v3.25.1
UNAUDITED CONSOLIDATED BALANCE SHEETS - USD ($)
$ in Millions
Mar. 31, 2025
Dec. 31, 2024
Assets    
Cash and cash equivalents $ 178.0 $ 184.8
Restricted cash ($21.3 and $29.1 related to variable interest entities (VIEs)) 58.9 80.8
Mortgage servicing rights (MSRs), at fair value 2,547.4 2,466.3
Advances, net ($422.3 and $481.8 related to VIEs) 514.0 577.2
Loans held for sale, at fair value ($548.6 and $575.4 related to VIEs) 1,402.2 1,290.2
Loans held for investment, at fair value 10,812.5 11,125.3
Receivables, net ($32.3 and $31.9 related to VIEs) 222.3 176.4
Premises and equipment, net 10.8 11.0
Other assets 106.0 111.3
Contingent loan repurchase asset 407.2 412.2
Total assets 16,259.3 16,435.4
Liabilities    
Home Equity Conversion Mortgage-Backed Securities (HMBS) related borrowings, at fair value 10,587.6 10,872.1
Other financing liabilities, at fair value ($317.2 and $322.7 due to related party) 835.5 846.9
Advance match funded liabilities ($376.9 and $416.5 related to VIEs) 377.5 417.1
Mortgage loan financing facilities, net ($452.5 and $481.9 related to VIEs) 1,577.4 1,528.2
MSR financing facilities, net 1,136.0 957.9
Senior notes, net 488.0 487.4
Other liabilities ($6.9 and $28.0 carried at fair value) 340.0 420.6
Contingent loan repurchase liability 407.2 412.2
Total liabilities 15,749.2 15,942.5
Commitments and Contingencies (Notes 22 and 23)
Temporary Equity, Par Value 49.9 49.9
Stockholders’ Equity    
Common stock, $0.01 par value; 13,333,333 shares authorized; 7,981,005 and 7,873,053 shares issued and outstanding at March 31, 2025 and December 31, 2024, respectively 0.1 0.1
Additional paid-in capital 554.3 559.3
Accumulated deficit (95.5) (117.6)
Accumulated other comprehensive income (loss), net of income taxes 1.3 1.2
Total stockholders’ equity 460.2 442.9
Total liabilities, mezzanine equity and stockholders’ equity $ 16,259.3 $ 16,435.4