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NOTE 14 MATCH FUNDED LIABILITIES (Detail) - (Table 1) (USD $)
In Thousands, unless otherwise specified
3 Months Ended
Mar. 31, 2013
Dec. 31, 2012
Match funded liabilities $ 2,982,984 $ 2,532,745
Servicer Advance Revolving Trust A
   
Match Funded Liabilities-Fixed Rate 2.23% [1]  
Match Funded Liabilities-Fixed Rate May 31, 2043 [1],[2]  
Match Funded Liabilities-Fixed Rate May 31, 2013 [1],[2]  
Match Funded Liabilities-Fixed Rate    [1],[3]  
Match Funded Liabilities-Fixed Rate    [1] 325,000 [1]
Match Funded Liabilities-Variable Rate May 31, 2043 [1],[2]  
Match Funded Liabilities-Variable Rate    [1],[3]  
Match Funded Liabilities-Variable Rate    [1] 325,000 [1]
Servicer Advance Revolving Trust B
   
Match Funded Liabilities-Fixed Rate May 31, 2043 [1],[2]  
Match Funded Liabilities-Fixed Rate May 31, 2013 [1],[2]  
Match Funded Liabilities-Fixed Rate    [1],[3]  
Match Funded Liabilities-Fixed Rate    [1] 525,000 [1]
Match Funded Liabilities-Variable Rate May 31, 2043 [1],[2]  
Match Funded Liabilities-Variable Rate    [1],[3]  
Match Funded Liabilities-Variable Rate    [1] 525,000 [1]
Servicer Advance Revolving Trust B | Minimum
   
Match Funded Liabilities-Fixed Rate 3.37% [1]  
Servicer Advance Revolving Trust B | Maximum
   
Match Funded Liabilities-Fixed Rate 5.92% [1]  
Servicer Advance Revolving Trust C
   
Match Funded Liabilities-Fixed Rate Sep. 30, 2043 [1],[2]  
Match Funded Liabilities-Fixed Rate Sep. 30, 2013 [1],[2]  
Match Funded Liabilities-Fixed Rate    [1],[3]  
Match Funded Liabilities-Fixed Rate    [1] 250,000 [1]
Match Funded Liabilities-Variable Rate Sep. 30, 2043 [1],[2]  
Match Funded Liabilities-Variable Rate    [1],[3]  
Match Funded Liabilities-Variable Rate    [1] 250,000 [1]
Servicer Advance Revolving Trust C | Minimum
   
Match Funded Liabilities-Fixed Rate 3.27% [1]  
Servicer Advance Revolving Trust C | Maximum
   
Match Funded Liabilities-Fixed Rate 6.90% [1]  
Servicer Advance Revolving Trust D
   
Match Funded Liabilities-Fixed Rate 2.98% [1]  
Match Funded Liabilities-Fixed Rate Mar. 31, 2043 [1],[2]  
Match Funded Liabilities-Fixed Rate Mar. 31, 2013 [1],[2]  
Match Funded Liabilities-Fixed Rate    [1],[3]  
Match Funded Liabilities-Fixed Rate    [1] 248,999 [1]
Match Funded Liabilities-Variable Rate Mar. 31, 2043 [1],[2]  
Match Funded Liabilities-Variable Rate    [1],[3]  
Match Funded Liabilities-Variable Rate    [1] 248,999 [1]
Servicer Advance Revolving Trust E
   
Match Funded Liabilities-Fixed Rate Mar. 31, 2044 [1],[2]  
Match Funded Liabilities-Fixed Rate Mar. 31, 2014 [1],[2]  
Match Funded Liabilities-Fixed Rate    [1],[3]  
Match Funded Liabilities-Fixed Rate    [1] 299,278 [1]
Match Funded Liabilities-Variable Rate Mar. 31, 2044 [1],[2]  
Match Funded Liabilities-Variable Rate    [1],[3]  
Match Funded Liabilities-Variable Rate    [1] 299,278 [1]
Servicer Advance Revolving Trust E | Minimum
   
Match Funded Liabilities-Fixed Rate 3.72% [1]  
Servicer Advance Revolving Trust E | Maximum
   
Match Funded Liabilities-Fixed Rate 7.04% [1]  
Total Fixed Rate
   
Match Funded Liabilities-Fixed Rate    [3]  
Match Funded Liabilities-Fixed Rate    1,648,277
Match Funded Liabilities-Variable Rate    [3]  
Match Funded Liabilities-Variable Rate    1,648,277
Advance Receivable Backed Notes Series A
   
Match Funded Liabilities-Fixed Rate Apr. 30, 2015 [2],[4]  
Match Funded Liabilities-Fixed Rate Apr. 30, 2014 [2],[4]  
Match Funded Liabilities-Fixed Rate 125,003 [3],[4]  
Match Funded Liabilities-Fixed Rate 174,997 [4] 205,016 [4]
Match Funded Liabilities-Variable Rate 1ML + 285 bps [4]  
Match Funded Liabilities-Variable Rate Apr. 30, 2015 [2],[4]  
Match Funded Liabilities-Variable Rate 125,003 [3],[4]  
Match Funded Liabilities-Variable Rate 174,997 [4] 205,016 [4]
Advance Receivable Backed Notes Series B
   
Match Funded Liabilities-Fixed Rate Dec. 31, 2043 [2],[5]  
Match Funded Liabilities-Fixed Rate Dec. 31, 2013 [2],[5]  
Match Funded Liabilities-Fixed Rate 258,172 [3],[5]  
Match Funded Liabilities-Fixed Rate 191,828 [5] 232,712 [5]
Match Funded Liabilities-Variable Rate CP rate + 225 or 335 bps [5]  
Match Funded Liabilities-Variable Rate Dec. 31, 2043 [2],[5]  
Match Funded Liabilities-Variable Rate 258,172 [3],[5]  
Match Funded Liabilities-Variable Rate 191,828 [5] 232,712 [5]
Advance Receivable Backed Notes Series C
   
Match Funded Liabilities-Fixed Rate Jun. 30, 2016 [2]  
Match Funded Liabilities-Fixed Rate Jun. 30, 2014 [2]  
Match Funded Liabilities-Fixed Rate 21,391 [3]  
Match Funded Liabilities-Fixed Rate 178,609 94,095
Match Funded Liabilities-Variable Rate 1ML + 250 bps  
Match Funded Liabilities-Variable Rate Jun. 30, 2016 [2]  
Match Funded Liabilities-Variable Rate 21,391 [3]  
Match Funded Liabilities-Variable Rate 178,609 94,095
Advance Receivable Backed Notes Series D
   
Match Funded Liabilities-Fixed Rate Dec. 31, 2015 [2]  
Match Funded Liabilities-Fixed Rate Dec. 31, 2014 [2]  
Match Funded Liabilities-Fixed Rate 2,392 [3]  
Match Funded Liabilities-Fixed Rate 47,608 49,138
Match Funded Liabilities-Variable Rate 1ML + 300 bps  
Match Funded Liabilities-Variable Rate Dec. 31, 2015 [2]  
Match Funded Liabilities-Variable Rate 2,392 [3]  
Match Funded Liabilities-Variable Rate 47,608 49,138
Servicer Advance Revolving Trust F
   
Match Funded Liabilities-Fixed Rate May 31, 2043 [1],[2]  
Match Funded Liabilities-Fixed Rate May 31, 2013 [1],[2]  
Match Funded Liabilities-Fixed Rate    [1],[3]  
Match Funded Liabilities-Fixed Rate    [1] 204,633 [1]
Match Funded Liabilities-Variable Rate 1ML + 300 bps [1]  
Match Funded Liabilities-Variable Rate May 31, 2043 [1],[2]  
Match Funded Liabilities-Variable Rate    [1],[3]  
Match Funded Liabilities-Variable Rate    [1] 204,633 [1]
Servicer Advance Revolving Trust G
   
Match Funded Liabilities-Fixed Rate Sep. 30, 2043 [1],[2]  
Match Funded Liabilities-Fixed Rate Sep. 30, 2013 [1],[2]  
Match Funded Liabilities-Fixed Rate    [1],[3]  
Match Funded Liabilities-Fixed Rate    [1] 22,003 [1]
Match Funded Liabilities-Variable Rate 1ML + 315 bps [1]  
Match Funded Liabilities-Variable Rate Sep. 30, 2043 [1],[2]  
Match Funded Liabilities-Variable Rate    [1],[3]  
Match Funded Liabilities-Variable Rate    [1] 22,003 [1]
Servicer Advance Revolving Trust H
   
Match Funded Liabilities-Fixed Rate Mar. 31, 2044 [1],[2]  
Match Funded Liabilities-Fixed Rate Mar. 31, 2014 [1],[2]  
Match Funded Liabilities-Fixed Rate    [1],[3]  
Match Funded Liabilities-Fixed Rate    [1] 40,626 [1]
Match Funded Liabilities-Variable Rate 1ML + 300 bps - 675 bps [1]  
Match Funded Liabilities-Variable Rate Mar. 31, 2044 [1],[2]  
Match Funded Liabilities-Variable Rate    [1],[3]  
Match Funded Liabilities-Variable Rate    [1] 40,626 [1]
Homeward Agency Advance Funding Trust 2012-1
   
Match Funded Liabilities-Fixed Rate Sep. 30, 2013 [2]  
Match Funded Liabilities-Fixed Rate Sep. 30, 2013 [2]  
Match Funded Liabilities-Fixed Rate 4,665 [3]  
Match Funded Liabilities-Fixed Rate 20,335 16,094
Match Funded Liabilities-Variable Rate 1ML + 300 bps  
Match Funded Liabilities-Variable Rate Sep. 30, 2013 [2]  
Match Funded Liabilities-Variable Rate 4,665 [3]  
Match Funded Liabilities-Variable Rate 20,335 16,094
Homeward DSF Advance Revolving Trust 2012-1
   
Match Funded Liabilities-Fixed Rate Feb. 28, 2013 [1],[2]  
Match Funded Liabilities-Fixed Rate Feb. 28, 2013 [1],[2]  
Match Funded Liabilities-Fixed Rate    [1],[3]  
Match Funded Liabilities-Fixed Rate    [1] 20,151 [1]
Match Funded Liabilities-Variable Rate 1ML + 450 bps [1]  
Match Funded Liabilities-Variable Rate Feb. 28, 2013 [1],[2]  
Match Funded Liabilities-Variable Rate    [1],[3]  
Match Funded Liabilities-Variable Rate    [1] 20,151 [1]
Total Variable Rate
   
Match Funded Liabilities-Fixed Rate 992,016 [3]  
Match Funded Liabilities-Fixed Rate 2,982,984 884,468
Match Funded Liabilities-Variable Rate 992,016 [3]  
Match Funded Liabilities-Variable Rate 2,982,984 884,468
Match Funded Liabilities
   
Match Funded Liabilities-Fixed Rate 992,016 [3]  
Match Funded Liabilities-Fixed Rate 2,982,984 2,532,745
Match Funded Liabilities-Variable Rate 992,016 [3]  
Match Funded Liabilities-Variable Rate 2,982,984 2,532,745
Homeward Residential Bridge Loan Trust - 2013 Series-Bridge-VF1 and VF2
   
Match Funded Liabilities-Fixed Rate Aug. 31, 2043 [1],[2]  
Match Funded Liabilities-Fixed Rate Aug. 31, 2013 [1],[2]  
Match Funded Liabilities-Fixed Rate 246,752 [1],[3]  
Match Funded Liabilities-Fixed Rate 1,153,248 [1]    [1]
Match Funded Liabilities-Variable Rate 1ML + 150 bps [1]  
Match Funded Liabilities-Variable Rate Aug. 31, 2043 [1],[2]  
Match Funded Liabilities-Variable Rate 246,752 [1],[3]  
Match Funded Liabilities-Variable Rate 1,153,248 [1]    [1]
Ocwen Servicer Advance Receivables Trust - Series 2013-VF1 Class A, B, C and D Notes
   
Match Funded Liabilities-Fixed Rate Feb. 29, 2044 [2]  
Match Funded Liabilities-Fixed Rate Feb. 28, 2014 [2]  
Match Funded Liabilities-Fixed Rate 318,081 [3]  
Match Funded Liabilities-Fixed Rate 881,919   
Match Funded Liabilities-Variable Rate 1ML + 150 - 525 bps  
Match Funded Liabilities-Variable Rate Feb. 29, 2044 [2]  
Match Funded Liabilities-Variable Rate 318,081 [3]  
Match Funded Liabilities-Variable Rate 881,919   
Ocwen Servicer Advance Receivables Trust II - Series 2013-VF1 Class A, B, C and D Notes
   
Match Funded Liabilities-Fixed Rate Feb. 29, 2044 [2]  
Match Funded Liabilities-Fixed Rate Feb. 28, 2014 [2]  
Match Funded Liabilities-Fixed Rate 15,560 [3]  
Match Funded Liabilities-Fixed Rate 334,440   
Match Funded Liabilities-Variable Rate 1ML + 287.5 bps  
Match Funded Liabilities-Variable Rate Feb. 29, 2044 [2]  
Match Funded Liabilities-Variable Rate 15,560 [3]  
Match Funded Liabilities-Variable Rate $ 334,440   
[1] The 2011-Servicing Advance Revolving Trust 1, 2012-Servicing Advance Revolving Trust 2, 2012-Servicing Advance Revolving Trust 3 and 2012-Homeward DSF Advance Revolving Trust 2012-1 facilities were repaid in February 2013 from the proceeds of a new $1.4 billion bridge facility which has an amortization date of August 14, 2013.
[2] The amortization date of our facilities is the date on which the revolving period ends under each advance facility note and repayment of the outstanding balance must begin if the note is not renewed or extended. The maturity date is the date on which all outstanding balances must be repaid. In two advance facilities, there are multiple notes outstanding. For each note, after the amortization date, all collections that represent the repayment of advances pledged to the facility must be applied to reduce the balance of the note outstanding, and any new advances are ineligible to be financed.
[3] Borrowing capacity is available to us provided that we have additional eligible collateral to pledge. Collateral may only be pledged to one facility. At March 31, 2013, none of the available borrowing capacity could be used because we had borrowed the maximum amount against the pledged collateral.
[4] The maximum borrowing capacity under this facility was reduced from $650 million to $300 million on December 26, 2012.
[5] The maximum borrowing capacity under this facility was increased from $250 million to $450 million on December 26, 2012.