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FINANCIAL INSTRUMENTS (Tables)
3 Months Ended
Mar. 31, 2020
Investments, All Other Investments [Abstract]  
Schedule of Characteristics of Financial Instruments The following table presents characteristics for certain of the Company’s financial instruments at March 31, 2020 and December 31, 2019.
Financial Instruments (1)
Balance Sheet Line Item
Type / Form
Measurement Basis
March 31, 2020
 
December 31, 2019
 
Assets
(dollars in thousands)
 
 
 
Securities
Agency mortgage-backed securities (2)
Fair value, with unrealized gains (losses) through other comprehensive income
$
77,869,157

 
$
112,124,958

Securities
Agency mortgage-backed securities (3)
Fair value, with unrealized gains (losses) through earnings
587,689

 
768,409

Securities
Credit risk transfer securities
Fair value, with unrealized gains (losses) through earnings
222,871

 
531,322

Securities
Non-agency mortgage-backed securities
Fair value, with unrealized gains (losses) through earnings
585,954

 
1,135,868

Securities
Commercial real estate debt investments - CMBS
Fair value, with unrealized gains (losses) through other comprehensive income
50,745

 
64,655

Securities
Commercial real estate debt investments - CMBS (4)
Fair value, with unrealized gains (losses) through earnings
41,180

 
208,368

Total securities
 
 
79,357,596

 
114,833,580

Loans, net
Residential mortgage loans
Fair value, with unrealized gains (losses) through earnings
1,268,083

 
1,647,787

Loans, net
Commercial real estate debt and preferred equity, held for investment
Amortized cost
649,843

 
669,713

Loans, net
Corporate debt held for investment, net
Amortized cost
2,150,263

 
2,144,850

Total loans, net
 
 
4,068,189

 
4,462,350

Assets transferred or pledged to securitization vehicles
Agency mortgage-backed securities
Fair value, with unrealized gains (losses) through other comprehensive income
1,803,608

 
1,122,588

Assets transferred or pledged to securitization vehicles
Residential mortgage loans
Fair value, with unrealized gains (losses) through earnings
3,027,188

 
2,598,374

Assets transferred or pledged to securitization vehicles
Commercial mortgage loans
Fair value, with unrealized gains (losses) through earnings
1,927,575

 
2,345,120

Assets transferred or pledged to securitization vehicles
Commercial mortgage loans
Amortized cost
913,291

 
936,378

Total assets transferred or pledged to securitization vehicles
 
7,671,662

 
7,002,460

 
Liabilities
 
 
 
 
Repurchase agreements
Repurchase agreements
Amortized cost
72,580,183

 
101,740,728

Other secured financing
Loans
Amortized cost
1,805,428

 
4,455,700

Debt issued by securitization vehicles
Securities
Fair value, with unrealized gains (losses) through earnings
6,364,949

 
5,622,801

Mortgages payable
Loans
Amortized cost
484,762

 
485,005

(1)     Receivable for unsettled trades, Principal and interest receivable, Payable for unsettled trades, Interest payable and Dividends payable are accounted for at cost.
(2)     Includes Agency pass-through, collateralized mortgage obligation (“CMO”) and multifamily securities.
(3)     Includes interest-only securities and reverse mortgages.
(4)     Includes conduit and credit CMBS.