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CONDENSED CONSOLIDATED STATEMENTS OF FINANCIAL CONDITION - USD ($)
$ in Thousands
Jun. 30, 2015
Sep. 30, 2014
Assets:    
Cash and cash equivalents $ 2,582,081 $ 2,199,063
Assets segregated pursuant to regulations and other segregated assets 2,513,086 2,489,264
Securities purchased under agreements to resell and other collateralized financings 416,516 446,016
Financial instruments, at fair value:    
Trading instruments 674,043 679,393
Available for sale securities 443,975 562,289
Private equity investments 209,542 211,666
Other investments 191,130 215,751
Derivative instruments associated with offsetting matched book positions 327,826 323,337
Receivables:    
Brokerage clients, net 2,152,324 2,126,804
Stock borrowed 136,428 158,988
Bank loans, net 12,053,678 10,964,299
Brokers-dealers and clearing organizations 128,362 107,116
Loans to financial advisors, net 480,663 424,928
Other 500,196 544,180
Deposits with clearing organizations 200,372 150,457
Prepaid expenses and other assets 731,966 655,256
Property and equipment, net 249,018 245,401
Deferred income taxes, net 259,486 231,325
Goodwill and identifiable intangible assets, net 354,647 354,261
Total assets 24,808,416 23,325,652
Liabilities and equity:    
Trading instruments sold but not yet purchased, at fair value 266,151 238,400
Securities sold under agreements to repurchase 251,769 244,495
Derivative instruments associated with offsetting matched book positions, at fair value 327,826 323,337
Payables:    
Brokerage clients 4,197,484 3,956,104
Stock loaned 408,733 417,383
Bank deposits 11,010,616 10,028,924
Brokers-dealers and clearing organizations 151,621 216,530
Trade and other 808,735 763,235
Other borrowings 679,215 654,916
Accrued compensation, commissions and benefits 746,494 814,359
Corporate debt 1,187,934 1,190,836
Total liabilities $ 20,062,127 $ 18,892,396
Commitments and contingencies (see Note 16)    
Equity    
Preferred stock; $.10 par value; authorized 10,000,000 shares; issued and outstanding -0- shares $ 0 $ 0
Common stock; $.01 par value; authorized 350,000,000 shares; issued 149,049,959 at June 30, 2015 and 146,103,658 at September 30, 2014 1,489 1,444
Additional paid-in capital 1,327,567 1,239,046
Retained earnings 3,316,400 3,023,845
Treasury stock, at cost; 5,343,777 common shares at June 30, 2015 and 4,900,266 common shares at September 30, 2014 (149,499) (121,211)
Accumulated other comprehensive loss (23,292) (1,888)
Total equity attributable to Raymond James Financial, Inc. 4,472,665 4,141,236
Noncontrolling interests 273,624 292,020
Total equity 4,746,289 4,433,256
Total liabilities and equity 24,808,416 23,325,652
LIHTC Funds - Primary Beneficiary    
Receivables:    
Investments in real estate partnerships held by consolidated variable interest entities 203,077 235,858
Payables:    
Loans payable of consolidated variable interest entities $ 25,549 $ 43,877