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Shareholders' Equity
6 Months Ended
Jun. 30, 2025
Equity [Abstract]  
Shareholders' Equity STOCKHOLDERS’ EQUITY
Stockholders’ Equity
Accumulated Other Comprehensive Income (Loss)

The following table presents the changes in accumulated other comprehensive income (loss) after-tax by component:
Three months ended
($ in thousands)Net Unrealized Loss on Available-for-Sale SecuritiesUnamortized Gain on Held-to-Maturity SecuritiesNet Unrealized Gain (Loss) on Cash Flow HedgesTotal
Balance, March 31, 2025
$(109,327)$7,476 $460 $(101,391)
Net change11,348 (607)1,665 12,406 
Balance, June 30, 2025
$(97,979)$6,869 $2,125 $(88,985)
Balance, March 31, 2024
$(123,917)$9,954 $(1,428)$(115,391)
Net change(5,375)(619)(754)(6,748)
Balance, June 30, 2024
$(129,292)$9,335 $(2,182)$(122,139)
Six months ended
($ in thousands)Net Unrealized Gain (Loss) on Available-for-Sale Debt SecuritiesUnamortized Gain on Held-to-Maturity SecuritiesNet Unrealized Gain (Loss) on Cash Flow HedgesTotal
Balance, December 31, 2024
$(122,132)$8,088 $(2,674)$(116,718)
Net change24,153 (1,219)4,799 27,733 
Balance, June 30, 2025
$(97,979)$6,869 $2,125 $(88,985)
Balance, December 31, 2023
$(112,844)$10,580 $1,249 $(101,015)
Net change(16,448)(1,245)(3,431)(21,124)
Balance, June 30, 2024
$(129,292)$9,335 $(2,182)$(122,139)
The following table presents the pre-tax and after-tax changes in the components of other comprehensive income (loss):
Three months ended June 30,
20252024
($ in thousands)Pre-taxTax effectAfter-taxPre-taxTax effectAfter-tax
Change in unrealized gain (loss) on available-for-sale securities $15,091 $3,743 $11,348 $(7,148)$(1,773)$(5,375)
Reclassification of gain on held-to-maturity securities(a)
(807)(200)(607)(823)(204)(619)
Change in unrealized gain (loss) on cash flow hedges1,811 449 1,362 (1,563)(388)(1,175)
Reclassification of loss on cash flow hedges(b)
402 99 303 560 139 421 
Total other comprehensive gain (loss)$16,497 $4,091 $12,406 $(8,974)$(2,226)$(6,748)
Six months ended June 30,
20252024
($ in thousands)Pre-taxTax effectAfter-taxPre-taxTax effectAfter-tax
Change in unrealized gain (loss) on available-for-sale securities$32,225 $7,992 $24,233 $(21,872)$(5,424)$(16,448)
Reclassification of gain on sale of available-for-sale securities(a)
(106)(26)(80)— — — 
Reclassification of gain on held-to-maturity securities(a)
(1,621)(402)(1,219)(1,656)(411)(1,245)
Change in unrealized loss on cash flow hedges5,791 1,436 4,355 (5,475)(1,358)(4,117)
Reclassification of loss on cash flow hedges(b)
590 146 444 912 226 686 
Total other comprehensive gain (loss)$36,879 $9,146 $27,733 $(28,091)$(6,967)$(21,124)
(a)The pre-tax amount is reported in noninterest income/expense in the Consolidated Statements of Income.
(b)The pre-tax amount is reported in interest income/expense in the Consolidated Statements of Income.