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Fair Value of Financial Instruments - Fair value of Financial Instruments Included in the Consolidated Financial Statements (Details) - USD ($)
$ in Thousands
Jun. 30, 2020
Dec. 31, 2019
Dec. 31, 2018
Assets      
Mortgage servicing rights $ 279 $ 41,470 $ 64,728
Carrying Amount      
Assets      
Cash and cash equivalents. 43,002 24,666  
Restricted cash 5,326 12,466  
Mortgage loans held for-for-sale 29,419 782,143  
Mortgage servicing rights 279 41,470  
Derivatives assets, lending, net 1,799 7,791  
Securitized mortgage collateral 2,225,422 2,628,064  
Liabilities      
Warehouse borrowings 1,571 701,563  
MSR financings 448    
Convertible notes 24,839 24,996  
Long-term debt 41,811 45,434  
Securitized mortgage borrowings 2,213,863 2,619,210  
Derivative liabilities, lending, net   651  
Estimated Fair Value | Level 1      
Assets      
Cash and cash equivalents. 43,002 24,666  
Restricted cash 5,326 12,466  
Estimated Fair Value | Level 2      
Assets      
Mortgage loans held for-for-sale 29,419 782,143  
Liabilities      
Warehouse borrowings 1,571 701,563  
Derivative liabilities, lending, net   651  
Estimated Fair Value | Level 3      
Assets      
Mortgage servicing rights 279 41,470  
Derivatives assets, lending, net 1,799 7,791  
Securitized mortgage collateral 2,225,422 2,628,064  
Liabilities      
MSR financings 448    
Convertible notes 24,839 24,996  
Long-term debt 41,811 45,434  
Securitized mortgage borrowings $ 2,213,863 $ 2,619,210