XML 65 R23.htm IDEA: XBRL DOCUMENT v2.4.0.6
Related Party Transactions
3 Months Ended
Jun. 30, 2012
Related Party Transactions [Abstract]  
Related Party Transactions

Note 14 – Related Party Transactions

 

As of June 30, 2012, there were no material changes to our related party agreements or relationships as described in our fiscal 2012 Form 10-K, except as described below. The tables below summarize amounts included in our Consolidated Statement of Income and Consolidated Balance Sheet under various related party agreements or relationships:

 

   Three Months Ended
   June 30,
(Dollars in millions) 2012  2011
Net financing revenues:     
 Manufacturers’ subvention support and other revenues$ 226 $ 243
 Credit support fees incurred$ (8) $ (8)
 Foreign exchange loss on loans payable to affiliates$ (39) $ (38)
 Interest expense on loans payable to affiliates$ (3) $ (11)
        
Insurance earned premiums and contract revenues:     
 Affiliate insurance premiums and contract revenues$ 49 $ 54
        
Investments and other income, net:     
 Interest earned on notes receivable from affiliates$ 1 $ -
        
Expenses:     
 Shared services charges and other expenses$ 16 $ 17
 Employee benefits expense$ 7 $ 10

Note 14 – Related Party Transactions (Continued)
        
(Dollars in millions)June 30, 2012 March 31, 2012
Assets:     
Finance receivables, net     
 Accounts receivable from affiliates$ 17 $ 17
 Direct finance receivables from affiliates$ 4 $ 4
 Notes receivable under home loan programs$ 19 $ 19
 Deferred retail subvention income from affiliates$ (612) $ (598)
        
Investments in operating leases, net     
 Leases to affiliates$ 4 $ 4
 Deferred lease subvention income from affiliates$ (594) $ (592)
        
Other assets     
 Notes receivable from affiliates$ 612 $ 1,052
 Other receivables from affiliates$ 12 $ 8
 Subvention support receivable from affiliates$ 101 $ 65
        
Liabilities:     
Debt     
 Loans payable to affiliates$ - $ 2,201
        
Other liabilities     
 Unearned affiliate insurance premiums and contract revenues$ 255 $ 273
 Accounts payable to affiliates$ 32 $ 58
 Notes payable to affiliate$ 47 $ 61
        
Shareholder’s Equity:     
 Dividends paid$ - $ 741
 Stock based compensation$ 2 $ 2