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Fair Value Measurements (Tables)
3 Months Ended
Mar. 31, 2013
Fair Value Measurements [Abstract]  
Fair Value Assets (Liabilities) Measured On Recurring Basis
  March 31, Fair Value Measurements Using 
  2013 Level 1 Level 2 Level 3 
 Financial assets (liabilities):            
  Forward currency exchange contracts$ (407) $ - $ (407) $ - 
  Nonqualified savings plan assets (a)  13,116   13,116   -   - 
  Marketable securities(b)  7,028   7,028   -   - 
 Total $ 19,737 $ 20,144 $ (407) $ - 
              
  March 31, Fair Value Measurements Using 
  2012 Level 1 Level 2 Level 3 
 Financial assets (liabilities):            
  Forward currency exchange contracts$ (396) $ - $ (396) $ - 
  Nonqualified savings plan assets (a)  10,336   10,336   -   - 
  Marketable securities(b)  5,565   5,565   -   - 
 Total $ 15,505 $ 15,901 $ (396) $ - 
              
  December 31, Fair Value Measurements Using 
  2012 Level 1 Level 2 Level 3 
 Financial assets (liabilities):            
  Forward currency exchange contracts$ (406) $ - $ (406) $ - 
  Nonqualified savings plan assets (a)  11,347   11,347   -   - 
  Marketable securities(b)  6,042   6,042   -   - 
 Total $ 16,983 $ 17,389 $ (406) $ - 
(a)a The nonqualified savings plan assets have an offsetting liability of equal amount, which is included in "Accounts payable and accrued expenses" in the Company's consolidated balance sheets.  
(b)a a Cumulative unrealized total gains/(losses), net of tax, on these equity securities of $0.9 million, ($0.1) million and $0.3 million as of March 31, 2013 and 2012, and December 31, 2012, respectively, are recorded in "Accumulated other comprehensive income (loss)" in the Company's consolidated statements of equity. 
Financial Liabilities Not Measured At Fair Value But For Which Fair Value Is Required To Be Disclosed
  Carrying Value Estimated Fair Value
  March 31, March 31, Fair Value Measurement Using
  2013 2013 Level 1 Level 2 Level 3
Financial assets:               
Cash and cash equivalents $ 78,361 $ 78,361 $ 78,361 $ - $ -
Pawn loans   202,982   202,982   -   -   202,982
Consumer loans, net   253,801   253,801   -   -   253,801
Pawn loan fees and service charges receivable   40,560   40,560   -   -   40,560
Total $ 575,704 $ 575,704 $ 78,361 $ - $ 497,343
                
Financial liabilities:               
Domestic and Multi-currency Line of credit $ 179,321 $ 183,898 $ - $ 183,898 $ -
Senior unsecured notes    160,038   164,012   -   164,012   -
2009 Convertible Notes   111,024   239,775   -   239,775   -
Total $ 450,383 $ 587,685 $ - $ 587,685 $ -
                
  Carrying Value Estimated Fair Value
  March 31, March 31, Fair Value Measurement Using
  2012 2012 Level 1 Level 2 Level 3
Financial assets:               
Cash and cash equivalents $ 63,606 $ 63,606 $ 63,606 $ - $ -
Pawn loans   206,343   206,343   -   -   206,343
Consumer loans, net   200,365   200,365   -   -   200,365
Pawn loan fees and service charges receivable   38,797   38,797   -   -   38,797
Total $ 509,111 $ 509,111 $ 63,606 $ - $ 445,505
                
Financial liabilities:                
Domestic and Multi-currency Line of credit $ 156,113 $ 162,053 $ - $ 162,053 $ -
Senior unsecured notes    143,977   142,501   -   142,501   -
2009 Convertible Notes   107,818   225,544   -   225,544   -
Total  $ 407,908 $ 530,098 $ - $ 530,098 $ -
                
  Carrying Value Estimated Fair Value
  December 31, December 31, Fair Value Measurement Using
  2012 2012 Level 1 Level 2 Level 3
Financial assets:               
Cash and cash equivalents $ 63,134 $ 63,134 $ 63,134 $ - $ -
Pawn loans   244,640   244,640   -   -   244,640
Consumer loans, net   289,418   289,418   -   -   289,418
Pawn loan fees and service charges receivable   48,991   48,991   -   -   48,991
Total $ 646,183 $ 646,183 $ 63,134 $ - $ 583,049
                
Financial liabilities:                
Domestic and Multi-currency Line of credit $ 301,011 $ 309,969 $ - $ 309,969 $ -
Senior unsecured notes    167,122   165,961   -   165,961   -
2009 Convertible Notes   110,197   186,300   -   186,300   -
Total  $ 578,330 $ 662,230 $ - $ 662,230 $ -