Cash America 2007 Annual Report Download - page 49

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29
Year Ended December 31,
2007 2006 2005
CASH ADVANCE OPERATIONS (e):
Storefront operations:
Amount of cash advances written:
Funded by the Company................................................................. $ 706,839 $ 614,008 $ 509,732
Funded by third-party lenders (a) (d) ................................................. 115,483 137,345 145,228
Aggregate amount of cash advances written (a) (f) ............................... $ 822,322 $ 751,353 $ 654,960
Number of cash advances written (not in thousands):
By the Company............................................................................. 1,944,251 1,740,615 1,442,816
By third-party lenders (a) (d) ............................................................. 214,372 266,389 347,772
Aggregate number of cash advances written (a) (f) ............................... 2,158,623 2,007,004 1,790,588
Cash advance customer balances due (gross):
Owned by Company (c) ................................................................... $ 51,389 $ 53,201 $ 37,706
Owned by third-party lenders (a) (d) ................................................. 5,530 6,327 7,215
Aggregate cash advance customer balances due (gross) (a) (f) ............. $ 56,919 $ 59,528 $ 44,921
Cash advance locations in operation –
Beginning of year........................................................................... 295 286 253
Acquired ..................................................................................... 1
Start-ups...................................................................................... 14 12 34
Combined or closed .................................................................... (5) (3) (2)
End of year ..................................................................................... 304 295 286
Average number of cash advance locations in operation ................ 299 290 271
Internet lending operations:
Amount of cash advances written:
Funded by the Company ................................................................. $ 598,306 $ 136,226
Funded by third-party lenders (a) (d).................................................. 350,572 15,500
Aggregate amount of cash advances written (a) (f) ............................... $ 948,878 $ 151,726
Number of cash advances written (not in thousands):
By the Company.............................................................................. 1,523,872 356,561
By third-party lenders (a) (d) .............................................................. 594,909 32,442
Aggregate number of cash advances written (a) (f) ............................... 2,118,781 389,003
Cash advance customer balances due (gross):
Owned by Company (c) .................................................................... $ 53,808 $ 37,839
Owned by third-party lenders (a) (d) .................................................. 19,852 7,158
Aggregate cash advance customer balances due (gross) (a) (f) ............. $ 73,660 $ 44,997
Number of states with online lending at end of year............................. 32 29
Number of foreign countries with online lending at end of year........... 1