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Fair Value of Financial Instruments - Changes in Level 3 Assets and Liabilities Measured at Fair Value on Recurring Basis (Details)
$ in Thousands
9 Months Ended
Sep. 30, 2017
USD ($)
Asset-backed securities issued  
Liabilities  
Beginning balance $ 773,462
Acquisitions 286,898
Sales 0
Principal paydowns (146,358)
Gains (losses) in net income, net 30,286
Unrealized gains in OCI, net 0
Other settlements, net 0
Ending balance 944,288
Residential Loans  
Assets  
Beginning balance 3,886,845
Acquisitions 3,791,471
Sales (3,147,707)
Principal paydowns (405,888)
Gains (losses) in net income, net 62,290
Unrealized losses in OCI, net 0
Other settlements, net (3,178)
Ending balance 4,183,833
Trading securities retained, at fair value  
Assets  
Beginning balance 445,687
Acquisitions 444,073
Sales (87,092)
Principal paydowns (13,219)
Gains (losses) in net income, net 30,685
Unrealized losses in OCI, net 0
Other settlements, net 0
Ending balance 820,134
AFS Securities  
Assets  
Beginning balance 572,752
Acquisitions 31,654
Sales (60,801)
Principal paydowns (42,325)
Gains (losses) in net income, net 24,011
Unrealized losses in OCI, net 10,847
Other settlements, net 0
Ending balance 536,138
MSRs  
Assets  
Beginning balance 118,526
Acquisitions 7,957
Sales (52,966)
Principal paydowns 0
Gains (losses) in net income, net (10,589)
Unrealized losses in OCI, net 0
Other settlements, net 0
Ending balance 62,928
Guarantee Asset  
Assets  
Beginning balance 4,092
Acquisitions 0
Sales 0
Principal paydowns 0
Gains (losses) in net income, net (1,043)
Unrealized losses in OCI, net 0
Other settlements, net 0
Ending balance 3,049
Derivatives  
Assets  
Beginning balance (486)
Acquisitions 0
Sales 0
Principal paydowns 0
Gains (losses) in net income, net 33,686
Unrealized losses in OCI, net 0
Other settlements, net (31,079)
Ending balance $ 2,121