ORGANIZATION AND BASIS OF PRESENTATION (Tables)
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3 Months Ended |
Mar. 31, 2020 |
Organization, Consolidation and Presentation of Financial Statements [Abstract] |
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Lease, Cost |
The table below outlines our ROU assets and lease liabilities (in thousands):
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As of |
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March 31, 2020 |
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December 31, 2019 |
ROU assets |
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$ |
25,102 |
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$ |
26,332 |
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Lease liabilities |
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32,740 |
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34,231 |
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Schedule of Surety Bond and Letter of Credit Obligations |
The table below outlines our surety bond and letter of credit obligations (in thousands):
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As of |
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March 31, 2020 |
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December 31, 2019 |
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Outstanding |
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Estimated work remaining to complete |
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Outstanding |
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Estimated work remaining to complete |
Sureties: |
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Sureties related to owned projects and lots under contract |
$ |
402,203 |
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$ |
173,494 |
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$ |
405,017 |
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$ |
186,986 |
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Total Sureties |
$ |
402,203 |
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$ |
173,494 |
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$ |
405,017 |
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$ |
186,986 |
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Letters of Credit (“LOCs”): |
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LOCs for land development |
64,889 |
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N/A |
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57,192 |
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N/A |
LOCs for general corporate operations |
3,750 |
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N/A |
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3,750 |
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N/A |
Total LOCs |
$ |
68,639 |
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N/A |
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$ |
60,942 |
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N/A |
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Schedule of Accrued Liabilities |
Accrued liabilities at March 31, 2020 and December 31, 2019 consisted of the following (in thousands):
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As of |
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March 31, 2020 |
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December 31, 2019 |
Accruals related to real estate development and construction activities |
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$ |
76,330 |
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$ |
74,448 |
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Payroll and other benefits |
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34,241 |
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67,734 |
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Accrued interest |
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24,315 |
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8,758 |
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Accrued taxes |
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13,686 |
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8,459 |
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Warranty reserves |
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22,090 |
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22,015 |
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Lease liabilities |
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32,740 |
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34,231 |
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Other accruals |
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12,932 |
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10,363 |
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Total |
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$ |
216,334 |
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$ |
226,008 |
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Summary of Changes in Warranty Reserves |
A summary of changes in our warranty reserves follows (in thousands):
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Three Months Ended March 31, |
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2020 |
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2019 |
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Balance, beginning of period |
$ |
22,015 |
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$ |
24,552 |
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Additions to reserve from new home deliveries |
3,810 |
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3,387 |
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Warranty claims |
(3,735) |
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(4,726) |
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Adjustments to pre-existing reserves |
— |
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— |
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Balance, end of period |
$ |
22,090 |
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$ |
23,213 |
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