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OFFSETTING ASSETS AND LIABILITIES
6 Months Ended
Jun. 30, 2021
Offsetting Assets And Liabilities [Abstract]  
Offsetting Assets and Liabilities [Text Block]
NOTE 6. OFFSETTING ASSETS AND LIABILITIES
 
The Company’s
 
derivative
 
agreements
 
and repurchase
 
agreements
 
and reverse
 
repurchase
 
agreements
 
are subject
 
to underlying
agreements
 
with master
 
netting or
 
similar arrangements,
 
which provide
 
for the right
 
of offset in
 
the event
 
of default
 
or in the event
 
of
bankruptcy
 
of either
 
party to the
 
transactions.
 
The Company
 
reports its
 
assets and
 
liabilities
 
subject to
 
these arrangements
 
on a gross
basis.
 
 
The following
 
table presents
 
information
 
regarding
 
those assets
 
and liabilities
 
subject to
 
such arrangements
 
as if the Company
 
had
presented
 
them on a
 
net basis as
 
of June 30,
 
2021 and December
 
31, 2020.
(in thousands)
Offsetting of Assets
Gross Amount Not
Net Amount
Offset in the Balance Sheet
of Assets
Financial
Gross Amount
Gross Amount
Presented
Instruments
Cash
of Recognized
Offset in the
in the
Received as
Received as
Net
Assets
Balance Sheet
Balance Sheet
Collateral
Collateral
Amount
June 30, 2021
Interest rate swaps
$
14,263
$
-
$
14,263
$
-
$
-
$
14,263
Interest rate swaptions
26,282
-
26,282
-
(11,414)
14,868
Interest rate floors
2,315
-
2,315
-
-
2,315
TBA securities
875
-
875
-
(773)
102
$
43,735
$
-
$
43,735
$
-
$
(12,187)
$
31,548
December 31, 2020
Interest rate swaps
$
7
$
-
$
7
$
-
$
-
$
7
Interest rate swaptions
17,433
-
17,433
-
(3,563)
13,870
TBA securities
3,559
-
3,559
-
(2,520)
1,039
$
20,999
$
-
$
20,999
$
-
$
(6,083)
$
14,916
(in thousands)
Offsetting of Liabilities
Gross Amount Not
Net Amount
Offset in the Balance Sheet
of Liabilities
Financial
Gross Amount
Gross Amount
Presented
Instruments
of Recognized
Offset in the
in the
Posted as
Cash Posted
Net
Liabilities
Balance Sheet
Balance Sheet
Collateral
as Collateral
Amount
June 30, 2021
Repurchase Agreements
$
4,514,704
$
-
$
4,514,704
$
(4,435,631)
$
(79,073)
$
-
Interest rate swaps
6,411
-
6,411
-
(6,411)
-
Interest rate swaptions
10,358
-
10,358
-
(1,115)
9,243
$
4,531,473
$
-
$
4,531,473
$
(4,435,631)
$
(86,599)
$
9,243
December 31, 2020
Repurchase Agreements
$
3,595,586
$
-
$
3,595,586
$
(3,536,757)
$
(58,829)
$
-
Interest rate swaps
24,711
-
24,711
-
(19,761)
4,950
Interest rate swaptions
7,730
-
7,730
-
-
7,730
TBA securities
786
-
786
-
(284)
502
$
3,628,813
$
-
$
3,628,813
$
(3,536,757)
$
(78,874)
$
13,182
The amounts
 
disclosed for
 
collateral
 
received by
 
or posted
 
to the same
 
counterparty
 
up to and
 
not exceeding
 
the net amount
 
of the
asset or liability
 
presented
 
in the balance
 
sheets.
 
The fair value
 
of the actual
 
collateral
 
received by
 
or posted
 
to the same
 
counterparty
typically exceeds
 
the amounts
 
presented.
 
See Note
 
5 for a discussion
 
of collateral
 
posted or
 
received against
 
or for repurchase
 
obligations
and derivative
 
and other
 
hedging instruments.