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Securitization and Variable Interest Entities (Tables)
12 Months Ended
Jun. 30, 2023
Debt Disclosure [Abstract]  
Schedule of Aggregate Carrying Value of Financial Assets and Liabilities from VIEs
The following tables present the aggregate carrying value of financial assets and liabilities from our involvement with consolidated VIEs (in thousands).
June 30, 2023
AssetsLiabilitiesNet Assets
Warehouse credit facilities$1,930,641 $1,686,359 $244,282 
Securitizations2,272,991 2,169,835 103,156 
Total consolidated VIEs$4,203,632 $3,856,194 $347,438 

June 30, 2022
AssetsLiabilitiesNet Assets
Warehouse credit facilities$563,207 $534,422 $28,785 
Securitizations1,679,062 1,632,107 46,955 
Total consolidated VIEs$2,242,269 $2,166,529 $75,740 
Schedule of Variable Interest Entities
The following information pertains to unconsolidated VIEs where we hold a variable interest but are not the primary beneficiary (in thousands):
June 30, 2023
AssetsLiabilitiesNet AssetsMaximum Exposure to Losses
Securitizations$380,547 $367,788 $12,759 $19,149 
Total unconsolidated VIEs$380,547 $367,788 $12,759 $19,149 

June 30, 2022
AssetsLiabilitiesNet AssetsMaximum Exposure to Losses
Securitizations$996,242 $965,909 $30,333 $51,248 
Total unconsolidated VIEs$996,242 $965,909 $30,333 $51,248