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Disclosure about Fair Value of Financial Instruments (Tables)
3 Months Ended
Mar. 31, 2013
Disclosure about fair value of financial instruments [Abstract]  
Carrying amount and estimated fair values of Company's financial instruments
                                 
    March 31,  2013
(Unaudited)
    December 31, 2012  
    Carrying
Amount
    Estimated
Fair Value
    Carrying
Amount
    Estimated
Fair Value
 

Assets

                               

Level 1 inputs

                               

Cash

  $ 857     $ 857     $ 3,298     $ 3,298  

Restricted cash

    1,338       1,338       1,338       1,338  

Level 2 inputs

                               

Interest rate caps

    —         —         1       1  

Level 3 inputs

                               

Net finance receivables

    405,801       405,801       413,943       413,943  

Repossessed assets

    659       659       711       711  

Liabilities

                               

Level 3 inputs

                               

Senior revolving credit facility

    273,037       273,037       292,379       292,379  

Other notes payable

    68       68       —         —