0001104659-12-051719.txt : 20120727 0001104659-12-051719.hdr.sgml : 20120727 20120727115513 ACCESSION NUMBER: 0001104659-12-051719 CONFORMED SUBMISSION TYPE: 10-Q PUBLIC DOCUMENT COUNT: 12 CONFORMED PERIOD OF REPORT: 20120630 FILED AS OF DATE: 20120727 DATE AS OF CHANGE: 20120727 FILER: COMPANY DATA: COMPANY CONFORMED NAME: WINMARK CORP CENTRAL INDEX KEY: 0000908315 STANDARD INDUSTRIAL CLASSIFICATION: RETAIL-MISCELLANEOUS RETAIL [5900] IRS NUMBER: 411622691 STATE OF INCORPORATION: MN FISCAL YEAR END: 1227 FILING VALUES: FORM TYPE: 10-Q SEC ACT: 1934 Act SEC FILE NUMBER: 000-22012 FILM NUMBER: 12989553 BUSINESS ADDRESS: STREET 1: 605 HIGHWAY 169 N SUITE 400 CITY: MINNEAPOLIS STATE: MN ZIP: 55441 BUSINESS PHONE: 763-520-8500 MAIL ADDRESS: STREET 1: 605 HIGHWAY 169 N SUITE 400 CITY: MINNEAPOLIS STATE: MN ZIP: 55441 FORMER COMPANY: FORMER CONFORMED NAME: GROW BIZ INTERNATIONAL INC DATE OF NAME CHANGE: 19930629 10-Q 1 a12-16861_110q.htm 10-Q

Table of Contents

 

 

 

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 


 

FORM 10-Q

 

x      QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15(D) OF THE SECURITIES EXCHANGE ACT OF 1934

 

For the quarterly period ended June 30, 2012

 

or

 

o         TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(D) OF THE SECURITIES EXCHANGE ACT OF 1934

 

For the transition period from                  to                

 

Commission File Number: 000-22012

 


 

WINMARK CORPORATION

(Exact name of registrant as specified in its charter)

 

Minnesota

 

41-1622691

(State or other jurisdiction of incorporation or organization)

 

(I.R.S. Employer Identification No.)

 

605 Highway 169 North, Suite 400, Minneapolis, MN

55441

(Address of principal executive offices)

(Zip Code)

 

(763) 520-8500

(Registrant’s telephone number, including area code)

 

Indicate by check mark whether the registrant (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days.  Yes  x  No o

 

Indicate by check mark whether the registrant has submitted electronically and posted on its corporate Web site, if any, every Interactive Data File required to be submitted and posted pursuant to Rule 405 of Regulation S-T (§232.405 of this chapter) during the preceding 12 months (or for such shorter period that the registrant was required to submit and post such files).  Yes  x  No  o

 

Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer, or a smaller reporting company.  See the definitions of “large accelerated filer,” “accelerated filer,” and “smaller reporting company” in Rule 12b-2 of the Exchange Act.

 

Large accelerated filer o

 

Accelerated filer o

 

 

 

Non-accelerated filer o

 

Smaller reporting company x

(Do not check if a smaller reporting company)

 

 

 

Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Exchange Act).  Yes  o  No  x

 

Common stock, no par value, 5,026,698 shares outstanding as of July 20, 2012.

 

 

 



Table of Contents

 

WINMARK CORPORATION AND SUBSIDIARIES

 

INDEX

 

 

 

PAGE

PART I.

FINANCIAL INFORMATION

 

 

 

 

Item 1.

Financial Statements (Unaudited)

 

 

 

 

 

CONSOLIDATED CONDENSED BALANCE SHEETS:
June 30, 2012 and December 31, 2011

3

 

 

 

 

CONSOLIDATED CONDENSED STATEMENTS OF OPERATIONS:
Three Months Ended June 30, 2012 and June 25, 2011
Six Months Ended June 30, 2012 and June 25, 2011

4

 

 

 

 

CONSOLIDATED CONDENSED STATEMENTS OF COMPREHENSIVE INCOME:
Three Months Ended June 30, 2012 and June 25, 2011
Six Months Ended June 30, 2012 and June 25, 2011

5

 

 

 

 

CONSOLIDATED CONDENSED STATEMENTS OF CASH FLOWS:
Six Months Ended June 30, 2012 and June 25, 2011

6

 

 

 

 

NOTES TO CONSOLIDATED CONDENSED FINANCIAL STATEMENTS

7 – 14

 

 

 

Item 2.

Management’s Discussion and Analysis of Financial Condition and Results of Operations

14 – 23

 

 

 

Item 3.

Quantitative and Qualitative Disclosures About Market Risk

24

 

 

 

Item 4.

Controls and Procedures

24

 

 

 

PART II.

OTHER INFORMATION

 

 

 

 

Item 1.

Legal Proceedings

25

 

 

 

Item 1A.

Risk Factors

25

 

 

 

Item 2.

Unregistered Sales of Equity Securities and Use of Proceeds

25

 

 

 

Item 3.

Defaults Upon Senior Securities

25

 

 

 

Item 4.

Mine Safety Disclosures

25

 

 

 

Item 5.

Other Information

25

 

 

 

Item 6.

Exhibits

26

 

 

 

 

SIGNATURES

27

 

2



Table of Contents

 

PART I.             FINANCIAL INFORMATION

ITEM 1:   Financial Statements

 

WINMARK CORPORATION AND SUBSIDIARIES

CONSOLIDATED CONDENSED BALANCE SHEETS

(Unaudited)

 

 

 

June 30, 2012

 

December 31, 2011

 

ASSETS

 

 

 

 

 

Current Assets:

 

 

 

 

 

Cash and cash equivalents

 

$

2,037,300

 

$

9,020,100

 

Marketable securities

 

116,600

 

1,043,800

 

Receivables, less allowance for doubtful accounts of $16,000 and $15,100

 

1,041,900

 

1,316,200

 

Net investment in leases - current

 

11,454,500

 

11,746,900

 

Income tax receivable

 

1,171,000

 

116,500

 

Inventories

 

84,600

 

68,500

 

Prepaid expenses

 

401,100

 

362,000

 

Total current assets

 

16,307,000

 

23,674,000

 

Net investment in leases - long-term

 

20,618,000

 

18,102,000

 

Long-term investments, less allowance for losses of $883,100 and $883,100

 

3,539,300

 

3,817,400

 

Property and equipment, net

 

1,323,500

 

1,474,800

 

Other assets

 

677,500

 

677,500

 

 

 

$

42,465,300

 

$

47,745,700

 

LIABILITIES AND SHAREHOLDERS’ EQUITY

 

 

 

 

 

Current Liabilities:

 

 

 

 

 

Line of credit

 

$

12,800,000

 

$

 

Accounts payable

 

1,252,300

 

1,460,300

 

Accrued liabilities

 

2,187,500

 

1,346,000

 

Discounted lease rentals

 

403,200

 

20,800

 

Rents received in advance

 

276,800

 

274,700

 

Deferred revenue

 

1,635,600

 

1,212,400

 

Deferred income taxes

 

3,487,900

 

3,464,800

 

Total current liabilities

 

22,043,300

 

7,779,000

 

Long-Term Liabilities:

 

 

 

 

 

Discounted lease rentals

 

542,900

 

 

Rents received in advance

 

152,200

 

269,400

 

Deferred revenue

 

882,800

 

844,300

 

Other liabilities

 

1,351,500

 

1,389,200

 

Deferred income taxes

 

2,607,100

 

2,355,100

 

Total long-term liabilities

 

5,536,500

 

4,858,000

 

Shareholders’ Equity:

 

 

 

 

 

Common stock, no par, 10,000,000 shares authorized, 5,026,698 and 4,987,643 shares issued and outstanding

 

 

629,800

 

Accumulated other comprehensive income

 

2,200

 

17,000

 

Retained earnings

 

14,883,300

 

34,461,900

 

Total shareholders’ equity

 

14,885,500

 

35,108,700

 

 

 

$

42,465,300

 

$

47,745,700

 

 

The accompanying notes are an integral part of these financial statements.

 

3



Table of Contents

 

WINMARK CORPORATION AND SUBSIDIARIES

CONSOLIDATED CONDENSED STATEMENTS OF OPERATIONS

(Unaudited)

 

 

 

Three Months Ended

 

Six Months Ended

 

 

 

June 30, 2012

 

June 25, 2011

 

June 30, 2012

 

June 25, 2011

 

REVENUE:

 

 

 

 

 

 

 

 

 

Royalties

 

$

7,693,900

 

$

6,819,300

 

$

15,982,400

 

$

13,872,100

 

Leasing income

 

3,285,000

 

6,980,200

 

5,677,100

 

10,215,200

 

Merchandise sales

 

656,800

 

833,000

 

1,366,600

 

1,334,400

 

Franchise fees

 

270,000

 

245,000

 

555,000

 

320,000

 

Other

 

286,700

 

347,300

 

444,700

 

588,000

 

Total revenue

 

12,192,400

 

15,224,800

 

24,025,800

 

26,329,700

 

COST OF MERCHANDISE SOLD

 

633,500

 

794,200

 

1,297,800

 

1,277,100

 

LEASING EXPENSE

 

325,700

 

3,340,200

 

565,500

 

3,858,900

 

PROVISION FOR CREDIT LOSSES

 

(14,900

)

(24,100

)

(67,900

)

21,300

 

SELLING, GENERAL AND ADMINISTRATIVE EXPENSES

 

5,221,600

 

5,030,400

 

10,357,700

 

9,876,300

 

Income from operations

 

6,026,500

 

6,084,100

 

11,872,700

 

11,296,100

 

LOSS FROM EQUITY INVESTMENTS

 

(240,700

)

(142,900

)

(278,100

)

(219,900

)

IMPAIRMENT OF INVESTMENT IN NOTES

 

 

(252,900

)

 

(252,900

)

INTEREST EXPENSE

 

(122,300

)

(26,900

)

(192,100

)

(58,000

)

INTEREST AND OTHER INCOME

 

(10,000

)

13,900

 

36,300

 

31,100

 

Income before income taxes

 

5,653,500

 

5,675,300

 

11,438,800

 

10,796,400

 

PROVISION FOR INCOME TAXES

 

(2,249,100

)

(2,275,100

)

(4,518,400

)

(4,369,900

)

NET INCOME

 

$

3,404,400

 

$

3,400,200

 

$

6,920,400

 

$

6,426,500

 

EARNINGS PER SHARE – BASIC

 

$

.67

 

$

.68

 

$

1.37

 

$

1.29

 

EARNINGS PER SHARE – DILUTED

 

$

.65

 

$

.65

 

$

1.31

 

$

1.23

 

WEIGHTED AVERAGE SHARES OUTSTANDING – BASIC

 

5,056,289

 

4,980,844

 

5,054,620

 

4,985,220

 

WEIGHTED AVERAGE SHARES OUTSTANDING – DILUTED

 

5,268,245

 

5,239,443

 

5,274,223

 

5,227,468

 

 

The accompanying notes are an integral part of these financial statements.

 

4



Table of Contents

 

WINMARK CORPORATION AND SUBSIDIARIES

CONSOLIDATED CONDENSED STATEMENTS OF COMPREHENSIVE INCOME

(Unaudited)

 

 

 

Three Months Ended

 

Six Months Ended

 

 

 

June 30, 2012

 

June 25, 2011

 

June 30, 2012

 

June 25, 2011

 

 

 

 

 

 

 

 

 

 

 

NET INCOME

 

$

3,404,400

 

$

3,400,200

 

$

6,920,400

 

$

6,426,500

 

OTHER COMPREHENSIVE INCOME (LOSS), BEFORE TAX:

 

 

 

 

 

 

 

 

 

Unrealized net gains (losses) on marketable securities:

 

 

 

 

 

 

 

 

 

Unrealized holding net gains (losses) losses arising during period

 

3,600

 

 

3,600

 

(1,000

)

Reclassification adjustment for net gains included in net income

 

 

 

(28,000

)

 

OTHER COMPREHENSIVE INCOME (LOSS), BEFORE TAX

 

3,600

 

 

(24,400

)

(1,000

)

INCOME TAX (EXPENSE) BENEFIT RELATED TO ITEMS OF OTHER COMPREHENSIVE INCOME:

 

 

 

 

 

 

 

 

 

Unrealized net gains (losses) on marketable securities:

 

 

 

 

 

 

 

 

 

Unrealized holding net gains (losses) losses arising during period

 

(1,400

)

 

(1,400

)

400

 

Reclassification adjustment for net gains included in net income

 

 

 

11,000

 

 

INCOME TAX (EXPENSE) BENEFIT RELATED TO ITEMS OF OTHER COMPREHENSIVE INCOME

 

(1,400

)

 

9,600

 

400

 

OTHER COMPREHENSIVE GAIN (LOSS), NET OF TAX

 

2,200

 

 

(14,800

)

(600

)

COMPREHENSIVE INCOME

 

$

3,406,600

 

$

3,400,200

 

$

6,905,600

 

$

6,425,900

 

 

The accompanying notes are an integral part of these financial statements.

 

5



Table of Contents

 

WINMARK CORPORATION AND SUBSIDIARIES

CONSOLIDATED CONDENSED STATEMENTS OF CASH FLOWS

(Unaudited)

 

 

 

Six Months Ended

 

 

 

June 30, 2012

 

June 25, 2011

 

OPERATING ACTIVITIES:

 

 

 

 

 

Net income

 

$

6,920,400

 

$

6,426,500

 

Adjustments to reconcile net income to net cash provided by operating activities:

 

 

 

 

 

Depreciation

 

219,400

 

242,700

 

Provision for credit losses

 

(67,900

)

21,300

 

Compensation expense related to stock options

 

437,400

 

351,100

 

Deferred income taxes

 

275,100

 

 

Loss (gain) on sale of marketable securities

 

(30,000

)

600

 

Loss from equity investments

 

278,100

 

219,900

 

Impairment of investment in notes

 

 

252,900

 

Deferred initial direct costs

 

(414,200

)

(179,600

)

Amortization of deferred initial direct costs

 

273,100

 

335,800

 

Tax benefits on exercised stock options

 

(327,400

)

(137,600

)

Change in operating assets and liabilities:

 

 

 

 

 

Receivables

 

274,300

 

197,600

 

Income tax receivable / payable

 

(717,500

)

1,882,200

 

Inventories

 

(16,100

)

35,600

 

Prepaid expenses

 

(39,100

)

58,500

 

Accounts payable

 

(208,000

)

765,100

 

Accrued and other liabilities

 

803,800

 

367,300

 

Rents received in advance and security deposits

 

167,500

 

19,300

 

Other assets

 

 

3,000

 

Deferred revenue

 

461,700

 

412,900

 

Net cash provided by operating activities

 

8,290,600

 

11,275,100

 

INVESTING ACTIVITIES:

 

 

 

 

 

Purchase of long term investments

 

 

(1,000,000

)

Proceeds from sale of marketable securities

 

1,313,500

 

160,400

 

Purchase of marketable securities

 

(380,700

)

(8,400

)

Purchase of property and equipment

 

(68,100

)

(112,700

)

Purchase of equipment for lease contracts

 

(10,913,900

)

(10,947,800

)

Principal collections on lease receivables

 

8,566,100

 

10,908,300

 

Net cash used for investing activities

 

(1,483,100

)

(1,000,200

)

FINANCING ACTIVITIES:

 

 

 

 

 

Proceeds from borrowings on line of credit

 

17,600,000

 

1,500,000

 

Payments on line of credit

 

(4,800,000

)

(10,300,000

)

Repurchases of common stock

 

(2,574,700

)

(3,313,500

)

Proceeds from exercises of stock options

 

403,200

 

729,100

 

Dividends paid

 

(25,722,100

)

(249,200

)

Proceeds from discounted lease rentals

 

975,900

 

 

Tax benefits on exercised stock options

 

327,400

 

137,600

 

Net cash used for financing activities

 

(13,790,300

)

(11,496,000

)

NET DECREASE IN CASH AND CASH EQUIVALENTS

 

(6,982,800

)

(1,221,100

)

Cash and cash equivalents, beginning of period

 

9,020,100

 

2,257,100

 

Cash and cash equivalents, end of period

 

$

2,037,300

 

$

1,036,000

 

SUPPLEMENTAL DISCLOSURES:

 

 

 

 

 

Cash paid for interest

 

$

161,600

 

$

130,900

 

Cash paid for income taxes

 

$

5,024,300

 

$

2,329,600

 

 

The accompanying notes are an integral part of these financial statements.

 

6



Table of Contents

 

WINMARK CORPORATION AND SUBSIDIARIES

NOTES TO CONSOLIDATED CONDENSED FINANCIAL STATEMENTS

 

1.     Management’s Interim Financial Statement Representation:

 

The accompanying consolidated condensed financial statements have been prepared by Winmark Corporation and subsidiaries (the Company), without audit, pursuant to the rules and regulations of the Securities and Exchange Commission.  The Company has a 52/53 week year which ends on the last Saturday in December.  The information in the consolidated condensed financial statements includes normal recurring adjustments and reflects all adjustments which are, in the opinion of management, necessary for a fair presentation of such financial statements.  The consolidated condensed financial statements and notes are presented in accordance with accounting principles generally accepted in the United States of America for interim financial information and with the instructions for Form 10-Q, and therefore do not contain certain information included in the Company’s annual consolidated financial statements and notes.  This report should be read in conjunction with the audited consolidated financial statements and the notes thereto included in the Company’s latest Annual Report on Form 10-K.

 

Revenues and operating results for the six months ended June 30, 2012 are not necessarily indicative of the results to be expected for the full year.

 

Reclassifications

 

Certain reclassifications of previously reported amounts have been made to conform to the current year presentation.  Such reclassifications did not impact net income or shareholders’ equity as previously reported.

 

2.     Organization and Business:

 

The Company offers licenses to operate franchises using the service marks Plato’s Closet®, Play It Again Sports®, Once Upon A Child® and Music Go Round®.  The Company also operates both middle market and small-ticket equipment leasing businesses under the Winmark Capital® and Wirth Business Credit® marks.

 

3.     Fair Value Measurements:

 

The Company defines fair value as the price that would be received for an asset or paid to transfer a liability (an exit price) in the principal or most advantageous market for the asset or liability in an orderly transaction between market participants on the measurement date.  The Company uses three levels of inputs to measure fair value:

 

·                  Level 1 – quoted prices in active markets for identical assets and liabilities.

·                  Level 2 – observable inputs other than quoted prices in active markets for identical assets and liabilities.

·                  Level 3 – unobservable inputs in which there is little or no market data available, which require the reporting entity to develop its own assumptions.

 

The Company’s marketable securities were valued based on Level 1 inputs using quoted prices.

 

Due to their nature, the carrying value of cash equivalents, receivables, payables and debt obligations approximates fair value.

 

7



Table of Contents

 

4.     Investments:

 

Marketable Securities

 

The following is a summary of marketable securities classified as available-for-sale securities:

 

 

 

June 30, 2012

 

December 31, 2011

 

 

 

Cost

 

Fair Value

 

Cost

 

Fair Value

 

Equity securities

 

$

113,000

 

$

116,600

 

$

1,015,800

 

$

1,043,800

 

 

The Company’s unrealized gains and losses for marketable securities classified as available-for-sale securities in accumulated other comprehensive income are as follows:

 

 

 

June 30, 2012

 

December 31, 2011

 

Unrealized gains

 

$

3,600

 

$

32,900

 

Unrealized losses

 

 

(4,900

)

Net unrealized gains

 

$

3,600

 

$

28,000

 

 

The Company’s realized gains and losses recognized on sales of available-for-sale marketable securities are as follows:

 

 

 

Three Months Ended

 

Six Months Ended

 

 

 

June 30, 2012

 

June 25, 2011

 

June 30, 2012

 

June 25, 2011

 

Realized gains

 

$

 

$

 

$

42,300

 

$

 

Realized losses

 

 

 

(12,300

)

(600

)

Net realized gains/(losses)

 

$

 

$

 

$

30,000

 

$

(600

)

 

Amounts reclassified out of accumulated other comprehensive income into earnings is determined by using the average cost of the security when sold.

 

Long-Term Investments

 

The Company has an investment in Tomsten, Inc. (“Tomsten”), the parent company of “Archiver’s” retail chain.  The Company has invested a total of $8.5 million in the purchase of common stock of Tomsten.  The Company’s investment currently represents 22.0% of the outstanding common stock of Tomsten.  As of June 30, 2012, $0.3 million of the Company’s investment, with a current carrying value of $2.2 million, is attributable to goodwill.  The amount of goodwill was determined by calculating the difference between the Company’s net investment in Tomsten less its pro rata share of Tomsten’s net worth.

 

The Company has a $2.0 million investment in senior subordinated promissory notes with warrants in BridgeFunds Limited (“BridgeFunds”).  BridgeFunds advances funds to claimants involved in civil litigation to cover litigation expenses.  Monthly prepayment of the principal of such notes in an amount equal to Available Cash Flow (as defined within the agreements governing the notes) is required.  In July 2012, the Company entered into an amendment to the agreement governing the notes whereby the maturity date of all of the outstanding notes was changed to June 30, 2013.  During the six months ended June 30, 2012, the Company did not receive any payments of principal or interest on the notes.  The Company stopped accruing interest on this investment as of September 30, 2010.  The Company has deemed this investment to be impaired, and in evaluating the investment for impairment has determined that its present value of expected future cash flows, discounted at the effective interest rate on the notes of 15%, is less than the recorded investment in the notes.  In developing its estimate of expected future cash flows, the Company used certain information obtained from BridgeFunds concerning existing liabilities, claimant cases outstanding and historical default rates on claimant advances, and made certain

 

8



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assumptions regarding the timing of case settlements, the payment of future liabilities and future default rates.  The Company recognized $883,100 in impairment charges during 2011 and established a corresponding valuation allowance accordingly.  Based upon the Company’s estimate of expected future cash flows as of June 30, 2012, there were no additional impairment charges during the six month period then ended.  As of June 30, 2012, the $1.3 million net investment balance inclusive of $0.2 million of related interest receivable is classified as long-term based on expected payments from Available Cash Flow.

 

5.     Investment in Leasing Operations:

 

Investment in leasing operations consists of the following:

 

 

 

June 30, 2012

 

December 31, 2011

 

Direct financing and sales-type leases:

 

 

 

 

 

Minimum lease payments receivable

 

$

27,709,500

 

$

27,413,300

 

Estimated residual value of equipment

 

2,904,200

 

2,764,400

 

Unearned lease income net of initial direct costs deferred

 

(4,575,700

)

(4,217,000

)

Security deposits

 

(2,731,300

)

(2,448,800

)

Equipment installed on leases not yet commenced

 

9,087,700

 

6,489,200

 

Total investment in direct financing and sales-type leases

 

32,394,400

 

30,001,100

 

Allowance for credit losses

 

(785,800

)

(803,800

)

Net investment in direct financing and sales-type leases

 

31,608,600

 

29,197,300

 

Operating leases:

 

 

 

 

 

Operating lease assets

 

1,131,300

 

1,218,900

 

Less accumulated depreciation and amortization

 

(667,400

)

(567,300

)

Net investment in operating leases

 

463,900

 

651,600

 

Total net investment in leasing operations

 

$

32,072,500

 

$

29,848,900

 

 

As of June 30, 2012, the $32.1 million total net investment in leases consists of $11.5 million classified as current and $20.6 million classified as long-term.  As of December 31, 2011, the $29.8 million total net investment in leases consists of $11.7 million classified as current and $18.1 million classified as long-term.

 

As of June 30, 2012, leased assets with one customer approximated 11% of the Company’s total assets.

 

Future minimum lease payments receivable under lease contracts and the amortization of unearned lease income, net of initial direct costs deferred, is as follows for the remainder of fiscal 2012 and the full fiscal years thereafter as of June 30, 2012:

 

 

 

Direct Financing and Sales-Type Leases

 

Operating Leases

 

 

 

Minimum Lease
Payments Receivable

 

Income
Amortization

 

Minimum Lease
Payments Receivable

 

2012

 

$

7,940,500

 

$

2,103,800

 

$

653,400

 

2013

 

11,989,200

 

1,918,400

 

1,517,800

 

2014

 

5,765,400

 

466,700

 

132,400

 

2015

 

1,515,200

 

81,000

 

 

2016

 

499,200

 

5,800

 

 

Thereafter

 

 

 

 

 

 

$

27,709,500

 

$

4,575,700

 

$

2,303,600

 

 

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Table of Contents

 

The activity in the allowance for credit losses for leasing operations during the first six months of 2012 and 2011, respectively, is as follows:

 

 

 

June 30, 2012

 

June 25, 2011

 

Balance at beginning of period

 

$

803,800

 

$

907,800

 

Provisions charged to expense

 

(67,900

)

21,300

 

Recoveries

 

159,900

 

178,700

 

Deductions for amounts written-off

 

(110,000

)

(262,300

)

Balance at end of period

 

$

785,800

 

$

845,500

 

 

The Company’s investment in direct financing and sales-type leases (“Investment In Leases”) and allowance for credit losses by loss evaluation methodology are as follows:

 

 

 

June 30, 2012

 

December 31, 2011

 

 

 

Investment
In Leases

 

Allowance for
Credit Losses

 

Investment
In Leases

 

Allowance for
Credit Losses

 

Collectively evaluated for loss potential

 

$

32,394,400

 

$

785,800

 

$

30,001,100

 

$

803,800

 

Individually evaluated for loss potential

 

 

 

 

 

Total

 

$

32,394,400

 

$

785,800

 

$

30,001,100

 

$

803,800

 

 

The Company’s key credit quality indicator for its investment in direct financing and sales-type leases is the status of the lease, defined as accruing or non-accruing.  Leases that are accruing income are considered to have a lower risk of loss.  Non-accrual leases are those that the Company believes have a higher risk of loss.  The following table sets forth information regarding the Company’s accruing and non-accrual leases.  Delinquent balances are determined based on the contractual terms of the lease.

 

 

 

June 30, 2012

 

 

 

0-60 Days
Delinquent
and Accruing

 

61-90 Days
Delinquent
and Accruing

 

Over 90 Days
Delinquent and
Accruing

 

Non-Accrual

 

Total

 

Middle-Market

 

$

30,015,600

 

$

 

$

 

$

 

$

30,015,600

 

Small-Ticket

 

2,374,500

 

 

 

4,300

 

2,378,800

 

Total Investment in Leases

 

$

32,390,100

 

$

 

$

 

$

4,300

 

$

32,394,400

 

 

 

 

December 31, 2011

 

 

 

0-60 Days
Delinquent
and Accruing

 

61-90 Days
Delinquent
and Accruing

 

Over 90 Days
Delinquent and
Accruing

 

Non-Accrual

 

Total

 

Middle-Market

 

$

25,650,500

 

$

932,100

 

$

 

$

 

$

26,582,600

 

Small-Ticket

 

3,351,400

 

48,300

 

 

18,800

 

3,418,500

 

Total Investment in Leases

 

$

29,001,900

 

$

980,400

 

$

 

$

18,800

 

$

30,001,100

 

 

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Table of Contents

 

6.              New Accounting Pronouncements:

 

In June 2011, the Financial Accounting Standards Board (“FASB”) amended its accounting guidance on the presentation of other comprehensive income (“OCI”) in an entity’s financial statements.  The amended guidance eliminates the option to present the components of OCI as part of the statement of changes in shareholders’ equity and provides two options for presenting OCI: in a statement included in the income statement or in a separate statement immediately following the income statement.  The amendments do not change the guidance for the items that have to be reported in OCI or when an item of OCI has to be moved into net income.  For public entities, the amendments are effective for fiscal years, and interim periods within those years, beginning after December 15, 2011.  The Company adopted the amended presentation guidance in its quarterly report on Form 10-Q for the fiscal period ended March 31, 2012 (see Consolidated Condensed Statements of Comprehensive Income) and such adoption has not impacted the consolidated results of the Company.

 

In September 2011, the FASB amended its accounting guidance on testing goodwill for impairment by providing entities an option to perform a qualitative assessment to determine whether further impairment testing is necessary.  The amendments do not change the guidance for how goodwill is calculated or when goodwill is tested for impairment.  The amendments are effective for fiscal years beginning after December 15, 2011.  The Company adopted the new guidance on January 1, 2012 and such adoption has not impacted the consolidated results of the Company.

 

7.     Earnings Per Share:

 

The following table sets forth the presentation of shares outstanding used in the calculation of basic and diluted earnings per share (“EPS”):

 

 

 

Three Months Ended

 

Six Months Ended

 

 

 

June 30, 2012

 

June 25, 2011

 

June 30, 2012

 

June 25, 2011

 

Denominator for basic EPS – weighted average common shares

 

5,056,289

 

4,980,844

 

5,054,620

 

4,985,220

 

Dilutive shares associated with option plans

 

211,956

 

258,599

 

219,603

 

242,248

 

Denominator for diluted EPS – weighted average common shares and dilutive potential common shares

 

5,268,245

 

5,239,443

 

5,274,223

 

5,227,468

 

Options excluded from EPS calculation – anti-dilutive

 

25,554

 

11,459

 

17,110

 

20,006

 

 

8.     Shareholders’ Equity:

 

Dividends

 

On January 18, 2012, the Company’s Board of Directors approved the payment of a $0.03 per share quarterly cash dividend and $5.00 per share special cash dividend (the “Special Dividend”) to shareholders of record at the close of business on February 8, 2012, both of which were paid on March 1, 2012.  The Special Dividend totaled $25.4 million and was financed by a combination of cash on hand as well as net borrowings under the Line of Credit of $12.8 million.  (See Note 9 – “Line of Credit”).

 

On April 25, 2012, the Company’s Board of Directors approved the payment of a $0.04 per share quarterly cash dividend to shareholders of record at the close of business on May 9, 2012, which was paid on June 1, 2012.

 

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Table of Contents

 

Repurchase of Common Stock

 

In the first six months of 2012, the Company repurchased 49,256 shares of its common stock for an aggregate purchase price of $2.6 million or $52.27 per share.  These repurchase transactions reduced the dollar amount of common stock on the balance sheet to zero, with the remainder recorded to retained earnings.  Under the Board of Directors’ authorization, as of June 30, 2012, the Company has the ability to repurchase an additional 446,616 shares of its common stock.  Repurchases may be made from time to time at prevailing prices, subject to certain restrictions on volume, pricing and timing.

 

Stock Option Plans and Stock-Based Compensation

 

The Company had authorized up to 750,000 shares of common stock be reserved for granting either nonqualified or incentive stock options to officers and key employees under the Company’s 2001 Stock Option Plan (the “2001 Plan”).  The 2001 Plan expired on February 20, 2011.  The Company has authorized up to 250,000 shares of common stock to be reserved for granting either nonqualified or incentive stock options to officers and key employees under the Company’s 2010 Stock Option Plan (the “2010 Plan”).

 

The Company also sponsors a Stock Option Plan for Nonemployee Directors (the “Nonemployee Directors Plan”) and has reserved a total of 300,000 shares for issuance to directors of the Company who are not employees.

 

Stock option activity under the 2001 Plan, 2010 Plan and Nonemployee Directors Plan (collectively, the “Option Plans”) as of June 30, 2012 was as follows:

 

 

 

Number of
Shares

 

Weighted
Average
Exercise Price

 

Weighted Average
Remaining
Contractual Life
(years)

 

Intrinsic Value

 

Outstanding at December 31, 2011

 

668,614

 

$

24.31

 

6.62

 

$

22,101,800

 

Granted

 

72,500

 

53.30

 

 

 

 

 

Exercised

 

(119,662

)

20.31

 

 

 

 

 

Outstanding at June 30, 2012

 

621,452

 

$

28.47

 

7.03

 

$

18,695,300

 

Exercisable at June 30, 2012

 

341,309

 

$

18.83

 

5.74

 

$

13,016,600

 

 

During the six months ended June 30, 2012, option holders surrendered 31,351 shares of previously owned common stock as payment for option shares exercised as provided for by the Option Plans.  All unexercised options at June 30, 2012 have an exercise price equal to the fair market value on the date of the grant.

 

The fair value of options granted under the Option Plans during the first six months of 2012 and 2011 were estimated on the date of grant using the Black-Scholes option pricing model with the following weighted average assumptions and results:

 

 

 

Six Months Ended

 

 

 

June 30, 2012

 

June 25, 2011

 

Risk free interest interest rate

 

0.88

%

1.94

%

Expected life (years)

 

6

 

6

 

Expected volatility

 

31.4

%

28.0

%

Dividend yield

 

2.06

%

.32

%

Option fair value

 

$

12.95

 

$

11.28

 

 

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Table of Contents

 

Compensation expense of $437,400 and $351,100 relating to the vested portion of the fair value of stock options granted was expensed to “Selling, General and Administrative Expenses” in the first six months of 2012 and 2011, respectively.  As of June 30, 2012, the Company had $2.5 million of total unrecognized compensation expense related to stock options that is expected to be recognized over the remaining weighted average period of approximately 2.6 years.

 

9.  Line of Credit:

 

On January 30, 2012, the Company’s Line of Credit with The PrivateBank and Trust Company and BMO Harris Bank N.A. was amended to, among other things, provide the consent of the lenders for the payment of the Special Dividend and to amend certain financial covenant calculations to remove the effect of the Special Dividend in such calculations.

 

On February 29, 2012, the Line of Credit was amended to, among other things, increase the aggregate commitments from $30.0 million to $35.0 million and extend the termination date from July 31, 2014 to February 29, 2016.

 

During the six months ended June 30, 2012, the Line of Credit was used to finance in part the Special Dividend (as indicated above) and has been and will continue to be used for general corporate purposes.  Borrowings under the Line of Credit are subject to certain borrowing base limitations, and the Line of Credit is secured by a lien against substantially all of the Company’s assets, contains customary financial conditions and covenants, and requires maintenance of minimum levels of debt service coverage and tangible net worth and maximum levels of leverage (all as defined within the Line of Credit).  As of June 30, 2012, the Company was in compliance with all of its financial covenants and the Company’s borrowing availability under the Line of Credit was $35.0 million (the lesser of the borrowing base or the aggregate commitments).  There were $12.8 million in borrowings outstanding under the Line of Credit bearing interest ranging from 2.99% to 3.75%, leaving $22.2 million available for additional borrowings.

 

10.  Discounted Lease Rentals:

 

The Company utilized certain lease receivables and underlying equipment as collateral to borrow from financial institutions at a weighted average rate of 2.84% at June 30, 2012 on a non-recourse basis.

 

11.  Segment Reporting:

 

The Company currently has two reportable business segments, franchising and leasing.  The franchising segment franchises value-oriented retail store concepts that buy, sell, trade and consign merchandise.  The leasing segment includes (i) Winmark Capital Corporation, a middle-market equipment leasing business and (ii) Wirth Business Credit, Inc., a small ticket financing business.  Segment reporting is intended to give financial statement users a better view of how the Company manages and evaluates its businesses. The Company’s internal management reporting is the basis for the information disclosed for its business segments and includes allocation of shared-service costs.  Segment assets are those that are directly used in or identified with segment operations, including cash, accounts receivable, prepaids, inventory, property and equipment and investment in leasing operations. Unallocated assets include corporate cash and cash equivalents, marketable securities, current and long-term investments, deferred tax amounts and other corporate assets.  Inter-segment balances and transactions have been eliminated.  The following tables summarize financial information by segment and provide a reconciliation of segment contribution to operating income:

 

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Table of Contents

 

 

 

Three Months Ended

 

Six Months Ended

 

 

 

June 30, 2012

 

June 25, 2011

 

June 30, 2012

 

June 25, 2011

 

Revenue:

 

 

 

 

 

 

 

 

 

Franchising

 

$

8,907,400

 

$

8,224,600

 

$

18,348,700

 

$

16,074,500

 

Leasing

 

3,285,000

 

7,000,200

 

5,677,100

 

10,255,200

 

Total revenue

 

$

12,192,400

 

$

15,224,800

 

$

24,025,800

 

$

26,329,700

 

 

 

 

 

 

 

 

 

 

 

Reconciliation to operating income:

 

 

 

 

 

 

 

 

 

Franchising segment contribution

 

$

4,271,300

 

$

3,712,300

 

$

9,099,800

 

$

7,453,100

 

Leasing segment contribution

 

1,755,200

 

2,371,800

 

2,772,900

 

3,843,000

 

Total operating income

 

$

6,026,500

 

$

6,084,100

 

$

11,872,700

 

$

11,296,100

 

 

 

 

 

 

 

 

 

 

 

Depreciation:

 

 

 

 

 

 

 

 

 

Franchising

 

$

81,300

 

$

27,400

 

$

170,200

 

$

54,200

 

Leasing

 

23,600

 

94,800

 

49,200

 

188,500

 

Total depreciation

 

$

104,900

 

$

122,200

 

$

219,400

 

$

242,700

 

 

 

 

As of

 

 

 

June 30, 2012

 

December 31, 2011

 

Identifiable assets:

 

 

 

 

 

Franchising

 

$

2,207,700

 

$

7,753,200

 

Leasing

 

34,038,000

 

33,374,000

 

Unallocated

 

6,219,600

 

6,618,500

 

Total

 

$

42,465,300

 

$

47,745,700

 

 

ITEM 2:  Management’s Discussion and Analysis of Financial Condition and Results of Operations.

 

Overview

 

As of June 30, 2012, we had 946 franchises operating under the Plato’s Closet, Play it Again Sports, Once Upon a Child and Music Go Round brands and had a leasing portfolio of $32.1 million.  Management closely tracks the following financial criteria to evaluate current business operations and future prospects: royalties, leasing activity, and selling, general and administrative expenses.

 

Our most profitable source of franchising revenue is royalties received from our franchise partners.  During the first six months of 2012, our royalties increased $2.1 million or 15.2% compared to the first six months of 2011.

 

During the first six months of 2012, we purchased $10.9 million in equipment for lease customers compared to $10.9 million in the first six months of 2011.  Overall, our leasing portfolio (net investment in leases — current and long-term) increased to $32.1 million at June 30, 2012 from $29.8 million at December 31, 2011.  Leasing income net of leasing expense during the first six months of 2012 was $5.1 million compared to $6.4 million in the same period last year.  Fluctuations in period-to-period leasing income and leasing expense result primarily from the manner and timing in which leasing income and leasing expense is recognized over the term of each particular lease in accordance with accounting guidance applicable to leasing.  For this reason, we believe that more meaningful levels of leasing activity are the purchases of equipment for lease customers and the medium- to long-term trend in the size of the leasing portfolio.  Our earnings are also impacted by credit losses.  During the first six months of 2012, our provision for credit losses decreased to $(67,900) from $21,300 in the first six months of 2011.

 

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Table of Contents

 

Management continually monitors the level and timing of selling, general and administrative expenses.  The major components of selling, general and administrative expenses include salaries, wages and benefits, advertising, travel, occupancy, legal and professional fees.  During the first six months of 2012, selling, general and administrative expense increased $481,400, or 4.9%, compared to the first six months of 2011.

 

Management also monitors several nonfinancial factors in evaluating the current business operations and future prospects including franchise openings and closings and franchise renewals. The following is a summary of our franchising activity for the first six months ended June 30, 2012:

 

 

 

 

 

 

 

 

 

 

 

SIX MONTHS ENDED 6/30/12

 

 

 

TOTAL
12/31/11

 

OPENED

 

CLOSED

 

TOTAL
6/30/12

 

AVAILABLE
FOR
RENEWAL

 

COMPLETED
RENEWALS

 

Plato’s Closet
Franchises - US and Canada

 

324

 

17

 

(0

)

341

 

17

 

17

 

Play It Again Sports
Franchises - US and Canada

 

325

 

1

 

(7

)

319

 

43

 

41

 

Once Upon A Child
Franchises - US and Canada

 

247

 

4

 

(0

)

251

 

3

 

3

 

Music Go Round
Franchises - US

 

34

 

1

 

(0

)

35

 

0

 

0

 

Total Franchised Stores

 

930

 

23

 

(7

)

946

 

63

 

61

 

 

Renewal activity is a key focus area for management.  Our franchisees sign 10-year agreements with us.  The renewal of existing franchise agreements as they approach their expiration is an indicator that management monitors to determine the health of our business and the preservation of future royalties.  During the first six months of 2012, we renewed 61 of the 63 franchise agreements available for renewal.

 

Our ability to grow our operating income is dependent on our ability to: (i) effectively support our franchise partners so that they produce higher revenues, (ii) open new franchises, (iii) increase lease originations and minimize write-offs in our leasing portfolios, and (iv) control our selling, general and administrative expenses.

 

15



Table of Contents

 

Results of Operations

 

The following table sets forth selected information from our Consolidated Condensed Statements of Operations expressed as a percentage of total revenue:

 

 

 

Three Months Ended

 

Six Months Ended

 

 

 

June 30, 2012

 

June 25, 2011

 

June 30, 2012

 

June 25, 2011

 

Revenue:

 

 

 

 

 

 

 

 

 

Royalties

 

63.1

%

44.8

%

66.5

%

52.7

%

Leasing income

 

26.9

 

45.8

 

23.6

 

38.8

 

Merchandise sales

 

5.4

 

5.5

 

5.7

 

5.1

 

Franchise fees

 

2.2

 

1.6

 

2.3

 

1.2

 

Other

 

2.4

 

2.3

 

1.9

 

2.2

 

Total revenue

 

100.0

 

100.0

 

100.0

 

100.0

 

 

 

 

 

 

 

 

 

 

 

Cost of merchandise sold

 

(5.2

)

(5.2

)

(5.4

)

(4.8

)

Leasing expense

 

(2.7

)

(21.9

)

(2.4

)

(14.7

)

Provision for credit losses

 

0.1

 

0.1

 

0.3

 

(0.1

)

Selling, general and administrative expenses

 

(42.8

)

(33.0

)

(43.1

)

(37.5

)

Income from operations

 

49.4

 

40.0

 

49.4

 

42.9

 

Loss from equity investments

 

(2.0

)

(0.9

)

(1.2

)

(0.8

)

Impairment of investment in notes

 

 

(1.7

)

 

(1.0

)

Interest expense

 

(1.0

)

(0.2

)

(0.8

)

(0.2

)

Interest and other income

 

(0.1

)

0.1

 

0.2

 

0.1

 

Income before income taxes

 

46.3

 

37.3

 

47.6

 

41.0

 

Provision for income taxes

 

(18.4

)

(15.0

)

(18.8

)

(16.6

)

Net income

 

27.9

%

22.3

%

28.8

%

24.4

%

 

Comparison of Three Months Ended June 30, 2012 to Three Months Ended June 25, 2011

 

Revenue

 

Revenues for the quarter ended June 30, 2012 totaled $12.2 million compared to $15.2 million for the comparable period in 2011.

 

Royalties and Franchise Fees

 

Royalties increased to $7.7 million for the second quarter of 2012 from $6.8 million for the second quarter of 2011, a 12.8% increase.  The increase was primarily due to higher Plato’s Closet and Once Upon A Child royalties of $0.6 million and $0.2 million, respectively.  The increase in royalties for these brands is primarily due to higher franchisee retail sales in these brands as well as having 33 additional Plato’s Closet franchise stores in the second quarter of 2012 compared to the same period last year.

 

Franchise fees increased to $270,000 for the second quarter of 2012 compared to $245,000 for the second quarter of 2011, primarily as a result of opening one more franchise in the 2012 period compared to the same period in 2011.

 

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Table of Contents

 

Leasing Income

 

Leasing income decreased to $3.3 million for the second quarter of 2012 compared to $7.0 million for the same period in 2011.  The decrease is due to a lower level of equipment sales to customers.

 

Merchandise Sales

 

Merchandise sales include the sale of product to franchisees either through the Play It Again Sports buying group, or through our Computer Support Center (together, “Direct Franchisee Sales”).  Direct Franchisee Sales decreased to $656,800 for the second quarter of 2012 compared to $833,000 in the same period of 2011.  The decrease is due to a decrease in buying group sales, partially offset by increased technology purchases by our franchisees.

 

Cost of Merchandise Sold

 

Cost of merchandise sold includes in-bound freight and the cost of merchandise associated with Direct Franchisee Sales.  Cost of merchandise sold decreased to $633,500 for the second quarter of 2012 compared to $794,200 in the same period of 2011.  The decrease was due to a decrease in Direct Franchisee Sales discussed above.  Cost of merchandise sold as a percentage of Direct Franchisee Sales for the second quarter of 2012 and 2011 was 96.5% and 95.3%, respectively.

 

Leasing Expense

 

Leasing expense decreased to $0.3 million for the second quarter of 2012 compared to $3.3 million for the second quarter of 2011.  The decrease is due to a decrease in the associated cost of equipment sales to customers discussed above.

 

Provision for Credit Losses

 

Provision for credit losses was $(14,900) for the second quarter of 2012 compared to $(24,100) for the second quarter of 2011.  Provision levels for the periods presented were impacted by net recoveries as well as a lower level of delinquencies, primarily in the small-ticket financing business portion of our leasing segment.  During the second quarter of 2012, we had total net recoveries of $41,500 compared to total net recoveries of $9,100 in the second quarter of 2011.

 

Selling, General and Administrative

 

Selling, general and administrative expenses increased 3.8% to $5.2 million in the second quarter of 2012 from $5.0 million in the same period of 2011.  The increase was primarily due to an increase in compensation and benefits expense.

 

Loss from Equity Investments

 

During the second quarter of 2012 and 2011, we recorded losses of $240,700 and $142,900, respectively, from our investment in Tomsten (representing our pro-rata share of losses for the periods).

 

Impairment of Investment in Notes

 

During the second quarter of 2012 and 2011, we recorded impairment charges of $0 and $252,900, respectively, for our investment in BridgeFunds notes as a result of our estimate of expected future cash flows from the investment.  (See Note 4 — “Investments”).

 

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Table of Contents

 

Interest Expense

 

Interest expense increased to $122,300 for the second quarter of 2012 compared to $26,900 for the second quarter of 2011.  The increase is due to higher corporate borrowings.

 

Interest and Other Income

 

During the second quarter of 2012, we had interest and other income of $(10,000) compared to $13,900 of interest and other income in the second quarter of 2011.

 

Income Taxes

 

The provision for income taxes was calculated at an effective rate of 39.8% and 40.1% for the second quarter of 2012 and 2011, respectively.  The lower effective rate in 2012 compared to 2011 is primarily due to a decrease in state taxes.

 

Comparison of Six Months Ended June 30, 2012 to Six Months Ended June 25, 2011

 

Revenue

 

Revenues for the first six months of 2012 totaled $24.0 million compared to $26.3 million for the comparable period in 2011.

 

Royalties and Franchise Fees

 

Royalties increased to $16.0 million for the first six months of 2012 from $13.9 million for the first six months of 2011, a 15.2% increase.  The increase was due to higher Plato’s Closet and Once Upon A Child royalties of $1.5 million and $0.7 million, respectively.  The increase in royalties for these brands is primarily due to higher franchisee retail sales in these brands as well as having 33 additional Plato’s Closet franchise stores in the first six months of 2012 compared to the same period last year.

 

Franchise fees increased to $555,000 for the first six months of 2012 compared to $320,000 for the first six months of 2011, primarily as a result of opening eleven more franchises in the 2012 period compared to the same period in 2011.

 

Leasing Income

 

Leasing income decreased to $5.7 million for the first six months of 2012 compared to $10.2 million million for the same period in 2011.  The decrease is due to a lower level of equipment sales to customers.

 

Merchandise Sales

 

Merchandise sales include the sale of product to franchisees either through the Play It Again Sports buying group, or through our Computer Support Center (together, “Direct Franchisee Sales”).  Direct Franchisee Sales increased to $1.4 million for the first six months of 2012 compared to $1.3 million in the same period of 2011.  The increase is due to an increase in technology purchases by our franchisees, partially offset by decreased buying group sales.

 

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Cost of Merchandise Sold

 

Cost of merchandise sold includes in-bound freight and the cost of merchandise associated with Direct Franchisee Sales.  Cost of merchandise sold of $1.3 million for the first six months of 2012 was comparable to $1.3 million in the same period of 2011.  Cost of merchandise sold as a percentage of Direct Franchisee Sales for the first six months of 2012 and 2011 was 95.0% and 95.7%, respectively.

 

Leasing Expense

 

Leasing expense decreased to $0.6 million for the first six months of 2012 compared to $3.9 million for the first six months of 2011.  The decrease is due to a decrease in the associated cost of equipment sales to customers discussed above.

 

Provision for Credit Losses

 

Provision for credit losses was $(67,900) for the first six months of 2012 compared to $21,300 for the first six months of 2011.  Provision levels for the periods presented were impacted by net recoveries/write-offs as well as a lower level of delinquencies, primarily in the small-ticket financing business portion of our leasing segment.  During the first six months of 2012, we had total net recoveries of $49,900 compared to total net write-offs of $83,600 in the first six months of 2011.

 

Selling, General and Administrative

 

Selling, general and administrative expenses increased 4.9% to $10.4 million in the first six months of 2012 from $9.9 million in the same period of 2011.  The increase was primarily due to an increase in compensation and benefits expense.

 

Loss from Equity Investments

 

During the first six months of 2012 and 2011, we recorded losses of $278,100 and $219,900, respectively, from our investment in Tomsten (representing our pro-rata share of losses for the periods).

 

Impairment of Investment in Notes

 

During the first six months of 2012 and 2011, we recorded impairment charges of $0 and $252,900, respectively, for our investment in BridgeFunds notes as a result of our estimate of expected future cash flows from the investment.  (See Note 4 — “Investments”).

 

Interest Expense

 

Interest expense increased to $192,100 for the first six months of 2012 compared to $58,000 for the first six months of 2011.  The increase is due to higher corporate borrowings.

 

Interest and Other Income

 

During the first six months of 2012, we had interest and other income of $36,300 compared to $31,100 of interest and other income in the first six months of 2011.

 

Income Taxes

 

The provision for income taxes was calculated at an effective rate of 39.5% and 40.5% for the first six months of 2012 and 2011, respectively.  The lower effective rate in 2012 compared to 2011 is primarily due to a decrease in state taxes.

 

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Segment Comparison of Three Months Ended June 30, 2012 to Three Months Ended June 25, 2011

 

Franchising Segment Operating Income

 

The franchising segment’s operating income for the second quarter of 2012 increased by $0.6 million, or 15.1%, to $4.3 million from $3.7 million for the second quarter of 2011.  The increase in segment contribution was primarily due to increased royalty revenue.

 

Leasing Segment Operating Income

 

The leasing segment’s operating income for the second quarter of 2012 decreased by $0.6 million to $1.8 million from $2.4 million for the second quarter of 2011.  The decrease in segment contribution was primarily due to a decrease in leasing income net of leasing expense.

 

Segment Comparison of Six Months Ended June 30, 2012 to Six Months Ended June 25, 2011

 

Franchising Segment Operating Income

 

The franchising segment’s operating income for the first six months of 2012 increased by $1.6 million, or 22.1%, to $9.1 million from $7.5 million for the first six months of 2011.  The increase in segment contribution was primarily due to increased royalty revenue.

 

Leasing Segment Operating Income

 

The leasing segment’s operating income for the first six months of 2012 decreased by $1.0 million to $2.8 million from $3.8 million for the first six months of 2011.  The decrease in segment contribution was primarily due to a decrease in leasing income net of leasing expense.

 

Liquidity and Capital Resources

 

Our primary sources of liquidity have historically been cash flow from operations and borrowings.  The components of the consolidated statement of operations that reduce our net income but do not affect our liquidity include non-cash items for depreciation, compensation expense related to stock options, loss from equity investments and impairment of investment in notes.  A significant component of the consolidated balance sheet that affects liquidity is our long-term investments.  Long-term investments include $3.5 million of illiquid investments in two private companies: Tomsten, Inc. and BridgeFunds, LLC.  (See Note 4 — “Investments”).

 

We ended the second quarter of 2012 with $2.0 million in cash and cash equivalents and a current ratio (current assets divided by current liabilities) of 0.7 to 1.0 compared to $1.0 million in cash and cash equivalents and a current ratio of 1.6 to 1.0 at the end of the second quarter of 2011.

 

Operating activities provided $8.3 million of cash during the first six months of 2012 compared to $11.3 million provided during the same period last year.  The $3.0 million change in cash provided by operating activities was primarily due to an increase in cash paid for income taxes.

 

Investing activities used $1.5 million of cash during the first six months of 2012 compared to $1.0 million used during the same period of 2011.  The 2012 activities consisted primarily of the purchase of equipment for lease customers of $10.9 million, collections on lease receivables of $8.6 million and proceeds from sale of marketable securities of $1.3 million.

 

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Financing activities used $13.8 million of cash during the first six months of 2012 compared to $11.5 million used during the same period of 2011.  The 2012 activities consisted primarily of net proceeds and tax benefits from exercises of stock options of $0.7 million, net borrowings on our line of credit of $12.8 million, proceeds from discounted lease rentals of $1.0 million, $25.7 million used for the payment of dividends and $2.6 million used to purchase 49,256 shares of our common stock.  (See Note 8 — “Shareholders’ Equity”).

 

As of June 30, 2012, we had no off balance sheet arrangements.

 

As of June 30, 2012, our borrowing availability under our credit agreement with The PrivateBank and Trust Company and BMO Harris Bank, N.A. (the “Line of Credit”) was $35.0 million (the lesser of the borrowing base or the aggregate line of credit).  There were $12.8 million in borrowings outstanding at June 30, 2012 under the Line of Credit bearing interest ranging from 2.99% to 3.75%, leaving $22.2 million available for additional borrowings.

 

The Line of Credit, which has a termination date of February 29, 2016, has been and will continue to be used for general corporate purposes.  The Line of Credit is secured by a lien against substantially all of our assets, contains customary financial conditions and covenants, and requires maintenance of minimum levels of debt service coverage and tangible net worth and maximum levels of leverage (all as defined within the Line of Credit).  As of June 30, 2012, we were in compliance with all of our financial covenants.

 

We may utilize discounted lease financing to provide funds for a portion of our leasing activities.  Rates for discounted lease financing reflect prevailing market interest rates and the credit standing of the lessees for which the payment stream of the leases are discounted.  We believe that discounted lease financing will continue to be available to us at competitive rates of interest through the relationships we have established with financial institutions.

 

We believe that the combination of our cash on hand, the cash generated from our franchising business, cash generated from discounting sources and our Line of Credit will be adequate to fund our planned operations through 2013.

 

Critical Accounting Policies

 

The Company prepares the consolidated financial statements of Winmark Corporation and Subsidiaries in conformity with accounting principles generally accepted in the United States of America.  As such, the Company is required to make certain estimates, judgments and assumptions that it believes are reasonable based on information available.  These estimates and assumptions affect the reported amounts of assets and liabilities at the date of the financial statements and the reported amounts of revenue and expenses during the periods presented.  There can be no assurance that actual results will not differ from these estimates.  The critical accounting policies that the Company believes are most important to aid in fully understanding and evaluating the reported financial results include the following:

 

Revenue Recognition — Royalty Revenue and Franchise Fees

 

The Company collects royalties from each retail franchise based on a percentage of retail store gross sales.  The Company recognizes royalties as revenue when earned.  At the end of each accounting period, estimates of royalty amounts due are made based on applying historical weekly sales information to the number of weeks of unreported franchisee sales.  If there are significant changes in the actual performance of franchisees versus the Company’s estimates, its royalty revenue would be impacted.  During the first six months of 2012, the Company collected $91,200 more than it estimated at December 31, 2011.  As of June 30, 2012, the Company’s royalty receivable was $942,700.

 

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Table of Contents

 

The Company collects initial franchise fees when franchise agreements are signed and recognizes the initial franchise fees as revenue when the franchise is opened, which is when the Company has performed substantially all initial services required by the franchise agreement.  Franchise fees collected from franchisees but not yet recognized as income are recorded as deferred revenue in the liability section of the consolidated balance sheet.  As of June 30, 2012, deferred franchise fees were $1,275,900.

 

Leasing Income Recognition

 

Leasing income for direct financing leases is recognized under the effective interest method.  The effective interest method of income recognition applies a constant rate of interest equal to the internal rate of return on the lease.  Generally, when a lease is more than 90 days delinquent (where more than three monthly payments are owed), the lease is classified as being on non-accrual and the Company stops recognizing leasing income on that date.  Payments received on leases in non-accrual status generally reduce the lease receivable.  Leases on non-accrual status remain classified as such until there is sustained payment performance that, in the Company’s judgment, would indicate that all contractual amounts will be collected in full.

 

In certain circumstances, the Company may re-lease equipment in its existing portfolio.  As this equipment may have a fair value greater than its carrying amount when re-leased, the Company may be required to account for the lease as a sales-type lease.  At inception of a sales-type lease, revenue is recorded that consists of the present value of the future minimum lease payments discounted at the rate implicit in the lease.  In subsequent periods, the recording of income is consistent with the accounting for a direct financing lease.

 

For leases that are accounted for as operating leases, income is recognized on a straight-line basis when payments under the lease contract are due.

 

Allowances for Credit Losses

 

The Company maintains an allowance for credit losses at an amount that it believes to be sufficient to absorb losses inherent in its existing lease portfolio as of the reporting dates.  Leases are collectively evaluated for potential loss.  The Company’s methodology for determining the allowance for credit losses includes consideration of the level of delinquencies and non-accrual leases, historical net charge-off amounts and review of any significant concentrations.

 

A provision is charged against earnings to maintain the allowance for credit losses at the appropriate level.  If the actual results are different from the Company’s estimates, results could be different.  The Company’s policy is to charge-off against the allowance the estimated unrecoverable portion of accounts once they reach 121 days delinquent.  (See Note 5 — “Investment in Leasing Operations”).

 

Stock-Based Compensation

 

The Company currently uses the Black-Scholes option pricing model to determine the fair value of stock options.  The determination of the fair value of the awards on the date of grant using an option-pricing model is affected by stock price as well as assumptions regarding a number of complex and subjective variables.  These variables include implied volatility over the term of the awards, actual and projected employee stock option exercise behaviors, risk-free interest rate and expected dividends.

 

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Table of Contents

 

The Company evaluates the assumptions used to value awards on an annual basis.  If factors change and the Company employs different assumptions for estimating stock-based compensation expense in future periods or if the Company decides to use a different valuation model, the future periods may differ significantly from what it has recorded in the current period and could materially affect operating income, net income and earnings per share.

 

Impairment of Long-term Investments

 

The Company evaluates its long-term equity investments for impairment on an annual basis or whenever events or changes in circumstances indicate the carrying amount may not be recoverable.  The impairment, if any, is measured by the difference between the assets’ carrying amount and their fair value (as prescribed by applicable accounting guidance), based on the best information available, including market prices, discounted cash flow analysis or other financial metrics that management utilizes to help determine fair value.  Judgments made by management related to the fair value of its long-term equity investments are affected by factors such as the ongoing financial performance of the investees, additional capital raised by the investees as well as general changes in the economy.  If there are significant changes in the actual performance of the long-term equity investments versus the Company’s estimates, the carrying value of these investments could be significantly impacted.

 

The Company evaluates its long-term note investments for impairment on an annual basis or whenever events or changes in circumstances indicate that it probable that the Company will be unable to collect all amounts due according to the contractual terms of the notes.  The impairment, if any, is measured by the difference between the recorded investment in the notes, including accrued interest, and the present value of expected future cash flows discounted at the effective interest rate of the notes (as prescribed by applicable accounting guidance), based on the best information available to management.  Once a note investment is deemed impaired, any significant change in the amount or timing of the expected or actual cash flows requires recalculation of the impairment applying the procedures described above.  Estimates and assumptions made by management related to the expected future cash flows from the notes could be different than the actual cash flows, which could significantly impact the carrying value of these investments.

 

Forward Looking Statements

 

The statements contained in this Item 2 “Management’s Discussion and Analysis of Financial Condition and Results of Operations” that are not strictly historical fact, including without limitation, the Company’s belief that it will have adequate capital and reserves to meet its current and contingent obligations and operating needs, as well as its disclosures regarding market rate risk are forward looking statements made under the safe harbor provision of the Private Securities Litigation Reform Act.  Such statements are based on management’s current expectations as of the date of this Report, but involve risks, uncertainties and other factors that may cause actual results to differ materially from those contemplated by such forward looking statements.  Investors are cautioned to consider these forward looking statements in light of important factors which may result in material variations between results contemplated by such forward looking statements and actual results and conditions.  See the section appearing in our Annual Report on Form 10-K for the fiscal year ended December 31, 2011 entitled “Risk Factors” and Part II, Item 1A in this Report for a more complete discussion of certain factors that may cause the Company’s actual results to differ from those in its forward looking statements.  You should not place undue reliance on these forward-looking statements, which speak only as of the date they were made.  The Company undertakes no obligation to revise or update publicly any forward-looking statements for any reason.

 

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ITEM 3:   Quantitative and Qualitative Disclosures About Market Risk

 

The Company incurs financial markets risk in the form of interest rate risk.  Risk can be quantified by measuring the financial impact of a near-term adverse increase in short-term interest rates.  At June 30, 2012, the Company had available a $35.0 million line of credit with The PrivateBank and Trust Company and BMO Harris Bank, N.A.  The interest rates applicable to this agreement are based on either the bank’s base rate or LIBOR for short-term borrowings (less than three months) or the bank’s index rate for borrowings one year or greater.  The Company had $12.8 million of debt outstanding at June 30, 2012 under this line of credit, all of which was in the form of short-term borrowings subject to daily changes in the bank’s base rate or LIBOR.  The Company’s earnings would be affected by changes in these short-term interest rates.  With the Company’s borrowings at June 30, 2012, a one percent increase in short-term rates would reduce annual pretax earnings by $128,000.  The Company had no interest rate derivatives in place at June 30, 2012.

 

None of the Company’s cash and cash equivalents at June 30, 2012 was invested in money market mutual funds, which are subject to the effects of market fluctuations in interest rates.

 

Although the Company conducts business in foreign countries, international operations are not material to its consolidated financial position, results of operations or cash flows.  Additionally, foreign currency transaction gains and losses were not material to the Company’s results of operations for the six months ended June 30, 2012.  Accordingly, the Company is not currently subject to material foreign currency exchange rate risks from the effects that exchange rate movements of foreign currencies would have on its future costs or on future cash flows it would receive from its foreign activity.  To date, the Company has not entered into any foreign currency forward exchange contracts or other derivative financial instruments to hedge the effects of adverse fluctuations in foreign currency exchange rates.

 

ITEM 4:   Controls and Procedures

 

As of the end of the period covered by this report, the Company conducted an evaluation, under the supervision and with the participation of the principal executive officer and principal financial officer, of its disclosure controls and procedures as defined in Rules 13a-15(e) and 15d-15(e) under the Securities Exchange Act of 1934 (the “Exchange Act”).  Based upon, and as of the date of that evaluation, the principal executive officer and principal financial officer concluded that the Company’s disclosure controls and procedures are effective to ensure that information required to be disclosed by the Company in reports that it files or submits under the Exchange Act is recorded, processed, summarized and reported within the time periods specified in Securities and Exchange Commission rules and forms, and that such information is accumulated and communicated to the Company’s management, including its principal executive officer and principal financial officer, as appropriate to allow timely decisions regarding required disclosure.  There was no change in the Company’s internal control over financial reporting during its most recently completed fiscal quarter that has materially affected, or is reasonably likely to materially affect, its internal control over financial reporting.

 

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Table of Contents

 

PART II.               OTHER INFORMATION

 

ITEM 1:  Legal Proceedings

 

We are not a party to any material litigation and are not aware of any threatened litigation that would have a material adverse effect on our business.

 

ITEM 1A:  Risk Factors

 

In addition to the other information set forth in this report, including the important information in “Forward-Looking Statements,” you should carefully consider the “Risk Factors” discussed in the Company’s Annual Report on Form 10-K for the year ended December 31, 2011.  If any of those factors were to occur, they could materially adversely affect the Company’s financial condition or future results, and could cause its actual results to differ materially from those expressed in its forward-looking statements in this report.  The Company is aware of no material changes to the Risk Factors discussed in the Company’s Annual Report on Form 10-K for the year ended December 31, 2011.

 

ITEM 2:  Unregistered Sales of Equity Securities and Use of Proceeds

 

Purchase of Equity Securities by the Issuer and Affiliated Purchasers

 

Period

 

Total Number of
Shares Purchased

 

Average Price
Paid Per Share

 

Total Number of
Shares Purchased as 
Part of a Publicly
Announced Plan(1)

 

Maximum Number
of Shares that may
yet be Purchased
Under the Plan

 

 

 

 

 

 

 

 

 

 

 

April 1, 2012 to May 5, 2012

 

10,428

 

$

52.29

 

10,428

 

485,444

 

May 6, 2012 to June 2, 2012

 

16,417

 

52.80

 

16,417

 

469,027

 

June 3, 2012 to June 30, 2012

 

22,411

 

51.88

 

22,411

 

446,616

 

 


(1)                                 The Board of Directors’ authorization for the repurchase of shares of the Company’s common stock was originally approved in 1995 with no expiration date.  The total shares approved for repurchase has been increased by additional Board of Directors’ approvals and is currently limited to 5,000,000 shares, of which 446,616 may still be repurchased

 

ITEM 3:  Defaults Upon Senior Securities

 

None.

 

ITEM 4:  Mine Safety Disclosures

 

Not applicable.

 

ITEM 5:  Other Information

 

All information required to be reported in a report on Form 8-K during the period covered by this Form 10-Q has been reported.

 

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Table of Contents

 

ITEM 6:   Exhibits

 

3.1                               Articles of Incorporation, as amended (Exhibit 3.1)(1)

 

3.2                               By-laws, as amended and restated to date (Exhibit 3.2)(2)

 

10.1                        Third Amendment to Modification Agreement by and between Winmark Corporation and BridgeFunds, LLC dated July 26, 2012.*

 

31.1                        Certification of Chief Executive Officer Pursuant to Section 302 of the Sarbanes-Oxley Act of 2002*

 

31.2                        Certification of Chief Financial Officer Pursuant to Section 302 of the Sarbanes-Oxley Act of 2002*

 

32.1                        Certification of Chief Executive Officer Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002*

 

32.2                        Certification of Chief Financial Officer Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002*

 

101                           Interactive Data Files Pursuant to Rule 405 of Regulation S-T: Financial statements from the quarterly report on Form 10-Q of Winmark Corporation and Subsidiaries for the quarter ended June 30, 2012, formatted in XBRL: (i) Consolidated Condensed Balance Sheets, (ii) Consolidated Condensed Statements of Operations, (iii) Consolidated Condensed Statements of  Comprehensive Income, (iv) Consolidated Condensed Statements of Cash Flows, and (v) Notes to Consolidated Condensed Financial Statements.+

 


*Filed Herewith

 

+                                         Pursuant to Rule 406T of Regulation S-T, the interactive data files on Exhibit 101 hereto are deemed not filed or part of a registration statement or prospectus for purposes of Sections 11 or 12 of the Securities Act of 1933, as amended, are deemed not filed for purposes of Section 18 of the Securities Exchange Act of 1934, as amended, and otherwise are not subject to liability under those sections.

 

(1)                                 Incorporated by reference to the specified exhibit to the Registration Statement on Form S-1, effective August 24, 1993 (Reg. No. 333-65108).

 

(2)                                 Incorporated by reference to the specified exhibit to the Annual Report on Form 10-K for the fiscal year ended December 30, 2006.

 

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Table of Contents

 

SIGNATURES

 

Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned thereunto duly authorized.

 

 

Date: July 27, 2012

By:

/s/ John L. Morgan

 

 

John L. Morgan

 

 

Chairman of the Board and Chief Executive Officer

 

 

(principal executive officer)

 

 

 

 

 

 

Date: July 27, 2012

By:

/s/ Anthony D. Ishaug

 

 

Anthony D. Ishaug

 

 

Chief Financial Officer and Treasurer

 

 

(principal financial and accounting officer)

 

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Table of Contents

 

EXHIBIT INDEX

WINMARK CORPORATION

FORM 10-Q FOR QUARTER ENDED JUNE 30, 2012

 

Exhibit No.

 

Description

 

 

 

3.1

 

Articles of Incorporation, as amended (Exhibit 3.1)(1)

 

 

 

3.2

 

By-laws, as amended and restated to date (Exhibit 3.2)(2)

 

 

 

10.1

 

Third Amendment to Modification Agreement by and between Winmark Corporation and BridgeFunds, LLC dated July 26, 2012.*

 

 

 

31.1

 

Certification of Chief Executive Officer Pursuant to Section 302 of the Sarbanes-Oxley Act of 2002*

 

 

 

31.2

 

Certification of Chief Financial Officer Pursuant to Section 302 of the Sarbanes-Oxley Act of 2002*

 

 

 

32.1

 

Certification of Chief Executive Officer Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002*

 

 

 

32.2

 

Certification of Chief Financial Officer Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002*

 

 

 

101

 

Interactive Data Files Pursuant to Rule 405 of Regulation S-T: Financial statements from the quarterly report on Form 10-Q of Winmark Corporation and Subsidiaries for the quarter ended June 30, 2012, formatted in XBRL: (i) Consolidated Condensed Balance Sheets, (ii) Consolidated Condensed Statements of Operations, (iii) Consolidated Condensed Statements of Comprehensive Income, (iv) Consolidated Condensed Statements of Cash Flows, and (v) Notes to Consolidated Condensed Financial Statements.+

 


*Filed Herewith

 

+                             Pursuant to Rule 406T of Regulation S-T, the interactive data files on Exhibit 101 hereto are deemed not filed or part of a registration statement or prospectus for purposes of Sections 11 or 12 of the Securities Act of 1933, as amended, are deemed not filed for purposes of Section 18 of the Securities Exchange Act of 1934, as amended, and otherwise are not subject to liability under those sections.

 

(1)                     Incorporated by reference to the specified exhibit to the Registration Statement on Form S-1, effective August 24, 1993 (Reg. No. 333-65108).

 

(2)                     Incorporated by reference to the specified exhibit to the Annual Report on Form 10-K for the fiscal year ended December 30, 2006.

 

28


EX-10.1 2 a12-16861_1ex10d1.htm EX-10.1

Exhibit 10.1

 

THIRD AMENDMENT TO MODIFICATION AGREEMENT

 

This THIRD AMENDMENT TO MODIFICATION AGREEMENT (this “Amendment”), made and entered into as of July 26, 2012, is by and among Winmark Corporation, a Minnesota corporation (“Winmark”) and BridgeFunds LLC, a Nevada Limited liability company (“BridgeFunds”).

 

RECITALS

 

1.             Winmark and BridgeFunds are parties to: (i) that certain Securities Purchase Agreement, dated as of October 13, 2004, as amended and assigned (the “Purchase Agreement”), pursuant to which Winmark holds four promissory notes representing aggregate indebtedness totaling $2.0 million, exclusive of unpaid interest, due from BridgeFunds (each note individually referred to herein as a “Note” and collectively as the “Notes”);  and (ii) that certain Modification Agreement, dated as of October 22, 2009, as amended by that certain First Amendment to Modification Agreement dated as of October 20, 2010 and that certain Second Amendment to Modification Agreement dated as of July 22, 2011 (as the same may from time to time be amended, restated, or modified, the “Modification Agreement”).

 

2.             Winmark and BridgeFunds desire to amend certain provisions of the Modification Agreement, subject to the terms and conditions set forth in this Amendment.

 

AGREEMENT

 

NOW, THEREFORE, for good and valuable consideration, the receipt and adequacy of which are hereby acknowledged, the parties hereto hereby covenant and agree to be bound as follows:

 

1                              Capitalized TermsCapitalized terms used herein and not otherwise defined herein shall have the meanings assigned to them in the Purchase Agreement, each Note and the Modification Agreement, unless the context shall otherwise require.

 

2                              AmendmentEach Note and the Modification Agreement is hereby amended as follows:

 

2. (i)                        Maturity Date.  The maturity date in clause (i) of the first paragraph of each Note will be changed to June 30, 2013.

 

3                              Other Agreements Remain in ForceExcept as set forth in this Agreement, all obligations, covenants and agreements of the parties under each of the Notes, the Purchase Agreement and the Modification Agreement remain in full force and effect.

 

[The remainder of this page is intentionally left blank.]

 



 

IN WITNESS WHEREOF, each of Winmark and BridgeFunds has caused this Amendment to be executed as of the date and year first above written.

 

 

WINMARK CORPORATION

 

 

 

By:

/s/ Anthony D. Ishaug

 

Name: Anthony D. Ishaug

 

Title: Chief Financial Officer and Treasurer

 

 

 

 

 

BRIDGEFUNDS, LLC

 

 

 

By:

/s/ Kenneth Klein

 

Name: Kenneth Klein

 

Title: Manager

 

2


EX-31.1 3 a12-16861_1ex31d1.htm EX-31.1

EXHIBIT 31.1

 

CERTIFICATION PURSUANT TO

SECTION 302 OF THE SARBANES-OXLEY ACT OF 2002

 

I, John L. Morgan, certify that:

 

1.              I have reviewed this quarterly report on Form 10-Q of Winmark Corporation;

 

2.              Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3.              Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

 

4.              The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:

 

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

(c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

 

(d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

 

5.              The registrant’s other certifying officer(s) and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and

 

(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

 

Date: July 27, 2012

/s/ John L. Morgan

 

John L. Morgan
Chief Executive Officer

 

1


EX-31.2 4 a12-16861_1ex31d2.htm EX-31.2

EXHIBIT 31.2

 

CERTIFICATION PURSUANT TO

SECTION 302 OF THE SARBANES-OXLEY ACT OF 2002

 

I, Anthony D. Ishaug, certify that:

 

1.              I have reviewed this quarterly report on Form 10-Q of Winmark Corporation;

 

2.              Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3.              Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

 

4.              The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:

 

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

(c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

 

(d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

 

5.              The registrant’s other certifying officer(s) and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and

 

(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

 

Date: July 27, 2012

Signature:

/s/ Anthony D. Ishaug

 

 

Anthony D. Ishaug
Chief Financial Officer and Treasurer

 

1


EX-32.1 5 a12-16861_1ex32d1.htm EX-32.1

EXHIBIT 32.1

 

CERTIFICATION PURSUANT TO

18 U.S.C. SECTION 1350,

AS ADOPTED PURSUANT TO

SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002

 

In connection with the Quarterly Report of Winmark Corporation (the “Company”) on Form 10-Q for the quarter ended June 30, 2012 as filed with the Securities and Exchange Commission (the “Report”), I, John L. Morgan, Chief Executive Officer of the Company, certify, pursuant to 18 U.S.C. §1350, as adopted pursuant to §906 of the Sarbanes-Oxley Act of 2002, that:

 

(1)           The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

 

(2)           The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.

 

A signed original of this written statement required by Section 906 has been provided to Winmark Corporation and will be retained by Winmark Corporation and furnished to the Securities and Exchange Commission upon request.

 

 

Date: July 27, 2012

/s/ John L. Morgan

 

John L. Morgan
Chief Executive Officer

 


EX-32.2 6 a12-16861_1ex32d2.htm EX-32.2

EXHIBIT 32.2

 

CERTIFICATION PURSUANT TO

18 U.S.C. SECTION 1350,

AS ADOPTED PURSUANT TO

SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002

 

In connection with the Quarterly Report of Winmark Corporation (the “Company”) on Form 10-Q for the quarter ended June 30, 2012 as filed with the Securities and Exchange Commission (the “Report”), I, Anthony D. Ishaug, Chief Financial Officer and Treasurer of the Company, certify, pursuant to 18 U.S.C. §1350, as adopted pursuant to §906 of the Sarbanes-Oxley Act of 2002, that:

 

(1)           The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

 

(2)           The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.

 

A signed original of this written statement required by Section 906 has been provided to Winmark Corporation and will be retained by Winmark Corporation and furnished to the Securities and Exchange Commission upon request.

 

 

Date: July 27, 2012

/s/ Anthony D. Ishaug

 

Anthony D. Ishaug
Chief Financial Officer and Treasurer

 


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FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 13.14%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="13%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">113,000</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.98%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 13.14%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="13%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">116,600</font></p></td> <td style="PADDING-RIGHT: 0in; 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PADDING-TOP: 0in" valign="bottom" width="53%"> <p style="MARGIN: 0in 0in 0pt"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="1">&#160;</font></b></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 3.4%; PADDING-TOP: 0in" valign="bottom" width="3%"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="1">&#160;</font></b></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 19.1%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="19%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 8pt; FONT-FAMILY: Times New Roman" size="1">June 30, 2012</font></b></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; 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PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 53.64%; PADDING-TOP: 0in" valign="top" width="53%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt 10pt; TEXT-INDENT: -10pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">Unrealized gains</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 3.4%; PADDING-TOP: 0in" valign="bottom" width="3%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; 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WIDTH: 31.84%; PADDING-TOP: 0in" valign="bottom" width="31%"> <p style="MARGIN: 0in 0in 0pt"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="1">&#160;</font></b></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="1">&#160;</font></b></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.94%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="10%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 8pt; FONT-FAMILY: Times New Roman" size="1">0-60 Days<br /> Delinquent<br /> and Accruing</font></b></p></td> <td style="BORDER-RIGHT: medium none; 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PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 9.44%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="9%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">&#8212;</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; 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FONT-FAMILY: Times New Roman" size="2">Small-Ticket</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.94%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="10%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">2,374,500</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.74%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="10%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">&#8212;</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.74%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="10%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">&#8212;</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.74%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="10%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">4,300</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.38%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="10%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">2,378,800</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 1.24%; PADDING-TOP: 0in" valign="bottom" width="1%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td></tr> <tr style="HEIGHT: 0px"> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 31.84%; PADDING-TOP: 0in" valign="top" width="31%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt 10pt; TEXT-INDENT: -10pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">Total Investment in Leases</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 2.25pt double" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 9.64%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 2.25pt double" valign="bottom" width="9%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">32,390,100</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 2.25pt double" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 9.44%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 2.25pt double" valign="bottom" width="9%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">&#8212;</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 2.25pt double" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 9.44%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 2.25pt double" valign="bottom" width="9%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt; 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WIDTH: 9.44%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 2.25pt double" valign="bottom" width="9%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">4,300</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 2.25pt double" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; 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PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 31.68%; PADDING-TOP: 0in" valign="bottom" width="31%"> <p style="MARGIN: 0in 0in 0pt"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="1">&#160;</font></b></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="1">&#160;</font></b></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 64.38%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="64%" colspan="14"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 8pt; FONT-FAMILY: Times New Roman" size="1">December 31, 2011</font></b></p></td> <td style="PADDING-RIGHT: 0in; 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PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.88%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="10%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 8pt; FONT-FAMILY: Times New Roman" size="1">0-60 Days<br /> Delinquent<br /> and Accruing</font></b></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 2.68%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="1">&#160;</font></b></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.78%; PADDING-TOP: 0in; 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align="right"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 1%; PADDING-TOP: 0in" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td></tr> <tr style="HEIGHT: 0px"> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 41%; PADDING-TOP: 0in" valign="top" width="41%"> <p style="MARGIN: 0in 0in 0pt 20pt; TEXT-INDENT: -10pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">Franchising </font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.5%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="PADDING-RIGHT: 0in; 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size="2">$</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 10.7%; PADDING-TOP: 0in" valign="bottom" width="10%"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">8,224,600</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.5%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 1.3%; PADDING-TOP: 0in" valign="bottom" width="1%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 10.7%; PADDING-TOP: 0in" valign="bottom" width="10%"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" 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Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 12%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="12%" bgcolor="#CCEEFF" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">10,255,200</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 1%; PADDING-TOP: 0in" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td></tr> <tr style="HEIGHT: 0px"> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 41%; PADDING-TOP: 0in" valign="top" width="41%"> <p style="MARGIN: 0in 0in 0pt 30pt; TEXT-INDENT: 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double" valign="bottom" width="10%"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">15,224,800</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.5%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 2.25pt double" valign="bottom" width="1%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.7%; PADDING-TOP: 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PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="12%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">3,843,000</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 1%; PADDING-TOP: 0in" valign="bottom" width="1%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td></tr> <tr style="HEIGHT: 0px"> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 41%; PADDING-TOP: 0in" valign="top" width="41%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt 30pt; TEXT-INDENT: -10pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">Total operating income</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.5%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 2.25pt double" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.7%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 2.25pt double" valign="bottom" width="10%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">6,026,500</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.5%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 2.25pt double" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.7%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 2.25pt double" valign="bottom" 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size="2">Franchising </font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.5%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 1.3%; PADDING-TOP: 0in" valign="bottom" width="1%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 10.7%; PADDING-TOP: 0in" valign="bottom" width="10%"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">8,907,400</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.5%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt"><font 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style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 1%; PADDING-TOP: 0in" valign="bottom" width="1%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td></tr> <tr style="HEIGHT: 0px"> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 41%; PADDING-TOP: 0in" valign="top" width="41%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt 20pt; TEXT-INDENT: -10pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">Franchising segment contribution </font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.5%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; 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WIDTH: 65.24%; PADDING-TOP: 0in" valign="top" width="65%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt 20pt; TEXT-INDENT: -10pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">Estimated residual value of equipment</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.9%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 13.9%; PADDING-TOP: 0in" valign="bottom" width="13%" bgcolor="#CCEEFF" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">2,904,200</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.9%; 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style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 13.9%; PADDING-TOP: 0in" valign="bottom" width="13%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">(4,217,000</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 1.14%; PADDING-TOP: 0in" valign="bottom" width="1%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">)</font></p></td></tr> <tr style="HEIGHT: 0px"> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 65.24%; PADDING-TOP: 0in" valign="top" width="65%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt 20pt; TEXT-INDENT: -10pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">Security deposits</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.9%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 13.9%; PADDING-TOP: 0in" valign="bottom" width="13%" bgcolor="#CCEEFF" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">(2,731,300</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.9%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">)</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 13.9%; PADDING-TOP: 0in" valign="bottom" width="13%" bgcolor="#CCEEFF" 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10pt; FONT-FAMILY: Times New Roman" size="2">Collectively evaluated for loss potential</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.66%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 11.46%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="11%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">32,394,400</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.66%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 11.42%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="11%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">785,800</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.66%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; 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BORDER-BOTTOM: medium none" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.94%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="10%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">803,800</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 1.42%; PADDING-TOP: 0in" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td></tr> <tr style="HEIGHT: 0px"> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 37.5%; PADDING-TOP: 0in" valign="top" width="37%"> <p style="MARGIN: 0in 0in 0pt 10pt; TEXT-INDENT: -10pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">Individually evaluated for loss potential</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.66%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 12.76%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="12%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">&#8212;</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.66%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 12.72%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="12%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">&#8212;</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.66%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 12.72%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="12%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">&#8212;</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.66%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 12.24%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="12%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">&#8212;</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 1.42%; PADDING-TOP: 0in" valign="bottom" width="1%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td></tr> <tr style="HEIGHT: 0px"> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 37.5%; PADDING-TOP: 0in" valign="top" width="37%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt 10pt; TEXT-INDENT: -10pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">Total</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.66%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 2.25pt double" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 11.46%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 2.25pt double" valign="bottom" width="11%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">32,394,400</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.66%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 2.25pt double" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 11.42%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 2.25pt double" valign="bottom" width="11%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">785,800</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.66%; 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Times New Roman" size="2">30,001,100</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.66%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 2.25pt double" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.94%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 2.25pt double" valign="bottom" width="10%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">803,800</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 1.42%; PADDING-TOP: 0in" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td></tr></table></td></tr></table> <table style="font-size:10pt; font-family:'Times New Roman',times,serif;"> <tr> <td> <p style="MARGIN: 0in 0in 0pt">&#160;</p> <p style="MARGIN: 0in 0in 0pt"><i><font style="FONT-SIZE: 10pt; FONT-STYLE: italic; FONT-FAMILY: Times New Roman" size="2">&#160;</font></i></p> <table style="WIDTH: 99.98%; BORDER-COLLAPSE: collapse" cellspacing="0" cellpadding="0" width="99%" border="0"> <tr style="HEIGHT: 0px"> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; 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style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 1.24%; PADDING-TOP: 0in" valign="bottom" width="1%"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="1">&#160;</font></b></p></td></tr> <tr style="HEIGHT: 0px"> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 31.84%; PADDING-TOP: 0in" valign="bottom" width="31%"> <p style="MARGIN: 0in 0in 0pt"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="1">&#160;</font></b></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="1">&#160;</font></b></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.94%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="10%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 8pt; FONT-FAMILY: Times New Roman" size="1">0-60 Days<br /> Delinquent<br /> and Accruing</font></b></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 2.68%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="1">&#160;</font></b></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.74%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="10%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 8pt; FONT-FAMILY: Times New Roman" size="1">61-90 Days<br /> Delinquent<br /> and Accruing</font></b></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 2.68%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="1">&#160;</font></b></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.74%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="10%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 8pt; FONT-FAMILY: Times New Roman" size="1">Over 90 Days<br /> Delinquent and<br /> Accruing</font></b></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 2.68%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="1">&#160;</font></b></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.74%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="10%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 8pt; FONT-FAMILY: Times New Roman" size="1">Non-Accrual</font></b></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 2.68%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="1">&#160;</font></b></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.38%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="10%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 8pt; FONT-FAMILY: Times New Roman" size="1">Total</font></b></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 1.24%; PADDING-TOP: 0in" valign="bottom" width="1%"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="1">&#160;</font></b></p></td></tr> <tr style="HEIGHT: 0px"> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 31.84%; PADDING-TOP: 0in" valign="top" width="31%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt 10pt; TEXT-INDENT: -10pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">Middle-Market</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 9.64%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="9%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">30,015,600</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 9.44%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="9%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">&#8212;</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 9.44%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="9%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">&#8212;</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 9.44%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="9%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">&#8212;</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 9.08%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="9%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">30,015,600</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 1.24%; PADDING-TOP: 0in" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td></tr> <tr style="HEIGHT: 0px"> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 31.84%; PADDING-TOP: 0in" valign="top" width="31%"> <p style="MARGIN: 0in 0in 0pt 10pt; TEXT-INDENT: -10pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">Small-Ticket</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.94%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="10%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">2,374,500</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.74%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="10%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">&#8212;</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.74%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="10%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">&#8212;</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.74%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="10%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">4,300</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.38%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="10%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">2,378,800</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 1.24%; PADDING-TOP: 0in" valign="bottom" width="1%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td></tr> <tr style="HEIGHT: 0px"> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 31.84%; PADDING-TOP: 0in" valign="top" width="31%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt 10pt; TEXT-INDENT: -10pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">Total Investment in Leases</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 2.25pt double" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 9.64%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 2.25pt double" valign="bottom" width="9%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">32,390,100</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 2.25pt double" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 9.44%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 2.25pt double" valign="bottom" width="9%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">&#8212;</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 2.25pt double" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 9.44%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 2.25pt double" valign="bottom" width="9%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">&#8212;</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 2.25pt double" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 9.44%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 2.25pt double" valign="bottom" width="9%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">4,300</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 2.25pt double" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 9.08%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 2.25pt double" valign="bottom" width="9%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">32,394,400</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 1.24%; PADDING-TOP: 0in" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td></tr></table> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p> <table style="WIDTH: 100%; BORDER-COLLAPSE: collapse" cellspacing="0" cellpadding="0" width="100%" border="0"> <tr style="HEIGHT: 0px"> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 31.68%; PADDING-TOP: 0in" valign="bottom" width="31%"> <p style="MARGIN: 0in 0in 0pt"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="1">&#160;</font></b></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="1">&#160;</font></b></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 64.38%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="64%" colspan="14"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 8pt; FONT-FAMILY: Times New Roman" size="1">December 31, 2011</font></b></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 1.24%; PADDING-TOP: 0in" valign="bottom" width="1%"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="1">&#160;</font></b></p></td></tr> <tr style="HEIGHT: 0px"> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 31.68%; PADDING-TOP: 0in" valign="bottom" width="31%"> <p style="MARGIN: 0in 0in 0pt"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="1">&#160;</font></b></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="1">&#160;</font></b></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.88%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="10%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 8pt; FONT-FAMILY: Times New Roman" size="1">0-60 Days<br /> Delinquent<br /> and Accruing</font></b></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 2.68%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="1">&#160;</font></b></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.78%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="10%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 8pt; FONT-FAMILY: Times New Roman" size="1">61-90 Days<br /> Delinquent<br /> and Accruing</font></b></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 2.68%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="1">&#160;</font></b></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.76%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="10%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 8pt; FONT-FAMILY: Times New Roman" size="1">Over 90 Days<br /> Delinquent and<br /> Accruing</font></b></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 2.68%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="1">&#160;</font></b></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.76%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="10%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 8pt; FONT-FAMILY: Times New Roman" size="1">Non-Accrual</font></b></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 2.68%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="1">&#160;</font></b></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.5%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="10%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 8pt; FONT-FAMILY: Times New Roman" size="1">Total</font></b></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 1.24%; PADDING-TOP: 0in" valign="bottom" width="1%"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: center" align="center"><b><font style="FONT-WEIGHT: bold; FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="1">&#160;</font></b></p></td></tr> <tr style="HEIGHT: 0px"> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 31.68%; PADDING-TOP: 0in" valign="top" width="31%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt 10pt; TEXT-INDENT: -10pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">Middle-Market</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 9.58%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="9%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">25,650,500</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 9.48%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="9%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">932,100</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 9.46%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="9%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">&#8212;</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 9.46%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="9%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">&#8212;</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 1.3%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">$</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: windowtext 1pt solid; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 9.2%; PADDING-TOP: 0in; BORDER-BOTTOM: medium none" valign="bottom" width="9%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">26,582,600</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; BACKGROUND: #cceeff; PADDING-BOTTOM: 0in; WIDTH: 1.24%; PADDING-TOP: 0in" valign="bottom" width="1%" bgcolor="#CCEEFF"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td></tr> <tr style="HEIGHT: 0px"> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 31.68%; PADDING-TOP: 0in" valign="top" width="31%"> <p style="MARGIN: 0in 0in 0pt 10pt; TEXT-INDENT: -10pt"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">Small-Ticket</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.88%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="10%" colspan="2"> <p 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style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.76%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="10%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">&#8212;</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.76%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="10%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">18,800</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 2.68%; PADDING-TOP: 0in" valign="bottom" width="2%"> <p style="MARGIN: 0in 0in 0pt"><font style="FONT-SIZE: 1pt; FONT-FAMILY: Times New Roman" size="2">&#160;</font></p></td> <td style="BORDER-RIGHT: medium none; PADDING-RIGHT: 0in; BORDER-TOP: medium none; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; BORDER-LEFT: medium none; WIDTH: 10.5%; PADDING-TOP: 0in; BORDER-BOTTOM: windowtext 1pt solid" valign="bottom" width="10%" colspan="2"> <p style="MARGIN: 0in 0in 0pt; TEXT-ALIGN: right" align="right"><font style="FONT-SIZE: 10pt; FONT-FAMILY: Times New Roman" size="2">3,418,500</font></p></td> <td style="PADDING-RIGHT: 0in; PADDING-LEFT: 0in; PADDING-BOTTOM: 0in; WIDTH: 1.24%; PADDING-TOP: 0in" valign="bottom" width="1%"> <p style="MARGIN: 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Block] Schedule of marketable securities classified as available-for-sale securities Unrealized Gain (Loss) on Investments [Table Text Block] Schedule of unrealized gains and losses for marketable securities classified as available-for-sale securities in accumulated other comprehensive income Schedule of Realized Gain (Loss) [Table Text Block] Schedule of realized gains and losses recognized on sales of available-for-sale marketable securities Schedule of Weighted Average Number of Shares [Table Text Block] Schedule of shares outstanding used in the calculation of basic and diluted earnings per share (EPS) Incremental Common Shares Attributable to Share-based Payment Arrangements Dilutive shares associated with option plans Antidilutive Securities Excluded from Computation of Earnings Per Share, Amount Options excluded from EPS calculation - anti-dilutive (in shares) Available-for-sale Securities [Abstract] Summary of marketable securities classified as available-for-sale securities Available-for-sale Equity Securities, Amortized Cost Basis Equity securities, Cost Available-for-sale Securities, Gross Unrealized Gain (Loss) [Abstract] Unrealized gains and losses for marketable securities classified as available-for-sale securities in accumulated other comprehensive income Available-for-sale Securities, Gross Unrealized Gains Unrealized gains Available-for-sale Securities, Gross Unrealized Losses Unrealized losses Available-for-sale Securities, Gross Unrealized Gain (Loss) Net unrealized gains Available-for-sale Securities, Gross Realized Gain (Loss) [Abstract] Realized gains and losses recognized on sales of available-for-sale marketable securities Available-for-sale Securities, Gross Realized Gains Realized gains Available-for-sale Securities, Gross Realized Losses Realized losses Tomsten Represents information pertaining to Tomsten, Inc. Tomsten Inc [Member] Senior Subordinated Notes [Member] Investment in senior subordinated promissory notes in BridgeFunds Investment Holdings [Line Items] Investments Investment owned as a percentage of outstanding common stock Represents the number of shares held as a percentage of the total shares outstanding at the end of the period. Investment Owned as Percentage of Shares Outstanding Investment attributable to goodwill Represents the cost of the investment attributable to goodwill. Investment Attributable to Goodwill Cost Current carrying amount of investment Represents the current carrying value of the investment. 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Repurchase of Common Stock [Abstract] Repurchase of Common Stock Stock Option Plan 2001 [Member] 2001 Plan Represents the 2001 Stock Option Plan of the entity. Stock Option Plan 2010 [Member] 2010 Plan Represents the 2010 Stock Option Plan of the entity. Stock Option Plan for Nonemployee Directors [Member] Nonemployee Directors Plan Represents the stock option plan for Nonemployee Directors of the entity. 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Average Exercise Price Granted (in dollars per share) Share-based Compensation Arrangements by Share-based Payment Award, Options, Exercises in Period, Weighted Average Exercise Price Exercised (in dollars per share) Share-based Compensation Arrangement by Share-based Payment Award, Options, Exercisable, Weighted Average Exercise Price Exercisable at the end of the period (in dollars per share) Share-based Compensation Arrangement by Share-based Payment Award, Options, Outstanding, Weighted Average Remaining Contractual Term Outstanding at the beginning of the period (in years) Outstanding at the end of the period (in years) Outstanding Share-based Compensation Arrangement by Share-based Payment Award, Options, Exercisable, Weighted Average Remaining Contractual Term Exercisable at the end of the period (in years) Share-based Compensation Arrangement by Share-based Payment Award, Options, Outstanding, Intrinsic Value Outstanding at the beginning of the period Outstanding at the end of 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Borrowings outstanding Line of Credit Facility, Interest Rate at Period End Interest rate (as a percent) Franchising [Member] Franchising Represents the franchising segment of the entity. 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Allowance for Credit Losses on Financing Receivables [Table Text Block] Schedule of activity in the allowance for credit losses for leasing operations Financing Receivables and Allowance for Credit Losses [Table Text Block] Schedule of investment in direct financing and sales-type leases (investment in leases) and allowance for credit losses by loss evaluation methodology Tabular disclosure of the financing receivables and allowance for credit losses. Past Due Financing Receivables [Table Text Block] Schedule of information regarding accruing and non-accrual leases Net Investment in Direct Financing and Sales Type Leases [Abstract] Direct financing and sales-type leases: Capital Leases, Future Minimum Payments Receivable Minimum lease payments receivable Total Capital Leases, Net Investment in Direct Financing Leases, Unguaranteed Residual Values of Leased Property Estimated residual value of equipment Capital Leases Net Investment in Direct Financing and Sales Type Leases Unearned Lease Income Net of Initial Direct Costs Deferred Unearned lease income net of initial direct costs deferred The remaining (unamortized) difference between the gross investment in direct financing and sales type leases and the cost or carrying amount, if different, of the leased property, as of the balance sheet date, net of initial direct cost. Total Capital Leases Net Investment in Direct Financing and Sales Type Leases Security Deposits Security deposits Represents the amount of security deposits received against the direct financing and sales-type leases, as of the balance sheet date. Capital Leases Net Investment in Direct Financing and Sales Type Leases Equipment Installed on Leases Not Yet Commenced Equipment installed on leases not yet commenced Represents the net investment in direct financing and sales type leases which have not yet commenced but for which equipment has already been installed, as of the balance sheet date. Capital Leases Investment in Direct Financing and Sales Type Leases, Gross Total investment in direct financing and sales-type leases The lessor's asset under sales type and direct financing leases. The investment in direct financing and sales-type leases, as of the balance sheet date, consisting of: (a) minimum lease payments due on direct financing leases, (b) unguaranteed residual value, and (c) any unamortized initial direct costs on direct financing leases; less: (i) estimated executory costs, (ii) unearned income, but before deducting the accumulated allowance for uncollectible minimum lease payments. Capital Leases Net Investment in Direct Financing and Sales Type Leases Allowance for Uncollectible Minimum Lease Payments Allowance for credit losses The estimate of minimum payments on direct financing and sales-type leases that are probable of not being collected, as of the balance sheet date. Total Net Investment in Direct Financing and Sales Type Leases Net investment in direct financing and sales-type leases Leases, Operating [Abstract] Operating leases: Property Subject to or Available for Operating Lease, Gross Operating lease assets Property Subject to or Available for Operating Lease, Accumulated Depreciation Less accumulated depreciation and amortization Property Subject to or Available for Operating Lease, Net Net investment in operating leases Net Investment in Leases Total net investment in leasing operations Represents the net investment in capital and operating leases, as of the balance sheet date. Net Investment in Leases, Current Net investment in leases - current Represents the current portion of the net investment in capital and operating leases, as of the balance sheet date. Net Investment in Leases, Noncurrent Net investment in leases - long-term Represents the noncurrent portion of the net investment in capital and operating leases, as of the balance sheet date. Concentration Risk Number of Customers Number of customers Represents the number of customers that individually account for 10 percent or more of the defined benchmark. Concentration Risk [Line Items] Investment in leasing operations Customer Concentration Risk [Member] Customer one concentration risk for leased assets Concentration Risk, Percentage Percentage of concentration risk Assets, Total [Member] Total assets Capital Leases, Future Minimum Payments Receivable, Fiscal Year Maturity [Abstract] Direct Financing and Sales-Type Leases, Minimum Lease Payments Receivable Capital Leases, Future Minimum Payments Receivable, Remainder of Fiscal Year 2012 Capital Leases, Future Minimum Payments, Receivable in Two Years 2013 Capital Leases, Future Minimum Payments, Receivable in Three Years 2014 Capital Leases, Future Minimum Payments, Receivable in Four Years 2015 Capital Leases, Future Minimum Payments, Receivable in Five Years 2016 Capital Leases, Future Minimum Payments, Receivable Due Thereafter Thereafter Capital Leases Future Amortization of Unearned Lease Income [Abstract] Direct Financing and Sales-Type Leases, Income Amortization Capital Leases Future Amortization Net Investment in Direct Financing and Sales Type Leases Unearned Lease Income Net of Initial Direct Costs Deferred Remainder of Fiscal Year 2012 Amount of amortization of unearned lease income, net of initial direct costs deferred related to net investment in direct financing and sales-type capital leases expected to be recognized in the remainder of the fiscal year. Capital Leases Future Amortization Net Investment in Direct Financing and Sales Type Leases Unearned Lease Income Net of Initial Direct Costs Deferred in Two Years 2013 Amount of amortization of unearned lease income, net of initial direct costs deferred related to net investment in direct financing and sales-type capital leases expected to be recognized in the second fiscal year following the latest fiscal year. Capital Leases Future Amortization of Net Investment in Direct Financing and Sales Type Leases Unearned Lease Income Net of Initial Direct Costs Deferred in Three Years 2014 Amount of amortization of unearned lease income, net of initial direct costs deferred related to net investment in direct financing and sales-type capital leases expected to be recognized in the third fiscal year following the latest fiscal year. Capital Leases Future Amortization of Net Investment in Direct Financing and Sales Type Leases Unearned Lease Income Net of Initial Direct Costs Deferred in Four Years 2015 Amount of amortization of unearned lease income, net of initial direct costs deferred related to net investment in direct financing and sales-type capital leases expected to be recognized in the fourth fiscal year following the latest fiscal year. Capital Leases Future Amortization of Net Investment in Direct Financing and Sales Type Leases Unearned Lease Income Net of Initial Direct Costs Deferred in Five Years 2016 Amount of amortization of unearned lease income, net of initial direct costs deferred related to net investment in direct financing and sales-type capital leases expected to be recognized in the fifth fiscal year following the latest fiscal year. Capital Leases Future Amortization of Net Investment in Direct Financing and Sales Type Leases Unearned Lease Income Net of Initial Direct Costs Deferred, Thereafter Thereafter Amount of amortization of unearned lease income, net of initial direct costs deferred related to net investment in direct financing and sales-type capital leases expected to be recognized after the fifth fiscal year following the latest fiscal year. Operating Leases, Future Minimum Payments Receivable [Abstract] Operating Leases, Minimum Lease Payments Receivable Operating Leases Future Minimum Payments Receivable Remainder of Fiscal Year 2012 Amount of minimum lease payments to be received by the lessor in the remainder of the fiscal year following the latest fiscal year ended for operating leases. Operating Leases, Future Minimum Payments Receivable, in Two Years 2013 Operating Leases, Future Minimum Payments Receivable, in Three Years 2014 Operating Leases, Future Minimum Payments Receivable, in Four Years 2015 Operating Leases, Future Minimum Payments Receivable, in Five Years 2016 Operating Leases, Future Minimum Payments Receivable, Thereafter Thereafter Operating Leases, Future Minimum Payments Receivable Total Finance Leases Financing Receivable [Member] Investment in leases Financing Receivable, Allowance for Credit Losses [Line Items] Investment in leasing operations Financing Receivable, Allowance for Credit Losses [Roll Forward] Activity in the allowance for credit losses for leasing operations Provision for Loan, Lease, and Other Losses Provisions charged to expense Financing Receivable, Allowance for Credit Losses, Recovery Recoveries Financing Receivable, Allowance for Credit Losses, Write-downs Deductions for amounts written-off Investment in Leases [Abstract] Investment In Leases Financing Receivable, Individually Evaluated for Impairment Individually evaluated for loss potential Financing Receivable, Collectively Evaluated for Impairment Collectively evaluated for loss potential Allowance for Credit Losses [Abstract] Allowance for Credit Losses Financing Receivable, Allowance for Credit Losses, Collectively Evaluated for Impairment Collectively evaluated for loss potential Financing Receivable, Allowance for Credit Losses, Individually Evaluated for Impairment Individually evaluated for loss potential Middle Market Leases [Member] Middle-Market Represents the receivables from mid-market leases. Small Ticket Leases [Member] Small-Ticket Represents the receivables from small-ticket leases. Financing Receivable, Recorded Investment, Past Due [Line Items] Investment in leasing operations Financing Receivable Recorded Investment 0 to 60 Days Past Due 0-60 Days Delinquent and Accruing Financing receivables that are less than 61 days past due. Financing Receivable Recorded Investment 61 to 90 Days Past Due 61-90 Days Delinquent and Accruing Financing receivables that are less than 91 days past due but more than 60 days past due. Financing Receivable, Recorded Investment, 90 Days Past Due and Still Accruing Over 90 Days Delinquent and Accruing Financing Receivable, Recorded Investment, Nonaccrual Status Non-Accrual Number of Weeks in Fiscal Year Maximum Maximum number of weeks in a fiscal year (in weeks) Represents the maximum number of weeks the entity reports its annual results of operations based on. Number of Weeks in Fiscal Year Minimum Minimum number of weeks in a fiscal year (in weeks) Represents the minimum number of weeks the entity reports its annual results of operations based on. Investment Holdings [Table] Investment Type [Axis] Investment Type Categorization [Domain] Line of Credit Facility [Table] Credit Facility [Axis] Credit Facility [Domain] Range [Axis] Range [Domain] Schedule of Share-based Compensation Arrangements by Share-based Payment Award [Table] Plan Name [Axis] Plan Name [Domain] Award Type [Axis] Award Type [Domain] Schedule of Segment Reporting Information, by Segment [Table] Business Segments [Axis] Segment [Domain] Concentration Risk [Table] Concentration Risk Benchmark [Axis] Concentration Risk Benchmark [Domain] Concentration Risk Type [Axis] Concentration Risk Type [Domain] Schedule of Financing Receivable, Allowance for Credit Losses [Table] Class of Financing Receivable [Axis] Class of Financing Receivable [Domain] Schedule of Financing Receivables Past Due [Table] Other Comprehensive Income (Loss), Tax, Portion Attributable to Parent INCOME TAX (EXPENSE) BENEFIT RELATED TO ITEMS OF OTHER COMPREHENSIVE INCOME Weighted average rate on a non-recourse basis (as a percent) Debt, Weighted Average Interest Rate Long-term investments, allowance for losses (in dollars) Allowance for Notes, Loans and Financing Receivable, Noncurrent Capital Leases Net Investment In Direct Financing and Sales Type Leases Unguaranteed Residual Values of Leased Property Estimated residual value of equipment The estimate of the lease property's economic value at the end of the direct financing and sales type lease term excluding any amounts guaranteed by either the lessee or a third-party. 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Line of Credit (Details) (Line of Credit, USD $)
In Millions, unless otherwise specified
Jun. 30, 2012
Feb. 29, 2012
Jan. 30, 2012
Line of Credit      
Aggregate commitments   $ 35.0 $ 30.0
Borrowing availability 35.0    
Borrowings outstanding 12.8    
Amount available for additional borrowings $ 22.2    
Minimum
     
Line of Credit      
Interest rate (as a percent) 2.99%    
Maximum
     
Line of Credit      
Interest rate (as a percent) 3.75%    
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Investments: (Details 2) (USD $)
3 Months Ended 6 Months Ended 6 Months Ended 12 Months Ended
Jun. 25, 2011
Jun. 25, 2011
Jun. 30, 2012
Dec. 31, 2011
Jun. 30, 2012
Tomsten
Jun. 30, 2012
Investment in senior subordinated promissory notes in BridgeFunds
Dec. 31, 2011
Investment in senior subordinated promissory notes in BridgeFunds
Investments              
Long-term investment     $ 3,539,300 $ 3,817,400 $ 8,500,000 $ 1,300,000  
Investment owned as a percentage of outstanding common stock         22.00%    
Investment attributable to goodwill         300,000    
Current carrying amount of investment         2,200,000    
Investment at cost           2,000,000  
Effective interest rate on notes used as a discounting factor for determining present value of expected future cash flows (as a percent)           15.00%  
Impairment charges 252,900 252,900         883,100
Interest receivable           $ 200,000  
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Fair Value Measurements:
6 Months Ended
Jun. 30, 2012
Fair Value Measurements:  
Fair Value Measurements:

3.     Fair Value Measurements:

 

The Company defines fair value as the price that would be received for an asset or paid to transfer a liability (an exit price) in the principal or most advantageous market for the asset or liability in an orderly transaction between market participants on the measurement date.  The Company uses three levels of inputs to measure fair value:

 

·                  Level 1 – quoted prices in active markets for identical assets and liabilities.

·                  Level 2 – observable inputs other than quoted prices in active markets for identical assets and liabilities.

·                  Level 3 – unobservable inputs in which there is little or no market data available, which require the reporting entity to develop its own assumptions.

 

The Company’s marketable securities were valued based on Level 1 inputs using quoted prices.

 

Due to their nature, the carrying value of cash equivalents, receivables, payables and debt obligations approximates fair value.

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Investment in Leasing Operations (Details 4) (USD $)
6 Months Ended
Jun. 30, 2012
Jun. 25, 2011
Dec. 31, 2011
Investment In Leases      
Total investment in direct financing and sales-type leases $ 32,394,400   $ 30,001,100
Allowance for Credit Losses      
Total 785,800   803,800
Investment in leases
     
Activity in the allowance for credit losses for leasing operations      
Balance at beginning of period 803,800 907,800  
Provisions charged to expense (67,900) 21,300  
Recoveries 159,900 178,700  
Deductions for amounts written-off (110,000) (262,300)  
Balance at end of period 785,800 845,500  
Investment In Leases      
Collectively evaluated for loss potential 32,394,400   30,001,100
Total investment in direct financing and sales-type leases 32,394,400   30,001,100
Allowance for Credit Losses      
Collectively evaluated for loss potential 785,800   803,800
Total $ 785,800   $ 803,800
XML 19 R28.htm IDEA: XBRL DOCUMENT v2.4.0.6
Investment in Leasing Operations (Details 3) (USD $)
Jun. 30, 2012
Dec. 31, 2011
Direct Financing and Sales-Type Leases, Minimum Lease Payments Receivable    
2012 $ 7,940,500  
2013 11,989,200  
2014 5,765,400  
2015 1,515,200  
2016 499,200  
Total 27,709,500 27,413,300
Direct Financing and Sales-Type Leases, Income Amortization    
2012 2,103,800  
2013 1,918,400  
2014 466,700  
2015 81,000  
2016 5,800  
Total 4,575,700 4,217,000
Operating Leases, Minimum Lease Payments Receivable    
2012 653,400  
2013 1,517,800  
2014 132,400  
Total $ 2,303,600  
XML 20 R30.htm IDEA: XBRL DOCUMENT v2.4.0.6
Investment in Leasing Operations (Details 5) (USD $)
Jun. 30, 2012
Dec. 31, 2011
Investment in leasing operations    
Total investment in direct financing and sales-type leases $ 32,394,400 $ 30,001,100
Investment in leases
   
Investment in leasing operations    
0-60 Days Delinquent and Accruing 32,390,100 29,001,900
61-90 Days Delinquent and Accruing   980,400
Non-Accrual 4,300 18,800
Total investment in direct financing and sales-type leases 32,394,400 30,001,100
Middle-Market
   
Investment in leasing operations    
0-60 Days Delinquent and Accruing 30,015,600 25,650,500
61-90 Days Delinquent and Accruing   932,100
Total investment in direct financing and sales-type leases 30,015,600 26,582,600
Small-Ticket
   
Investment in leasing operations    
0-60 Days Delinquent and Accruing 2,374,500 3,351,400
61-90 Days Delinquent and Accruing   48,300
Non-Accrual 4,300 18,800
Total investment in direct financing and sales-type leases $ 2,378,800 $ 3,418,500
XML 21 R31.htm IDEA: XBRL DOCUMENT v2.4.0.6
Earnings Per Share: (Details)
3 Months Ended 6 Months Ended
Jun. 30, 2012
Jun. 25, 2011
Jun. 30, 2012
Jun. 25, 2011
Earnings Per Share:        
Denominator for basic EPS - weighted average common shares 5,056,289 4,980,844 5,054,620 4,985,220
Dilutive shares associated with option plans 211,956 258,599 219,603 242,248
Denominator for diluted EPS - weighted average common shares and dilutive potential common shares 5,268,245 5,239,443 5,274,223 5,227,468
Options excluded from EPS calculation - anti-dilutive (in shares) 25,554 11,459 17,110 20,006
XML 22 R8.htm IDEA: XBRL DOCUMENT v2.4.0.6
Organization and Business:
6 Months Ended
Jun. 30, 2012
Organization and Business:  
Organization and Business:

2.     Organization and Business:

 

The Company offers licenses to operate franchises using the service marks Plato’s Closet®, Play It Again Sports®, Once Upon A Child® and Music Go Round®.  The Company also operates both middle market and small-ticket equipment leasing businesses under the Winmark Capital® and Wirth Business Credit® marks.

XML 23 R32.htm IDEA: XBRL DOCUMENT v2.4.0.6
Shareholders' Equity: (Details) (USD $)
1 Months Ended 3 Months Ended 6 Months Ended 12 Months Ended
Apr. 30, 2012
Jan. 31, 2012
Mar. 31, 2012
Jun. 30, 2012
Jun. 30, 2012
Stock options
Jun. 25, 2011
Stock options
Dec. 31, 2011
Stock options
Jun. 30, 2012
2001 Plan
Stock options
Jun. 30, 2012
2010 Plan
Stock options
Jun. 30, 2012
Nonemployee Directors Plan
Stock options
Dividends                    
Cash dividend approved by Board of Directors (in dollars per share) $ 0.04 $ 0.03                
Special cash dividend approved by Board of Directors (in dollars per share)   $ 5.00                
Total special dividend in cash     $ 25,400,000              
Borrowings under the Line of Credit to finance special dividend     12,800,000              
Repurchase of Common Stock                    
Number of shares repurchased       49,256            
Aggregate purchase price of shares repurchased       2,600,000            
Aggregate purchase price per share of shares repurchased (in dollars per share)       $ 52.27            
Number of additional shares that can be repurchased       446,616            
Stock option plans                    
Number of shares authorized for issuance               750,000 250,000 300,000
Number of Shares                    
Outstanding at the beginning of the period (in shares)         668,614          
Granted (in shares)         72,500          
Exercised (in shares)         (119,662)          
Outstanding at the end of the period (in shares)         621,452   668,614      
Exercisable at the end of the period (in shares)         341,309          
Weighted Average Exercise Price                    
Outstanding at the beginning of the period (in dollars per share)         $ 24.31          
Granted (in dollars per share)         $ 53.30          
Exercised (in dollars per share)         $ 20.31          
Outstanding at the end of the period (in dollars per share)         $ 28.47   $ 24.31      
Exercisable at the end of the period (in dollars per share)         $ 18.83          
Weighted Average Remaining Contractual Life (years)                    
Outstanding         7 years 11 days   6 years 7 months 13 days      
Exercisable at the end of the period (in years)         5 years 8 months 26 days          
Intrinsic Value                    
Outstanding at the beginning of the period         22,101,800          
Outstanding at the end of the period         18,695,300   22,101,800      
Exercisable at the end of the period         13,016,600          
Shares of previously owned common stock surrendered as payment for option shares exercised         31,351          
Weighted average assumptions and results used in estimation of fair value of options granted                    
Risk free interest rate (as a percent)         0.88% 1.94%        
Expected life (in years)         6 years 6 years        
Expected volatility (as a percent)         31.40% 28.00%        
Dividend yield (as a percent)         2.06% 0.32%        
Option fair value (in dollars per share)         $ 12.95 $ 11.28        
Additional disclosures                    
Compensation expense         437,400 351,100        
Total unrecognized compensation expense         $ 2,500,000          
Weighted average period for recognition of unrecognized compensation expense (in years)         2 years 7 months 6 days          
XML 24 R2.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONSOLIDATED CONDENSED BALANCE SHEETS (USD $)
Jun. 30, 2012
Dec. 31, 2011
Current Assets:    
Cash and cash equivalents $ 2,037,300 $ 9,020,100
Marketable securities 116,600 1,043,800
Receivables, less allowance for doubtful accounts of $16,000 and $15,100 1,041,900 1,316,200
Net investment in leases - current 11,454,500 11,746,900
Income tax receivable 1,171,000 116,500
Inventories 84,600 68,500
Prepaid expenses 401,100 362,000
Total current assets 16,307,000 23,674,000
Net investment in leases - long-term 20,618,000 18,102,000
Long-term investments, less allowance for losses of $883,100 and $883,100 3,539,300 3,817,400
Property and equipment, net 1,323,500 1,474,800
Other assets 677,500 677,500
Total assets 42,465,300 47,745,700
Current Liabilities:    
Line of credit 12,800,000  
Accounts payable 1,252,300 1,460,300
Accrued liabilities 2,187,500 1,346,000
Discounted lease rentals 403,200 20,800
Rents received in advance 276,800 274,700
Deferred revenue 1,635,600 1,212,400
Deferred income taxes 3,487,900 3,464,800
Total current liabilities 22,043,300 7,779,000
Long-Term Liabilities:    
Discounted lease rentals 542,900  
Rents received in advance 152,200 269,400
Deferred revenue 882,800 844,300
Other liabilities 1,351,500 1,389,200
Deferred income taxes 2,607,100 2,355,100
Total long-term liabilities 5,536,500 4,858,000
Shareholders' Equity:    
Common stock, no par, 10,000,000 shares authorized, 5,026,698 and 4,987,643 shares issued and outstanding   629,800
Accumulated other comprehensive income 2,200 17,000
Retained earnings 14,883,300 34,461,900
Total shareholders' equity 14,885,500 35,108,700
Total liabilities and shareholders' equity $ 42,465,300 $ 47,745,700
XML 25 R6.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONSOLIDATED CONDENSED STATEMENTS OF CASH FLOWS (USD $)
6 Months Ended
Jun. 30, 2012
Jun. 25, 2011
OPERATING ACTIVITIES:    
Net income $ 6,920,400 $ 6,426,500
Adjustments to reconcile net income to net cash provided by operating activities:    
Depreciation 219,400 242,700
Provision for credit losses (67,900) 21,300
Compensation expense related to stock options 437,400 351,100
Deferred income taxes 275,100  
Loss (gain) on sale of marketable securities (30,000) 600
Loss from equity investments 278,100 219,900
Impairment of investment in notes   252,900
Deferred initial direct costs (414,200) (179,600)
Amortization of deferred initial direct costs 273,100 335,800
Tax benefits on exercised stock options (327,400) (137,600)
Change in operating assets and liabilities:    
Receivables 274,300 197,600
Income tax receivable / payable (717,500) 1,882,200
Inventories (16,100) 35,600
Prepaid expenses (39,100) 58,500
Accounts payable (208,000) 765,100
Accrued and other liabilities 803,800 367,300
Rents received in advance and security deposits 167,500 19,300
Other assets   3,000
Deferred revenue 461,700 412,900
Net cash provided by operating activities 8,290,600 11,275,100
INVESTING ACTIVITIES:    
Purchase of long term investments   (1,000,000)
Proceeds from sale of marketable securities 1,313,500 160,400
Purchase of marketable securities (380,700) (8,400)
Purchase of property and equipment (68,100) (112,700)
Purchase of equipment for lease contracts (10,913,900) (10,947,800)
Principal collections on lease receivables 8,566,100 10,908,300
Net cash used for investing activities (1,483,100) (1,000,200)
FINANCING ACTIVITIES:    
Proceeds from borrowings on line of credit 17,600,000 1,500,000
Payments on line of credit (4,800,000) (10,300,000)
Repurchases of common stock (2,574,700) (3,313,500)
Proceeds from exercises of stock options 403,200 729,100
Dividends paid (25,722,100) (249,200)
Proceeds from discounted lease rentals 975,900  
Tax benefits on exercised stock options 327,400 137,600
Net cash used for financing activities (13,790,300) (11,496,000)
NET DECREASE IN CASH AND CASH EQUIVALENTS (6,982,800) (1,221,100)
Cash and cash equivalents, beginning of period 9,020,100 2,257,100
Cash and cash equivalents, end of period 2,037,300 1,036,000
SUPPLEMENTAL DISCLOSURES:    
Cash paid for interest 161,600 130,900
Cash paid for income taxes $ 5,024,300 $ 2,329,600
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M`AX#%`````@`ZU[[0)PY<'!E#0``8I@``!$`&````````0```*2!C:\!`'=I M;F$M,C`Q,C`V,S`N>'-D550%``/JN1)0=7@+``$$)0X```0Y`0``4$L%!@`` 0```&``8`&@(``#V]`0`````` ` end XML 27 R35.htm IDEA: XBRL DOCUMENT v2.4.0.6
Segment Reporting: (Details) (USD $)
3 Months Ended 6 Months Ended
Jun. 30, 2012
Jun. 25, 2011
Jun. 30, 2012
segment
Jun. 25, 2011
Dec. 31, 2011
Segment Reporting:          
Number of reportable business segments     2    
Segment Reporting          
Total revenue $ 12,192,400 $ 15,224,800 $ 24,025,800 $ 26,329,700  
Total operating income 6,026,500 6,084,100 11,872,700 11,296,100  
Total depreciation 104,900 122,200 219,400 242,700  
Total identifiable assets 42,465,300   42,465,300   47,745,700
Franchising
         
Segment Reporting          
Total revenue 8,907,400 8,224,600 18,348,700 16,074,500  
Total operating income 4,271,300 3,712,300 9,099,800 7,453,100  
Total depreciation 81,300 27,400 170,200 54,200  
Total identifiable assets 2,207,700   2,207,700   7,753,200
Leasing
         
Segment Reporting          
Total revenue 3,285,000 7,000,200 5,677,100 10,255,200  
Total operating income 1,755,200 2,371,800 2,772,900 3,843,000  
Total depreciation 23,600 94,800 49,200 188,500  
Total identifiable assets 34,038,000   34,038,000   33,374,000
Unallocated
         
Segment Reporting          
Total identifiable assets $ 6,219,600   $ 6,219,600   $ 6,618,500

XML 28 R22.htm IDEA: XBRL DOCUMENT v2.4.0.6
Segment Reporting: (Tables)
6 Months Ended
Jun. 30, 2012
Segment Reporting:  
Schedule of financial information by segment and reconciliation of segment contribution to operating income

 

 

 

 

Three Months Ended

 

Six Months Ended

 

 

 

June 30, 2012

 

June 25, 2011

 

June 30, 2012

 

June 25, 2011

 

Revenue:

 

 

 

 

 

 

 

 

 

Franchising

 

$

8,907,400

 

$

8,224,600

 

$

18,348,700

 

$

16,074,500

 

Leasing

 

3,285,000

 

7,000,200

 

5,677,100

 

10,255,200

 

Total revenue

 

$

12,192,400

 

$

15,224,800

 

$

24,025,800

 

$

26,329,700

 

 

 

 

 

 

 

 

 

 

 

Reconciliation to operating income:

 

 

 

 

 

 

 

 

 

Franchising segment contribution

 

$

4,271,300

 

$

3,712,300

 

$

9,099,800

 

$

7,453,100

 

Leasing segment contribution

 

1,755,200

 

2,371,800

 

2,772,900

 

3,843,000

 

Total operating income

 

$

6,026,500

 

$

6,084,100

 

$

11,872,700

 

$

11,296,100

 

 

 

 

 

 

 

 

 

 

 

Depreciation:

 

 

 

 

 

 

 

 

 

Franchising

 

$

81,300

 

$

27,400

 

$

170,200

 

$

54,200

 

Leasing

 

23,600

 

94,800

 

49,200

 

188,500

 

Total depreciation

 

$

104,900

 

$

122,200

 

$

219,400

 

$

242,700

 

 

 

 

As of

 

 

 

June 30, 2012

 

December 31, 2011

 

Identifiable assets:

 

 

 

 

 

Franchising

 

$

2,207,700

 

$

7,753,200

 

Leasing

 

34,038,000

 

33,374,000

 

Unallocated

 

6,219,600

 

6,618,500

 

Total

 

$

42,465,300

 

$

47,745,700

 

XML 29 R24.htm IDEA: XBRL DOCUMENT v2.4.0.6
Investments: (Details) (USD $)
6 Months Ended
Jun. 30, 2012
Jun. 25, 2011
Dec. 31, 2011
Summary of marketable securities classified as available-for-sale securities      
Equity securities, Cost $ 113,000   $ 1,015,800
Equity securities, Fair Value 116,600   1,043,800
Unrealized gains and losses for marketable securities classified as available-for-sale securities in accumulated other comprehensive income      
Unrealized gains 3,600   32,900
Unrealized losses     (4,900)
Net unrealized gains 3,600   28,000
Realized gains and losses recognized on sales of available-for-sale marketable securities      
Realized gains 42,300    
Realized losses (12,300) (600)  
Net realized gains $ 30,000 $ (600)  
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XML 31 R7.htm IDEA: XBRL DOCUMENT v2.4.0.6
Management's Interim Financial Statement Representation:
6 Months Ended
Jun. 30, 2012
Management's Interim Financial Statement Representation:  
Management's Interim Financial Statement Representation:

1.     Management’s Interim Financial Statement Representation:

 

The accompanying consolidated condensed financial statements have been prepared by Winmark Corporation and subsidiaries (the Company), without audit, pursuant to the rules and regulations of the Securities and Exchange Commission.  The Company has a 52/53 week year which ends on the last Saturday in December.  The information in the consolidated condensed financial statements includes normal recurring adjustments and reflects all adjustments which are, in the opinion of management, necessary for a fair presentation of such financial statements.  The consolidated condensed financial statements and notes are presented in accordance with accounting principles generally accepted in the United States of America for interim financial information and with the instructions for Form 10-Q, and therefore do not contain certain information included in the Company’s annual consolidated financial statements and notes.  This report should be read in conjunction with the audited consolidated financial statements and the notes thereto included in the Company’s latest Annual Report on Form 10-K.

 

Revenues and operating results for the six months ended June 30, 2012 are not necessarily indicative of the results to be expected for the full year.

 

Reclassifications

 

Certain reclassifications of previously reported amounts have been made to conform to the current year presentation.  Such reclassifications did not impact net income or shareholders’ equity as previously reported.

XML 32 R3.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONSOLIDATED CONDENSED BALANCE SHEETS (Parenthetical) (USD $)
Jun. 30, 2012
Dec. 31, 2011
CONSOLIDATED CONDENSED BALANCE SHEETS    
Receivables, allowance for doubtful accounts (in dollars) $ 16,000 $ 15,100
Long-term investments, allowance for losses (in dollars) $ 883,100 $ 883,100
Common stock, shares authorized 10,000,000 10,000,000
Common stock, shares issued 5,026,698 4,987,643
Common stock, shares outstanding 5,026,698 4,987,643
XML 33 R17.htm IDEA: XBRL DOCUMENT v2.4.0.6
Segment Reporting:
6 Months Ended
Jun. 30, 2012
Segment Reporting:  
Segment Reporting:

11.  Segment Reporting:

 

The Company currently has two reportable business segments, franchising and leasing.  The franchising segment franchises value-oriented retail store concepts that buy, sell, trade and consign merchandise.  The leasing segment includes (i) Winmark Capital Corporation, a middle-market equipment leasing business and (ii) Wirth Business Credit, Inc., a small ticket financing business.  Segment reporting is intended to give financial statement users a better view of how the Company manages and evaluates its businesses. The Company’s internal management reporting is the basis for the information disclosed for its business segments and includes allocation of shared-service costs.  Segment assets are those that are directly used in or identified with segment operations, including cash, accounts receivable, prepaids, inventory, property and equipment and investment in leasing operations. Unallocated assets include corporate cash and cash equivalents, marketable securities, current and long-term investments, deferred tax amounts and other corporate assets.  Inter-segment balances and transactions have been eliminated.  The following tables summarize financial information by segment and provide a reconciliation of segment contribution to operating income:

 

 

 

Three Months Ended

 

Six Months Ended

 

 

 

June 30, 2012

 

June 25, 2011

 

June 30, 2012

 

June 25, 2011

 

Revenue:

 

 

 

 

 

 

 

 

 

Franchising

 

$

8,907,400

 

$

8,224,600

 

$

18,348,700

 

$

16,074,500

 

Leasing

 

3,285,000

 

7,000,200

 

5,677,100

 

10,255,200

 

Total revenue

 

$

12,192,400

 

$

15,224,800

 

$

24,025,800

 

$

26,329,700

 

 

 

 

 

 

 

 

 

 

 

Reconciliation to operating income:

 

 

 

 

 

 

 

 

 

Franchising segment contribution

 

$

4,271,300

 

$

3,712,300

 

$

9,099,800

 

$

7,453,100

 

Leasing segment contribution

 

1,755,200

 

2,371,800

 

2,772,900

 

3,843,000

 

Total operating income

 

$

6,026,500

 

$

6,084,100

 

$

11,872,700

 

$

11,296,100

 

 

 

 

 

 

 

 

 

 

 

Depreciation:

 

 

 

 

 

 

 

 

 

Franchising

 

$

81,300

 

$

27,400

 

$

170,200

 

$

54,200

 

Leasing

 

23,600

 

94,800

 

49,200

 

188,500

 

Total depreciation

 

$

104,900

 

$

122,200

 

$

219,400

 

$

242,700

 

 

 

 

As of

 

 

 

June 30, 2012

 

December 31, 2011

 

Identifiable assets:

 

 

 

 

 

Franchising

 

$

2,207,700

 

$

7,753,200

 

Leasing

 

34,038,000

 

33,374,000

 

Unallocated

 

6,219,600

 

6,618,500

 

Total

 

$

42,465,300

 

$

47,745,700

 

XML 34 R1.htm IDEA: XBRL DOCUMENT v2.4.0.6
Document and Entity Information
6 Months Ended
Jun. 30, 2012
Jul. 20, 2012
Document and Entity Information    
Entity Registrant Name WINMARK CORP  
Entity Central Index Key 0000908315  
Document Type 10-Q  
Document Period End Date Jun. 30, 2012  
Amendment Flag false  
Current Fiscal Year End Date --12-31  
Entity Current Reporting Status Yes  
Entity Filer Category Smaller Reporting Company  
Entity Common Stock, Shares Outstanding   5,026,698
Document Fiscal Year Focus 2012  
Document Fiscal Period Focus Q2  
XML 35 R18.htm IDEA: XBRL DOCUMENT v2.4.0.6
Investments: (Tables)
6 Months Ended
Jun. 30, 2012
Investments:  
Schedule of marketable securities classified as available-for-sale securities

 

 

 

 

June 30, 2012

 

December 31, 2011

 

 

 

Cost

 

Fair Value

 

Cost

 

Fair Value

 

Equity securities

 

$

113,000

 

$

116,600

 

$

1,015,800

 

$

1,043,800

 

Schedule of unrealized gains and losses for marketable securities classified as available-for-sale securities in accumulated other comprehensive income

 

 

 

 

June 30, 2012

 

December 31, 2011

 

Unrealized gains

 

$

3,600

 

$

32,900

 

Unrealized losses

 

 

(4,900

)

Net unrealized gains

 

$

3,600

 

$

28,000

 

Schedule of realized gains and losses recognized on sales of available-for-sale marketable securities

 

 

 

 

Three Months Ended

 

Six Months Ended

 

 

 

June 30, 2012

 

June 25, 2011

 

June 30, 2012

 

June 25, 2011

 

Realized gains

 

$

 

$

 

$

42,300

 

$

 

Realized losses

 

 

 

(12,300

)

(600

)

Net realized gains/(losses)

 

$

 

$

 

$

30,000

 

$

(600

)

XML 36 R4.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONSOLIDATED CONDENSED STATEMENTS OF OPERATIONS (USD $)
3 Months Ended 6 Months Ended
Jun. 30, 2012
Jun. 25, 2011
Jun. 30, 2012
Jun. 25, 2011
REVENUE:        
Royalties $ 7,693,900 $ 6,819,300 $ 15,982,400 $ 13,872,100
Leasing income 3,285,000 6,980,200 5,677,100 10,215,200
Merchandise sales 656,800 833,000 1,366,600 1,334,400
Franchise fees 270,000 245,000 555,000 320,000
Other 286,700 347,300 444,700 588,000
Total revenue 12,192,400 15,224,800 24,025,800 26,329,700
COST OF MERCHANDISE SOLD 633,500 794,200 1,297,800 1,277,100
LEASING EXPENSE 325,700 3,340,200 565,500 3,858,900
PROVISION FOR CREDIT LOSSES (14,900) (24,100) (67,900) 21,300
SELLING, GENERAL AND ADMINISTRATIVE EXPENSES 5,221,600 5,030,400 10,357,700 9,876,300
Income from operations 6,026,500 6,084,100 11,872,700 11,296,100
LOSS FROM EQUITY INVESTMENTS (240,700) (142,900) (278,100) (219,900)
IMPAIRMENT OF INVESTMENT IN NOTES   (252,900)   (252,900)
INTEREST EXPENSE (122,300) (26,900) (192,100) (58,000)
INTEREST AND OTHER INCOME (10,000) 13,900 36,300 31,100
Income before income taxes 5,653,500 5,675,300 11,438,800 10,796,400
PROVISION FOR INCOME TAXES (2,249,100) (2,275,100) (4,518,400) (4,369,900)
NET INCOME $ 3,404,400 $ 3,400,200 $ 6,920,400 $ 6,426,500
EARNINGS PER SHARE - BASIC (in dollars per share) $ 0.67 $ 0.68 $ 1.37 $ 1.29
EARNINGS PER SHARE - DILUTED (in dollars per share) $ 0.65 $ 0.65 $ 1.31 $ 1.23
WEIGHTED AVERAGE SHARES OUTSTANDING - BASIC (in shares) 5,056,289 4,980,844 5,054,620 4,985,220
WEIGHTED AVERAGE SHARES OUTSTANDING - DILUTED (in shares) 5,268,245 5,239,443 5,274,223 5,227,468
XML 37 R12.htm IDEA: XBRL DOCUMENT v2.4.0.6
New Accounting Pronouncements:
6 Months Ended
Jun. 30, 2012
New Accounting Pronouncements:  
New Accounting Pronouncements:

6.              New Accounting Pronouncements:

 

In June 2011, the Financial Accounting Standards Board (“FASB”) amended its accounting guidance on the presentation of other comprehensive income (“OCI”) in an entity’s financial statements.  The amended guidance eliminates the option to present the components of OCI as part of the statement of changes in shareholders’ equity and provides two options for presenting OCI: in a statement included in the income statement or in a separate statement immediately following the income statement.  The amendments do not change the guidance for the items that have to be reported in OCI or when an item of OCI has to be moved into net income.  For public entities, the amendments are effective for fiscal years, and interim periods within those years, beginning after December 15, 2011.  The Company adopted the amended presentation guidance in its quarterly report on Form 10-Q for the fiscal period ended March 31, 2012 (see Consolidated Condensed Statements of Comprehensive Income) and such adoption has not impacted the consolidated results of the Company.

 

In September 2011, the FASB amended its accounting guidance on testing goodwill for impairment by providing entities an option to perform a qualitative assessment to determine whether further impairment testing is necessary.  The amendments do not change the guidance for how goodwill is calculated or when goodwill is tested for impairment.  The amendments are effective for fiscal years beginning after December 15, 2011.  The Company adopted the new guidance on January 1, 2012 and such adoption has not impacted the consolidated results of the Company.

XML 38 R11.htm IDEA: XBRL DOCUMENT v2.4.0.6
Investment in Leasing Operations:
6 Months Ended
Jun. 30, 2012
Investment in Leasing Operations:  
Investment in Leasing Operations:

5.     Investment in Leasing Operations:

 

Investment in leasing operations consists of the following:

 

 

 

June 30, 2012

 

December 31, 2011

 

Direct financing and sales-type leases:

 

 

 

 

 

Minimum lease payments receivable

 

$

27,709,500

 

$

27,413,300

 

Estimated residual value of equipment

 

2,904,200

 

2,764,400

 

Unearned lease income net of initial direct costs deferred

 

(4,575,700

)

(4,217,000

)

Security deposits

 

(2,731,300

)

(2,448,800

)

Equipment installed on leases not yet commenced

 

9,087,700

 

6,489,200

 

Total investment in direct financing and sales-type leases

 

32,394,400

 

30,001,100

 

Allowance for credit losses

 

(785,800

)

(803,800

)

Net investment in direct financing and sales-type leases

 

31,608,600

 

29,197,300

 

Operating leases:

 

 

 

 

 

Operating lease assets

 

1,131,300

 

1,218,900

 

Less accumulated depreciation and amortization

 

(667,400

)

(567,300

)

Net investment in operating leases

 

463,900

 

651,600

 

Total net investment in leasing operations

 

$

32,072,500

 

$

29,848,900

 

 

As of June 30, 2012, the $32.1 million total net investment in leases consists of $11.5 million classified as current and $20.6 million classified as long-term.  As of December 31, 2011, the $29.8 million total net investment in leases consists of $11.7 million classified as current and $18.1 million classified as long-term.

 

As of June 30, 2012, leased assets with one customer approximated 11% of the Company’s total assets.

 

Future minimum lease payments receivable under lease contracts and the amortization of unearned lease income, net of initial direct costs deferred, is as follows for the remainder of fiscal 2012 and the full fiscal years thereafter as of June 30, 2012:

 

 

 

Direct Financing and Sales-Type Leases

 

Operating Leases

 

 

 

Minimum Lease
Payments Receivable

 

Income
Amortization

 

Minimum Lease
Payments Receivable

 

2012

 

$

7,940,500

 

$

2,103,800

 

$

653,400

 

2013

 

11,989,200

 

1,918,400

 

1,517,800

 

2014

 

5,765,400

 

466,700

 

132,400

 

2015

 

1,515,200

 

81,000

 

 

2016

 

499,200

 

5,800

 

 

Thereafter

 

 

 

 

 

 

$

27,709,500

 

$

4,575,700

 

$

2,303,600

 

 

The activity in the allowance for credit losses for leasing operations during the first six months of 2012 and 2011, respectively, is as follows:

 

 

 

June 30, 2012

 

June 25, 2011

 

Balance at beginning of period

 

$

803,800

 

$

907,800

 

Provisions charged to expense

 

(67,900

)

21,300

 

Recoveries

 

159,900

 

178,700

 

Deductions for amounts written-off

 

(110,000

)

(262,300

)

Balance at end of period

 

$

785,800

 

$

845,500

 

 

The Company’s investment in direct financing and sales-type leases (“Investment In Leases”) and allowance for credit losses by loss evaluation methodology are as follows:

 

 

 

June 30, 2012

 

December 31, 2011

 

 

 

Investment
In Leases

 

Allowance for
Credit Losses

 

Investment
In Leases

 

Allowance for
Credit Losses

 

Collectively evaluated for loss potential

 

$

32,394,400

 

$

785,800

 

$

30,001,100

 

$

803,800

 

Individually evaluated for loss potential

 

 

 

 

 

Total

 

$

32,394,400

 

$

785,800

 

$

30,001,100

 

$

803,800

 

 

The Company’s key credit quality indicator for its investment in direct financing and sales-type leases is the status of the lease, defined as accruing or non-accruing.  Leases that are accruing income are considered to have a lower risk of loss.  Non-accrual leases are those that the Company believes have a higher risk of loss.  The following table sets forth information regarding the Company’s accruing and non-accrual leases.  Delinquent balances are determined based on the contractual terms of the lease.

 

 

 

June 30, 2012

 

 

 

0-60 Days
Delinquent
and Accruing

 

61-90 Days
Delinquent
and Accruing

 

Over 90 Days
Delinquent and
Accruing

 

Non-Accrual

 

Total

 

Middle-Market

 

$

30,015,600

 

$

 

$

 

$

 

$

30,015,600

 

Small-Ticket

 

2,374,500

 

 

 

4,300

 

2,378,800

 

Total Investment in Leases

 

$

32,390,100

 

$

 

$

 

$

4,300

 

$

32,394,400

 

 

 

 

December 31, 2011

 

 

 

0-60 Days
Delinquent
and Accruing

 

61-90 Days
Delinquent
and Accruing

 

Over 90 Days
Delinquent and
Accruing

 

Non-Accrual

 

Total

 

Middle-Market

 

$

25,650,500

 

$

932,100

 

$

 

$

 

$

26,582,600

 

Small-Ticket

 

3,351,400

 

48,300

 

 

18,800

 

3,418,500

 

Total Investment in Leases

 

$

29,001,900

 

$

980,400

 

$

 

$

18,800

 

$

30,001,100

 

XML 39 R23.htm IDEA: XBRL DOCUMENT v2.4.0.6
Management's Interim Financial Statement Representation: (Details)
6 Months Ended
Jun. 30, 2012
week
Management's Interim Financial Statement Representation:  
Minimum number of weeks in a fiscal year (in weeks) 52
Maximum number of weeks in a fiscal year (in weeks) 53
XML 40 R19.htm IDEA: XBRL DOCUMENT v2.4.0.6
Investment in Leasing Operations (Tables)
6 Months Ended
Jun. 30, 2012
Investment in Leasing Operations:  
Schedule of investment in leasing operations

 

 

 

 

June 30, 2012

 

December 31, 2011

 

Direct financing and sales-type leases:

 

 

 

 

 

Minimum lease payments receivable

 

$

27,709,500

 

$

27,413,300

 

Estimated residual value of equipment

 

2,904,200

 

2,764,400

 

Unearned lease income net of initial direct costs deferred

 

(4,575,700

)

(4,217,000

)

Security deposits

 

(2,731,300

)

(2,448,800

)

Equipment installed on leases not yet commenced

 

9,087,700

 

6,489,200

 

Total investment in direct financing and sales-type leases

 

32,394,400

 

30,001,100

 

Allowance for credit losses

 

(785,800

)

(803,800

)

Net investment in direct financing and sales-type leases

 

31,608,600

 

29,197,300

 

Operating leases:

 

 

 

 

 

Operating lease assets

 

1,131,300

 

1,218,900

 

Less accumulated depreciation and amortization

 

(667,400

)

(567,300

)

Net investment in operating leases

 

463,900

 

651,600

 

Total net investment in leasing operations

 

$

32,072,500

 

$

29,848,900

 

Schedule of future minimum lease payments receivable under lease contracts and the amortization of unearned lease income, net of initial direct costs deferred

 

 

 

 

Direct Financing and Sales-Type Leases

 

Operating Leases

 

 

 

Minimum Lease
Payments Receivable

 

Income
Amortization

 

Minimum Lease
Payments Receivable

 

2012

 

$

7,940,500

 

$

2,103,800

 

$

653,400

 

2013

 

11,989,200

 

1,918,400

 

1,517,800

 

2014

 

5,765,400

 

466,700

 

132,400

 

2015

 

1,515,200

 

81,000

 

 

2016

 

499,200

 

5,800

 

 

Thereafter

 

 

 

 

 

 

$

27,709,500

 

$

4,575,700

 

$

2,303,600

 

Schedule of activity in the allowance for credit losses for leasing operations

 

 

 

 

June 30, 2012

 

June 25, 2011

 

Balance at beginning of period

 

$

803,800

 

$

907,800

 

Provisions charged to expense

 

(67,900

)

21,300

 

Recoveries

 

159,900

 

178,700

 

Deductions for amounts written-off

 

(110,000

)

(262,300

)

Balance at end of period

 

$

785,800

 

$

845,500

 

Schedule of investment in direct financing and sales-type leases (investment in leases) and allowance for credit losses by loss evaluation methodology

 

 

 

 

June 30, 2012

 

December 31, 2011

 

 

 

Investment
In Leases

 

Allowance for
Credit Losses

 

Investment
In Leases

 

Allowance for
Credit Losses

 

Collectively evaluated for loss potential

 

$

32,394,400

 

$

785,800

 

$

30,001,100

 

$

803,800

 

Individually evaluated for loss potential

 

 

 

 

 

Total

 

$

32,394,400

 

$

785,800

 

$

30,001,100

 

$

803,800

 

Schedule of information regarding accruing and non-accrual leases

 

 

 

 

June 30, 2012

 

 

 

0-60 Days
Delinquent
and Accruing

 

61-90 Days
Delinquent
and Accruing

 

Over 90 Days
Delinquent and
Accruing

 

Non-Accrual

 

Total

 

Middle-Market

 

$

30,015,600

 

$

 

$

 

$

 

$

30,015,600

 

Small-Ticket

 

2,374,500

 

 

 

4,300

 

2,378,800

 

Total Investment in Leases

 

$

32,390,100

 

$

 

$

 

$

4,300

 

$

32,394,400

 

 

 

 

December 31, 2011

 

 

 

0-60 Days
Delinquent
and Accruing

 

61-90 Days
Delinquent
and Accruing

 

Over 90 Days
Delinquent and
Accruing

 

Non-Accrual

 

Total

 

Middle-Market

 

$

25,650,500

 

$

932,100

 

$

 

$

 

$

26,582,600

 

Small-Ticket

 

3,351,400

 

48,300

 

 

18,800

 

3,418,500

 

Total Investment in Leases

 

$

29,001,900

 

$

980,400

 

$

 

$

18,800

 

$

30,001,100

 

XML 41 R15.htm IDEA: XBRL DOCUMENT v2.4.0.6
Line of Credit:
6 Months Ended
Jun. 30, 2012
Line of Credit:  
Line of Credit:

9.     Line of Credit:

 

On January 30, 2012, the Company’s Line of Credit with The PrivateBank and Trust Company and BMO Harris Bank N.A. was amended to, among other things, provide the consent of the lenders for the payment of the Special Dividend and to amend certain financial covenant calculations to remove the effect of the Special Dividend in such calculations.

 

On February 29, 2012, the Line of Credit was amended to, among other things, increase the aggregate commitments from $30.0 million to $35.0 million and extend the termination date from July 31, 2014 to February 29, 2016.

 

During the six months ended June 30, 2012, the Line of Credit was used to finance in part the Special Dividend (as indicated above) and has been and will continue to be used for general corporate purposes.  Borrowings under the Line of Credit are subject to certain borrowing base limitations, and the Line of Credit is secured by a lien against substantially all of the Company’s assets, contains customary financial conditions and covenants, and requires maintenance of minimum levels of debt service coverage and tangible net worth and maximum levels of leverage (all as defined within the Line of Credit).  As of June 30, 2012, the Company was in compliance with all of its financial covenants and the Company’s borrowing availability under the Line of Credit was $35.0 million (the lesser of the borrowing base or the aggregate commitments).  There were $12.8 million in borrowings outstanding under the Line of Credit bearing interest ranging from 2.99% to 3.75%, leaving $22.2 million available for additional borrowings.

XML 42 R13.htm IDEA: XBRL DOCUMENT v2.4.0.6
Earnings Per Share:
6 Months Ended
Jun. 30, 2012
Earnings Per Share:  
Earnings Per Share:

7.     Earnings Per Share:

 

The following table sets forth the presentation of shares outstanding used in the calculation of basic and diluted earnings per share (“EPS”):

 

 

 

Three Months Ended

 

Six Months Ended

 

 

 

June 30, 2012

 

June 25, 2011

 

June 30, 2012

 

June 25, 2011

 

Denominator for basic EPS – weighted average common shares

 

5,056,289

 

4,980,844

 

5,054,620

 

4,985,220

 

Dilutive shares associated with option plans

 

211,956

 

258,599

 

219,603

 

242,248

 

Denominator for diluted EPS – weighted average common shares and dilutive potential common shares

 

5,268,245

 

5,239,443

 

5,274,223

 

5,227,468

 

Options excluded from EPS calculation – anti-dilutive

 

25,554

 

11,459

 

17,110

 

20,006

 

XML 43 R14.htm IDEA: XBRL DOCUMENT v2.4.0.6
Shareholders' Equity:
6 Months Ended
Jun. 30, 2012
Shareholders' Equity:  
Shareholders' Equity:

8.     Shareholders’ Equity:

 

Dividends

 

On January 18, 2012, the Company’s Board of Directors approved the payment of a $0.03 per share quarterly cash dividend and $5.00 per share special cash dividend (the “Special Dividend”) to shareholders of record at the close of business on February 8, 2012, both of which were paid on March 1, 2012.  The Special Dividend totaled $25.4 million and was financed by a combination of cash on hand as well as net borrowings under the Line of Credit of $12.8 million.  (See Note 9 – “Line of Credit”).

 

On April 25, 2012, the Company’s Board of Directors approved the payment of a $0.04 per share quarterly cash dividend to shareholders of record at the close of business on May 9, 2012, which was paid on June 1, 2012.

 

Repurchase of Common Stock

 

In the first six months of 2012, the Company repurchased 49,256 shares of its common stock for an aggregate purchase price of $2.6 million or $52.27 per share.  These repurchase transactions reduced the dollar amount of common stock on the balance sheet to zero, with the remainder recorded to retained earnings.  Under the Board of Directors’ authorization, as of June 30, 2012, the Company has the ability to repurchase an additional 446,616 shares of its common stock.  Repurchases may be made from time to time at prevailing prices, subject to certain restrictions on volume, pricing and timing.

 

Stock Option Plans and Stock-Based Compensation

 

The Company had authorized up to 750,000 shares of common stock be reserved for granting either nonqualified or incentive stock options to officers and key employees under the Company’s 2001 Stock Option Plan (the “2001 Plan”).  The 2001 Plan expired on February 20, 2011.  The Company has authorized up to 250,000 shares of common stock to be reserved for granting either nonqualified or incentive stock options to officers and key employees under the Company’s 2010 Stock Option Plan (the “2010 Plan”).

 

The Company also sponsors a Stock Option Plan for Nonemployee Directors (the “Nonemployee Directors Plan”) and has reserved a total of 300,000 shares for issuance to directors of the Company who are not employees.

 

Stock option activity under the 2001 Plan, 2010 Plan and Nonemployee Directors Plan (collectively, the “Option Plans”) as of June 30, 2012 was as follows:

 

 

 

Number of
Shares

 

Weighted
Average
Exercise Price

 

Weighted Average
Remaining
Contractual Life
(years)

 

Intrinsic Value

 

Outstanding at December 31, 2011

 

668,614

 

$

24.31

 

6.62

 

$

22,101,800

 

Granted

 

72,500

 

53.30

 

 

 

 

 

Exercised

 

(119,662

)

20.31

 

 

 

 

 

Outstanding at June 30, 2012

 

621,452

 

$

28.47

 

7.03

 

$

18,695,300

 

Exercisable at June 30, 2012

 

341,309

 

$

18.83

 

5.74

 

$

13,016,600

 

 

During the six months ended June 30, 2012, option holders surrendered 31,351 shares of previously owned common stock as payment for option shares exercised as provided for by the Option Plans.  All unexercised options at June 30, 2012 have an exercise price equal to the fair market value on the date of the grant.

 

The fair value of options granted under the Option Plans during the first six months of 2012 and 2011 were estimated on the date of grant using the Black-Scholes option pricing model with the following weighted average assumptions and results:

 

 

 

Six Months Ended

 

 

 

June 30, 2012

 

June 25, 2011

 

Risk free interest interest rate

 

0.88

%

1.94

%

Expected life (years)

 

6

 

6

 

Expected volatility

 

31.4

%

28.0

%

Dividend yield

 

2.06

%

.32

%

Option fair value

 

$

12.95

 

$

11.28

 

 

Compensation expense of $437,400 and $351,100 relating to the vested portion of the fair value of stock options granted was expensed to “Selling, General and Administrative Expenses” in the first six months of 2012 and 2011, respectively.  As of June 30, 2012, the Company had $2.5 million of total unrecognized compensation expense related to stock options that is expected to be recognized over the remaining weighted average period of approximately 2.6 years.

XML 44 R16.htm IDEA: XBRL DOCUMENT v2.4.0.6
Discounted Lease Rentals:
6 Months Ended
Jun. 30, 2012
Discounted Lease Rentals:  
Discounted Lease Rentals:

10.  Discounted Lease Rentals:

 

The Company utilized certain lease receivables and underlying equipment as collateral to borrow from financial institutions at a weighted average rate of 2.84% at June 30, 2012 on a non-recourse basis.

XML 45 R34.htm IDEA: XBRL DOCUMENT v2.4.0.6
Discounted Lease Rentals: (Details)
Jun. 30, 2012
Discounted Lease Rentals:  
Weighted average rate on a non-recourse basis (as a percent) 2.84%
XML 46 R21.htm IDEA: XBRL DOCUMENT v2.4.0.6
Shareholders' Equity: (Tables)
6 Months Ended
Jun. 30, 2012
Shareholders' Equity:  
Schedule of stock option activity under the 2001 Plan, 2010 Plan and Nonemployee Directors Plan

 

 

 

 

Number of
Shares

 

Weighted
Average
Exercise Price

 

Weighted Average
Remaining
Contractual Life
(years)

 

Intrinsic Value

 

Outstanding at December 31, 2011

 

668,614

 

$

24.31

 

6.62

 

$

22,101,800

 

Granted

 

72,500

 

53.30

 

 

 

 

 

Exercised

 

(119,662

)

20.31

 

 

 

 

 

Outstanding at June 30, 2012

 

621,452

 

$

28.47

 

7.03

 

$

18,695,300

 

Exercisable at June 30, 2012

 

341,309

 

$

18.83

 

5.74

 

$

13,016,600

 

Schedule of weighted average assumptions and results used in estimation of fair value of options granted

 

 

 

 

Six Months Ended

 

 

 

June 30, 2012

 

June 25, 2011

 

Risk free interest interest rate

 

0.88

%

1.94

%

Expected life (years)

 

6

 

6

 

Expected volatility

 

31.4

%

28.0

%

Dividend yield

 

2.06

%

.32

%

Option fair value

 

$

12.95

 

$

11.28

 

XML 47 R26.htm IDEA: XBRL DOCUMENT v2.4.0.6
Investment in Leasing Operations (Details) (USD $)
Jun. 30, 2012
Dec. 31, 2011
Direct financing and sales-type leases:    
Minimum lease payments receivable $ 27,709,500 $ 27,413,300
Estimated residual value of equipment 2,904,200 2,764,400
Unearned lease income net of initial direct costs deferred (4,575,700) (4,217,000)
Security deposits (2,731,300) (2,448,800)
Equipment installed on leases not yet commenced 9,087,700 6,489,200
Total investment in direct financing and sales-type leases 32,394,400 30,001,100
Allowance for credit losses (785,800) (803,800)
Net investment in direct financing and sales-type leases 31,608,600 29,197,300
Operating leases:    
Operating lease assets 1,131,300 1,218,900
Less accumulated depreciation and amortization (667,400) (567,300)
Net investment in operating leases 463,900 651,600
Total net investment in leasing operations 32,072,500 29,848,900
Net investment in leases - current 11,454,500 11,746,900
Net investment in leases - long-term $ 20,618,000 $ 18,102,000
XML 48 R5.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONSOLIDATED CONDENSED STATEMENTS OF COMPREHENSIVE INCOME (USD $)
3 Months Ended 6 Months Ended
Jun. 30, 2012
Jun. 25, 2011
Jun. 30, 2012
Jun. 25, 2011
NET INCOME $ 3,404,400 $ 3,400,200 $ 6,920,400 $ 6,426,500
Unrealized net gains (losses) on marketable securities:        
Unrealized holding net gains (losses) losses arising during period 3,600   3,600 (1,000)
Reclassification adjustment for net gains included in net income     (28,000)  
OTHER COMPREHENSIVE INCOME (LOSS), BEFORE TAX 3,600   (24,400) (1,000)
Unrealized net gains (losses) on marketable securities:        
Unrealized holding net gains (losses) losses arising during period (1,400)   (1,400) 400
Reclassification adjustment for net gains included in net income     11,000  
INCOME TAX (EXPENSE) BENEFIT RELATED TO ITEMS OF OTHER COMPREHENSIVE INCOME (1,400)   9,600 400
OTHER COMPREHENSIVE GAIN (LOSS), NET OF TAX 2,200   (14,800) (600)
COMPREHENSIVE INCOME $ 3,406,600 $ 3,400,200 $ 6,905,600 $ 6,425,900
XML 49 R10.htm IDEA: XBRL DOCUMENT v2.4.0.6
Investments:
6 Months Ended
Jun. 30, 2012
Investments:  
Investments:

4.     Investments:

 

Marketable Securities

 

The following is a summary of marketable securities classified as available-for-sale securities:

 

 

 

June 30, 2012

 

December 31, 2011

 

 

 

Cost

 

Fair Value

 

Cost

 

Fair Value

 

Equity securities

 

$

113,000

 

$

116,600

 

$

1,015,800

 

$

1,043,800

 

 

The Company’s unrealized gains and losses for marketable securities classified as available-for-sale securities in accumulated other comprehensive income are as follows:

 

 

 

June 30, 2012

 

December 31, 2011

 

Unrealized gains

 

$

3,600

 

$

32,900

 

Unrealized losses

 

 

(4,900

)

Net unrealized gains

 

$

3,600

 

$

28,000

 

 

The Company’s realized gains and losses recognized on sales of available-for-sale marketable securities are as follows:

 

 

 

Three Months Ended

 

Six Months Ended

 

 

 

June 30, 2012

 

June 25, 2011

 

June 30, 2012

 

June 25, 2011

 

Realized gains

 

$

 

$

 

$

42,300

 

$

 

Realized losses

 

 

 

(12,300

)

(600

)

Net realized gains/(losses)

 

$

 

$

 

$

30,000

 

$

(600

)

 

Amounts reclassified out of accumulated other comprehensive income into earnings is determined by using the average cost of the security when sold.

 

Long-Term Investments

 

The Company has an investment in Tomsten, Inc. (“Tomsten”), the parent company of “Archiver’s” retail chain.  The Company has invested a total of $8.5 million in the purchase of common stock of Tomsten.  The Company’s investment currently represents 22.0% of the outstanding common stock of Tomsten.  As of June 30, 2012, $0.3 million of the Company’s investment, with a current carrying value of $2.2 million, is attributable to goodwill.  The amount of goodwill was determined by calculating the difference between the Company’s net investment in Tomsten less its pro rata share of Tomsten’s net worth.

 

The Company has a $2.0 million investment in senior subordinated promissory notes with warrants in BridgeFunds Limited (“BridgeFunds”).  BridgeFunds advances funds to claimants involved in civil litigation to cover litigation expenses.  Monthly prepayment of the principal of such notes in an amount equal to Available Cash Flow (as defined within the agreements governing the notes) is required.  In July 2012, the Company entered into an amendment to the agreement governing the notes whereby the maturity date of all of the outstanding notes was changed to June 30, 2013.  During the six months ended June 30, 2012, the Company did not receive any payments of principal or interest on the notes.  The Company stopped accruing interest on this investment as of September 30, 2010.  The Company has deemed this investment to be impaired, and in evaluating the investment for impairment has determined that its present value of expected future cash flows, discounted at the effective interest rate on the notes of 15%, is less than the recorded investment in the notes.  In developing its estimate of expected future cash flows, the Company used certain information obtained from BridgeFunds concerning existing liabilities, claimant cases outstanding and historical default rates on claimant advances, and made certain assumptions regarding the timing of case settlements, the payment of future liabilities and future default rates.  The Company recognized $883,100 in impairment charges during 2011 and established a corresponding valuation allowance accordingly.  Based upon the Company’s estimate of expected future cash flows as of June 30, 2012, there were no additional impairment charges during the six month period then ended.  As of June 30, 2012, the $1.3 million net investment balance inclusive of $0.2 million of related interest receivable is classified as long-term based on expected payments from Available Cash Flow.

XML 50 R27.htm IDEA: XBRL DOCUMENT v2.4.0.6
Investment in Leasing Operations (Details 2) (Total assets, Customer one concentration risk for leased assets)
6 Months Ended
Jun. 30, 2012
customer
Total assets | Customer one concentration risk for leased assets
 
Investment in leasing operations  
Number of customers 1
Percentage of concentration risk 11.00%
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Earnings Per Share: (Tables)
6 Months Ended
Jun. 30, 2012
Earnings Per Share:  
Schedule of shares outstanding used in the calculation of basic and diluted earnings per share (EPS)

 

 

 

 

Three Months Ended

 

Six Months Ended

 

 

 

June 30, 2012

 

June 25, 2011

 

June 30, 2012

 

June 25, 2011

 

Denominator for basic EPS – weighted average common shares

 

5,056,289

 

4,980,844

 

5,054,620

 

4,985,220

 

Dilutive shares associated with option plans

 

211,956

 

258,599

 

219,603

 

242,248

 

Denominator for diluted EPS – weighted average common shares and dilutive potential common shares

 

5,268,245

 

5,239,443

 

5,274,223

 

5,227,468

 

Options excluded from EPS calculation – anti-dilutive

 

25,554

 

11,459

 

17,110

 

20,006