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Secured Debt Arrangements, Net - Schedule of Assets and Liabilities (Parenthetical) (Details) - USD ($)
$ in Thousands
Dec. 31, 2024
Dec. 31, 2023
Securitization or Asset-Backed Financing Arrangement, Financial Asset for which Transfer is Accounted as Sale [Line Items]    
Allowance reserve $ 30,836 [1],[2] $ 26,482
Commercial Mortgage Portfolio Segment    
Securitization or Asset-Backed Financing Arrangement, Financial Asset for which Transfer is Accounted as Sale [Line Items]    
Allowance reserve 30,167 25,723
VIE    
Securitization or Asset-Backed Financing Arrangement, Financial Asset for which Transfer is Accounted as Sale [Line Items]    
Deferred financing costs 1,100 2,000
VIE | Commercial Mortgage Portfolio Segment    
Securitization or Asset-Backed Financing Arrangement, Financial Asset for which Transfer is Accounted as Sale [Line Items]    
Allowance reserve 10,800 8,300
General CECL allowance on unfunded commitments $ 2,100 $ 2,500
[1] Excludes $5.9 million of General CECL Allowance related to unfunded commitments on commercial mortgage loans, subordinate loans and other lending assets, net in 2024.
[2] Excludes Note receivable, held for sale with an outstanding principal and carrying value of $41.2 million.