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7. Securitization Trust Debt (Details) (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2013
Dec. 31, 2012
Schedule of Held-to-maturity Securities [Line Items]    
Receivables Pledged at end of period $ 1,142,236  
Initial Principal 2,067,617  
Outstanding Principal 1,177,559 792,497
CPS 2008-A [Member]
   
Schedule of Held-to-maturity Securities [Line Items]    
Final Scheduled Payment Date Oct-14  
Receivables Pledged at end of period 0  
Initial Principal 310,359  
Outstanding Principal 0 40,713
Page Five Funding [Member]
   
Schedule of Held-to-maturity Securities [Line Items]    
Final Scheduled Payment Date Jan-18  
Receivables Pledged at end of period 11,038  
Initial Principal 46,058  
Outstanding Principal 9,358 21,251
Weighted Average Contractual Interest Rate 9.37%  
CPS 2011-A [Member]
   
Schedule of Held-to-maturity Securities [Line Items]    
Final Scheduled Payment Date Apr-18  
Receivables Pledged at end of period 28,278  
Initial Principal 100,364  
Outstanding Principal 24,526 48,368
Weighted Average Contractual Interest Rate 3.42%  
CPS 2011-B [Member]
   
Schedule of Held-to-maturity Securities [Line Items]    
Final Scheduled Payment Date Sep-18  
Receivables Pledged at end of period 44,704  
Initial Principal 109,936  
Outstanding Principal 44,433 70,863
Weighted Average Contractual Interest Rate 4.67%  
CPS 2011-C [Member]
   
Schedule of Held-to-maturity Securities [Line Items]    
Final Scheduled Payment Date Mar-19  
Receivables Pledged at end of period 56,232  
Initial Principal 119,400  
Outstanding Principal 56,271 88,269
Weighted Average Contractual Interest Rate 5.01%  
CPS 2012-A [Member]
   
Schedule of Held-to-maturity Securities [Line Items]    
Final Scheduled Payment Date Jun-19  
Receivables Pledged at end of period 65,557  
Initial Principal 155,000  
Outstanding Principal 65,051 105,485
Weighted Average Contractual Interest Rate 3.56%  
CPS 2012-B [Member]
   
Schedule of Held-to-maturity Securities [Line Items]    
Final Scheduled Payment Date Sep-19  
Receivables Pledged at end of period 86,555  
Initial Principal 141,500  
Outstanding Principal 86,254 122,329
Weighted Average Contractual Interest Rate 3.24%  
CPS 2012-C [Member]
   
Schedule of Held-to-maturity Securities [Line Items]    
Final Scheduled Payment Date Dec-19  
Receivables Pledged at end of period 93,098  
Initial Principal 147,000  
Outstanding Principal 93,006 135,219
Weighted Average Contractual Interest Rate 2.59%  
CPS 2012-D [Member]
   
Schedule of Held-to-maturity Securities [Line Items]    
Final Scheduled Payment Date Mar-20  
Receivables Pledged at end of period 111,633  
Initial Principal 160,000  
Outstanding Principal 108,815 160,000
Weighted Average Contractual Interest Rate 2.17%  
CPS 2013-A [Member]
   
Schedule of Held-to-maturity Securities [Line Items]    
Final Scheduled Payment Date Jun-20  
Receivables Pledged at end of period 152,575  
Initial Principal 185,000  
Outstanding Principal 142,842 0
Weighted Average Contractual Interest Rate 1.90%  
CPS 2013-B [Member]
   
Schedule of Held-to-maturity Securities [Line Items]    
Final Scheduled Payment Date Sep-20  
Receivables Pledged at end of period 179,952  
Initial Principal 205,000  
Outstanding Principal 172,499 0
Weighted Average Contractual Interest Rate 2.32%  
CPS 2013-C [Member]
   
Schedule of Held-to-maturity Securities [Line Items]    
Final Scheduled Payment Date Dec-20  
Receivables Pledged at end of period 194,810  
Initial Principal 205,000  
Outstanding Principal 191,504 0
Weighted Average Contractual Interest Rate 2.41%  
CPS 2013-D [Member]
   
Schedule of Held-to-maturity Securities [Line Items]    
Final Scheduled Payment Date Mar-21  
Receivables Pledged at end of period 117,804  
Initial Principal 183,000  
Outstanding Principal $ 183,000 $ 0
Weighted Average Contractual Interest Rate 2.19%