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CONDENSED CONSOLIDATED BALANCE SHEETS - USD ($)
$ in Thousands
Sep. 30, 2025
Dec. 31, 2024
Sep. 30, 2024
Current assets      
Cash and cash equivalents $ 130,240 $ 175,095 $ 106,320
Accounts receivable, net 115,850 73,325 74,378
Pawn loans 788,130 517,867 517,877
Finance receivables, net 153,134 147,501 123,751
Inventories 456,273 334,580 334,394
Leased merchandise, net 99,725 128,437 137,769
Prepaid expenses and other current assets 49,008 26,943 34,861
Total current assets 1,792,360 1,403,748 1,329,350
Property and equipment, net 786,389 717,916 689,075
Operating lease right of use asset 371,311 324,646 329,228
Goodwill 1,970,358 1,787,172 1,788,795
Intangible assets, net 246,722 228,858 241,389
Other assets 9,775 9,934 10,339
Deferred tax assets, net 5,401 4,712 4,671
Total assets 5,182,316 4,476,986 4,392,847
Current liabilities      
Accounts payable and accrued liabilities 163,412 171,540 133,792
Customer deposits and prepayments 84,520 72,703 78,083
Lease liability, current 111,327 95,161 96,598
Total current liabilities 359,259 339,404 308,473
Revolving unsecured credit facility 575,000 198,000 200,000
Other long-term debt 1,638,106 1,531,346 1,530,604
Deferred tax liabilities, net 155,295 128,574 127,425
Lease liability, non-current 255,010 225,498 227,151
Total liabilities 2,982,670 2,422,822 2,393,653
Stockholders’ equity:      
Common stock 575 575 575
Additional paid-in capital 1,766,282 1,767,569 1,764,351
Retained earnings 1,584,851 1,411,083 1,344,542
Accumulated other comprehensive loss (76,766) (129,596) (114,807)
Common stock held in treasury, at cost (1,075,296) (995,467) (995,467)
Total stockholders’ equity 2,199,646 2,054,164 1,999,194
Total liabilities and stockholders’ equity $ 5,182,316 $ 4,476,986 $ 4,392,847