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Consolidated Condensed Statements of Shareholders' Equity - USD ($)
$ in Thousands
Total
Common Stock at $1 par value
[1]
Capital in excess of par value
Reinvested earnings
Accumulated other comprehensive income (loss)
Treasury stock (at cost)
Balance at beginning of period at Dec. 31, 2023 $ 516,482 $ 37,221 $ 59,185 $ 458,719 $ (1,646) $ (36,997)
Net earnings 94,225     94,225    
Pension and postretirement benefits (net of tax effect) (96)       (96)  
Foreign currency translation 1,092       1,092  
Cash dividends (25,864)     (25,864)    
Stock options exercised 751   646     105
Stock-based compensation 4,595   4,595      
Issuance of treasury stock     (192)     192
Balance at end of period at Sep. 30, 2024 591,185 37,221 64,234 527,080 (650) (36,700)
Balance at beginning of period at Jun. 30, 2024 563,138 37,221 62,915 505,040 (5,343) (36,695)
Net earnings 32,038     32,038    
Pension and postretirement benefits (net of tax effect) (33)       (33)  
Foreign currency translation 4,726       4,726  
Cash dividends (9,998)     (9,998)    
Stock-based compensation 1,314   1,314      
Issuance of treasury stock     5     (5)
Balance at end of period at Sep. 30, 2024 591,185 37,221 64,234 527,080 (650) (36,700)
Balance at beginning of period at Dec. 31, 2024 606,232 37,221 65,819 547,796 (7,906) (36,698)
Net earnings 108,059     108,059    
Pension and postretirement benefits (net of tax effect) (145)       (145)  
Foreign currency translation 13,166       13,166  
Cash dividends (31,801)     (31,801)    
Stock options exercised 554   483     71
Stock-based compensation 6,445   6,445      
Issuance of treasury stock     (206)     206
Balance at end of period at Sep. 30, 2025 702,510 37,221 72,541 624,054 5,115 (36,421)
Balance at beginning of period at Jun. 30, 2025 677,592 37,221 70,505 600,763 5,529 (36,426)
Net earnings 35,077     35,077    
Pension and postretirement benefits (net of tax effect) (48)       (48)  
Foreign currency translation (366)       (366)  
Cash dividends (11,786)     (11,786)    
Stock-based compensation 2,041   2,041      
Issuance of treasury stock     (5)     5
Balance at end of period at Sep. 30, 2025 $ 702,510 $ 37,221 $ 72,541 $ 624,054 $ 5,115 $ (36,421)
[1] Each common share of stock equals $1 par value; therefore, the number of common shares is the same as the dollar value.