Quarterly report pursuant to Section 13 or 15(d)

Funds Held for Clients and Corporate Investments (Tables)

v3.21.1
Funds Held for Clients and Corporate Investments (Tables)
9 Months Ended
Feb. 28, 2021
Funds Held for Clients and Corporate Investments [Abstract]  
Funds Held for Clients and Corporate Investments

February 28, 2021

Gross

Gross

Amortized

unrealized

unrealized

Fair

In millions

cost

gains

losses

value

Type of issue:

Funds held for clients' money market securities and other

   restricted cash equivalents

$

1,184.9

$

—

$

—

$

1,184.9

AFS securities:

Asset-backed securities

82.3

1.6

—

83.9

Corporate bonds

626.4

30.4

(0.2)

656.6

Municipal bonds

1,699.3

33.9

(2.9)

1,730.3

U.S. government agency and treasury securities

546.2

20.6

(1.3)

565.5

VRDNs

171.1

—

—

171.1

Total AFS securities

3,125.3

86.5

(4.4)

3,207.4

Other

26.3

6.3

—

32.6

Total funds held for clients and corporate investments

$

4,336.5

$

92.8

$

(4.4)

$

4,424.9

May 31, 2020

Gross

Gross

Amortized

unrealized

unrealized

Fair

In millions

cost

gains

losses

value

Type of issue:

Funds held for clients' money market securities and other

   restricted cash equivalents

$

683.5

$

—

$

—

$

683.5

AFS securities:

Asset-backed securities

68.0

1.7

—

69.7

Corporate bonds

649.6

34.1

(0.1)

683.6

Municipal bonds

1,373.8

37.4

(1.6)

1,409.6

U.S. government agency and treasury securities

565.8

28.5

—

594.3

Total AFS securities

2,657.2

101.7

(1.7)

2,757.2

Other

25.4

2.2

(0.4)

27.2

Total funds held for clients and corporate investments

$

3,366.1

$

103.9

$

(2.1)

$

3,467.9

Classification of Investments on Consolidated Balance Sheets

February 28,

May 31,

In millions

2021

2020

Funds held for clients

$

4,211.3

$

3,430.5

Corporate investments

203.7

27.2

Long-term corporate investments

9.9

10.2

Total funds held for clients and corporate investments

$

4,424.9

$

3,467.9

Securities in Unrealized Loss Position

February 28, 2021

Securities in an unrealized 
‎
loss position for less than 
‎
twelve months

Securities in an unrealized 
‎
loss position for more than 
‎
twelve months

Total

Gross

Gross

Gross

unrealized

Fair

unrealized

Fair

unrealized

Fair

In millions

losses

value

losses

value

losses

value

Type of issue:

Asset-backed securities

$

—

$

7.1

$

—

$

$

—

$

7.1

Corporate bonds

(0.2)

22.6

—

—

(0.2)

22.6

Municipal bonds

(2.9)

300.7

—

—

(2.9)

300.7

U.S. government agency and treasury

securities

(1.3)

104.8

—

—

(1.3)

104.8

Total

$

(4.4)

$

435.2

$

—

$

—

$

(4.4)

$

435.2

May 31, 2020

Securities in an unrealized 
‎
loss position for less than 
‎
twelve months

Securities in an unrealized 
‎
loss position for more than 
‎
twelve months

Total

Gross

Gross

Gross

unrealized

Fair

unrealized

Fair

unrealized

Fair

In millions

losses

value

losses

value

losses

value

Type of issue:

Corporate bonds

$

(0.1)

$

6.5

$

—

$

—

$

(0.1)

$

6.5

Municipal bonds

(1.6)

60.3

—

—

(1.6)

60.3

Total

$

(1.7)

$

66.8

$

—

$

—

$

(1.7)

$

66.8

Realized Gains and Losses from Sale of Available-for-sale Securities

For the three months ended

For the nine months ended

February 28,

February 29,

February 28,

February 29,

In millions

2021

2020

2021

2020

Gross realized gains

$

0.3

$

0.6

$

1.0

$

2.4

Gross realized losses

—

—

—

—

Net realized gains

$

0.3

$

0.6

$

1.0

$

2.4

Amortized Cost and Fair Value of Available-for-Sale Securities by Contractual Maturity

February 28, 2021

Amortized

Fair

In millions

cost

value

Maturity date:

Due in one year or less

$

336.0

$

338.8

Due after one year through three years

769.1

797.3

Due after three years through five years

876.4

912.5

Due after five years

1,143.8

1,158.8

Total

$

3,125.3

$

3,207.4