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Fair Value - Schedule of Carrying Amounts and Estimated Fair Values of Financial Instruments and Nonfinancial Assets Measured at Fair Value on a Recurring or Non-recurring basis or Disclosed, but not Carried, at Fair Value (Details) - USD ($)
$ in Thousands
Dec. 31, 2017
Dec. 31, 2016
Dec. 31, 2015
Dec. 31, 2014
Financial assets:        
Loans held for sale, at fair value $ 214,262 [1] $ 284,632 [1] $ 309,054 [1] $ 401,120
Financial liabilities:        
Match funded liabilities 998,618 1,280,997    
Financing liabilities:        
HMBS-related borrowings, at fair value 4,601,556 3,433,781    
Other secured borrowings:        
Total Other secured borrowings 545,850 678,543    
Senior notes:        
Total Senior notes 347,338 346,789    
Mortgage servicing rights:        
Mortgage servicing rights, at fair value 671,962 679,256 $ 761,190 $ 93,901
Total Mortgage servicing rights 1,008,844 1,042,978    
Carrying Value [Member]        
Financial assets:        
Total Loans held for sale 238,358 314,006    
Financing liabilities:        
Total Financing liabilities 5,195,074 4,012,809    
Other secured borrowings:        
Total Other secured borrowings 545,850 678,543    
Senior notes:        
Total Senior notes 347,338 346,789    
Mortgage servicing rights:        
Total Mortgage servicing rights 1,008,844 1,042,978    
Fair Value [Member]        
Financial assets:        
Total Loans held for sale 238,358 314,006    
Financing liabilities:        
Total Financing liabilities 5,175,049 3,993,293    
Other secured borrowings:        
Total Other secured borrowings 555,523 682,703    
Senior notes:        
Total Senior notes 358,422 355,303    
Mortgage servicing rights:        
Total Mortgage servicing rights 1,090,707 1,147,167    
Level 2 [Member] | Carrying Value [Member]        
Financial assets:        
Loans held for sale, at fair value [2] 214,262 284,632    
Other secured borrowings:        
Senior secured term loan [3],[4] 290,068 323,514    
Senior notes:        
Senior unsecured notes [3],[4] 3,122 3,094    
Senior secured notes [3],[4] 344,216 343,695    
Derivative financial instrument assets (liabilities), at fair value        
Interest rate lock commitments [2] 3,283 6,507    
Level 2 [Member] | Fair Value [Member]        
Financial assets:        
Loans held for sale, at fair value [2] 214,262 284,632    
Other secured borrowings:        
Senior secured term loan [3],[4] 299,741 327,674    
Senior notes:        
Senior unsecured notes [3],[4] 2,872 3,048    
Senior secured notes [3],[4] 355,550 352,255    
Derivative financial instrument assets (liabilities), at fair value        
Interest rate lock commitments [2] 3,283 6,507    
Level 3 [Member] | Carrying Value [Member]        
Financial assets:        
Loans held for sale, at lower of cost or fair value [5] 24,096 29,374    
Loans held for investment [2] 4,715,831 3,565,716    
Advances (including match funded) [3] 1,356,393 1,709,846    
Automotive dealer financing notes (including match funded) [3] 32,757 33,224    
Receivables, net [3] 199,529 265,720    
Mortgage-backed securities, at fair value [2] 1,592 8,342    
Financial liabilities:        
Match funded liabilities [3]   1,280,997    
Financing liabilities:        
HMBS-related borrowings, at fair value [2] 4,601,556 3,433,781    
Financing liability - MSRs pledged, at fair value [2] 508,291 477,707    
Other [3] 85,227 101,321    
Other secured borrowings:        
Other [3] 255,782 355,029    
Derivative financial instrument assets (liabilities), at fair value        
Interest rate caps [2] 2,056 1,836    
Mortgage servicing rights:        
Mortgage servicing rights, at fair value [2] 671,962 679,256    
Mortgage servicing rights, at amortized cost [3],[6] 336,882 363,722    
Level 3 [Member] | Fair Value [Member]        
Financial assets:        
Loans held for sale, at lower of cost or fair value [5] 24,096 29,374    
Loans held for investment [2] 4,715,831 3,565,716    
Advances (including match funded) [3] 1,356,393 1,709,846    
Automotive dealer financing notes (including match funded) [3] 32,590 33,147    
Receivables, net [3] 199,529 265,720    
Mortgage-backed securities, at fair value [2] 1,592 8,342    
Financial liabilities:        
Match funded liabilities [3] 992,698 1,275,059    
Financing liabilities:        
HMBS-related borrowings, at fair value [2] 4,601,556 3,433,781    
Financing liability - MSRs pledged, at fair value [2] 508,291 477,707    
Other [3] 65,202 81,805    
Other secured borrowings:        
Other [3] 255,782 355,029    
Derivative financial instrument assets (liabilities), at fair value        
Interest rate caps [2] 2,056 1,836    
Mortgage servicing rights:        
Mortgage servicing rights, at fair value [2] 671,962 679,256    
Mortgage servicing rights, at amortized cost [3],[6] 418,745 467,911    
Level 1 [Member] | Carrying Value [Member]        
Financial assets:        
U.S. Treasury notes [2] 1,567 2,078    
Derivative financial instrument assets (liabilities), at fair value        
Forward mortgage-backed securities trades [2] (545) (614)    
Level 1 [Member] | Fair Value [Member]        
Financial assets:        
U.S. Treasury notes [2] 1,567 2,078    
Derivative financial instrument assets (liabilities), at fair value        
Forward mortgage-backed securities trades [2] $ (545) $ (614)    
[1] At December 31, 2017, 2016 and 2015, the balances include $5.0 million, $4.9 million and $11.9 million, respectively, of fair value adjustments.
[2] Measured at fair value on a recurring basis.
[3] Disclosed, but not carried, at fair value.
[4] The carrying values are net of unamortized debt issuance costs and discount. See Note 12 — Borrowings for additional information.
[5] Measured at fair value on a non-recurring basis.
[6] Balances include the impaired government-insured stratum of amortization method MSRs, which is measured at fair value on a non-recurring basis and reported net of the valuation allowance. Before applying the valuation allowance of $24.8 million, the carrying value of the impaired stratum at December 31, 2017 was $158.0 million. At December 31, 2016, the carrying value of this stratum was $172.9 million before applying the valuation allowance of $28.2 million.