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Fair Value - Schedule of Carrying Amounts and Estimated Fair Values of Financial Instruments and Nonfinancial Assets Measured at Fair Value on a Recurring or Non-recurring basis or Disclosed, but not Carried, at Fair Value (Details) - USD ($)
$ in Millions
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Financial assets:        
Loans held for sale, at fair value $ 674.2 $ 617.8 $ 917.5 $ 366.4
Total Loans held for sale 674.2 617.8    
Investment in equity method investee 37.8 42.2    
Financial liabilities:        
Advance match funded liabilities ($498.9 and $512.5 related to VIEs) 499.7 513.7    
Financing liabilities, at fair value:        
HMBS-related borrowings 7,797.3 7,326.8 6,885.0 $ 6,772.7
Other financing liabilities 900.0 1,137.4    
Secured Debt [Abstract]        
Long-term Line of Credit 916.2 953.8    
Senior notes:        
Senior Notes 595.8 599.6    
Mortgage Service Rights        
MSRs 2,272.2 2,665.2 $ 2,250.1  
Financing Liability Excess Servicing Spread        
Financing liabilities, at fair value:        
Other financing liabilities 248.9 199.0    
Carrying Value        
Financial assets:        
Total Loans held for sale 677.3 622.7    
Loans held for investment 7,975.5 7,510.8    
Financing liabilities, at fair value:        
Total Other financing liabilities 900.0 1,137.4    
Senior notes:        
Senior Notes 595.8 599.6    
Fair Value        
Financial assets:        
Total Loans held for sale 677.3 622.7    
Loans held for investment 7,975.5 7,510.8    
Financing liabilities, at fair value:        
Total Other financing liabilities 900.0 1,137.4    
Senior notes:        
Senior Notes 556.5 555.2    
Level 2 | Carrying Value        
Financial assets:        
Loans held for sale, at fair value 674.2 617.8    
Senior notes:        
Senior unsecured notes 356.1 369.4    
Level 2 | Carrying Value | Option Contracts        
Derivative financial instrument assets (liabilities), at fair value        
Derivative liabilities 1.9 0.0    
Level 2 | Fair Value        
Financial assets:        
Loans held for sale, at fair value 674.2 617.8    
Senior notes:        
Senior unsecured notes 326.0 331.4    
Level 2 | Fair Value | Option Contracts        
Derivative financial instrument assets (liabilities), at fair value        
Derivative liabilities 1.9 0.0    
Level 3 | Carrying Value        
Financial assets:        
Loans held for sale, at lower of cost or fair value 3.1 4.9    
Loans held for investment 7,970.0 7,504.1    
Advances (including match funded) 678.8 718.9    
Receivables, net 154.8 180.8    
Financial liabilities:        
Advance match funded liabilities ($498.9 and $512.5 related to VIEs) 499.7 513.7    
Financing liabilities, at fair value:        
HMBS-related borrowings 7,797.3 7,326.8    
Secured Debt [Abstract]        
Long-term Line of Credit 916.2 953.8    
Other 710.6 702.7    
Senior notes:        
Senior secured notes 239.7 230.2    
Derivative financial instrument assets (liabilities), at fair value        
Interest rate lock commitments 5.6 0.7    
Mortgage Service Rights        
MSRs 2,272.2 2,665.2    
Level 3 | Carrying Value | Derivative [Member]        
Derivative financial instrument assets (liabilities), at fair value        
Derivative liabilities (0.1) (0.1)    
Level 3 | Carrying Value | Loans Held for Investments - Restricted for Securitization Investors        
Financial assets:        
Loans held for investment 5.6 6.7    
Level 3 | Carrying Value | Financing Liability - MSRs Pledged        
Financing liabilities, at fair value:        
Other financing liabilities 645.5 931.7    
Level 3 | Carrying Value | Financing Liability Owed to Securitization Investors        
Financing liabilities, at fair value:        
Other financing liabilities 5.6 6.7    
Level 3 | Carrying Value | Financing Liability Excess Servicing Spread        
Financing liabilities, at fair value:        
Other financing liabilities 248.9 199.0    
Level 3 | Fair Value        
Financial assets:        
Loans held for sale, at lower of cost or fair value 3.1 4.9    
Loans held for investment 7,970.0 7,504.1    
Advances (including match funded) 678.8 718.9    
Receivables, net 154.8 180.8    
Financial liabilities:        
Advance match funded liabilities ($498.9 and $512.5 related to VIEs) 499.7 513.7    
Financing liabilities, at fair value:        
HMBS-related borrowings 7,797.3 7,326.8    
Secured Debt [Abstract]        
Long-term Line of Credit 900.3 932.1    
Other 717.6 702.7    
Senior notes:        
Senior secured notes 230.5 223.9    
Derivative financial instrument assets (liabilities), at fair value        
Interest rate lock commitments 5.6 0.7    
Mortgage Service Rights        
MSRs 2,272.2 2,665.2    
Level 3 | Fair Value | Derivative [Member]        
Derivative financial instrument assets (liabilities), at fair value        
Derivative liabilities (0.1) (0.1)    
Level 3 | Fair Value | Loans Held for Investments - Restricted for Securitization Investors        
Financial assets:        
Loans held for investment 5.6 6.7    
Level 3 | Fair Value | Financing Liability - MSRs Pledged        
Financing liabilities, at fair value:        
Other financing liabilities 645.5 931.7    
Level 3 | Fair Value | Financing Liability Owed to Securitization Investors        
Financing liabilities, at fair value:        
Other financing liabilities 5.6 6.7    
Level 3 | Fair Value | Financing Liability Excess Servicing Spread        
Financing liabilities, at fair value:        
Other financing liabilities 248.9 199.0    
Level 1 | Carrying Value | Forward LHFS Trades        
Derivative financial instrument assets (liabilities), at fair value        
Derivative Asset (0.1)      
Derivative liabilities   0.5    
Level 1 | Carrying Value | TBA/Forward Mortgage Backed Securities Trades        
Derivative financial instrument assets (liabilities), at fair value        
Derivative liabilities 9.6 (0.7)    
Level 1 | Carrying Value | Interest Rate Swap        
Derivative financial instrument assets (liabilities), at fair value        
Derivative Asset 3.9 (13.6)    
Level 1 | Carrying Value | TBA Forward Pipelines Trades        
Derivative financial instrument assets (liabilities), at fair value        
Derivative Asset (6.3) 6.6    
Level 1 | Fair Value | Forward LHFS Trades        
Derivative financial instrument assets (liabilities), at fair value        
Derivative Asset (0.1)      
Derivative liabilities   0.5    
Level 1 | Fair Value | TBA/Forward Mortgage Backed Securities Trades        
Derivative financial instrument assets (liabilities), at fair value        
Derivative liabilities 9.6 (0.7)    
Level 1 | Fair Value | Interest Rate Swap        
Derivative financial instrument assets (liabilities), at fair value        
Derivative Asset 3.9 (13.6)    
Level 1 | Fair Value | TBA Forward Pipelines Trades        
Derivative financial instrument assets (liabilities), at fair value        
Derivative Asset $ (6.3) $ 6.6