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:
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March 31, 2025 |
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Interest rates and remaining contractual maturity of the agreements |
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Average interest rate |
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Up to 30 days |
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30-90 days |
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Total |
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Securities sold under repurchase agreements |
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Non-US sovereign debt |
15.74 |
% |
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$ |
904,940 |
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$ |
2,364 |
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$ |
907,304 |
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Corporate debt |
15.95 |
% |
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423,572 |
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87,120 |
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510,692 |
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Corporate equity |
3.25 |
% |
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447 |
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— |
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447 |
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Total securities sold under repurchase agreements |
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$ |
1,328,959
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$ |
89,484
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$ |
1,418,443
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March 31, 2024 |
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Interest rates and remaining contractual maturity of the agreements |
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Average interest rate |
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Up to 30 days |
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30-90 days |
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Total |
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Securities sold under repurchase agreements |
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Non-US sovereign debt |
13.78 |
% |
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$ |
1,545,080 |
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$ |
259,948 |
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$ |
1,805,028 |
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Corporate debt |
13.84 |
% |
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923,752 |
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14,644 |
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938,396 |
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US sovereign debt |
3.06 |
% |
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13,172 |
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— |
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13,172 |
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Corporate equity |
— |
% |
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— |
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— |
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— |
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Total securities sold under repurchase agreements |
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$ |
2,482,004
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$ |
274,592
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$ |
2,756,596
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