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Condensed Consolidating Guarantor Financial Statements Details BS (Details) (USD $)
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Dec. 31, 2013
Parent Company
Dec. 31, 2012
Parent Company
Dec. 31, 2011
Parent Company
Dec. 31, 2010
Parent Company
Dec. 31, 2013
Guarantor Subsidiaries
Dec. 31, 2012
Guarantor Subsidiaries
Dec. 31, 2011
Guarantor Subsidiaries
Dec. 31, 2010
Guarantor Subsidiaries
Dec. 31, 2013
Non-Guarantor Subsidiaries
Dec. 31, 2012
Non-Guarantor Subsidiaries
Dec. 31, 2011
Non-Guarantor Subsidiaries
Dec. 31, 2010
Non-Guarantor Subsidiaries
Dec. 31, 2013
Consolidating Eliminations
Dec. 31, 2012
Consolidating Eliminations
Dec. 31, 2011
Consolidating Eliminations
Dec. 31, 2010
Consolidating Eliminations
Mar. 24, 2014
Subsequent Event
Condensed Financial Statements, Captions [Line Items]                                          
Face amount                                         $ 200,000,000
Stated interest rate                                         6.75%
Ownership percentage                                         100.00%
ASSETS                                          
Cash and cash equivalents 70,643,000 50,285,000 70,296,000 67,240,000 24,674,000 12,145,000 43,468,000 44,001,000 4,240,000 3,885,000 4,928,000 4,360,000 41,729,000 34,255,000 21,900,000 18,879,000 0 0 0 0  
Pawn loan fees and service charges receivable 16,689,000 15,158,000     0 0     7,934,000 6,999,000     8,755,000 8,159,000     0 0      
Pawn loans 115,234,000 103,181,000     0 0     56,566,000 50,091,000     58,668,000 53,090,000     0 0      
Consumer loans, net 1,450,000 1,879,000     0 0     694,000 1,076,000     756,000 803,000     0 0      
Inventories 77,793,000 65,345,000 44,412,000   0 0     33,817,000 29,325,000     43,976,000 36,020,000     0 0      
Prepaid expenses and other current assets 3,369,000 4,434,000     1,971,000 3,733,000     0 0     1,398,000 1,263,000     0 (562,000)      
Deferred tax assets 5,044,000 1,148,000     907,000 1,148,000     0 0     4,137,000 0     0 0      
Total current assets 290,222,000 241,430,000     27,552,000 17,026,000     103,251,000 91,376,000     159,419,000 133,590,000     0 (562,000)      
Property and equipment, net 108,137,000 93,304,000     4,155,000 3,732,000     47,374,000 38,802,000     56,608,000 50,770,000     0 0      
Goodwill, net 251,241,000 166,386,000 69,652,000   0 0     149,470,000 95,368,000     101,771,000 71,018,000     0 0      
Other non-current assets 9,373,000 6,572,000     0 0     6,020,000 3,503,000     3,353,000 3,069,000     0 0      
Deferred tax assets 0 0     0 0     0 0     6,943,000 3,447,000     (6,943,000) (3,447,000)      
Intercompany receivable 0 0     0 0     0 0     156,794,000 118,494,000     (156,794,000) (118,494,000)      
Investments in subsidiaries 0 0     751,785,000 572,928,000     0 0     0 0     (751,785,000) (572,928,000)      
Total assets 658,973,000 507,692,000     783,492,000 593,686,000     306,115,000 229,049,000     484,888,000 380,388,000     (915,522,000) (695,431,000)      
LIABILITIES AND STOCKHOLDERS' EQUITY                                          
Current portion of notes payable 3,326,000 3,212,000     3,326,000 3,212,000     0 0     0 0     0 0      
Accounts payable and accrued liabilities 38,023,000 27,938,000     13,804,000 7,629,000     6,942,000 5,585,000     17,277,000 14,724,000     0 0      
Income taxes payable 7,412,000 0     7,302,000 0     0 0     110,000 562,000     0 (562,000)      
Total current liabilities 48,761,000 31,150,000     24,432,000 10,841,000     6,942,000 5,585,000     17,387,000 15,286,000     0 (562,000)      
Revolving unsecured credit facility 182,000,000 102,500,000     182,000,000 102,500,000     0 0     0 0     0 0      
Notes payable, net of current portion 5,026,000 8,351,000     5,026,000 8,351,000     0 0     0 0     0 0      
Deferred income tax liabilities 8,827,000 13,275,000     881,000 1,084,000     10,080,000 8,492,000     4,809,000 7,146,000     (6,943,000) (3,447,000)      
Intercompany payable 0 0     156,794,000 118,494,000     0 0     0 0     (156,794,000) (118,494,000)      
Total liabilities 244,614,000 155,276,000     369,133,000 241,270,000     17,022,000 14,077,000     22,196,000 22,432,000     (163,737,000) (122,503,000)      
Stockholders' equity:                                          
Preferred stock 0 0     0 0     0 0     0 0     0 0      
Common stock 394,000 388,000     394,000 388,000     0 0     0 0     0 0      
Additional paid-in capital 176,675,000 159,081,000     176,675,000 159,081,000     0 0     0 0     0 0      
Retained earnings 497,728,000 413,882,000     490,280,000 407,160,000     289,093,000 214,972,000     470,140,000 364,678,000     (751,785,000) (572,928,000)      
Accumulated other comprehensive income (loss) from cumulative foreign currency translation adjustments (7,751,000) (6,940,000)     (303,000) (218,000)     0 0     (7,448,000) (6,722,000)     0 0      
Common stock held in treasury, at cost (252,687,000) (213,995,000)     (252,687,000) (213,995,000)     0 0     0 0     0 0      
Total stockholders' equity 414,359,000 352,416,000     414,359,000 352,416,000     289,093,000 214,972,000     462,692,000 357,956,000     (751,785,000) (572,928,000)      
Total liabilities and stockholders' equity $ 658,973,000 $ 507,692,000     $ 783,492,000 $ 593,686,000     $ 306,115,000 $ 229,049,000     $ 484,888,000 $ 380,388,000     $ (915,522,000) $ (695,431,000)