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Financial Assets And Financial Liabilities (Tables)
12 Months Ended
Dec. 31, 2022
Financial Assets And Financial Liabilities [Abstract]  
Fair Value Table

Financial Assets at Fair Value as of December 31, 2022

Level 1

Level 2

Level 3

Total

(in millions)

Securities segregated for regulatory purposes

U.S. and foreign government securities

$

4,641

4,641

Municipal securities

82

82

Total securities segregated for regulatory purposes

4,641

82

4,723

Financial instruments owned, at fair value

Stocks

380

380

Options

31

31

U.S. and foreign government securities

35

35

Precious metals

9

9

Currency forward contracts

30

30

Total financial instruments owned, at fair value

446

39

485

Other assets

Customer-held fractional shares

91

91

Crypto-asset safeguarding asset

80

80

Other investments in equity securities

34

34

Total other assets

125

80

205

Total financial assets at fair value

$

5,212

$

201

$

$

5,413

Financial Liabilities at Fair Value as of December 31, 2022

Level 1

Level 2

Level 3

Total

(in millions)

Financial instruments sold, but not yet purchased, at fair value

Stocks

$

121

$

$

$

121

Options

16

16

Precious metals

7

7

Currency forward contracts

2

2

Total financial instruments sold, but not yet purchased, at fair value

137

9

146

Accounts payable, accrued expenses and other liabilities

Fractional shares repurchase obligation

91

91

Crypto-asset safeguarding liability

80

80

Total accounts payable, accrued expenses and other liabilities

91

80

171

Total financial liabilities at fair value

$

228

$

89

$

$

317

Financial Assets at Fair Value as of December 31, 2021

Level 1

Level 2

Level 3

Total

(in millions)

Securities segregated for regulatory purposes

U.S. government securities

$

4,729

$

$

$

4,729

Total securities segregated for regulatory purposes

4,729

4,729

Financial instruments owned, at fair value

Stocks

548

548

Options

22

22

U.S. and foreign government securities

54

54

Precious metals

10

10

Currency forward contracts

39

39

Total financial instruments owned, at fair value

624

49

673

Other assets

Customer-held fractional shares

166

166

Other investments in equity securities

49

49

Total other assets

215

215

Total financial assets at fair value

$

5,568

$

49

$

$

5,617

Financial Liabilities at Fair Value as of December 31, 2021

Level 1

Level 2

Level 3

Total

(in millions)

Financial instruments sold, but not yet purchased, at fair value

Stocks

$

144

$

$

$

144

Options

22

22

Precious metals

6

6

Currency forward contracts

10

10

Total financial instruments sold, but not yet purchased, at fair value

166

16

182

Accounts payable, accrued expenses and other liabilities

Fractional shares repurchase obligation

166

166

Total accounts payable, accrued expenses and other liabilities

166

166

Total financial liabilities at fair value

$

332

$

16

$

$

348

Financial Assets and Liabilities Not Measured at Fair Value

December 31, 2022

Carrying
Value

Fair
Value

Level 1

Level 2

Level 3

(in millions)

Financial assets, not measured at fair value

Cash and cash equivalents

$

3,436

$

3,436

$

3,436

$

$

Cash - segregated for regulatory purposes

25,167

25,167

25,167

Securities - segregated for regulatory purposes

27,058

27,058

27,058

Securities borrowed

4,749

4,749

4,749

Securities purchased under agreements to resell

6,029

6,029

6,029

Receivables from customers

38,760

38,760

38,760

Receivables from brokers, dealers and clearing organizations

3,469

3,469

3,469

Interest receivable

341

341

341

Other assets

17

18

2

16

Total financial assets, not measured at fair value

$

109,026

$

109,027

$

28,603

$

80,408

$

16

Financial liabilities, not measured at fair value

Short-term borrowings

$

18

$

18

$

$

18

$

Securities loaned

8,940

8,940

8,940

Payables to customers

93,195

93,195

93,195

Payables to brokers, dealers and clearing organizations

291

291

291

Interest payable

193

193

193

Total financial liabilities, not measured at fair value

$

102,637

$

102,637

$

$

102,637

$


December 31, 2021

Carrying
Value

Fair
Value

Level 1

Level 2

Level 3

(in millions)

Financial assets, not measured at fair value

Cash and cash equivalents

$

2,395

$

2,395

$

2,395

$

$

Cash - segregated for regulatory purposes

22,888

22,888

22,888

Securities - segregated for regulatory purposes

10,392

10,392

10,392

Securities borrowed

3,912

3,912

3,912

Securities purchased under agreements to resell

4,380

4,380

4,380

Receivables from customers

54,935

54,935

54,935

Receivables from brokers, dealers and clearing organizations

3,771

3,771

3,771

Interest receivable

127

127

127

Other assets

20

20

2

18

Total financial assets, not measured at fair value

$

102,820

$

102,820

$

25,283

$

77,519

$

18

Financial liabilities, not measured at fair value

Short-term borrowings

$

27

$

27

$

$

27

$

Securities loaned

11,769

11,769

11,769

Payables to customers

85,634

85,634

85,634

Payables to brokers, dealers and clearing organizations

557

557

557

Interest payable

8

8

8

Total financial liabilities, not measured at fair value

$

97,995

$

97,995

$

$

97,995

$

Offsetting Assets And Liabilities .

December 31, 2022

Gross

Amounts Not

Amounts

Amounts

Net Amounts

Offset in the

of Financial

Offset in the

Presented in the

Consolidated Statement

Assets and

Consolidated

Consolidated

of Financial Condition

Liabilities

Statement of

Statement of

Cash or Financial

Recognized

Financial Condition

2

Financial Condition

Instruments

Net Amount

(in millions)

Offsetting of financial assets

Securities segregated for regulatory purposes - purchased under agreements to resell

$

27,058

1

$

$

27,058

$

(27,058)

$

Securities borrowed

4,749

4,749

(4,597)

152

Securities purchased under agreements to resell

6,029

6,029

(6,029)

Financial instruments owned, at fair value

Options

31

31

(16)

15

Currency forward contracts

30

30

30

Total

$

37,897

$

$

37,897

$

(37,700)

$

197

Offsetting of financial liabilities

Securities loaned

$

8,940

$

$

8,940

$

(8,260)

$

680

Financial instruments sold, but not yet purchased, at fair value

Options

16

16

(16)

Currency forward contracts

2

2

2

Total

$

8,958

$

$

8,958

$

(8,276)

$

682


December 31, 2021

Gross

Amounts Not

Amounts

Amounts

Net Amounts

Offset in the

of Financial

Offset in the

Presented in the

Consolidated Statement

Assets and

Consolidated

Consolidated

of Financial Condition

Liabilities

Statement of

Statement of

Cash or Financial

Recognized

Financial Condition

2

Financial Condition

Instruments

Net Amount

(in millions)

Offsetting of financial assets

Securities segregated for regulatory purposes - purchased under agreements to resell

$

10,392

1

$

$

10,392

$

(10,392)

$

Securities borrowed

3,912

3,912

(3,642)

270

Securities purchased under agreements to resell

4,380

4,380

(4,380)

Financial instruments owned, at fair value

Options

22

22

(19)

3

Currency forward contracts

39

39

39

Total

$

18,745

$

$

18,745

$

(18,433)

$

312

(in millions)

Offsetting of financial liabilities

Securities loaned

$

11,769

$

$

11,769

$

(10,992)

$

777

Financial instruments sold, but not yet purchased, at fair value

Options

22

22

(19)

3

Currency forward contracts

10

10

10

Total

$

11,801

$

$

11,801

$

(11,011)

$

790

___________________________

(1)As of December 31, 2022 and 2021, the Company had $27.1 billion and $10.4 billion, respectively, of securities purchased under agreements to resell that were segregated to satisfy regulatory requirements. These securities are included in “Securities - segregated for regulatory purposes” in the consolidated statements of financial condition.

(2)The Company did not have any balances eligible for netting in accordance with ASC Topic 210-20 at December 31, 2022 and 2021.

Schedule of Securities Financing Transactions

December 31, 2022

Remaining Contractual Maturity

Overnight

Less than

30 – 90

Over 90

and Open

30 days

days

days

Total

(in millions)

Securities loaned

Stocks

$

8,837

$

$

$

$

8,837

Corporate bonds

101

101

Foreign government securities

2

2

Total securities loaned

$

8,940

$

$

$

$

8,940

December 31, 2021

Remaining Contractual Maturity

Overnight

Less than

30 – 90

Over 90

and Open

30 days

days

days

Total

(in millions)

Securities loaned

Stocks

$

11,715

$

$

$

$

11,715

Corporate bonds

51

51

Foreign government securities

3

3

Total securities loaned

$

11,769

$

$

$

$

11,769