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4. Securitization Trust Debt (Details) (USD $)
In Thousands, unless otherwise specified
9 Months Ended
Sep. 30, 2014
Dec. 31, 2013
"Securitization trust debt," and components of debt    
Receivables Pledged at end of period $ 1,405,286  
Initial Principal 2,418,050  
Outstanding Principal 1,469,670 1,177,559
Page Five Funding [Member]
   
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date January 2018  
Receivables Pledged at end of period 5,781  
Initial Principal 46,058  
Outstanding Principal 3,862 9,358
Weighted Average Contractual Interest Rate end of period 9.28%  
CPS 2011-A [Member]
   
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date April 2018  
Receivables Pledged at end of period 15,687  
Initial Principal 104,546  
Outstanding Principal 11,665 24,526
Weighted Average Contractual Interest Rate end of period 2.86%  
CPS 2011-B [Member]
   
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date September 2018  
Receivables Pledged at end of period 27,632  
Initial Principal 111,046  
Outstanding Principal 27,235 44,433
Weighted Average Contractual Interest Rate end of period 4.53%  
CPS 2011-C [Member]
   
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date March 2019  
Receivables Pledged at end of period 35,992  
Initial Principal 119,400  
Outstanding Principal 35,773 56,271
Weighted Average Contractual Interest Rate end of period 4.92%  
CPS 2012-A [Member]
   
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date June 2019  
Receivables Pledged at end of period 42,577  
Initial Principal 155,000  
Outstanding Principal 41,703 65,051
Weighted Average Contractual Interest Rate end of period 3.44%  
CPS 2012-B [Member]
   
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date September 2019  
Receivables Pledged at end of period 58,409  
Initial Principal 141,500  
Outstanding Principal 57,490 86,254
Weighted Average Contractual Interest Rate end of period 3.14%  
CPS 2012-C [Member]
   
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date December 2019  
Receivables Pledged at end of period 64,289  
Initial Principal 147,000  
Outstanding Principal 63,376 93,006
Weighted Average Contractual Interest Rate end of period 2.48%  
CPS 2012-D [Member]
   
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date March 2020  
Receivables Pledged at end of period 77,951  
Initial Principal 160,000  
Outstanding Principal 77,234 108,815
Weighted Average Contractual Interest Rate end of period 2.14%  
CPS 2013-A [Member]
   
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date June 2020  
Receivables Pledged at end of period 110,393  
Initial Principal 185,000  
Outstanding Principal 109,937 142,842
Weighted Average Contractual Interest Rate end of period 2.00%  
CPS 2013-B [Member]
   
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date September 2020  
Receivables Pledged at end of period 133,324  
Initial Principal 205,000  
Outstanding Principal 131,358 172,499
Weighted Average Contractual Interest Rate end of period 2.45%  
CPS 2013-C [Member]
   
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date December 2020  
Receivables Pledged at end of period 150,069  
Initial Principal 205,000  
Outstanding Principal 147,671 191,504
Weighted Average Contractual Interest Rate end of period 2.64%  
CPS 2013-D [Member]
   
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date March 2021  
Receivables Pledged at end of period 148,167  
Initial Principal 183,000  
Outstanding Principal 144,868 183,000
Weighted Average Contractual Interest Rate end of period 2.36%  
CPS 2014-A [Member]
   
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date June 2021  
Receivables Pledged at end of period 159,479  
Initial Principal 180,000  
Outstanding Principal 155,381 0
Weighted Average Contractual Interest Rate end of period 1.98%  
CPS 2014-B [Member]
   
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date September 2021  
Receivables Pledged at end of period 192,600  
Initial Principal 202,500  
Outstanding Principal 189,117 0
Weighted Average Contractual Interest Rate end of period 1.82%  
CPS 2014-C [Member]
   
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date December 2021  
Receivables Pledged at end of period 182,936  
Initial Principal 273,000  
Outstanding Principal $ 273,000 $ 0
Weighted Average Contractual Interest Rate end of period 2.05%