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SECURED FINANCING (Tables)
12 Months Ended
Dec. 31, 2021
Debt Disclosure [Abstract]  
Schedule of Repurchase Agreements Remaining Maturity ,Collateral Types and Weighted Average Rates
At December 31, 2021 and 2020, the repurchase agreements had the following remaining maturities, collateral types and weighted average rates: 
December 31, 2021
 Agency Mortgage-Backed SecuritiesCRTsNon-Agency Mortgage-Backed SecuritiesResidential Mortgage Loans
Commercial Mortgage-Backed Securities (1)
Total Repurchase AgreementsWeighted Average Rate  
 (dollars in thousands)
1 day$ $ $ $ $ $  %
2 to 29 days26,435,408 133,525 246,707  197,834 27,013,474 0.14 %
30 to 59 days9,743,872 38,854 270,377 159,350  10,212,453 0.19 %
60 to 89 days6,021,850 4,071 351,426   6,377,347 0.17 %
90 to 119 days4,812,345  12,573   4,824,918 0.15 %
Over 119 days (2)
5,711,448  96,283 345,651 188,069 6,341,451 0.27 %
Total$52,724,923 $176,450 $977,366 $505,001 $385,903 $54,769,643 0.17 %
December 31, 2020
 Agency Mortgage-Backed SecuritiesCRTsNon-Agency Mortgage-Backed SecuritiesResidential Mortgage LoansCommercial
Loans
Commercial Mortgage-Backed SecuritiesTotal Repurchase AgreementsWeighted Average Rate
 (dollars in thousands)
1 day$— $— $— $— $— $— $— — %
2 to 29 days30,151,875 129,993 354,904 76,799 — 128,267 30,841,838 0.29 %
30 to 59 days10,247,972 16,073 161,274 — — 142,336 10,567,655 0.42 %
60 to 89 days8,181,410 99,620 259,401 — — 28,406 8,568,837 0.30 %
90 to 119 days2,154,733 — — — — — 2,154,733 0.23 %
Over 119 days (2)
12,008,920 — 274,860 107,924 271,801 28,671 12,692,176 0.36 %
Total$62,744,910 $245,686 $1,050,439 $184,723 $271,801 $327,680 $64,825,239 0.32 %
(1) Includes commercial mortgage-backed securities held for sale.
(2) No repurchase agreements had a remaining maturity over 1 year at December 31, 2021. Less than 1% of the total repurchase agreements had a remaining maturity over 1 year at December 31, 2020.
Summary of Gross Amounts, Amounts Offset and net Amounts of Repurchase Agreement and Reverse Repurchase Agreement
The following table summarizes the gross amounts of reverse repurchase agreements and repurchase agreements, amounts offset in accordance with netting arrangements and net amounts of repurchase agreements and reverse repurchase agreements as presented in the Consolidated Statements of Financial Condition at December 31, 2021 and 2020. Refer to the “Derivative Instruments” Note for information related to the effect of netting arrangements on the Company’s derivative instruments.
 December 31, 2021December 31, 2020
 Reverse Repurchase AgreementsRepurchase AgreementsReverse Repurchase AgreementsRepurchase Agreements
 (dollars in thousands)
Gross amounts$ $54,769,643 $250,000 $65,075,239 
Amounts offset  (250,000)(250,000)
Netted amounts$ $54,769,643 $— $64,825,239