Annual report [Section 13 and 15(d), not S-K Item 405]

SECURITIES REPURCHASE AGREEMENT OBLIGATIONS (Tables)

v3.25.1
SECURITIES REPURCHASE AGREEMENT OBLIGATIONS (Tables)
12 Months Ended
Mar. 31, 2025
Securities Sold under Agreements to Repurchase [Abstract]  
Schedule of Securities under repurchase agreement obligations
As of March 31, 2025 and 2024, trading securities included collateralized securities subject to repurchase agreements as described in the following table:
  March 31, 2025
  Interest rates and remaining contractual maturity of the agreements
  Average
interest rate
Up to
30 days
30-90
days
Total
 
Securities sold under repurchase agreements
Non-US sovereign debt 15.74  % $ 904,940  $ 2,364  $ 907,304 
Corporate debt 15.95  % 423,572  87,120  510,692 
Corporate equity 3.25  % 447  —  447 
Total securities sold under repurchase agreements   $ 1,328,959  $ 89,484  $ 1,418,443 
March 31, 2024
Interest rates and remaining contractual maturity of the agreements
Average
interest rate
Up to 30
days
30-90
days
Total
Securities sold under repurchase agreements
Non-US sovereign debt 13.78  % $ 1,545,080  $ 259,948  $ 1,805,028 
Corporate debt 13.84  % 923,752  14,644  938,396 
US sovereign debt 3.06  % 13,172  —  13,172 
Corporate equity —  % —  —  — 
Total securities sold under repurchase agreements $ 2,482,004  $ 274,592  $ 2,756,596