v3.25.2
Condensed Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Cash flows from operating activities    
Net income before noncontrolling interests $ 36,674 $ 31,110
Adjustments to reconcile net income to net cash provided by (used in) operating activities:    
Gains attributable to the fair value of future servicing rights, net of guaranty obligation (80,964) (54,247)
Change in the fair value of premiums and origination fees (16,798) 2,947
Amortization and depreciation 116,557 111,934
Provision (benefit) for credit losses 5,532 3,460
Originations of loans held for sale (5,310,528) (3,192,112)
Proceeds from transfers of loans held for sale 4,742,908 2,959,268
Other operating activities, net (12,941) (61,809)
Net cash provided by (used in) operating activities (519,560) (199,449)
Cash flows from investing activities    
Capital expenditures (6,195) (7,056)
Purchases of equity-method investments (16,792) (11,537)
Purchases of pledged available-for-sale ("AFS") securities (21,989) (20,900)
Proceeds from prepayment and sale of pledged AFS securities 4,547 3,577
Originations and repurchase of loans held for investment (24,381) (13,469)
Principal collected on loans held for investment   16,580
Other investing activities, net 2,884 3,194
Net cash provided by (used in) investing activities (61,926) (29,611)
Cash flows from financing activities    
Borrowings (repayments) of warehouse notes payable, net 559,042 222,197
Repayments of interim warehouse notes payable   (13,884)
Repayments of notes payable (329,606) (4,006)
Borrowings of notes payable 398,875  
Repurchase of common stock (9,232) (10,598)
Cash dividends paid (45,858) (44,213)
Payment of contingent consideration (10,954) (25,873)
Debt issuance costs (14,964)  
Other financing activities, net (947) (4,476)
Net cash provided by (used in) financing activities 546,356 119,147
Net increase (decrease) in cash, cash equivalents, restricted cash, and restricted cash equivalents (NOTE 2) (35,130) (109,913)
Cash, cash equivalents, restricted cash, and restricted cash equivalents at beginning of period 327,898 391,403
Total of cash, cash equivalents, restricted cash, and restricted cash equivalents at end of period 292,768 281,490
Supplemental Disclosure of Cash Flow Information:    
Cash paid to third parties for interest 35,093 43,668
Cash paid for income taxes, net of cash refunds received $ 15,910 $ 17,105