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Senior Notes, Loans Payable and Mortgage Repurchase Facilities - Schedule of Mortgage Repurchase Facilities (Details) - USD ($)
$ in Thousands
Apr. 23, 2025
Jun. 30, 2025
Dec. 31, 2024
Participating Mortgage Loans [Line Items]      
Outstanding Balance   $ 99,022 $ 104,098
Warehouse B      
Participating Mortgage Loans [Line Items]      
Facility Amount   100,000  
Mortgage repurchase facilities      
Participating Mortgage Loans [Line Items]      
Outstanding Balance   99,022  
Facility Amount   200,000  
Mortgage loans held for sale   104,900  
Facility uncommitted amount   101,000  
Mortgage repurchase facilities | Warehouse A      
Participating Mortgage Loans [Line Items]      
Outstanding Balance   54,946  
Facility Amount $ 100,000 $ 100,000  
Interest Rate   1.75%  
Line of Credit Facility, Maximum Borrowing Capacity Increase $ 20,000    
Mortgage repurchase facilities | Warehouse B      
Participating Mortgage Loans [Line Items]      
Outstanding Balance   $ 44,076  
Facility Amount   $ 50,000  
Interest Rate   1.75%  
Mortgage repurchase facilities | Warehouse B      
Participating Mortgage Loans [Line Items]      
Outstanding Balance   $ 0  
Facility Amount   $ 50,000  
Interest Rate   1.75%  
Facility uncommitted amount   $ 50,000