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Offsetting Assets and Liabilities (Tables)
6 Months Ended
Jun. 30, 2013
Offsetting Assets and Liabilities [Abstract]  
Schedule of Offsetting of Liabilities
 

Offsetting of Liabilities


                         Net Amounts of   Gross Amounts Not Offset in the      
          Gross Amounts   Liabilities   Consolidated Balance Sheet      
      Gross Amounts   Offset in the   Presented in the   Financial              
      of Recognized   Consolidated   Consolidated   Instruments   Cash Collateral      
      Liabilities      Balance Sheet      Balance Sheet      Pledged      Pledged      Net Amount
  June 30, 2013                                          
  Repurchase agreements   $ 308,497,415   $ -     $ 308,497,415   $ (302,096,964 )   $ (6,400,451 )   $ -
  Loan repurchase facility     89,112,325     -       89,112,325     (89,112,325 )     -       -
  Derivative liabilities                                          
         (TBA contracts)     8,138,671             (3,069,199 )     5,069,472     -       (5,069,472 )     -
  Total   $        405,748,411   $ (3,069,199 )   $        402,679,212   $ (391,209,289 )   $        (11,469,923 )   $ -
                                             
  December 31, 2012                                          
  Repurchase agreements   $ 116,080,467     -     $ 116,080,467   $ (114,745,162 )   $ (1,335,305 )   $ -
  Derivative liabilities (interest rate swap                                          
         agreements)     1,144,744     -       1,144,744     -       (1,144,744 )     -
      $ 117,225,211   $ -     $ 117,225,211   $        (114,745,162 )   $ (2,480,049 )   $        -
Schedule of Offsetting of Assets
 

Offsetting of Assets

                                            
                    Net Amounts of   Gross Amounts Not Offset in the      
            Gross Amounts   Assets Presented   Consolidated Balance Sheet      
      Gross Amounts   Offset in the   in the   Financial            
      of Recognized   Consolidated   Consolidated   Instruments   Cash Collateral      
      Assets    Balance Sheet    Balance Sheet    Pledged      Pledged    Net Amount
  June 30, 2013                                      
  Derivative assets (interest rate swap agreements)   $ 7,590,729   $ (421,198 )   $ 7,169,531   $ -   $ 983,441   $ 8,152,972
      $     7,590,729   $           (421,198 )   $ 7,169,531   $ -   $ 983,441   $ 8,152,972