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Securitization and Variable Interest Entities (Tables)
6 Months Ended
Dec. 31, 2024
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):

December 31, 2024
AssetsLiabilitiesNet Assets
Warehouse credit facilities$2,399,906 $2,078,553 $321,353 
Securitizations (1)
4,167,236 4,060,582 106,654 
Total consolidated VIEs$6,567,142 $6,139,135 $428,007 

June 30, 2024
AssetsLiabilitiesNet Assets
Warehouse credit facilities$2,052,881 $1,823,794 $229,087 
Securitizations3,325,254 3,246,228 79,026 
Total consolidated VIEs$5,378,135 $5,070,022 $308,113 
(1)As of December 31, 2024, liabilities include $60.3 million of VFN classified as funding debt and $4.0 billion of asset-backed notes classified as notes issued from securitization trusts.
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):
December 31, 2024
AssetsLiabilitiesNet AssetsMaximum Exposure to Losses
Securitizations$1,300,463 $1,236,637 $63,826 $69,735 
Total unconsolidated VIEs$1,300,463 $1,236,637 $63,826 $69,735 

June 30, 2024
AssetsLiabilitiesNet AssetsMaximum Exposure to Losses
Securitizations$967,256 $920,004 $47,252 $51,861 
Total unconsolidated VIEs$967,256 $920,004 $47,252 $51,861