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Variable Interest Entities (Tables)
12 Months Ended
Nov. 30, 2024
Equity Method Investments and Joint Ventures [Abstract]  
Schedule of VIEs Consolidated VIEs:
November 30, 2024 (1)
$ in millions
Secured
Funding
Vehicles
Other
Cash ...................................................................................
$
$1.6
Financial instruments owned ........................................
40.0
Securities purchased under agreements to resell (2)
2,829.7
Receivables from brokers (3) .........................................
23.5
Other receivables .............................................................
3.0
Other assets (4) ...............................................................
90.3
Total assets ......................................................................
$2,829.7
$158.4
Financial instruments sold, not yet purchased ...........
$
$7.6
Other secured financings (5) .........................................
2,823.0
26.1
Other liabilities (6) ...........................................................
6.7
23.1
Long-term debt ................................................................
70.1
Total liabilities .................................................................
$2,829.7
$126.9
November 30, 2023 (1)
$ in millions
Secured
Funding
Vehicles
Other
Cash ...................................................................................
$
$1.1
Financial instruments owned .........................................
7.8
Securities purchased under agreements to resell (2)
1,677.7
Receivables from brokers (3) .........................................
18.0
Assets held for sale (7) ...................................................
815.6
578.8
Other assets (4) ...............................................................
147.9
Total assets ......................................................................
$2,493.3
$753.6
Financial instruments sold, not yet purchased ...........
$
$6.4
Other secured financings (5) .........................................
1,667.3
Liabilities held for sale (7) ..............................................
769.2
303.4
Other liabilities (6) ...........................................................
10.5
249.7
Long-term debt ................................................................
49.6
Total liabilities .................................................................
$2,447.0
$609.1
(1)Assets and liabilities are presented prior to consolidation and thus a portion of
these assets and liabilities are eliminated in consolidation.
(2)Securities purchased under agreements to resell primarily represent amounts
due under collateralized transactions from related consolidated entities, which
are all eliminated in consolidation.
(3)$1.5 million and $1.4 million of receivables from brokers at November 30,
2024 and 2023, respectively, are with related consolidated entities, which are
eliminated in consolidation.
(4)$3.4 million and $56.1 million of the other assets at November 30, 2024 and
2023, respectively, represent intercompany receivables with related
consolidated entities, which are eliminated in consolidation.
(5)$719.0 million and $681.0 million of the other secured financings at
November 30, 2024 and 2023, respectively, are with related consolidated
entities and are eliminated in consolidation.
(6)$22.0 million and $247.9 million of the other liabilities amounts at
November 30, 2024 and 2023, respectively, are with related consolidated
entities, which are eliminated in consolidation.
(7)At November 30, 2023, Assets held for sale and Liabilities held for sale in our
Consolidated Statements of Financial Condition relate to the net operating
assets of the wholesale operations of OpNet and Foursight’s automobile
financing vehicles. Both entities were considered to be VIEs. $31.9 million of
Assets held for sale and $5.3 million Liabilities held for sale were with related
consolidated entities and were eliminated in consolidation. Refer to Note 5,
Assets Held for Sale and Discontinued Operations for further information.
Nonconsolidated VIEs
November 30, 2024
Carrying Amount
Maximum
Exposure to
Loss
VIE Assets
$ in millions
Assets
Liabilities
CLOs ......................................
$951.8
$26.5
$6,511.1
$14,872.4
Asset-backed vehicles ........
827.4
946.3
4,266.7
Related party private equity
vehicles ............................
3.7
14.0
34.4
Other investment vehicles ..
1,107.8
1,365.8
19,064.1
Total .......................................
$2,890.7
$26.5
$8,837.2
$38,237.6
November 30, 2023
Carrying Amount
Maximum
Exposure to
Loss
VIE Assets
$ in millions
Assets
Liabilities
CLOs ......................................
$913.3
$14.1
$4,414.0
$9,455.5
Asset-backed vehicles ........
661.7
661.7
3,734.8
Related party private equity
vehicles ............................
3.1
14.2
10.3
Other investment vehicles ..
1,071.2
1,233.7
15,059.2
Total .......................................
$2,649.3
$14.1
$6,323.6
$28,259.8