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Accumulated Other Comprehensive Income (Tables)
3 Months Ended
Mar. 31, 2013
Accumulated Other Comprehensive Income  
Schedule of changes in AOCI by component

 

 

 
  For the Three Months Ended March 31, 2013 and 2012  
 
  Unrealized
Gains on
Available-
for-Sale
Securities
and I/O
Strips(1)
  Unamortized
Unrealized
Gain on
Available-
for-Sale
Securities
Reclassified
to Held-to-
Maturity(1)
  Defined
Benefit
Pension
Plan
Items(1)
  Total(1)  
 
  (Dollars in thousands)
 

Beginning balance January 1, 2013, net of taxes

  $ 7,887   $ 497   $ (5,703 ) $ 2,681  

Other comprehensive (loss) before reclassification, net of taxes

   
(1,255

)
 
   
(24

)
 
(1,279

)

Amounts reclassified from other comprehensive income (loss), net of taxes

    (18 )   (8 )   41     15  
                   

Net current period other comprensive income (loss), net of taxes

    (1,273 )   (8 )   17     (1,264 )
                   

Ending balance March 31, 2013, net of taxes

  $ 6,614   $ 489   $ (5,686 ) $ 1,417  
                   

Beginning balance January 1, 2012, net of taxes

  $ 6,210   $   $ (5,255 ) $ 955  

Other comprehensive income (loss) before reclassification, net of taxes

   
216
   
   
(8

)
 
208
 

Amounts reclassified from other comprehensive income (loss), net of taxes

    (16 )       41     25  
                   

Net current period other comprensive income, net of taxes

    200         33     233  
                   

Ending balance March 31, 2012, net of taxes

  $ 6,410   $   $ (5,222 ) $ 1,188  
                   

(1)
Amounts in parenthesis indicate debits.
Schedule of reclassifications out of AOCI into net income
 
  Amounts
Reclassified
from AOCI(1)
For the Three
Months Ended
March 31,
   
 
  Affected Line Item Where
Net Income is Presented
Details About AOCI Components
  2013   2012
 
  (Dollars in
thousands)

   

Unrealized gains on available-for-sale securities and I/O strips

  $ 31   $ 27   Realized gains on sale of securities

 

    (13 )   (11 ) Income tax expense
             

 

    18     16   Net of tax
             

Amortization of unrealized gain on securities available-for-sale that were reclassified to securities held-to-maturity

    14       Interest income on taxable securities

 

    (6 )     Income tax expense
             

 

    8       Net of tax
             

Amortization of defined benefit pension plan items(2)

               

Prior service cost

        (7 )  

Actuarial losses

    (71 )   (63 )  
             

 

    (71 )   (70 ) Income before income tax

 

    30     29   Income tax expense
             

 

    (41 )   (41 ) Net of tax
             

Total reclassification for the period

  $ (15 ) $ (25 )  
             

(1)
Amounts in parenthesis indicate debits.

(2)
This AOCI component is included in the computation of net periodic benefit cost (see Note 7—Benefit Plans).