Quarterly report pursuant to Section 13 or 15(d)

Consolidated Statements of Cash Flows

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Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended 9 Months Ended
Mar. 31, 2021
Sep. 30, 2021
Sep. 30, 2020
Operating Activities      
Net income $ 124,320 $ 35,286 $ 345,490
Adjustments to reconcile net income to net cash (used in) provided by operating activities: (6,277) (107,899) (722,262)
Net cash (used in) provided by operating activities 118,043 (72,613) (376,772)
Investing Activities      
Purchases and originations of mortgage loans held for investment (1,151,925) (2,658,540) (2,974,275)
Proceeds/payments received on mortgage loans held for investment 677,777 1,446,930 1,373,034
Purchases and origination of mortgage loans held for investment, subject to nonrecourse debt (12,247) (25,081) (31,730)
Proceeds/payments on mortgage loans held for investment, subject to nonrecourse debt 217,452 556,466 548,901
Purchases of debt securities (557) (1,449) (38,749)
Proceeds/payments on debt securities, net 2,096 3,238 138,320
Purchases of mortgage servicing rights (9,014) (2,352)  
Proceeds on sale of mortgage servicing rights 7,765 2,501  
Acquisition of subsidiaries, net of cash acquired (749) (22,838) 351
Purchase of investments     (3,938)
Acquisition of fixed assets (4,178) (8,636) (5,611)
Payments on deferred purchase price liability (657) (311) (1,504)
Issuance of convertible notes receivable (2,550)    
DIP Financing (35,260)    
Net cash used in investing activities (312,047) (710,072) (995,201)
Financing Activities      
Proceeds from securitizations of reverse mortgage loans, subject to HMBS related obligations 602,172 1,587,902 1,433,324
Payments of HMBS related obligations (506,142) (1,221,327) (1,495,917)
Proceeds from issuance of nonrecourse debt, net 579,518 1,270,334 2,554,115
Payments on nonrecourse debt (658,300) (809,184) (1,132,984)
Proceeds from other financing lines of credit 10,027,696 18,451,706 25,119,693
Payments on other financing lines of credit (9,660,588) (18,401,507) (24,942,223)
Debt issuance costs (2,467) (1,342) (3,191)
Payments on notes payable     (26,771)
Principal payments under capital lease obligation     (680)
Member contributions 1,426 0 234
Member distributions (75,000) 0 (1,552)
Settlement of CRNCI   (203,216)  
Noncontrolling interest contributions   24 16
Noncontrolling interest distributions (620) (555) (1,012)
Net cash provided by financing activities 307,695 672,835 1,503,052
Foreign currency translation adjustment (7) (15) 12
Net increase (decrease) in cash and restricted cash 113,684 (109,865) 131,091
Cash and restricted cash, beginning of period 539,363 626,827 382,664
Cash and restricted cash, end of period 653,047 516,962 513,755
Supplementary Cash Flows Information      
Cash paid for interest 50,071 124,312 103,578
Cash paid for taxes, net 63 1,882 1,026
Loans transferred to mortgage loans held for investment, at fair value, from mortgage loans held for investment, subject to nonrecourse debt, at fair value 283,428 242,650 444,238
Loans transferred to mortgage loans held for sale, at fair value, from mortgage loans held for investment, at fair value   48,759 167,590
Loans transferred to government guaranteed receivables from mortgage loans held for investment, at fair value, and mortgage loans held for investment, subject to nonrecourse debt, at fair value 71 343 57,554
Loans transferred to mortgage loans held for investment, subject to nonrecourse debt, at fair value, from mortgage loans held for investment, at fair value 272,098 1,309,669 $ 2,591,455
Loans transferred to mortgage loans held for investment, subject to HMBS, at fair value, from mortgage loans held for investment, at fair value $ 42,909 $ 1,393,897