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10. Fair Value Measurements (Tables)
6 Months Ended
Jun. 30, 2016
Fair Value Disclosures [Abstract]  
Estimated fair values of financial assets and liabilities

   As of June 30, 2016 
Financial Instrument  (In thousands) 
   Carrying   Fair Value Measurements Using:     
   Value   Level 1   Level 2   Level 3   Total 
Assets:                         
Cash and cash equivalents  $15,752   $15,752   $    –   $   $15,752 
Restricted cash and equivalents  115,268    115,268           115,268 
Finance receivables, net  2,128,221           2,066,721    2,066,721 
Finance receivables measured at fair value  13           13    13 
Accrued interest receivable  33,598           33,598    33,598 
Liabilities:                         
Warehouse lines of credit  $165,103   $   $   $165,103   $165,103 
Accrued interest payable  3,913            3,913    3,913 
Residual interest financing  7,455           7,455    7,455 
Securitization trust debt  1,956,620           1,960,990    1,960,990 
Subordinated renewable notes  15,257           15,257    15,257 

 

   As of December 31, 2015 
Financial Instrument  (In thousands) 
   Carrying   Fair Value Measurements Using:     
   Value   Level 1   Level 2   Level 3   Total 
Assets:                         
Cash and cash equivalents  $19,322   $19,322   $   –   $   $19,322 
Restricted cash and equivalents  106,054    106,054           106,054 
Finance receivables, net  1,909,490           1,879,510    1,879,510 
Finance receivables measured at fair value  61           61    61 
Accrued interest receivable  31,547           31,547    31,547 
Liabilities:                         
Warehouse lines of credit  $196,461   $   $   $196,461   $196,461 
Accrued interest payable  3,260            3,260    3,260 
Residual interest financing  9,042           9,042    9,042 
Securitization trust debt  1,731,598           1,718,418    1,718,418 
Subordinated renewable notes  15,138           15,138    15,138