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Investment in Receivable Portfolios, Net - Accretable Yield and an Estimate of Zero Basis Future Cash Flows (Details) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended
Jun. 30, 2019
Mar. 31, 2019
Jun. 30, 2018
Mar. 31, 2018
Jun. 30, 2019
Jun. 30, 2018
Investment in Receivables Portfolio [Roll Forward]            
Balance at beginning of period $ 4,064,092 $ 4,026,206 $ 4,052,799 $ 4,064,701 $ 4,026,206 $ 4,064,701
Revenue from receivable portfolios (312,495) (311,158) (292,662) (281,009) (623,653) (573,671)
Allowance (reversals) on receivable portfolios, net (2,063) (1,367) (17,632) (9,811) (3,430) (27,443)
Additions (reductions) on existing portfolios, net 145,359 38,313 142,091 (64,474)    
Additions for current purchases 277,556 285,637 345,006 285,172    
Effect of foreign currency translation (46,526) 26,461 (98,045) 58,220    
Balance at end of period 4,125,923 4,064,092 4,131,557 4,052,799 4,125,923 4,131,557
Accretable Yield            
Investment in Receivables Portfolio [Roll Forward]            
Balance at beginning of period 3,839,209 3,773,171 3,754,970 3,695,069 3,773,171 3,695,069
Revenue from receivable portfolios (285,562) (285,255) (258,698) (249,821)    
Allowance (reversals) on receivable portfolios, net 255 900 (15,411) (8,082)    
Additions (reductions) on existing portfolios, net 113,074 38,512 136,267 (24,945)    
Additions for current purchases 277,556 285,637 345,006 285,172    
Effect of foreign currency translation (46,492) 26,244 (97,448) 57,577    
Balance at end of period 3,898,040 3,839,209 3,864,686 3,754,970 3,898,040 3,864,686
Estimate of Zero Basis Cash Flows            
Investment in Receivables Portfolio [Roll Forward]            
Balance at beginning of period 224,883 253,035 297,829 369,632 253,035 369,632
Revenue from receivable portfolios (26,933) (25,903) (33,964) (31,188) (52,836) (65,152)
Allowance (reversals) on receivable portfolios, net (2,318) (2,267) (2,221) (1,729)    
Additions (reductions) on existing portfolios, net 32,285 (199) 5,824 (39,529)    
Additions for current purchases 0 0 0 0    
Effect of foreign currency translation (34) 217 (597) 643    
Balance at end of period $ 227,883 $ 224,883 $ 266,871 $ 297,829 $ 227,883 $ 266,871