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Fair Value - Changes in Fair Value (Details) - USD ($)
$ in Thousands
12 Months Ended
Jun. 30, 2018
Dec. 31, 2018
Dec. 31, 2017
Dec. 31, 2016
Debt | Recurring | Level 3        
Level 3 Liabilities        
Fair value, liability value   $ (44,542) $ 0 $ 0
Unrealized gain related to balance recorded in earnings   57 1,822  
Consolidation of securitization trust     (56,928)  
Purchases, contributions, or accretions, liabilities     10,564  
Unrealized gains (losses) on ending balance in earnings   57 1,822  
Paydowns, distributions or sales   638    
Deconsolidation   43,847    
Fair value, liability value   0 (44,542) 0
Due to Affiliates—Contingent Consideration for Internalization | Recurring | Level 3        
Level 3 Liabilities        
Fair value, liability value   (20,650) (41,250) (52,990)
Unrealized gain in earnings       11,740
Unrealized gain related to balance recorded in earnings   1,730 20,600 11,740
Acquired through the Merger     0  
Unrealized gains (losses) on ending balance in earnings   1,730 20,600  
Transfer out of liabilities into equity   12,539    
Transfers out of Level 3   6,381    
Fair value, liability value   0 (20,650) (41,250)
Loans Receivable | Recurring | Level 3        
Level 3 Assets        
Fair value, asset value   45,423 0 0
Unrealized gains (losses) In earnings   (715) (2,309)  
Consolidation of securitization trust     58,296  
Paydowns, distributions or sales   (638) (10,564)  
Unrealized gains (losses) on ending balance in earnings   (715) (2,309)  
Deconsolidation   (44,070)    
Fair value, asset value   0 45,423 0
Equity Method Investments | Recurring | Level 3        
Level 3 Assets        
Fair value, asset value   363,901 0 0
Unrealized gains (losses) In earnings   (67) 6,104 0
Acquired through the Merger     362,269  
Purchases, contributions or accretion   61,113 162,323  
Paydowns, distributions or sales   (188,409) (166,795)  
Realized gains in earnings   3,208    
Unrealized gains (losses) on ending balance in earnings   (67) 6,104  
Transfers out of Level 3   (132,527)    
Contribution to Colony Credit (Note 4)   (26,134)    
Fair value, asset value   81,085 363,901 0
Securities | Recurring | Level 3        
Level 3 Assets        
Fair value, asset value   323,243 0 0
Unrealized gains (losses) In earnings       0
Acquired through the Merger     427,560  
Purchases, contributions or accretion   21,049 40,035  
Paydowns, distributions or sales   (138,261) (120,728)  
Realized gains in earnings   3,877 (38,885)  
Unrealized gains (losses) In accumulated other comprehensive income   (21,437) 15,261  
Unrealized gains (losses) on ending balance in earnings   0 0  
Deconsolidation   (124,344)    
Unrealized gains (losses) on ending balance in other comprehensive income (loss)   (3,386)    
Fair value, asset value   64,127 323,243 0
THL Hotel Portfolio | Due to Affiliates—Contingent Consideration for Internalization | Recurring | Level 3        
Level 3 Liabilities        
Fair value, liability value   (7,419) 0 0
Unrealized gain related to balance recorded in earnings   (1,484) (648)  
Consideration for business combination     (6,771)  
Unrealized gains (losses) on ending balance in earnings   (1,484) (648)  
Fair value, liability value   $ (8,903) $ (7,419) $ 0
Senior Management | Due to Affiliates—Contingent Consideration for Internalization | Due to Affiliates—Contingent Consideration for Internalization | Recurring | Level 3        
Level 3 Liabilities        
Transfers out of Level 3 $ 6,400      
Affiliated Entity | Common Stock And OP Units | Senior Management | Due to Affiliates—Contingent Consideration for Internalization        
Level 3 Liabilities        
Transfer out of liabilities into equity $ 12,500