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BALANCE SHEET NETTING (Tables)
6 Months Ended
Jun. 30, 2022
Offsetting [Abstract]  
Offsetting Assets
The table below represents financial assets and liabilities that are subject to master netting arrangements or similar agreements categorized by financial instrument, together with corresponding financial instruments and corresponding collateral received or pledged. Warehouse and other lines of credit and secured debt obligations were secured by financial instruments with fair value that exceeded the liability amount recorded on the consolidated balance sheets as of June 30, 2022 and December 31, 2021, respectively.
June 30, 2022
Gross amounts recognizedGross amounts offset in consolidated balance sheetNet amounts presented in consolidated balance sheetGross amounts not offset in consolidated balance sheetNet amount
Financial instrumentsCash collateral
Assets:
Forward sale contracts$100,202 $(56,276)$43,926 $— $(40,606)$3,320 
MBS put options17,795 — 17,795 — — 17,795 
Total Assets$117,997 $(56,276)$61,721 $— $(40,606)$21,115 
Liabilities:
Forward sale contracts$66,970 $(56,276)$10,694 $— $(1,947)$8,747 
Put options on treasuries9,113 — 9,113 — — 9,113 
MBS put options12,924 — 12,924 — — 12,924 
Interest rate swap futures5,746 — 5,746 — — 5,746 
Warehouse and other lines of credit4,265,343 — 4,265,343 (4,265,343)— — 
Secured debt obligations (1)
1,439,841 — 1,439,841 (1,439,841)— — 
Total Liabilities$5,799,937 $(56,276)$5,743,661 $(5,705,184)$(1,947)$36,530 
(1)Secured debt obligations as of June 30, 2022 included secured credit facilities and Term Notes.
December 31, 2021
Gross amounts recognizedGross amounts offset in consolidated balance sheetsNet amounts presented in consolidated balance sheetsGross amounts not offset in consolidated balance sheetsNet amount
Financial instrumentsCash collateral
Assets:
Forward sale contracts$29,497 $(24,139)$5,358 $— $(1,447)$3,911 
Interest rate swap futures4,924 — 4,924 — — 4,924 
Total Assets$34,421 $(24,139)$10,282 $— $(1,447)$8,835 
Liabilities:
Forward sale contracts$27,103 $(24,139)$2,964 $— $(1,736)$1,228 
Put options on treasuries31,070 — 31,070 — — 31,070 
Warehouse and other lines of credit7,457,199 — 7,457,199 (7,457,199)— — 
Secured debt obligations (1)
545,596 — 545,596 (545,596)— — 
Total Liabilities$8,060,968 $(24,139)$8,036,829 $(8,002,795)$(1,736)$32,298 
(1)Secured debt obligations as of December 31, 2021 included secured credit facilities and Term Notes.
Offsetting Liabilities
The table below represents financial assets and liabilities that are subject to master netting arrangements or similar agreements categorized by financial instrument, together with corresponding financial instruments and corresponding collateral received or pledged. Warehouse and other lines of credit and secured debt obligations were secured by financial instruments with fair value that exceeded the liability amount recorded on the consolidated balance sheets as of June 30, 2022 and December 31, 2021, respectively.
June 30, 2022
Gross amounts recognizedGross amounts offset in consolidated balance sheetNet amounts presented in consolidated balance sheetGross amounts not offset in consolidated balance sheetNet amount
Financial instrumentsCash collateral
Assets:
Forward sale contracts$100,202 $(56,276)$43,926 $— $(40,606)$3,320 
MBS put options17,795 — 17,795 — — 17,795 
Total Assets$117,997 $(56,276)$61,721 $— $(40,606)$21,115 
Liabilities:
Forward sale contracts$66,970 $(56,276)$10,694 $— $(1,947)$8,747 
Put options on treasuries9,113 — 9,113 — — 9,113 
MBS put options12,924 — 12,924 — — 12,924 
Interest rate swap futures5,746 — 5,746 — — 5,746 
Warehouse and other lines of credit4,265,343 — 4,265,343 (4,265,343)— — 
Secured debt obligations (1)
1,439,841 — 1,439,841 (1,439,841)— — 
Total Liabilities$5,799,937 $(56,276)$5,743,661 $(5,705,184)$(1,947)$36,530 
(1)Secured debt obligations as of June 30, 2022 included secured credit facilities and Term Notes.
December 31, 2021
Gross amounts recognizedGross amounts offset in consolidated balance sheetsNet amounts presented in consolidated balance sheetsGross amounts not offset in consolidated balance sheetsNet amount
Financial instrumentsCash collateral
Assets:
Forward sale contracts$29,497 $(24,139)$5,358 $— $(1,447)$3,911 
Interest rate swap futures4,924 — 4,924 — — 4,924 
Total Assets$34,421 $(24,139)$10,282 $— $(1,447)$8,835 
Liabilities:
Forward sale contracts$27,103 $(24,139)$2,964 $— $(1,736)$1,228 
Put options on treasuries31,070 — 31,070 — — 31,070 
Warehouse and other lines of credit7,457,199 — 7,457,199 (7,457,199)— — 
Secured debt obligations (1)
545,596 — 545,596 (545,596)— — 
Total Liabilities$8,060,968 $(24,139)$8,036,829 $(8,002,795)$(1,736)$32,298 
(1)Secured debt obligations as of December 31, 2021 included secured credit facilities and Term Notes.