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Financial Assets And Financial Liabilities (Tables)
12 Months Ended
Dec. 31, 2024
Financial Assets And Financial Liabilities [Abstract]  
Fair Value Table

Financial Assets at Fair Value as of December 31, 2024

Level 1

Level 2

Level 3

Total

(in millions)

Securities segregated for regulatory purposes

U.S. and foreign government securities

$

6,460

$

$

$

6,460

Municipal securities

33

33

Total securities segregated for regulatory purposes

6,460

33

6,493

Financial instruments owned, at fair value

Stocks

1,763

1,763

Options

84

84

U.S. and foreign government securities

54

54

Mutual funds

2

2

Precious metals

21

21

Currency forward contracts

Total financial instruments owned, at fair value

1,903

21

1,924

Other assets

Customer-held fractional shares

260

260

Other investments in equity securities

32

32

Total other assets

292

292

Total financial assets at fair value

$

8,655

$

54

$

$

8,709

Financial Liabilities at Fair Value as of December 31, 2024

Level 1

Level 2

Level 3

Total

(in millions)

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

Stocks

$

116

$

$

$

116

Options

96

96

Precious metals

18

18

Currency forward contracts

63

63

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

212

81

293

Accounts payable, accrued expenses and other liabilities

Fractional shares repurchase obligation

260

260

Total accounts payable, accrued expenses and other liabilities

260

260

Total financial liabilities at fair value

$

472

$

81

$

$

553


Financial Assets at Fair Value as of December 31, 2023

Level 1

Level 2

Level 3

Total

(in millions)

Securities segregated for regulatory purposes

U.S. and foreign government securities

$

5,684

$

$

$

5,684

Municipal securities

70

70

Total securities segregated for regulatory purposes

5,684

70

5,754

Financial instruments owned, at fair value

Stocks

1,023

1,023

Options

354

354

U.S. and foreign government securities

39

39

Precious metals

12

12

Currency forward contracts

60

60

Total financial instruments owned, at fair value

1,416

72

1,488

Other assets

Customer-held fractional shares

144

144

Other investments in equity securities

44

44

Total other assets

188

188

Total financial assets at fair value

$

7,288

$

142

$

$

7,430

Financial Liabilities at Fair Value as of December 31, 2023

Level 1

Level 2

Level 3

Total

(in millions)

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

Stocks

$

77

$

$

$

77

Options

104

104

Precious metals

7

7

Currency forward contracts

5

5

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

181

12

193

Accounts payable, accrued expenses and other liabilities

Fractional shares repurchase obligation

144

144

Total accounts payable, accrued expenses and other liabilities

144

144

Total financial liabilities at fair value

$

325

$

12

$

$

337

Financial Assets and Liabilities Not Measured at Fair Value

December 31, 2024

Carrying
Value

Fair
Value

Level 1

Level 2

Level 3

(in millions)

Financial assets, not measured at fair value

Cash and cash equivalents

$

3,633

$

3,633

$

3,633

$

$

Cash - segregated for regulatory purposes

36,600

36,600

36,600

Securities - segregated for regulatory purposes

21,353

21,353

21,353

Securities borrowed

5,369

5,369

5,369

Securities purchased under agreements to resell

6,575

6,575

6,575

Receivables from customers

64,432

64,432

64,432

Receivables from brokers, dealers and clearing organizations

2,196

2,196

2,196

Interest receivable

446

446

446

Other assets

30

32

3

29

Total financial assets, not measured at fair value

$

140,634

$

140,636

$

40,233

$

100,374

$

29

Financial liabilities, not measured at fair value

Short-term borrowings

$

14

$

14

$

$

14

$

Securities loaned

16,248

16,248

16,248

Payables to customers

115,343

115,343

115,343

Payables to brokers, dealers and clearing organizations

476

476

476

Interest payable

311

311

311

Total financial liabilities, not measured at fair value

$

132,392

$

132,392

$

$

132,392

$


December 31, 2023

Carrying
Value

Fair
Value

Level 1

Level 2

Level 3

(in millions)

Financial assets, not measured at fair value

Cash and cash equivalents

$

3,753

$

3,753

$

3,753

$

$

Cash - segregated for regulatory purposes

28,840

28,840

28,840

Securities - segregated for regulatory purposes

29,632

29,632

29,632

Securities borrowed

5,835

5,835

5,835

Securities purchased under agreements to resell

5,504

5,504

5,504

Receivables from customers

44,472

44,472

44,472

Receivables from brokers, dealers and clearing organizations

1,643

1,643

1,643

Interest receivable

375

375

375

Other assets

22

23

2

21

Total financial assets, not measured at fair value

$

120,076

$

120,077

$

32,593

$

87,463

$

21

Financial liabilities, not measured at fair value

Short-term borrowings

$

17

$

17

$

$

17

$

Securities loaned

11,347

11,347

11,347

Payables to customers

101,012

101,012

101,012

Payables to brokers, dealers and clearing organizations

590

590

590

Interest payable

311

311

311

Total financial liabilities, not measured at fair value

$

113,277

$

113,277

$

$

113,277

$

Offsetting Assets And Liabilities .

December 31, 2024

Gross

Amounts

Net Amounts

Amounts Not

Amounts

Offset in the

Presented in the

Offset in the

of Financial

Consolidated

Consolidated

Consolidated Statement

Assets and

Statement of

Statement of

of Financial Condition

Liabilities

Financial

Financial

Cash or Financial

Net

Recognized

Condition 2

Condition

Instruments

Amount

(in millions)

Offsetting of financial assets

Securities segregated for regulatory purposes - purchased under agreements to resell

$

21,353

1

$

$

21,353

$

(21,353)

$

Securities borrowed

5,369

5,369

(5,159)

210

Securities purchased under agreements to resell

6,575

6,575

(6,575)

Financial instruments owned, at fair value

Options

84

84

(69)

15

Currency forward contracts

Total

$

33,381

$

$

33,381

$

(33,156)

$

225

(in millions)

Offsetting of financial liabilities

Securities loaned

$

16,248

$

$

16,248

$

(15,105)

$

1,143

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

Options

96

96

(69)

27

Currency forward contracts

63

63

63

Total

$

16,407

$

$

16,407

$

(15,174)

$

1,233


December 31, 2023

Gross

Amounts

Net Amounts

Amounts Not

Amounts

Offset in the

Presented in the

Offset in the

of Financial

Consolidated

Consolidated

Consolidated Statement

Assets and

Statement of

Statement of

of Financial Condition

Liabilities

Financial

Financial

Cash or Financial

Net

Recognized

Condition 2

Condition

Instruments

Amount

(in millions)

Offsetting of financial assets

Securities segregated for regulatory purposes - purchased under agreements to resell

$

29,632

1

$

$

29,632

$

(29,632)

$

Securities borrowed

5,835

5,835

(5,618)

217

Securities purchased under agreements to resell

5,504

5,504

(5,504)

Financial instruments owned, at fair value

Options

354

354

(104)

250

Currency forward contracts

60

60

60

Total

$

41,385

$

$

41,385

$

(40,858)

$

527

(in millions)

Offsetting of financial liabilities

Securities loaned

$

11,347

$

$

11,347

$

(10,443)

$

904

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

Options

104

104

(104)

Currency forward contracts

5

5

5

Total

$

11,456

$

$

11,456

$

(10,547)

$

909

___________________________

(1)As of December 31, 2024 and 2023, the Company had $21.4 billion and $29.6 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, 2024 and 2023.

Schedule of Securities Financing Transactions

December 31, 2024

Remaining Contractual Maturity

Overnight

Less than

30 – 90

Over 90

and Open

30 days

days

days

Total

(in millions)

Securities loaned

Stocks

$

16,215

$

$

$

$

16,215

Corporate bonds

33

33

Total securities loaned

$

16,248

$

$

$

$

16,248

December 31, 2023

Remaining Contractual Maturity

Overnight

Less than

30 – 90

Over 90

and Open

30 days

days

days

Total

(in millions)

Securities loaned

Stocks

$

11,306

$

$

$

$

11,306

Corporate bonds

41

41

Total securities loaned

$

11,347

$

$

$

$

11,347