XML 40 R50.htm IDEA: XBRL DOCUMENT v2.4.0.8
Supplemental Disclosures Of Cash Flow Information (Tables)
12 Months Ended
Dec. 31, 2013
Supplemental Disclosures Of Cash Flow Information [Abstract]  
Cash And Non-Cash Activities
   Year Ended December 31,
   2013 2012 2011
Cash paid during the year for:         
 Interest  $ 28,223 $ 22,520 $ 23,974
 Income taxes    37,949   92,131   43,513
Non-cash investing and financing activities:         
 Pawn loans forfeited and transferred to merchandise held for disposition  $ 329,653 $ 350,122 $ 334,869
 Pawn loans renewed    269,559   279,553   207,661
 Consumer loans renewed    510,471   629,516   571,651
 Liabilities assumed in acquisitions    3,132   1,207   333
 Capitalized interest on software development    -   -   558
           
 Shares received for payment of receivables   -   383   -
 Release of minority shareholders from contingent liability   -   2,758   -