],T0B=7)N.G-C:&5M87,M;6EC XML 25 R43.htm IDEA: XBRL DOCUMENT v2.4.0.8
Accounts Payable and Accrued Expenses (Details) (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2014
Dec. 31, 2013
Accounts Payable and Accrued Expenses    
Accrued research payables $ 62,299 $ 52,015
Accrued compensation and benefits 35,523 47,622
Accrued rent 19,639 19,938
Trade payables 18,301 15,222
Deferred revenue 13,348 12,533
Deferred compensation 4,321 4,552
Accrued restructuring 3,071 3,768
Accrued transaction processing 2,779 2,972
Other 16,601 17,309
Total $ 175,882 $ 175,931
XML 26 R29.htm IDEA: XBRL DOCUMENT v2.4.0.8
Receivables and Payables (Tables)
6 Months Ended
Jun. 30, 2014
Receivables and Payables  
Summary of receivables from and payables to brokers, dealers and clearing organizations

The following is a summary of receivables from, and payables to, brokers, dealers and clearing organizations (dollars in thousands):

 

 

 

Receivables from

 

Payables to

 

 

 

June 30,
2014

 

December 31,
2013

 

June 30,
2014

 

December 31,
2013

 

Broker-dealers

 

$

881,343

 

$

254,031

 

$

1,128,417

 

$

284,681

 

Clearing organizations

 

331,668

 

23,033

 

9,041

 

2,798

 

Securities borrowed

 

528,827

 

742,307

 

 

 

Securities loaned

 

 

 

572,239

 

737,789

 

Allowance for doubtful accounts

 

(1,038

)

(1,029

)

 

 

Total

 

$

1,740,800

 

$

1,018,342

 

$

1,709,697

 

$

1,025,268

 

Summary of receivables from and payables to customers

The following is a summary of receivables from, and payables to, customers (dollars in thousands):

 

 

 

Receivables from

 

Payables to

 

 

 

June 30,
2014

 

December 31,
2013

 

June 30,
2014

 

December 31,
2013

 

Customers

 

$

1,337,833

 

$

592,139

 

$

1,134,612

 

$

469,264

 

Allowance for doubtful accounts

 

(1,298

)

(1,135

)

 

 

Net

 

$

1,336,535

 

$

591,004

 

$

1,134,612

 

$

469,264

 

Schedule of interest earned and interest incurred on securities borrowed and loaned

The gross amounts of interest earned on cash provided to counterparties as collateral for securities borrowed, and interest incurred on cash received from counterparties as collateral for securities loaned, and the resulting net amount included in other revenue on the Condensed Consolidated Statements of Income for the three and six months ended June 30, 2014 and 2013, respectively, were as follows (dollars in thousands):

 

 

 

Three Months Ended June 30,

 

Six Months Ended June 30,

 

 

 

2014

 

2013

 

2014

 

2013

 

Interest earned

 

$

6,455

 

$

5,855

 

$

10,858

 

$

8,781

 

Interest incurred

 

(4,337

)

(4,251

)

(7,403

)

(6,304

)

Net

 

$

2,118

 

$

1,604

 

$

3,455

 

$

2,477

 

Summary of the transactions under certain Master Securities Lending Agreements that may be eligible for offsetting if an event of default occurred and a right of offset was legally enforceable

The following table summarizes the transactions under certain Master Securities Lending Agreements that may be eligible for offsetting if an event of default occurred and a right of offset was legally enforceable (dollars in thousands):

 

 

 

Gross Amounts of
Recognized Assets/
(Liabilities)

 

Gross Amounts
Offset in the
Consolidated
Statement of
Financial Condition

 

Net Amounts
Presented in the
Consolidated
Statement of
Financial Condition

 

Collateral
Received or
Pledged
(including
Cash)

 

Net
Amount

 

As of June 30, 2014:

 

 

 

 

 

 

 

 

 

 

 

Deposits paid for securities borrowed

 

$

528,827

 

$

 

$

528,827

 

$

528,557

 

$

270

 

Deposits received for securities loaned

 

(572,239

)

 

(572,239

)

(560,232

)

(12,007

)

As of December 31, 2013:

 

 

 

 

 

 

 

 

 

 

 

Deposits paid for securities borrowed

 

$

742,307

 

$

 

$

742,307

 

$

742,083

 

$

224

 

Deposits received for securities loaned

 

(737,789

)

 

(737,789

)

(722,091

)

(15,698

)

XML 27 R28.htm IDEA: XBRL DOCUMENT v2.4.0.8
Intangibles (Tables)
6 Months Ended
Jun. 30, 2014
Intangibles  
Summary of acquired other intangible assets

Acquired other intangible assets consisted of the following at June 30, 2014 and December 31, 2013 (dollars in thousands):

 

 

 

June 30, 2014

 

December 31, 2013

 

 

 

 

 

Gross Carrying
Amount

 

Accumulated
Amortization

 

Gross Carrying
Amount

 

Accumulated
Amortization

 

Useful Lives
(Years)

 

Trade names

 

$

8,400

 

$

 

$

8,400

 

$

 

 

Customer-related intangibles

 

27,851

 

10,035

 

27,851

 

8,923

 

13.1

 

Proprietary software

 

21,501

 

19,275

 

21,501

 

17,921

 

6.4

 

Trading rights

 

340

 

 

243

 

 

 

Other

 

50

 

 

50

 

 

 

Total

 

$

58,142

 

$

29,310

 

$

58,045

 

$

26,844

 

 

 

XML 28 R44.htm IDEA: XBRL DOCUMENT v2.4.0.8
Borrowings (Details) (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2014
Dec. 31, 2013
Borrowings    
Outstanding short-term bank loans to support clearance and settlement activities $ 141,654 $ 73,539
Weighted average interest rate on outstanding short-term bank loans to support clearance and settlement activities (as a percent) 1.40%  
XML 29 R30.htm IDEA: XBRL DOCUMENT v2.4.0.8
Accounts Payable and Accrued Expenses (Tables)
6 Months Ended
Jun. 30, 2014
Accounts Payable and Accrued Expenses  
Summary of accounts payable and accrued expenses

The following is a summary of accounts payable and accrued expenses (dollars in thousands):

 

 

 

June 30,
2014

 

December 31,
2013

 

Accrued research payables

 

$

62,299

 

$

52,015

 

Accrued compensation and benefits

 

35,523

 

47,622

 

Accrued rent

 

19,639

 

19,938

 

Trade payables

 

18,301

 

15,222

 

Deferred revenue

 

13,348

 

12,533

 

Deferred compensation

 

4,321

 

4,552

 

Accrued restructuring

 

3,071

 

3,768

 

Accrued transaction processing

 

2,779

 

2,972

 

Other

 

16,601

 

17,309

 

Total

 

$

175,882

 

$

175,931

 

XML 30 R31.htm IDEA: XBRL DOCUMENT v2.4.0.8
Borrowings (Tables)
6 Months Ended
Jun. 30, 2014
Term Loan  
Summary of term debt

At June 30, 2014, term debt is comprised of the following (dollars in thousands):

 

Term loan

 

$

5,837

 

Obligations under capital lease

 

18,244

 

Total

 

$

24,081

 

XML 31 R8.htm IDEA: XBRL DOCUMENT v2.4.0.8
Condensed Consolidated Statements of Cash Flows (USD $)
In Thousands, unless otherwise specified
6 Months Ended
Jun. 30, 2014
Jun. 30, 2013
Cash flows from Operating Activities:    
Net income $ 26,546 $ 13,708
Adjustments to reconcile net income to net cash provided by (used in) operating activities    
Depreciation and amortization 25,865 26,898
Deferred income tax expense 3,859 579
Provision for doubtful accounts 276 (435)
Share-based compensation 8,334 10,132
Non-cash restructuring charges   357
Fixed asset disposal   649
Changes in operating assets and liabilities:    
Cash restricted or segregated under regulations and other (424) (4,331)
Deposits with clearing organizations 31,295 4,930
Securities owned, at fair value (6,764) 2,909
Receivables from brokers, dealers and clearing organizations (690,374) (82,533)
Receivables from customers (706,514) (624,406)
Accounts payable and accrued expenses (2,215) 8,270
Payables to brokers, dealers and clearing organizations 653,266 253,467
Payables to customers 631,104 432,803
Securities sold, not yet purchased, at fair value 6,179 (2,539)
Income taxes receivable/payable 164 14,539
Excess tax benefit from share-based payment arrangements (1,007) (207)
Other, net (8,448) (5,922)
Net cash (used in) provided by operating activities (28,858) 48,868
Cash flows from Investing Activities:    
Investment in unconsolidated affiliates   (474)
Capital purchases (5,994) (20,574)
Capitalization of software development costs (13,633) (11,836)
Net cash used in investing activities (19,627) (32,884)
Cash flows from Financing Activities:    
Repayments of long term debt (6,251) (3,712)
Proceeds from borrowing under short-term bank loans 68,115 7,957
Proceeds from sales-leaseback transaction   18,157
Excess tax benefit from share-based payment arrangements 1,007 207
Common stock issued 445 497
Common stock repurchased (27,047) (17,938)
Shares withheld for net settlements of share-based awards (6,426) (3,617)
Net cash provided by financing activities 29,843 1,551
Effect of exchange rate changes on cash and cash equivalents (4,140) (4,376)
Net (decrease) increase in cash and cash equivalents (22,782) 13,159
Cash and cash equivalents - beginning of year 261,897 245,875
Cash and cash equivalents - end of period 239,115 259,034
Supplemental cash flow information    
Interest paid 1,866 1,552
Income taxes paid (refunded) $ 4,629 $ (7,149)
XML 32 R32.htm IDEA: XBRL DOCUMENT v2.4.0.8
Earnings Per Share (Tables)
6 Months Ended
Jun. 30, 2014
Earnings Per Share  
Reconciliation of the basic and diluted earnings per share computations

The following is a reconciliation of the basic and diluted earnings per share computations (dollars in thousands, except per share amounts):

 

 

 

June 30,

 

 

 

2014

 

2013

 

Three Months Ended

 

 

 

 

 

Net income for basic and diluted earnings per share

 

$

12,926

 

$

5,086

 

Shares of common stock and common stock equivalents:

 

 

 

 

 

Average common shares used in basic computation

 

35,720

 

36,956

 

Effect of dilutive securities

 

921

 

1,044

 

Average common shares used in diluted computation

 

36,641

 

38,000

 

Earnings per share:

 

 

 

 

 

Basic

 

$

0.36

 

$

0.14

 

Diluted

 

$

0.35

 

$

0.13

 

 

 

 

 

 

 

Six Months Ended

 

 

 

 

 

Net income for basic and diluted earnings per share

 

$

26,546

 

$

13,708

 

Shares of common stock and common stock equivalents:

 

 

 

 

 

Average common shares used in basic computation

 

35,900

 

37,166

 

Effect of dilutive securities

 

1,033

 

1,205

 

Average common shares used in diluted computation

 

36,933

 

38,371

 

Earnings per share:

 

 

 

 

 

Basic

 

$

0.74

 

$

0.37

 

Diluted

 

$

0.72

 

$

0.36

 

Summary of anti-dilutive equity awards not included in the detailed earnings per share computations

The following is a summary of anti-dilutive equity awards not included in the detailed earnings per share computations (amounts in thousands):

 

 

 

June 30,

 

 

 

2014

 

2013

 

Three months ended

 

83

 

385

 

Six months ended

 

220

 

450

 

XML 33 R40.htm IDEA: XBRL DOCUMENT v2.4.0.8
Income Taxes (Details) (USD $)
In Millions, unless otherwise specified
Jun. 30, 2014
Dec. 31, 2013
Income Taxes    
Decrease in tax expense due to resolve of uncertain tax positions $ 0.3  
Reserves for tax positions 19.3 13.1
Accrued interest expense related to tax reserves $ 2.2 $ 2.2
XML 34 R2.htm IDEA: XBRL DOCUMENT v2.4.0.8
Condensed Consolidated Statements of Financial Condition (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2014
Dec. 31, 2013
Assets    
Cash and cash equivalents $ 239,115 $ 261,897
Cash restricted or segregated under regulations and other 72,761 71,202
Deposits with clearing organizations 43,476 74,771
Securities owned, at fair value 14,173 7,436
Receivables from brokers, dealers and clearing organizations 1,740,800 1,018,342
Receivables from customers 1,336,535 591,004
Premises and equipment, net 62,306 66,171
Capitalized software, net 38,015 37,892
Intangibles, net 28,832 31,201
Income taxes receivable 81 54
Deferred taxes 29,278 34,130
Other assets 24,619 15,787
Total assets 3,629,991 2,209,887
Liabilities:    
Accounts payable and accrued expenses 175,882 175,931
Short-term bank loans 141,654 73,539
Payables to brokers, dealers and clearing organizations 1,709,697 1,025,268
Payables to customers 1,134,612 469,264
Securities sold, not yet purchased, at fair value 9,108 2,953
Income taxes payable 13,990 14,805
Deferred taxes 9 363
Term debt 24,081 30,332
Total liabilities 3,209,033 1,792,455
Commitments and contingencies      
Stockholders' Equity:    
Preferred stock, $0.01 par value; 1,000,000 shares authorized; no shares issued or outstanding      
Common stock, $0.01 par value; 100,000,000 shares authorized; 52,191,351 and 52,158,374 shares issued at June 30, 2014 and December 31, 2013, respectively 522 522
Additional paid-in capital 233,768 240,057
Retained earnings 463,116 436,570
Common stock held in treasury, at cost; 16,944,029 and 16,005,500 shares at June 30, 2014 and December 31, 2013, respectively (287,166) (268,253)
Accumulated other comprehensive income (net of tax) 10,718 8,536
Total stockholders' equity 420,958 417,432
Total liabilities and stockholders' equity $ 3,629,991 $ 2,209,887
XML 35 R45.htm IDEA: XBRL DOCUMENT v2.4.0.8
Borrowings (Details 2) (USD $)
1 Months Ended
Jun. 30, 2014
Dec. 31, 2013
Jan. 31, 2014
Credit Agreement
Jan. 31, 2014
New Credit Agreement
Jun. 30, 2014
New Credit Agreement
Credit Agreement          
Current borrowing capacity     $ 150,000,000 $ 150,000,000  
Credit facility initial term     3 years 2 years  
Maximum borrowing capacity including accordion expansion       225,000,000  
Amount outstanding under Credit Agreement         0
Term loan 5,837,000        
Obligations under capital leases 18,244,000        
Total $ 24,081,000 $ 30,332,000      
XML 36 R6.htm IDEA: XBRL DOCUMENT v2.4.0.8
Condensed Consolidated Statement of Changes in Stockholders' Equity (USD $)
In Thousands, unless otherwise specified
Total
Common Stock
Additional Paid-in Capital
Retained Earnings
Common Stock Held in Treasury
Accumulated Other Comprehensive Income
Balance at Dec. 31, 2013 $ 417,432 $ 522 $ 240,057 $ 436,570 $ (268,253) $ 8,536
Increase (Decrease) in Stockholders' Equity            
Net income 26,546     26,546    
Other comprehensive income 2,182         2,182
Issuance of common stock for restricted share awards (891,539 shares), including a net excess tax benefit of $0.3 million 349   (14,211)   14,560  
Issuance of common stock for the employee stock purchase plan (32,977 shares) 432   432      
Shares withheld for net settlement of share-based awards (315,431 shares) (6,426)       (6,426)  
Purchase of common stock for treasury (1,514,637 shares) (27,047)       (27,047)  
Share-based compensation 7,490   7,490      
Balance at Jun. 30, 2014 $ 420,958 $ 522 $ 233,768 $ 463,116 $ (287,166) $ 10,718
XML 37 R35.htm IDEA: XBRL DOCUMENT v2.4.0.8
Segment Reporting (Tables)
6 Months Ended
Jun. 30, 2014
Segment Reporting  
Summary of the segment financial information

A summary of the segment financial information is as follows (dollars in thousands):

 

 

 

U.S.
Operations

 

Canadian
Operations

 

European
Operations

 

Asia Pacific
Operations

 

Consolidated

 

Three Months Ended June 30, 2014

 

 

 

 

 

 

 

 

 

 

 

Total revenues

 

$

77,324

 

$

17,911

 

$

31,096

 

$

12,135

 

$

138,466

 

Income (loss) before income tax expense (benefit)

 

4,645

 

3,544

 

8,707

 

(208

)

16,688

 

Identifiable assets

 

984,027

 

106,834

 

1,970,703

 

568,427

 

3,629,991

 

Three Months Ended June 30, 2013

 

 

 

 

 

 

 

 

 

 

 

Total revenues

 

$

84,601

 

$

20,105

 

$

21,794

 

$

12,793

 

$

139,293

 

Income (loss) before income tax expense (benefit) (1)(2)(3)

 

4,561

 

3,795

 

2,820

 

(406

)

10,770

 

Identifiable assets

 

1,181,004

 

95,218

 

997,609

 

600,708

 

2,874,539

 

Six Months Ended June 30, 2014

 

 

 

 

 

 

 

 

 

 

 

Total revenues

 

$

152,991

 

$

37,247

 

$

63,928

 

$

21,909

 

$

276,075

 

Income (loss) before income tax expense (benefit)

 

9,493

 

8,103

 

19,449

 

(1,937

)

35,108

 

Six Months Ended June 30, 2013

 

 

 

 

 

 

 

 

 

 

 

Total revenues

 

$

165,844

 

$

38,649

 

$

42,744

 

$

24,106

 

$

271,343

 

Income (loss) before income tax expense (benefit) (1)(2)(3)

 

10,301

 

6,371

 

6,321

 

(1,271

)

21,722

 

 

(1)     In the second quarter of 2013, the Company incurred $1.6 million to implement a restructuring plan to close its technology research and development facility in Israel and migrate that function to an outsourced service provider model effective January 1, 2014.  This plan primarily focused on reducing costs by limiting ITG’s geographic footprint while maintaining the necessary technological expertise via a consulting arrangement. The Company also reduced previously-recorded 2012 and 2011 restructuring accruals of $1.6 million to reflect the sub-lease of previously-vacated office space and certain legal and other employee-related charges deemed unnecessary.

(2)     During the fourth quarter of 2012, ITG began its build out of its new lower Manhattan headquarters while continuing to occupy its then-existing headquarters in midtown Manhattan.  As a result, ITG incurred duplicate rent charges through June 2013.

(3)     In the second quarter of 2013, ITG moved into its new headquarters and incurred a one-time charge, which includes a reserve for the remaining lease obligation at the previous midtown Manhattan headquarters.

Schedule of total revenues for the products and services provided by the entity

The table below details the total revenues for the categories of products and services provided by the Company (dollars in thousands):

 

 

 

Three Months Ended
June 30,

 

Six Months Ended
June 30,

 

 

 

2014

 

2013

 

2014

 

2013

 

Revenues by Product Group:

 

 

 

 

 

 

 

 

 

Electronic Brokerage

 

$

73,193

 

$

74,715

 

$

146,076

 

$

144,363

 

Research, Sales and Trading

 

30,311

 

28,140

 

59,556

 

53,553

 

Platforms

 

23,333

 

24,595

 

47,066

 

49,694

 

Analytics

 

11,351

 

11,600

 

22,801

 

23,270

 

Corporate (non-product)

 

278

 

243

 

576

 

463

 

Total Revenues

 

$

138,466

 

$

139,293

 

$

276,075

 

$

271,343

 

XML 38 R22.htm IDEA: XBRL DOCUMENT v2.4.0.8
Segment Reporting
6 Months Ended
Jun. 30, 2014
Segment Reporting  
Segment Reporting

(14) Segment Reporting

 

The Company is organized into four geographic operating segments through which the Company’s chief operating decision maker manages the Company’s business. The U.S., Canadian, European and Asia Pacific Operations segments provide the following categories of products and services:

 

·         Electronic Brokerage — includes self-directed trading using algorithms, smart routing and matching through POSIT in cash equities (including single stocks and portfolio lists), futures and options

 

·         Research, Sales and Trading — includes (a) differentiated, unbiased, data-driven equity research through the use of innovative data mining and analysis, as well as detailed analysis of energy plays, and (b) portfolio trading and high-touch trading desks providing execution expertise and trading ideas based on investment research

 

·         Platforms — includes trade order and execution management software applications in addition to network connectivity

 

·         Analytics — includes tools enabling portfolio managers and traders to improve pre-trade and real-time execution performance, portfolio construction and optimization decisions and securities valuation.

 

The accounting policies of the reportable segments are the same as those described in Note 2, Summary of Significant Accounting Policies, in our Annual Report on Form 10-K (as amended) for the year ended December 31, 2013. The Company allocates resources to, and evaluates the performance of, its reportable segments based on income or loss before income tax expense.

 

Consistent with the Company’s resource allocation and operating performance evaluation approach, the effects of inter-segment activities are eliminated except in limited circumstances where certain technology related costs are allocated to a segment to support that segment’s revenue producing activities. Commissions and fees revenue for trade executions and commission share revenues are principally attributed to each segment based upon the location of execution of the related transaction. Recurring revenues are principally attributed based upon the location of the client using the respective service.

 

A summary of the segment financial information is as follows (dollars in thousands):

 

 

 

U.S.
Operations

 

Canadian
Operations

 

European
Operations

 

Asia Pacific
Operations

 

Consolidated

 

Three Months Ended June 30, 2014

 

 

 

 

 

 

 

 

 

 

 

Total revenues

 

$

77,324

 

$

17,911

 

$

31,096

 

$

12,135

 

$

138,466

 

Income (loss) before income tax expense (benefit)

 

4,645

 

3,544

 

8,707

 

(208

)

16,688

 

Identifiable assets

 

984,027

 

106,834

 

1,970,703

 

568,427

 

3,629,991

 

Three Months Ended June 30, 2013

 

 

 

 

 

 

 

 

 

 

 

Total revenues

 

$

84,601

 

$

20,105

 

$

21,794

 

$

12,793

 

$

139,293

 

Income (loss) before income tax expense (benefit) (1)(2)(3)

 

4,561

 

3,795

 

2,820

 

(406

)

10,770

 

Identifiable assets

 

1,181,004

 

95,218

 

997,609

 

600,708

 

2,874,539

 

Six Months Ended June 30, 2014

 

 

 

 

 

 

 

 

 

 

 

Total revenues

 

$

152,991

 

$

37,247

 

$

63,928

 

$

21,909

 

$

276,075

 

Income (loss) before income tax expense (benefit)

 

9,493

 

8,103

 

19,449

 

(1,937

)

35,108

 

Six Months Ended June 30, 2013

 

 

 

 

 

 

 

 

 

 

 

Total revenues

 

$

165,844

 

$

38,649

 

$

42,744

 

$

24,106

 

$

271,343

 

Income (loss) before income tax expense (benefit) (1)(2)(3)

 

10,301

 

6,371

 

6,321

 

(1,271

)

21,722

 

 

(1)     In the second quarter of 2013, the Company incurred $1.6 million to implement a restructuring plan to close its technology research and development facility in Israel and migrate that function to an outsourced service provider model effective January 1, 2014.  This plan primarily focused on reducing costs by limiting ITG’s geographic footprint while maintaining the necessary technological expertise via a consulting arrangement. The Company also reduced previously-recorded 2012 and 2011 restructuring accruals of $1.6 million to reflect the sub-lease of previously-vacated office space and certain legal and other employee-related charges deemed unnecessary.

(2)     During the fourth quarter of 2012, ITG began its build out of its new lower Manhattan headquarters while continuing to occupy its then-existing headquarters in midtown Manhattan.  As a result, ITG incurred duplicate rent charges through June 2013.

(3)     In the second quarter of 2013, ITG moved into its new headquarters and incurred a one-time charge, which includes a reserve for the remaining lease obligation at the previous midtown Manhattan headquarters.

 

The table below details the total revenues for the categories of products and services provided by the Company (dollars in thousands):

 

 

 

Three Months Ended
June 30,

 

Six Months Ended
June 30,

 

 

 

2014

 

2013

 

2014

 

2013

 

Revenues by Product Group:

 

 

 

 

 

 

 

 

 

Electronic Brokerage

 

$

73,193

 

$

74,715

 

$

146,076

 

$

144,363

 

Research, Sales and Trading

 

30,311

 

28,140

 

59,556

 

53,553

 

Platforms

 

23,333

 

24,595

 

47,066

 

49,694

 

Analytics

 

11,351

 

11,600

 

22,801

 

23,270

 

Corporate (non-product)

 

278

 

243

 

576

 

463

 

Total Revenues

 

$

138,466

 

$

139,293

 

$

276,075

 

$

271,343

 

XML 39 R36.htm IDEA: XBRL DOCUMENT v2.4.0.8
Organization and Basis of Presentation (Details)
6 Months Ended
Jun. 30, 2014
segment
Organization and Basis of Presentation  
Number of reportable operating segments 4
XML 40 R24.htm IDEA: XBRL DOCUMENT v2.4.0.8
Subsequent Event
6 Months Ended
Jun. 30, 2014
Subsequent Event  
Subsequent Event

(16)                          Subsequent Event

 

On July 30, 2014 the Company acquired all of the capital stock of ID’S for $19.6 million, net of $4.2 million in acquired cash. ID’S is a Paris-based company that develops and licenses RFQ-hub, a request-for-quote technology platform for global listed and over-the-counter financial instruments. This acquisition is closely aligned with the Company’s strategic goals to expand its business across different asset classes and client constituencies and to grow its international businesses.

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Condensed Consolidated Statement of Changes in Stockholders' Equity (Parenthetical) (USD $)
In Millions, except Share data, unless otherwise specified
6 Months Ended
Jun. 30, 2014
Condensed Consolidated Statement of Changes in Stockholders' Equity  
Issuance of common stock for restricted share awards, shares 891,539
Issuance of common stock for restricted share awards, tax benefit shortfall and award cancellations (in dollars) $ 0.3
Issuance of common stock for the employee stock purchase plan, shares 32,977
Shares withheld for net settlements of share-based awards, shares 315,431
Purchase of common stock for treasury, shares 1,514,637
XML 43 R3.htm IDEA: XBRL DOCUMENT v2.4.0.8
Condensed Consolidated Statements of Financial Condition (Parenthetical) (USD $)
Jun. 30, 2014
Dec. 31, 2013
Condensed Consolidated Statements of Financial Condition    
Preferred stock, par value (in dollars per share) $ 0.01 $ 0.01
Preferred stock, shares authorized 1,000,000 1,000,000
Preferred stock, shares issued 0 0
Preferred stock, shares outstanding 0 0
Common stock, par value (in dollars per share) $ 0.01 $ 0.01
Common stock, shares authorized 100,000,000 100,000,000
Common stock, shares issued 52,191,351 52,158,374
Common stock held in treasury, at cost; shares 16,944,029 16,005,500
XML 44 R17.htm IDEA: XBRL DOCUMENT v2.4.0.8
Accounts Payable and Accrued Expenses
6 Months Ended
Jun. 30, 2014
Accounts Payable and Accrued Expenses  
Accounts Payable and Accrued Expenses

(9) Accounts Payable and Accrued Expenses

 

The following is a summary of accounts payable and accrued expenses (dollars in thousands):

 

 

 

June 30,
2014

 

December 31,
2013

 

Accrued research payables

 

$

62,299

 

$

52,015

 

Accrued compensation and benefits

 

35,523

 

47,622

 

Accrued rent

 

19,639

 

19,938

 

Trade payables

 

18,301

 

15,222

 

Deferred revenue

 

13,348

 

12,533

 

Deferred compensation

 

4,321

 

4,552

 

Accrued restructuring

 

3,071

 

3,768

 

Accrued transaction processing

 

2,779

 

2,972

 

Other

 

16,601

 

17,309

 

Total

 

$

175,882

 

$

175,931

 

XML 45 R1.htm IDEA: XBRL DOCUMENT v2.4.0.8
Document and Entity Information
6 Months Ended
Jun. 30, 2014
Jul. 15, 2014
Document and Entity Information    
Entity Registrant Name INVESTMENT TECHNOLOGY GROUP, INC.  
Entity Central Index Key 0000920424  
Document Type 10-Q  
Document Period End Date Jun. 30, 2014  
Amendment Flag false  
Current Fiscal Year End Date --12-31  
Entity Current Reporting Status Yes  
Entity Filer Category Accelerated Filer  
Entity Common Stock, Shares Outstanding   35,249,940
Document Fiscal Year Focus 2014  
Document Fiscal Period Focus Q2  
XML 46 R18.htm IDEA: XBRL DOCUMENT v2.4.0.8
Borrowings
6 Months Ended
Jun. 30, 2014
Borrowings  
Borrowings

(10) Borrowings

 

Short-term Bank Loans

 

The Company’s international securities clearance and settlement activities are funded with operating cash or with short-term bank loans in the form of overdraft facilities.  At June 30, 2014, there was $141.7 million outstanding under these facilities at a weighted average interest rate of approximately 1.4% associated with international settlement activities.

 

In the U.S., securities clearance and settlement activities are funded with operating cash, securities loaned or with short-term bank loans under a committed credit agreement.  ITG Inc. as borrower, and Investment Technology Group, Inc. (“Parent Company”) as guarantor, maintained a $150 million three-year revolving credit agreement with a syndicate of banks and JP Morgan Chase Bank, N.A., as Administrative Agent that matured on January 31, 2014.  On January 31, 2014, ITG Inc. as borrower, and Parent Company as guarantor entered into a new $150 million two-year revolving credit agreement (the “Credit Agreement”) with a syndicate of banks and JPMorgan Chase Bank, N.A., as Administrative Agent. The Credit Agreement includes an accordion feature that allows for potential expansion of the facility up to $225 million. At June 30, 2014, there were no amounts outstanding under the Credit Agreement.

 

Term Debt

 

At June 30, 2014, term debt is comprised of the following (dollars in thousands):

 

Term loan

 

$

5,837

 

Obligations under capital lease

 

18,244

 

Total

 

$

24,081

 

 

On June 1, 2011, Parent Company as borrower, entered into a $25.5 million Master Loan and Security Agreement (“Term Loan Agreement”) with Banc of America Leasing & Capital, LLC (“Bank of America”). The four-year term loan established under this agreement (“Term Loan”) is secured by a security interest in existing furniture, fixtures and equipment owned by the Parent Company and certain U.S. subsidiaries as of June 1, 2011. The primary purpose of this financing was to provide capital for strategic initiatives.

 

Along with the Term Loan Agreement, Parent Company entered into a $5.0 million master lease facility with Bank of America (“Master Lease Agreement”), under which purchases of new equipment may be financed. Each equipment lease under the Master Lease Agreement is structured as a capital lease and has a separate 48-month term from its inception date, at the end of which Parent Company may purchase the underlying equipment for $1.

 

On August 10, 2012, Parent Company entered into a $25.0 million master lease facility with BMO Harris Equipment Finance Company (“BMO”) to finance equipment and construction expenditures related to the build-out of the Company’s new headquarters in lower Manhattan. The amount borrowed of $21.2 million has a 3.39% fixed-rate term financing structured as a capital lease with a 48-month term, at the end of which Parent Company may purchase the underlying assets for $1.

XML 47 R4.htm IDEA: XBRL DOCUMENT v2.4.0.8
Condensed Consolidated Statements of Income (USD $)
In Thousands, except Per Share data, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2014
Jun. 30, 2013
Jun. 30, 2014
Jun. 30, 2013
Revenues:        
Commissions and fees $ 106,453 $ 108,868 $ 214,877 $ 211,876
Recurring 24,975 26,283 50,552 51,623
Other 7,038 4,142 10,646 7,844
Total revenues 138,466 139,293 276,075 271,343
Expenses:        
Compensation and employee benefits 52,720 51,202 103,897 100,751
Transaction processing 20,109 22,499 40,605 44,031
Occupancy and equipment 14,985 20,720 30,063 37,261
Telecommunications and data processing services 12,655 13,718 25,352 27,816
Other general and administrative 20,715 19,760 39,820 38,536
Restructuring charges   (75)   (75)
Interest expense 594 699 1,230 1,301
Total expenses 121,778 128,523 240,967 249,621
Income before income tax expense 16,688 10,770 35,108 21,722
Income tax expense 3,762 5,684 8,562 8,014
Net income $ 12,926 $ 5,086 $ 26,546 $ 13,708
Income per share:        
Basic (in dollars per share) $ 0.36 $ 0.14 $ 0.74 $ 0.37
Diluted (in dollars per share) $ 0.35 $ 0.13 $ 0.72 $ 0.36
Basic weighted average number of common shares outstanding (in shares) 35,720 36,956 35,900 37,166
Diluted weighted average number of common shares outstanding (in shares) 36,641 38,000 36,933 38,371
XML 48 R12.htm IDEA: XBRL DOCUMENT v2.4.0.8
Cash Restricted or Segregated Under Regulations and Other
6 Months Ended
Jun. 30, 2014
Cash Restricted or Segregated Under Regulations and Other  
Cash Restricted or Segregated Under Regulations and Other

(4) Cash Restricted or Segregated Under Regulations and Other

 

Cash restricted or segregated under regulations and other represents (i) funds on deposit for the purpose of securing working capital facilities for clearing and settlement activities in Hong Kong, (ii) a special reserve bank account for the exclusive benefit of customers (“Special Reserve Bank Account”) maintained by ITG Inc. in accordance with Rule 15c3-3 of the Exchange Act (“Customer Protection Rule”) or agreements for proprietary accounts of broker dealers (“PABs”), (iii) funds on deposit for Canadian and European trade clearing and settlement activity, (iv) segregated balances under a collateral account control agreement for the benefit of certain customers, and (v) funds relating to the securitization of bank guarantees supporting the Company’s Australian lease.

XML 49 R11.htm IDEA: XBRL DOCUMENT v2.4.0.8
Restructuring Charges
6 Months Ended
Jun. 30, 2014
Restructuring Charges.  
Restructuring Charges

(3) Restructuring Charges

 

2013 Restructuring

 

In the second quarter of 2013, the Company implemented a strategic plan to close its technology research and development facility in Israel and outsource that function to a third party service provider effective January 1, 2014.

 

Activity and liability balances recorded as part of the 2013 restructuring plan through June 30, 2014 are as follows (dollars in thousands):

 

 

 

Employee
separation costs

 

Consolidation
of leased
facilities

 

Total

 

Balance at December 31, 2013

 

$

235

 

$

100

 

$

335

 

Cash payments

 

(37

)

 

(37

)

Other

 

3

 

 

3

 

Balance at June 30, 2014

 

$

201

 

$

100

 

$

301

 

 

The remaining accrued costs are expected to be paid during 2014.

 

2012 Restructuring

 

In the fourth quarter of 2012, the Company implemented a restructuring plan to reduce annual operating costs.

 

Activity and liability balances recorded as part of the 2012 restructuring plan through June 30, 2014 are as follows (dollars in thousands):

 

 

 

Employee
separation costs

 

Balance at December 31, 2013

 

$

75

 

Utilized—cash

 

(14

)

Balance at June 30, 2014

 

$

61

 

 

The remaining accrued costs are expected to be paid by the end of 2014.

 

2011 Restructuring

 

In the second and fourth quarters of 2011, the Company implemented restructuring plans to improve margins and enhance stockholder returns.

 

Activity and liability balances recorded as part of the 2011 restructuring plan through June 30, 2014 are as follows (dollars in thousands):

 

 

 

Employee
separation costs

 

Consolidation
of leased
facilities

 

Total

 

Balance at December 31, 2013

 

$

7

 

$

1,567

 

$

1,574

 

Utilized - cash

 

(7

)

(454

)

(461

)

Balance at June 30, 2014

 

$

 

$

1,113

 

$

1,113

 

 

The payment of the remaining accrued costs related to the vacated leased facilities will continue through December 2016.

 

2010 Restructuring

 

In the fourth quarter of 2010, the Company closed its Westchester, NY office and relocated the staff, primarily sales traders and support, to its New York City office.

 

Activity and liability balances recorded as part of the 2010 restructuring plan through June 30, 2014 are as follows (dollars in thousands):

 

 

 

Consolidation
of leased
facilities

 

Balance at December 31, 2013

 

$

1,784

 

Utilized—cash

 

(188

)

Balance at June 30, 2014

 

$

1,596

 

 

The payment of the remaining accrued costs related to the vacated leased facilities will continue through December 2016.

XML 50 R23.htm IDEA: XBRL DOCUMENT v2.4.0.8
Off-Balance Sheet Risk and Concentration of Credit Risk
6 Months Ended
Jun. 30, 2014
Off-Balance Sheet Risk and Concentration of Credit Risk  
Off-Balance Sheet Risk and Concentration of Credit Risk

(15)                          Off-Balance Sheet Risk and Concentration of Credit Risk

 

The Company is a member of various U.S. and non-U.S. exchanges and clearing houses that trade and clear, respectively, equities and/or derivative contracts.  Associated with the Company’s membership, the Company may be required to pay a proportionate share of financial obligations of another member who may default on its obligations to the exchanges or the clearing house.  While the rules governing different exchange or clearing house memberships vary, in general, the Company’s obligations would arise only if the exchanges and clearing houses had previously exhausted other remedies. The maximum potential payout under these memberships cannot be estimated. The Company has not recorded any contingent liability in the condensed consolidated financial statements for these agreements and believes that any potential requirement to make payments under these agreements is remote. In the ordinary course of business, the Company guarantees obligations of subsidiaries which may arise from third-party clearing relationships and trading counterparties. The activities of the subsidiaries covered by these guarantees are included in the Company’s consolidated financial statements.

 

The Company’s customer financing and securities settlement activities may require the Company to pledge customer securities as collateral in support of various secured financing transactions such as bank loans. In the event the counterparty is unable to meet its contractual obligation to return customer securities pledged as collateral, the Company may be exposed to the risk of acquiring the securities at prevailing market prices in order to satisfy its customer obligations. The Company controls this risk by monitoring the market value of securities pledged on a daily basis and by requiring adjustments of collateral levels in the event of excess market exposure.

 

Financial instruments that potentially subject the Company to concentrations of credit risk are primarily cash and cash equivalents, securities owned at fair value, receivables from brokers, dealers and clearing organizations and receivables from customers. Cash and cash equivalents and securities owned, at fair value are deposited with high credit quality financial institutions.

 

The Company loans securities temporarily to other brokers in connection with its securities lending activities. The Company receives cash as collateral for the securities loaned. Increases in security prices may cause the market value of the securities loaned to exceed the amount of cash received as collateral. In the event the counterparty to these transactions does not return the loaned securities, the Company may be exposed to the risk of acquiring the securities at prevailing market prices in order to satisfy its client obligations. The Company controls this risk by requiring credit approvals for counterparties, by monitoring the market value of securities loaned on a daily basis, and by requiring additional cash as collateral or returning collateral when necessary.

 

The Company borrows securities temporarily from other brokers in connection with its securities borrowing activities. The Company deposits cash as collateral for the securities borrowed. Decreases in security prices may cause the market value of the securities borrowed to fall below the amount of cash deposited as collateral. In the event the counterparty to these transactions does not return collateral, the Company may be exposed to the risk of selling the securities at prevailing market prices. The Company controls this risk by requiring credit approvals for counterparties, by monitoring the collateral values on a daily basis, and by depositing additional collateral with counterparties or receiving cash when deemed necessary.

 

The Company may at times maintain inventories in equity securities on both a long and short basis. Whereas long inventory positions represent the Company’s ownership of securities, short inventory positions represent obligations of the Company to deliver specified securities at a contracted price, which may differ from market prices prevailing at the time of completion of the transaction. Accordingly, both long and short inventory positions may result in losses or gains to the Company as market values of securities fluctuate. To mitigate the risk of losses, long and short positions are marked to market daily and are continuously monitored by the Company.

XML 51 R19.htm IDEA: XBRL DOCUMENT v2.4.0.8
Earnings Per Share
6 Months Ended
Jun. 30, 2014
Earnings Per Share  
Earnings Per Share

(11) Earnings Per Share

 

The following is a reconciliation of the basic and diluted earnings per share computations (dollars in thousands, except per share amounts):

 

 

 

June 30,

 

 

 

2014

 

2013

 

Three Months Ended

 

 

 

 

 

Net income for basic and diluted earnings per share

 

$

12,926

 

$

5,086

 

Shares of common stock and common stock equivalents:

 

 

 

 

 

Average common shares used in basic computation

 

35,720

 

36,956

 

Effect of dilutive securities

 

921

 

1,044

 

Average common shares used in diluted computation

 

36,641

 

38,000

 

Earnings per share:

 

 

 

 

 

Basic

 

$

0.36

 

$

0.14

 

Diluted

 

$

0.35

 

$

0.13

 

 

 

 

 

 

 

Six Months Ended

 

 

 

 

 

Net income for basic and diluted earnings per share

 

$

26,546

 

$

13,708

 

Shares of common stock and common stock equivalents:

 

 

 

 

 

Average common shares used in basic computation

 

35,900

 

37,166

 

Effect of dilutive securities

 

1,033

 

1,205

 

Average common shares used in diluted computation

 

36,933

 

38,371

 

Earnings per share:

 

 

 

 

 

Basic

 

$

0.74

 

$

0.37

 

Diluted

 

$

0.72

 

$

0.36

 

 

The following is a summary of anti-dilutive equity awards not included in the detailed earnings per share computations (amounts in thousands):

 

 

 

June 30,

 

 

 

2014

 

2013

 

Three months ended

 

83

 

385

 

Six months ended

 

220

 

450

 

XML 52 R15.htm IDEA: XBRL DOCUMENT v2.4.0.8
Intangibles
6 Months Ended
Jun. 30, 2014
Intangibles  
Intangibles

(7) Intangibles

 

Acquired other intangible assets consisted of the following at June 30, 2014 and December 31, 2013 (dollars in thousands):

 

 

 

June 30, 2014

 

December 31, 2013

 

 

 

 

 

Gross Carrying
Amount

 

Accumulated
Amortization

 

Gross Carrying
Amount

 

Accumulated
Amortization

 

Useful Lives
(Years)

 

Trade names

 

$

8,400

 

$

 

$

8,400

 

$

 

 

Customer-related intangibles

 

27,851

 

10,035

 

27,851

 

8,923

 

13.1

 

Proprietary software

 

21,501

 

19,275

 

21,501

 

17,921

 

6.4

 

Trading rights

 

340

 

 

243

 

 

 

Other

 

50

 

 

50

 

 

 

Total

 

$

58,142

 

$

29,310

 

$

58,045

 

$

26,844

 

 

 

 

At June 30, 2014, indefinite-lived intangibles not subject to amortization amounted to $8.8 million, of which $8.4 million related to the POSIT trade name.

 

Amortization expense for definite-lived intangibles was $1.2 million and $2.4 million for the three months and six months ended June 30, 2014, respectively, compared with $1.0 and $2.1 million in the respective prior-year periods. These amounts are included in other general and administrative expense in the Condensed Consolidated Statements of Income.

 

During the six months ended June 30, 2014, no intangibles were deemed impaired, and accordingly, no adjustment was required.

XML 53 R13.htm IDEA: XBRL DOCUMENT v2.4.0.8
Securities Owned and Sold, Not Yet Purchased
6 Months Ended
Jun. 30, 2014
Securities Owned and Sold, Not Yet Purchased  
Securities Owned and Sold, Not Yet Purchased

(5) Securities Owned and Sold, Not Yet Purchased

 

The following is a summary of securities owned and securities sold, not yet purchased (dollars in thousands):

 

 

 

Securities Owned

 

Securities Sold, Not Yet
Purchased

 

 

 

June 30,
2014

 

December 31,
2013

 

June 30,
2014

 

December 31,
2013

 

Corporate stocks—trading securities

 

$

9,857

 

$

2,894

 

$

9,108

 

$

2,953

 

Mutual funds

 

4,316

 

4,542

 

 

 

Total

 

$

14,173

 

$

7,436

 

$

9,108

 

$

2,953

 

 

Trading securities owned and sold, not yet purchased primarily consists of temporary positions obtained in the normal course of agency trading activities, including positions held in connection with the creation and redemption of exchange-traded funds on behalf of clients.

XML 54 R14.htm IDEA: XBRL DOCUMENT v2.4.0.8
Income Taxes
6 Months Ended
Jun. 30, 2014
Income Taxes  
Income Taxes

(6) Income Taxes

 

The tax benefit from an uncertain tax position is recognized only if it is more likely than not that the tax position will be sustained upon examination by the taxing authorities based on the technical merits of the position. The tax benefits recognized in the financial statements from such a position are measured based on the largest benefit that has a greater than fifty percent likelihood of being realized upon ultimate resolution.

 

During the six months ended June 30, 2014, the Company amended certain prior-year tax returns in the U.S. for deductions in those years not previously taken, resolved uncertain tax positions in the U.S. for fiscal year 2007, reducing tax reserves, and revised estimates for certain tax positions for other prior years, increasing tax reserves.  The net effect was a decrease in tax expense of $0.3 million.

 

The Company had reserves for tax positions taken of $19.3 million and $13.1 million at June 30, 2014 and December 31, 2013, respectively.  The Company had accrued interest expense of $2.2 million, net of related tax effects, related to tax reserves at both June 30, 2014 and December 31, 2013.

 

During the six months ended June 30, 2014, the Company fully utilized net operating loss carry-forwards in the U.K.  As a result the Company’s operations in the U.K. are incurring tax expense.

XML 55 R16.htm IDEA: XBRL DOCUMENT v2.4.0.8
Receivables and Payables
6 Months Ended
Jun. 30, 2014
Receivables and Payables  
Receivables and Payables

(8) Receivables and Payables

 

Receivables from, and Payables to, Brokers, Dealers and Clearing Organizations

 

The following is a summary of receivables from, and payables to, brokers, dealers and clearing organizations (dollars in thousands):

 

 

 

Receivables from

 

Payables to

 

 

 

June 30,
2014

 

December 31,
2013

 

June 30,
2014

 

December 31,
2013

 

Broker-dealers

 

$

881,343

 

$

254,031

 

$

1,128,417

 

$

284,681

 

Clearing organizations

 

331,668

 

23,033

 

9,041

 

2,798

 

Securities borrowed

 

528,827

 

742,307

 

 

 

Securities loaned

 

 

 

572,239

 

737,789

 

Allowance for doubtful accounts

 

(1,038

)

(1,029

)

 

 

Total

 

$

1,740,800

 

$

1,018,342

 

$

1,709,697

 

$

1,025,268

 

 

Receivables from, and Payables to, Customers

 

The following is a summary of receivables from, and payables to, customers (dollars in thousands):

 

 

 

Receivables from

 

Payables to

 

 

 

June 30,
2014

 

December 31,
2013

 

June 30,
2014

 

December 31,
2013

 

Customers

 

$

1,337,833

 

$

592,139

 

$

1,134,612

 

$

469,264

 

Allowance for doubtful accounts

 

(1,298

)

(1,135

)

 

 

Net

 

$

1,336,535

 

$

591,004

 

$

1,134,612

 

$

469,264

 

 

Securities Borrowed and Loaned

 

As of June 30, 2014, securities borrowed as part of the Company’s matched book operations with a fair value of $513.9 million were delivered for securities loaned. The gross amounts of interest earned on cash provided to counterparties as collateral for securities borrowed, and interest incurred on cash received from counterparties as collateral for securities loaned, and the resulting net amount included in other revenue on the Condensed Consolidated Statements of Income for the three and six months ended June 30, 2014 and 2013, respectively, were as follows (dollars in thousands):

 

 

 

Three Months Ended June 30,

 

Six Months Ended June 30,

 

 

 

2014

 

2013

 

2014

 

2013

 

Interest earned

 

$

6,455

 

$

5,855

 

$

10,858

 

$

8,781

 

Interest incurred

 

(4,337

)

(4,251

)

(7,403

)

(6,304

)

Net

 

$

2,118

 

$

1,604

 

$

3,455

 

$

2,477

 

 

Deposits paid for securities borrowed and deposits received for securities loaned are recorded at the amount of cash collateral advanced or received. Deposits paid for securities borrowed transactions require the Company to deposit cash with the lender. With respect to deposits received for securities loaned, the Company receives collateral in the form of cash in an amount generally in excess of the market value of the securities loaned. The Company monitors the market value of the securities borrowed and loaned on a daily basis, with additional collateral obtained or refunded, as necessary.

 

The Company’s securities borrowing and lending is generally done under industry standard agreements (“Master Securities Lending Agreements”) that may allow, following an event of default by either party, the prompt close-out of all transactions (including the liquidation of securities held) and the offsetting of obligations to return cash or securities, as the case may be, by the non-defaulting party. Events of default under the Master Securities Lending Agreements generally include, subject to certain conditions: (i) failure to timely deliver cash or securities as required under the transaction, (ii) a party’s insolvency, bankruptcy, or similar proceeding, (iii) breach of representation, and (iv) a material breach of the agreement. The counterparty that receives the securities in these transactions generally has unrestricted access in its use of the securities.  For financial statement purposes, the Company does not offset securities borrowed and securities loaned.

 

The following table summarizes the transactions under certain Master Securities Lending Agreements that may be eligible for offsetting if an event of default occurred and a right of offset was legally enforceable (dollars in thousands):

 

 

 

Gross Amounts of
Recognized Assets/
(Liabilities)

 

Gross Amounts
Offset in the
Consolidated
Statement of
Financial Condition

 

Net Amounts
Presented in the
Consolidated
Statement of
Financial Condition

 

Collateral
Received or
Pledged
(including
Cash)

 

Net
Amount

 

As of June 30, 2014:

 

 

 

 

 

 

 

 

 

 

 

Deposits paid for securities borrowed

 

$

528,827

 

$

 

$

528,827

 

$

528,557

 

$

270

 

Deposits received for securities loaned

 

(572,239

)

 

(572,239

)

(560,232

)

(12,007

)

As of December 31, 2013:

 

 

 

 

 

 

 

 

 

 

 

Deposits paid for securities borrowed

 

$

742,307

 

$

 

$

742,307

 

$

742,083

 

$

224

 

Deposits received for securities loaned

 

(737,789

)

 

(737,789

)

(722,091

)

(15,698

)

XML 56 R34.htm IDEA: XBRL DOCUMENT v2.4.0.8
Net Capital Requirement (Tables)
6 Months Ended
Jun. 30, 2014
Net Capital Requirement  
Net capital balances and the amounts in excess of required net capital for the U.S. Operations

Net capital balances and the amounts in excess of required net capital at June 30, 2014 for the U.S. Operations are as follows (dollars in thousands):

 

 

 

Net Capital

 

Excess

 

U.S. Operations

 

 

 

 

 

ITG Inc.

 

$

104,424

 

$

103,424

 

AlterNet

 

5,766

 

5,555

 

ITG Derivatives

 

4,447

 

3,447

 

Net capital balances and the amounts in excess of required net capital for other than U.S. Operations

The regulatory net capital balances and amount of regulatory capital in excess of the minimum requirements applicable to each business at June 30, 2014, is summarized in the following table (dollars in thousands):

 

 

 

Net Capital

 

Excess (Deficit)

 

Canadian Operations

 

 

 

 

 

Canada

 

$

39,215

 

$

38,745

 

European Operations

 

 

 

 

 

Ireland

 

51,008

 

3,060

 

U.K.

 

4,282

 

3,282

 

Asia Pacific Operations

 

 

 

 

 

Australia

 

11,425

 

4,618

 

Hong Kong

 

27,900

 

12,873

 

Singapore

 

373

 

173

 

XML 57 R51.htm IDEA: XBRL DOCUMENT v2.4.0.8
Segment Reporting (Details 2) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2014
Jun. 30, 2013
Jun. 30, 2014
Jun. 30, 2013
Revenues by Product Group:        
Total revenues $ 138,466 $ 139,293 $ 276,075 $ 271,343
Corporate (non-product)
       
Revenues by Product Group:        
Total revenues 278 243 576 463
Electronic Brokerage
       
Revenues by Product Group:        
Total revenues 73,193 74,715 146,076 144,363
Research Sales and Trading
       
Revenues by Product Group:        
Total revenues 30,311 28,140 59,556 53,553
Platforms
       
Revenues by Product Group:        
Total revenues 23,333 24,595 47,066 49,694
Analytics
       
Revenues by Product Group:        
Total revenues $ 11,351 $ 11,600 $ 22,801 $ 23,270
XML 58 R21.htm IDEA: XBRL DOCUMENT v2.4.0.8
Net Capital Requirement
6 Months Ended
Jun. 30, 2014
Net Capital Requirement  
Net Capital Requirement

(13) Net Capital Requirement

 

ITG Inc., AlterNet and ITG Derivatives are subject to the SEC’s Uniform Net Capital Rule (Rule 15c3-1), which requires the maintenance of minimum net capital.  ITG Inc. has elected to use the alternative method permitted by Rule 15c3-1, which requires that ITG Inc. maintain minimum net capital equal to the greater of $1.0 million or 2% of aggregate debit balances arising from customer transactions, as defined. AlterNet and ITG Derivatives have elected to use the basic method permitted by Rule 15c3-1, which requires that they each maintain minimum net capital equal to the greater of 6 2/3% of aggregate indebtedness or $100,000 and $1.0 million, respectively. Dividends or withdrawals of capital cannot be made if capital is needed to comply with regulatory requirements.

 

Net capital balances and the amounts in excess of required net capital at June 30, 2014 for the U.S. Operations are as follows (dollars in thousands):

 

 

 

Net Capital

 

Excess

 

U.S. Operations

 

 

 

 

 

ITG Inc.

 

$

104,424

 

$

103,424

 

AlterNet

 

5,766

 

5,555

 

ITG Derivatives

 

4,447

 

3,447

 

 

As of June 30, 2014, ITG Inc. had $10.6 million of cash in a Special Reserve Bank Account for the benefit of customers under the Customer Protection Rule pursuant to SEC Rule 15c3-3, Computation for Determination of Reserve Requirements and $0.4 million under PABs.

 

In addition, the Company’s Canadian, European and Asia Pacific Operations have subsidiaries with regulatory capital requirements. The regulatory net capital balances and amount of regulatory capital in excess of the minimum requirements applicable to each business at June 30, 2014, is summarized in the following table (dollars in thousands):

 

 

 

Net Capital

 

Excess (Deficit)

 

Canadian Operations

 

 

 

 

 

Canada

 

$

39,215

 

$

38,745

 

European Operations

 

 

 

 

 

Ireland

 

51,008

 

3,060

 

U.K.

 

4,282

 

3,282

 

Asia Pacific Operations

 

 

 

 

 

Australia

 

11,425

 

4,618

 

Hong Kong

 

27,900

 

12,873

 

Singapore

 

373

 

173

 

XML 59 R26.htm IDEA: XBRL DOCUMENT v2.4.0.8
Restructuring Charges (Tables)
6 Months Ended
Jun. 30, 2014
Restructuring Plan 2013
 
Restructuring Charges.  
Summary of changes in the liability related to the restructuring plan included in accounts payable and accrued expenses

Activity and liability balances recorded as part of the 2013 restructuring plan through June 30, 2014 are as follows (dollars in thousands):

 

 

 

Employee
separation costs

 

Consolidation
of leased
facilities

 

Total

 

Balance at December 31, 2013

 

$

235

 

$

100

 

$

335

 

Cash payments

 

(37

)

 

(37

)

Other

 

3

 

 

3

 

Balance at June 30, 2014

 

$

201

 

$

100

 

$

301

 

Restructuring Plan 2012
 
Restructuring Charges.  
Summary of changes in the liability related to the restructuring plan included in accounts payable and accrued expenses

Activity and liability balances recorded as part of the 2012 restructuring plan through June 30, 2014 are as follows (dollars in thousands):

 

 

 

Employee
separation costs

 

Balance at December 31, 2013

 

$

75

 

Utilized—cash

 

(14

)

Balance at June 30, 2014

 

$

61

 

Restructuring Plan 2011
 
Restructuring Charges.  
Summary of changes in the liability related to the restructuring plan included in accounts payable and accrued expenses

Activity and liability balances recorded as part of the 2011 restructuring plan through June 30, 2014 are as follows (dollars in thousands):

 

 

 

Employee
separation costs

 

Consolidation
of leased
facilities

 

Total

 

Balance at December 31, 2013

 

$

7

 

$

1,567

 

$

1,574

 

Utilized - cash

 

(7

)

(454

)

(461

)

Balance at June 30, 2014

 

$

 

$

1,113

 

$

1,113

 

Restructuring Plan 2010
 
Restructuring Charges.  
Summary of changes in the liability related to the restructuring plan included in accounts payable and accrued expenses

Activity and liability balances recorded as part of the 2010 restructuring plan through June 30, 2014 are as follows (dollars in thousands):

 

 

 

Consolidation
of leased
facilities

 

Balance at December 31, 2013

 

$

1,784

 

Utilized—cash

 

(188

)

Balance at June 30, 2014

 

$

1,596

 

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Net Capital Requirement (Details) (USD $)
Jun. 30, 2014
Canadian Operations
 
Net Capital Requirement  
Net Capital $ 39,215,000
Excess (Deficit) 38,745,000
Ireland
 
Net Capital Requirement  
Net Capital 51,008,000
Excess (Deficit) 3,060,000
U.K.
 
Net Capital Requirement  
Net Capital 4,282,000
Excess (Deficit) 3,282,000
Australia
 
Net Capital Requirement  
Net Capital 11,425,000
Excess (Deficit) 4,618,000
Hong Kong
 
Net Capital Requirement  
Net Capital 27,900,000
Excess (Deficit) 12,873,000
Singapore
 
Net Capital Requirement  
Net Capital 373,000
Excess (Deficit) 173,000
ITG Inc.
 
Net Capital Requirement  
Minimum net capital under the alternative method 1,000,000
Net capital percentage of debit balances arising from customer transactions 2.00%
Cash balance in a Special Reserve Bank Account for the benefit of customers under the Customer Protection Rule 10,600,000
Cash balance under Proprietary Accounts for Introducing Brokers agreements 400,000
ITG Inc. | U.S. Operations
 
Net Capital Requirement  
Net Capital 104,424,000
Excess (Deficit) 103,424,000
Alter Net
 
Net Capital Requirement  
Net capital percentage of aggregate indebtedness 6.66%
Minimum net capital under the basic method 100,000
Alter Net | U.S. Operations
 
Net Capital Requirement  
Net Capital 5,766,000
Excess (Deficit) 5,555,000
ITG Derivatives
 
Net Capital Requirement  
Net capital percentage of aggregate indebtedness 6.66%
Minimum net capital under the basic method 1,000,000
ITG Derivatives | U.S. Operations
 
Net Capital Requirement  
Net Capital 4,447,000
Excess (Deficit) $ 3,447,000

XML 62 R41.htm IDEA: XBRL DOCUMENT v2.4.0.8
Intangibles (Details) (USD $)
3 Months Ended 6 Months Ended
Jun. 30, 2014
Jun. 30, 2013
Jun. 30, 2014
Jun. 30, 2013
Dec. 31, 2013
Other Intangible Assets          
Gross Carrying Amount $ 58,142,000   $ 58,142,000   $ 58,045,000
Accumulated Amortization 29,310,000   29,310,000   26,844,000
Other intangible assets not subject to amortization 8,800,000   8,800,000    
Amortization expense of other intangible assets 1,200,000 1,000,000 2,400,000 2,100,000  
Impairment of other intangible assets     0    
Trade names
         
Other Intangible Assets          
Gross Carrying Amount 8,400,000   8,400,000   8,400,000
Trading rights
         
Other Intangible Assets          
Gross Carrying Amount 340,000   340,000   243,000
Other
         
Other Intangible Assets          
Gross Carrying Amount 50,000   50,000   50,000
POSIT trade name
         
Other Intangible Assets          
Other intangible assets not subject to amortization 8,400,000   8,400,000    
Customer related intangibles
         
Other Intangible Assets          
Gross Carrying Amount 27,851,000   27,851,000   27,851,000
Accumulated Amortization 10,035,000   10,035,000   8,923,000
Useful Lives     13 years 1 month 6 days    
Proprietary software
         
Other Intangible Assets          
Gross Carrying Amount 21,501,000   21,501,000   21,501,000
Accumulated Amortization $ 19,275,000   $ 19,275,000   $ 17,921,000
Useful Lives     6 years 4 months 24 days    
XML 63 R5.htm IDEA: XBRL DOCUMENT v2.4.0.8
Condensed Consolidated Statements of Comprehensive Income (USD $)
In Thousands, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2014
Jun. 30, 2013
Jun. 30, 2014
Jun. 30, 2013
Condensed Consolidated Statements of Comprehensive Income        
Net income $ 12,926 $ 5,086 $ 26,546 $ 13,708
Other comprehensive income (loss), net of tax:        
Currency translation adjustment 4,147 (3,406) 2,182 (8,700)
Other comprehensive income (loss) 4,147 (3,406) 2,182 (8,700)
Comprehensive income $ 17,073 $ 1,680 $ 28,728 $ 5,008
XML 64 R10.htm IDEA: XBRL DOCUMENT v2.4.0.8
Fair Value Measurements
6 Months Ended
Jun. 30, 2014
Fair Value Measurements  
Fair Value Measurements

(2) Fair Value Measurements

 

Fair value is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date. In determining fair value, various methods are used including market, income and cost approaches. Based on these approaches, certain assumptions that market participants would use in pricing the asset or liability are used, including assumptions about risk and/or the risks inherent in the inputs to the valuation technique. These inputs can be readily observable, market-corroborated, or generally unobservable firm inputs. Valuation techniques that are used maximize the use of observable inputs and minimize the use of unobservable inputs. Based on the observability of the inputs used in the valuation techniques, fair value measured financial instruments are categorized according to the fair value hierarchy prescribed by ASC 820, Fair Value Measurements and Disclosures. The fair value hierarchy ranks the quality and reliability of the information used to determine fair values. Financial assets and liabilities carried at fair value are classified and disclosed in one of the following three categories:

 

·         Level 1: Fair value measurements using unadjusted quoted market prices in active markets for identical, unrestricted assets or liabilities.

 

·         Level 2: Fair value measurements using correlation with (directly or indirectly) observable market-based inputs, unobservable inputs that are corroborated by market data, or quoted prices in markets that are not active.

 

·         Level 3: Fair value measurements using inputs that are significant and not readily observable in the market.

 

Level 1 consists of financial instruments whose value is based on quoted market prices such as exchange-traded mutual funds and listed equities.

 

Level 2 includes financial instruments that are valued based upon observable market-based inputs.

 

Level 3 is comprised of financial instruments whose fair value is estimated based on internally developed models or methodologies utilizing significant inputs that are generally less readily observable.

 

Fair value measurements for those items measured on a recurring basis are as follows (dollars in thousands):

 

June 30, 2014

 

Total

 

Level 1

 

Level 2

 

Level 3

 

Assets

 

 

 

 

 

 

 

 

 

Cash and cash equivalents:

 

 

 

 

 

 

 

 

 

Tax free money market mutual funds

 

$

33

 

$

33

 

$

 

$

 

Money market mutual funds

 

3,307

 

3,307

 

 

 

Securities owned, at fair value:

 

 

 

 

 

 

 

 

 

Corporate stocks-trading securities

 

9,857

 

9,857

 

 

 

Mutual funds

 

4,316

 

4,316

 

 

 

Total

 

$

17,513

 

$

17,513

 

$

 

$

 

 

 

 

 

 

 

 

 

 

 

Liabilities

 

 

 

 

 

 

 

 

 

Securities sold, not yet purchased, at fair value:

 

 

 

 

 

 

 

 

 

Corporate stocks-trading securities

 

9,108

 

9,108

 

 

 

Total

 

$

9,108

 

$

9,108

 

$

 

$

 

 

December 31, 2013

 

Total

 

Level 1

 

Level 2

 

Level 3

 

Assets

 

 

 

 

 

 

 

 

 

Cash and cash equivalents:

 

 

 

 

 

 

 

 

 

Tax free money market mutual funds

 

$

33

 

$

33

 

$

 

$

 

Money market mutual funds

 

2,695

 

2,695

 

 

 

Securities owned, at fair value:

 

 

 

 

 

 

 

 

 

Corporate stocks-trading securities

 

2,894

 

2,894

 

 

 

Mutual funds

 

4,542

 

4,542

 

 

 

Total

 

$

10,164

 

$

10,164

 

$

 

$

 

 

 

 

 

 

 

 

 

 

 

Liabilities

 

 

 

 

 

 

 

 

 

Securities sold, not yet purchased, at fair value:

 

 

 

 

 

 

 

 

 

Corporate stocks-trading securities

 

2,953

 

2,953

 

 

 

Total

 

$

2,953

 

$

2,953

 

$

 

$

 

 

Cash and cash equivalents other than bank deposits are measured at fair value and primarily include U.S. government money market mutual funds.

 

Securities owned, at fair value and securities sold, not yet purchased, at fair value include corporate stocks, equity index mutual funds and bond mutual funds, all of which are exchange traded.

 

Certain of the Company’s assets and liabilities are carried at contracted amounts that approximate fair value. Assets and liabilities that are recorded at contracted amounts approximating fair value consist primarily of receivables from and payables to brokers, dealers, clearing organizations and customers. These receivables and payables to brokers, dealers and clearing organizations are short-term in nature, and following June 30, 2014, substantially all have settled at the contracted amounts.

 

The Company believes the carrying amounts of its term-debt obligations at June 30, 2014 and December 31, 2013 approximate fair value because the interest rates on these instruments change with, or approximate, market interest rates.

XML 65 R27.htm IDEA: XBRL DOCUMENT v2.4.0.8
Securities Owned and Sold, Not Yet Purchased (Tables)
6 Months Ended
Jun. 30, 2014
Securities Owned and Sold, Not Yet Purchased  
Summary of securities owned and securities sold, not yet purchased

The following is a summary of securities owned and securities sold, not yet purchased (dollars in thousands):

 

 

 

Securities Owned

 

Securities Sold, Not Yet
Purchased

 

 

 

June 30,
2014

 

December 31,
2013

 

June 30,
2014

 

December 31,
2013

 

Corporate stocks—trading securities

 

$

9,857

 

$

2,894

 

$

9,108

 

$

2,953

 

Mutual funds

 

4,316

 

4,542

 

 

 

Total

 

$

14,173

 

$

7,436

 

$

9,108

 

$

2,953

 

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Process Flow-Through: 0010 - Statement - Condensed Consolidated Statements of Financial Condition Process Flow-Through: Removing column 'Jun. 30, 2013' Process Flow-Through: Removing column 'Dec. 31, 2012' Process Flow-Through: 0015 - Statement - Condensed Consolidated Statements of Financial Condition (Parenthetical) Process Flow-Through: 0020 - Statement - Condensed Consolidated Statements of Income Process Flow-Through: 0030 - Statement - Condensed Consolidated Statements of Comprehensive Income Process Flow-Through: 0045 - Statement - Condensed Consolidated Statement of Changes in Stockholders' Equity (Parenthetical) Process Flow-Through: 0050 - Statement - Condensed Consolidated Statements of Cash Flows itg-20140630.xml itg-20140630.xsd itg-20140630_cal.xml itg-20140630_def.xml itg-20140630_lab.xml itg-20140630_pre.xml true true XML 67 R38.htm IDEA: XBRL DOCUMENT v2.4.0.8
Restructuring Charges (Details) (USD $)
In Thousands, unless otherwise specified
6 Months Ended 6 Months Ended
Jun. 30, 2014
Dec. 31, 2013
Jun. 30, 2014
Restructuring Plan 2013
Jun. 30, 2014
Restructuring Plan 2013
Employee separation costs
Jun. 30, 2014
Restructuring Plan 2013
Consolidation of leased facilities
Dec. 31, 2013
Restructuring Plan 2013
Consolidation of leased facilities
Jun. 30, 2014
Restructuring Plan 2012
Employee separation costs
Jun. 30, 2014
Restructuring Plan 2011
Jun. 30, 2014
Restructuring Plan 2011
Employee separation costs
Jun. 30, 2014
Restructuring Plan 2011
Consolidation of leased facilities
Jun. 30, 2014
Restructuring Plan 2010
Consolidation of leased facilities
Restructuring Charges                      
Balance at the beginning of the period $ 3,071 $ 3,768 $ 335 $ 235 $ 100 $ 100 $ 75 $ 1,574 $ 7 $ 1,567 $ 1,784
Utilized - cash     (37) (37)     (14) (461) (7) (454) (188)
Other     3 3              
Balance at the end of the period $ 3,071 $ 3,768 $ 301 $ 201 $ 100 $ 100 $ 61 $ 1,113   $ 1,113 $ 1,596
XML 68 R20.htm IDEA: XBRL DOCUMENT v2.4.0.8
Other Comprehensive Income
6 Months Ended
Jun. 30, 2014
Other Comprehensive Income  
Other Comprehensive Income

(12) Other Comprehensive Income

 

The components and allocated tax effects of other comprehensive income for the periods ended June 30, 2014 and December 31, 2013 are as follows (dollars in thousands):

 

 

 

Before Tax
Effects

 

Tax
Effects

 

After Tax
Effects

 

June 30, 2014

 

 

 

 

 

 

 

Currency translation adjustment

 

$

10,718

 

$

 

$

10,718

 

Total

 

$

10,718

 

$

 

$

10,718

 

 

 

 

 

 

 

 

 

December 31, 2013

 

 

 

 

 

 

 

Currency translation adjustment

 

$

8,536

 

$

 

$

8,536

 

Total

 

$

8,536

 

$

 

$

8,536

 

 

Deferred taxes have not been provided on the cumulative undistributed earnings of foreign subsidiaries or the cumulative translation adjustment related to those investments since there is currently no need to repatriate funds from certain foreign subsidiaries to the U.S. by way of dividends.

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