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FAIR VALUE - Summary of assets measured at fair value on recurring basis (Details) - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended
Sep. 30, 2020
Sep. 30, 2020
Guarantee asset    
Guarantee asset, Beginning balance $ 222  
Guarantee asset, Sales   $ 245
Guarantee asset, Gains (losses) in net (loss) income, net 39 55
Guarantee asset, Other settlements, net (16) (55)
Guarantee asset, Ending balance 245 245
IRLC and FSC, net    
IRLC and FSC, net, Beginning balance 7,482 1,184
IRLC and FSC, net, Gains (losses) in net (loss) income, net 1,066 1,713
IRLC and FSC, net Other settlements, net 3,074 8,725
IRLC and FSC, net, Ending balance 11,622 11,622
Guarantee liability    
Guarantee liability, Beginning balance 191  
Guarantee liability, Sales   244
Guarantee liability, Gains (losses) in net (loss) income, net (38) (91)
Guarantee liability, Ending balance $ 153 $ 153