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Other Assets
3 Months Ended
Mar. 31, 2022
Other Assets [Abstract]  
Other Assets
Note 11 – Other Assets
 March 31, 2022December 31, 2021
Contingent loan repurchase asset$329,049 $403,740 
Prepaid expenses 29,081 21,498 
Hedge margin deposit20,610 2,024 
Prepaid representation, warranty and indemnification claims - Agency MSR sale15,173 15,173 
Intangible assets, net13,732 14,335 
REO11,158 10,075 
Derivatives, at fair value 9,302 21,675 
Prepaid lender fees, net 6,029 7,150 
Deferred tax asset, net3,323 3,329 
Security deposits1,156 1,174 
Other7,671 7,077 
 $446,284 $507,250