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Business Segment Reporting (Tables)
6 Months Ended
Jun. 30, 2026
Segment Reporting [Abstract]  
Schedule of Financial Information By Segment
The following tables present financial information by segment (in thousands):
For the three months ended June 30, 2026
Retirement Solutions Portfolio ManagementTotal Reportable SegmentsCorporate and OtherTotal
Portfolio interest income
Interest income$— $490,075 $490,075 $— $490,075 
Interest expense— (435,160)(435,160)— (435,160)
Net portfolio interest income— 54,915 54,915 — 54,915 
Other income (expense)
Net origination gains66,576 — 66,576 — 66,576 
Gains on securitization of HECM tails, net— 13,620 13,620 — 13,620 
Fair value changes from model amortization— (36,199)(36,199)— (36,199)
Fair value changes from market inputs or model assumptions— (31,543)(31,543)— (31,543)
Net fair value changes on loans and related obligations66,576 (54,122)12,454 — 12,454 
Fee income7,273 304 7,577 (123)7,454 
Non-funding interest expense, net— — — (12,342)(12,342)
Net other income (expense) 73,849 (53,818)20,031 (12,465)7,566 
Total revenues73,849 1,097 74,946 (12,465)62,481 
Expenses
Salaries, benefits, and related expenses28,380 4,300 32,680 9,587 42,267 
Loan production and portfolio related expenses2,905 12,129 15,034 — 15,034 
Loan servicing expenses— 7,743 7,743 — 7,743 
Marketing and advertising expenses17,188 — 17,188 26 17,214 
Amortization and depreciation9,409 5 9,414 515 9,929 
General and administrative expenses5,787 3,206 8,993 4,909 13,902 
Total expenses63,669 27,383 91,052 15,037 106,089 
Other, net— — — (27,448)(27,448)
Net income (loss) before taxes$10,180 $(26,286)$(16,106)$(54,950)$(71,056)
For the three months ended June 30, 2025
Retirement Solutions Portfolio ManagementTotal Reportable SegmentsCorporate and OtherTotal
Portfolio interest income
Interest income$— $481,800 $481,800 $— $481,800 
Interest expense— (422,336)(422,336)— (422,336)
Net portfolio interest income— 59,464 59,464 — 59,464 
Other income (expense)
Net origination gains56,058 — 56,058 — 56,058 
Gains on securitization of HECM tails, net— 10,855 10,855 — 10,855 
Fair value changes from model amortization— (35,456)(35,456)— (35,456)
Fair value changes from market inputs or model assumptions— 94,939 94,939 — 94,939 
Net fair value changes on loans and related obligations56,058 70,338 126,396 — 126,396 
Fee income6,289 573 6,862 (123)6,739 
Non-funding interest expense, net— — — (15,223)(15,223)
Net other income (expense)62,347 70,911 133,258 (15,346)117,912 
Total revenues62,347 130,375 192,722 (15,346)177,376 
Expenses
Salaries, benefits, and related expenses23,353 3,725 27,078 9,896 36,974 
Loan production and portfolio related expenses1,251 8,211 9,462 — 9,462 
Loan servicing expenses— 7,525 7,525 — 7,525 
Marketing and advertising expenses12,257 — 12,257 8 12,265 
Amortization and depreciation9,327 16 9,343 311 9,654 
General and administrative expenses5,786 2,794 8,580 4,600 13,180 
Total expenses51,974 22,271 74,245 14,815 89,060 
Other, net— — — (6,361)(6,361)
Net income (loss) before taxes$10,373 $108,104 $118,477 $(36,522)$81,955 
For the six months ended June 30, 2026
Retirement Solutions Portfolio ManagementTotal Reportable SegmentsCorporate and OtherTotal
Portfolio interest income
Interest income$— $957,678 $957,678 $— $957,678 
Interest expense— (836,493)(836,493)— (836,493)
Net portfolio interest income— 121,185 121,185 — 121,185 
Other income (expense)
Net origination gains127,463 — 127,463 — 127,463 
Gains on securitization of HECM tails, net— 25,287 25,287 — 25,287 
Fair value changes from model amortization— (68,219)(68,219)— (68,219)
Fair value changes from market inputs or model assumptions— (11,619)(11,619)— (11,619)
Net fair value changes on loans and related obligations127,463 (54,551)72,912 — 72,912 
Fee income13,015 797 13,812 (246)13,566 
Non-funding interest expense, net— — — (25,040)(25,040)
Net other income (expense)140,478 (53,754)86,724 (25,286)61,438 
Total revenues140,478 67,431 207,909 (25,286)182,623 
Expenses
Salaries, benefits, and related expenses54,093 8,598 62,691 22,180 84,871 
Loan production and portfolio related expenses4,839 27,861 32,700 — 32,700 
Loan servicing expenses— 15,189 15,189 — 15,189 
Marketing and advertising expenses30,527 — 30,527 26 30,553 
Amortization and depreciation 18,818 10 18,828 953 19,781 
General and administrative expenses12,108 5,672 17,780 10,581 28,361 
Total expenses120,385 57,330 177,715 33,740 211,455 
Other, net— — — (5,967)(5,967)
Net income (loss) before taxes$20,093 $10,101 $30,194 $(64,993)$(34,799)
For the six months ended June 30, 2025
Retirement Solutions Portfolio ManagementTotal Reportable SegmentsCorporate and OtherTotal
Portfolio interest income
Interest income$— $962,402 $962,402 $— $962,402 
Interest expense— (832,503)(832,503)— (832,503)
Net portfolio interest income— 129,899 129,899 — 129,899 
Other income (expense)
Net origination gains102,096 — 102,096 — 102,096 
Gains on securitization of HECM tails, net— 21,336 21,336 — 21,336 
Fair value changes from model amortization— (76,412)(76,412)— (76,412)
Fair value changes from market inputs or model assumptions— 183,202 183,202 — 183,202 
Net fair value changes on loans and related obligations102,096 128,126 230,222 — 230,222 
Fee income11,972 1,359 13,331 (246)13,085 
Non-funding interest expense, net— — — (30,135)(30,135)
Net other income (expense)114,068 129,485 243,553 (30,381)213,172 
Total revenues114,068 259,384 373,452 (30,381)343,071 
Expenses
Salaries, benefits, and related expenses45,205 7,357 52,562 18,342 70,904 
Loan production and portfolio related expenses2,777 18,015 20,792 — 20,792 
Loan servicing expenses— 15,266 15,266 — 15,266 
Marketing and advertising expenses22,987 — 22,987 9 22,996 
Amortization and depreciation 18,657 34 18,691 621 19,312 
General and administrative expenses10,810 5,330 16,140 10,019 26,159 
Total expenses100,436 46,002 146,438 28,991 175,429 
Other, net— — — (3,994)(3,994)
Net income (loss) before taxes$13,632 $213,382 $227,014 $(63,366)$163,648 
The following table presents total assets by segment (in thousands):
June 30, 2026December 31, 2025
Retirement Solutions$162,013 $214,601 
Portfolio Management37,042,161 30,458,518 
Total reportable segments37,204,174 30,673,119 
Corporate and Other112,589 60,179 
Total assets$37,316,763 $30,733,298