Cash America 2008 Annual Report Download - page 58

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35
Year Ended December 31,
2008 2007 2006
Combined Storefront, Internet lending, and Card services operations:
Amount of cash advances written:
Funded by the Company ...................................................................... $1,314,581 $ 1,305,145 $ 750,234
Funded by third-party lenders (a) (e) (h) .................................................... 556,603 466,055 152,845
Aggregate amount of cash advances written (a) (g) (h) ................................. $1,871,184 $ 1,771,200 $ 903,079
Number of cash advances written (not in thousands):
By the Company ................................................................................... 3,355,320 3,468,123 2,097,176
By third-party lenders (a) (e) (h)................................................................. 948,480 809,281 298,831
Aggregate number of cash advances written (a) (g)..................................... 4,303,800 4,277,404 2,396,007
Cash advance customer balances due (gross):
Owned by Company (d) .......................................................................... $ 98,503 $ 105,197 $ 91,040
Owned by third-party lenders (a) (e) (h) .................................................... 27,787 25,382 13,485
Aggregate cash advance customer balances due (gross) (a) (g)................... $ 126,290 $ 130,579 $ 104,525
CONSOLIDATED CASH ADVANCE PRODUCT SUMMARY (a) (c) (f) (h):
Amount of cash advances written:
Funded by the Company ...................................................................... $1,373,642
$ 1,370,167 $ 817,186
Funded by third-party lenders (a) (e) (h) ................................................... 702,933
654,760 360,577
Aggregate amount of cash advances written (a) (g)..................................... $2,076,575
$ 2,024,927 $ 1,177,763
Number of cash advances written (not in thousands):
By the Company .................................................................................. 3,541,588
3,681,396 2,310,643
By third-party lenders (a) (e) (h)................................................................ 1,255,001
1,218,857 779,480
Aggregate number of cash advances written (a) (g)..................................... 4,796,589
4,900,253 3,090,123
Average amount per cash advance written (not in thousands):
Funded by the Company ..................................................................... $ 394 $ 372 $ 354
Funded by third-party lenders (a) (e) (h).................................................... 560 537 463
Aggregate average amount per cash advance(a) (g) .................................... $ 433 $ 413 $ 381
Cash advance customer balances due (gross):
Owned by the Company (d)................................................................... $ 105,345
$ 113,824 $ 99,488
Owned by third-party lenders (a) (e) (h).................................................... 35,182 34,580 24,687
Aggregate cash advance balances due (gross) (a) (g) .................................. $ 140,527
$ 148,404 $ 124,175
Total locations offering cash advances at end of year .............................. 679 735 718
Average total locations offering cash advances........................................ 723 725 713
Number of states with online lending at end of period............................. 32 32 29
Number of foreign countries with online lending at end of period........... 1 1
Number of states and other jurisdictions with card services at end of period 53 –– ––