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Consolidated Statements of Financial Condition (Unaudited) - USD ($)
$ in Millions
Sep. 27, 2024
Dec. 31, 2023
ASSETS:    
Cash and cash equivalents $ 1,944 $ 1,645
Cash and investments, at fair value, segregated under federal regulations 13,246 15,565
Securities purchased under agreements to resell 736 1,139
Receivables from:    
Clients 4,199 3,922
Mutual funds, insurance companies and other 935 891
Brokers, dealers and clearing organizations 347 429
Securities owned, at fair value:    
Investment securities 1,379 1,069
Inventory securities 214 88
Fixed assets, at cost, net of accumulated depreciation and amortization 1,289 1,093
Lease right-of-use assets 1,075 1,029
Other assets 1,217 1,133
TOTAL ASSETS 26,581 28,003
Payables to    
Clients 16,319 18,246
Brokers, dealers and clearing organizations 218 131
Accrued compensation and employee benefits 2,808 2,506
Accounts payable, accrued expenses and other 1,359 1,427
Lease liabilities 1,108 1,066
Total liabilities before partnership capital 21,812 23,376
Contingencies (Note 7)
Partnership capital subject to mandatory redemption, net of reserve for anticipated withdrawals and partnership loans 4,341 4,049
Reserve for anticipated withdrawals 428 578
Total partnership capital and profits interests subject to mandatory redemption 4,769 4,627
TOTAL LIABILITIES 26,581 28,003
Limited Partnership Capital [Member]    
Payables to    
Partnership capital subject to mandatory redemption, net of reserve for anticipated withdrawals and partnership loans 1,737 1,750
Subordinated Limited Partnership Capital [Member]    
Payables to    
Partnership capital subject to mandatory redemption, net of reserve for anticipated withdrawals and partnership loans 718 666
General Partnership Capital [Member]    
Payables to    
Partnership capital subject to mandatory redemption, net of reserve for anticipated withdrawals and partnership loans $ 1,886 $ 1,633