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Investment in Receivable Portfolios, Net - Accretable Yield and an Estimate of Zero Basis Future Cash Flows (Details) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended
Jun. 30, 2018
Mar. 31, 2018
Jun. 30, 2017
Mar. 31, 2017
Jun. 30, 2018
Jun. 30, 2017
Investment in Receivables Portfolio [Roll Forward]            
Balance at beginning of period $ 4,052,799 $ 4,064,701 $ 3,412,753 $ 3,457,508 $ 4,064,701 $ 3,457,508
Revenue from receivable portfolios (292,662) (281,009) (263,407) (249,838) (573,671) (513,245)
Allowance reversals on receivable portfolios, net 17,632 (9,811) 8,829 (2,132) 27,443 10,961
Reductions on existing portfolios, net   (64,474)   (32,692)    
Additions on existing portfolios, net 142,091   234,909      
Additions for current purchases 345,006 285,172 258,687 200,728    
Effect of foreign currency translation (98,045) 58,220 66,174 39,179    
Balance at end of period 4,131,557 4,052,799 3,700,287 3,412,753 4,131,557 3,700,287
Accretable Yield            
Investment in Receivables Portfolio [Roll Forward]            
Balance at beginning of period 3,754,970 3,695,069 3,029,588 3,092,004 3,695,069 3,092,004
Revenue from receivable portfolios (258,698) (249,821) (224,310) (211,105)    
Allowance reversals on receivable portfolios, net 15,411 (8,082) 7,121 (613)    
Reductions on existing portfolios, net   (24,945)   (90,138)    
Additions on existing portfolios, net 136,267   225,021      
Additions for current purchases 345,006 285,172 258,687 200,728    
Effect of foreign currency translation (97,448) 57,577 66,927 38,712    
Balance at end of period 3,864,686 3,754,970 3,348,792 3,029,588 3,864,686 3,348,792
Estimate of Zero Basis Cash Flows            
Investment in Receivables Portfolio [Roll Forward]            
Balance at beginning of period 297,829 369,632 383,165 365,504 369,632 365,504
Revenue from receivable portfolios (33,964) (31,188) (39,097) (38,733)    
Allowance reversals on receivable portfolios, net 2,221 (1,729) 1,708 (1,519)    
Reductions on existing portfolios, net   (39,529)        
Additions on existing portfolios, net 5,824   9,888 57,446    
Additions for current purchases 0 0 0 0    
Effect of foreign currency translation (597) 643 (753) 467    
Balance at end of period $ 266,871 $ 297,829 $ 351,495 $ 383,165 $ 266,871 $ 351,495