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(5) Securitization Trust Debt (Tables)
12 Months Ended
Dec. 31, 2022
Securitization Trust Debt  
Schedule of securitization trust debt
                              
                       Weighted 
                       Average 
   Final   Receivables       Outstanding   Outstanding   Contractual Debt 
   Scheduled   Pledged at       Principal at   Principal at   Interest Rate at 
   Payment   December 31,   Initial   December 31,   December 31,   December 31, 
Series  Date (1)   2022 (2)   Principal   2022   2021   2022 
(Dollars in thousands)
CPS 2017-A   April 2024   $   $206,320   $   $17,644     
CPS 2017-B   December 2023        225,170        12,491     
CPS 2017-C   September 2024        224,825        25,846     
CPS 2017-D   June 2024        196,300        26,744     
CPS 2018-A   March 2025    16,642    190,000    12,939    29,518    5.17% 
CPS 2018-B   December 2024    20,897    201,823    17,077    36,092    5.61% 
CPS 2018-C   September 2025    24,589    230,275    20,222    42,765    6.07% 
CPS 2018-D   June 2025    30,015    233,730    25,563    49,634    5.82% 
CPS 2019-A   March 2026    38,138    254,400    32,898    62,667    5.49% 
CPS 2019-B   June 2026    39,755    228,275    33,897    61,730    5.39% 
CPS 2019-C   September 2026    46,903    243,513    41,515    75,065    4.35% 
CPS 2019-D   December 2026    60,856    274,313    53,625    98,625    3.71% 
CPS 2020-A   March 2027    56,226    260,000    52,705    99,485    3.99% 
CPS 2020-B   June 2027    63,849    202,343    41,736    87,048    6.16% 
CPS 2020-C   November 2027    86,061    252,200    72,894    138,899    3.24% 
CPS 2021-A   March 2028    90,801    230,545    72,076    147,516    1.39% 
CPS 2021-B   June 2028    113,723    240,000    101,206    179,856    1.86% 
CPS 2021-C   September 2028    165,102    291,000    147,593    250,003    1.60% 
CPS 2021-D   December 2028    224,055    349,202    209,277    330,325    1.85% 
CPS 2022-A   April 2029    243,580    316,800    222,613        2.16% 
CPS 2022-B   October 2029    355,224    395,600    325,907        4.16% 
CPS 2022-C   April 2030    394,782    391,600    346,714        5.24% 
CPS 2022-D   August 2030    322,973    307,018    292,461        7.37% 
        $2,394,171   $5,945,252   $2,122,919   $1,771,953      

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(1)The Final Scheduled Payment Date represents final legal maturity of the securitization trust debt. Securitization trust debt is expected to become due and to be paid prior to those dates, based on amortization of the finance receivables pledged to the Trusts. Expected payments, which will depend on the performance of such receivables, as to which there can be no assurance, are $804.4 million in 2023, $578.9 million in 2024, $339.1 million in 2025, $202.3 million in 2026, $128.1 million in 2027, $55.3 million in 2028, and $0.6 million in 2029.

 

(2)Includes repossessed assets that are included in Other Assets on our Consolidated Balance Sheets.