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Fair Value of Financial Instruments (Details 2) - USD ($)
$ in Thousands
Dec. 31, 2015
Dec. 31, 2014
Assets    
Mortgage servicing rights $ 36,425 $ 24,418
Liabilities    
Derivative liabilities, lending, net $ 1,669 $ 5,447
Level 3    
Fair Value Measurements    
Percentage of level three assets to total assets measured at fair value 94.00% 96.00%
Percentage of level three liabilities to total liabilities measured at fair value 99.00% 99.00%
Recurring basis | Level 2    
Assets    
Mortgage loans held for-for-sale $ 310,191 $ 239,391
Derivatives assets, lending, net 89  
Total assets at fair value 310,280 239,391
Liabilities    
Derivative liabilities, lending, net 404 930
Total liabilities at fair value 404 930
Recurring basis | Level 3    
Assets    
Investment securities available-for-sale 26 92
Derivatives assets, lending, net 9,184 2,884
Mortgage servicing rights 36,425 24,418
Warrant   84
Securitized mortgage collateral 4,574,919 5,249,639
Total assets at fair value 4,620,554 5,277,117
Liabilities    
Securitized mortgage borrowings 4,578,657 5,245,860
Derivative liabilities, securitized trusts 1,669 5,447
Long-term debt 31,898 22,122
Contingent consideration 48,079  
Total liabilities at fair value 4,660,303 5,273,429
Recurring basis | Derivative assets, lending, net | Interest rate lock commitments (IRLCs) | Level 2    
Assets    
Total assets at fair value   $ 2,900
Recurring basis | Derivative assets, lending, net | Interest rate lock commitments (IRLCs) | Level 3    
Assets    
Total assets at fair value 9,200  
Recurring basis | Derivative assets, lending, net | Hedging Instruments | Level 2    
Assets    
Total assets at fair value 89  
Long-term debt | Recurring basis | Level 3    
Liabilities    
Long-term debt $ 31,900