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REPURCHASE AGREEMENTS AND OTHER BORROWINGS (Tables)
12 Months Ended
Dec. 31, 2019
Disclosure of Repurchase Agreements [Abstract]  
Schedule of repurchase agreements and remaining maturities

As of December 31, 2019 and 2018, the Company’s repurchase agreements had remaining maturities as summarized below:

($ in thousands)
OVERNIGHTBETWEEN 2BETWEEN 31GREATER
(1 DAY ORANDANDTHAN
LESS)30 DAYS90 DAYS90 DAYSTOTAL
December 31, 2019
Fair market value of securities pledged, including
accrued interest receivable$-$2,470,263$1,005,517$120,941$3,596,721
Repurchase agreement liabilities associated with
these securities$-$2,361,378$964,368$122,360$3,448,106
Net weighted average borrowing rate- 2.04%1.94%2.60%2.03%
December 31, 2018
Fair market value of securities pledged, including
accrued interest receivable$-$1,720,804$1,493,565$-$3,214,369
Repurchase agreement liabilities associated with
these securities$-$1,611,185$1,413,867$-$3,025,052
Net weighted average borrowing rate-2.72%2.57%- 2.65%