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Statements of Consolidated Shareholders' Equity (Unaudited)
$ in Thousands
USD ($)
Common Shares
USD ($)
Common Shares
BRL (R$)
Common Shares Issued to Rabbi Trust
USD ($)
Deferred Compensation Liability
USD ($)
Paid in Capital
USD ($)
Retained Earnings
USD ($)
Treasury Shares
USD ($)
Cumulative Translation Adjustment
USD ($)
Unrecognized Pension Benefit Cost
USD ($)
Total Preformed Line Products Company Equity
USD ($)
Noncontrolling Interests
USD ($)
Beginning Balance at Dec. 31, 2023 $ 416,156 $ 13,607   $ (10,183) $ 10,183 $ 60,958 $ 520,154 $ (118,249) $ (55,828) $ (4,478) $ 416,164 $ (8)
Increase (Decrease) in Stockholders' Equity [Roll Forward]                        
Net income 9,603           9,596       9,596 7
Foreign currency translation adjustment (6,565)               (6,565)   (6,565)  
Pension adjustment, net of tax 89                 89 89  
Total comprehensive income 3,127                   3,120 7
Stock incentive plan activity (4,898) 104       450   (5,452)     (4,898)  
Common shares distributed from rabbi trust, net 0     (31) 31           0  
Cash dividends declared (1,017)           (1,017)       (1,017)  
Ending Balance at Mar. 31, 2024 413,368 13,711   (10,214) 10,214 61,408 528,733 (123,701) (62,393) (4,389) 413,369 (1)
Beginning Balance at Dec. 31, 2023 416,156 13,607   (10,183) 10,183 60,958 520,154 (118,249) (55,828) (4,478) 416,164 (8)
Increase (Decrease) in Stockholders' Equity [Roll Forward]                        
Net income 26,666                      
Foreign currency translation adjustment (5,053)                      
Ending Balance at Sep. 30, 2024 428,987 13,715   (9,557) 9,557 63,108 543,743 (126,503) (60,881) (4,211) 428,971 16
Beginning Balance at Mar. 31, 2024 413,368 13,711   (10,214) 10,214 61,408 528,733 (123,701) (62,393) (4,389) 413,369 (1)
Increase (Decrease) in Stockholders' Equity [Roll Forward]                        
Net income 9,367           9,366       9,366 1
Foreign currency translation adjustment (5,971)               (5,971)   (5,971)  
Pension adjustment, net of tax 89                 89 89  
Total comprehensive income 3,485                   3,484 1
Purchase of common shares (568)             (568)     (568)  
Stock incentive plan activity 953         953         953  
Common shares distributed from rabbi trust, net 0     (19) 19           0  
Cash dividends declared (1,020)           (1,020)       (1,020)  
Ending Balance at Jun. 30, 2024 416,218 13,711   (10,233) 10,233 62,361 537,079 (124,269) (68,364) (4,300) 416,218 0
Increase (Decrease) in Stockholders' Equity [Roll Forward]                        
Net income 7,696           7,680       7,680 16
Foreign currency translation adjustment 7,483               7,483   7,483  
Pension adjustment, net of tax 89                 89 89  
Total comprehensive income 15,268                   15,252 16
Purchase of common shares (2,234)             (2,234)     (2,234)  
Stock incentive plan activity 751   R$ 4,000     747         751  
Common shares distributed from rabbi trust, net 0     676 (676)           0  
Cash dividends declared (1,016)           (1,016)       (1,016)  
Ending Balance at Sep. 30, 2024 428,987 13,715   (9,557) 9,557 63,108 543,743 (126,503) (60,881) (4,211) 428,971 16
Beginning Balance at Dec. 31, 2024 422,324 13,752   (9,575) 9,575 65,093 553,179 (126,800) (77,536) (5,373) 422,315 9
Increase (Decrease) in Stockholders' Equity [Roll Forward]                        
Net income 11,553           11,517       11,517 36
Foreign currency translation adjustment 6,671               6,671   6,671  
Pension adjustment, net of tax 123                 123 123  
Total comprehensive income 18,347                   18,311 36
Purchase of common shares (131)             (131)     (131)  
Stock incentive plan activity (3,701) 68       (2,888)   (881)     (3,701)  
Common shares issued to rabbi trust, net 0     (19) 19           0  
Cash dividends declared (1,018)           (1,018)       (1,018)  
Ending Balance at Mar. 31, 2025 435,821 13,820   (9,594) 9,594 62,205 563,678 (127,812) (70,865) (5,250) 435,776 45
Beginning Balance at Dec. 31, 2024 422,324 13,752   (9,575) 9,575 65,093 553,179 (126,800) (77,536) (5,373) 422,315 9
Increase (Decrease) in Stockholders' Equity [Roll Forward]                        
Net income 26,872                      
Foreign currency translation adjustment 22,060                      
Ending Balance at Sep. 30, 2025 466,338 13,831   (9,586) 9,586 65,641 576,985 (134,676) (55,476) 0 466,305 33
Beginning Balance at Mar. 31, 2025 435,821 13,820   (9,594) 9,594 62,205 563,678 (127,812) (70,865) (5,250) 435,776 45
Increase (Decrease) in Stockholders' Equity [Roll Forward]                        
Net income 12,700           12,705       12,705 (5)
Foreign currency translation adjustment 13,681               13,681   13,681  
Pension adjustment, net of tax 123                 123 123  
Total comprehensive income 26,504                   26,509 (5)
Purchase of common shares (2,351)             (2,351)     (2,351)  
Stock incentive plan activity 1,817 3       1,814         1,817  
Common shares issued to rabbi trust, net 0     (19) 19           0  
Cash dividends declared (1,015)           (1,015)       (1,015)  
Ending Balance at Jun. 30, 2025 460,776 13,823   (9,613) 9,613 64,019 575,368 (130,163) (57,184) (5,127) 460,736 40
Increase (Decrease) in Stockholders' Equity [Roll Forward]                        
Net income 2,619           2,626       2,626 (7)
Foreign currency translation adjustment 1,708               1,708   1,708  
Pension adjustment, net of tax 5,127                 5,127 5,127  
Total comprehensive income 9,454                   9,461 (7)
Purchase of common shares (4,513)             (4,513)     (4,513)  
Stock incentive plan activity 1,630 8       1,622         1,630  
Common shares distributed from rabbi trust, net 0     27 (27)           0  
Cash dividends declared (1,009)           (1,009)       (1,009)  
Ending Balance at Sep. 30, 2025 $ 466,338 $ 13,831   $ (9,586) $ 9,586 $ 65,641 $ 576,985 $ (134,676) $ (55,476) $ 0 $ 466,305 $ 33