v3.26.1
CONSOLIDATED BALANCE SHEETS - USD ($)
Mar. 31, 2026
Mar. 31, 2025
ASSETS    
Cash $ 6,071,077 $ 4,714,459
Gross loans receivable 1,278,988,323 1,225,635,918
Less:    
Unearned interest, insurance and fees (325,064,238) (309,320,104)
Allowance for credit losses (112,047,278) (103,347,129)
Loans receivable, net 841,876,807 812,968,685
Restricted cash 23,303,453 5,015,837
Income taxes receivable 2,420,571 0
Operating lease ROU assets, net 71,526,768 76,234,832
Property and equipment, net 17,430,614 19,765,788
Deferred income taxes, net 41,241,258 34,151,668
Other assets, net 38,669,890 40,871,600
Goodwill 7,370,791 7,370,791
Intangible assets, net 4,209,415 7,394,581
Total assets 1,054,120,644 1,008,488,241
Liabilities:    
Senior unsecured notes payable, net 0 184,418,211
Income taxes payable 0 222,742
Operating lease liability 73,964,708 78,689,723
Accounts payable and accrued expenses 37,996,315 42,365,032
Deferred revenue (contract liability) 3,925,529 3,349,571
Total liabilities 703,115,353 571,496,754
Commitments and contingencies (Notes 11 and 18)
Shareholders' equity:    
Preferred stock, no par value Authorized 5,000,000, no shares issued or outstanding 0 0
Common stock, no par value Authorized 95,000,000 shares; issued and outstanding 4,656,505 and 5,374,012 shares at March 31, 2026 and March 31, 2025, respectively 0 0
Additional paid-in capital 279,442,411 266,426,478
Retained earnings 71,562,880 170,565,009
Total shareholders' equity 351,005,291 436,991,487
Total liabilities and shareholders' equity 1,054,120,644 1,008,488,241
Revolving Credit Facility    
Liabilities:    
Warehouse facility 443,935,446 262,451,475
Warehouse Facility    
Liabilities:    
Warehouse facility $ 143,293,355 $ 0