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Borrowings under Repurchase Agreements (Tables)
3 Months Ended
Mar. 31, 2025
Disclosure of Repurchase Agreements [Abstract]  
Schedule of Repurchase Agreements [Table Text Block]
The following table details the Company's outstanding borrowings under repurchase agreements as of March 31, 2025 and December 31, 2024 and 2023:
March 31, 2025December 31, 2024December 31, 2023
Weighted AverageWeighted AverageWeighted Average
Remaining Days to MaturityBorrowings OutstandingInterest RateRemaining Days to MaturityBorrowings OutstandingInterest RateRemaining Days to MaturityBorrowings OutstandingInterest RateRemaining Days to Maturity
Agency RMBS:(In thousands)(In thousands)(In thousands)
30 days or less$448,778 4.47 %9$499,701 4.71 %15$676,074 5.54 %17
31-60 days— — — — — — 1,256 6.23 44
61-90 days— — — — — — 2,933 6.23 67
Total Agency RMBS448,778 4.47 9499,701 4.71 15680,263 5.55 17
CLOs and Non-Agency RMBS:
30 days or less37,790 5.45 938,913 5.70 176,782 6.89 15
31-60 days30,970 4.84 4524,360 5.57 434,875 6.80 46
61-90 days— — — — — — 6,801 6.58 67
Total CLOs and non-Agency RMBS68,760 5.17 2563,273 5.65 2718,458 6.75 42
U.S. Treasury Securities
30 days or less— — — — — — 30,822 5.53 2
Total U.S. Treasury Securities— — — — — — 30,822 5.53 2
Total$517,538 4.56 %11$562,974 4.81 %16$729,543 5.58 %17