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OTHER ASSETS AND LIABILITIES
12 Months Ended
Dec. 31, 2025
OTHER ASSETS AND LIABILITIES  
OTHER ASSETS AND LIABILITIES

NOTE 16 – OTHER ASSETS AND LIABILITIES

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The following table is a summary of the major components of other assets as of December 31, 2025 and 2024.

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As of December 31,

Components of Other Assets (in thousands)

  ​ ​ ​

2025

  ​ ​ ​

2024

Equity-method investments

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$

232,705

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$

207,242

ROU assets

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​

76,333

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​

80,024

Prepaid expenses

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71,929

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​

78,487

Property and equipment, net

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​

54,409

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​

48,460

Loans held for investment, net

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​

77,769

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​

32,866

Derivative assets

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​

27,216

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​

30,175

All other

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​

56,235

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​

85,549

Total

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$

596,596

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$

562,803

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The following table is a summary of the major components of other liabilities as of December 31, 2025 and 2024.

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As of December 31,

Components of Other Liabilities (in thousands)

  ​ ​ ​

2025

  ​ ​ ​

2024

Accrued expenses

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$

172,516

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$

155,252

Lease liability

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​

105,125

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​

107,502

Guaranty obligation, net

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32,924

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35,980

Contingent consideration liabilities

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9,663

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30,537

Secured Borrowing (1)

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118,559

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95,022

All other

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130,843

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103,567

Total

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$

569,630

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$

527,860

(1)  Composed of borrowings related to repurchased loans of $83.4 million and a mortgage loan on a consolidated affordable property of $35.2 million. The mortgage loan carries an interest rate of SOFR plus 1.87% and will require our subsidiary to make insignificant monthly principal payments until October 1, 2029 at which point the subsidiary will make a $33.1 million principal payment.

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