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Loans Receivable and Other Lending Investments, net (Other Lending Investments) (Details) - USD ($)
$ in Thousands
9 Months Ended
Sep. 30, 2022
Dec. 31, 2021
Available-for-Sale Securities    
Amortized Cost Basis $ 0  
Estimated Fair Value 0  
Held-to-Maturity Securities    
Amortized Cost Basis 32,938  
Estimated Fair Value 32,938  
Total Other Lending Investments    
Face Value 32,938 $ 123,855
Amortized Cost Basis 32,938 120,693
Net Unrealized Gain (Loss)   4,237
Estimated Fair Value 32,938 124,930
Net Carrying Value 32,938 124,930
Charge-off of held-to-maturity security 25,000  
Municipal debt securities    
Available-for-Sale Securities    
Face Value   23,855
Amortized Cost Basis   23,855
Net Unrealized Gain (Loss)   4,237
Estimated Fair Value   28,092
Net Carrying Value   28,092
Debt securities    
Held-to-Maturity Securities    
Face Value 32,938 100,000
Amortized Cost Basis 32,938 96,838
Estimated Fair Value 32,938 96,838
Net Carrying Value 32,938 $ 96,838
Total Other Lending Investments    
Repayment on held-to-maturity security 40,000  
Charge-off of held-to-maturity security $ 25,000