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Variable Interest Entities (Tables)
12 Months Ended
Nov. 30, 2020
Variable Interest Entity, Measure of Activity [Abstract]  
Schedule of Variable Interest Entities
The following table presents information about our consolidated VIEs (in millions). The assets and liabilities in the table below are presented prior to consolidation and thus a portion of these assets and liabilities are eliminated in consolidation.
November 30, 2020November 30, 2019
Secured Funding VehiclesOtherSecured Funding VehiclesOther
Cash (1)$— $1.2 $— $1.2 
Financial instruments owned, at fair value— 5.2 — 0.3 
Securities purchased under agreements to resell (2)2,908.9 — 2,467.3 — 
Receivables510.6 12.9 605.6 — 
Other (3)46.4 0.1 38.7 — 
Total assets$3,465.9 $19.4 $3,111.6 $1.5 
Financial instruments sold, not yet purchased, at fair
value
$— $2.5 $— $— 
Other secured financings (4)3,425.0 — 3,068.6 — 
Other liabilities (5)1.8 0.4 20.1 0.2 
Total liabilities$3,426.8 $2.9 $3,088.7 $0.2 
(1)Approximately $0.7 million of the cash amount at November 30, 2020 represents cash on deposit with related consolidated entities and is eliminated in consolidation.
(2)Securities purchased under agreements to resell primarily represent amounts due under collateralized transactions on related consolidated entities, which are eliminated in consolidation.
(3)Approximately $9.7 million of the other assets amount at November 30, 2020 represents intercompany receivables with related consolidated entities, which are eliminated in consolidation.
(4)Approximately $138.2 million of the other secured financings amount at November 30, 2020 is with related consolidated entities, which is eliminated in consolidation.
(5)Approximately $0.3 million and $17.7 million of the other liabilities amounts at November 30, 2020 and 2019, respectively, represent intercompany payables with related consolidated entities, which are eliminated in consolidation.
The following tables present information about our variable interests in nonconsolidated VIEs (in millions):
 
Carrying Amount
Maximum
Exposure to Loss
VIE Assets
 AssetsLiabilities
November 30, 2020
CLOs$60.7 $0.2 $642.7 $6,849.1 
Consumer loan and other asset-backed vehicles251.6 — 377.2 2,462.7 
Related party private equity vehicles19.0 — 30.0 53.0 
Other investment vehicles 899.9 — 1,042.9 15,735.5 
Total$1,231.2 $0.2 $2,092.8 $25,100.3 
November 30, 2019    
CLOs$152.6 $0.6 $505.3 $7,845.0 
Consumer loan and other asset-backed vehicles358.3 — 490.6 2,354.8 
Related party private equity vehicles23.0 — 34.3 71.4 
Other investment vehicles 574.0 — 766.1 9,255.0 
Total$1,107.9 $0.6 $1,796.3 $19,526.2