Cash America 2009 Annual Report Download - page 141

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CASH AMERICA INTERNATIONAL, INC. AND SUBSIDIARIES
NOTES TO CONSOLIDATED FINANCIAL STATEMENTS
113
Information concerning the operating segments is set forth below (in thousands):
Year Ended December 31, 2009
Pawn
Lending (2)
Cash
Advance (3)
Check
Cashing
Consolidated (4)
Revenue
Finance and service charges $ 230,433 $ 745 $ - $ 231,178
Proceeds from disposition of merchandise 488,402 14,334 - 502,736
Cash advance fees 31,420 340,436 - 371,856
Check cashing fees, royalties and other 3,971 7,870 2,779 14,620
Total revenue 754,226 363,385 2,779 1,120,390
Cost of revenue – disposed merchandise 315,198 9,079 - 324,277
Net revenue 439,028 354,306 2,779 796,113
Expenses
Operations 236,405 122,541 1,181 360,127
Cash advance loss provision 7,109 123,707 - 130,816
Administration 42,721 44,246 962 87,929
Depreciation and amortization 28,822 12,543 224 41,589
Total expenses 315,057 303,037 2,367 620,461
Income from operations $ 123,971 $ 51,269 $ 412 $ 175,652
Interest expense $ (5,512) $ (14,712) $ (583) $ (20,807)
Provision for income taxes $ 43,218 $ 13,476 $ 86 $ 56,780
Expenditures for property and equipment(1) $ 29,898 $ 13,998 $ 205 $ 44,101
As of December 31, 2009
Total assets $ 781,346 $ 481,772 $ 6,537 $ 1,269,655
Goodwill $ 206,635 $ 281,547 $ 5,310 $ 493,492