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Equity, Other Comprehensive Income (Loss) and Earnings Per Share (Tables)
3 Months Ended
Mar. 31, 2022
Equity, Other Comprehensive Income (Loss) and Earnings Per Share  
Schedule of the components of accumulated other comprehensive loss, net of deferred taxes

    

Securities

    

Defined

    

Cash

    

Available

Benefit

Flow

(Dollars in thousands)

For Sale

Plan

Hedges

Total

Accumulated other comprehensive income (loss) at December 31, 2021

$

437

$

(2,055)

$

(469)

$

(2,087)

Net (loss) income arising during the period

 

(18,595)

 

 

1,240

 

(17,355)

Related income tax effects

 

3,905

 

 

(319)

 

3,586

(14,690)

921

(13,769)

Reclassifications into net income

(8)

(2)

(10)

Related income tax effects

1

1

2

(7)

(1)

(8)

Other comprehensive (loss) income, net of tax

(14,690)

(7)

920

(13,777)

Accumulated other comprehensive (loss) income at March 31, 2022

$

(14,253)

$

(2,062)

$

451

$

(15,864)

    

Securities

    

Defined

    

Cash

    

Available

Benefit

Flow

(Dollars in thousands)

For Sale

Plan

Hedges

Total

Accumulated other comprehensive income (loss) at December 31, 2020

$

4,397

$

(4,985)

$

(1,367)

$

(1,955)

Net (loss) income arising during the period

 

(2,971)

 

 

990

 

(1,981)

Related income tax effects

 

623

 

 

(255)

 

368

(2,348)

735

(1,613)

Reclassifications into net income

(32)

43

(2)

9

Related income tax effects

7

(9)

1

(1)

(25)

34

(1)

8

Other comprehensive (loss) income, net of tax

(2,373)

34

734

(1,605)

Accumulated other comprehensive income (loss) at March 31, 2021

$

2,024

$

(4,951)

$

(633)

$

(3,560)

Schedule of reclassifications from accumulated other comprehensive loss

Three Months Ended March 31, 

Line Item In the

(Dollars in thousands)

    

2022

    

2021

Consolidated Statements of Income

Securities available for sale:

Reclassification of net realized gains into net income

$

$

32

Net gains on sales, maturities and calls of available for sale securities

Related income tax effects

(7)

Income tax expense

25

Net of tax

Defined benefit plan:1

Reclassification of recognized net actuarial losses into net income

(9)

(60)

Noninterest expenses - Other

Amortization of prior service credit into net income

17

17

Noninterest expenses - Other

Related income tax effects

(1)

9

Income tax expense

7

(34)

Net of tax

Csah flow hedges:

Amortization of hedging gains into net income

2

2

Interest expense - Trust preferred capital notes

Related income tax effects

(1)

(1)

Income tax expense

1

1

Net of tax

 

 

Total reclassifications into net income

$

8

$

(8)

Schedule of components earnings per share calculations

Three Months Ended March 31, 

 

(Dollars in thousands)

  

2022

    

2021

 

Net income attributable to C&F Financial Corporation

$

5,629

$

7,061

Weighted average shares outstandingbasic and diluted

 

3,547,780

 

3,676,067