Annual report pursuant to Section 13 and 15(d)

SECURITIES REPURCHASE AGREEMENT OBLIGATIONS (Tables)

v3.23.2
SECURITIES REPURCHASE AGREEMENT OBLIGATIONS (Tables)
12 Months Ended
Mar. 31, 2023
Securities Sold under Agreements to Repurchase [Abstract]  
Schedule of Securities under repurchase agreement obligations
As of March 31, 2023 and 2022, trading securities included collateralized securities subject to repurchase agreements as described in the following table:
  March 31, 2023
  Interest rates and remaining contractual maturity of the agreements
  Average
interest rate
Up to
30 days
30-90
days
Over 90
days
Total
 
Securities sold under repurchase agreements
Non-US sovereign debt 15.98  % $ 826,196  $ 55,265  $ —  $ 881,461 
Corporate debt 16.07  % 597,559  5,375  —  602,934 
US sovereign debt 1.52  % 17,637  —  —  17,637 
Corporate equity 12.24  % 15,384  —  —  15,384 
Total securities sold under repurchase agreements   $ 1,456,776  $ 60,640  $   $ 1,517,416 
March 31, 2022 (Recasted)
Interest rates and remaining contractual maturity of the agreements
Average
interest rate
Up to 30
days
30-90
days
Over 90
days
Total
Securities sold under repurchase agreements
Corporate debt 11.96  % $ 609,405  $ 142  $ —  $ 609,547 
Non-US sovereign debt 10.85  % 222,893  —  —  222,893 
US sovereign debt 0.77  % 7,396  —  —  7,396 
Corporate equity 14.00  % 388  —  —  388 
Total securities sold under repurchase agreements $ 840,082  $ 142  $   $ 840,224