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CONSOLIDATED BALANCE SHEETS (USD $)
Sep. 30, 2014
Dec. 31, 2013
Assets:    
Cash and cash equivalents $ 72,874,163 $ 60,389,552
Restricted cash (includes $142,343,488 and $54,051,439 from consolidated VIEs, respectively) 143,848,917 54,962,316
Loans and investments, net (includes $1,210,637,703 and $1,196,434,032 from consolidated VIEs, respectively) 1,526,641,987 1,523,699,653
Available-for-sale securities, at fair value 2,529,104 37,315,652
Investments in equity affiliates 5,022,502 4,680,306
Real estate owned, net (includes $80,787,215 and $80,787,215 from consolidated VIEs, respectively) 90,738,137 111,718,177
Real estate held-for-sale, net 26,430,595 11,477,676
Due from related party (includes $0 and $91,988 from consolidated VIEs, respectively) 628,320 98,058
Prepaid management fee - related party   19,047,949
Other assets (includes $17,311,015 and $19,861,310 from consolidated VIEs, respectively) 48,441,712 54,083,143
Total assets 1,917,155,437 1,877,472,482
Liabilities and Equity:    
Credit facilities and repurchase agreements 71,306,110 159,125,023
Collateralized debt obligations (includes $371,733,279 and $639,622,981 from consolidated VIEs, respectively) 371,733,279 639,622,981
Collateralized loan obligations (includes $545,750,000 and $264,500,000 from consolidated VIEs, respectively) 545,750,000 264,500,000
Senior unsecured notes 97,860,025  
Junior subordinated notes to subsidiary trust issuing preferred securities 159,695,009 159,291,427
Notes payable 1,300,000 2,500,000
Mortgage note payable - real estate owned 25,022,701 42,745,650
Mortgage note payable - real estate held-for-sale 23,791,205 11,005,354
Due to related party 2,046,667 2,794,087
Due to borrowers 31,383,434 20,326,030
Deferred revenue   77,123,133
Other liabilities (includes $8,993,416 and $13,944,737 from consolidated VIEs, respectively) 53,100,605 60,842,515
Total liabilities 1,382,989,035 1,439,876,200
Commitments and contingencies      
Arbor Realty Trust, Inc. stockholders' equity:    
Preferred stock; 8.25% Series A; 7.75% Series B; 8.50% Series C 89,295,905 67,654,655
Common stock, $0.01 par value: 500,000,000 shares authorized; 53,128,075 shares issued, 50,477,308 shares outstanding at September 30, 2014 and 51,787,075 shares issued, 49,136,308 shares outstanding at December 31, 2013 531,280 517,870
Additional paid-in capital 629,579,966 623,993,245
Treasury stock, at cost - 2,650,767 shares at September 30, 2014 and December 31, 2013 (17,100,916) (17,100,916)
Accumulated deficit (150,966,676) (212,231,319)
Accumulated other comprehensive loss (17,173,157) (25,237,253)
Total equity 534,166,402 437,596,282
Total liabilities and equity $ 1,917,155,437 $ 1,877,472,482