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BANK DEPOSITS
6 Months Ended
Mar. 31, 2020
Deposits [Abstract]  
BANK DEPOSITS BANK DEPOSITS

Bank deposits include savings and money market accounts, certificates of deposit with RJ Bank, Negotiable Order of Withdrawal (“NOW”) accounts and demand deposits. The following table presents a summary of bank deposits including the weighted-average rate, the calculation of which was based on the actual deposit balances at each respective period.
 
 
March 31, 2020
 
September 30, 2019
$ in millions
 
Balance
 
Weighted-average rate
 
Balance
 
Weighted-average rate
Savings and money market accounts
 
$
28,715

 
0.01
%
 
$
21,654

 
0.25
%
Certificates of deposit
 
1,150

 
1.99
%
 
605

 
2.33
%
NOW accounts
 
136

 
1.92
%
 
6

 
0.01
%
Demand deposits (non-interest-bearing)
 
22

 

 
16

 

Total
 
$
30,023

 
0.09
%
 
$
22,281

 
0.31
%


Total bank deposits in the preceding table exclude affiliate deposits of $179 million at March 31, 2020 and $163 million at September 30, 2019, all of which were held in a deposit account at RJ Bank on behalf of RJF.

Savings and money market accounts in the preceding table consist primarily of deposits that are cash balances swept from the client investment accounts maintained at Raymond James & Associates, Inc. (“RJ&A”) to RJ Bank. These balances are held in Federal Deposit Insurance Corporation (“FDIC”)-insured bank accounts through the Raymond James Bank Deposit Program (“RJBDP”). The aggregate amount of individual time deposit account balances that exceeded the FDIC insurance limit at March 31, 2020 was approximately $65 million.

The following table sets forth the scheduled maturities of certificates of deposit.
 
 
March 31, 2020
 
September 30, 2019
$ in millions
 
Denominations
greater than or
equal to $100,000
 
Denominations
less than $100,000
 
Denominations
greater than or
equal to $100,000
 
Denominations
less than $100,000
Three months or less
 
$
84

 
$
20

 
$
24

 
$
19

Over three through six months
 
57

 
26

 
26

 
21

Over six through twelve months
 
67

 
85

 
75

 
37

Over one through two years
 
26

 
175

 
32

 
36

Over two through three years
 
54

 
160

 
40

 
93

Over three through four years
 
68

 
171

 
66

 
47

Over four through five years
 
7

 
150

 
38

 
51

Total certificates of deposit
 
$
363

 
$
787

 
$
301

 
$
304



Interest expense on deposits, excluding interest expense related to affiliate deposits, is summarized in the following table.
 
 
Three months ended March 31,
 
Six months ended March 31,
$ in millions
 
2020
 
2019
 
2020
 
2019
Savings, money market, and NOW accounts
 
$
6

 
$
34

 
$
18

 
$
67

Certificates of deposit
 
6

 
3

 
10

 
5

Total interest expense on deposits
 
$
12

 
$
37

 
$
28

 
$
72