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Consolidated Statements of Changes in Stockholders' Equity - USD ($)
$ in Thousands
Common Stock
Treasury Stock
Paid-in Capital
Retained Earnings
Accumulated Other Comprehensive Income (Loss)
Total
Balance (in shares) at Dec. 31, 2019 13,934,996 218,551        
Balance at Dec. 31, 2019 $ 13,935 $ (4,173) $ 104,519 $ 126,480 $ 3,691 $ 244,452
Net income       12,452   12,452
Other comprehensive income (loss), net         7,918 7,918
Cash dividends declared on common stock       (11,708)   (11,708)
Shares issued for dividend reinvestment plan (in shares)   (56,649)        
Shares issued for dividend reinvestment plan   $ 1,094 46     1,140
Shares issued from treasury and redeemed related to exercise of stock options (in shares)   (9,652)        
Shares issued from treasury and redeemed related to exercise of stock options   $ 186 (62)     124
Restricted stock granted (in shares)   (70,940)        
Restricted stock granted   $ 1,370 (1,370)     0
Forfeiture of restricted stock (in shares)   5,290        
Forfeiture of restricted stock   $ (100) 100     0
Stock-based compensation expense     672     672
Purchase of restricted stock for tax withholding (in shares)   5,862        
Purchase of restricted stock for tax withholding   $ (163)       (163)
Shares issued for acquisition of Covenant Financial, Inc., net of equity issuance costs (in shares) 2,047,819          
Shares issued for acquisition of Covenant Financial, Inc., net of equity issuance costs $ 2,048   39,381     41,429
Balance (in shares) at Sep. 30, 2020 15,982,815 92,462        
Balance at Sep. 30, 2020 $ 15,983 $ (1,786) 143,286 127,224 11,609 296,316
Balance (in shares) at Jun. 30, 2020 13,934,996 127,839        
Balance at Jun. 30, 2020 $ 13,935 $ (2,470) 103,954 128,661 11,711 255,791
Net income       2,848   2,848
Other comprehensive income (loss), net         (102) (102)
Cash dividends declared on common stock       (4,285)   (4,285)
Shares issued for dividend reinvestment plan (in shares)   (21,949)        
Shares issued for dividend reinvestment plan   $ 423 (36)     387
Restricted stock granted (in shares)   (15,076)        
Restricted stock granted   $ 291 (291)     0
Forfeiture of restricted stock (in shares)   1,648        
Forfeiture of restricted stock   $ (30) 30     0
Stock-based compensation expense     248     248
Shares issued for acquisition of Covenant Financial, Inc., net of equity issuance costs (in shares) 2,047,819          
Shares issued for acquisition of Covenant Financial, Inc., net of equity issuance costs $ 2,048   39,381     41,429
Balance (in shares) at Sep. 30, 2020 15,982,815 92,462        
Balance at Sep. 30, 2020 $ 15,983 $ (1,786) 143,286 127,224 11,609 296,316
Balance (in shares) at Dec. 31, 2020 15,982,815 70,831        
Balance at Dec. 31, 2020 $ 15,983 $ (1,369) 143,644 129,703 11,795 299,756
Net income       23,246   23,246
Other comprehensive income (loss), net         (5,390) (5,390)
Cash dividends declared on common stock       (13,234)   (13,234)
Shares issued for dividend reinvestment plan (in shares) 36,368 (16,833)        
Shares issued for dividend reinvestment plan $ 36 $ 415 803     1,254
Shares issued from treasury and redeemed related to exercise of stock options (in shares)   (12,414)        
Shares issued from treasury and redeemed related to exercise of stock options   $ 240 (28)     212
Restricted stock granted (in shares) 10,989 (67,402)        
Restricted stock granted $ 11 $ 1,308 (1,319)     0
Forfeiture of restricted stock (in shares)   5,290        
Forfeiture of restricted stock   $ (102) 102     0
Stock-based compensation expense     970     970
Purchase of restricted stock for tax withholding (in shares)   8,350        
Purchase of restricted stock for tax withholding   $ (174)       (174)
Treasury stock purchased (in shares)   292,100        
Treasury stock purchased   $ (7,238)       (7,238)
Balance (in shares) at Sep. 30, 2021 16,030,172 279,922        
Balance at Sep. 30, 2021 $ 16,030 $ (6,920) 144,172 139,715 6,405 299,402
Balance (in shares) at Jun. 30, 2021 16,030,172 72,660        
Balance at Jun. 30, 2021 $ 16,030 $ (1,746) 143,817 136,756 9,276 304,133
Net income       7,399   7,399
Other comprehensive income (loss), net         (2,871) (2,871)
Cash dividends declared on common stock       (4,440)   (4,440)
Shares issued for dividend reinvestment plan (in shares)   (16,833)        
Shares issued for dividend reinvestment plan   $ 415 10     425
Shares issued from treasury and redeemed related to exercise of stock options (in shares)   (7,000)        
Shares issued from treasury and redeemed related to exercise of stock options   $ 135       135
Stock-based compensation expense     345     345
Purchase of restricted stock for tax withholding (in shares)   691        
Purchase of restricted stock for tax withholding   $ (17)       (17)
Treasury stock purchased (in shares)   230,404        
Treasury stock purchased   $ (5,707)       (5,707)
Balance (in shares) at Sep. 30, 2021 16,030,172 279,922        
Balance at Sep. 30, 2021 $ 16,030 $ (6,920) $ 144,172 $ 139,715 $ 6,405 $ 299,402