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      "text": "Total cash decrease of $5 million was driven by an increase in originated loans relative to received payments and recovered loans\nOther assets grew by $14 million driven largely by the addition of an operating lease right of use assets of $15 million (corresponding liability in \"Other Liabilities\") related to the Company's corporate headquarters due to the adoption of a new accounting standard\nTotal debt increase of $63 million was driven by an increase in utilization of leverage facilities of $80 million and was partially offset by lower secured borrowing payables by $17 million\nEquity increase of $8 million was driven by net income for the six months of $9 million",
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      "text": "UNAUDITED PERIOD ENDED\n($ in millions) 12/31/2021 6/30/2022\nAssets\nCash and restricted cash $62.4 $57.6\nFinance Receivables at Fair Value 383.9 450.7\nFinance Receivables at Amortized 4.2 4.6\nCost, Net\nOther Assets 51.6 65.2\nTotal Assets $502.1 $578.1\nLiabilities and Stockholders' Equity\nOther Liabilities $59.0 $70.5\nTotal Debt 274.0 336.5\nWarrant Liabilities 11.2 5.5\nTotal Liabilities 344.2 412.6\nTotal Equity 157.9 165.5\nTotal Liabilities and Equity $502.1 $578.1",
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