XML 102 R90.htm IDEA: XBRL DOCUMENT v3.19.2
SECURED FINANCING - Additional Information (Details) - USD ($)
$ in Thousands
6 Months Ended 12 Months Ended
Jun. 30, 2019
Dec. 31, 2018
Repurchase Agreements:    
Repurchase agreements outstanding $ 105,181,241 $ 81,115,874 [1]
Repurchase agreements - weighted average effective borrowing rates 2.44% 2.36%
Repurchase agreements - weighted average remaining maturities 70 days 77 days
Maximum repurchase agreements available under counterparty arrangements $ 1,100,000  
Commitments available to be drawn 890,000  
Other secured financing long term, amount 4,127,989 $ 4,183,311 [1]
Secured financings and interest rate swaps - collateral held, estimated fair value 116,200,000 90,200,000
Secured financings and interest rate swaps - collateral held, accrued interest 379,100 303,100
Fair value of collateral received in reverse repurchase agreements $ 15,500 $ 650,000
Minimum    
Repurchase Agreements:    
Maturity period 5 years  
Maximum    
Repurchase Agreements:    
Maturity period 7 years  
Maturity Period Beyond Three Years | Period Two | Minimum    
Repurchase Agreements:    
Maturity period 1 year 1 year
Maturity Period Beyond Three Years | Period Two | Maximum    
Repurchase Agreements:    
Maturity period 3 years 3 years
FHLB De Moines    
Repurchase Agreements:    
Debt weighted average interest rate 2.79% 2.78%
Stock held in FHLB $ 147,900 $ 147,900
FHLB De Moines | Maturity Period Beyond Three Years | Period One    
Repurchase Agreements:    
Other secured financing long term, amount 90,000  
FHLB De Moines | Maturity Period Beyond Three Years | Period Two    
Repurchase Agreements:    
Other secured financing long term, amount 3,500,000 3,600,000
U.S. Treasury Securities    
Repurchase Agreements:    
Repurchase agreements outstanding   640,465
1 day    
Repurchase Agreements:    
Repurchase agreements outstanding 23,192,254 0
1 day | U.S. Treasury Securities    
Repurchase Agreements:    
Repurchase agreements outstanding   0
2 to 29 days    
Repurchase Agreements:    
Repurchase agreements outstanding 11,919,883 32,012,641
2 to 29 days | U.S. Treasury Securities    
Repurchase Agreements:    
Repurchase agreements outstanding   640,465
30 to 59 days    
Repurchase Agreements:    
Repurchase agreements outstanding 6,778,783 8,164,165
30 to 59 days | U.S. Treasury Securities    
Repurchase Agreements:    
Repurchase agreements outstanding   0
60 to 89 days    
Repurchase Agreements:    
Repurchase agreements outstanding 26,845,611 18,689,772
60 to 89 days | U.S. Treasury Securities    
Repurchase Agreements:    
Repurchase agreements outstanding   0
90 to 119 days    
Repurchase Agreements:    
Repurchase agreements outstanding 13,002,459 10,067,183
90 to 119 days | U.S. Treasury Securities    
Repurchase Agreements:    
Repurchase agreements outstanding   0
Over 120 days    
Repurchase Agreements:    
Repurchase agreements outstanding $ 23,442,251 12,182,113
Over 120 days | U.S. Treasury Securities    
Repurchase Agreements:    
Repurchase agreements outstanding   $ 0
[1]
(1) 
Derived from the audited consolidated financial statements at December 31, 2018.