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Consolidated Statements Of Shareholders' Equity - USD ($)
$ in Thousands
Total
Common Stock
Retained Earnings
Trust for Savings Restoration Plan
Accumulated Other Comprehensive Income (Loss)
Beginning Balance at Dec. 31, 2020 $ 109,055 $ 50,066 $ 239,480 $ (2,087) $ (178,404)
Net income (loss) 30,267   30,267    
Foreign currency translation adjustment 1,345       1,345
Derivative financial instruments adjustment 1,232       1,232
Amortization of prior service costs and net gains or losses 6,637       6,637
Cash dividends declared ($0.24 per share) (8,070)   (8,070)    
Stock-based compensation expense 1,959 1,959      
Shares issued upon exercise of stock options 915 915      
Tredegar common stock purchased by trust for savings restoration plan     22 (22)  
Ending Balance at Jun. 30, 2021 $ 143,340 52,940 261,699 (2,109) (169,190)
Cash dividends declared, per share $ 0.24        
Beginning Balance at Mar. 31, 2021 $ 115,987 51,557 244,496 (2,097) (177,969)
Net income (loss) 21,236   21,236    
Foreign currency translation adjustment 3,993       3,993
Derivative financial instruments adjustment 1,468       1,468
Amortization of prior service costs and net gains or losses 3,318       3,318
Cash dividends declared ($0.24 per share) (4,045)   (4,045)    
Stock-based compensation expense 1,383 1,383      
Tredegar common stock purchased by trust for savings restoration plan     12 (12)  
Ending Balance at Jun. 30, 2021 $ 143,340 52,940 261,699 (2,109) (169,190)
Cash dividends declared, per share $ 0.12        
Beginning Balance at Dec. 31, 2021 $ 184,722 55,174 281,187 (2,135) (149,504)
Net income (loss) 31,292   31,292    
Foreign currency translation adjustment 306       306
Derivative financial instruments adjustment (3,231)       (3,231)
Amortization of prior service costs and net gains or losses 5,094       5,094
Cash dividends declared ($0.24 per share) (8,135)   (8,135)    
Stock-based compensation expense 2,133 2,133      
Repurchase of employee common stock for tax withholdings (396) (396)      
Tredegar common stock purchased by trust for savings restoration plan     26 (26)  
Ending Balance at Jun. 30, 2022 $ 211,785 56,911 304,370 (2,161) (147,335)
Cash dividends declared, per share $ 0.24        
Beginning Balance at Mar. 31, 2022 $ 211,868 55,953 293,563 (2,148) (135,500)
Net income (loss) 14,869        
Foreign currency translation adjustment (5,230)       (5,230)
Derivative financial instruments adjustment (9,161)       (9,161)
Amortization of prior service costs and net gains or losses 2,556       2,556
Cash dividends declared ($0.24 per share) (4,075)   (4,075)    
Stock-based compensation expense 958 958      
Tredegar common stock purchased by trust for savings restoration plan     13 (13)  
Ending Balance at Jun. 30, 2022 $ 211,785 $ 56,911 $ 304,370 $ (2,161) $ (147,335)
Cash dividends declared, per share $ 0.12