Annual report pursuant to Section 13 and 15(d)

Schedule of Real Estate Securities Holdings in an Unrealized Loss Position and the Associated Intent to Sell (Details)

v2.4.0.6
Schedule of Real Estate Securities Holdings in an Unrealized Loss Position and the Associated Intent to Sell (Details) (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2012
Fair Value $ 566,534
Amortized Cost Basis After Impairment 582,508
Unrealized Credit Losses (4,770)
Unrealized NonCredit Losses (15,974)
RE Securities Intended to Sell
 
Fair Value   
Amortized Cost Basis After Impairment   
Unrealized Credit Losses   
Unrealized NonCredit Losses N/A
RE Securities More Likely to Sell
 
Fair Value   
Amortized Cost Basis After Impairment   
Unrealized Credit Losses   
Unrealized NonCredit Losses N/A
RE Securities No Intent to Sell Credit Impaired
 
Fair Value 1,607
Amortized Cost Basis After Impairment 1,849
Unrealized Credit Losses (4,770)
Unrealized NonCredit Losses (242)
RE Securities No Intent to Sell Non Credit Impaired
 
Fair Value 564,927
Amortized Cost Basis After Impairment 580,659
Unrealized Credit Losses   
Unrealized NonCredit Losses $ (15,732)