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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 10-Q
(Mark One)
|
| |
x | Quarterly report pursuant to Section 13 or 15(d) of the Securities Exchange Act of 1934 |
for the quarterly period ended March 31, 2019
OR
|
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¨ | Transition report pursuant to Section 13 or 15(d) of the Securities Exchange Act of 1934 |
|
| | | |
for the transition period from | | to | |
Commission file number: 1-35509
TD Ameritrade Holding Corporation
(Exact name of registrant as specified in its charter)
|
| | |
Delaware | | 82-0543156 |
(State or other jurisdiction of incorporation or organization) | | (I.R.S. Employer Identification No.) |
200 South 108th Avenue, Omaha, Nebraska, 68154
(Address of principal executive offices) (Zip Code)
(800) 669-3900
(Registrant's telephone number, including area code)
Indicate by check mark whether the registrant (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days. Yes x No ¨
Indicate by check mark whether the registrant has submitted electronically every Interactive Data File required to be submitted pursuant to Rule 405 of Regulation S-T (§232.405 of this chapter) during the preceding 12 months (or for such shorter period that the registrant was required to submit such files). Yes x No ¨
Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer, a smaller reporting company or an emerging growth company. See the definitions of "large accelerated filer," "accelerated filer," "smaller reporting company," and "emerging growth company" in Rule 12b-2 of the Exchange Act.
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| | | | | | |
Large accelerated filer | | x | | Accelerated filer | | ¨ |
| | | | | | |
Non-accelerated filer | | ¨ | | Smaller reporting company | | ¨ |
| | | | | | |
| | | | Emerging growth company | | ¨ |
If an emerging growth company, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards provided pursuant to Section 13(a) of the Exchange Act. ¨
Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Exchange Act).
Yes ¨ No x
As of April 22, 2019, there were 553,304,437 outstanding shares of the registrant's common stock.
TD AMERITRADE HOLDING CORPORATION
INDEX
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Item 1. | | |
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Item 2. | | |
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Item 3. | | |
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Item 4. | | |
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Item 1. | | |
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Item 1A. | | |
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Item 2. | | |
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Item 6. | | |
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PART I – FINANCIAL INFORMATION
Item 1. – Financial Statements
REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM
To the Shareholders and the Board of Directors of TD Ameritrade Holding Corporation
Results of Review of Interim Financial Statements
We have reviewed the accompanying condensed consolidated balance sheet of TD Ameritrade Holding Corporation and subsidiaries (the Company) as of March 31, 2019, the related condensed consolidated statements of income, comprehensive income and stockholders' equity for the three-month and six-month periods ended March 31, 2019 and 2018, the condensed consolidated statements of cash flows for the six-month periods ended March 31, 2019 and 2018, and the related notes (collectively referred to as the "condensed consolidated interim financial statements"). Based on our reviews, we are not aware of any material modifications that should be made to the condensed consolidated interim financial statements for them to be in conformity with U.S. generally accepted accounting principles.
We have previously audited, in accordance with the standards of the Public Company Accounting Oversight Board (United States) (PCAOB), the consolidated balance sheet of the Company as of September 30, 2018, the related consolidated statements of income, comprehensive income, stockholders' equity and cash flows for the year then ended, and the related notes (not presented herein); and in our report dated November 16, 2018, we expressed an unqualified audit opinion on those consolidated financial statements. In our opinion, the information set forth in the accompanying condensed consolidated balance sheet as of September 30, 2018, is fairly stated, in all material respects, in relation to the consolidated balance sheet from which it has been derived.
Basis for Review Results
These financial statements are the responsibility of the Company's management. We are a public accounting firm registered with the PCAOB and are required to be independent with respect to the Company in accordance with the U.S. federal securities laws and the applicable rules and regulations of the SEC and the PCAOB. We conducted our review in accordance with the standards of the PCAOB. A review of interim financial statements consists principally of applying analytical procedures and making inquiries of persons responsible for financial and accounting matters. It is substantially less in scope than an audit conducted in accordance with the standards of the PCAOB, the objective of which is the expression of an opinion regarding the financial statements taken as a whole. Accordingly, we do not express such an opinion.
/s/ ERNST & YOUNG LLP
New York, New York
April 29, 2019
TD AMERITRADE HOLDING CORPORATION
CONDENSED CONSOLIDATED BALANCE SHEETS
(Unaudited)
|
| | | | | | | | |
| | March 31, 2019 | | September 30, 2018 |
| | (In millions) |
ASSETS | | | | |
Cash and cash equivalents | | $ | 2,674 |
| | $ | 2,690 |
|
Cash and investments segregated and on deposit for regulatory purposes | | 5,580 |
| | 3,185 |
|
Receivable from brokers, dealers and clearing organizations | | 1,626 |
| | 1,374 |
|
Receivable from clients, net | | 20,778 |
| | 22,616 |
|
Receivable from affiliates | | 133 |
| | 151 |
|
Other receivables, net | | 253 |
| | 304 |
|
Securities owned, at fair value | | 159 |
| | 156 |
|
Investments available-for-sale, at fair value (including $98 million of securities pledged as collateral for repurchase agreements at September 30, 2018) | | 894 |
| | 484 |
|
Property and equipment at cost, net | | 812 |
| | 792 |
|
Goodwill | | 4,227 |
| | 4,227 |
|
Acquired intangible assets, net | | 1,267 |
| | 1,329 |
|
Other assets | | 276 |
| | 212 |
|
Total assets | | $ | 38,679 |
| | $ | 37,520 |
|
LIABILITIES AND STOCKHOLDERS' EQUITY | | | | |
Liabilities: | | | | |
Payable to brokers, dealers and clearing organizations | | $ | 2,473 |
| | $ | 2,980 |
|
Payable to clients | | 23,240 |
| | 22,884 |
|
Accounts payable and other liabilities | | 904 |
| | 896 |
|
Payable to affiliates | | 4 |
| | 45 |
|
Other borrowings | | — |
| | 96 |
|
Long-term debt | | 3,520 |
| | 2,439 |
|
Deferred income taxes | | 215 |
| | 177 |
|
Total liabilities | | 30,356 |
| | 29,517 |
|
Stockholders' equity: | | | | |
Preferred stock, $0.01 par value; 100 million shares authorized, none issued | | — |
| | — |
|
Common stock, $0.01 par value; one billion shares authorized; 670 million shares issued; March 31, 2019 – 554 million shares outstanding; September 30, 2018 – 563 million shares outstanding | | 7 |
| | 7 |
|
Additional paid-in capital | | 3,345 |
| | 3,379 |
|
Retained earnings | | 7,805 |
| | 7,011 |
|
Treasury stock, common, at cost: March 31, 2019 – 116 million shares; September 30, 2018 – 107 million shares | | (2,832 | ) | | (2,371 | ) |
Deferred compensation | | 4 |
| | 4 |
|
Accumulated other comprehensive loss | | (6 | ) | | (27 | ) |
Total stockholders' equity | | 8,323 |
| | 8,003 |
|
Total liabilities and stockholders' equity | | $ | 38,679 |
| | $ | 37,520 |
|
See notes to condensed consolidated financial statements.
TD AMERITRADE HOLDING CORPORATION
CONDENSED CONSOLIDATED STATEMENTS OF INCOME
(Unaudited)
|
| | | | | | | | | | | | | | | | |
| | Three Months Ended March 31, | | Six Months Ended March 31, |
| | 2019 | | 2018 | | 2019 | | 2018 |
| | (In millions, except per share amounts) |
Revenues: | | | | | | | | |
Transaction-based revenues: | | | | | | | | |
Commissions and transaction fees | | $ | 487 |
| | $ | 556 |
| | $ | 1,024 |
| | $ | 996 |
|
Asset-based revenues: | | | | | | | | |
Bank deposit account fees | | 430 |
| | 381 |
| | 858 |
| | 762 |
|
Net interest revenue | | 362 |
| | 308 |
| | 737 |
| | 585 |
|
Investment product fees | | 137 |
| | 141 |
| | 280 |
| | 274 |
|
Total asset-based revenues | | 929 |
| | 830 |
| | 1,875 |
| | 1,621 |
|
Other revenues | | 35 |
| | 29 |
| | 68 |
| | 55 |
|
Net revenues | | 1,451 |
| | 1,415 |
| | 2,967 |
| | 2,672 |
|
Operating expenses: | | | | | | | | |
Employee compensation and benefits | | 340 |
| | 461 |
| | 657 |
| | 875 |
|
Clearing and execution costs | | 53 |
| | 56 |
| | 102 |
| | 103 |
|
Communications | | 38 |
| | 46 |
| | 80 |
| | 99 |
|
Occupancy and equipment costs | | 65 |
| | 79 |
| | 133 |
| | 160 |
|
Depreciation and amortization | | 36 |
| | 35 |
| | 71 |
| | 69 |
|
Amortization of acquired intangible assets | | 31 |
| | 37 |
| | 62 |
| | 75 |
|
Professional services | | 74 |
| | 86 |
| | 147 |
| | 160 |
|
Advertising | | 74 |
| | 90 |
| | 132 |
| | 154 |
|
Other | | 35 |
| | 129 |
| | 81 |
| | 245 |
|
Total operating expenses | | 746 |
| | 1,019 |
| | 1,465 |
| | 1,940 |
|
Operating income | | 705 |
| | 396 |
| | 1,502 |
| | 732 |
|
Other expense (income): | | | | | | | | |
Interest on borrowings | | 37 |
| | 24 |
| | 70 |
| | 44 |
|
Loss on sale of investments | | — |
| | — |
| | — |
| | 11 |
|
Other | | — |
| | — |
| | (14 | ) | | 2 |
|
Total other expense (income) | | 37 |
| | 24 |
| | 56 |
| | 57 |
|
Pre-tax income | | 668 |
| | 372 |
| | 1,446 |
| | 675 |
|
Provision for income taxes | | 169 |
| | 101 |
| | 343 |
| | 107 |
|
Net income | | $ | 499 |
| | $ | 271 |
| | $ | 1,103 |
| | $ | 568 |
|
Earnings per share — basic | | $ | 0.89 |
| | $ | 0.48 |
| | $ | 1.97 |
| | $ | 1.00 |
|
Earnings per share — diluted | | $ | 0.89 |
| | $ | 0.48 |
| | $ | 1.96 |
| | $ | 1.00 |
|
Weighted average shares outstanding — basic | | 560 |
| | 567 |
| | 561 |
| | 567 |
|
Weighted average shares outstanding — diluted | | 562 |
| | 570 |
| | 563 |
| | 569 |
|
Dividends declared per share | | $ | 0.30 |
| | $ | 0.21 |
| | $ | 0.60 |
| | $ | 0.42 |
|
See notes to condensed consolidated financial statements.
TD AMERITRADE HOLDING CORPORATION
CONDENSED CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME
(Unaudited)
|
| | | | | | | | | | | | | | | | |
| | Three Months Ended March 31, | | Six Months Ended March 31, |
| | 2019 | | 2018 | | 2019 | | 2018 |
| | (In millions) |
Net income | | $ | 499 |
| | $ | 271 |
| | $ | 1,103 |
| | $ | 568 |
|
Other comprehensive income (loss), before tax: | | | | | | | | |
Investments available-for-sale: | | | | | | | | |
Unrealized gain (loss) | | 9 |
| | (2 | ) | | 25 |
| | (6 | ) |
Reclassification adjustment for realized loss included in net income | | — |
| | — |
| | — |
| | 11 |
|
Net change in investments available-for-sale | | 9 |
| | (2 | ) | | 25 |
| | 5 |
|
Cash flow hedging instruments: | | | | | | | | |
Reclassification adjustment for portion of realized loss amortized to net income | | 1 |
| | 1 |
| | 2 |
| | 2 |
|
Total other comprehensive income (loss), before tax | | 10 |
| | (1 | ) | | 27 |
| | 7 |
|
Income tax effect | | (2 | ) | | — |
| | (6 | ) | | (3 | ) |
Total other comprehensive income (loss), net of tax | | 8 |
| | (1 | ) | | 21 |
| | 4 |
|
Comprehensive income | | $ | 507 |
| | $ | 270 |
| | $ | 1,124 |
| | $ | 572 |
|
See notes to condensed consolidated financial statements.
TD AMERITRADE HOLDING CORPORATION
CONDENSED CONSOLIDATED STATEMENTS OF STOCKHOLDERS' EQUITY
(Unaudited)
|
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
| | Three Months Ended March 31, 2019 |
| | Total Common Shares Outstanding | | Total Stockholders' Equity | | Common Stock | | Additional Paid-In Capital | | Retained Earnings | | Treasury Stock | | Deferred Compensation | | Accumulated Other Comprehensive Loss |
| | (In Millions) |
Balance, December 31, 2018 | | 561 |
| | $ | 8,357 |
| | $ | 7 |
| | $ | 3,400 |
| | $ | 7,475 |
| | $ | (2,515 | ) | | $ | 4 |
| | $ | (14 | ) |
Net income | | — |
| | 499 |
| | — |
| | — |
| | 499 |
| | — |
| | — |
| | — |
|
Other comprehensive income, net of tax | | — |
| | 8 |
| | — |
| | — |
| | — |
| | — |
| | — |
| | 8 |
|
Payment of cash dividends | | — |
| | (169 | ) | | — |
| | — |
| | (169 | ) | | — |
| | — |
| | — |
|
Repurchases of common stock | | (7 | ) | | (317 | ) | | — |
| | — |
| | — |
| | (317 | ) | | — |
| | — |
|
Future treasury stock purchases under accelerated stock repurchase agreement | | — |
| | (62 | ) | | — |
| | (62 | ) | | — |
| | — |
| | — |
| | — |
|
Repurchases of common stock for income tax withholding on stock-based compensation | | — |
| | (4 | ) | | — |
| | — |
| | — |
| | (4 | ) | | — |
| | — |
|
Common stock issued for stock-based compensation, including tax effects | | — |
| | — |
| | — |
| | (4 | ) | | — |
| | 4 |
| | — |
| | — |
|
Stock-based compensation | | — |
| | 11 |
| | — |
| | 11 |
| | — |
| | — |
| | — |
| | — |
|
Balance, March 31, 2019 | | 554 |
| | $ | 8,323 |
| | $ | 7 |
| | $ | 3,345 |
| | $ | 7,805 |
| | $ | (2,832 | ) | | $ | 4 |
| | $ | (6 | ) |
|
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
| | Three Months Ended March 31, 2018 |
| | Total Common Shares Outstanding | | Total Stockholders' Equity | | Common Stock | | Additional Paid-In Capital | | Retained Earnings | | Treasury Stock | | Deferred Compensation | | Accumulated Other Comprehensive Loss |
| | (In Millions) |
Balance, December 31, 2017 | | 567 |
| | $ | 7,433 |
| | $ | 7 |
| | $ | 3,375 |
| | $ | 6,189 |
| | $ | (2,119 | ) | | $ | 1 |
| | $ | (20 | ) |
Net income | | — |
| | 271 |
| | — |
| | — |
| | 271 |
| | — |
| | — |
| | — |
|
Other comprehensive loss, net of tax | | — |
| | (1 | ) | | — |
| | — |
| | — |
| | — |
| | — |
| | (1 | ) |
Payment of cash dividends | | — |
| | (119 | ) | | — |
| | — |
| | (119 | ) | | — |
| | — |
| | — |
|
Repurchases of common stock for income tax withholding on stock-based compensation | | — |
| | (5 | ) | | — |
| | — |
| | — |
| | (5 | ) | | — |
| | — |
|
Common stock issued for stock-based compensation, including tax effects | | — |
| | — |
| | — |
| | (3 | ) | | — |
| | 3 |
| | — |
| | — |
|
Deferred compensation | | — |
| | — |
| | — |
| | (1 | ) | | — |
| | 1 |
| | — |
| | — |
|
Stock-based compensation | | — |
| | 16 |
| | — |
| | 16 |
| | — |
| | — |
| | — |
| | — |
|
Balance, March 31, 2018 | | 567 |
| | $ | 7,595 |
| | $ | 7 |
| | $ | 3,387 |
| | $ | 6,341 |
| | $ | (2,120 | ) | | $ | 1 |
| | $ | (21 | ) |
See notes to condensed consolidated financial statements.
TD AMERITRADE HOLDING CORPORATION
CONDENSED CONSOLIDATED STATEMENTS OF STOCKHOLDERS' EQUITY – (Continued)
(Unaudited)
|
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
| | Six Months Ended March 31, 2019 |
| | Total Common Shares Outstanding | | Total Stockholders' Equity | | Common Stock | | Additional Paid-In Capital | | Retained Earnings | | Treasury Stock | | Deferred Compensation | | Accumulated Other Comprehensive Loss |
| | (In Millions) |
Balance, September 30, 2018 | | 563 |
| | $ | 8,003 |
| | $ | 7 |
| | $ | 3,379 |
| | $ | 7,011 |
| | $ | (2,371 | ) | | $ | 4 |
| | $ | (27 | ) |
Net income | | — |
| | 1,103 |
| | — |
| | — |
| | 1,103 |
| | — |
| | — |
| | — |
|
Other comprehensive income, net of tax | | — |
| | 21 |
| | — |
| | — |
| | — |
| | — |
| | — |
| | 21 |
|
Payment of cash dividends | | — |
| | (337 | ) | | — |
| | — |
| | (337 | ) | | — |
| | — |
| | — |
|
Repurchases of common stock | | (10 | ) | | (431 | ) | | — |
| | 31 |
| | — |
| | (462 | ) | | — |
| | — |
|
Future treasury stock purchases under accelerated stock repurchase agreement | | — |
| | (74 | ) | | — |
| | (74 | ) | | — |
| | — |
| | — |
| | — |
|
Repurchases of common stock for income tax withholding on stock-based compensation | | — |
| | (12 | ) | | — |
| | — |
| | — |
| | (12 | ) | | — |
| | — |
|
Common stock issued for stock-based compensation, including tax effects | | 1 |
| | — |
| | — |
| | (13 | ) | | — |
| | 13 |
| | — |
| | — |
|
Stock-based compensation | | — |
| | 22 |
| | — |
| | 22 |
| | — |
| | — |
| | — |
| | — |
|
Adoption of Accounting Standards Update 2014-09 (Note 15) | | — |
| | 28 |
| | — |
| | — |
| | 28 |
| | — |
| | — |
| | — |
|
Balance, March 31, 2019 | | 554 |
| | $ | 8,323 |
| | $ | 7 |
| | $ | 3,345 |
| | $ | 7,805 |
| | $ | (2,832 | ) | | $ | 4 |
| | $ | (6 | ) |
|
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
| | Six Months Ended March 31, 2018 |
| | Total Common Shares Outstanding | | Total Stockholders' Equity | | Common Stock | | Additional Paid-In Capital | | Retained Earnings | | Treasury Stock | | Deferred Compensation | | Accumulated Other Comprehensive Loss |
| | (In Millions) |
Balance, September 30, 2017 | | 567 |
| | $ | 7,247 |
| | $ | 7 |
| | $ | 3,369 |
| | $ | 6,011 |
| | $ | (2,116 | ) | | $ | 1 |
| | $ | (25 | ) |
Net income | | — |
| | 568 |
| | — |
| | — |
| | 568 |
| | — |
| | — |
| | — |
|
Other comprehensive income, net of tax | | — |
| | 4 |
| | — |
| | — |
| | — |
| | — |
| | — |
| | 4 |
|
Payment of cash dividends | | — |
| | (238 | ) | | — |
| | — |
| | (238 | ) | | — |
| | — |
| | — |
|
Repurchases of common stock for income tax withholding on stock-based compensation | | — |
| | (13 | ) | | — |
| | — |
| | — |
| | (13 | ) | | — |
| | — |
|
Common stock issued for stock-based compensation, including tax effects | | — |
| | — |
| | — |
| | (9 | ) | | — |
| | 9 |
| | — |
| | — |
|
Deferred compensation | | — |
| | 1 |
| | — |
| | 1 |
| | — |
| | — |
| | — |
| | — |
|
Stock-based compensation | | — |
| | 26 |
| | — |
| | 26 |
| | — |
| | — |
| | — |
| | — |
|
Balance, March 31, 2018 | | 567 |
| | $ | 7,595 |
| | $ | 7 |
| | $ | 3,387 |
| | $ | 6,341 |
| | $ | (2,120 | ) | | $ | 1 |
| | $ | (21 | ) |
See notes to condensed consolidated financial statements.
TD AMERITRADE HOLDING CORPORATION
CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS
(Unaudited) |
| | | | | | | | |
| | Six Months Ended March 31, |
| | 2019 | | 2018 |
| | (In millions) |
Cash flows from operating activities: | | | | |
Net income | | $ | 1,103 |
| | $ | 568 |
|
Adjustments to reconcile net income to net cash provided by (used in) operating activities: | | | | |
Depreciation and amortization | | 71 |
| | 69 |
|
Amortization of acquired intangible assets | | 62 |
| | 75 |
|
Deferred income taxes | | 27 |
| | (63 | ) |
Loss on sale of investments | | — |
| | 11 |
|
Stock-based compensation | | 22 |
| | 26 |
|
Provision for doubtful accounts on client and other receivables | | 7 |
| | 65 |
|
Other, net | | 11 |
| | 8 |
|
Changes in operating assets and liabilities: | | | | |
Investments segregated and on deposit for regulatory purposes | | 524 |
| | 699 |
|
Receivable from brokers, dealers and clearing organizations | | (252 | ) | | (61 | ) |
Receivable from clients, net | | 1,831 |
| | (3,739 | ) |
Receivable from/payable to affiliates, net | | (23 | ) | | (104 | ) |
Other receivables, net | | 51 |
| | (107 | ) |
Securities owned, at fair value | | (3 | ) | | 90 |
|
Other assets | | (27 | ) | | (21 | ) |
Payable to brokers, dealers and clearing organizations | | (507 | ) | | 589 |
|
Payable to clients | | 356 |
| | (1,259 | ) |
Accounts payable and other liabilities | | 82 |
| | 8 |
|
Net cash provided by (used in) operating activities | | 3,335 |
| | (3,146 | ) |
Cash flows from investing activities: | | | | |
Purchase of property and equipment | | (92 | ) | | (119 | ) |
Proceeds from sale of property and equipment | | 11 |
| | — |
|
Cash paid in business acquisition | | — |
| | (4 | ) |
Purchase of investments available-for-sale, at fair value | | (383 | ) | | (392 | ) |
Proceeds from sale of investments available-for-sale, at fair value | | — |
| | 643 |
|
Purchase of other investments | | (11 | ) | | — |
|
Proceeds from sale of other investments | | 1 |
| | — |
|
Proceeds from sale and maturity of short-term investments | | — |
| | 65 |
|
Net cash provided by (used in) investing activities | | (474 | ) | | 193 |
|
Cash flows from financing activities: | | | | |
Proceeds from issuance of long-term debt | | 999 |
| | — |
|
Payment of debt issuance costs | | (7 | ) | | (2 | ) |
Net proceeds from secured uncommitted lines of credit | | — |
| | 125 |
|
Net proceeds from (payments on) securities sold under agreements to repurchase | | (96 | ) | | 96 |
|
Proceeds from senior revolving credit facilities | | 600 |
| | 2,050 |
|
Principal payments on senior revolving credit facilities | | (600 | ) | | (2,050 | ) |
Payment of cash dividends | | (337 | ) | | (238 | ) |
Purchase of treasury stock | | (431 | ) | | — |
|
Purchase of treasury stock for income tax withholding on stock-based compensation | | (12 | ) | | (13 | ) |
Payment for future treasury stock purchases under accelerated stock repurchase agreement | | (74 | ) | | — |
|
Other | | — |
| | 2 |
|
Net cash provided by (used in) financing activities | | 42 |
| | (30 | ) |
Net increase (decrease) in cash, cash equivalents, restricted cash and restricted cash equivalents | | 2,903 |
| | (2,983 | ) |
Cash, cash equivalents, restricted cash and restricted cash equivalents at beginning of period | | 4,548 |
| | 9,760 |
|
Cash, cash equivalents, restricted cash and restricted cash equivalents at end of period | | $ | 7,451 |
| | $ | 6,777 |
|
Supplemental cash flow information: | | | | |
Interest paid | | $ | 67 |
| | $ | 60 |
|
Income taxes paid | | $ | 147 |
| | $ | 119 |
|
See notes to condensed consolidated financial statements.
TD AMERITRADE HOLDING CORPORATION
NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
For the Three Month and Six Month Periods Ended March 31, 2019 and 2018
(Unaudited)
1. Basis of Presentation
The condensed consolidated financial statements include the accounts of TD Ameritrade Holding Corporation (the "Parent") and its wholly-owned subsidiaries (collectively, the "Company"). Intercompany balances and transactions have been eliminated.
These financial statements have been prepared pursuant to the rules and regulations of the Securities and Exchange Commission ("SEC") and, in the opinion of management, reflect all adjustments, which are all of a normal recurring nature, necessary to present fairly the financial position, results of operations and cash flows for the periods presented in conformity with U.S. generally accepted accounting principles ("GAAP"). These financial statements should be read in conjunction with the consolidated financial statements and notes thereto included in the Company's annual report filed on Form 10-K for the fiscal year ended September 30, 2018.
Recently Adopted Accounting Pronouncements
ASU 2016-18 — On October 1, 2018, the Company adopted Accounting Standards Update ("ASU") 2016-18, Restricted Cash, using a retrospective transition method to each period presented. This ASU amends the guidance in Accounting Standards Codification ("ASC") Topic 230, Statement of Cash Flows, and is intended to reduce the diversity in the classification and presentation of changes in restricted cash on the statement of cash flows. The amendments within this ASU require that the reconciliation of the beginning-of-period and end-of-period cash and cash equivalents amounts shown on the statement of cash flows include restricted cash and restricted cash equivalents. If restricted cash and restricted cash equivalents are presented separately from cash and cash equivalents on the balance sheet, an entity is required to reconcile the amounts presented on the statement of cash flows to the amounts on the balance sheet. An entity is also required to disclose information regarding the nature of the restrictions. Under the retrospective transition method, the Company recorded a decrease of $2.9 billion in cash flows from operating activities for the six months ended March 31, 2018 to reflect the reclassification of changes in restricted cash and restricted cash equivalents amounts from the operating section to the beginning-of-period and end-of-period cash, cash equivalents, restricted cash and restricted cash equivalents amounts within the Condensed Consolidated Statements of Cash Flows. See Note 2 for additional information regarding restricted cash and restricted cash equivalents.
ASU 2016-16 — On October 1, 2018, the Company adopted ASU 2016-16, Intra-Entity Transfers of Assets Other Than Inventory. This ASU amends the guidance in ASC Topic 740, Income Taxes. The amendments in this ASU are intended to improve the accounting for the income tax consequences of intra-entity transfers of assets other than inventory by requiring an entity to recognize the income tax consequences when a transfer occurs, instead of when the asset is sold to a third party. The adoption of ASU 2016-16 did not have an impact on the Company's condensed consolidated financial statements.
ASU 2014-09 — On October 1, 2018, the Company adopted ASU 2014-09, Revenue from Contracts with Customers, using a modified retrospective approach, which requires the standard be applied only to the most current period presented, with the cumulative effect of initially applying the standard recognized at the date of initial application. The new revenue recognition standard is intended to clarify the principles of recognizing revenue from contracts with customers and to improve financial reporting by creating common revenue recognition guidance for U.S. GAAP and International Financial Reporting Standards. This ASU supersedes the revenue recognition requirements in ASC Topic 605, Revenue Recognition, and most industry-specific guidance. Entities are required to apply the following steps when recognizing revenue under ASU 2014-09: (1) identify the contract(s) with a customer; (2) identify the performance obligations in the contract; (3) determine the transaction price; (4) allocate the transaction price to the performance obligations in the contract; and (5) recognize revenue when (or as) the entity satisfies a performance obligation. This ASU also requires additional disclosures related to the nature, amount, timing and uncertainty of revenue and cash flows arising from customer contracts.
The adoption of this standard did not have a material impact on the Company's financial condition, results of operations or cash flows, as the satisfaction of performance obligations under the new guidance is materially consistent with the Company's previous revenue recognition policies. However, the adoption of this standard did impact the Company by: (1) requiring the capitalization of sales commissions paid to employees for obtaining new contracts with clients and (2) accounting for revenues from certain contracts on a gross basis when the Company is acting as a principal, as compared to the prior guidance, which allowed for these contracts to be accounted for on a net basis. For additional information on the Company's adoption of the amended guidance, see Note 15, Revenue Recognition. The new guidance does not apply to revenue associated with financial instruments, such as interest revenue, which is accounted for under other GAAP. Accordingly, net interest revenue was not impacted.
Recently Issued Accounting Pronouncements
ASU 2017-12 — In August 2017, the Financial Accounting Standards Board ("FASB") issued ASU 2017-12, Targeted Improvements to Accounting for Hedging Activities, which will amend the guidance in ASC Topic 815, Derivatives and Hedging. The objective of this ASU is to improve the financial reporting of hedging relationships to better portray the economic results of an entity's risk management activities in its financial statements through changes to both the designation and measurement guidance for qualifying hedging relationships and to the presentation of hedge results. In addition, the amendments in this ASU make certain targeted improvements that are intended to simplify the application of the hedge accounting guidance in current GAAP. All transition requirements and elections under ASU 2017-12 should be applied to hedging relationships existing on the date of adoption, with the effect of the adoption reflected as of the beginning of the fiscal year of adoption. The amended presentation and disclosure guidance is required only prospectively. Subsequent to issuing ASU 2017-12, the FASB issued 2018-16, Inclusion of the Secured Overnight Financing Rate (SOFR) Overnight Index Swap (OIS) Rate as a Benchmark Interest Rate for Hedge Accounting Purposes, for the purpose of introducing an additional benchmark interest rate for hedge accounting purposes. SOFR is a volume-weighted median interest rate that is calculated daily based on overnight transactions from the prior day's trading activity in specified segments of the U.S. Treasury repo market. The subsequently issued ASU has the same effective date and transition requirements as ASU 2017-12. ASU 2017-12 will be effective for the Company's fiscal year beginning October 1, 2019, with early adoption permitted. The Company is currently assessing the impact this ASU will have on its condensed consolidated financial statements.
ASU 2016-13 — In June 2016, the FASB issued ASU 2016-13, Measurement of Credit Losses on Financial Instruments. The main objective of ASU 2016-13 is to provide financial statement users with more decision-useful information about an entity's expected credit losses on financial instruments and other commitments to extend credit at each reporting date. To achieve this objective, the amendments in this update replace the incurred loss impairment methodology in current GAAP with a methodology that reflects expected credit losses and requires consideration of a broader range of reasonable and supportable information to develop credit loss estimates. Subsequent to issuing ASU 2016-13, the FASB issued ASU 2018-19, Codification Improvements to Topic 326, Financial Instruments - Credit Losses, for the purpose of clarifying certain aspects of ASU 2016-13. ASU 2018-19 has the same effective date and transition requirements as ASU 2016-13. ASU 2016-13 will be effective for the Company's fiscal year beginning October 1, 2020, using a modified retrospective approach. Early adoption is permitted. The Company is currently assessing the impact this ASU will have on its condensed consolidated financial statements.
ASU 2016-02 — In February 2016, the FASB issued ASU 2016-02, Leases. This ASU will supersede the guidance in ASC Topic 840, Leases. Under ASU 2016-02, for lease arrangements exceeding a 12-month term, a lessee will be required to recognize in the balance sheet a liability to make lease payments (the lease liability) and a right-of-use asset representing its right to use the underlying asset for the lease term. ASU 2016-02 will retain a distinction between finance and operating leases; however, the principal difference between the previous guidance and the new guidance is that lease assets and liabilities arising from operating leases will be recognized in the balance sheet under the new guidance. The recognition, measurement and presentation of expenses and cash flows arising from a lease by a lessee will not significantly change from current GAAP. The accounting applied by a lessor will be largely unchanged from that applied under current GAAP. Subsequent to issuing ASU 2016-02, the FASB has issued additional standards for the purpose of clarifying certain aspects of ASU 2016-02 and providing an additional (optional) transition method with which to adopt the new leases standard. The subsequently issued ASUs have the same effective date and transition requirements as ASU 2016-02. Under ASU 2016-02, an entity may apply the amendments by using one of the following two methods: (1) recognize and measure leases at the beginning of the earliest period presented using a modified retrospective approach or (2) apply the standard at the adoption date and recognize a cumulative-effect adjustment to the opening balance of retained earnings in the period of adoption. ASU 2016-02 will be effective for the Company's fiscal year beginning October 1, 2019, with early adoption permitted. The Company has not selected a transition method and is currently assessing the impact this ASU will have on its condensed consolidated financial statements, but does not expect the standard to have a material impact on its net income. Upon adoption of ASU 2016-02, the Company expects to recognize right-of-use assets and lease liabilities for its operating leases, with initial measurement, as defined by the ASU, in its Condensed Consolidated Balance Sheets.
2. Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents
The Company's cash and cash equivalents is summarized in the following table (dollars in millions):
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| | | | | | | | |
| | March 31, 2019 | | September 30, 2018 |
Broker-dealer subsidiaries | | $ | 1,778 |
| | $ | 2,094 |
|
Corporate | | 640 |
| | 342 |
|
Trust company subsidiary | | 132 |
| | 124 |
|
Futures commission merchant and forex dealer member subsidiary | | 110 |
| | 89 |
|
Investment advisory subsidiaries | | 14 |
| |
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