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Real Estate Securities - Components of Carrying Value (Which Equals Fair Value) of Residential Available for Sale Securities (Details) - USD ($)
$ in Thousands
Jun. 30, 2020
Mar. 31, 2020
Dec. 31, 2019
Debt Securities, Available-for-sale [Line Items]      
Principal balance $ 264,100   $ 304,077
Credit reserve (37,785)   (32,940)
Unamortized discount, net (104,260)   (124,255)
Amortized cost 122,055   146,882
Gross unrealized gains 56,999   92,481
Gross unrealized losses (3,846)   (29)
Allowance for credit losses (1,471) $ (1,525) 0
Carrying Value 173,737   239,334
Senior      
Debt Securities, Available-for-sale [Line Items]      
Principal balance 0   26,331
Credit reserve 0   (533)
Unamortized discount, net 0   (10,427)
Amortized cost 0   15,371
Gross unrealized gains 0   10,450
Gross unrealized losses 0   (29)
Allowance for credit losses 0    
Carrying Value 0   25,792
Mezzanine      
Debt Securities, Available-for-sale [Line Items]      
Principal balance 0   13,512
Credit reserve 0   0
Unamortized discount, net 0   (527)
Amortized cost 0   12,985
Gross unrealized gains 0   702
Gross unrealized losses 0   0
Allowance for credit losses 0    
Carrying Value 0   13,687
Subordinate      
Debt Securities, Available-for-sale [Line Items]      
Principal balance 264,100   264,234
Credit reserve (37,785)   (32,407)
Unamortized discount, net (104,260)   (113,301)
Amortized cost 122,055   118,526
Gross unrealized gains 56,999   81,329
Gross unrealized losses (3,846)   0
Allowance for credit losses (1,471)    
Carrying Value $ 173,737   $ 199,855