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Fair Value - Schedule of Fair Value Assets and Liabilities (Details) - USD ($)
$ in Millions
Jun. 30, 2023
Mar. 31, 2023
Dec. 31, 2022
Jun. 30, 2022
Mar. 31, 2022
Dec. 31, 2021
Loans held for sale            
Loans held for sale, at fair value $ 1,352.9 $ 845.2 $ 617.8 $ 683.1 $ 716.0 $ 917.5
Total Loans held for sale 1,352.9     683.1    
Financial liabilities            
Advance match funded liabilities 430.4   513.7      
Financing liabilities, at fair value            
HMBS-related borrowings 7,486.4 7,470.6 7,326.8 7,155.3 7,118.8 6,885.0
Other financing liabilities, at fair value 1,274.0   1,137.4      
Other secured borrowings:            
Mortgage loan financing facilities, net ($238.3 and $— related to VIEs) 1,515.0   702.7      
MSR financing facilities 864.8   953.8      
Senior notes:            
Total Senior notes 605.0   599.6      
Derivative financial instrument assets (liabilities), net            
Derivative liabilities 13.2   15.7      
Mortgage servicing rights            
MSRs 2,675.7 2,580.6 2,665.2 2,485.7 2,323.3 2,250.1
Carrying Value            
Loans held for sale            
Total Loans held for sale 1,356.6   622.7      
Loans held for investment, at fair value 7,680.7   7,510.8      
Financing liabilities, at fair value            
Other financing liabilities, at fair value 1,274.0   1,137.4      
Senior notes:            
Total Senior notes 605.0   599.6      
Fair Value            
Loans held for sale            
Total Loans held for sale 1,356.6   622.7      
Loans held for investment, at fair value 7,680.7   7,510.8      
Financing liabilities, at fair value            
Other financing liabilities, at fair value 1,274.0   1,137.4      
Senior notes:            
Total Senior notes 561.6   555.2      
ESS Financing Liability            
Financing liabilities, at fair value            
Other financing liabilities, at fair value 258.5   199.0      
Level 3 | Carrying Value            
Loans held for sale            
Loans held for sale, at fair value 1,352.9   617.8      
Loans held for sale, at lower of cost or fair value 3.7   4.9      
Loans held for investment, at fair value 7,674.8   7,504.1      
Advances, net 602.7   718.9      
Receivables, net 188.6   180.8      
Financial liabilities            
Advance match funded liabilities 430.4   513.7      
Financing liabilities, at fair value            
HMBS-related borrowings 7,486.4   7,326.8      
Other secured borrowings:            
Mortgage loan financing facilities, net ($238.3 and $— related to VIEs) 1,515.0   702.7      
MSR financing facilities 864.8   953.8      
Mortgage servicing rights            
MSRs 2,675.7   2,665.2      
Level 3 | Carrying Value | Second Lien            
Senior notes:            
Senior secured notes 234.9   230.2      
Level 3 | Fair Value            
Loans held for sale            
Loans held for sale, at fair value 1,352.9   617.8      
Loans held for sale, at lower of cost or fair value 3.7   4.9      
Loans held for investment, at fair value 7,674.8   7,504.1      
Advances, net 602.7   718.9      
Receivables, net 188.6   180.8      
Financial liabilities            
Advance match funded liabilities 430.4   513.7      
Financing liabilities, at fair value            
HMBS-related borrowings 7,486.4   7,326.8      
Other secured borrowings:            
Mortgage loan financing facilities, net ($238.3 and $— related to VIEs) 1,515.0   702.7      
MSR financing facilities 845.3   932.1      
Mortgage servicing rights            
MSRs 2,675.7   2,665.2      
Level 3 | Fair Value | Second Lien            
Senior notes:            
Senior secured notes 226.5   223.9      
Level 3 | Interest Rate Contract | Carrying Value            
Derivative financial instrument assets (liabilities), net            
Interest rate lock commitments 1.4   (0.7)      
Level 3 | Interest Rate Contract | Fair Value            
Derivative financial instrument assets (liabilities), net            
Interest rate lock commitments 1.4   (0.7)      
Level 3 | Other | Carrying Value            
Derivative financial instrument assets (liabilities), net            
Other (a) (0.1)   (0.1)      
Level 3 | Other | Fair Value            
Derivative financial instrument assets (liabilities), net            
Other (a) (0.1)   (0.1)      
Level 3 | ESS Financing Liability | Carrying Value            
Financing liabilities, at fair value            
Other financing liabilities, at fair value 1,009.5   931.7      
Level 3 | ESS Financing Liability | Fair Value            
Financing liabilities, at fair value            
Other financing liabilities, at fair value 1,009.5   931.7      
Level 3 | ESS Financing Liability            
Mortgage servicing rights            
Loans related to Ginnie Mae guaranteed securitizations (258.5)          
Level 3 | ESS Financing Liability | Carrying Value            
Financing liabilities, at fair value            
Other financing liabilities, at fair value 258.5   199.0      
Level 3 | ESS Financing Liability | Fair Value            
Financing liabilities, at fair value            
Other financing liabilities, at fair value 258.5   199.0      
Level 3 | Financing Liability - Owed to Securitization Investors            
Mortgage servicing rights            
Loans related to Ginnie Mae guaranteed securitizations (6.0) (6.2) (6.7) (7.3) (7.7) (7.9)
Level 3 | Financing Liability - Owed to Securitization Investors | Carrying Value            
Financing liabilities, at fair value            
Other financing liabilities, at fair value 6.0   6.7      
Level 3 | Financing Liability - Owed to Securitization Investors | Fair Value            
Financing liabilities, at fair value            
Other financing liabilities, at fair value 6.0   6.7      
Level 3 | Loans Held for Sale - Fair Value            
Mortgage servicing rights            
Loans related to Ginnie Mae guaranteed securitizations 197.4 $ 23.3 32.1 $ 41.4 $ 230.4 $ 220.9
Level 3 | Loans Held for Sale - Fair Value | Ginnie Mae Loans            
Mortgage servicing rights            
Loans related to Ginnie Mae guaranteed securitizations 197.4          
Level 3 | Loans Held for Investment Securitization Trusts | Carrying Value            
Loans held for sale            
Loans held for investment, at fair value 6.0   6.7      
Level 3 | Loans Held for Investment Securitization Trusts | Fair Value            
Loans held for sale            
Loans held for investment, at fair value 6.0   6.7      
Level 2 | Carrying Value            
Loans held for sale            
Loans held for sale, at fair value 1,352.9   617.8      
Senior notes:            
Senior secured notes 370.1   369.4      
Level 2 | Fair Value            
Loans held for sale            
Loans held for sale, at fair value 1,352.9   617.8      
Senior notes:            
Senior secured notes 335.1   331.4      
Level 2 | Forward LHFS Trades | Carrying Value            
Derivative financial instrument assets (liabilities), net            
Derivative asset 0.0   0.5      
Level 2 | Forward LHFS Trades | Fair Value            
Derivative financial instrument assets (liabilities), net            
Derivative asset 0.0   0.5      
Level 2 | Option Contracts | Carrying Value            
Derivative financial instrument assets (liabilities), net            
Derivative liabilities (1.2)   0.0      
Level 2 | Option Contracts | Fair Value            
Derivative financial instrument assets (liabilities), net            
Derivative liabilities (1.2)   0.0      
Level 1 | TBA forward MBS trades | Carrying Value            
Derivative financial instrument assets (liabilities), net            
Derivative liabilities 0.7   0.7      
Level 1 | TBA forward MBS trades | Fair Value            
Derivative financial instrument assets (liabilities), net            
Derivative liabilities 0.7   0.7      
Level 1 | Interest Rate Swap | Carrying Value            
Derivative financial instrument assets (liabilities), net            
Derivative asset (10.9)   (13.6)      
Level 1 | Interest Rate Swap | Fair Value            
Derivative financial instrument assets (liabilities), net            
Derivative asset (10.9)   (13.6)      
Level 1 | TBA Forward Pipelines Trades | Carrying Value            
Derivative financial instrument assets (liabilities), net            
Derivative asset 7.0   6.6      
Level 1 | TBA Forward Pipelines Trades | Fair Value            
Derivative financial instrument assets (liabilities), net            
Derivative asset $ 7.0   $ 6.6