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Fair Value of Financial Instruments
3 Months Ended
Mar. 31, 2022
Fair Value Disclosures [Abstract]  
Schedule of Comparison of the Carrying Value and Estimated Fair Value of Financial Instruments
A comparison of the carrying amount and estimated fair value of these financial instruments is as follows:

(In millions)As of March 31, 2022As of December 31, 2021
 Carrying
Amount
Estimated Fair
Value
Carrying
Amount
Estimated Fair
Value
Assets    
Cash and cash equivalents$17.6 $17.6 $23.3 $23.3 
Restricted cash and cash equivalents481.1 481.1 410.9 410.9 
Restricted securities available for sale62.4 62.4 62.1 62.1 
Loans receivable, net6,327.2 6,543.7 6,336.3 6,580.4 
Liabilities    
Revolving secured line of credit$104.7 $104.7 $2.6 $2.6 
Secured financing3,832.4 3,775.8 3,811.5 3,832.1 
Senior notes792.5 812.7 792.5 825.8 
Mortgage note9.4 9.4 9.7 9.7 
Schedule of Assets and Liabilities, Measured at Fair Value on a Recurring Basis
The following table provides the level of measurement used to determine the fair value for each of our financial instruments measured or disclosed at fair value:

(In millions)As of March 31, 2022
 Level 1Level 2Level 3Total Fair Value
Assets   
Cash and cash equivalents (1)$17.6 $— $— $17.6 
Restricted cash and cash equivalents (1)481.1 — — 481.1 
Restricted securities available for sale (2)51.4 11.0 — 62.4 
Loans receivable, net (1)— — 6,543.7 6,543.7 
Liabilities    
Revolving secured line of credit (1)$— $104.7 $— $104.7 
Secured financing (1)— 3,775.8 — 3,775.8 
Senior notes (1)812.7 — — 812.7 
Mortgage note (1)— 9.4 — 9.4 
(In millions)As of December 31, 2021
 Level 1Level 2Level 3Total Fair Value
Assets    
Cash and cash equivalents (1)$23.3 $— $— $23.3 
Restricted cash and cash equivalents (1)410.9 — — 410.9 
Restricted securities available for sale (2)49.0 13.1 — 62.1 
Loans receivable, net (1)— — 6,580.4 6,580.4 
Liabilities    
Revolving secured line of credit (1)$— $2.6 $— $2.6 
Secured financing (1)— 3,832.1 — 3,832.1 
Senior notes (1)825.8 — — 825.8 
Mortgage note (1)— 9.7 — 9.7 

(1)Measured at amortized cost with fair value disclosed.
(2)Measured at fair value on a recurring basis