Investor Presentaiton slide image

Investor Presentaiton

Key long-term capital and liquidity targets Target Current* Tier 1 leverage ratio for RJF > 10% 11.1% RJF corporate cash** > $1.2 B $2.2 B Total debt to book capitalization ratio* *** < 32% 19.3% 80 *As of March 31, 2022. **This amount includes cash on hand at the parent, as well as parent cash loaned to RJ&A, which RJ&A has invested on behalf of RJF in cash and cash equivalents or otherwise deployed in its normal business activities. ***Calculated as consolidated funded indebtedness (corporate debt/senior notes plus other borrowings less FHLB advances) divided by consolidated RJF equity plus consolidated funded indebtedness. RAYMOND JAMES
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