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3. Securitization Trust Debt (Details) - USD ($)
$ in Thousands
6 Months Ended
Jun. 30, 2016
Dec. 31, 2015
"Securitization trust debt," and components of debt    
Receivables Pledged at end of period $ 2,011,206  
Initial Principal 3,990,986  
Outstanding Principal $ 1,969,614 $ 1,731,598
CPS 2011-B [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date September 2018  
Receivables Pledged at end of period $ 0  
Initial Principal 109,936  
Outstanding Principal $ 0 10,023
Weighted Average Contractual Interest Rate  
CPS 2011-C [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date March 2019  
Receivables Pledged at end of period $ 0  
Initial Principal 119,400  
Outstanding Principal $ 0 14,785
Weighted Average Contractual Interest Rate  
CPS 2012-A [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date June 2019  
Receivables Pledged at end of period $ 0  
Initial Principal 155,000  
Outstanding Principal $ 0 16,795
Weighted Average Contractual Interest Rate  
CPS 2012-B [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date September 2019  
Receivables Pledged at end of period $ 18,621  
Initial Principal 141,500  
Outstanding Principal $ 18,275 26,758
Weighted Average Contractual Interest Rate 3.10%  
CPS 2012-C [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date December 2019  
Receivables Pledged at end of period $ 21,589  
Initial Principal 147,000  
Outstanding Principal $ 21,269 30,653
Weighted Average Contractual Interest Rate 2.39%  
CPS 2012-D [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date March 2020  
Receivables Pledged at end of period $ 27,579  
Initial Principal 160,000  
Outstanding Principal $ 26,304 37,464
Weighted Average Contractual Interest Rate 1.87%  
CPS 2013-A [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date June 2020  
Receivables Pledged at end of period $ 42,677  
Initial Principal 185,000  
Outstanding Principal $ 40,925 56,583
Weighted Average Contractual Interest Rate 1.77%  
CPS 2013-B [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date September 2020  
Receivables Pledged at end of period $ 54,229  
Initial Principal 205,000  
Outstanding Principal $ 51,854 70,332
Weighted Average Contractual Interest Rate 2.28%  
CPS 2013-C [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date December 2020  
Receivables Pledged at end of period $ 63,533  
Initial Principal 205,000  
Outstanding Principal $ 62,695 82,851
Weighted Average Contractual Interest Rate 4.00%  
CPS 2013-D [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date March 2021  
Receivables Pledged at end of period $ 63,683  
Initial Principal 183,000  
Outstanding Principal $ 62,318 82,337
Weighted Average Contractual Interest Rate 3.45%  
CPS 2014-A [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date June 2021  
Receivables Pledged at end of period $ 72,629  
Initial Principal 180,000  
Outstanding Principal $ 71,345 92,571
Weighted Average Contractual Interest Rate 2.89%  
CPS 2014-B [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date September 2021  
Receivables Pledged at end of period $ 95,595  
Initial Principal 202,500  
Outstanding Principal $ 95,528 121,515
Weighted Average Contractual Interest Rate 2.51%  
CPS 2014-C [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date December 2021  
Receivables Pledged at end of period $ 146,749  
Initial Principal 273,000  
Outstanding Principal $ 146,651 183,802
Weighted Average Contractual Interest Rate 2.69%  
CPS 2014-D [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date March 2022  
Receivables Pledged at end of period $ 158,601  
Initial Principal 267,500  
Outstanding Principal $ 157,836 198,533
Weighted Average Contractual Interest Rate 2.92%  
CPS 2015-A [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date June 2022  
Receivables Pledged at end of period $ 165,646  
Initial Principal 245,000  
Outstanding Principal $ 164,824 201,527
Weighted Average Contractual Interest Rate 2.69%  
CPS 2015-B [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date September 2022  
Receivables Pledged at end of period $ 188,417  
Initial Principal 250,000  
Outstanding Principal $ 187,391 221,587
Weighted Average Contractual Interest Rate 2.74%  
CPS 2015-C [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date December 2022  
Receivables Pledged at end of period $ 250,048  
Initial Principal 300,000  
Outstanding Principal $ 246,956 283,482
Weighted Average Contractual Interest Rate 3.14%  
CPS 2016-A [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date March 2023  
Receivables Pledged at end of period $ 311,343  
Initial Principal 329,460  
Outstanding Principal $ 294,583
Weighted Average Contractual Interest Rate 3.40%  
CPS 2016-B [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date June 2023  
Receivables Pledged at end of period $ 330,267  
Initial Principal 332,690  
Outstanding Principal $ 320,860
Weighted Average Contractual Interest Rate 3.59%