Quarterly report pursuant to Section 13 or 15(d)

ASSETS AND LIABILITIES HELD FOR SALE - Cash flow statement (Details)

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ASSETS AND LIABILITIES HELD FOR SALE - Cash flow statement (Details) - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2022
Dec. 31, 2021
Cash Flows From Operating Activities        
Net income/(loss) from discontinued operations $ 16,009 $ (4,105) $ 9,929 $ (3,656)
Depreciation and amortization     3,502 2,854
Noncash lease expense     3,453 2,587
Change in deferred taxes     (3,392) (2,508)
Stock compensation expense     6,520 5,636
Net unrealized gain/(loss) recognized during the reporting period on trading securities still held at the reporting date $ (73,257) $ 33,567 (65,684) (7,903)
Net change in accrued interest     (35,984) (27,858)
Change in insurance reserves     42,236 35,381
Allowances for receivables     30,294 907
Trading securities     (630,879) (364,995)
Margin lending, brokerage and other receivables     (270,725) (141,678)
Other assets     (11,058) (12,028)
Securities sold, not yet purchased – at fair value     (13,865) 5,979
Customer liabilities     240,362 (230,143)
Current income tax liability     (14,556) 6,404
Margin lending and trade payables     92,225 28,720
Lease liabilities     (3,470) (2,839)
Other liabilities     10,432 735
Net cash flows from/(used in) operating activities from discontinued operations     32,165 (222,901)
Cash Flows Used In Investing Activities        
Purchase of fixed assets     (27,345) (4,078)
Proceeds from sale of fixed assets     0 172
Net change in loans issued to customers     (507,728) (11,946)
Cash Provided by (Used in) Investing Activities, Discontinued Operations     (21,647) (2,790)
Recast discontinued operations        
Cash Flows From Operating Activities        
Net income/(loss) from discontinued operations     9,929 (3,656)
Depreciation and amortization     1,794 1,637
Noncash lease expense     4,947 3,785
Change in deferred taxes     4,121 (1,892)
Stock compensation expense     4,226 5,647
Net unrealized gain/(loss) recognized during the reporting period on trading securities still held at the reporting date     (47,926) 9,082
Net change in accrued interest     810 1,436
Change in insurance reserves     43,973 0
Allowances for receivables     2,053 89
Trading securities     61,479 (262,438)
Margin lending, brokerage and other receivables     (4,755) (93,717)
Other assets     1,557 (1,948)
Securities sold, not yet purchased – at fair value     257 (24)
Customer liabilities     (47,602) 121,173
Current income tax liability     1 (623)
Margin lending and trade payables     (16) 319
Lease liabilities     (5,509) (3,947)
Other liabilities     2,826 2,176
Net cash flows from/(used in) operating activities from discontinued operations     32,165 (222,901)
Cash Flows Used In Investing Activities        
Purchase of fixed assets     (3,998) (2,918)
Proceeds from sale of fixed assets     0 699
Net change in loans issued to customers     (17,649) (571)
Cash Provided by (Used in) Investing Activities, Discontinued Operations     $ (21,647) $ (2,790)