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SENIOR DEBT (Tables)
12 Months Ended
Dec. 31, 2023
Debt Disclosure [Abstract]  
Schedule of Senior Debt Additional data related to the Company's senior debt is as follows (in thousands, except % data):
Year Ended
December 31
Weighted
Average
Interest
Rate at End
of Year
Maximum
Amount
Outstanding
During Year
Average
Amount
Outstanding
During Year
Weighted
Average
Interest Rate
During Year (1)
2023
Bank Borrowings 8.19 %$125,250 $92,381 8.05 %
Senior Demand Notes1.91 115,527 102,967 1.90 
Commercial Paper 5.93 658,942 633,086 5.02 
2022
Bank Borrowings 6.97 %$81,942 $47,083 7.07 %
Senior Demand Notes 1.92 122,860 113,151 1.92 
Commercial Paper 3.94 633,534 604,980 3.54 
2021
Bank Borrowings3.50 %$119,304 $68,080 4.83 %
Senior Demand Notes 1.91 103,979 95,143 1.90 
Commercial Paper 3.46 550,929 491,431 3.48 
(1)Includes unused line fee and administrative fee.