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CONDENSED CONSOLIDATED BALANCE SHEETS (Unaudited) - USD ($)
$ in Thousands
Dec. 31, 2025
Sep. 30, 2025
Dec. 31, 2024
Current assets:      
Cash and cash equivalents $ 465,911 $ 469,524 $ 174,506
Short-term restricted cash 5,351 525 9,386
Pawn loans 314,353 307,496 274,824
Pawn service charges receivable, net 50,108 48,733 45,198
Inventory, net 253,446 248,457 199,481
Prepaid expenses and other current assets 56,210 51,221 36,562
Total current assets 1,145,379 1,125,956 739,957
Investments in unconsolidated affiliates 25,717 18,123 13,555
Other investments 51,883 51,903 51,903
Property and equipment, net 74,871 75,331 63,231
Right-of-use assets, net 237,637 236,462 227,810
Long-term restricted cash 14,859 14,664 0
Goodwill 331,083 324,889 304,722
Intangible assets, net 59,581 58,832 57,093
Deferred tax asset, net 29,548 29,455 24,990
Other assets, net 16,922 15,594 15,872
Total assets 1,987,480 1,951,209 1,499,133
Current liabilities:      
Current maturities of long-term debt, net 0 0 103,205
Accounts payable, accrued expenses and other current liabilities 95,526 105,443 68,682
Customer layaway deposits 33,064 33,901 24,216
Operating lease liabilities, current 61,459 61,228 57,900
Total current liabilities 190,049 200,572 254,003
Long-term debt, net 518,555 518,076 224,505
Deferred tax liability, net 2,571 2,571 2,186
Operating lease liabilities 185,507 184,736 182,228
Other long-term liabilities 20,099 19,769 12,317
Total liabilities 916,781 925,724 675,239
Commitments and contingencies (Note 10)
Stockholders’ equity:      
Additional paid-in capital 447,935 450,892 345,783
Retained earnings 656,991 612,687 536,427
Accumulated other comprehensive loss (34,844) (38,703) (58,866)
Total equity 1,070,699 1,025,485 823,894
Total liabilities and equity 1,987,480 1,951,209 1,499,133
Common Stock Class A Non-voting      
Stockholders’ equity:      
Common stock 587 579 520
Common Stock Class B Voting      
Stockholders’ equity:      
Common stock $ 30 $ 30 $ 30