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Guarantor Financial Statement Information - Consolidating Statements of Cash Flow (Details) - USD ($)
$ in Millions
1 Months Ended 2 Months Ended 3 Months Ended 5 Months Ended 7 Months Ended 12 Months Ended
Jul. 31, 2018
Sep. 30, 2018
Dec. 31, 2019
Sep. 30, 2019
Jun. 30, 2019
Mar. 31, 2019
Dec. 31, 2018
Jun. 30, 2018
Mar. 31, 2018
Dec. 31, 2018
Jul. 31, 2018
Dec. 31, 2019
Dec. 31, 2017
Condensed Financial Statements                          
Net income $ (64) $ 1,020 $ 461 $ 83 $ (88) $ (186) $ (136) $ 58 $ 160 $ 884 $ 154 $ 270 $ 31
Adjustment to reconcile net income (loss) to net cash attributable to operating activities:                          
Deferred tax (benefit) expense                   (1,021) 63 (366) (46)
(Gain) loss from subsidiaries                   0 0 0 0
Net gain on mortgage loans held for sale (44) (83) (310) $ (360) $ (262) (166) (93) $ (127) (124) (176) (295) (1,098) (607)
Interest income on reverse mortgage loans                   (206) (274) (307) (490)
Loss (gain) on sale of assets                   0 (9) 2 (8)
MSL related increased obligation                   0 59 0 0
Provision for servicing reserves                   38 70 66 148
Fair value changes and amortization/accretion of mortgage servicing rights/liabilities                   225 (177) 1,005 430
Fair value changes in excess spread financing                   5 81 (169) 12
Fair value changes in mortgage servicing rights financing liability                   6 16 5 (17)
Fair value changes in mortgage loans held for investment                   (2) 0 (3) 0
Amortization of premiums, net of discount accretion                   9 8 (32) 82
Depreciation and amortization for property and equipment and intangible assets                   39 33 91 59
Share-based compensation                   2 17 18 17
Other loss                   0 3 11 6
Repurchases of forward loan assets out of Ginnie Mae securitizations                   (527) (544) (2,895) (1,249)
Mortgage loans originated and purchased for sale, net of fees                   (8,888) (12,328) (40,257) (19,159)
Sales proceeds and loan payment proceeds for mortgage loans held for sale and held for investment                   9,405 13,392 41,948 20,776
Changes in assets and liabilities:                          
Advances and other receivables                   43 377 228 (30)
Reverse mortgage interests                   1,544 1,601 2,192 1,672
Other assets                   (61) (41) 78 (75)
Payables and other liabilities                   (68) 88 (85) (193)
Net cash attributable to operating activities                   1,251 2,294 702 1,359
Investing Activities                          
Acquisitions, net of cash acquired                   (33) 0 (85) 0
Property and equipment additions, net of disposals                   (15) (40) (49) (42)
Purchase of forward mortgage servicing rights, net of liabilities incurred                   (307) (134) (547) (63)
Net proceeds from acquisition of reverse mortgage servicing portfolio and HECM related receivables                   0 0 0 16
Proceeds on sale of forward and reverse mortgage servicing rights                   105 0 343 71
Net payment related to acquisition of HECM related receivables                   0 (1) 0 0
Proceeds on sale of assets                         16
Purchase of cost-method investment                         (4)
Net cash attributable to investing activities                   (250) (162) (338) (6)
Financing Activities                          
Increase (decrease) in warehouse facilities                   (351) (585) 1,704 863
Decrease in advance facilities                   45 (305) (186) (241)
Repayment of notes payable                   0 0 (294) 0
Proceeds from issuance of HECM securitizations                   343 759 751 707
Proceeds from sale of HECM securitizations                   0 0 20 0
Repayment of HECM securitizations                   (374) (448) (870) (572)
Proceeds from issuance of participating interest financing                   112 208 277 575
Repayment of participating interest financing                   (943) (1,599) (1,868) (2,597)
Proceeds from issuance of excess spread financing                   255 70 542 0
Repayment of excess spread financing                   (38) (3) (27) (23)
Settlement of excess spread financing                   (77) (105) (219) (207)
Repayment of nonrecourse debt - legacy assets                   (6) (7) (29) (15)
Repurchase of unsecured senior notes                   (1,030) (62) (100) (123)
Redemption and repayment of unsecured senior notes                   (1,030)      
Repayment of finance lease liability                   0 0 (4) 0
Surrender of shares relating to stock vesting                   0 (9) (2) (4)
Repayment of finance lease liability                     0   (4)
Proceeds from non-controlling interests                   3 0 0 0
Debt financing costs                   (2) (24) (8) (13)
Dividends to non-controlling interests                   0 (1) 0 (5)
Net cash attributable to financing activities                   (2,063) (2,111) (313) (1,655)
Net decrease in cash and cash equivalents                   (1,062) 21 51 (302)
Cash and cash equivalents - beginning of period   596 [1]       561 [1]     575 [1] 596 [1] 575 [1] 561 [1] 877
Cash and cash equivalents - end of year [1] 596   612       561     561 596 612 575
Reportable legal entities | Mr. Cooper                          
Condensed Financial Statements                          
Net income                   884 154 274 30
Adjustment to reconcile net income (loss) to net cash attributable to operating activities:                          
Deferred tax (benefit) expense                   (971) 0 (286) 0
(Gain) loss from subsidiaries                   44 (181) (142) (30)
Net gain on mortgage loans held for sale                   0 0 0 0
Interest income on reverse mortgage loans                   0 0 0 0
Loss (gain) on sale of assets                     0 0 0
MSL related increased obligation                     0    
Provision for servicing reserves                   0 0 0 0
Fair value changes and amortization/accretion of mortgage servicing rights/liabilities                   0 0 0 0
Fair value changes in excess spread financing                   0 0 0 0
Fair value changes in mortgage servicing rights financing liability                   0 0 0 0
Fair value changes in mortgage loans held for investment                   0   0  
Amortization of premiums, net of discount accretion                   3 0 7 0
Depreciation and amortization for property and equipment and intangible assets                   0 0 0 0
Share-based compensation                   0 0 0 0
Other loss                   0 0 0 0
Repurchases of forward loan assets out of Ginnie Mae securitizations                   0 0 0 0
Mortgage loans originated and purchased for sale, net of fees                   0 0 0 0
Sales proceeds and loan payment proceeds for mortgage loans held for sale and held for investment                   0 0 0 0
Changes in assets and liabilities:                          
Advances and other receivables                   0 0 0 0
Reverse mortgage interests                   0 0 0 0
Other assets                   1 9 147 4
Payables and other liabilities                   28 27 0 0
Net cash attributable to operating activities                   (11) 9 0 4
Investing Activities                          
Acquisitions, net of cash acquired                   0   0  
Property and equipment additions, net of disposals                   0   0 0
Purchase of forward mortgage servicing rights, net of liabilities incurred                   0   0 0
Net proceeds from acquisition of reverse mortgage servicing portfolio and HECM related receivables                         0
Proceeds on sale of forward and reverse mortgage servicing rights                   0   0 0
Proceeds on sale of assets                         0
Purchase of cost-method investment                         0
Net cash attributable to investing activities                   0   0 0
Financing Activities                          
Increase (decrease) in warehouse facilities                   0 0 0 0
Decrease in advance facilities                   0 0 0 0
Repayment of notes payable                       0  
Proceeds from issuance of HECM securitizations                   0 0 0 0
Proceeds from sale of HECM securitizations                       0  
Repayment of HECM securitizations                   0 0 0 0
Proceeds from issuance of participating interest financing                   0 0 0 0
Repayment of participating interest financing                   0 0 0 0
Proceeds from issuance of excess spread financing                   0 0 0  
Repayment of excess spread financing                   0 0 0 0
Settlement of excess spread financing                   0 0 0 0
Repayment of nonrecourse debt - legacy assets                   0 0 0 0
Repurchase of unsecured senior notes                     0 0 0
Redemption and repayment of unsecured senior notes                   0      
Repayment of finance lease liability                       0  
Surrender of shares relating to stock vesting                     (9) 0  
Repayment of finance lease liability                     0   (4)
Proceeds from non-controlling interests                   0      
Debt financing costs                   0 0 0 0
Dividends to non-controlling interests                     0   0
Net cash attributable to financing activities                   0   0 (4)
Net decrease in cash and cash equivalents                   (11)   0 0
Cash and cash equivalents - beginning of period           0     0   0 0 0
Cash and cash equivalents - end of year     0       0     0   0 0
Reportable legal entities | Issuer                          
Condensed Financial Statements                          
Net income                   (44) 181 138 31
Adjustment to reconcile net income (loss) to net cash attributable to operating activities:                          
Deferred tax (benefit) expense                   (49) 63 (77) (46)
(Gain) loss from subsidiaries                   (2) (56) (98) (53)
Net gain on mortgage loans held for sale                   (175) (295) (1,087) (606)
Interest income on reverse mortgage loans                   (206) (274) (264) (490)
Loss (gain) on sale of assets                     0 2 1
MSL related increased obligation                     59    
Provision for servicing reserves                   38 70 66 148
Fair value changes and amortization/accretion of mortgage servicing rights/liabilities                   225 (178) 997 430
Fair value changes in excess spread financing                   6 81 (164) 15
Fair value changes in mortgage servicing rights financing liability                   6 16 5 (17)
Fair value changes in mortgage loans held for investment                   0   0  
Amortization of premiums, net of discount accretion                   7 11 (18) 73
Depreciation and amortization for property and equipment and intangible assets                   33 26 75 45
Share-based compensation                   1 16 16 12
Other loss                   1 3 3 6
Repurchases of forward loan assets out of Ginnie Mae securitizations                   (527) (544) (2,895) (1,249)
Mortgage loans originated and purchased for sale, net of fees                   (8,888) (12,328) (40,269) (19,159)
Sales proceeds and loan payment proceeds for mortgage loans held for sale and held for investment                   9,389 13,381 41,809 20,760
Changes in assets and liabilities:                          
Advances and other receivables                   43 377 228 (30)
Reverse mortgage interests                   1,569 1,866 2,035 1,829
Other assets                   (18) (294) 11 (103)
Payables and other liabilities                   (130) 65 (70) (180)
Net cash attributable to operating activities                   1,279 2,246 443 1,417
Investing Activities                          
Acquisitions, net of cash acquired                   0   (85)  
Property and equipment additions, net of disposals                   (18)   (34) (37)
Purchase of forward mortgage servicing rights, net of liabilities incurred                   (313)   (547) (56)
Net proceeds from acquisition of reverse mortgage servicing portfolio and HECM related receivables                         16
Proceeds on sale of forward and reverse mortgage servicing rights                   105   343 71
Proceeds on sale of assets                         16
Purchase of cost-method investment                         (4)
Net cash attributable to investing activities                   (226)   (323) 6
Financing Activities                          
Increase (decrease) in warehouse facilities                   (351) (585) 1,704 863
Decrease in advance facilities                   40 (55) (40) (81)
Repayment of notes payable                       (294)  
Proceeds from issuance of HECM securitizations                   0 0 0 0
Proceeds from sale of HECM securitizations                       0  
Repayment of HECM securitizations                   0 0 0 (1)
Proceeds from issuance of participating interest financing                   112 208 277 575
Repayment of participating interest financing                   (943) (1,599) (1,868) (2,597)
Proceeds from issuance of excess spread financing                   255 70 542  
Repayment of excess spread financing                   (38) (3) (27) (23)
Settlement of excess spread financing                   (77) (105) (219) (207)
Repayment of nonrecourse debt - legacy assets                   0 0 0 0
Repurchase of unsecured senior notes                     (62) (100) (123)
Redemption and repayment of unsecured senior notes                   (1,030)      
Repayment of finance lease liability                       (4)  
Surrender of shares relating to stock vesting                     0 (2)  
Repayment of finance lease liability                     0   0
Proceeds from non-controlling interests                   3      
Debt financing costs                   (3) (24) (6) (13)
Dividends to non-controlling interests                     (1)   (5)
Net cash attributable to financing activities                   (2,032)   (37) (1,612)
Net decrease in cash and cash equivalents                   (979)   83 (189)
Cash and cash equivalents - beginning of period           379     423   423 379 612
Cash and cash equivalents - end of year     462       379     379   462 423
Reportable legal entities | Guarantor (Subsidiaries of Issuer)                          
Condensed Financial Statements                          
Net income                   6 12 0 12
Adjustment to reconcile net income (loss) to net cash attributable to operating activities:                          
Deferred tax (benefit) expense                   0 0 0 0
(Gain) loss from subsidiaries                   0 0 0 0
Net gain on mortgage loans held for sale                   0 0 0 0
Interest income on reverse mortgage loans                   0 0 0 0
Loss (gain) on sale of assets                     0 0 0
MSL related increased obligation                     0    
Provision for servicing reserves                   0 0 0 0
Fair value changes and amortization/accretion of mortgage servicing rights/liabilities                   0 0 0 0
Fair value changes in excess spread financing                   0 0 0 0
Fair value changes in mortgage servicing rights financing liability                   0 0 0 0
Fair value changes in mortgage loans held for investment                   0   0  
Amortization of premiums, net of discount accretion                   0 0 0 0
Depreciation and amortization for property and equipment and intangible assets                   0 0 0 0
Share-based compensation                   0 0 0 0
Other loss                   0 0 0 0
Repurchases of forward loan assets out of Ginnie Mae securitizations                   0 0 0 0
Mortgage loans originated and purchased for sale, net of fees                   0 0 0 0
Sales proceeds and loan payment proceeds for mortgage loans held for sale and held for investment                   0 0 0 0
Changes in assets and liabilities:                          
Advances and other receivables                   0 0 0 0
Reverse mortgage interests                   0 0 0 0
Other assets                   (6) (12) 0 (12)
Payables and other liabilities                   0 0 0 (1)
Net cash attributable to operating activities                   0 0 0 (1)
Investing Activities                          
Acquisitions, net of cash acquired                   0   0  
Property and equipment additions, net of disposals                   0   0 0
Purchase of forward mortgage servicing rights, net of liabilities incurred                   0   0 0
Net proceeds from acquisition of reverse mortgage servicing portfolio and HECM related receivables                         0
Proceeds on sale of forward and reverse mortgage servicing rights                   0   0 0
Proceeds on sale of assets                         0
Purchase of cost-method investment                         0
Net cash attributable to investing activities                   0   0 0
Financing Activities                          
Increase (decrease) in warehouse facilities                   0 0 0 0
Decrease in advance facilities                   0 0 0 0
Repayment of notes payable                       0  
Proceeds from issuance of HECM securitizations                   0 0 0 0
Proceeds from sale of HECM securitizations                       0  
Repayment of HECM securitizations                   0 0 0 0
Proceeds from issuance of participating interest financing                   0 0 0 0
Repayment of participating interest financing                   0 0 0 0
Proceeds from issuance of excess spread financing                   0 0 0  
Repayment of excess spread financing                   0 0 0 0
Settlement of excess spread financing                   0 0 0 0
Repayment of nonrecourse debt - legacy assets                   0 0 0 0
Repurchase of unsecured senior notes                     0 0 0
Redemption and repayment of unsecured senior notes                   0      
Repayment of finance lease liability                       0  
Surrender of shares relating to stock vesting                     0 0  
Repayment of finance lease liability                     0   0
Proceeds from non-controlling interests                   0      
Debt financing costs                   0 0 0 0
Dividends to non-controlling interests                     0   0
Net cash attributable to financing activities                   0   0 0
Net decrease in cash and cash equivalents                   0   0 (1)
Cash and cash equivalents - beginning of period           1     1   1 1 2
Cash and cash equivalents - end of year     1       1     1   1 1
Reportable legal entities | Non-Guarantor (Subsidiaries of Issuer)                          
Condensed Financial Statements                          
Net income                   (4) 44 98 41
Adjustment to reconcile net income (loss) to net cash attributable to operating activities:                          
Deferred tax (benefit) expense                   (1) 0 (3) 0
(Gain) loss from subsidiaries                   0 0 0 0
Net gain on mortgage loans held for sale                   (1) 0 (11) (1)
Interest income on reverse mortgage loans                   0 0 (43) 0
Loss (gain) on sale of assets                     (9) 0 (9)
MSL related increased obligation                     0    
Provision for servicing reserves                   0 0 0 0
Fair value changes and amortization/accretion of mortgage servicing rights/liabilities                   0 1 8 0
Fair value changes in excess spread financing                   (1) 0 (5) (3)
Fair value changes in mortgage servicing rights financing liability                   0 0 0 0
Fair value changes in mortgage loans held for investment                   (2)   (3)  
Amortization of premiums, net of discount accretion                   (1) (3) (21) 9
Depreciation and amortization for property and equipment and intangible assets                   6 7 16 14
Share-based compensation                   1 1 2 5
Other loss                   (1) 0 8 0
Repurchases of forward loan assets out of Ginnie Mae securitizations                   0 0 0 0
Mortgage loans originated and purchased for sale, net of fees                   0 0 12 0
Sales proceeds and loan payment proceeds for mortgage loans held for sale and held for investment                   16 11 139 16
Changes in assets and liabilities:                          
Advances and other receivables                   0 0 0 0
Reverse mortgage interests                   (25) (265) 157 (157)
Other assets                   (38) 256 (80) 36
Payables and other liabilities                   34 (4) (15) (12)
Net cash attributable to operating activities                   (17) 39 259 (61)
Investing Activities                          
Acquisitions, net of cash acquired                   (33)   0  
Property and equipment additions, net of disposals                   3   (15) (5)
Purchase of forward mortgage servicing rights, net of liabilities incurred                   6   0 (7)
Net proceeds from acquisition of reverse mortgage servicing portfolio and HECM related receivables                         0
Proceeds on sale of forward and reverse mortgage servicing rights                   0   0 0
Proceeds on sale of assets                         0
Purchase of cost-method investment                         0
Net cash attributable to investing activities                   (24)   (15) (12)
Financing Activities                          
Increase (decrease) in warehouse facilities                   0 0 0 0
Decrease in advance facilities                   5 (250) (146) (160)
Repayment of notes payable                       0  
Proceeds from issuance of HECM securitizations                   343 759 751 707
Proceeds from sale of HECM securitizations                       20  
Repayment of HECM securitizations                   (374) (448) (870) (571)
Proceeds from issuance of participating interest financing                   0 0 0 0
Repayment of participating interest financing                   0 0 0 0
Proceeds from issuance of excess spread financing                   0 0 0  
Repayment of excess spread financing                   0 0 0 0
Settlement of excess spread financing                   0 0 0 0
Repayment of nonrecourse debt - legacy assets                   (6) (7) (29) (15)
Repurchase of unsecured senior notes                     0 0 0
Redemption and repayment of unsecured senior notes                   0      
Repayment of finance lease liability                       0  
Surrender of shares relating to stock vesting                     0 0  
Repayment of finance lease liability                     0   0
Proceeds from non-controlling interests                   0      
Debt financing costs                   1 0 (2) 0
Dividends to non-controlling interests                     0   0
Net cash attributable to financing activities                   (31)   (276) (39)
Net decrease in cash and cash equivalents                   (72)   (32) (112)
Cash and cash equivalents - beginning of period           181     151   151 181 263
Cash and cash equivalents - end of year     149       181     181   149 151
Eliminations                          
Condensed Financial Statements                          
Net income                   42 (237) (240) (83)
Adjustment to reconcile net income (loss) to net cash attributable to operating activities:                          
Deferred tax (benefit) expense                   0 0 0 0
(Gain) loss from subsidiaries                   (42) 237 240 83
Net gain on mortgage loans held for sale                   0 0 0 0
Interest income on reverse mortgage loans                   0 0 0 0
Loss (gain) on sale of assets                     0 0 0
MSL related increased obligation                     0    
Provision for servicing reserves                   0 0 0 0
Fair value changes and amortization/accretion of mortgage servicing rights/liabilities                   0 0 0 0
Fair value changes in excess spread financing                   0 0 0 0
Fair value changes in mortgage servicing rights financing liability                   0 0 0 0
Fair value changes in mortgage loans held for investment                   0   0  
Amortization of premiums, net of discount accretion                   0 0 0 0
Depreciation and amortization for property and equipment and intangible assets                   0 0 0 0
Share-based compensation                   0 0 0 0
Other loss                   0 0 0 0
Repurchases of forward loan assets out of Ginnie Mae securitizations                   0 0 0 0
Mortgage loans originated and purchased for sale, net of fees                   0 0 0 0
Sales proceeds and loan payment proceeds for mortgage loans held for sale and held for investment                   0 0 0 0
Changes in assets and liabilities:                          
Advances and other receivables                   0 0 0 0
Reverse mortgage interests                   0 0 0 0
Other assets                   0 0 0 0
Payables and other liabilities                   0 0 0 0
Net cash attributable to operating activities                   0 0 0 0
Investing Activities                          
Acquisitions, net of cash acquired                   0   0  
Property and equipment additions, net of disposals                   0   0 0
Purchase of forward mortgage servicing rights, net of liabilities incurred                   0   0 0
Net proceeds from acquisition of reverse mortgage servicing portfolio and HECM related receivables                         0
Proceeds on sale of forward and reverse mortgage servicing rights                   0   0 0
Proceeds on sale of assets                         0
Purchase of cost-method investment                         0
Net cash attributable to investing activities                   0   0 0
Financing Activities                          
Increase (decrease) in warehouse facilities                   0 0 0 0
Decrease in advance facilities                   0 0 0 0
Repayment of notes payable                       0  
Proceeds from issuance of HECM securitizations                   0 0 0 0
Proceeds from sale of HECM securitizations                       0  
Repayment of HECM securitizations                   0 0 0 0
Proceeds from issuance of participating interest financing                   0 0 0 0
Repayment of participating interest financing                   0 0 0 0
Proceeds from issuance of excess spread financing                   0 0 0  
Repayment of excess spread financing                   0 0 0 0
Settlement of excess spread financing                   0 0 0 0
Repayment of nonrecourse debt - legacy assets                   0 0 0 0
Repurchase of unsecured senior notes                     0 0 0
Redemption and repayment of unsecured senior notes                   0      
Repayment of finance lease liability                       0  
Surrender of shares relating to stock vesting                     0 0  
Repayment of finance lease liability                     0   0
Proceeds from non-controlling interests                   0      
Debt financing costs                   0 0 0 0
Dividends to non-controlling interests                     0   0
Net cash attributable to financing activities                   0   0 0
Net decrease in cash and cash equivalents                   0   0 0
Cash and cash equivalents - beginning of period           $ 0     0   0 0 0
Cash and cash equivalents - end of year     $ 0       $ 0     0   $ 0 0
Nationstar Mortgage Holdings Inc.                          
Investing Activities                          
Property and equipment additions, net of disposals                     (40)    
Purchase of forward mortgage servicing rights, net of liabilities incurred                     (134)    
Net payment related to acquisition of HECM related receivables                     (1)    
Proceeds on sale of assets                     13    
Net cash attributable to investing activities                     (162)    
Financing Activities                          
Net cash attributable to financing activities                     (2,111)    
Net decrease in cash and cash equivalents                     21    
Cash and cash equivalents - beginning of period   596             575 596 575    
Cash and cash equivalents - end of year 596                   596   575
Nationstar Mortgage Holdings Inc. | Reportable legal entities | Mr. Cooper                          
Investing Activities                          
Property and equipment additions, net of disposals                     0    
Purchase of forward mortgage servicing rights, net of liabilities incurred                     0    
Net payment related to acquisition of HECM related receivables                     0    
Proceeds on sale of assets                     0    
Net cash attributable to investing activities                     0    
Financing Activities                          
Net cash attributable to financing activities                     (9)    
Net decrease in cash and cash equivalents                     0    
Cash and cash equivalents - beginning of period   0             0 0 0    
Cash and cash equivalents - end of year 0                   0   0
Nationstar Mortgage Holdings Inc. | Reportable legal entities | Issuer                          
Investing Activities                          
Property and equipment additions, net of disposals                     (35)    
Purchase of forward mortgage servicing rights, net of liabilities incurred                     (127)    
Net payment related to acquisition of HECM related receivables                     (1)    
Proceeds on sale of assets                     0    
Net cash attributable to investing activities                     (163)    
Financing Activities                          
Net cash attributable to financing activities                     (2,156)    
Net decrease in cash and cash equivalents                     (73)    
Cash and cash equivalents - beginning of period   350             423 350 423    
Cash and cash equivalents - end of year 350                   350   423
Nationstar Mortgage Holdings Inc. | Reportable legal entities | Guarantor (Subsidiaries of Issuer)                          
Investing Activities                          
Property and equipment additions, net of disposals                     0    
Purchase of forward mortgage servicing rights, net of liabilities incurred                     0    
Net payment related to acquisition of HECM related receivables                     0    
Proceeds on sale of assets                     0    
Net cash attributable to investing activities                     0    
Financing Activities                          
Net cash attributable to financing activities                     0    
Net decrease in cash and cash equivalents                     0    
Cash and cash equivalents - beginning of period   1             1 1 1    
Cash and cash equivalents - end of year 1                   1   1
Nationstar Mortgage Holdings Inc. | Reportable legal entities | Non-Guarantor (Subsidiaries of Issuer)                          
Investing Activities                          
Property and equipment additions, net of disposals                     (5)    
Purchase of forward mortgage servicing rights, net of liabilities incurred                     (7)    
Net payment related to acquisition of HECM related receivables                     0    
Proceeds on sale of assets                     13    
Net cash attributable to investing activities                     1    
Financing Activities                          
Net cash attributable to financing activities                     54    
Net decrease in cash and cash equivalents                     94    
Cash and cash equivalents - beginning of period   245             151 245 151    
Cash and cash equivalents - end of year 245                   245   151
Nationstar Mortgage Holdings Inc. | Eliminations                          
Investing Activities                          
Property and equipment additions, net of disposals                     0    
Purchase of forward mortgage servicing rights, net of liabilities incurred                     0    
Net payment related to acquisition of HECM related receivables                     0    
Proceeds on sale of assets                     0    
Net cash attributable to investing activities                     0    
Financing Activities                          
Net cash attributable to financing activities                     0    
Net decrease in cash and cash equivalents                     0    
Cash and cash equivalents - beginning of period   $ 0             $ 0 $ 0 0    
Cash and cash equivalents - end of year $ 0                   $ 0   $ 0
[1] The following table provides a reconciliation of cash, cash equivalents and restricted cash to amount reported within the consolidated balance sheets. Successor Predecessor December 31, 2019 December 31, 2018 July 31, 2018 December 31, 2017Cash and cash equivalents$329 $242 $166 $215Restricted cash283 319 430 360Total cash, cash equivalents and restricted cash$612 $561 $596 $575