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Securitizations and Variable Interest Entities (Tables)
3 Months Ended
Mar. 31, 2019
Transfers and Servicing [Abstract]  
Schedule of Cash Flows Related to Transfers Accounted for as Sales
The following table presents a summary of cash flows received from and paid to securitization trusts related to transfers accounted for as sales that were outstanding:
 
Three Months Ended March 31,
2019
 
2018
Proceeds received from securitizations
$
242,960

 
$
377,499

Servicing fees collected
15,918

 
10,348

Purchases of previously transferred assets, net of claims reimbursed
(904
)
 
(2,170
)
 
$
257,974

 
$
385,677

Schedule of Assets That Relate to Continuing Involvement with Transferred Financial Assets with Servicing Rights and Maximum Exposure to Loss Including the Unpaid Principal Balance
The following table presents the carrying amounts of our assets that relate to our continuing involvement with forward loans that we have transferred with servicing rights retained as well as an estimate of our maximum exposure to loss including the UPB of the transferred loans:
 
March 31, 2019
 
December 31, 2018
Carrying value of assets
 
 
 
MSRs, at fair value
$
123,448

 
$
132,774

Advances and match funded advances
150,136

 
138,679

UPB of loans transferred (1)
15,147,575

 
15,600,971

Maximum exposure to loss
$
15,421,159

 
$
15,872,424

Schedule of Carrying Value of Assets and Liabilities of Consolidated Mortgage-backed Securitization Trusts
The table below presents the carrying value and classification of the assets and liabilities of two consolidated mortgage-backed securitization trusts included in our unaudited consolidated balance sheets as a result of residual securities issued by the trust that we acquired during 2018.
 
March 31, 2019
 
December 31, 2018
Loans held for investment, at fair value - Restricted for securitization investors
$
26,237

 
$
26,520

Financing liability - Owed to securitization investors, at fair value
24,562

 
24,815