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5. Securitization Trust Debt (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2017
Dec. 31, 2016
"Securitization trust debt," and components of debt    
Receivables Pledged at end of period [1] $ 2,163,746  
Initial Principal 4,842,590  
Outstanding Principal $ 2,095,675 $ 2,094,253
CPS 2012-C [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date [2] December 2019  
Receivables Pledged at end of period [1] $ 0  
Initial Principal 147,000  
Outstanding Principal $ 0 14,421
Weighted Average Contractual Interest Rate 0.00%  
CPS 2012-D [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date [2] March 2020  
Receivables Pledged at end of period [1] $ 0  
Initial Principal 160,000  
Outstanding Principal $ 0 17,865
Weighted Average Contractual Interest Rate 0.00%  
CPS 2013-A [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date [2] June 2020  
Receivables Pledged at end of period [1] $ 0  
Initial Principal 185,000  
Outstanding Principal $ 0 28,661
Weighted Average Contractual Interest Rate 0.00%  
CPS 2013-B [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date [2] September 2020  
Receivables Pledged at end of period [1] $ 21,251  
Initial Principal 205,000  
Outstanding Principal $ 18,407 37,570
Weighted Average Contractual Interest Rate 2.09%  
CPS 2013-C [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date [2] December 2020  
Receivables Pledged at end of period [1] $ 26,518  
Initial Principal 205,000  
Outstanding Principal $ 25,559 46,830
Weighted Average Contractual Interest Rate 5.88%  
CPS 2013-D [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date [2] March 2021  
Receivables Pledged at end of period [1] $ 26,921  
Initial Principal 183,000  
Outstanding Principal $ 24,917 46,345
Weighted Average Contractual Interest Rate 5.11%  
CPS 2014-A [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date [2] June 2021  
Receivables Pledged at end of period [1] $ 33,120  
Initial Principal 180,000  
Outstanding Principal $ 30,521 54,988
Weighted Average Contractual Interest Rate 4.33%  
CPS 2014-B [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date [2] September 2021  
Receivables Pledged at end of period [1] $ 46,600  
Initial Principal 202,500  
Outstanding Principal $ 44,516 75,140
Weighted Average Contractual Interest Rate 3.67%  
CPS 2014-C [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date [2] December 2021  
Receivables Pledged at end of period [1] $ 73,634  
Initial Principal 273,000  
Outstanding Principal $ 71,174 116,280
Weighted Average Contractual Interest Rate 3.87%  
CPS 2014-D [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date [2] March 2022  
Receivables Pledged at end of period [1] $ 80,784  
Initial Principal 267,500  
Outstanding Principal $ 79,099 127,307
Weighted Average Contractual Interest Rate 4.17%  
CPS 2015-A [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date [2] June 2022  
Receivables Pledged at end of period [1] $ 89,171  
Initial Principal 245,000  
Outstanding Principal $ 87,194 134,466
Weighted Average Contractual Interest Rate 3.73%  
CPS 2015-B [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date [2] September 2022  
Receivables Pledged at end of period [1] $ 104,354  
Initial Principal 250,000  
Outstanding Principal $ 102,873 153,893
Weighted Average Contractual Interest Rate 3.63%  
CPS 2015-C [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date [2] December 2022  
Receivables Pledged at end of period [1] $ 142,703  
Initial Principal 300,000  
Outstanding Principal $ 141,362 207,636
Weighted Average Contractual Interest Rate 4.15%  
CPS 2016-A [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date [2] March 2023  
Receivables Pledged at end of period [1] $ 182,657  
Initial Principal 329,460  
Outstanding Principal $ 180,761 262,260
Weighted Average Contractual Interest Rate 4.45%  
CPS 2016-B [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date [2] June 2023  
Receivables Pledged at end of period [1] $ 206,881  
Initial Principal 332,690  
Outstanding Principal $ 201,199 284,752
Weighted Average Contractual Interest Rate 4.50%  
CPS 2016-C [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date [2] September 2023  
Receivables Pledged at end of period [1] $ 208,815  
Initial Principal 318,500  
Outstanding Principal $ 203,504 285,618
Weighted Average Contractual Interest Rate 4.06%  
CPS 2016-D [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date [2] April 2024  
Receivables Pledged at end of period [1] $ 153,671  
Initial Principal 206,325  
Outstanding Principal $ 149,671 200,221
Weighted Average Contractual Interest Rate 3.14%  
CPS 2017-A [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date [2] April 2024  
Receivables Pledged at end of period [1] $ 166,693  
Initial Principal 206,320  
Outstanding Principal $ 161,892 0
Weighted Average Contractual Interest Rate 3.31%  
CPS 2017-B [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date [2] December 2023  
Receivables Pledged at end of period [1] $ 198,860  
Initial Principal 225,170  
Outstanding Principal $ 186,594 0
Weighted Average Contractual Interest Rate 2.90%  
CPS 2017-C [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date [2] September 2024  
Receivables Pledged at end of period [1] $ 207,158  
Initial Principal 224,825  
Outstanding Principal $ 197,155 0
Weighted Average Contractual Interest Rate 2.83%  
CPS 2017-D [Member]    
"Securitization trust debt," and components of debt    
Final Scheduled Payment Date [2] June 2024  
Receivables Pledged at end of period [1] $ 193,957  
Initial Principal 196,300  
Outstanding Principal $ 189,277 $ 0
Weighted Average Contractual Interest Rate 2.74%  
[1] Includes repossessed assets that are included in Other Assets on our Consolidated Balance Sheets.
[2] The Final Scheduled Payment Date represents final legal maturity of the securitization trust debt. Securitization trust debt is expected to become due and to be paid prior to those dates, based on amortization of the finance receivables pledged to the Trusts. Expected payments, which will depend on the performance of such receivables, as to which there can be no assurance, are $873.7 million in 2018, $612.3 million in 2019, $362.5 million in 2020, $179.3 million in 2021, $49.5 million in 2022, and $5.9 million in 2023.