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Consolidated Statement of Changes in Stockholders' Equity - USD ($)
$ in Thousands
Additional Paid-In Capital [Member]
Common Stock [Member]
Additional Paid-In Capital [Member]
Series G Preferred Stock [Member]
Additional Paid-In Capital [Member]
Retained Earnings [Member]
Treasury Stock [Member]
Accumulated Other Comprehensive Income (Loss) [Member]
Common Stock [Member]
Series G Preferred Stock [Member]
Total
Beginning balance at Dec. 31, 2018     $ 195,206 $ 38,405 $ (28,320) $ (5,076)     $ 200,215
Net income       10,678         10,678
Other comprehensive income (loss)           3,147     3,147
Issuance of stock $ 6,239 $ 5,310         $ 6,239 $ 5,310  
Exercise of stock options (500 shares)     397           397
Treasury stock allocated to Common Stock issuance     (5,707) (565) 6,272        
Dividends payable on Series C 6%, Series D 4.5%, Series F 6%, and Series G 6% noncumulative perpetual preferred stock       (659)         (659)
Cash dividends on common stock ($0.14 per share declared)       (4,326)         (4,326)
Dividend reinvestment plan     186 (186)          
Stock purchase plan     152           152
Ending balance at Jun. 30, 2019     201,783 43,347 (22,048) (1,929)     221,153
Beginning balance at Mar. 31, 2019     201,395 40,750 (22,048) (3,379)     216,718
Net income       5,227         5,227
Other comprehensive income (loss)           1,450     1,450
Stock-based compensation expense     207           207
Dividends payable on Series C 6%, Series D 4.5%, Series F 6%, and Series G 6% noncumulative perpetual preferred stock       (342)         (342)
Cash dividends on common stock ($0.14 per share declared)       (2,190)         (2,190)
Dividend reinvestment plan     98 (98)          
Stock purchase plan     83           83
Ending balance at Jun. 30, 2019     201,783 43,347 (22,048) (1,929)     221,153
Beginning balance at Dec. 31, 2019     215,310 48,429 (22,048) (2,218)     239,473
Net income       5,247         5,247
Other comprehensive income (loss)           2,942     2,942
Costs for issuance of common stock $ (126)           $ (126)    
Issuance of stock     3,080           3,080
Redemption of Series D Preferred Stock     (140)           (140)
Exercise of stock options (500 shares)     5           5
Stock-based compensation expense     559           559
Treasury stock purchases         (4,870)       (4,870)
Dividends payable on Series C 6%, Series D 4.5%, Series F 6%, and Series G 6% noncumulative perpetual preferred stock       (682)         (682)
Cash dividends on common stock ($0.14 per share declared)       (4,688)         (4,688)
Dividend reinvestment plan     209 (209)          
Stock purchase plan     219           219
Ending balance at Jun. 30, 2020     219,116 48,097 (26,918) 724     241,019
Beginning balance at Mar. 31, 2020     215,534 48,168 (23,335) 271     240,638
Net income       2,726         2,726
Other comprehensive income (loss)           453     453
Issuance of stock     3,080           3,080
Stock-based compensation expense     280           280
Treasury stock purchases         (3,583)       (3,583)
Dividends payable on Series C 6%, Series D 4.5%, Series F 6%, and Series G 6% noncumulative perpetual preferred stock       (341)         (341)
Cash dividends on common stock ($0.14 per share declared)       (2,351)         (2,351)
Dividend reinvestment plan     105 (105)          
Stock purchase plan     117           117
Ending balance at Jun. 30, 2020     $ 219,116 $ 48,097 $ (26,918) $ 724     $ 241,019