Cash America 2009 Annual Report Download - page 144

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CASH AMERICA INTERNATIONAL, INC. AND SUBSIDIARIES
NOTES TO CONSOLIDATED FINANCIAL STATEMENTS
116
Year Ended December 31, 2009
Domestic
Foreign
Total Pawn
Lending
Revenue
Finance and service charges $ 200,159 $ 30,274 $ 230,433
Proceeds from disposition of merchandise 488,402 - 488,402
Cash advance fees 31,420 - 31,420
Check cashing fees, royalties and other 3,562 409 3,971
Total revenue 723,543 30,683 754,226
Cost of revenue – disposed merchandise 315,198 - 315,198
Net revenue 408,345 30,683 439,028
Expenses
Operations 223,761 12,644 236,405
Cash advance loss provision 7,109 - 7,109
Administration 35,843 6,878 42,721
Depreciation and amortization 24,991 3,831 28,822
Total expenses 291,704 23,353 315,057
Income from operations $ 116,641 $ 7,330 $ 123,971
As of December 31, 2009
Total Assets $ 662,868 $ 118,478 $ 781,346
Year Ended December 31, 2008
Domestic
Foreign
Total Pawn
Lending
Revenue
Finance and service charges $ 183,672 $ 1,323 $ 184,995
Proceeds from disposition of merchandise 464,868 - 464,868
Cash advance fees 34,840 - 34,840
Check cashing fees, royalties and other 3,736 7 3,743
Total revenue 687,116 1,330 688,446
Cost of revenue – disposed merchandise 294,825 - 294,825
Net revenue 392,291 1,330 393,621
Expenses
Operations 214,697 425 215,122
Cash advance loss provision 9,903 - 9,903
Administration 39,794 340 40,134
Depreciation and amortization 23,623 56 23,679
Total expenses 288,017 821 288,838
Income from operations $ 104,274 $ 509 $ 104,783
As of December 31, 2008
Total Assets $ 626,080 $ 100,667 $ 726,747