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Consolidated Statements of Changes in Stockholders' Equity - USD ($)
$ in Thousands
Additional Paid In Capital [Member]
Retained Earnings [Member]
Treasury Stock [Member]
Accumulated Other Comprehensive Income (Loss) [Member]
Total
Beginning balance at Dec. 31, 2020 $ 217,999 $ 58,335 $ (26,918) $ (205) $ 249,211
Net income   34,240     34,240
Other comprehensive income       1,333 1,333
Issuance of Series I Preferred Stock 3,200       3,200
Exercise of Stock Options 287       287
Stock-based compensation expense 417       417
Dividends payable on Series D 4.5%, Series G 6%, Series H 3.5%, and Series I 3.0% noncumulative perpetual preferred stock   (1,160)     (1,160)
Cash dividends on common stock (per share declared)   (9,775)     (9,775)
Dividend Reinvestment Plan 469 (469)      
Stock Purchase Plan 478       478
Treasury Stock Purchases     (4,207)   (4,207)
Balance ending at Dec. 31, 2021 222,850 81,171 (31,125) 1,128 274,024
Net income   45,579     45,579
Other comprehensive income       (7,619) (7,619)
Redemption of Series D and G Preferred Stock (14,730)       (14,730)
Issuance of Series I Preferred Stock 6,810       6,810
Exercise of Stock Options 220       220
Stock-based compensation expense 1,132       1,132
Dividends payable on Series D 4.5%, Series G 6%, Series H 3.5%, and Series I 3.0% noncumulative perpetual preferred stock   (796)     (796)
Cash dividends on common stock (per share declared)   (10,379)     (10,379)
Dividend Reinvestment Plan 466 (466)      
Stock Purchase Plan 419       419
Treasury Stock Purchases     (3,406)   (3,406)
Balance ending at Dec. 31, 2022 $ 217,167 $ 115,109 $ (34,531) $ (6,491) $ 291,254