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FAIR VALUE MEASUREMENTS (Tables)
6 Months Ended
Jun. 30, 2021
Fair Value Disclosures [Abstract]  
Schedule of Fair Values, Assets and Liabilities Measured on Recurring Basis
The following tables present the estimated fair values of financial instruments and MSR measured at fair value on a recurring basis. There were no transfers between levels of the fair value hierarchy during the periods presented.
June 30, 2021
 Level 1Level 2Level 3Total
Assets(dollars in thousands)
Securities
Agency mortgage-backed securities$ $66,468,519 $ $66,468,519 
Credit risk transfer securities 827,328  827,328 
Non-Agency mortgage-backed securities 1,582,323  1,582,323 
   Commercial mortgage-backed securities 154,165  154,165 
Loans
Residential mortgage loans 1,029,928  1,029,928 
Mortgage servicing rights  202,616 202,616 
Interests in MSR  49,035 49,035 
Assets transferred or pledged to securitization vehicles 4,073,156  4,073,156 
Derivative assets
Other derivatives8,141 173,748  181,889 
Total assets$8,141 $74,309,167 $251,651 $74,568,959 
Liabilities
Debt issued by securitization vehicles 3,315,087  3,315,087 
Participations issued 315,810  315,810 
Derivative liabilities
Interest rate swaps 806,952  806,952 
Other derivatives87,814 5,493  93,307 
Total liabilities$87,814 $4,443,342 $ $4,531,156 
December 31, 2020
 Level 1Level 2Level 3Total
Assets(dollars in thousands)
Securities
Agency mortgage-backed securities$— $74,067,059 $— $74,067,059 
Credit risk transfer securities— 532,403 — 532,403 
Non-Agency mortgage-backed securities— 972,192 — 972,192 
   Commercial mortgage-backed securities— 80,742 — 80,742 
Loans
Residential mortgage loans— 345,810 — 345,810 
Mortgage servicing rights— — 100,895 100,895 
Assets transferred or pledged to securitization vehicles— 6,035,671 — 6,035,671 
Derivative assets
Other derivatives506 170,628 — 171,134 
Total assets$506 $82,204,505 $100,895 $82,305,906 
Liabilities
Debt issued by securitization vehicles$— $5,652,982 $— $5,652,982 
Participations issued— 39,198 — 39,198 
Derivative liabilities
Interest rate swaps— 1,006,492 — 1,006,492 
Other derivatives19,413 7,440 — 26,853 
Total liabilities$19,413 $6,706,112 $— $6,725,525 
Information about Significant Unobservable Inputs Used for Recurring Fair Value Measurements for Level 3 MSRs
The table below presents information about the significant unobservable inputs used for recurring fair value measurements for Level 3 MSR and Interests in MSR. The table does not give effect to the Company’s risk management practices that might offset risks inherent in these Level 3 investments.
June 30, 2021
Unobservable Input (1) / Range (Weighted Average) (2)
Discount ratePrepayment rateDelinquency rateCost to service
MSR consolidated with VIE
9.0% - 12.0% (9.0%)
9.4% - 30.7% (20.2%)
0.0% - 6.0% (2.4%)
$84 - $114 ($99)
MSR held directly
1.8% - 21.7% (9.0%)
6.7% - 14.4% (7.5%)
0.9% - 1.8% (1.1%)
$99 - $106 ($101)
Interests in MSR
9.5% - 11.4% (10.0%)
4.8% - 14.6% (9.0%)
0.6% - 5.0% (1.8%)
$78 - $86 ($85)
December 31, 2020
Unobservable Input (1) / Range (Weighted Average) (2)
Discount ratePrepayment rateDelinquency rateCost to service
MSR consolidated with VIE
9.0% - 12.0% (9.4%)
19.3% - 55.5% (42.0%)
0.0% - 6.0% (2.5%)
$83 - $108 ($98)
(1) Represents rates, estimates and assumptions that the Company believes would be used by market participants when valuing these assets.
(2) Weighted average discount rate computed based on the fair value of MSR, weighted average prepayment rate, delinquency rate and cost to service based on unpaid principal balances of loans underlying the MSR.
Schedule of Estimated Fair Value for All Financial Assets and Liabilities
The following table summarizes the estimated fair values for financial assets and liabilities that are not carried at fair value at June 30, 2021 and December 31, 2020.
 June 30, 2021December 31, 2020
 Carrying
Value
Fair
Value
Carrying
Value
Fair
Value
Financial assets(dollars in thousands)
Loans
Commercial real estate debt and preferred equity, held for investment (1)
$—$—$1,372,430$1,442,071
Corporate debt, held for investment2,066,7092,080,0022,239,9302,226,045
Assets transferred or pledged to securitization vehicles874,349928,732
Corporate debt, held for sale466,370466,370
Financial liabilities
Repurchase agreements$60,221,067$60,221,067$64,825,239$64,825,239
Other secured financing909,655909,655917,876917,876
Mortgages payable426,256474,779
(1)    Includes assets of consolidated VIEs.