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Fair Value Measurements - Schedule of Information on Assets and Liabilities Measured and Recorded at Fair Value (Details) - USD ($)
$ in Thousands
Mar. 31, 2026
Dec. 31, 2025
Mar. 31, 2025
Dec. 31, 2024
Assets:        
Loans held for investment, at fair value $ 5,154,508 $ 4,729,869    
Mortgage servicing rights 12,645 12,963 $ 12,631 $ 13,712
Derivative assets 464 66    
Assets 5,309,971 4,872,017    
Real estate owned, net 131,849 118,289    
Liabilities:        
Securitized debt, at fair value 4,426,240 4,236,737    
Liabilities 4,426,240 4,236,737    
Recurring Fair Value Measurements        
Assets:        
Loans held for investment, at fair value 5,154,508 4,729,869    
Mortgage servicing rights 12,645 12,963    
Derivative assets 464 66    
Assets 5,167,617 4,742,898    
Liabilities:        
Securitized debt, at fair value 4,426,240 4,236,737    
Liabilities 4,426,240 4,236,737    
Nonrecurring Fair Value Measurements        
Assets:        
Assets 142,354 129,119    
Real estate owned, net 131,849 118,289    
Individually evaluated/Impaired loans requiring specific allowance, net 10,505 10,830    
Level 2        
Assets:        
Assets 464 66    
Liabilities:        
Liabilities 4,426,240 4,236,737    
Level 2 | Recurring Fair Value Measurements        
Assets:        
Derivative assets 464 66    
Assets 464 66    
Liabilities:        
Securitized debt, at fair value 4,426,240 4,236,737    
Liabilities 4,426,240 4,236,737    
Level 3        
Assets:        
Assets 5,309,507 4,871,951    
Level 3 | Recurring Fair Value Measurements        
Assets:        
Loans held for investment, at fair value 5,154,508 4,729,869    
Mortgage servicing rights 12,645 12,963    
Assets 5,167,153 4,742,832    
Level 3 | Nonrecurring Fair Value Measurements        
Assets:        
Assets 142,354 129,119    
Real estate owned, net 131,849 118,289    
Individually evaluated/Impaired loans requiring specific allowance, net $ 10,505 $ 10,830