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Condensed Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
9 Months Ended
Sep. 30, 2021
Sep. 30, 2020
CASH FLOWS FROM OPERATING ACTIVITIES    
Net income $ 1,328,574 $ 2,010,719
Adjustments to reconcile net income to net cash provided by (used in) operating activities:    
Loss on sale of mortgage servicing rights 670 65,821
Reserve for representations and warranties 34,262 25,574
Capitalization of mortgage servicing rights (1,843,861) (1,335,654)
Retention of investment securities (42,164) 0
Amortization and pay-offs of mortgage servicing rights 0 325,566
Impairment on mortgage servicing rights, net 0 32,162
Change in fair value of mortgage servicing rights 448,825 0
Depreciation and amortization of premises and equipment 14,502 8,071
Senior notes issuance cost amortization 2,085 0
Amortization of finance lease right-of-use assets 10,174 5,779
Stock-based compensation expense 4,453 0
Change in fair value of investment securities 149 0
Decrease in fair value of warrants liability (30,944) 0
(Increase) decrease in:    
Mortgage loans at fair value (3,820,127) 231,114
Accounts receivable, net (69,103) (66,203)
Derivative assets (82,735) (26,364)
Other assets 4,161 (162,305)
Increase (decrease) in:    
Accounts payable and accrued expenses 292,023 256,789
Derivative liabilities (4,803) 19,089
Net cash (used in) provided by operating activities (3,753,859) 1,390,158
CASH FLOWS FROM INVESTING ACTIVITIES    
Purchases of premises and equipment (52,271) (3,669)
Proceeds from sale of mortgage servicing rights 241,634 217,786
Proceeds from principal payments on investment securities 206 0
Net cash provided by investing activities 189,569 214,117
CASH FLOWS FROM FINANCING ACTIVITIES    
Net borrowings (repayments) under warehouse lines of credit 3,546,551 (276,382)
Repayments of finance lease liabilities (9,620) 0
Borrowings under equipment notes payable 1,078 0
Repayments under equipment notes payable (25,365) 0
Borrowings under operating lines of credit 79,700 456,895
Repayments under operating lines of credit (400,000) (512,595)
Proceeds from borrowings against investment securities 32,560 0
Proceeds from issuance of senior notes 700,000 0
Discount and direct issuance costs on senior notes (7,036) 0
Proceeds from business combination transaction 895,134 0
Costs incurred related to business combination transaction (11,260) 0
Dividends paid (20,547) 0
Member contributions from SFS Corp. 0 300,000
Member distributions to SFS Corp. (1,468,837) (949,681)
Class A common stock repurchased (20,995) 0
Net cash provided by (used in) financing activities 3,291,363 (981,763)
(DECREASE) INCREASE IN CASH AND CASH EQUIVALENTS (272,927) 622,512
CASH AND CASH EQUIVALENTS, BEGINNING OF THE PERIOD 1,223,837 133,283
CASH AND CASH EQUIVALENTS, END OF THE PERIOD 950,910 755,795
SUPPLEMENTAL INFORMATION    
Cash paid for interest 176,304 117,432
Cash paid for taxes $ 1,738 $ 0