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Condensed Consolidated Statements of Cash Flows (Unaudited) (Parenthetical) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2025
Mar. 31, 2024
Fair value and remeasurement adjustments, non-cash from related parties [1] $ 8,405 $ 13,651
Non-cash interest and other from related parties [1] (4,513) 2,661
Prepaid expenses and other assets from related parties [1] (5,479) 6,761
Purchases of loans receivable from related parties [1] 61,528 42,903
Sale of loans receivable from related parties [1] 6,840 22,785
Related Party    
Fair value and remeasurement adjustments, non-cash from related parties 2,146 19,125
Non-cash interest and other from related parties 0 3,192
Prepaid expenses and other assets from related parties (2,653) 6,267
Purchases of loans receivable from related parties 50,853 12,759
Repayments of loans receivable from related parties 32,683 20,307
Sale of loans receivable from related parties $ 6,611 $ 0
[1] Amounts presented contain results from both continuing and discontinued operations. Refer to Note 3 - Discontinued Operations and Assets Held for Sale for additional information regarding cash flow associated with the results of discontinued operations.