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REPURCHASE AGREEMENTS AND OTHER BORROWINGS (Tables)
6 Months Ended
Jun. 30, 2021
Disclosure of Repurchase Agreements [Abstract]  
Schedule of repurchase agreements and remaining maturities
As of June
 
30, 2021 and
 
December 31,
 
2020, the
 
Company’s repurchase
 
agreements
 
had remaining
 
maturities
 
as summarized
below:
($ in thousands)
OVERNIGHT
BETWEEN 2
BETWEEN 31
GREATER
 
(1 DAY OR
AND
AND
THAN
LESS)
30 DAYS
90 DAYS
90 DAYS
TOTAL
June 30, 2021
Fair market value of securities pledged, including
accrued interest receivable
$
105,929
$
2,988,154
$
1,558,174
$
25,814
$
4,678,071
Repurchase agreement liabilities associated with
these securities
$
101,075
$
2,882,437
$
1,506,293
$
24,899
$
4,514,704
Net weighted average borrowing rate
0.14%
0.13%
0.13%
0.15%
0.13%
December 31, 2020
Fair market value of securities pledged, including
accrued interest receivable
$
-
$
2,112,969
$
1,560,798
$
55,776
$
3,729,543
Repurchase agreement liabilities associated with
these securities
$
-
$
2,047,897
$
1,494,500
$
53,189
$
3,595,586
Net weighted average borrowing rate
-
0.23%
0.22%
0.30%
0.23%