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NOTE 5 FAIR VALUE OF FINANCIAL INSTRUMENTS (Detail) - (Table 2) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Sep. 30, 2013
Sep. 30, 2012
Sep. 30, 2013
Sep. 30, 2012
Fair Value Of Financial Instrument [Line Items]        
Beginning balance $ 100,347 $ (14,905) $ 74,545 $ (16,676)
Purchases, issuances, sales and settlements:        
Purchases      72  
Issuances 4,338   1,429  
Sales      24,156  
Settlements (448) 102 (1,518) 2,524
Total 3,890 102 24,139 2,524
Total realized and unrealized gains and (losses)        
Included in Other, net (722) [1] 1,397 [1] 17,194 [1] 6,645 [1]
Included in Other comprehensive income (loss)    [1] (2,688) [1] (12,363) [1] (8,587) [1]
Total (722) [1] (1,291) [1] 4,831 [1] (1,942) [1]
Transfers in and / or out of Level 3            
Ending balance 103,515 (16,094) 103,515 (16,094)
Loans - restricted for securitization investors
       
Fair Value Of Financial Instrument [Line Items]        
Beginning balance 76,649         
Purchases, issuances, sales and settlements:        
Purchases      10,251  
Issuances 211,052   274,081  
Sales          
Settlements (1,293)    (2,164)   
Total 209,759    282,168   
Total realized and unrealized gains and (losses)        
Included in Other, net 4,445 [1]    [1] 8,685 [1]    [1]
Included in Other comprehensive income (loss)    [1]    [1]    [1]    [1]
Total 4,445 [1]    [1] 8,685 [1]    [1]
Transfers in and / or out of Level 3            
Ending balance 290,853    290,853   
Secured borrowings - owed to securitization investors
       
Fair Value Of Financial Instrument [Line Items]        
Beginning balance (73,641)         
Purchases, issuances, sales and settlements:        
Purchases      (10,179)  
Issuances (206,714)   (272,652)  
Sales          
Settlements 1,021    1,888   
Total (205,693)    (280,943)   
Total realized and unrealized gains and (losses)        
Included in Other, net (4,942) [1]    [1] (3,333) [1]    [1]
Included in Other comprehensive income (loss)    [1]    [1]    [1]    [1]
Total (4,942) [1]    [1] (3,333) [1]    [1]
Transfers in and / or out of Level 3            
Ending balance (284,276)    (284,276)   
Derivative Financial Instruments
       
Fair Value Of Financial Instrument [Line Items]        
Beginning balance 176 (14,905) (10,668) (16,676)
Purchases, issuances, sales and settlements:        
Purchases          
Issuances          
Sales      24,156  
Settlements (176) 102 (1,242) 2,524
Total (176) 102 22,914 2,524
Total realized and unrealized gains and (losses)        
Included in Other, net    [1] 1,397 [1] 117 [1] 6,645 [1]
Included in Other comprehensive income (loss)    [1] (2,688) [1] (12,363) [1] (8,587) [1]
Total    [1] (1,291) [1] (12,246) [1] (1,942) [1]
Transfers in and / or out of Level 3            
Ending balance    (16,094)    (16,094)
MSRs at Fair Value
       
Fair Value Of Financial Instrument [Line Items]        
Beginning balance 97,163    85,213   
Purchases, issuances, sales and settlements:        
Purchases          
Issuances          
Sales          
Settlements            
Total            
Total realized and unrealized gains and (losses)        
Included in Other, net (225) [1]    [1] 11,725 [1]    [1]
Included in Other comprehensive income (loss)    [1]    [1]    [1]    [1]
Total (225) [1]    [1] 11,725 [1]    [1]
Transfers in and / or out of Level 3            
Ending balance $ 96,938    $ 96,938   
[1] For derivative financial instruments held at September 30, 2012, total net losses were $1.3 million and $7.7 million for the three and nine months ended September 30, 2012, respectively.