Annual report pursuant to Section 13 and 15(d)

Fair Value Measurements (Tables)

v2.4.0.8
Fair Value Measurements (Tables)
12 Months Ended
Dec. 31, 2013
Fair Value Disclosures [Abstract]  
Schedule of Residual Interests Securitized Receivables and Derivatives Carried at Fair Value
As of December 31, 2013  
     Fair Value      Carrying Value      Level  
     (amounts in millions)         

Assets

  

Financing receivables (1)

   $ 346.4       $ 347.9         Level 3   

Investments

     92.0         92.0         Level 3   

Financing receivables and investments held-for-sale

     28.0         28.0         Level 3   

Residual assets

     4.9         4.9         Level 3   

Liabilities

        

Credit facility

     77.1         77.1         Level 3   

Nonrecourse debt

     167.1         159.8         Level 3   

Asset-backed nonrecourse notes

     99.8         100.0         Level 3   

 

(1) Financing receivables includes $0.8 million, which represents the net fair value of collateral related to an impaired loan. The allowance for loan losses included in the carrying value of the financing receivables was $11.0 million as of December 31, 2013.

 

     As of September 30, 2012  
     Fair Value      Carrying Value      Level  

Assets

        

Financing receivables

   $ 213.1       $ 195.6         Level 3   

Residual assets

     4.6         4.6         Level 3   

Liabilities

        

Credit facility

     4.6         4.6         Level 3   

Nonrecourse debt

     218.2         200.3         Level 3   
Schedule of Reconciliation of Residual Assets

The following table reconciles the beginning and ending balances for our level three assets carried at fair value which consists of our residual assets, (amounts in thousands):

 

     Years Ended  
     December 31,
2013
    September 30,
2012
 

Balance, beginning of period

   $ 4,638      $ 4,531   

Accretion

     473        503   

Additions (reclassifications)

     390        (22

Collections

     (479     (631

Unrealized (loss) gain on residual assets

     (159     216   
  

 

 

   

 

 

 

Balance, end of period

   $ 4,863      $ 4,597