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CONSOLIDATED BALANCE SHEETS (Parenthetical) - USD ($)
$ in Thousands
Jun. 30, 2022
Jun. 30, 2021
Assets of consolidated VIEs, included in total assets above    
Restricted cash $ 295,636 $ 226,074
Loans held for investment 2,503,561 2,022,320
Allowance for credit losses (155,392) (117,760)
Loans held for investment, net 2,348,169 1,904,560
Accounts receivable, net 142,052 91,575
Other assets 281,567 274,679
Total Assets 6,973,792 4,866,967
Liabilities of consolidated VIEs, included in total liabilities above    
Accounts payable 33,072 57,758
Accrued interest payable 6,659 2,751
Accrued expenses and other liabilities 237,598 323,577
Notes issued by securitization trusts 1,627,580 1,176,673
Funding debt 672,577 680,602
Total liabilities 4,355,537 2,291,440
Consolidated Variable Interest Entities    
Assets of consolidated VIEs, included in total assets above    
Restricted cash 164,530 142,385
Loans held for investment 2,179,026 1,743,810
Allowance for credit losses (124,052) (94,463)
Loans held for investment, net 2,054,974 1,649,347
Accounts receivable, net 8,195 8,209
Other assets 14,570 3,683
Total Assets 2,242,269 1,803,624
Liabilities of consolidated VIEs, included in total liabilities above    
Accounts payable 2,897 2,927
Accrued interest payable 6,525 2,613
Accrued expenses and other liabilities 15,494 3,820
Notes issued by securitization trusts 1,627,580 1,176,673
Funding debt 514,033 607,394
Total liabilities 2,166,529 1,793,427
Total net assets of consolidated VIEs $ 75,740 $ 10,197
Class A common stock    
Common stock, par value (in USD per share) $ 0.00001 $ 0.00001
Common stock, authorized (in shares) 3,030,000,000 3,030,000,000
Common stock, issued (in shares) 227,255,529 181,131,728
Common stock, outstanding (in shares) 227,255,529 181,131,728
Class B common stock    
Common stock, par value (in USD per share) $ 0.00001 $ 0.00001
Common stock, authorized (in shares) 140,000,000 140,000,000
Common stock, issued (in shares) 60,109,844 88,226,376
Common stock, outstanding (in shares) 60,109,844 88,226,376