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Fair Value Measurements - Changes in Fair Value (Details) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended
Jun. 30, 2020
Jun. 30, 2019
Jun. 30, 2020
Jun. 30, 2019
Mortgage backed securities        
Changes in fair value of assets        
Beginning Balance     $ 460 $ 12,148
Purchases or Originations       9,593
Sales / Principal payments     (2) (669)
Realized gains, net       107
Unrealized gains (losses), net     (40) 289
Accreted discount, net       46
Transfer to (from) Level 3     (7) 15,141
Ending Balance $ 411 $ 36,655 411 36,655
Total unrealized gain (loss)     307 2,699
Derivatives        
Changes in fair value of assets        
Beginning Balance     2,814 1,776
Unrealized gains (losses), net     16,223 1,894
Ending Balance 19,037 3,670 19,037 3,670
Total unrealized gain (loss)     19,037 3,670
Loans, held at fair value        
Changes in fair value of assets        
Beginning Balance     20,212 22,664
Purchases or Originations     105,530  
Sales / Principal payments     (296) (2,194)
Realized gains, net       (166)
Unrealized gains (losses), net     (1,148) 105
Ending Balance 124,298 20,409 124,298 20,409
Total unrealized gain (loss)     (501) 331
Mortgage servicing rights        
Changes in fair value of assets        
Beginning Balance     91,174 93,065
Additions due to loans sold, servicing retained     20,478 9,454
Sales / Principal payments     (9,527) (3,394)
Unrealized gains (losses), net     (28,480) (13,467)
Ending Balance 73,645 85,658 73,645 85,658
Total unrealized gain (loss)     (38,435) (2,705)
Contingent Consideration        
Changes in fair value of assets        
Beginning Balance       1,207
Amortization and adjustment for earn-out payments       (1,207)
Level 3 inputs | Mortgage backed securities        
Changes in fair value of assets        
Beginning Balance 103 27,200    
Purchases or Originations   9,593    
Sales / Principal payments   (567)    
Realized gains, net   127    
Unrealized gains (losses), net   200    
Accreted discount, net   44    
Transfer to (from) Level 3 308 58    
Ending Balance 411 36,655 411 36,655
Total unrealized gain (loss) 307 2,699    
Level 3 inputs | Derivatives        
Changes in fair value of assets        
Beginning Balance 17,250 2,483    
Unrealized gains (losses), net 1,787 1,187    
Ending Balance 19,037 3,670 19,037 3,670
Total unrealized gain (loss) 19,037 3,670    
Level 3 inputs | Loans, held at fair value        
Changes in fair value of assets        
Beginning Balance 19,813 22,595    
Purchases or Originations 105,530      
Sales / Principal payments (288) (2,165)    
Realized gains, net   (165)    
Unrealized gains (losses), net (757) 144    
Ending Balance 124,298 20,409 124,298 20,409
Total unrealized gain (loss) (501) 331    
Level 3 inputs | Mortgage servicing rights        
Changes in fair value of assets        
Beginning Balance 78,631 88,218    
Purchases or Originations 13,331      
Additions due to loans sold, servicing retained   5,861    
Sales / Principal payments (6,274) (2,082)    
Unrealized gains (losses), net (12,043) (6,339)    
Ending Balance 73,645 85,658 $ 73,645 $ 85,658
Total unrealized gain (loss) $ (38,435) $ (2,705)