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DEBT - Disclosures (Details)
1 Months Ended 3 Months Ended 6 Months Ended 10 Months Ended 12 Months Ended 18 Months Ended
Dec. 14, 2020
Nov. 30, 2019
USD ($)
loan
extension
Nov. 30, 2021
USD ($)
Jun. 30, 2019
USD ($)
Dec. 31, 2022
Sep. 30, 2022
Jun. 30, 2022
USD ($)
extension
Jun. 30, 2021
USD ($)
Nov. 12, 2025
Jun. 30, 2022
USD ($)
extension
Jun. 30, 2021
USD ($)
Oct. 31, 2021
Nov. 12, 2026
Nov. 12, 2026
Dec. 31, 2021
USD ($)
Funding agreements                              
Line of credit facility, maximum borrowing capacity             $ 1,430,000,000     $ 1,430,000,000         $ 1,481,755,000
Number of non-recourse notes | loan   2                          
Outstanding balance             1,003,059,000     $ 1,003,059,000         1,041,157,000
Maximum                              
Funding agreements                              
Extension period of maturity date                   12 months          
Notes Payable, Due June 10, 2024 | NEW YORK                              
Funding agreements                              
Interest rate margin (as a percent)                   3.00%          
Notes Payable                              
Funding agreements                              
Number of extension periods available for maturity date | extension   2                          
Extension period of maturity date   12 months                          
Interest rate margin (as a percent)                   3.75%          
Outstanding balance   $ 23,500,000                          
Notes Payable | SOUTH CAROLINA                              
Funding agreements                              
Outstanding balance   $ 34,600,000                          
Secured term loan                              
Funding agreements                              
Line of credit facility, maximum borrowing capacity             150,000,000     $ 150,000,000         150,000,000
Outstanding balance             150,000,000     150,000,000         $ 150,000,000
Aggregate principal amount     $ 150,000,000       $ 150,000,000     $ 150,000,000          
Debt discount on initial draw down (as a percent)             4.60% 5.30%   4.60% 5.20%        
Secured term loan | Forecast                              
Funding agreements                              
Interest rate during period                 4.50%            
Interest rate, increase (decrease)                         0.125%    
Interest rate, quarterly increase                           0.25%  
Secured term loan | LIBOR                              
Funding agreements                              
Interest rate margin (as a percent)     0.50%                 5.00%      
Interest rate, increase (decrease)             0.125%                
Secured term loan | LIBOR | Forecast                              
Funding agreements                              
Interest rate, increase (decrease)         0.75% 0.375%                  
Wells Fargo Facility | Secured revolving funding facility                              
Funding agreements                              
Line of credit facility, maximum borrowing capacity             $ 450,000,000     $ 450,000,000          
Wells Fargo Facility | Secured revolving funding facility | Minimum | 30 day LIBOR                              
Funding agreements                              
Interest rate margin (as a percent) 1.50%                            
Wells Fargo Facility | Secured revolving funding facility | Maximum | 30 day LIBOR                              
Funding agreements                              
Interest rate margin (as a percent) 2.75%                            
Wells Fargo Facility | Revolving credit facility, optional commitment amount                              
Funding agreements                              
Line of credit facility, maximum borrowing capacity             $ 500,000,000     $ 500,000,000          
Number of extension periods available for maturity date | extension             3,000,000     3,000,000          
Extension period of maturity date                   12 months          
Wells Fargo Facility | Revolving Credit Facility - Optional Funding Period                              
Funding agreements                              
Number of extension periods available for maturity date | extension             1     1          
Extension period of maturity date                   12 months          
Citibank Facility | Secured revolving funding facility                              
Funding agreements                              
Line of credit facility, maximum borrowing capacity             $ 325,000,000     $ 325,000,000          
Number of extension periods available for maturity date | extension             2     2          
Extension period of maturity date                   12 months          
Non-utilization fee on average available balance (basis points)                   0.25%          
Facility used on average (at least) (as a percent)                   75.00%          
Non-utilization fee               $ 175,000   $ 11,000 $ 334,000        
Citibank Facility | Secured revolving funding facility | Minimum | 30 day LIBOR                              
Funding agreements                              
Interest rate margin (as a percent)                   1.50%          
Citibank Facility | Secured revolving funding facility | Maximum | 30 day LIBOR                              
Funding agreements                              
Interest rate margin (as a percent)                   2.10%          
CNB Facility | CNB Facility                              
Funding agreements                              
Line of credit facility, maximum borrowing capacity             $ 75,000,000     $ 75,000,000          
Non-utilization fee             $ 70,000 41,000   $ 140,000 68,000        
CNB Facility | CNB Facility | LIBOR                              
Funding agreements                              
Interest rate margin (as a percent)                   2.65%          
CNB Facility | CNB Facility | One-month LIBOR                              
Funding agreements                              
Interest rate margin (as a percent)                   1.00%          
CNB Facility | CNB Facility | Federal funds rate                              
Funding agreements                              
Interest rate margin (as a percent)                   0.50%          
Non-utilization fee on average available balance (basis points)                   0.375%          
Facility used on average (at least) (as a percent)                   75.00%          
CNB Facility | CNB Facility | SOFR                              
Funding agreements                              
Interest rate margin (as a percent)                   1.00%          
CNB Facility | CNB Facility | Minimum | SOFR                              
Funding agreements                              
Interest rate margin (as a percent)                   0.35%          
CNB Facility | CNB Facility | Maximum | SOFR                              
Funding agreements                              
Interest rate margin (as a percent)                   2.65%          
CNB Facility | Revolving Credit Facility - Optional Funding Period                              
Funding agreements                              
Extension period of maturity date                   12 months          
MetLife Facility | Secured revolving funding facility                              
Funding agreements                              
Non-utilization fee on average available balance (basis points)                   0.25%          
Non-utilization threshold percentage (less than) (as a percent)             65.00%     65.00%          
MetLife Facility | CNB Facility                              
Funding agreements                              
Non-utilization fee             $ 61,000 $ 39,000   $ 121,000 $ 39,000        
MetLife Facility | Revolving master repurchase facility                              
Funding agreements                              
Line of credit facility, maximum borrowing capacity             $ 180,000,000     $ 180,000,000          
Number of extension periods available for maturity date | extension             2     2          
Extension period of maturity date                   12 months          
MetLife Facility | Revolving master repurchase facility | 30 day LIBOR                              
Funding agreements                              
Interest rate margin (as a percent)                   2.50%          
Morgan Stanley Facility | Revolving master repurchase facility                              
Funding agreements                              
Line of credit facility, maximum borrowing capacity             $ 250,000,000     $ 250,000,000          
Number of extension periods available for maturity date | extension             2     2          
Extension period of maturity date                   12 months          
Morgan Stanley Facility | Revolving master repurchase facility | 30 day LIBOR                              
Funding agreements                              
Interest rate margin (as a percent)                   2.25%          
Morgan Stanley Facility | Revolving master repurchase facility | Minimum | 30 day LIBOR                              
Funding agreements                              
Interest rate margin (as a percent)                   1.75%          
Notes Payable | Notes Payable, Due June 10, 2024 | NEW YORK                              
Funding agreements                              
Number of extension periods available for maturity date | extension             1     1          
Extension period of maturity date                   6 months          
Interest expense from real estate owned       $ 28,300,000