Cash America 2009 Annual Report Download - page 142

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CASH AMERICA INTERNATIONAL, INC. AND SUBSIDIARIES
NOTES TO CONSOLIDATED FINANCIAL STATEMENTS
114
Year Ended December 31, 2008
Pawn
Lending (2)
Cash
Advance (3)
Check
Cashing
Consolidated (4)
Revenue
Finance and service charges $ 184,995 $ - $ - $ 184,995
Proceeds from disposition of merchandise 464,868 787 - 465,655
Cash advance fees 34,840 329,763 - 364,603
Check cashing fees, royalties and other 3,743 8,410 3,388 15,541
Total revenue 688,446 338,960 3,388 1,030,794
Cost of revenue – disposed merchandise 294,825 535 - 295,360
Net revenue 393,621 338,425 3,388 735,434
Expenses
Operations 215,122 114,334 1,288 330,744
Cash advance loss provision 9,903 130,820 - 140,723
Administration 40,134 34,358 1,118 75,610
Depreciation and amortization 23,679 15,733 239 39,651
Total expenses 288,838 295,245 2,645 586,728
Income from operations $ 104,783 $ 43,180 $ 743 $ 148,706
Interest expense $ (6,565) $ (8,854) $ (574) $ (15,993)
Provision for income taxes $ 37,180 $ 14,244 $ 193 $ 51,617
Expenditures for property and equipment(1) $ 43,052 $ 13,918 $ 112 $ 57,082
As of December 31, 2008
Total assets $ 726,747 $ 453,047 $ 6,716 $ 1,186,510
Goodwill $ 205,009 $ 283,873 $ 5,310 $ 494,192