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4. Securitization Trust Debt (Tables)
3 Months Ended
Mar. 31, 2013
Securitization Trust Debt Tables  
Securitization trust debt
   Final Scheduled  Receivables Pledged at       Outstanding Principal at   Outstanding Principal at   Weighted Average Contractual Interest Rate at 
   Payment  March 31,   Initial   March 31,   December 31,   March 31, 
Series  Date (1)  2013   Principal   2013   2012   2013 
   (Dollars in thousands)    
CPS 2008-A  October 2014  $14,094   $310,359   $35,652   $40,713    9.05% 
Page Five Funding  January 2018   19,076    46,058    18,151    21,251    9.43% 
CPS 2011-A  April 2018   44,425    100,364    41,667    48,368    3.83% 
CPS 2011-B  September 2018   65,808    109,936    64,791    70,863    4.65% 
CPS 2011-C  March 2019   80,190    119,400    80,772    88,269    5.07% 
CPS 2012-A  June 2019   93,543    155,000    95,319    105,485    3.64% 
CPS 2012-B  September 2019   118,141    141,500    111,722    122,329    3.14% 
CPS 2012-C  December 2019   127,147    147,000    122,001    135,219    2.45% 
CPS 2012-D  March 2020   148,404    160,000    146,604    160,000    2.00% 
CPS 2013-A  June 2020   114,561    185,000    185,000        1.77% 
      $825,389   $1,474,617   $901,679   $792,497