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Other Assets (Tables)
3 Months Ended
Mar. 31, 2018
Other Assets [Line Items]  
Schedule of Other Assets
 
March 31, 2018
 
December 31, 2017
Contingent loan repurchase asset
$
347,080

 
$
431,492

Debt service accounts
27,496

 
33,726

Prepaid representation, warranty and indemnification claims - Agency MSR sale
20,173

 
20,173

Prepaid expenses
19,539

 
22,559

Other restricted cash
9,278

 
9,179

Derivatives, at fair value
6,818

 
5,429

Prepaid lender fees, net
6,778

 
9,496

Real estate
3,828

 
3,070

Interest-earning time deposits
3,291

 
4,739

Automotive dealer financing notes, net
2,399

 

Mortgage backed securities, at fair value
1,679

 
1,592

Prepaid income taxes

 
5,621

Other
7,167

 
7,715

 
$
455,526

 
$
554,791

Automotive Dealer Financing Notes [Member]  
Other Assets [Line Items]  
Schedule of Changes in allowance of Automotive Dealer Financing Notes
Changes in the allowance are as follows:
 
Three Months Ended March 31,
2018
 
2017
Beginning balance
$
7,664

 
$
4,371

Provision
247

 
6,145

Net charge-offs and other
(5,144
)
 

Ending balance
$
2,767

 
$
10,516