Quarterly report pursuant to Section 13 or 15(d)

UNAUDITED CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS

v3.24.3
UNAUDITED CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended 12 Months Ended
Sep. 30, 2024
Mar. 31, 2024
Sep. 30, 2023
Mar. 31, 2023
Sep. 30, 2024
Sep. 30, 2023
Dec. 31, 2023
Cash flows from operating activities              
Net (loss) income $ (66,951) $ 28,400 $ 54,243 $ (37,195) $ (960) $ 53,984  
Adjustments to reconcile net (loss) income to net cash used in operating activities:              
Depreciation and amortization 3,753   3,664   11,477 11,063  
Valuation adjustment of mortgage servicing rights 145,776   (22,077)   122,864 4,904  
Valuation adjustment of mortgage loans held for sale         (1,419) 3,611  
Valuation adjustment of reverse mortgage loans held for investment and HMBS-related borrowings (2,367)   (2,755)   (7,731) (5,061)  
Unrealized gain on derivatives         (15,023) (26,454)  
Amortization of right-of-use assets         17,032 16,219  
Provision for investor reserves 6,418   3,029   10,974 8,047  
Provision for foreclosure losses 613   84   509 554  
Valuation adjustment of contingent liabilities due to acquisitions, net         10,621 865  
Gain on sale of mortgage loans excluding fair value of other financial instruments, net         (407,452) (247,547)  
Deferred income taxes         (3,659) 18,420  
Stock-based compensation         7,681 6,417  
Origination of mortgage servicing rights         (141,113) (123,678)  
Origination and purchase of mortgage loans held for sale         (15,977,511) (10,910,122)  
Proceeds on sale of and payments from mortgage loans held for sale         15,524,488 11,067,062  
Other         4,954 1,316  
Changes in operating assets and liabilities:              
Advances and other assets         2,276 34,546  
Accounts payable and accrued expenses         26,600 775  
Operating lease liabilities         (17,843) (16,810)  
Other liabilities         (28,482) (8,782)  
Net cash used in operating activities         (861,717) (110,671)  
Cash flows from investing activities              
Acquisition of businesses, net of cash acquired         (17,710) (8,030)  
Origination and purchase of reverse mortgage loans held for investment         (102,265) (77,297)  
Principal payments received on reverse mortgage loans held for investment         32,559 734  
Issuance of notes receivable         0 (16,250)  
Purchases of property and equipment, net         (7,372) (4,644)  
Other         (20,813) (357)  
Net cash used in investing activities         (115,601) (105,844)  
Cash flows from financing activities              
Borrowings on warehouse lines of credit         17,149,169 11,078,901  
Repayments on warehouse lines of credit         (16,333,345) (10,951,552)  
Proceeds from issuance of reverse mortgage loans and tails accounted for as HMBS-related obligations         103,892 71,445  
Repayments on HMBS-related obligations         (30,346) 0  
Borrowings on notes payable         122,234 148,766  
Repayments on notes payable         (31,000) (126,250)  
Contingent liability payments         (27) 0  
Net change in related party notes payable         0 (530)  
Dividends paid         (30,702) (30,479) $ (30,500)
Repurchases of Class A common stock         (791) (2,132)  
Taxes paid related to net share settlement of equity awards         (1,177) (524)  
Other         13,801 0  
Net cash provided by financing activities         961,708 187,645  
Decrease in cash, cash equivalents and restricted cash         (15,610) (28,870)  
Cash, cash equivalents and restricted cash, beginning of period   $ 127,381   $ 146,754 127,381 146,754 146,754
Cash, cash equivalents and restricted cash, end of period 111,771   117,884   111,771 117,884 127,381
Supplemental information              
Cash paid for interest, net         30,709 12,091  
Income tax refunds, net of cash paid         (5,476) (17,438)  
Supplemental disclosure of non-cash investing activities:              
Measurement period adjustment to goodwill         0 760 758
Cash, cash equivalents and restricted cash at end of period are comprised of the following:              
Cash and cash equivalents 106,151   114,352   106,151 114,352 120,260
Restricted cash 5,620   3,532   5,620 3,532 7,121
Total cash, cash equivalents and restricted cash $ 111,771   $ 117,884   $ 111,771 $ 117,884 $ 127,381