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Fair Value Measurements - Financial Instruments Carried at Fair Value on Recurring Basis (Details) - USD ($)
$ in Thousands
1 Months Ended 9 Months Ended
Sep. 30, 2022
Sep. 30, 2022
Dec. 31, 2021
Assets:      
Loans, held for sale, at fair value $ 403,609 $ 403,609 $ 552,935
Loans, net, held at fair value 9,582 9,582 10,766
Paycheck Protection Program loans 599 599 3,243
Derivative instruments, at fair value 26,212 26,212 7,022
Residential mortgage servicing rights, at fair value 192,153 192,153 120,142
Investment in unconsolidated joint venture 8,268 8,268 8,894
Liabilities:      
Derivative instruments, at fair value 4,345 4,345 410
Contingent consideration 33,200 $ 33,200 16,400
Mosaic      
Fair value      
Fair value of CERs issued 25,000    
Mosaic | Adjustments      
Fair value      
Fair value of CERs issued (59,348)    
Minimum      
Fair value      
Return of capital assumption used in PWERM   65.00%  
Maximum      
Fair value      
Return of capital assumption used in PWERM   100.00%  
Recurring      
Assets:      
Loans, held for sale, at fair value 403,609 $ 403,609 552,935
Loans, net, held at fair value 9,582 9,582 10,766
Paycheck Protection Program loans 599 599 3,243
Mortgage backed securities, at fair value 37,895 37,895 99,496
Derivative instruments, at fair value 26,212 26,212 7,022
Residential mortgage servicing rights, at fair value 192,153 192,153 120,142
Investment in unconsolidated joint venture 8,268 8,268 8,894
Total assets 678,318 678,318 802,498
Liabilities:      
Derivative instruments, at fair value 4,345 4,345 410
Contingent consideration 33,200 33,200 16,400
Total liabilities 37,545 37,545 16,810
Recurring | Level 2 inputs      
Assets:      
Loans, held for sale, at fair value 215,894 215,894 321,070
Paycheck Protection Program loans 599 599  
Mortgage backed securities, at fair value 37,895 37,895 97,915
Derivative instruments, at fair value 26,212 26,212 4,683
Total assets 280,600 280,600 423,668
Liabilities:      
Derivative instruments, at fair value     410
Total liabilities     410
Recurring | Level 3 inputs      
Assets:      
Loans, held for sale, at fair value 187,715 187,715 231,865
Loans, net, held at fair value 9,582 9,582 10,766
Paycheck Protection Program loans     3,243
Mortgage backed securities, at fair value     1,581
Derivative instruments, at fair value     2,339
Residential mortgage servicing rights, at fair value 192,153 192,153 120,142
Investment in unconsolidated joint venture 8,268 8,268 8,894
Total assets 397,718 397,718 378,830
Liabilities:      
Derivative instruments, at fair value 4,345 4,345  
Contingent consideration 33,200 33,200 16,400
Total liabilities $ 37,545 $ 37,545 $ 16,400