v3.25.1
Clearing Operations (Tables)
3 Months Ended
Mar. 31, 2025
Broker-Dealer [Abstract]  
Schedule of Guaranty Fund Contribution
Our clearing houses are responsible for providing clearing services to each of our futures exchanges, and in some cases to third-party execution venues, and are as follows, referred to herein collectively as "the ICE Clearing Houses":
Clearing HouseProducts ClearedExchange where ExecutedLocation
ICE Clear EuropeEnergy, agricultural, interest rates and equity index futures and options contractsICE Futures Europe, ICE Futures U.S., ICE Endex and ICE Futures Abu DhabiU.K.
ICE Clear U.S.Agricultural, metals, foreign exchange, or FX, interest rate and equity index futures and/or options contractsICE Futures U.S.U.S.
ICE Clear CreditOTC North American, European, Asian-Pacific and Emerging Market CDS instrumentsCreditex and third-party venuesU.S.
ICE Clear NetherlandsDerivatives on equities and equity indices traded on regulated marketsICE EndexThe Netherlands
ICE Clear SingaporeEnergy, metals and financial futures productsICE Futures Singapore Singapore
ICE NGXPhysical North American natural gas, environmental commodities and physical and financial electricityICE NGXCanada
Schedule of Guaranty Fund Contribution and Default Insurance Such amounts are recorded as long-term restricted cash and cash equivalents and long-term restricted investments in our balance sheets and are as follows (in millions):
ICE Portion of Guaranty Fund ContributionDefault insurance
Clearing HouseAs of March 31, 2025As of December 31, 2024As of March 31, 2025As of December 31, 2024
ICE Clear Europe$197$197$100$100
ICE Clear U.S.75 75 25 25 
ICE Clear Credit50 50 75 75 
ICE Clear NetherlandsN/AN/A
ICE Clear SingaporeN/AN/A
ICE NGX45 45 200 200 
Total$370$370$400$400
Schedule of Cash and Invested Deposits As of March 31, 2025, our cash and invested margin deposits were as follows (in millions):
ICE Clear EuropeICE Clear
Credit
ICE Clear U.S.ICE NGXOther ICE Clearing HousesTotal
Original margin
$48,320 $23,258 $6,759 $— $$78,341 
Unsettled variation margin, net
— — — 1,035 — 1,035 
Guaranty fund
2,320 4,208 797 — 7,330 
Delivery contracts receivable/payable, net
— — — 690 — 690 
Total
$50,640 $27,466 $7,556 $1,725 $$87,396 

As of December 31, 2024, our cash and invested margin deposits were as follows (in millions):
ICE Clear EuropeICE Clear
Credit
ICE Clear U.S.ICE NGXOther ICE Clearing HousesTotal
Original margin
$45,427 $23,843 $7,069 $— $$76,343 
Unsettled variation margin, net
— — — 934 — 934 
Guaranty fund
2,353 3,312 660 — 6,330 
Delivery contracts receivable/payable, net
— — — 705 — 705 
Total
$47,780 $27,155 $7,729 $1,639 $$84,312 
Schedule of Cash and Cash Equivalents
Details of our deposits are as follows (in millions):
Cash and Cash Equivalent Margin Deposits and Guaranty Funds
Clearing HouseInvestment TypeAs of March 31, 2025As of December 31, 2024
ICE Clear EuropeNational bank account$5,757 $4,817 
ICE Clear EuropeReverse repo40,278 37,276 
ICE Clear EuropeSovereign debt2,162 4,515 
ICE Clear EuropeDemand deposits58 648 
ICE Clear CreditNational bank account20,423 20,369 
ICE Clear Credit Reverse repo3,894 4,089 
ICE Clear Credit Demand deposits3,149 2,697 
ICE Clear U.S.Reverse repo7,109 7,382 
ICE Clear U.S.Sovereign debt447 347 
Other ICE Clearing HousesDemand deposits
Total cash and cash equivalent margin deposits and guaranty funds$83,286 $82,149 

Invested Deposits, Delivery Contracts Receivable and Unsettled Variation Margin
Clearing HouseInvestment TypeAs of March 31, 2025As of December 31, 2024
ICE NGXUnsettled variation margin and delivery contracts receivable$1,725 $1,639 
ICE Clear EuropeInvested deposits - sovereign debt2,385 524 
Total invested deposits, delivery contracts receivable and unsettled variation margin$4,110 $2,163 
Schedule of Assets Pledged by Clearing Members as Original Margin and Guaranty Fund Deposits These pledged assets are not reflected in our balance sheets, and are as follows (in millions):
 As of March 31, 2025
ICE Clear
Europe
ICE Clear
Credit
ICE Clear U.S.ICE NGXTotal
Original margin:
Government securities at face value
$36,402 $35,589 $14,603 $— $86,594 
Letters of credit
— — — 3,360 3,360 
Emissions certificates at fair value
819 — — — 819 
ICE NGX cash deposits
— — — 862 862 
Total$37,221 $35,589 $14,603 $4,222 $91,635 
Guaranty fund:
Government securities at face value
$702 $1,843 $269 $— $2,814 
As of December 31, 2024
ICE Clear
Europe
ICE Clear
Credit
ICE Clear U.S.ICE NGXTotal
Original margin:
Government securities at face value
$33,884 $31,590 $15,186 $— $80,660 
Letters of credit
— — — 4,391 4,391 
Emissions certificates at fair value
585 — — — 585 
ICE NGX cash deposits
— — — 723 723 
Total$34,469 $31,590 $15,186 $5,114 $86,359 
Guaranty fund:
Government securities at face value
$747 $1,389 $281 $— $2,417