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Derivatives (Tables)
9 Months Ended
Sep. 30, 2023
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Fair Value of Derivative Contracts
The fair value of derivative contracts, presented in accordance with the Company’s netting policy, is set forth below (in thousands):
September 30, 2023December 31, 2022
Derivative contractAssetsLiabilities
Notional
Amounts1
AssetsLiabilities
Notional
Amounts1
FX swaps$2,838 $3,901 $560,009 $3,134 $5,796 $586,020 
Futures684 — 6,145,380 — 1,268 4,253,088 
Interest rate swaps547 — 185,701,672 25 — 2,114,412 
Forwards274 1,034 211,199 603 569 197,278 
Total$4,343 $4,935 $192,618,260 $3,762 $7,633 $7,150,798 

1Notional amounts represent the sum of gross long and short derivative contracts, an indication of the volume of the Company’s derivative activity, and do not represent anticipated losses.
Summary of Offsetting of Derivative Instruments
The following tables present information about the offsetting of derivative instruments (in thousands):
September 30, 2023
Gross
Amounts
Gross
Amounts
Offset
Net Amounts Presented in the
Statements of Financial Condition1
Assets
FX swaps$3,214 $(376)$2,838 
Futures70,737 (70,053)684 
Interest rate swaps66,637 (66,090)547 
Forwards375 (101)274 
Total derivative assets$140,963 $(136,620)$4,343 
Liabilities
FX swaps$4,277 $(376)$3,901 
Forwards1,135 (101)1,034 
Futures70,053 (70,053)— 
Interest rate swaps66,090 $(66,090)— 
Total derivative liabilities$141,555 $(136,620)$4,935 
December 31, 2022
Gross
Amounts
Gross
Amounts
Offset
Net Amounts
Presented in the
Statements
of Financial
Condition1
Assets
FX swaps$3,623 $(489)$3,134 
Forwards746 (143)603 
Interest Rate Swaps895 (870)25 
Futures64,769 (64,769)— 
Total derivative assets$70,033 $(66,271)$3,762 
Liabilities
FX swaps$6,285 $(489)$5,796 
Futures66,037 (64,769)1,268 
Forwards712 (143)569 
Interest Rate Swaps870 (870)— 
Total derivative liabilities$73,904 $(66,271)$7,633 

1There were no additional balances in gross amounts not offset as of either September 30, 2023 or December 31, 2022.
Summary of Gains and (Losses) on Derivative Contracts
The table below summarizes gains and (losses) on derivative contracts (in thousands):
Three Months Ended September 30,Nine Months Ended September 30,
Derivative contract2023202220232022
Futures$3,379 $4,054 $10,156 $12,295 
FX swaps1,046 750 1,942 1,680 
Interest rate swaps330 547 
FX/commodities options61 55 143 203 
Gains$4,816 $4,864 $12,788 $14,183