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Prepaid Expenses and Other Assets (Tables)
9 Months Ended
Sep. 30, 2020
Prepaid Expenses and Other Assets [Abstract]  
Schedule Of Prepaid Expenses And Other Assets

September 30,

December 31,

2020

2019

Prepaid insurance

$

21,537

$

26,175

Lot option and escrow deposits

36,828

48,810

Deferred financing costs on revolving line of credit, net

3,550

4,574

Restricted cash (1)

2,549

3,085

Secured note receivable

2,460

2,602

Right of use assets

16,697

18,854

Other assets and prepaid expenses

22,308

18,525

Derivative assets

7,410

1,383

Total prepaid expenses and other assets

$

113,339

$

124,008

(1) Restricted cash consists of earnest money deposits for home sale contracts held by third parties as required by various jurisdictions, and certain pledge balances associated with our mortgage repurchase facilities.