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11. Fair Value measurements (Details 4) (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2013
Dec. 31, 2012
Assets:    
Cash and cash equivalents $ 18,584 $ 12,966
Restricted cash and equivalents 122,864 104,445
Finance receivables, net 920,878 740,511
Finance receivables measured at fair value 30,319 59,668
Residual interest in securitizations 2,246 4,824
Accrued interest receivable 12,905 10,411
Liabilities:    
Warrant derivative liability 17,144 355
Warehouse lines of credit   21,731
Accrued interest payable 3,183 2,795
Residual interest financing 33,773 13,773
Debt secured by receivables measured at fair value 25,622 57,107
Securitization trust debt 989,285 803,290
Senior secured debt 39,368 50,135
Subordinated renewable notes 22,569 23,281
Fair Value Inputs Level 1 [Member]
   
Assets:    
Cash and cash equivalents 18,584 12,966
Restricted cash and equivalents 122,864 104,445
Finance receivables, net      
Finance receivables measured at fair value      
Residual interest in securitizations      
Accrued interest receivable      
Liabilities:    
Warrant derivative liability     
Warehouse lines of credit     
Accrued interest payable      
Residual interest financing      
Debt secured by receivables measured at fair value      
Securitization trust debt     
Senior secured debt      
Subordinated renewable notes      
Level 2 [Member]
   
Assets:    
Cash and cash equivalents      
Restricted cash and equivalents      
Finance receivables, net      
Finance receivables measured at fair value      
Residual interest in securitizations      
Accrued interest receivable      
Liabilities:    
Warrant derivative liability     
Warehouse lines of credit     
Accrued interest payable      
Residual interest financing      
Debt secured by receivables measured at fair value      
Securitization trust debt     
Senior secured debt      
Subordinated renewable notes      
Level 3 [Member]
   
Assets:    
Cash and cash equivalents      
Restricted cash and equivalents      
Finance receivables, net 920,878 740,511
Finance receivables measured at fair value 30,319 59,668
Residual interest in securitizations 2,246 4,824
Accrued interest receivable 12,905 10,411
Liabilities:    
Warrant derivative liability 17,144 355
Warehouse lines of credit   21,731
Accrued interest payable 3,183 2,795
Residual interest financing 33,773 13,773
Debt secured by receivables measured at fair value 25,622 57,107
Securitization trust debt 989,285 803,290
Senior secured debt 39,368 50,135
Subordinated renewable notes 22,569 23,281
Carrying Value [Member]
   
Assets:    
Cash and cash equivalents 18,584 12,966
Restricted cash and equivalents 122,864 104,445
Finance receivables, net 939,813 744,749
Finance receivables measured at fair value 30,319 59,668
Residual interest in securitizations 2,246 4,824
Accrued interest receivable 12,905 10,411
Liabilities:    
Warrant derivative liability 17,144 355
Warehouse lines of credit   21,731
Accrued interest payable 3,183 2,795
Residual interest financing 33,773 13,773
Debt secured by receivables measured at fair value 25,622 57,107
Securitization trust debt 983,887 792,497
Senior secured debt 39,368 50,135
Subordinated renewable notes $ 22,569 $ 23,281