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Collateralized transactions (Tables)
6 Months Ended
Jun. 30, 2025
Broker-Dealer [Abstract]  
Schedule of Disaggregation of Gross Obligation by Class of Collateral Pledged and Remaining Contractual Maturity of Repurchase Agreements and Securities Loaned Transactions
The following table presents a disaggregation of the gross obligation by the class of collateral pledged and the remaining contractual maturity of the repurchase agreements and securities loaned transactions as of June 30, 2025:
(Expressed in thousands)
Overnight and Open
Repurchase agreements:
U.S. Treasury securities$1,046,021 
Securities loaned:
Corporate equities404,916 
Gross amount of recognized liabilities for repurchase agreements and securities loaned$1,450,937 
Schedule of Gross Amounts and Offsetting Amounts of Reverse Repurchase Agreements, Repurchase Agreements, Securities Borrowed and Securities Loaned Transactions
The following tables present the gross amounts and the offsetting amounts of reverse repurchase agreements, repurchase agreements, securities borrowed and securities loaned transactions as of June 30, 2025 and December 31, 2024:
As of June 30, 2025
 (Expressed in thousands)
   Gross Amounts Not Offset
on the Balance Sheet
 
 Gross
Amounts of
Recognized
Assets
Gross
Amounts
Offset on the
Balance Sheet
Net Amounts
of Assets
Presented on
the Balance
Sheet
Financial
Instruments
Cash
Collateral
Received
Net Amount
Reverse repurchase agreements$192,898 $(192,898)$— $— $— $— 
Securities borrowed (1)
139,852 — 139,852 (136,622)— 3,230 
Total$332,750 $(192,898)$139,852 $(136,622)$— $3,230 
(1)Included in receivable from brokers, dealers and clearing organizations on the consolidated balance sheet.

(Expressed in thousands)   Gross Amounts Not Offset
on the Balance Sheet
 
Gross
Amounts of
Recognized
Liabilities
Gross
Amounts
Offset on the Balance Sheet
Net Amounts
of Liabilities
Presented on
the Balance
Sheet
Financial
Instruments
Cash
Collateral
Pledged
Net Amount
Repurchase agreements$1,046,021 $(192,898)$853,123 $(853,123)$— $— 
Securities loaned (2)
404,916 — 404,916 (393,219)— 11,697 
Total$1,450,937 $(192,898)$1,258,039 $(1,246,342)$— $11,697 
(2)Included in payable to brokers, dealers and clearing organizations on the consolidated balance sheet.
As of December 31, 2024
(Expressed in thousands) 
   Gross Amounts Not Offset
on the Balance Sheet
 
 Gross
Amounts of
Recognized
Assets
Gross
Amounts
Offset on the Balance Sheet
Net Amounts
of Assets
Presented on
the Balance
Sheet
Financial
Instruments
Cash
Collateral
Received
Net Amount
Reverse repurchase agreements$68,055 $(68,055)$— $— $— $— 
Securities borrowed (1)
137,177 — 137,177 (130,568)— 6,609 
Total$205,232 $(68,055)$137,177 $(130,568)$— $6,609 
(1)Included in receivable from brokers, dealers and clearing organizations on the condensed consolidated balance sheet.

(Expressed in thousands) 
   Gross Amounts Not Offset
on the Balance Sheet
 
Gross
Amounts of
Recognized
Liabilities
Gross
Amounts
Offset on the Balance Sheet
Net Amounts
of Liabilities
Presented on
the Balance
Sheet
Financial
Instruments
Cash
Collateral
Pledged
Net Amount
Repurchase agreements$999,809 $(68,055)$931,754 $(931,754)$— $— 
Securities loaned (2)
235,498 — 235,498 (229,156)— 6,342 
Total$1,235,307 $(68,055)$1,167,252 $(1,160,910)$— $6,342 
(2)Included in payable to brokers, dealers and clearing organizations on the consolidated balance sheet.