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Schedule IV - Mortgage Loans on Real Estate - Reconcile Mortgage Loans on Real Estate (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2015
Dec. 31, 2014
Dec. 31, 2013
Reconciliation of Mortgage loans on Real Estate:      
Balance at the beginning of the period $ 1,939,008 $ 979,568 $ 949,651
Origination of mortgage loan receivables 3,557,164 4,547,340 2,499,746
Repayment of mortgage loan receivables (754,760) (215,804) (273,933)
Proceeds from sales of mortgage loan receivables (2,509,090) (3,523,689) (2,345,705)
Non-cash disposition of loan via foreclosure (4,620)    
Sale of loans, net 71,066 145,275 146,708
Transfer between held for investment and held for sale   0 0
Accretion/amortization of discount, premium and other fees 12,241 6,918 3,701
Provision for loan losses 600 600 600
Balance at the end of the period 2,310,409 1,939,008 979,568
Mortgage loan receivables held for investment, at amortized cost      
Reconciliation of Mortgage loans on Real Estate:      
Balance at the beginning of the period 1,521,053 539,078 326,318
Origination of mortgage loan receivables 963,023 1,201,968 486,072
Repayment of mortgage loan receivables (752,452) (214,511) (268,093)
Mortgage Loans on Real Estate, Cost of Mortgages Sold 0 0 0
Non-cash disposition of loan via foreclosure (4,620)    
Sale of loans, net 0 0 0
Transfer between held for investment and held for sale   (11,800) (8,320)
Accretion/amortization of discount, premium and other fees 12,241 6,918 3,701
Provision for loan losses (600) (600) (600)
Balance at the end of the period 1,738,645 1,521,053 539,078
Mortgage loan receivables held for sale      
Reconciliation of Mortgage loans on Real Estate:      
Balance at the beginning of the period 417,955 440,490 623,333
Origination of mortgage loan receivables 2,594,141 3,345,372 2,013,674
Repayment of mortgage loan receivables (2,308) (1,293) (5,840)
Mortgage Loans on Real Estate, Cost of Mortgages Sold 2,509,090 3,523,689 2,345,705
Non-cash disposition of loan via foreclosure 0    
Sale of loans, net 71,066 145,275 146,708
Transfer between held for investment and held for sale   11,800 8,320
Accretion/amortization of discount, premium and other fees 0 0 0
Provision for loan losses 0 0 0
Balance at the end of the period $ 571,764 $ 417,955 $ 440,490