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VARIABLE INTEREST ENTITIES (Tables)
9 Months Ended
Sep. 30, 2024
Consolidated VIEs  
Schedule of the carrying value and classification of assets and liabilities of VIEs

Consolidated VIEs (in thousands)

    

September 30, 2024

    

December 31, 2023

Assets:

Cash and cash equivalents

$

630

$

2,841

Restricted cash

4,163

2,811

Receivables, net

27,707

28,256

Other Assets

48,246

47,249

Total assets of consolidated VIEs

$

80,746

$

81,157

Liabilities:

Other liabilities

$

57,578

$

53,526

Total liabilities of consolidated VIEs

$

57,578

$

53,526

Nonconsolidated VIEs  
Schedule of the carrying value and classification of assets and liabilities of VIEs

Nonconsolidated VIEs (in thousands)

September 30, 2024

    

December 31, 2023

Assets

Committed investments in tax credit equity

$

333,713

$

154,028

Other assets: Equity-method investments

62,365

60,195

Total interests in nonconsolidated VIEs

$

396,078

$

214,223

Liabilities

Commitments to fund investments in tax credit equity

$

289,250

$

140,259

Total commitments to fund nonconsolidated VIEs

$

289,250

$

140,259

Maximum exposure to losses(1)(2)

$

396,078

$

214,223

(1)Maximum exposure determined as “Total interests in nonconsolidated VIEs.” The maximum exposure for the Company’s investments in tax credit equity is limited to the carrying value of its investment, as there are no funding obligations or other commitments related to the nonconsolidated VIEs other than the amounts presented in the table above.
(2)Based on historical experience and the underlying expected cash flows from the underlying investment, the maximum exposure of loss is not representative of the actual loss, if any, that the Company may incur.