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10. Fair Value Measurements (Details - Fair Value Financial Assets) - USD ($)
$ in Thousands
Sep. 30, 2018
Jun. 30, 2018
Dec. 31, 2017
Sep. 30, 2017
Jun. 30, 2017
Dec. 31, 2016
Assets:            
Cash and cash equivalents $ 10,537   $ 12,731      
Restricted cash and equivalents 110,473   111,965      
Finance receivables, net 1,620,076   2,171,846      
Finance receivables measured at fair value 614,807 $ 412,895 0 $ 0 $ 0 $ 0
Accrued interest receivable 36,232   46,753      
Liabilities:            
Warehouse lines of credit 127,695   112,408      
Accrued interest payable 4,797   4,212      
Securitization trust debt 2,033,598   2,089,678      
Subordinated renewable notes 16,948   16,566      
Carrying Value [Member]            
Assets:            
Cash and cash equivalents 10,537   12,731      
Restricted cash and equivalents 110,473   111,965      
Finance receivables, net 1,615,369   2,195,797      
Finance receivables measured at fair value 614,807          
Accrued interest receivable 36,232   46,753      
Liabilities:            
Warehouse lines of credit 127,695   112,408      
Accrued interest payable 4,797   4,212      
Securitization trust debt 2,034,281   2,083,215      
Subordinated renewable notes 16,948   16,566      
Level 1 [Member]            
Assets:            
Cash and cash equivalents 10,537   12,731      
Restricted cash and equivalents 110,473   111,965      
Finance receivables, net 0   0      
Finance receivables measured at fair value 0          
Accrued interest receivable 0   0      
Liabilities:            
Warehouse lines of credit 0   0      
Accrued interest payable 0   0      
Securitization trust debt 0   0      
Subordinated renewable notes 0   0      
Level 2 [Member]            
Assets:            
Cash and cash equivalents 0   0      
Restricted cash and equivalents 0   0      
Finance receivables, net 0   0      
Finance receivables measured at fair value 0          
Accrued interest receivable 0   0      
Liabilities:            
Warehouse lines of credit 0   0      
Accrued interest payable 0   0      
Securitization trust debt 0   0      
Subordinated renewable notes 0   0      
Level 3 [Member]            
Assets:            
Cash and cash equivalents 0   0      
Restricted cash and equivalents 0   0      
Finance receivables, net 1,620,076   2,171,846      
Finance receivables measured at fair value 614,807          
Accrued interest receivable 36,232   46,753      
Liabilities:            
Warehouse lines of credit 127,695   112,408      
Accrued interest payable 4,797   4,212      
Securitization trust debt 2,033,598   2,089,678      
Subordinated renewable notes $ 16,948   $ 16,566