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Other Assets - Schedule of Other Assets (Details) - USD ($)
$ in Thousands
Mar. 31, 2022
Dec. 31, 2021
Other Assets [Abstract]    
Contingent loan repurchase asset $ 329,049 $ 403,740
Prepaid expenses 29,081 21,498
Hedge margin deposit 20,610 2,024
Prepaid representation, warranty and indemnification claims - Agency MSR sale 15,173 15,173
Intangible assets, net 13,732 14,335
REO 11,158 10,075
Derivatives, at fair value 9,302 21,675
Prepaid lender fees, net 6,029 7,150
Deferred tax asset, net 3,323 3,329
Security deposits 1,156 1,174
Other 7,671 7,077
Other assets ($9,513 and $21,886 carried at fair value) ($1,066 and $1,530 related to VIEs) $ 446,284 $ 507,250