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CONSOLIDATED STATEMENTS OF CHANGES IN SHAREHOLDERS' EQUITY - USD ($)
$ in Thousands
Total
Common Stock [Member]
Surplus [Member]
Treasury Stock, Common [Member]
Retained Earnings [Member]
Accumulated Other Comprehensive Loss [Member]
Balance at Dec. 31, 2023 $ 583,681 $ 17,831 $ 346,954 $ (110,320) $ 394,094 $ (64,878)
Net Income (Loss) 23,748       23,748  
Other comprehensive income 10,058         10,058
Restricted stock units issued shares   123 (123)      
Restricted stock units repurchased on vesting to pay taxes (877) (31) (846)      
Amortization of restricted stock units 4,533   4,533      
Modification of restricted stock units distributed in cash (4,336)   (4,336)      
Cash dividends declared on common stock (2,656)       (2,656)  
Share repurchase (7,189)     (7,189)    
Issuance of shares for Employee Stock Purchase Plan 652 23 629      
Balance at Sep. 30, 2024 607,614 17,946 346,811 (117,509) 415,186 (54,820)
Balance at Jun. 30, 2024 588,322 17,936 345,164 (114,917) 408,481 (68,342)
Net Income (Loss) 7,587       7,587  
Other comprehensive income 13,522         13,522
Amortization of restricted stock units 1,395   1,395      
Cash dividends declared on common stock (882)       (882)  
Share repurchase (2,592)     (2,592)    
Issuance of shares for Employee Stock Purchase Plan 262 10 252      
Balance at Sep. 30, 2024 607,614 17,946 346,811 (117,509) 415,186 (54,820)
Balance at Dec. 31, 2024 605,849 17,953 348,264 (117,509) 423,552 (66,411)
Net Income (Loss) 25,167       25,167  
Other comprehensive income 15,930         15,930
Restricted stock units issued shares   147 (147)      
Restricted stock units repurchased on vesting to pay taxes (1,249) (36) (1,213)      
Amortization of restricted stock units 4,079   4,079      
Cash dividends declared on common stock (2,644)       (2,644)  
Share repurchase (5,444)     (5,444)    
Issuance of shares for Employee Stock Purchase Plan 862 24 838      
Balance at Sep. 30, 2025 642,550 18,088 351,821 (122,953) 446,075 (50,481)
Balance at Jun. 30, 2025 629,777 18,078 350,246 (120,287) 437,321 (55,581)
Net Income (Loss) 9,631       9,631  
Other comprehensive income 5,100         5,100
Amortization of restricted stock units 1,233   1,233      
Cash dividends declared on common stock (877)       (877)  
Share repurchase (2,666)     (2,666)    
Issuance of shares for Employee Stock Purchase Plan 352 10 342      
Balance at Sep. 30, 2025 $ 642,550 $ 18,088 $ 351,821 $ (122,953) $ 446,075 $ (50,481)