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NOTE 5 FAIR VALUE OF FINANCIAL INSTRUMENTS (Detail) - (Table 2) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2013
Jun. 30, 2012
Jun. 30, 2013
Jun. 30, 2012
Fair Value Of Financial Instrument [Line Items]        
Beginning balance $ 65,899 $ (12,806) $ 74,545 $ (16,676)
Purchases, issuances, sales and settlements:        
Purchases 72   72  
Issuances (2,909)   (2,909)  
Sales 24,156   24,156  
Settlements (1,379) 65 (1,070) 2,422
Total 19,940 65 20,249 2,422
Total realized and unrealized gains and (losses)        
Included in Other, net 19,947 [1] 1,843 [1] 17,916 [1] 5,248 [1]
Included in Other comprehensive income (loss) (5,439) [1] (4,007) [1] (12,363) [1] (5,899) [1]
Total 14,508 [1] (2,164) [1] 5,553 [1] (651) [1]
Transfers in and / or out of Level 3            
Ending balance 100,347 (14,905) 100,347 (14,905)
Loans - restricted for securitization investors
       
Fair Value Of Financial Instrument [Line Items]        
Beginning balance            
Purchases, issuances, sales and settlements:        
Purchases 10,251   10,251  
Issuances 63,029   63,029  
Sales          
Settlements (871)    (871)   
Total 72,409    72,409   
Total realized and unrealized gains and (losses)        
Included in Other, net 4,240 [1]    [1] 4,240 [1]    [1]
Included in Other comprehensive income (loss)    [1]    [1]    [1]    [1]
Total 4,240 [1]    [1] 4,240 [1]    [1]
Transfers in and / or out of Level 3            
Ending balance 76,649    76,649   
Secured borrowings - owed to securitization investors
       
Fair Value Of Financial Instrument [Line Items]        
Beginning balance            
Purchases, issuances, sales and settlements:        
Purchases (10,179)   (10,179)  
Issuances (65,938)   (65,938)  
Sales          
Settlements 867    867   
Total (75,250)    (75,250)   
Total realized and unrealized gains and (losses)        
Included in Other, net 1,609 [1]    [1] 1,609 [1]    [1]
Included in Other comprehensive income (loss)    [1]    [1]    [1]    [1]
Total 1,609 [1]    [1] 1,609 [1]    [1]
Transfers in and / or out of Level 3            
Ending balance (73,641)    (73,641)   
Derivative Financial Instruments
       
Fair Value Of Financial Instrument [Line Items]        
Beginning balance (18,635) (12,806) (10,668) (16,676)
Purchases, issuances, sales and settlements:        
Purchases          
Issuances          
Sales 24,156   24,156  
Settlements (1,375) 65 (1,066) 2,422
Total 22,781 65 23,090 2,422
Total realized and unrealized gains and (losses)        
Included in Other, net 1,469 [1] 1,843 [1] 117 [1] 5,248 [1]
Included in Other comprehensive income (loss) (5,439) [1] (4,007) [1] (12,363) [1] (5,899) [1]
Total (3,970) [1] (2,164) [1] (12,246) [1] (651) [1]
Transfers in and / or out of Level 3            
Ending balance 176 (14,905) 176 (14,905)
MSRs at Fair Value
       
Fair Value Of Financial Instrument [Line Items]        
Beginning balance 84,534    85,213   
Purchases, issuances, sales and settlements:        
Purchases          
Issuances          
Sales          
Settlements            
Total            
Total realized and unrealized gains and (losses)        
Included in Other, net 12,629 [1]    [1] 11,950 [1]    [1]
Included in Other comprehensive income (loss)    [1]    [1]    [1]    [1]
Total 12,629 [1]    [1] 11,950 [1]    [1]
Transfers in and / or out of Level 3            
Ending balance $ 97,163    $ 97,163   
[1] Total net gains (losses) attributable to derivative financial instruments held at June 30, 2013 were $0.1 million for the three months ended June 30, 2013. For derivative financial instruments held at June 30, 2012, total net gains (losses) were $(2.2) million and $(6.4) million for the three and six months ended June 30, 2012, respectively.