Quarterly report pursuant to Section 13 or 15(d)

Funds Held for Clients and Corporate Investments (Tables)

v3.21.4
Funds Held for Clients and Corporate Investments (Tables)
6 Months Ended
Nov. 30, 2021
Funds Held for Clients and Corporate Investments [Abstract]  
Funds Held for Clients and Corporate Investments

November 30, 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

$

905.6

$

$

$

905.6

AFS securities:

Asset-backed securities

76.5

0.7

(0.2)

77.0

Corporate bonds

664.9

17.2

(1.6)

680.5

Municipal bonds

1,678.6

20.3

(9.5)

1,689.4

U.S. government agency securities

522.7

12.3

(3.3)

531.7

Variable rate demand notes

338.5

338.5

Total AFS securities

3,281.2

50.5

(14.6)

3,317.1

Other

30.2

4.9

(0.2)

34.9

Total funds held for clients and corporate investments

$

4,217.0

$

55.4

$

(14.8)

$

4,257.6

May 31, 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

$

739.6

$

$

$

739.6

AFS securities:

Asset-backed securities

86.5

1.4

87.9

Corporate bonds

635.8

28.8

(0.2)

664.4

Municipal bonds

1,669.0

33.0

(2.3)

1,699.7

U.S. government agency securities

549.6

20.1

(1.5)

568.2

Variable rate demand notes

Total AFS securities

2,940.9

83.3

(4.0)

3,020.2

Other

26.4

7.7

(0.1)

34.0

Total funds held for clients and corporate investments

$

3,706.9

$

91.0

$

(4.1)

$

3,793.8

Classification of Investments on Consolidated Balance Sheets

November 30,

May 31,

In millions

2021

2021

Funds held for clients

$

3,874.6

$

3,750.0

Corporate investments

376.0

36.7

Long-term corporate investments

7.0

7.1

Total funds held for clients and corporate investments

$

4,257.6

$

3,793.8

Securities in Unrealized Loss Position

November 30, 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

$

(0.2)

$

15.2

$

$

$

(0.2)

$

15.2

Corporate bonds

(1.6)

107.0

(1.6)

107.0

Municipal bonds

(9.5)

737.1

(9.5)

737.1

U.S. government agency securities

(3.2)

121.2

(0.1)

6.1

(3.3)

127.3

Total

$

(14.5)

$

980.5

$

(0.1)

$

6.1

$

(14.6)

$

986.6


May 31, 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)

22.0

(0.2)

22.0

Municipal bonds

(2.3)

288.2

(2.3)

288.2

U.S. government agency securities

(1.5)

102.6

(1.5)

102.6

Total

$

(4.0)

$

419.9

$

$

$

(4.0)

$

419.9

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

For the three months ended

For the six months ended

November 30,

November 30,

In millions

2021

2020

2021

2020

Gross realized gains

$

0.0

$

0.4

$

0.1

$

0.7

Gross realized losses

(0.0)

(0.0)

Net realized gains

$

0.0

$

0.4

$

0.1

$

0.7

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

November 30, 2021

Amortized

Fair

In millions

cost

value

Maturity date:

Due in one year or less

$

349.5

$

352.4

Due after one year through three years

670.5

690.1

Due after three years through five years

1,122.5

1,142.7

Due after five years

1,138.7

1,131.9

Total

$

3,281.2

$

3,317.1