0000726854-11-000033.txt : 20110808 0000726854-11-000033.hdr.sgml : 20110808 20110808165146 ACCESSION NUMBER: 0000726854-11-000033 CONFORMED SUBMISSION TYPE: 8-K PUBLIC DOCUMENT COUNT: 4 CONFORMED PERIOD OF REPORT: 20110808 ITEM INFORMATION: Results of Operations and Financial Condition ITEM INFORMATION: Financial Statements and Exhibits FILED AS OF DATE: 20110808 DATE AS OF CHANGE: 20110808 FILER: COMPANY DATA: COMPANY CONFORMED NAME: CITY HOLDING CO CENTRAL INDEX KEY: 0000726854 STANDARD INDUSTRIAL CLASSIFICATION: NATIONAL COMMERCIAL BANKS [6021] IRS NUMBER: 550619957 STATE OF INCORPORATION: WV FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 8-K SEC ACT: 1934 Act SEC FILE NUMBER: 000-11733 FILM NUMBER: 111017778 BUSINESS ADDRESS: STREET 1: 25 GATEWATER ROAD STREET 2: P O BOX 7520 CITY: CHARLESTON STATE: WV ZIP: 25313 BUSINESS PHONE: 3047691100 MAIL ADDRESS: STREET 1: 25 GATEWATER ROAD STREET 2: P O BOX 7520 CITY: CHARLESTON STATE: WV ZIP: 25313 8-K 1 form8-k.htm CHCO FORM 8-K, 2ND QUARTER 2011 EARNINGS RELEASE form8-k.htm


 
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C., 20549
 
 
FORM 8-K
 
 
CURRENT REPORT
Pursuant to Section 13 or 15(d) of
the Securities Exchange Act of 1934
 
Date of Report (Date of Earliest Event Reported)
August 8, 2011

CHCO logo
CITY HOLDING COMPANY
(Exact Name of Registrant as Specified in its Charter)

Commission File Number: 0-11733

West Virginia
55-0619957
(State or Other Jurisdiction of
(I.R.S. Employer
Incorporation or Organization)
Identification No.)
 
25 Gatewater Road, Cross Lanes, WV 25313
(Address of Principal Executive Offices, Including Zip Code)
 
304-769-1100
(Registrant’s Telephone Number, Including Area Code)

 
Check the appropriate box below if the Form 8-K filing is intended to simultaneously satisfy the filing obligation of the registrant under any of the following provisions (see General Instruction A.2. below):
 
¨
Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425)
¨
Soliciting material pursuant to Rule 14a-12(b) under the Exchange Act (17 CFR 240.14a-12(b))
¨
Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b))
¨
Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17CFR240.13e-4(c))


 
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Section 2 - Financial Information

Item 2.02 Results of Operations and Financial Condition.

On August 8, 2011, City Holding Company (“the Company”) issued a news release, attached as Exhibit 99.1, announcing the Company’s earnings results for the second quarter ended June 30, 2011. Furnished as Exhibit 99.1 and incorporated herein by reference is the news release issued by the Company.

Section 9 - Financial Statements and Exhibits

Item 9.01 Financial Statements and Exhibits.

(c) Exhibits

99.1
News Release issued August 8, 2011

Signatures

Pursuant to the requirements of the Securities and Exchange Act of 1934, the Registrant has duly caused this Report to be signed on its behalf by the Undersigned hereunto duly authorized.


Dated: August 8, 2011
City Holding Company
   
   
By: 
/s/ David L. Bumgarner
 
David L. Bumgarner
 
Chief Financial Officer
 



 
-2-
 

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MKC6(F"[5;>V[+_#J_&[]K'XZ:QK2> M#_[M(7X9ZCXSL_$.M:>GBS5(]0U'5K591:RWFI1W2W5P MD0N)MD$DK0KO.$I>WI)M^8O8UN6Q\G6L6F:W-^SGX M2^'J64,(C\Z^U:WM[76';;_RT>&35)F/\3Y]:^5/VY?@IHW[.?\`P3I_83^. M?P=E\-ZWX_\`^";'Q/\`!-WX_O?"=Y#-B]=+.'Q!;W30D[99-2CTOS4D^8(< M/7]!/[2'[,WP6_:T^&S?"3X]>$3XU\`-XAL-4?1(];NM.;[99ONA;SK:5)`/ MFD1E5OF5V%?E1XI_9T_:Y^*GC/XU_L&V/P5\"_!7_@GCJ_C/0_[-^)VBZEIR MI%\/;>PLFNO#^@:1#'YJ:A>ZA;W;S7URS>1YTK*N\1,\TJJ:PBBV74:?Z0V6BB>;:'WLC_Z(7[7W[-'P(_:C^"?BCP'\??AI MX?\`B5X8LM/N=1TNTUGS8I[&_AA?R[FTNH72:VE`++OA=&*LRDE6(/\`)#_P M39_X)Y_L<_%[]JWQ#X1^)7P7L?%WAGPS<7-QI&B:IXOU;[.LD*%XQ*JW8\Y- MP&4EWJP&&!'%?TKP9Q3D>/\`#NKA,50?)1BU*UO>3UNM59_KJ?ROQWPCGN6^ M(L,=A<0E.K+FC>_NM65GH[K]-+&!_P`$O?V//BW_`,%8_P!NCQK_`,%&_P!J MGP[-;_!33OB3_;HM[BW>.Q\1Z[9LB:7HMEOYDT_3TM[5)7^966W2%MS22LG] MT"C"X7DKTKG?"?A?PUX+\-Z+X4\'^']$\*>%_#VFI::!X;\.:7'8V%C:QC;' M#!;Q*J1QJH`"J``.@KH5X(4=,=*_$.+.)ZW$N/4N7DI4THP@MHQ7Z]_^`?NW M!G"E'AC+FE+GJU7SU)O>4G^G8EHHHKYD^R"BBB@`HHHH`****`"BBB@`HHHH '`****`/_V3\_ ` end EX-99.1 3 ex99-1.htm EXHIBIT 99.1, PRESS RELEASE ex99-1.htm
Exhibit 99,1


NEWS RELEASE


For Immediate Release
August 8, 2011

For Further Information Contact:
Charles R. Hageboeck, Chief Executive Officer and President
(304) 769-1102

City Holding Company Announces Second Quarter Results

Charleston, West Virginia – City Holding Company, “the Company” (NASDAQ:CHCO), a $2.7 billion bank holding company headquartered in Charleston, today announced net income per diluted share for the second quarter of $0.64 compared to $0.68 per diluted share in the second quarter of 2010.  Net income for the second quarter of 2011 was $9.8 million compared to $10.7 million in the second quarter of 2010 and $9.6 million in the first quarter of 2011.  For the second quarter of 2011, the Company achieved a return on assets of 1.45%, a return on tangible equity of 15.2%, a net interest margin of 3.78%, and an efficiency ratio of 63.5%.  For the first six months of 2011, the Company achieved a return on assets of 1.44%, a return on tangible equity of 14.9%, a net interest margin of 3.86%, and an efficiency ratio of 59.6%.

City’s CEO Charles Hageboeck stated that, “City’s results for the second quarter of 2011 are down slightly from the second quarter of 2010 due to the impact of lower interest income from our interest rate floors ($1.0 million) and nonrecurring interest income of $1.1 million related to a change in estimate associated with our previously securitized loans in the second quarter of 2010.  While interest rates remain abnormally low and the economic recovery is murky, our results are favorable compared to our peers.  Loans increased $28 million, or 1.5%, from March 31, 2011 and our asset quality continues to be strong with stable and relatively low levels of past due loans and our nonperforming assets decreased slightly from the first quarter. Reflecting the Company’s success at anticipating credit challenges, net charge-offs for the quarter were only $0.8 million.”


“City’s financial position remains strong and healthy.  Our balance sheet is positioned to benefit from future interest rate increases; we have stable core deposits; and we have strong capital and liquidity.  Based upon our profitability, capital, and asset quality, City was recently recognized by Bank Director magazine as the third best performing bank among the largest 150 public banks in the U.S.,” Hageboeck concluded.

City Holding Company is the parent company of City National Bank of West Virginia.  City National operates 68 branches across West Virginia, Eastern Kentucky and Southern Ohio.

 
 

 
Forward-Looking Information

This news release contains certain forward-looking statements that are included pursuant to the safe harbor provisions of the Private Securities Litigation Reform Act of 1995.  Such information involves risks and uncertainties that could result in the Company's actual results differing from those projected in the forward-looking statements. Important factors that could cause actual results to differ materially from those discussed in such forward-looking statements include, but are not limited to, (1) the Company may incur additional loan loss provision due to negative credit quality trends in the future that may lead to a deterioration of asset quality; (2) the Company may incur increased charge-offs in the future; (3) the Company may experience increases in the default rates on previously securitized loans that would result in impairment losses or lower the yield on such loans;(4)  the Company could have adverse legal actions of a material nature; (5) the Company may face competitive loss of customers; (6) the Company may be unable to manage its expense levels; (7) the Company may have difficulty retaining key employees; (8) changes in the interest rate environment may have results on the Company’s operations materially different from those anticipated by the Company’s market risk management functions; (9) changes in general economic conditions and increased competition could adversely affect the Company’s operating results; (10) changes in other regulations and government policies affecting bank holding companies and their subsidiaries, including changes in monetary policies, could negatively impact the Company’s operating results; (11) the Company may experience difficulties growing loan and deposit balances; (12) the current economic environment poses significant challenges for us and could adversely affect our  financial condition and results of operations; (13) continued deterioration in the financial condition of the U.S. banking system may impact the valuations of investments the Company has made in the securities of other financial institutions resulting in either actual losses or other than temporary impairments on such investments; and (14) the effects of the Wall Street Reform and Consumer Protection Act (the “Dodd-Frank Act”) recently adopted by the United States Congress. Forward-looking statements made herein reflect management’s expectations as of the date such statements are made.  Forward-looking statements made herein reflect management's expectations as of the date such statements are made. Such information is provided to assist stockholders and potential investors in understanding current and anticipated financial operations of the Company and is included pursuant to the safe harbor provisions of the Private Securities Litigation Reform Act of 1995. The Company undertakes no obligation to update any forward-looking statement to reflect events or circumstances that arise after the date such statements are made.


 
 

 

CITY HOLDING COMPANY AND SUBSIDIARIES
                 
Financial Highlights
                 
(Unaudited)
                 
                   
                   
   
Three Months Ended June 30,
   
Percent
 
   
2011
   
2010
   
Change
 
                   
Earnings ($000s, except per share data):
                 
Net Interest Income (FTE)
  $ 22,760     $ 24,925       (8.69 )%
Net Income available to common shareholders
    9,830       10,715       (8.26 )%
Earnings per Basic Share
    0.65       0.68       (5.07 )%
Earnings per Diluted Share
    0.64       0.68       (5.13 )%
                         
                         
Key Ratios (percent):
                       
Return on Average Assets
    1.45 %     1.60 %     (9.82 )%
Return on Average Tangible Equity
    15.21 %     16.65 %     (8.69 )%
Net Interest Margin
    3.78 %     4.22 %     (10.56 )%
Efficiency Ratio
    63.49 %     52.00 %     22.10 %
Average Shareholders' Equity to Average Assets
    11.59 %     11.76 %     (1.45 )%
                         
Consolidated Risk Based Capital Ratios (a):
                       
Tier I
    13.42 %     13.46 %     (0.30 )%
Total
    14.37 %     14.45 %     (0.55 )%
                         
Tangible Equity to Tangible Assets
    9.56 %     9.90 %     (3.50 )%
                         
                         
Common Stock Data:
                       
Cash Dividends Declared per Share
  $ 0.34     $ 0.34       -  
Book Value per Share
    20.58       20.02       2.75 %
Tangible Book Value per Share
    16.84       16.39       2.76 %
Market Value per Share:
                       
High
    36.37       37.28       (2.44 )%
Low
    30.55       27.88       9.58 %
End of Period
    33.03       27.88       18.47 %
                         
Price/Earnings Ratio (b)
    12.79       10.25       24.80 %
                         
   
Six Months Ended June 30,
   
Percent
 
      2011       2010    
Change
 
                         
Earnings ($000s, except per share data):
                       
Net Interest Income (FTE)
  $ 45,823     $ 48,670       (5.85 )%
Net Income available to common shareholders
    19,445       20,028       (2.91 )%
Earnings per Basic Share
    1.27       1.27       0.04 %
Earnings per Diluted Share
    1.26       1.26       (0.07 )%
                         
                         
Key Ratios (percent):
                       
Return on Average Assets
    1.44 %     1.51 %     (4.50 )%
Return on Average Tangible Equity
    14.94 %     15.61 %     (4.33 )%
Net Interest Margin
    3.86 %     4.18 %     (7.67 )%
Efficiency Ratio
    59.61 %     53.42 %     11.60 %
Average Shareholders' Equity to Average Assets
    11.75 %     11.81 %     (0.58 )%
                         
                         
Common Stock Data:
                       
Cash Dividends Declared per Share
  $ 0.68     $ 0.68       -  
Market Value per Share:
                       
High
    37.22       37.28       (0.16 )%
Low
    30.55       27.88       9.58 %
                         
Price/Earnings Ratio (b)
    13.04       11.01       18.42 %
                         
                         
(a) June 30, 2011 risk-based capital ratios are estimated
                 
(b) June 30, 2011 price/earnings ratio computed based on annualized second quarter 2011 earnings
         
                         
 
 
 
 

 
 
CITY HOLDING COMPANY AND SUBSIDIARIES
                         
Financial Highlights
                               
(Unaudited)
                                   
                                     
                                     
                                     
Book Value and Market Price Range per Share
                         
                           
Market Price
 
   
Book Value per Share
   
Range per Share
 
   
March 31
   
June 30
   
September 30
   
December 31
   
Low
   
High
 
                                     
2007
  $ 17.62     $ 17.40     $ 17.68     $ 18.14     $ 31.16     $ 41.54  
2008
    18.92       18.72       17.61       17.58       29.08       42.88  
2009
    17.69       18.24       18.95       19.37       20.88       34.34  
2010
    19.71       20.02       20.31       20.31       26.87       38.03  
2011
    20.39       20.58                       30.55       37.22  
                                                 
                                                 
Earnings per Basic Share
                                         
                                                 
   
Quarter Ended
         
   
March 31
   
June 30
   
September 30
   
December 31
   
Year-to-Date
         
                                                 
2007
  $ 0.76     $ 0.72     $ 0.76     $ 0.78     $ 3.02          
2008
    0.81       0.83       (0.16 )     0.26       1.74          
2009
    0.69       0.64       0.66       0.70       2.69          
2010
    0.59       0.68       0.58       0.64       2.48          
2011
    0.62       0.65                       1.27          
                                                 
                                                 
Earnings per Diluted Share
                                         
                                                 
   
Quarter Ended
         
   
March 31
   
June 30
   
September 30
   
December 31
   
Year-to-Date
         
                                                 
2007
  $ 0.76     $ 0.72     $ 0.76     $ 0.78     $ 3.01          
2008
    0.80       0.83       (0.16 )     0.26       1.74          
2009
    0.69       0.64       0.66       0.70       2.68          
2010
    0.58       0.68       0.58       0.64       2.47          
2011
    0.62       0.64                       1.26          
                                                 
 
 
 
 

 
 
CITY HOLDING COMPANY AND SUBSIDIARIES
           
Consolidated Statements of Income
           
(Unaudited) ($ in 000s, except per share data)
           
             
   
Three Months Ended June 30,
 
   
2011
   
2010
 
             
Interest Income
           
Interest and fees on loans
  $ 23,352     $ 25,991  
Interest on investment securities:
               
Taxable
    4,513       5,317  
Tax-exempt
    445       461  
Interest on federal funds sold
    13       1  
Total Interest Income
    28,323       31,770  
                 
Interest Expense
               
Interest on deposits
    5,568       6,831  
Interest on short-term borrowings
    77       98  
Interest on long-term debt
    158       163  
Total Interest Expense
    5,803       7,092  
Net Interest Income
    22,520       24,678  
Provision for loan losses
    1,286       1,823  
Net Interest Income After Provision for Loan Losses
    21,234       22,855  
                 
Non-Interest Income
               
Total investment securities impairment losses
    -       (1,237 )
Noncredit impairment losses recognized in other comprehensive income
    -       944  
   Net investment securities impairment losses
    -       (293 )
Gains on sale of investment securities
    3,128       62  
   Net investment securities gains (losses)
    3,128       (231 )
                 
Service charges
    9,855       10,448  
Insurance commissions
    1,504       1,244  
Trust and investment management fee income
    730       567  
Bank owned life insurance
    745       813  
Other income
    575       437  
Total Non-Interest Income
    16,537       13,278  
                 
Non-Interest Expense
               
Salaries and employee benefits
    10,183       9,745  
Occupancy and equipment
    1,921       1,874  
Depreciation
    1,140       1,174  
FDIC insurance expense
    932       918  
Advertising
    628       1,241  
Bankcard expenses
    633       448  
Postage, delivery, and statement mailings
    510       615  
Office supplies
    452       484  
Legal and professional fees
    3,511       398  
Telecommunications
    417       440  
Repossessed asset (gains)/losses, net of expenses
    (7 )     78  
Other expenses
    2,592       2,550  
Total Non-Interest Expense
    22,912       19,965  
Income Before Income Taxes
    14,859       16,168  
Income tax expense
    5,029       5,453  
Net Income Available to Common Shareholders
  $ 9,830     $ 10,715  
                 
                 
Distributed earnings allocated to common shareholders
  $ 5,092     $ 5,274  
                 
Undistributed earnings allocated to common shareholders
    4,669       5,373  
                 
Net earnings allocated to common shareholders
  $ 9,761     $ 10,647  
                 
Average common shares outstanding
    15,120       15,656  
                 
Effect of dilutive securities:
               
Employee stock options
    73       65  
                 
Shares for diluted earnings per share
    15,193       15,721  
                 
Basic earnings per common share
  $ 0.65     $ 0.68  
Diluted earnings per common share
  $ 0.64     $ 0.68  
                 
 
 
 
 

 
 
CITY HOLDING COMPANY AND SUBSIDIARIES
           
Consolidated Statements of Income
           
(Unaudited) ($ in 000s, except per share data)
           
             
   
Six months ended June 30,
 
   
2011
   
2010
 
             
Interest Income
           
Interest and fees on loans
  $ 47,090     $ 50,845  
Interest on investment securities:
               
Taxable
    9,055       10,928  
Tax-exempt
    907       931  
Interest on federal funds sold
    26       1  
Total Interest Income
    57,078       62,705  
                 
Interest Expense
               
Interest on deposits
    11,279       14,015  
Interest on short-term borrowings
    149       198  
Interest on long-term debt
    315       323  
Total Interest Expense
    11,743       14,536  
Net Interest Income
    45,335       48,169  
Provision for loan losses
    2,372       2,903  
Net Interest Income After Provision for Loan Losses
    42,963       45,266  
                 
Non-Interest Income
               
Total investment securities impairment losses
    -       (4,440 )
Noncredit impairment losses recognized in other comprehensive income
    -       2,496  
   Net investment securities impairment losses
    -       (1,944 )
Gains on sale of investment securities
    3,128       62  
   Net investment securities gains (losses)
    3,128       (1,882 )
                 
Service charges
    18,909       20,676  
Insurance commissions
    3,125       2,641  
Trust and investment management fee income
    1,483       1,429  
Bank owned life insurance
    1,503       1,541  
Other income
    1,051       985  
Total Non-Interest Income
    29,199       25,390  
                 
Non-Interest Expense
               
Salaries and employee benefits
    20,095       19,494  
Occupancy and equipment
    4,027       3,919  
Depreciation
    2,276       2,392  
FDIC insurance expense
    1,884       1,813  
Advertising
    1,308       2,154  
Bankcard expenses
    1,134       924  
Postage, delivery, and statement mailings
    1,064       1,224  
Office supplies
    991       977  
Legal and professional fees
    3,980       761  
Telecommunications
    846       891  
Repossessed asset losses, net of expenses
    191       1,024  
Other expenses
    4,974       4,943  
Total Non-Interest Expense
    42,770       40,516  
Income Before Income Taxes
    29,392       30,140  
Income tax expense
    9,947       10,112  
Net Income Available to Common Shareholders
  $ 19,445     $ 20,028  
                 
                 
Distributed earnings allocated to common shareholders
  $ 10,184     $ 10,549  
                 
Undistributed earnings allocated to common shareholders
    9,123       9,355  
                 
Net earnings allocated to common shareholders
  $ 19,307     $ 19,904  
                 
Average common shares outstanding
    15,244       15,722  
                 
Effect of dilutive securities:
               
Employee stock options
    78       63  
                 
Shares for diluted earnings per share
    15,322       15,785  
                 
Basic earnings per common share
  $ 1.27     $ 1.27  
Diluted earnings per common share
  $ 1.26     $ 1.26  
                 
 
 
 
 

 
 
CITY HOLDING COMPANY AND SUBSIDIARIES
           
Consolidated Statements of Changes in Stockholders' Equity
           
(Unaudited) ($ in 000s)
           
             
             
   
Three Months Ended
 
   
June 30, 2011
   
June 30, 2010
 
             
Balance at April 1
  $ 311,122     $ 312,835  
                 
Net income
    9,830       10,715  
Other comprehensive income:
               
Change in unrealized gain on securities available-for-sale
    165       2,106  
Change in unrealized (loss) on interest rate floors
    (99 )     (826 )
Cash dividends declared ($0.34/share)
    (5,129 )     (5,312 )
Issuance of stock award shares, net
    202       119  
Exercise of 1,500 stock options
    -       43  
Purchase of 176,779 common shares of treasury
    (5,712 )     -  
Purchase of 213,000 common shares of treasury
    -       (7,105 )
Balance at June 30
  $ 310,379     $ 312,575  
                 
                 
                 
   
Six Months Ended
 
   
June 30, 2011
   
June 30, 2010
 
                 
Balance at January 1
  $ 314,861     $ 308,902  
                 
Net income
    19,445       20,028  
Other comprehensive income:
               
Change in unrealized gain on securities available-for-sale
    954       5,242  
Change in unrealized (loss) on interest rate floors
    (295 )     (1,738 )
Cash dividends declared ($0.68/share)
    (10,319 )     (10,685 )
Issuance of stock award shares, net
    665       490  
Exercise of 5,476 stock options
    153       -  
Exercise of 1,700 stock options
    -       46  
Purchase of 447,524 common shares of treasury
    (15,085 )     -  
Purchase of 297,015 common shares of treasury
    -       (9,710 )
Balance at June 30
  $ 310,379     $ 312,575  
                 
 
 
 
 

 
 
CITY HOLDING COMPANY AND SUBSIDIARIES
                             
Condensed Consolidated Quarterly Statements of Income
                         
(Unaudited) ($ in 000s, except per share data)
                             
                               
   
Quarter Ended
 
   
June 30
   
March 31
   
December 31
   
September 30
   
June 30
 
   
2011
   
2011
   
2010
   
2010
   
2010
 
                               
Interest income
  $ 28,323     $ 28,754     $ 29,241     $ 29,970     $ 31,770  
Taxable equivalent adjustment
    240       248       244       244       246  
Interest income (FTE)
    28,563       29,002       29,485       30,214       32,016  
Interest expense
    5,803       5,940       6,283       6,810       7,092  
Net interest income
    22,760       23,062       23,202       23,404       24,924  
Provision for loan losses
    1,286       1,086       2,343       1,847       1,823  
Net interest income after provision
                                       
for loan losses
    21,474       21,976       20,859       21,557       23,101  
                                         
Noninterest income
    16,537       12,662       11,905       11,643       13,278  
Noninterest expense
    22,912       19,858       18,400       19,804       19,965  
Income before income taxes
    15,099       14,780       14,364       13,396       16,414  
Income tax expense
    5,029       4,918       4,212       4,129       5,453  
Taxable equivalent adjustment
    240       248       244       244       246  
Net income available to common shareholders
  $ 9,830     $ 9,614     $ 9,908     $ 9,023     $ 10,715  
                                         
                                         
                                         
Distributed earnings allocated to common shareholders
  $ 5,092     $ 5,154     $ 5,239     $ 5,237     $ 5,274  
Undistributed earnings allocated to common shareholders
    4,669       4,392       4,610       3,733       5,373  
Net earnings allocated to common shareholders
  $ 9,761     $ 9,546     $ 9,849     $ 8,970     $ 10,647  
                                         
Average common shares outstanding
    15,120       15,380       15,439       15,496       15,656  
                                         
Effect of dilutive securities:
                                       
Employee stock options
    73       82       69       56       65  
                                         
Shares for diluted earnings per share
    15,193       15,462       15,508       15,552       15,721  
                                         
Basic earnings per common share
  $ 0.65     $ 0.62     $ 0.64     $ 0.58     $ 0.68  
Diluted earnings per common share
    0.64       0.62       0.64       0.58       0.68  
                                         
Cash dividends declared per share
    0.34       0.34       0.34       0.34       0.34  
                                         
                                         
Net Interest Margin
    3.78 %     3.95 %     3.92 %     3.94 %     4.22 %
                                         
 
 
 
 

 
 
CITY HOLDING COMPANY AND SUBSIDIARIES
                             
Non-Interest Income and Non-Interest Expense
                             
(Unaudited) ($ in 000s)
                             
                               
   
Quarter Ended
 
   
June 30
   
March 31
   
December 31
   
September 30
   
June 30
 
   
2011
   
2011
   
2010
   
2010
   
2010
 
                               
Non-Interest Income:
                             
Service charges
  $ 9,855     $ 9,054     $ 9,624     $ 9,702     $ 10,448  
Insurance commissions
    1,504       1,621       1,503       1,346       1,244  
Trust and investment management fee income
    730       753       720       618       567  
Bank owned life insurance
    745       758       751       1,104       813  
Other income
    575       476       527       439       437  
Subtotal
    13,409       12,662       13,125       13,209       13,509  
Total investment securities impairment losses
    -       -       (1,932 )     (3,028 )     (1,237 )
Noncredit impairment losses recognized in other
                                       
comprehensive income
    -       -       713       127       944  
Net investment securities impairment losses
    -       -       (1,219 )     (2,901 )     (293 )
Gain (loss) on sale of investment securities
    3,128       -       (1 )     1,335       62  
Total Non-Interest Income
  $ 16,537     $ 12,662     $ 11,905     $ 11,643     $ 13,278  
                                         
Non-Interest Expense:
                                       
Salaries and employee benefits
  $ 10,183     $ 9,912     $ 8,930     $ 9,817     $ 9,745  
Occupancy and equipment
    1,921       2,106       1,861       1,917       1,874  
Depreciation
    1,140       1,136       1,138       1,145       1,174  
FDIC insurance expense
    932       952       958       963       918  
Advertising
    628       680       647       891       1,241  
Bankcard expenses
    633       501       548       481       448  
Postage, delivery and statement mailings
    510       554       548       599       615  
Office supplies
    452       539       457       497       484  
Legal and professional fees
    3,511       456       502       414       398  
Telecommunications
    417       429       428       413       440  
Repossessed asset (gains) losses, net of expenses
    (7 )     198       196       234       78  
Other expenses
    2,592       2,382       2,187       2,433       2,550  
Total Non-Interest Expense
  $ 22,912     $ 19,858     $ 18,400     $ 19,804     $ 19,965  
                                         
                                         
                                         
                                         
Employees (Full Time Equivalent)
    795       796       805       801       812  
Branch Locations
    68       68       68       68       67  
                                         
 
 
 
 

 
 
CITY HOLDING COMPANY AND SUBSIDIARIES
           
Consolidated Balance Sheets
           
($ in 000s)
           
   
June 30
   
December 31
 
   
2011
   
2010
 
   
(Unaudited)
       
Assets
           
Cash and due from banks
  $ 59,020     $ 50,043  
Interest-bearing deposits in depository institutions
    6,825       5,336  
Federal funds sold
    35,000       11,000  
Cash and cash equivalents
    100,845       66,379  
                 
Investment securities available-for-sale, at fair value
    440,889       429,720  
Investment securities held-to-maturity, at amortized cost
    23,883       23,865  
Total investment securities
    464,772       453,585  
                 
Gross loans
    1,897,344       1,865,000  
Allowance for loan losses
    (18,944 )     (18,224 )
Net loans
    1,878,400       1,846,776  
                 
Bank owned life insurance
    77,705       76,231  
Premises and equipment, net
    64,403       64,530  
Accrued interest receivable
    7,704       7,264  
Net deferred tax assets
    29,937       29,235  
Intangible assets
    56,368       56,573  
Other assets
    33,686       36,722  
Total Assets
  $ 2,713,820     $ 2,637,295  
                 
Liabilities
               
Deposits:
               
Noninterest-bearing
  $ 353,495     $ 337,927  
Interest-bearing:
               
Demand deposits
    510,985       486,737  
Savings deposits
    421,134       397,042  
Time deposits
    949,007       949,669  
Total deposits
    2,234,621       2,171,375  
Short-term borrowings
    127,199       112,710  
Long-term debt
    16,495       16,495  
Other liabilities
    25,126       21,854  
Total Liabilities
    2,403,441       2,322,434  
                 
Stockholders' Equity
               
Preferred stock, par value $25 per share: 500,000 shares authorized; none issued
    -       -  
Common stock, par value $2.50 per share: 50,000,000 shares authorized;
               
    18,499,282 shares issued at June 30, 2011 and December 31, 2010
               
    less 3,414,116 and 2,994,501 shares in treasury, respectively
    46,249       46,249  
Capital surplus
    102,938       103,057  
Retained earnings
    280,031       270,905  
Cost of common stock in treasury
    (117,001 )     (102,853 )
Accumulated other comprehensive loss:
               
Unrealized gain on securities available-for-sale
    1,976       1,022  
Unrealized gain on derivative instruments
    -       295  
Underfunded pension liability
    (3,814 )     (3,814 )
Total Accumulated Other Comprehensive Loss
    (1,838 )     (2,497 )
Total Stockholders' Equity
    310,379       314,861  
Total Liabilities and Stockholders' Equity
  $ 2,713,820     $ 2,637,295  
                 
 
 
 
 

 
 
CITY HOLDING COMPANY AND SUBSIDIARIES
                   
Investment Portfolio
                       
(Unaudited) ($ in 000s)
                       
                         
   
Original Cost
   
Credit-Related Net Investment Impairment Losses through June 30, 2011
   
Unrealized Gains (Losses)
   
Carrying Value
 
                         
Mortgage Backed Securities
  $ 238,275     $ -     $ 7,138     $ 245,413  
Municipal Bonds
    58,656       -       913       59,569  
Pooled Bank Trust Preferreds
    26,656       (19,241 )     (4,599 )     2,816  
Single Issuer Bank Trust Preferreds,
                               
Subdebt of Financial Institutions, and
                               
Bank Holding Company Preferred Stocks
    86,414       (1,653 )     (197 )     84,564  
Money Markets and Mutual Funds
    55,289       -       8       55,297  
Federal Reserve Bank and FHLB stock
    11,985       -       -       11,985  
Community Bank Equity Positions
    10,348       (5,130 )     (91 )     5,128  
Total Investments
  $ 487,623     $ (26,024 )   $ 3,173     $ 464,772  
 
 
 
 

 
 
CITY HOLDING COMPANY AND SUBSIDIARIES
                         
Loan Portfolio
                             
(Unaudited) ($ in 000s)
                             
                               
   
June 30
   
March 31
   
December 31
   
September 30
   
June 30
 
   
2011
   
2011
   
2010
   
2010
   
2010
 
                               
Residential real estate (1)
  $ 622,118     $ 615,635     $ 610,369     $ 605,351     $ 605,026  
Home equity
    420,752       415,719       416,172       411,481       404,789  
Commercial and industrial
    121,149       129,475       134,612       135,407       140,406  
Commercial real estate (2)
    693,959       668,710       661,758       629,924       637,708  
Consumer
    36,626       37,482       38,424       39,879       40,447  
DDA overdrafts
    2,415       1,970       2,876       2,528       3,412  
Previously securitized loans
    325       533       789       1,268       1,784  
Gross Loans
  $ 1,897,344     $ 1,869,524     $ 1,865,000     $ 1,825,838     $ 1,833,572  
                                         
                                         
                                         
(1) - Included in residential real estate loans are $6.9 million and $9.4 million of construction loans at June 30, 2011 and March 31, 2011.
 
                                         
(2) - Included in commercial real estate loans are $23.4 million and $24.3 million of construction loans at June 30, 2011 and March 31, 2011.
 
                                         
                                         
                                         
 
 
 
 

 
 
CITY HOLDING COMPANY AND SUBSIDIARIES
                               
Consolidated Average Balance Sheets, Yields, and Rates
                               
(Unaudited) ($ in 000s)
                                   
                                     
   
Three Months Ended June 30,
 
 
 
 
   
2011
   
 
   
 
   
2010
   
 
 
 
 
Average
   
 
   
Yield/
   
Average
   
 
   
Yield/
 
   
Balance
   
Interest
   
Rate
   
Balance
   
Interest
   
Rate
 
   
 
   
 
   
 
   
 
   
 
   
 
 
Assets:
                                   
Loan portfolio (1):
                                   
Residential real estate
  $ 613,463     $ 7,342       4.80 %   $ 596,474     $ 7,885       5.30 %
Home equity (2)
    418,305       4,965       4.76 %     401,757       5,316       5.31 %
Commercial, financial, and agriculture (3)
    797,909       9,440       4.75 %     771,234       10,018       5.21 %
Installment loans to individuals (4)
    46,427       852       7.36 %     51,442       1,015       7.91 %
Previously securitized loans
    426       753       708.98 %     915       1,757       770.20 %
Total loans
    1,876,530       23,352       4.99 %     1,821,822       25,991       5.72 %
Securities:
                                               
Taxable
    449,006       4,513       4.03 %     487,604       5,317       4.37 %
Tax-exempt (5)
    48,351       685       5.68 %     49,501       708       5.74 %
Total securities
    497,357       5,198       4.19 %     537,105       6,025       4.50 %
Deposits in depository institutions
    7,298       -       -       6,110       -       -  
Federal funds sold
    35,000       13       0.15 %     1,445       1       0.28 %
Total interest-earning assets
    2,416,185       28,563       4.74 %     2,366,482       32,017       5.43 %
Cash and due from banks
    52,867                       53,556                  
Bank premises and equipment
    64,432                       64,486                  
Other assets
    203,262                       206,809                  
Less:  Allowance for loan losses
    (18,797 )                     (19,520 )                
       Total assets
  $ 2,717,949                     $ 2,671,813                  
                                                 
Liabilities:
                                               
Interest-bearing demand deposits
    489,876       243       0.20 %     464,306       342       0.30 %
Savings deposits
    417,453       273       0.26 %     391,407       259       0.27 %
Time deposits
    960,187       5,052       2.11 %     991,902       6,230       2.52 %
Short-term borrowings
    120,139       77       0.26 %     110,954       98       0.35 %
Long-term debt
    16,495       158       3.84 %     16,925       163       3.86 %
   Total interest-bearing liabilities
    2,004,150       5,803       1.16 %     1,975,494       7,092       1.44 %
Noninterest-bearing demand deposits
    379,129                       362,363                  
Other liabilities
    19,707                       19,792                  
Stockholders' equity
    314,963                       314,164                  
Total liabilities and
                                               
stockholders' equity
  $ 2,717,949                     $ 2,671,813                  
Net interest income
          $ 22,760                     $ 24,925          
Net yield on earning assets
                    3.78 %                     4.22 %
                                                 
                                                 
(1) For purposes of this table, non-accruing loans have been included in average balances and loan fees, which are immaterial, have been included in interest income.
 
(2) Interest income includes $154 and $647 from interest rate floors for the three months ended June 30, 2011 and June 30, 2010, respectively.
 
(3) Includes the Company’s commercial and industrial and commercial real estate loan categories. Interest income includes $242 and $694 from interest rate floors for the three months ended June 30, 2011 and June 30, 2010, respectively.
 
(4) Includes the Company’s consumer and DDA overdrafts loan categories.
 
(5) Computed on a fully federal tax-equivalent basis assuming a tax rate of approximately 35%.
 
 
 
 
 

 
 
CITY HOLDING COMPANY AND SUBSIDIARIES
                               
Consolidated Average Balance Sheets, Yields, and Rates
                               
(Unaudited) ($ in 000s)
                                   
                                     
   
Six Months Ended June 30,
 
 
 
 
   
2011
   
 
   
 
   
2010
   
 
 
 
 
Average
   
 
   
Yield/
   
Average
   
 
   
Yield/
 
   
Balance
   
Interest
   
Rate
   
Balance
   
Interest
   
Rate
 
   
 
   
 
   
 
   
 
   
 
   
 
 
Assets:
                                   
Loan portfolio:
                                   
Residential real estate
  $ 611,071     $ 14,812       4.89 %   $ 594,715     $ 15,779       5.35 %
Home equity
    416,495       10,039       4.86 %     399,735       10,674       5.38 %
Commercial, financial, and agriculture
    795,238       18,917       4.80 %     762,440       19,928       5.27 %
Installment loans to individuals
    45,841       1,664       7.32 %     49,492       1,928       7.86 %
Previously securitized loans
    541       1,658       618.02 %     1,177       2,536       434.50 %
Total loans
    1,869,186       47,090       5.08 %     1,807,559       50,845       5.67 %
Securities:
                                               
Taxable
    434,624       9,055       4.20 %     482,646       10,928       4.57 %
Tax-exempt
    49,532       1,395       5.68 %     49,567       1,432       5.83 %
Total securities
    484,156       10,450       4.35 %     532,213       12,360       4.68 %
Deposits in depository institutions
    7,976       -       -       5,446       -       -  
Federal funds sold
    30,913       26       0.17 %     727       1       0.28 %
Total interest-earning assets
    2,392,231       57,566       4.85 %     2,345,945       63,206       5.43 %
Cash and due from banks
    54,653                       54,094                  
Bank premises and equipment
    64,387                       64,302                  
Other assets
    203,875                       207,310                  
Less:  Allowance for loan losses
    (18,677 )                     (19,315 )                
       Total assets
  $ 2,696,469                     $ 2,652,336                  
                                                 
Liabilities:
                                               
Interest-bearing demand deposits
    487,553       487       0.20 %     460,658       692       0.30 %
Savings deposits
    409,818       530       0.26 %     386,680       540       0.28 %
Time deposits
    956,430       10,262       2.16 %     995,760       12,783       2.59 %
Short-term borrowings
    115,690       149       0.26 %     110,561       198       0.36 %
Long-term debt
    16,495       315       3.85 %     16,934       323       3.85 %
   Total interest-bearing liabilities
    1,985,986       11,743       1.19 %     1,970,593       14,536       1.49 %
Noninterest-bearing demand deposits
    374,270                       351,806                  
Other liabilities
    19,494                       16,588                  
Stockholders' equity
    316,719                       313,349                  
Total liabilities and
                                               
stockholders' equity
  $ 2,696,469                     $ 2,652,336                  
Net interest income
          $ 45,823                     $ 48,670          
Net yield on earning assets
                    3.86 %                     4.18 %
                                                 
                                                 
(1) For purposes of this table, non-accruing loans have been included in average balances and loan fees, which are immaterial, have been included in interest income.
 
(2) Interest income includes $632 and $1,368 from interest rate floors for the six months ended June 30, 2011 and June 30, 2010, respectively.
 
(3) Includes the Company’s commercial and industrial and commercial real estate loan categories. Interest income includes $488 and $1,453 from interest rate floors for the six months ended June 30, 2011 and June 30, 2010, respectively.
 
(4) Includes the Company’s consumer and DDA overdrafts loan categories.
 
(5) Computed on a fully federal tax-equivalent basis assuming a tax rate of approximately 35%.
 
 
 
 
 

 
 
CITY HOLDING COMPANY AND SUBSIDIARIES
                             
Analysis of Risk-Based Capital
                             
(Unaudited) ($ in 000s)
                             
                               
   
June 30
   
March 31
   
December 31
   
September 30
   
June 30
 
   
2011 (a)
   
2011
   
2010
   
2010
   
2010
 
                               
Tier I Capital:
                             
Stockholders' equity
  $ 310,379     $ 311,122     $ 314,861     $ 314,841     $ 312,575  
Goodwill and other intangibles
    (56,173 )     (56,276 )     (56,378 )     (56,487 )     (56,596 )
Accumulated other comprehensive loss (income)
    1,838       1,904       2,497       (2,498 )     (950 )
Qualifying trust preferred stock
    16,000       16,000       16,000       16,000       16,000  
Unrealized loss on AFS securities
    (82 )     (856 )     (521 )     (1,277 )     (3,668 )
Excess deferred tax assets
    (4,462 )     (4,174 )     (2,904 )     (2,915 )     (3,530 )
Total tier I capital
  $ 267,499     $ 267,720     $ 273,555     $ 267,664     $ 263,831  
                                         
                                         
Total Risk-Based Capital:
                                       
Tier I capital
  $ 267,499     $ 267,720     $ 273,555     $ 267,664     $ 263,831  
Qualifying allowance for loan losses
    18,944       18,414       18,224       18,364       19,456  
Total risk-based capital
  $ 286,443     $ 286,134     $ 291,779     $ 286,028     $ 283,287  
                                         
Net risk-weighted assets
  $ 1,993,003     $ 1,977,395     $ 1,970,635     $ 1,949,080     $ 1,952,076  
                                         
                                         
Ratios:
                                       
Average stockholders' equity to average assets
    11.59 %     11.91 %     12.09 %     11.90 %     11.76 %
Tangible capital ratio
    9.56 %     9.63 %     10.01 %     10.04 %     9.90 %
Risk-based capital ratios:
                                       
Tier I capital
    13.42 %     13.54 %     13.88 %     13.73 %     13.46 %
Total risk-based capital
    14.37 %     14.47 %     14.81 %     14.68 %     14.45 %
Leverage capital
    10.07 %     10.24 %     10.54 %     10.30 %     10.06 %
                                         
                                         
(a) June 30, 2011 risk-based capital ratios are estimated
                                 
                                         
                                         
                                         
                                         
CITY HOLDING COMPANY AND SUBSIDIARIES
                                       
Intangibles
                                       
(Unaudited) ($ in 000s)
                                       
                                         
   
As of and for the Quarter Ended
 
   
June 30
   
March 31
   
December 31
   
September 30
   
June 30
 
      2011       2011       2010       2010       2010  
                                         
Intangibles, net
  $ 56,368     $ 56,471     $ 56,573     $ 56,682     $ 56,791  
Intangibles amortization expense
    103       102       109       109       109  
                                         
 
 
 
 

 
 
CITY HOLDING COMPANY AND SUBSIDIARIES
                             
Summary of Loan Loss Experience
                             
(Unaudited) ($ in 000s)
                             
                               
   
Quarter Ended
 
   
June 30
   
March 31
   
December 31
   
September 30
   
June 30
 
   
2011
   
2011
   
2010
   
2010
   
2010
 
                               
Balance at beginning of period
  $ 18,414     $ 18,224     $ 18,364     $ 19,456     $ 18,836  
                                         
Charge-offs:
                                       
Commercial and industrial
    -       75       25       -       -  
Commercial real estate
    166       34       149       2,046       796  
Residential real estate
    377       550       511       457       399  
Home equity
    168       237       312       197       238  
Consumer
    14       44       38       43       20  
DDA overdrafts
    392       434       1,867       615       565  
Total charge-offs
    1,117       1,374       2,902       3,358       2,018  
                                         
Recoveries:
                                       
Commercial and industrial
    3       3       5       12       2  
Commercial real estate
    26       2       24       16       376  
Residential real estate
    12       6       12       12       37  
Home equity
    4       1       15       -       1  
Consumer
    11       38       37       29       53  
DDA overdrafts
    305       428       326       350       346  
Total recoveries
    361       478       419       419       815  
                                         
Net charge-offs
    756       896       2,483       2,939       1,203  
Provision for loan losses
    1,286       1,086       2,343       1,847       1,823  
Balance at end of period
  $ 18,944     $ 18,414     $ 18,224     $ 18,364     $ 19,456  
                                         
Loans outstanding
  $ 1,897,344     $ 1,869,524     $ 1,865,000     $ 1,825,838     $ 1,833,572  
Average loans outstanding
    1,876,530       1,861,760       1,837,687       1,829,119       1,821,822  
Allowance as a percent of loans outstanding
    1.00 %     0.98 %     0.98 %     1.01 %     1.06 %
Allowance as a percent of non-performing loans
    81.08 %     72.14 %     156.39 %     160.40 %     177.78 %
Net charge-offs (annualized) as a
                                       
percent of average loans outstanding
    0.16 %     0.19 %     0.54 %     0.64 %     0.26 %
Net charge-offs, excluding overdraft deposit
                                       
accounts, (annualized) as a percent of average loans
outstanding
    0.14 %     0.19 %     0.21 %     0.58 %     0.22 %
 
 
 
 

 
 
CITY HOLDING COMPANY AND SUBSIDIARIES
                             
Summary of Non-Performing Assets
                             
(Unaudited) ($ in 000s)
                             
                               
   
June 30
   
March 31
   
December 31
   
September 30
   
June 30
 
   
2011
   
2011
   
2010
   
2010
   
2010
 
                               
Nonaccrual loans
  $ 23,178     $ 25,166     $ 10,817     $ 11,220     $ 10,246  
Accruing loans past due 90 days or more
    188       358       782       195       698  
Previously securitized loans past due 90 days or more
    -       -       54       34       -  
Total non-performing loans
    23,366       25,524       11,653       11,449       10,944  
Other real estate owned
    7,999       7,241       9,316       12,636       12,722  
Total non-performing assets
  $ 31,365     $ 32,765     $ 20,969     $ 24,085     $ 23,666  
                                         
Non-performing assets as a percent of loans and
                                       
other real estate owned
    1.65 %     1.75 %     1.12 %     1.31 %     1.28 %
                                         
                                         
                                         
CITY HOLDING COMPANY AND SUBSIDIARIES
                                       
Summary of Total Past Due Loans
                                       
(Unaudited) ($ in 000s)
                                       
                                         
   
June 30
   
March 31
   
December 31
   
September 30
   
June 30
 
      2011       2011       2010       2010       2010  
                                         
Residential real estate
  $ 4,971     $ 3,293     $ 4,774     $ 3,815     $ 5,298  
Home equity
    2,299       2,260       2,276       2,863       1,763  
Commercial and industrial
    476       397       -       150       332  
Commercial real estate
    2,186       1,740       775       112       3,348  
Consumer
    185       75       147       106       168  
Previously securitized loans
    305       262       345       518       394  
DDA overdrafts
    279       231       361       337       399  
Total past due loans
  $ 10,701     $ 8,258     $ 8,678     $ 7,901     $ 11,702  
                                         
                                         
 
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