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3. Securitization Trust Debt (Details) - USD ($)
$ in Thousands
9 Months Ended
Sep. 30, 2015
Dec. 31, 2014
"Securitization trust debt," and components of debt    
Receivables Pledged at end of period $ 1,929,280  
Initial Principal 3,429,200  
Outstanding Principal $ 1,903,578 $ 1,598,496
CPS 2011-A [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date April 2018  
Receivables Pledged at end of period $ 0  
Initial Principal 100,364  
Outstanding Principal $ 0 8,457
Weighted Average Contractual Interest Rate end of period 0.00%  
CPS 2011-B [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date September 2018  
Receivables Pledged at end of period $ 13,377  
Initial Principal 109,936  
Outstanding Principal $ 12,772 22,985
Weighted Average Contractual Interest Rate end of period 4.41%  
CPS 2011-C [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date March 2019  
Receivables Pledged at end of period $ 18,242  
Initial Principal 119,400  
Outstanding Principal $ 18,157 30,601
Weighted Average Contractual Interest Rate end of period 4.89%  
CPS 2012-A [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date June 2019  
Receivables Pledged at end of period $ 22,383  
Initial Principal 155,000  
Outstanding Principal $ 20,863 35,923
Weighted Average Contractual Interest Rate end of period 3.20%  
CPS 2012-B [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date September 2019  
Receivables Pledged at end of period $ 32,755  
Initial Principal 141,500  
Outstanding Principal $ 31,791 50,125
Weighted Average Contractual Interest Rate end of period 3.05%  
CPS 2012-C [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date December 2019  
Receivables Pledged at end of period $ 37,358  
Initial Principal 147,000  
Outstanding Principal $ 36,281 55,619
Weighted Average Contractual Interest Rate end of period 2.35%  
CPS 2012-D [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date March 2020  
Receivables Pledged at end of period $ 45,427  
Initial Principal 160,000  
Outstanding Principal $ 43,822 67,833
Weighted Average Contractual Interest Rate end of period 1.99%  
CPS 2013-A [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date June 2020  
Receivables Pledged at end of period $ 66,889  
Initial Principal 185,000  
Outstanding Principal $ 65,182 97,775
Weighted Average Contractual Interest Rate end of period 1.87%  
CPS 2013-B [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date September 2020  
Receivables Pledged at end of period $ 82,263  
Initial Principal 205,000  
Outstanding Principal $ 80,244 118,692
Weighted Average Contractual Interest Rate end of period 2.39%  
CPS 2013-C [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date December 2020  
Receivables Pledged at end of period $ 95,208  
Initial Principal 205,000  
Outstanding Principal $ 94,095 133,628
Weighted Average Contractual Interest Rate end of period 3.22%  
CPS 2013-D [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date March 2021  
Receivables Pledged at end of period $ 94,650  
Initial Principal 183,000  
Outstanding Principal $ 93,291 132,150
Weighted Average Contractual Interest Rate end of period 2.82%  
CPS 2014-A [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date June 2021  
Receivables Pledged at end of period $ 104,926  
Initial Principal 180,000  
Outstanding Principal $ 103,290 143,456
Weighted Average Contractual Interest Rate end of period 2.37%  
CPS 2014-B [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date September 2021  
Receivables Pledged at end of period $ 135,749  
Initial Principal 202,500  
Outstanding Principal $ 134,742 177,601
Weighted Average Contractual Interest Rate end of period 2.11%  
CPS 2014-C [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date December 2021  
Receivables Pledged at end of period $ 204,004  
Initial Principal 273,000  
Outstanding Principal $ 201,727 256,151
Weighted Average Contractual Interest Rate end of period 2.31%  
CPS 2014-D [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date March 2022  
Receivables Pledged at end of period $ 219,252  
Initial Principal 267,500  
Outstanding Principal $ 216,362 267,500
Weighted Average Contractual Interest Rate end of period 2.54%  
CPS 2015-A [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date June 2022  
Receivables Pledged at end of period $ 220,214  
Initial Principal 245,000  
Outstanding Principal $ 215,598 0
Weighted Average Contractual Interest Rate end of period 2.42%  
CPS 2015-B [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date September 2022  
Receivables Pledged at end of period $ 238,978  
Initial Principal 250,000  
Outstanding Principal $ 235,361 0
Weighted Average Contractual Interest Rate end of period 2.52%  
CPS 2015-C(3) [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date December 2022  
Receivables Pledged at end of period $ 297,605  
Initial Principal 300,000  
Outstanding Principal $ 300,000 $ 0
Weighted Average Contractual Interest Rate end of period 2.89%