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Fair Value Of Financial Instruments (Tables)
12 Months Ended
Dec. 31, 2012
Financial Instruments, Owned, at Fair Value [Abstract]  
Fair Value, by Balance Sheet Grouping
The following is a summary of carrying value and fair value of our financial instruments for each period presented:
 
 
December 31, 2012
 
December 31, 2011
 
Carrying Value
 
Fair Value
 
Carrying Value
 
Fair Value
 
($ in thousands)
Finance Receivables, net (1)
$
1,370,800

 
$
1,441,026

 
$
1,259,633

 
$
1,339,049

Dealer Finance Receivables - GO, net
40,956

 
40,956

 
24

 
24

Securitization Debt
677,118

 
702,031

 
679,031

 
675,231

Portfolio Term Residual Financing
25,000

 
25,000

 
100,000

 
100,000

Bank term Financings
347,360

 
347,360

 
3,603

 
3,700

Portfolio Warehouse Facilities
57,200

 
57,200

 
141,392

 
141,392

Senior Secured Notes Payable
198,320

 
220,135

 
198,058

 
210,932

Revolving Inventory Facility
91,320

 
91,600

 
84,500

 
84,500

Mortgage Note Payable
12,454

 
11,200

 
12,661

 
11,800

Equipment Note Payable
1,774

 
1,774

 
2,135

 
2,100

Real Estate Facility
11,733

 
11,700

 

 

 
(1)
Represents finance receivable principal balances, plus accrued interest, less the allowance for credit losses.