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Note 6 - Pledged Assets
3 Months Ended
Mar. 31, 2026
Notes to Financial Statements  
Pledged Assets [Text Block]

NOTE 6. PLEDGED ASSETS

 

Assets Pledged to Counterparties

 

The table below summarizes the Company’s assets pledged as collateral under repurchase agreements and derivative agreements by type, including securities pledged related to securities sold but not yet settled, as of March 31, 2026 and December 31, 2025.

 

(in thousands)

                                               
   

March 31, 2026

   

December 31, 2025

 
   

Repurchase

   

Derivative

           

Repurchase

   

Derivative

         

Assets Pledged to Counterparties

 

Agreements

   

Agreements

   

Total

   

Agreements

   

Agreements

   

Total

 

PT RMBS - fair value

  $ 11,246,597     $ -     $ 11,246,597     $ 10,489,655     $ -     $ 10,489,655  

Structured RMBS - fair value

    12,452       -       12,452       13,088       -       13,088  

U.S. Treasury securities

    -       149,585       149,585       -       135,133       135,133  

Accrued interest on pledged securities

    51,934       1,502       53,436       48,537       36       48,573  

Restricted cash

    82,612       3,502       86,114       51,171       7,525       58,696  

Total

  $ 11,393,595     $ 154,589     $ 11,548,184     $ 10,602,451     $ 142,694     $ 10,745,145  

 

Assets Pledged from Counterparties

 

The table below summarizes assets pledged to the Company from counterparties under repurchase agreements and derivative agreements as of March 31, 2026 and December 31, 2025.

 

(in thousands)

                               
           

Reverse

                 
   

Repurchase

   

Repurchase

   

Derivative

         
   

Agreements

   

Agreements

   

Agreements

   

Total

 

March 31, 2026

                               

Cash

  $ 194     $ -     $ 337     $ 531  

U.S. Treasury securities - fair value

    549       359,202       -       359,751  

Total

  $ 743     $ 359,202     $ 337     $ 360,282  

December 31, 2025

                               

Cash

  $ 12,549     $ -     $ 360     $ 12,909  

U.S. Treasury securities - fair value

    -       128,724       -       128,724  

Total

  $ 12,549     $ 128,724     $ 360     $ 141,633  

 

U.S. Treasury securities received as margin under the Company's repurchase agreements are not recorded in the balance sheets because the counterparty retains ownership of the security. Cash received as margin is recognized in cash and cash equivalents with a corresponding amount recognized as an increase in repurchase agreements or other liabilities in the balance sheets.