My diagram compares the Static Loss data presented in the Q2 2014 10-Q versus the 2013 10-K. For some reason the numbers are different and I have no idea why. I honestly don’t have any good theories.
In particular, the data point for the 2007 Fiscal year of origination for 3 Years from origination shows 4.6% versus 4.8%. That doesn’t look like a rounding error.
*Disclosure: No position in CONN. I may have a position in the stock in the future (probably short).
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