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Securitization Trust Debt (Details) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2026
Dec. 31, 2025
Debt Securities, Held-to-Maturity, Allowance for Credit Loss [Line Items]    
Receivables Pledged [1] $ 3,388,549  
Initial Principal 6,991,585  
Outstanding Principal $ 3,008,609 $ 3,003,192
CPS 2021 B [Member]    
Debt Securities, Held-to-Maturity, Allowance for Credit Loss [Line Items]    
Final Scheduled Payment Date [2] June 2028  
Receivables Pledged [1] $ 0  
Initial Principal 240,000  
Outstanding Principal $ 0 15,832
Weighted Average Contractual Debt Interest Rate 0.00%  
CPS 2021 C [Member]    
Debt Securities, Held-to-Maturity, Allowance for Credit Loss [Line Items]    
Final Scheduled Payment Date [2] September 2028  
Receivables Pledged [1] $ 26,532  
Initial Principal 291,000  
Outstanding Principal $ 20,877 25,889
Weighted Average Contractual Debt Interest Rate 3.21%  
CPS 2021 D [Member]    
Debt Securities, Held-to-Maturity, Allowance for Credit Loss [Line Items]    
Final Scheduled Payment Date [2] December 2028  
Receivables Pledged [1] $ 38,630  
Initial Principal 349,202  
Outstanding Principal $ 32,336 39,625
Weighted Average Contractual Debt Interest Rate 4.06%  
CPS 2022 A [Member]    
Debt Securities, Held-to-Maturity, Allowance for Credit Loss [Line Items]    
Final Scheduled Payment Date [2] April 2029  
Receivables Pledged [1] $ 44,831  
Initial Principal 316,800  
Outstanding Principal $ 35,580 42,241
Weighted Average Contractual Debt Interest Rate 4.35%  
CPS 2022 B [Member]    
Debt Securities, Held-to-Maturity, Allowance for Credit Loss [Line Items]    
Final Scheduled Payment Date [2] October 2029  
Receivables Pledged [1] $ 73,489  
Initial Principal 395,600  
Outstanding Principal $ 60,999 72,820
Weighted Average Contractual Debt Interest Rate 6.91%  
CPS 2022 C [Member]    
Debt Securities, Held-to-Maturity, Allowance for Credit Loss [Line Items]    
Final Scheduled Payment Date [2] April 2030  
Receivables Pledged [1] $ 90,856  
Initial Principal 391,600  
Outstanding Principal $ 65,899 77,073
Weighted Average Contractual Debt Interest Rate 7.84%  
CPS 2022 D [Member]    
Debt Securities, Held-to-Maturity, Allowance for Credit Loss [Line Items]    
Final Scheduled Payment Date [2] June 2030  
Receivables Pledged [1] $ 88,079  
Initial Principal 307,018  
Outstanding Principal $ 77,684 86,973
Weighted Average Contractual Debt Interest Rate 10.05%  
CPS 2023 A [Member]    
Debt Securities, Held-to-Maturity, Allowance for Credit Loss [Line Items]    
Final Scheduled Payment Date [2] August 2030  
Receivables Pledged [1] $ 110,909  
Initial Principal 324,768  
Outstanding Principal $ 72,286 83,896
Weighted Average Contractual Debt Interest Rate 8.09%  
CPS 2023 B [Member]    
Debt Securities, Held-to-Maturity, Allowance for Credit Loss [Line Items]    
Final Scheduled Payment Date [2] November 2030  
Receivables Pledged [1] $ 123,672  
Initial Principal 332,885  
Outstanding Principal $ 96,290 107,035
Weighted Average Contractual Debt Interest Rate 7.92%  
CPS 2023 C [Member]    
Debt Securities, Held-to-Maturity, Allowance for Credit Loss [Line Items]    
Final Scheduled Payment Date [2] February 2031  
Receivables Pledged [1] $ 120,818  
Initial Principal 291,732  
Outstanding Principal $ 98,403 110,281
Weighted Average Contractual Debt Interest Rate 7.53%  
CPS 2023 D [Member]    
Debt Securities, Held-to-Maturity, Allowance for Credit Loss [Line Items]    
Final Scheduled Payment Date [2] May 2031  
Receivables Pledged [1] $ 126,518  
Initial Principal 286,149  
Outstanding Principal $ 107,460 121,208
Weighted Average Contractual Debt Interest Rate 8.28%  
CPS 2024 A [Member]    
Debt Securities, Held-to-Maturity, Allowance for Credit Loss [Line Items]    
Final Scheduled Payment Date [2] August 2031  
Receivables Pledged [1] $ 133,029  
Initial Principal 280,924  
Outstanding Principal $ 112,509 128,466
Weighted Average Contractual Debt Interest Rate 6.64%  
CPS 2024 B [Member]    
Debt Securities, Held-to-Maturity, Allowance for Credit Loss [Line Items]    
Final Scheduled Payment Date [2] November 2031  
Receivables Pledged [1] $ 173,674  
Initial Principal 319,871  
Outstanding Principal $ 152,694 171,992
Weighted Average Contractual Debt Interest Rate 6.74%  
CPS 2024 C [Member]    
Debt Securities, Held-to-Maturity, Allowance for Credit Loss [Line Items]    
Final Scheduled Payment Date [2] March 2032  
Receivables Pledged [1] $ 254,942  
Initial Principal 436,310  
Outstanding Principal $ 226,459 254,043
Weighted Average Contractual Debt Interest Rate 6.45%  
CPS 2024 D [Member]    
Debt Securities, Held-to-Maturity, Allowance for Credit Loss [Line Items]    
Final Scheduled Payment Date [2] June 2032  
Receivables Pledged [1] $ 268,918  
Initial Principal 416,816  
Outstanding Principal $ 240,262 269,169
Weighted Average Contractual Debt Interest Rate 5.35%  
CPS 2025 A [Member]    
Debt Securities, Held-to-Maturity, Allowance for Credit Loss [Line Items]    
Final Scheduled Payment Date [2] August 2032  
Receivables Pledged [1] $ 319,783  
Initial Principal 442,420  
Outstanding Principal $ 291,983 324,242
Weighted Average Contractual Debt Interest Rate 5.64%  
CPS 2025 B [Member]    
Debt Securities, Held-to-Maturity, Allowance for Credit Loss [Line Items]    
Final Scheduled Payment Date [2] March 2033  
Receivables Pledged [1] $ 341,428  
Initial Principal 419,950  
Outstanding Principal $ 313,883 341,383
Weighted Average Contractual Debt Interest Rate 5.54%  
CPS 2025 C [Member]    
Debt Securities, Held-to-Maturity, Allowance for Credit Loss [Line Items]    
Final Scheduled Payment Date [2] May 2033  
Receivables Pledged [1] $ 360,778  
Initial Principal 418,330  
Outstanding Principal $ 337,260 364,711
Weighted Average Contractual Debt Interest Rate 5.15%  
CPS 2025 D [Member]    
Debt Securities, Held-to-Maturity, Allowance for Credit Loss [Line Items]    
Final Scheduled Payment Date [2] May 2033  
Receivables Pledged [1] $ 352,083  
Initial Principal 384,600  
Outstanding Principal $ 335,664 366,313
Weighted Average Contractual Debt Interest Rate 5.18%  
CPS 2026 A [Member]    
Debt Securities, Held-to-Maturity, Allowance for Credit Loss [Line Items]    
Final Scheduled Payment Date [2] August 2033  
Receivables Pledged [1] $ 339,580  
Initial Principal 345,610  
Outstanding Principal $ 330,081 $ 0
Weighted Average Contractual Debt Interest Rate 4.74%  
[1] Includes repossessed assets that are included in other assets on our Unaudited Condensed Consolidated Balance Sheet.
[2] 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 $915.9 million in 2026, $914.6 million in 2027, $563.5 million in 2028, $337.9 million in 2029, $182.1 million in 2030, $65.9 million in 2031, and $12.3 million in 2032.