XML 29 R39.htm IDEA: XBRL DOCUMENT v2.4.0.8
Investments in Securities and Security-Related Receivables (Detail) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 12 Months Ended
Mar. 31, 2014
Dec. 31, 2013
Investment Securities [Line Items]    
Total investments in securities, Amortized Cost $ 798,213 $ 802,237
Total investments in securities, Gains 5,002 4,768
Total investments in securities, Losses (229,476) (239,703)
Investments in securities and security-related receivables, at fair value 573,739 567,302
Total investments in securities, Weighted Average Coupon 3.90% [1] 3.90% [1]
Total investments in securities, Weighted Average Years to Maturity 21 years 4 months 24 days 21 years 8 months 12 days
Trading securities
   
Investment Securities [Line Items]    
Total investments in securities, Amortized Cost 632,836 632,688
Total investments in securities, Gains 0 0
Total investments in securities, Losses (146,088) (151,843)
Investments in securities and security-related receivables, at fair value 486,748 480,845
Total investments in securities, Weighted Average Coupon 3.80% [1] 3.80% [1]
Total investments in securities, Weighted Average Years to Maturity 20 years 6 months 20 years 9 months 18 days
Trading securities | TruPS and subordinated debentures
   
Investment Securities [Line Items]    
Total investments in securities, Amortized Cost 620,376 620,376
Total investments in securities, Gains 0 0
Total investments in securities, Losses (133,628) (139,531)
Investments in securities and security-related receivables, at fair value 486,748 480,845
Total investments in securities, Weighted Average Coupon 3.70% [1] 3.70% [1]
Total investments in securities, Weighted Average Years to Maturity 20 years 2 months 12 days 20 years 4 months 24 days
Trading securities | Other securities
   
Investment Securities [Line Items]    
Total investments in securities, Amortized Cost 12,460 12,312
Total investments in securities, Gains 0 0
Total investments in securities, Losses (12,460) (12,312)
Investments in securities and security-related receivables, at fair value 0 0
Total investments in securities, Weighted Average Coupon 4.70% [1] 4.70% [1]
Total investments in securities, Weighted Average Years to Maturity 38 years 7 months 6 days 38 years 10 months 24 days
Available-for-sale Securities
   
Investment Securities [Line Items]    
Total investments in securities, Amortized Cost 3,600 3,600
Total investments in securities, Gains 0 0
Total investments in securities, Losses (3,598) (3,598)
Investments in securities and security-related receivables, at fair value 2 2
Total investments in securities, Weighted Average Coupon 2.00% [1] 2.00% [1]
Total investments in securities, Weighted Average Years to Maturity 28 years 7 months 6 days 28 years 10 months 24 days
Security-related receivables
   
Investment Securities [Line Items]    
Total investments in securities, Amortized Cost 161,777 165,949
Total investments in securities, Gains 5,002 4,768
Total investments in securities, Losses (79,790) (84,262)
Investments in securities and security-related receivables, at fair value 86,989 86,455
Total investments in securities, Weighted Average Coupon 4.60% [1] 4.70% [1]
Total investments in securities, Weighted Average Years to Maturity 23 years 9 months 18 days 24 years 4 months 24 days
Security-related receivables | Trups Receivables
   
Investment Securities [Line Items]    
Total investments in securities, Amortized Cost 32,900 32,900
Total investments in securities, Gains 0 0
Total investments in securities, Losses (24,510) (24,689)
Investments in securities and security-related receivables, at fair value 8,390 8,211
Total investments in securities, Weighted Average Coupon 3.40% [1] 3.40% [1]
Total investments in securities, Weighted Average Years to Maturity 18 years 18 years 3 months 18 days
Security-related receivables | Unsecured REIT note receivables
   
Investment Securities [Line Items]    
Total investments in securities, Amortized Cost 30,000 30,000
Total investments in securities, Gains 3,066 3,046
Total investments in securities, Losses 0 0
Investments in securities and security-related receivables, at fair value 33,066 33,046
Total investments in securities, Weighted Average Coupon 6.70% [1] 6.70% [1]
Total investments in securities, Weighted Average Years to Maturity 2 years 10 months 24 days 3 years 1 month 6 days
Security-related receivables | CMBS receivables
   
Investment Securities [Line Items]    
Total investments in securities, Amortized Cost 65,905 [2] 69,905 [3]
Total investments in securities, Gains 1,936 [2] 1,722 [3]
Total investments in securities, Losses (23,372) [2] (27,509) [3]
Investments in securities and security-related receivables, at fair value 44,469 [2] 44,118 [3]
Total investments in securities, Weighted Average Coupon 5.60% [1],[2] 5.60% [1],[3]
Total investments in securities, Weighted Average Years to Maturity 30 years 1 month 6 days [2] 30 years 7 months 6 days [3]
Security-related receivables | Other securities
   
Investment Securities [Line Items]    
Total investments in securities, Amortized Cost 32,972 33,144
Total investments in securities, Gains 0 0
Total investments in securities, Losses (31,908) (32,064)
Investments in securities and security-related receivables, at fair value $ 1,064 $ 1,080
Total investments in securities, Weighted Average Coupon 2.20% [1] 2.20% [1]
Total investments in securities, Weighted Average Years to Maturity 36 years 2 months 12 days 36 years 6 months
[1] Weighted-average coupon is calculated on the unpaid principal amount of the underlying instruments which does not necessarily correspond to the carrying amount.
[2] CMBS receivables include securities with a fair value totaling $10,167 that are rated between "AAA" and "A-" by Standard & Poor's, securities with a fair value totaling $24,902 that are rated "BBB+" and "B-" by Standard & Poor's, securities with a fair value totaling $8,183 that are rated "CCC" by Standard & Poor's and securities with a fair value totaling $1,217 that are rated "D" by Standard & Poor's.
[3] CMBS receivables include securities with a fair value totaling $8,228 that are rated between "AAA" and "A-" by Standard & Poor's, securities with a fair value totaling $26,594 that are rated between "BBB+" and "B-" by Standard & Poor's, securities with a fair value totaling $8,164 that are rated "CCC" by Standard & Poor's, and securities with a fair value totaling $1,132 that are rated "D" by Standard & Poor's.