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EQUITY AWARDS (Tables)
6 Months Ended
Jun. 30, 2021
Disclosure Of Compensation Related Costs Sharebased Payments [Abstract]  
Schedule of Stock Option Activity
A summary of stock option activity in the Plan during the six months ended June 30, 2021 and 2020 follows:
 
Six Months Ended June 30, 2021
   Number of
Shares
    Weighted-
Average
Exercise
Price
     Weighted-
Average
Remaining
Contractual
Life in
Years
     Aggregate
Intrinsic
Value
 
Outstanding at beginning of year
     506,200     $ 26.81        5.82      $ 1,805  
Effect of 10% stock dividend
     50,770                            
Granted
     24,500       33.37        9.61        22  
Exercised
     (28,590     22.28        3.38        337  
Forfeited
     (19,020     26.01        7.09        153  
    
 
 
                           
Balance, June 30, 2021
     533,860     $ 24.84        5.58      $ 4,930  
    
 
 
                           
                                    
Exercisable at end of period
         312,206     $ 23.58        4.49      $ 3,274  
    
 
 
                           
 
Six Months Ended June 30, 2020
   Number of
Shares
    Weighted-
Average
Exercise
Price
     Weighted-
Average
Remaining
Contractual
Life in
Years
     Aggregate
Intrinsic
Value
 
Outstanding at beginning of year
     508,000     $ 26.68        6.24      $ 3,159  
Granted
     35,000       27.64        9.72        41  
Exercised
     (3,000     24.00        2.29        6  
Forfeited
     (28,200     31.93        8.16         
    
 
 
                           
Balance, June 30, 2020
     511,800     $ 26.47        5.90      $ 607  
    
 
 
                           
                                    
Exercisable at end of period
         284,620     $ 25.28        4.88      $ 438  
    
 
 
                           
Schedule of Nonvested Stock Option Activity
A summary of nonvested stock option activity in the Plan during the six months ended June 30, 2021 and 2020 follows:
 
Six Months Ended June 30, 2021
               Number of        
Shares
   
    Weighted-Average    

Grant
Date Fair Value
 
Outstanding at beginning of year
             214,680     $ 4.46  
Effect of 10% stock dividend
             23,218          
Granted
                                   24,500       5.67  
Vested
             (31,724     (6.13
Forfeited
             (9,020     (8.06
            
 
 
         
Balance, June 30, 2021
             221,654     $ 5.01  
            
 
 
         
 
Six Months Ended June 30, 2020
               Number of        
Shares
   
    Weighted-Average    

Grant
Date Fair Value
 
Outstanding at beginning of year
                                   251,120     $ 4.97  
Granted
             35,000       4.13  
Vested
             (35,740     (6.43
Forfeited
             (23,200     (3.13
            
 
 
         
Balance, June 30, 2020
             227,180     $ 5.55  
            
 
 
         
Plan Information
Information related to stock options in the Plan is as follows for the six months ended:
 
       June 30, 2021         June 30, 2020    
Intrinsic value of options exercised
   $ 337     $ 6  
Cash received from options exercised
   $ 636       72  
Weighted average fair value of options granted
     5.67       4.13  
Summary of Restricted Stock Awards and Units Activity
A summary of restricted stock activity in the Plan during the six months ended June 30, 2021 and 2020 follows:
 
                                                                                             
Six Months Ended June 30, 2021
   Number of
Shares
   
Weighted-Average

Grant
Date Fair Value
 
Outstanding at beginning of year
     35,300     $ 29.72  
Effect of 10% stock dividend
     3,530        
Granted
            
Vested
     (4,840     30.25  
Forfeited
            
    
 
 
         
Balance, June 30, 2021
     33,990     $ 26.95  
    
 
 
         
 
                                                                                             
Six Months Ended June 30, 2020
   Number of
Shares
   
Weighted-Average

Grant
Date Fair Value
 
Outstanding at beginning of year
     31,459     $ 30.29  
Granted
            
Vested
     (10,100     30.25  
Forfeited
            
    
 
 
         
Balance, June 30, 2020
     21,359     $ 30.31