Annual report pursuant to Section 13 and 15(d)

CONSOLIDATED STATEMENTS OF CASH FLOWS

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CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Cash flows from operating activities      
Net income (loss) $ 41,911 $ 127,346 $ 82,759
Adjustments to reconcile net income to net cash provided by operating activities:      
Provision for loss on receivables 12,798 496 10,096
Depreciation and amortization 3,993 3,801 3,580
Amortization of financing costs 11,685 11,316 7,789
Equity-based compensation 20,101 17,047 16,791
Equity method investments 16,403 (94,773) 13,099
Non-cash gain on securitization (28,614) (48,332) (55,413)
(Gain) loss on sale of receivables and investments (218) (720) 13,811
Changes in receivables held-for-sale (62,953) (22,035) 0
Loss on debt extinguishment 0 14,584 0
Changes in accounts payable and accrued expenses 18,176 11,313 8,023
Change in accrued interest on receivables and investments (15,414) (859) (24,282)
Other (17,638) (5,875) (2,971)
Net cash provided by operating activities 230 13,309 73,282
Cash flows from investing activities      
Equity method investments (127,867) (401,856) (885,862)
Equity method investment distributions received 110,064 21,777 98,571
Proceeds from sales of equity method investments 1,700 300 0
Purchases of and investments in receivables (726,931) (553,366) (256,323)
Principal collections from receivables 125,976 148,769 132,958
Proceeds from sales of receivables 5,047 75,582 59,398
Purchases of real estate (4,550) 0 0
Sales of real estate 4,550 0 0
Purchases of investments (2,329) (4,830) (40,185)
Principal collections from investments 0 414 2,424
Proceeds from sales of investments and securitization assets 7,020 15,197 68,520
Funding of escrow accounts (5,476) (12,069) (23,178)
Withdrawal from escrow accounts 22,757 1,756 8,094
Other (2,071) 4,924 3,931
Net cash provided by (used in) investing activities (592,110) (703,402) (831,652)
Cash flows from financing activities      
Proceeds from credit facilities 100,000 100,000 126,000
Principal payments on credit facilities (150,000) (22,441) (134,594)
Proceeds from issuance of commercial paper notes 0 50,000 0
Principal payments on commercial paper notes (50,000) 0 0
Proceeds from issuance of non-recourse debt 32,923 0 15,938
Principal payments on non-recourse debt (30,581) (37,974) (125,969)
Proceeds from issuance of term loan 383,000 0 0
Proceeds from issuance of senior unsecured notes 0 1,000,000 771,250
Redemption of senior unsecured notes 0 (500,000) 0
Proceeds from issuance of convertible notes 200,000 0 143,750
Principal payments on convertible notes (461) 0 0
Net proceeds of common stock issuances 188,881 200,641 298,070
Payments of dividends and distributions (132,198) (113,510) (99,867)
Withholdings on employee share vesting (3,211) (14,018) (17,287)
Redemption premium paid 0 (14,101) 0
Payment of debt issuance costs (11,754) (17,750) 0
Other (9,820) (12) (15,176)
Net cash provided by (used in) financing activities 516,779 630,835 962,115
Increase (decrease) in cash, cash equivalents, and restricted cash (75,101) (59,258) 203,745
Cash, cash equivalents, and restricted cash at beginning of period 251,073 310,331 106,586
Cash, cash equivalents, and restricted cash at end of period 175,972 251,073 310,331
Interest paid 98,704 108,267 75,934
Supplemental disclosure of non-cash activity      
Residual assets retained from securitization transactions 28,614 56,432 56,697
Right-of-use asset obtained in exchange for lease liability 0 4,628 0
Issuance of common stock from conversion of convertible notes 7,674 141,810 0
Deconsolidation of non-recourse debt and other liabilities 0 126,139 0
Deconsolidation of assets pledged for non-recourse debt $ 0 $ 130,513 $ 0