XML 56 R44.htm IDEA: XBRL DOCUMENT v3.20.2
Commitments, Contingencies and Guarantees (Tables)
6 Months Ended
May 31, 2020
Commitments and Contingencies Disclosure [Abstract]  
Schedule of Commitments and Contingencies
The following table summarizes our commitments at May 31, 2020 (in millions):
 
Expected Maturity Date (fiscal years)
 
 
 
2020
 
2021
 
2022 
 and 
 2023
 
2024 
 and 
 2025
 
2026 
 and 
 Later
 
Maximum Payout
Equity commitments (1)
$
29.3

 
$
99.0

 
$

 
$

 
$
7.7

 
$
136.0

Loan commitments (1)

 
275.0

 
35.0

 

 

 
310.0

Underwriting commitments
58.0

 

 

 

 

 
58.0

Forward starting reverse repos (2)
3,300.0

 

 

 

 

 
3,300.0

Forward starting repos (2)
4,048.1

 

 

 

 

 
4,048.1

Other unfunded commitments (1)

 
136.4

 

 
4.9

 

 
141.3

Total commitments
$
7,435.4

 
$
510.4

 
$
35.0

 
$
4.9

 
$
7.7

 
$
7,993.4

(1)
Equity, loan and other unfunded commitments are presented by contractual maturity date. The amounts, however, are available on demand.
(2)
At May 31, 2020, all of the forward starting securities purchased under agreements to resell and forward starting securities sold under agreements to repurchase settled within three business days.
Schedule of Guarantees
The following table summarizes the notional amounts associated with our derivative contracts meeting the definition of a guarantee under U.S. GAAP at May 31, 2020 (in millions):
 
Expected Maturity Date (Fiscal Years)
 
 
 
2020
 
2021
 
2022 
 and 
 2023
 
2024 
 and 
 2025
 
2026 
 and 
 Later
 
Notional/ Maximum Payout
Guarantee Type:
 
 
 
 
 
 
 
 
 
 
 
Derivative contracts—non-credit related
$
7,632.6

 
$
3,542.2

 
$
5,003.2

 
$
1,266.4

 
$
48.5

 
$
17,492.9

Written derivative contracts—credit related
1.0

 

 
1.0

 
5.4

 

 
7.4

Total derivative contracts
$
7,633.6

 
$
3,542.2

 
$
5,004.2

 
$
1,271.8

 
$
48.5

 
$
17,500.3