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Securitization Trust Debt (Tables)
12 Months Ended
Dec. 31, 2024
Securitization Trust Debt  
Schedule of securitization trust debt
                              
                       Weighted 
                       Average 
   Final   Receivables       Outstanding   Outstanding   Contractual Debt 
   Scheduled   Pledged at       Principal at   Principal at   Interest Rate at 
   Payment   December 31,   Initial   December 31,   December 31,   December 31, 
Series  Date (1)   2024 (2)   Principal   2024   2023   2024 
   (Dollars in thousands)     
CPS 2019-B   June 2026   $   $228,275   $   $15,742     
CPS 2019-C   September 2026        243,513        19,725     
CPS 2019-D   December  2026        274,313        27,445     
CPS 2020-A   March 2027        260,000        26,382     
CPS 2020-B   June 2027        202,343        24,197     
CPS 2020-C   November 2027    27,353    252,200    22,453    43,487    4.79% 
CPS 2021-A   March 2028    31,368    230,545    22,396    39,039    2.30% 
CPS 2021-B   June 2028    41,023    240,000    31,903    55,684    3.30% 
CPS 2021-C   September 2028    63,518    291,000    49,739    85,563    2.43% 
CPS 2021-D   December 2028    86,594    349,202    72,090    126,059    3.25% 
CPS 2022-A   April 2029    98,550    316,800    77,872    137,479    3.40% 
CPS 2022-B   October 2029    156,093    395,600    132,002    213,779    5.64% 
CPS 2022-C   April 2030    185,160    391,600    141,176    230,273    6.55% 
CPS 2022-D   June 2030    157,127    307,018    135,857    205,583    8.84% 
CPS 2023-A   August 2030    188,215    324,768    146,020    231,906    6.79% 
CPS 2023-B   November 2030    207,630    332,885    172,154    268,172    6.97% 
CPS 2023-C   February 2031    199,594    291,732    175,219    257,568    6.89% 
CPS 2023-D   May 2031    214,416    286,149    191,621    271,939    7.57% 
CPS 2024-A   August 2031    228,617    280,924    206,348        6.20% 
CPS 2024-B   November 2031    283,802    319,871    262,768        6.36% 
CPS 2024-C   March 2032    408,423    436,310    379,254        6.21% 
CPS 2024-D   June 2032    415,560    416,816    390,983        5.18% 
       $2,993,044   $6,671,864   $2,609,855   $2,280,022      

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(1)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 $987.8 million in 2025, $696.4 million in 2026, $470.5 million in 2027, $275.1 million in 2028, $126.6 million in 2029, and $38.0 million in 2030.
(2)Includes repossessed assets that are included in Other Assets on our Consolidated Balance Sheets.