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4. Securitization Trust Debt (Tables)
6 Months Ended
Jun. 30, 2013
Securitization Trust Debt Tables  
Securitization trust debt
                                Weighted Average  
                                Contractual  
    Final   Receivables           Outstanding     Outstanding     Interest  
    Scheduled   Pledged at           Principal at     Principal at     Rate at  
    Payment   June 30,     Initial     June 30,     December 31,     June 30,  
Series   Date (1)   2013     Principal     2013     2012     2013  
    (Dollars in thousands)      
CPS 2008-A   October 2014   $     $ 310,359     $     $ 40,713        
Page Five Funding   January 2018     15,902       46,058       14,631       21,251       9.42%  
CPS 2011-A   April 2018     38,441       100,364       35,026       48,368       3.70%  
CPS 2011-B   September 2018     57,385       109,936       57,535       70,863       4.72%  
CPS 2011-C   March 2019     71,483       119,400       71,437       88,269       5.05%  
CPS 2012-A   June 2019     82,727       155,000       82,751       105,485       3.61%  
CPS 2012-B   September 2019     107,205       141,500       103,442       122,329       3.19%  
CPS 2012-C   December 2019     115,057       147,000       110,018       135,219       2.51%  
CPS 2012-D   March 2020     137,136       160,000       131,283       160,000       2.07%  
CPS 2013-A   June 2020     176,266       185,000       172,764             1.80%  
CPS 2013-B   September 2020     138,512       205,000       205,000             2.24%  
        $ 940,114     $ 1,679,617     $ 983,887     $ 792,497