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Asset-Backed Financing (Tables)
12 Months Ended
Dec. 31, 2012
Variable Interest Entity [Line Items]  
Schedule Of Secured Notes With Related Maturity
Issue Date
 
Principal
Amount at Date of Issuance
 
Weighted-Average
Rate at Date of
Issuance
 
Contractual Maturity Date
July 2012
 
$
675,306

 
0.59
%
 
August 2013 - June 2018
November 2011
 
$
513,300

 
0.88
%
 
November 2012 - February 2018
August 2011
 
$
573,380

 
0.76
%
 
September 2012 - August 2017
November 2010
 
$
600,000

 
1.05
%
 
December 2011 - April 2018
December 2009
 
$
562,499

 
1.55
%
 
December 2010 - June 2017
 
Issue Date
 
Principal
Amount at Date of Issuance
 
Weighted-Average
Rate at Date of
Issuance
 
Contractual Maturity Date
 
 
October 2009
 
$
700,000

 
1.16
%
 
October 2010 - April 2017
 
July 2009
 
$
700,000

 
2.11
%
 
July 2010 - February 2017
 
May 2009
 
$
500,000

 
2.77
%
 
May 2010 - January 2017
 
February 2008
 
$
486,000

 
3.94
%
 
February 2009 - December 2013
 
August 2007
 
$
782,000

 
5.50
%
 
September 2008 - May 2015
 
May 2007
 
$
950,000

 
5.20
%
 
May 2008 - August 2015
Schedule Of Assets And Liabilities Of Variable Interest Entities
 
2012
 
Finance receivables
 
Allowance for credit losses
 
Restricted cash
 
Other assets
 
Total assets
 
Asset-backed debt
On-balance sheet assets and liabilities
 
 
 
 
 
 
 
 
 
 
 
Consolidated VIEs
 
 
 
 
 
 
 
 
 
 
 
Term asset-backed securitizations
$
2,143,708

 
$
(42,139
)
 
$
176,290

 
$
4,869

 
$
2,282,728

 
$
1,447,776

Asset-backed U.S. commercial paper conduit facility

 

 

 
419

 
419

 

 
 
 
 
 
 
 
 
 
 
 
 
Unconsolidated VIEs
 
 
 
 
 
 
 
 
 
 
 
Asset-backed Canadian commercial paper conduit facility
194,285

 
(3,432
)
 
11,718

 
255

 
202,826

 
175,658

 
$
2,337,993

 
$
(45,571
)
 
$
188,008

 
$
5,543

 
$
2,485,973

 
$
1,623,434

 
 
 
 
 
 
 
 
 
 
 
 
 
2011
 
Finance receivables
 
Allowance for credit losses
 
Restricted cash
 
Other assets
 
Total assets
 
Asset-backed debt
On-balance sheet assets and liabilities
 
 
 
 
 
 
 
 
 
 
 
Consolidated VIEs
 
 
 
 
 
 
 
 
 
 
 
Term asset-backed securitizations
$
2,916,219

 
$
(65,735
)
 
$
228,776

 
$
6,772

 
$
3,086,032

 
$
2,087,346

Asset-backed U.S. commercial paper conduit facility
13,455

 
(302
)
 
879

 
449

 
14,481

 

Unconsolidated VIEs
 
 
 
 
 
 
 
 
 
 
 
Asset-backed Canadian commercial paper conduit facility

 

 

 

 

 

 
$
2,929,674

 
$
(66,037
)
 
$
229,655

 
$
7,221

 
$
3,100,513

 
$
2,087,346