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FAIR VALUE - Summary of assets measured at fair value on recurring basis (Details) - Level 3 - Recurring - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended
Sep. 30, 2021
Sep. 30, 2020
Sep. 30, 2021
Sep. 30, 2020
Guarantee Asset        
Guarantee asset        
Guarantee asset, Beginning balance $ 196 $ 222 $ 232  
Guarantee asset, Originations     2  
Guarantee asset, Sales       $ 245
Guarantee asset, Gains (losses) in net income, net 35 23 (3)  
Guarantee asset, Ending balance 231 245 231 245
IRLC,net        
Fair value on a recurring basis        
Beginning balance 2,809 7,566 9,841 1,184
Acquisitions 6,617 9,546 15,123 26,264
Originations (7,705) (6,466) (20,702) (17,449)
Gains (losses) in net income, net 464 1,065 (2,077) 1,712
Ending balance 2,185 11,711 2,185 11,711
Forward Commitment        
Forward Commitments        
Forward Commitments, Beginning balance   (84) (89)  
Forward Commitments, Acquisitions (17) (89) (190) (189)
Forward Commitments, Gains (losses) in net income, net   84 262 100
Forward Commitments, Ending balance $ (17) $ (89) $ (17) $ (89)