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CONSOLIDATED STATEMENTS OF SHAREHOLDERS' EQUITY (USD $)
In Thousands
Total
Common Stock
Additional Capital
Retained Earnings
Accumulated Other Comprehensive Income/(Loss)
Treasury Stock
Comprehensive Income/(Loss)
Balance at Jun. 30, 2010$ 319,186$ 1,806$ 68,739$ 284,724$ (2,024)$ (34,059) 
Comprehensive income:       
Net income6,293  6,293  6,293
Change in net unrealized gains/(losses) on securities available for-sale2,091   2,091 2,091
Change in funded status of retirement plans178   178 178
Total comprehensive income/(loss)8,562     8,562
Treasury stock purchase (2,500 shares for three months ended 2010 and 23,000 shares for nine months ended 2010)(66)    (66) 
Balance at Sep. 30, 2010327,6821,80668,739291,017245(34,125) 
Balance at Dec. 31, 2009306,4831,80668,739277,357(7,904)(33,515) 
Comprehensive income:       
Net income19,692  19,692  19,692
Change in net unrealized gains/(losses) on securities available for-sale7,615   7,615 7,615
Change in funded status of retirement plans534   534 534
Total comprehensive income/(loss)27,841     27,841
Cash Dividends, $.47 and $.46 per share for the nine months ended 2011 and 2010, respectively(6,032)  (6,032)   
Treasury stock purchase (2,500 shares for three months ended 2010 and 23,000 shares for nine months ended 2010)(610)    (610) 
Balance at Sep. 30, 2010327,6821,80668,739291,017245(34,125) 
Balance at Dec. 31, 2010321,7171,80668,944293,319(9,369)(32,983) 
Comprehensive income:       
Net income27,034  27,034  27,034
Change in net unrealized gains/(losses) on securities available for-sale13,097   13,097 13,097
Change in funded status of retirement plans908   908 908
Total comprehensive income/(loss)41,039     41,039
Cash Dividends, $.47 and $.46 per share for the nine months ended 2011 and 2010, respectively(6,181)  (6,181)   
Balance at Sep. 30, 2011356,5751,80668,944314,1724,636(32,983) 
Balance at Jun. 30, 2011342,6651,80668,944304,358540(32,983) 
Comprehensive income:       
Net income9,814  9,814  9,814
Change in net unrealized gains/(losses) on securities available for-sale3,793   3,793 3,793
Change in funded status of retirement plans303   303 303
Total comprehensive income/(loss)13,910     13,910
Balance at Sep. 30, 2011$ 356,575$ 1,806$ 68,944$ 314,172$ 4,636$ (32,983)