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Consolidated Statements of Stockholders' Equity - USD ($)
$ in Thousands
Common Stock
Additional Paid-in Capital
Treasury Stock And Deferred Compensation
Retained Earnings
Cumulative effect of adoption of ASU 2016-13
Retained Earnings
Accumulated Other Comprehensive Income (Loss)
Cumulative effect of adoption of ASU 2016-13
Total
Repurchase of common stock $ 6,054 $ 23,635 $ (2,799)   $ 37,847 $ 6,964   $ 71,701
Beginning Balance at Dec. 31, 2021 6,054 23,635 (2,799)   37,847 6,964   71,701
Net income         6,351     6,351
Other comprehensive loss           (21,444)   (21,444)
Cash dividends - per share         (3,613)     (3,613)
Repurchase of common stock   919           919
Deferred compensation plan activity   159 (927)         (768)
Expense/shares repurchase related to share-based compensation plans (10) 10            
Ending Balance at Sep. 30, 2022 6,044 24,723 (3,726)   40,585 (14,480)   53,146
Repurchase of common stock 6,044 24,528 (3,618)   39,169 (7,810)   58,313
Beginning Balance at Jun. 30, 2022 6,044 24,528 (3,618)   39,169 (7,810)   58,313
Net income         2,303     2,303
Other comprehensive loss           (6,670)   (6,670)
Cash dividends - per share         (887)     (887)
Deferred compensation plan activity   108 (108)          
Expense/shares repurchase related to share-based compensation plans   87           87
Ending Balance at Sep. 30, 2022 6,044 24,723 (3,726)   40,585 (14,480)   53,146
Repurchase of common stock 6,044 24,723 (3,726)   40,585 (14,480)   53,146
Repurchase of common stock 6,044 24,814 (3,730)   41,945 (9,336)   59,737
Beginning Balance at Dec. 31, 2022 6,044 24,814 (3,730)   41,945 (9,336)   59,737
Net income         6,560     6,560
Other comprehensive loss           (7,684)   (7,684)
Cash dividends - per share         (3,788)     (3,788)
Repurchase of common stock     733 $ 2,088     $ 2,088 733
Deferred compensation plan activity   101 (101)          
Expense/shares repurchase related to share-based compensation plans 20 566           586
Ending Balance at Sep. 30, 2023 6,064 25,481 (4,564)   42,629 (17,020)   52,590
Repurchase of common stock 6,044 25,328 (4,464)   41,223 (9,722)   58,409
Beginning Balance at Jun. 30, 2023 6,044 25,328 (4,464)   41,223 (9,722)   58,409
Net income         2,392     2,392
Other comprehensive loss           (7,298)   (7,298)
Cash dividends - per share         (986)     (986)
Deferred compensation plan activity   100 (100)          
Expense/shares repurchase related to share-based compensation plans 20 53           73
Ending Balance at Sep. 30, 2023 6,064 25,481 (4,564)   42,629 (17,020)   52,590
Repurchase of common stock $ 6,064 $ 25,481 $ (4,564)   $ 42,629 $ (17,020)   $ 52,590