XML 19 R7.htm IDEA: XBRL DOCUMENT v3.22.4
Consolidated Statements Of Cash Flows - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Cash Flows From Operating Activities:      
Net income $ 535.8 $ 958.3 $ 421.0
Adjustments to reconcile cash provided by operating activities:      
Provision for credit losses 481.4 8.4 556.9
Depreciation 9.0 9.7 8.8
Amortization 16.6 16.6 15.0
Increase (Decrease) in Deferred Income Taxes (7.7) 44.7 68.3
Stock-based compensation 36.5 24.8 6.2
Loss on extinguishment of debt 0.0 0.0 7.4
Other Operating Activities, Cash Flow Statement 0.3 (0.4) (0.7)
Change in operating assets and liabilities:      
Increase in accounts payable and accrued liabilities 67.9 (10.7) (18.4)
Increase in income taxes receivable 100.5 37.8 (80.8)
Increase (decrease) in income taxes payable 2.3 0.0 0.0
Increase in other assets (3.9) (19.8) 1.5
Net cash provided by operating activities 1,238.7 1,069.4 985.2
Cash Flows From Investing Activities:      
Purchases of restricted securities available for sale (50.1) (38.8) (43.2)
Proceeds from Sale of Debt Securities, Available-for-sale 11.1 22.2 24.8
Maturities of restricted securities available for sale 24.3 18.3 13.0
Principal collected on Loans receivable 3,413.3 3,808.5 3,170.1
Advances to Dealers (2,530.0) (2,059.0) (2,207.8)
Purchases of Consumer Loans (1,095.3) (1,108.8) (1,433.4)
Accelerated payments of Dealer Holdback (44.2) (44.1) (45.9)
Payments of Dealer Holdback (186.6) (153.4) (142.6)
Purchases of property and equipment (3.1) (7.6) (8.5)
Net cash used in investing activities (460.6) 437.3 (673.5)
Cash Flows From Financing Activities:      
Borrowings under revolving secured line of credit 6,622.6 1,562.6 5,376.0
Repayments under revolving secured line of credit (6,594.3) (1,655.9) (5,280.1)
Proceeds from secured financing 1,541.9 1,830.8 2,800.2
Repayments of secured financing (1,599.2) (1,729.0) (2,427.2)
Repayments of senior notes 0.0 0.0 (401.8)
Payments of debt issuance costs and debt issuance costs (12.5) (16.4) (18.7)
Repurchase of common stock (784.5) (1,471.8) (480.8)
Proceeds from Issuance of Common Stock 15.1 11.8 0.0
Other financing activities 16.3 (0.8) (0.8)
Net cash provided by financing activities (794.6) (1,468.7) (433.2)
Net increase in cash and cash equivalents and restricted cash and cash equivalents (16.5) 38.0 (121.5)
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents 434.2 396.2 517.7
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents 417.7 434.2 396.2
Supplemental Cash Flow Information [Abstract]      
Cash paid during the period for interest 147.3 149.4 191.6
Cash paid during the period for income taxes $ 72.7 $ 213.2 $ 141.5