0000726854-21-000132.txt : 20211021 0000726854-21-000132.hdr.sgml : 20211021 20211021104403 ACCESSION NUMBER: 0000726854-21-000132 CONFORMED SUBMISSION TYPE: 8-K PUBLIC DOCUMENT COUNT: 15 CONFORMED PERIOD OF REPORT: 20211021 ITEM INFORMATION: Results of Operations and Financial Condition ITEM INFORMATION: Financial Statements and Exhibits FILED AS OF DATE: 20211021 DATE AS OF CHANGE: 20211021 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: 211336042 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 chco-20211021.htm 8-K chco-20211021
0000726854false00007268542021-10-212021-10-21

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): October 21, 2021

chco-20211021_g1.jpg
CITY HOLDING COMPANY
(Exact Name of Registrant as Specified in its Charter)

Commission File Number: 0-11733

West Virginia55-0619957
(State or Other Jurisdiction of(I.R.S. Employer
Incorporation or Organization)Identification No.)
 
25 Gatewater Road, Cross Lanes, West Virginia 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))
Securities registered pursuant to Section 12(b) of the Act:
Title of each classTrading
symbol(s)
Name of each exchange on which registered
Common Stock $2.50 Par ValueCHCONASDAQ Global Select Market
Indicate by check mark whether the registrant is an emerging growth company as defined in as defined in Rule 405 of the Securities Act of 1933 (§230.405 of this chapter) or Rule 12b-2 of the Securities Exchange Act of 1934 (§240.12b-2 of this chapter).
Emerging growth company
If an emerging growth company, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards provided pursuant to Section 13(a) of the Exchange Act.

-1-



Section 2 - Financial Information

Item 2.02 Results of Operations and Financial Condition.

On October 21, 2021, City Holding Company ("the Company") issued a news release, attached as Exhibit 99.1, announcing the Company's earnings results for the third quarter ended September 30, 2021. 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
News Release issued October 21, 2021


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: October 21, 2021City Holding Company
By:/s/ David L. Bumgarner
David L. Bumgarner
Executive Vice President & Chief Financial Officer

-2-
EX-99.1 2 chco09-30x21exhibit991.htm EX-99.1 Document













NEWS RELEASE

For Immediate Release
October 21, 2021

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

City Holding Company Announces Third Quarter Results

Charleston, West Virginia – City Holding Company (“Company” or “City”) (NASDAQ:CHCO), a $6.0 billion bank holding company headquartered in Charleston, West Virginia, today announced quarterly net income of $22.7 million and diluted earnings of $1.47 per share for the quarter ended September 30, 2021. For the third quarter of 2021, the Company achieved a return on assets of 1.53% and a return on tangible equity of 15.7%. For the nine months ended September 30, 2021, City reported net income of $64.7 million, or diluted earnings per share of $4.13.

Charles R. (“Skip”) Hageboeck, the President and Chief Executive Officer of City Holding Company, commented: “While our financial performance is not quite back to pre-COVID levels, City’s financial performance continued on an upward swing in the third quarter of 2021. Net interest income, largely on the strength of fee income related to Government sponsored Paycheck Protection Program (“PPP”) loans, increased $1.6 million from the quarter ended June 30, 2021 and noninterest income, exclusive of security items, was up $1.3 million from the quarter ended September 30, 2020.”

“Asset quality continues to be a hallmark for City with nonperforming assets dropping to below $10 million ($9.0 million or just 0.26% of total loans and other real estate owned). Past due loans and troubled debt restructurings also declined during the quarter ended September 30, 2021. Deferrals on commercial loans have also declined significantly during the quarter to just $15 million and are solely related to hotel and lodging customers.”

“While consumer related lending continues to be challenging with the current interest rate environment, commercial loans grew $36 million, or 2% (8.1% annualized), during the quarter ended September 30, 2021, exclusive of PPP balances. As of September 30, 2021, our PPP balances have declined to $26 million with less than $1 million remaining outstanding from PPP loans originated in 2020 and approximately 45% of loans originated in 2021 already forgiven.”






Net Interest Income

The Company’s net interest income increased from $37.9 million during the second quarter of 2021 to $39.5 million during the third quarter of 2021. The Company’s tax equivalent net interest income increased from $38.3 million for the second quarter of 2021 to $39.8 million for the third quarter of 2021. An increase in loan fees related to PPP loan forgiveness increased net interest income by $0.6 million. In addition, a modest increase in loan yields, due to interest recoveries on previously charged-off loans, increased net interest income by $0.6 million and lower rates paid on time deposits (16 basis points) increased net interest income by $0.4 million. The Company’s reported net interest margin increased from 2.81% for the second quarter of 2021 to 2.89% for the third quarter of 2021. Excluding the favorable impact of the accretion from fair value adjustments, the net interest margin would have been 2.86% for the quarter ended September 30, 2021 and 2.76% for the quarter ended June 30, 2021.

Credit Quality

The Company’s ratio of nonperforming assets to total loans and other real estate owned decreased from 0.32% at June 30, 2021 to 0.26% at September 30, 2021. Total nonperforming assets decreased from $11.4 million at June 30, 2021 to $9.0 million at September 30, 2021. Total past due loans decreased slightly from $7.6 million, or 0.22% of total loans outstanding, at June 30, 2021 to $7.3 million, or 0.21% of total loans outstanding, at September 30, 2021.

As a result of the Company’s quarterly analysis of the adequacy of the allowance for credit losses (“ACL”), the Company recorded a recovery of credit losses of $0.7 million in the third quarter of 2021, compared to a provision for credit losses of $1.0 million for the comparable period in 2020 and a recovery of credit losses of $2.0 million for the second quarter of 2021. Due to adjustments to other qualitative and other factors, the Company partially recovered a portion of the provision for credit losses incurred in the quarter ended March 31, 2020.

Non-interest Income

Non-interest income was $17.9 million for the third quarter of 2021 as compared to $17.0 million for the third quarter of 2020. During the third quarter of 2021, the Company reported $0.1 million of unrealized fair value gains on the Company’s equity securities compared to $0.5 million of unrealized fair value gains on the Company’s equity securities in the third quarter of 2020. Exclusive of these gains, non-interest income increased from $16.5 million for the third quarter of 2020 to $17.8 million for the third quarter of 2021. This increase was largely attributable to higher bankcard revenues ($0.7 million, or 12.0%) and service charges ($0.4 million, or 6.5%). In addition, trust and investment management fee income increased $0.3 million and other income increased $0.2 million from the quarter ended September 30, 2020. These increases were partially offset by a decrease in bank owned life insurance revenues due to lower death benefit proceeds ($0.3 million).

Non-interest Expenses

Non-interest expenses increased $0.5 million (1.6%), from $28.7 million in the third quarter of 2020 to $29.2 million in the third quarter of 2021. This increase was primarily due to an increase in advertising expenses of $0.3 million and telecommunication expenses of $0.2 million.

Balance Sheet Trends

Loans decreased $7.5 million from June 30, 2021 to September 30, 2021, to $3.52 billion. PPP loans decreased $23.5 million from $49.8 million at June 30, 2021 to $26.3 million at September 30, 2021. Excluding outstanding PPP loans (included in the commercial and industrial loan category), total loans



increased $16.0 million, (0.5%), from June 30, 2021 to $3.50 billion at September 30, 2021. Commercial real estate loans increased $18.2 million (1.2%) and commercial and industrial loans increased $18.0 million (5.8%) (excluding PPP loans). These increases were partially offset by decreases in residential real estate loans ($14.5 million or 1.0%); home equity loans ($2.8 million or 2.2%); and consumer loans ($1.9 million or 4.2%).

Total average depository balances increased $40.8 million, or 0.8%, from the quarter ended June 30, 2021 to the quarter ended September 30, 2021. Average noninterest-bearing demand deposit balances increased $45.4 million, average savings deposit balances increased $27.5 million, and average interest-bearing demand deposit balances increased $23.3 million. These increases were partially offset by a decrease in time deposit balances of $55.4 million.

Income Tax Expense

The Company’s effective income tax rate for the third quarter of 2021 was 21.6% compared to 19.5% for the year ended December 31, 2020, and 20.2% for the quarter ended September 30, 2020.

Capitalization and Liquidity

The Company’s loan to deposit ratio was 72.1% and the loan to asset ratio was 59.2% at September 30, 2021. The Company maintained investment securities totaling 23.5% of assets as of the same date. The Company’s deposit mix is weighted heavily toward checking and saving accounts, which fund 63.6% of assets at September 30, 2021. Time deposits fund 18.5% of assets at September 30, 2021, but very few of these deposits are in accounts that have balances of more than $250,000, reflecting the core retail orientation of the Company.

The Company continues to be strongly capitalized with tangible equity of $560 million at September 30, 2021. Due primarily to the influx of deposits and share repurchases during the nine months ended September 30, 2021, the Company’s tangible equity ratio decreased from 10.3% at December 31, 2020 to 9.6% at September 30, 2021. At September 30, 2021, City National Bank’s Leverage Ratio was 8.73%, its Common Equity Tier I ratio was 14.61%, its Tier I Capital ratio was 14.61%, and its Total Risk-Based Capital ratio was 15.06%. These regulatory capital ratios are significantly above levels required to be considered “well capitalized,” which is the highest possible regulatory designation.

On September 29, 2021, the Board of Directors of the Company approved a quarterly cash dividend of $0.58 per share payable October 29, 2021, to shareholders of record as of October 15, 2021. During the quarter ended September 30, 2021, the Company repurchased 337,000 common shares at a weighted average price of $75.65 as part of a one million share repurchase plan authorized by the Board of Directors in March 2021. As of September 30, 2021, the Company could repurchase approximately 446,000 additional shares under the plan.

City Holding Company is the parent company of City National Bank of West Virginia. City National Bank operates 94 branches across West Virginia, Kentucky, Virginia, and 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. Forward-looking statements express only management’s beliefs regarding future results or events and are subject to inherent uncertainty, risks, and changes in circumstances, many of which are outside of management’s control. Uncertainty, risks, changes in circumstances and other factors could cause the Company’s actual results to differ materially from those projected in the forward-looking statements. Factors that could cause actual results to differ from those



discussed in such forward-looking statements include, but are not limited to those set forth in the Company’s Annual Report on Form 10-K for the fiscal year ended December 31, 2020 under “ITEM 1A Risk Factors” and the following: (1) general economic conditions, especially in the communities and markets in which we conduct our business; (2) the uncertainties on the Company’s business, results of operations and financial condition, caused by the COVID-19 pandemic, which will depend on several factors, including the scope and duration of the pandemic, its continued influence on financial markets, the effectiveness of the Company’s work from home arrangements and staffing levels in operational facilities, the impact of market participants on which the Company relies and actions taken by governmental authorities and other third parties in response to the pandemic; (3) credit risk, including risk that negative credit quality trends may lead to a deterioration of asset quality, risk that our allowance for credit losses may not be sufficient to absorb actual losses in our loan portfolio, and risk from concentrations in our loan portfolio; (4) changes in the real estate market, including the value of collateral securing portions of our loan portfolio; (5) changes in the interest rate environment; (6) operational risk, including cybersecurity risk and risk of fraud, data processing system failures, and network breaches; (7) changes in technology and increased competition, including competition from non-bank financial institutions; (8) changes in consumer preferences, spending and borrowing habits, demand for our products and services, and customers’ performance and creditworthiness; (9) difficulty growing loan and deposit balances; (10) our ability to effectively execute our business plan, including with respect to future acquisitions; (11) changes in regulations, laws, taxes, government policies, monetary policies and accounting policies affecting bank holding companies and their subsidiaries; (12) 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; (13) regulatory enforcement actions and adverse legal actions; (14) difficulty attracting and retaining key employees; (15) other economic, competitive, technological, operational, governmental, regulatory, and market factors affecting our operations. 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. Further, the Company is required to evaluate subsequent events through the filing of its September 30, 2021 Form 10-Q. The Company will continue to evaluate the impact of any subsequent events on the preliminary September 30, 2021 results and will adjust the amounts if necessary.






CITY HOLDING COMPANY AND SUBSIDIARIES
Financial Highlights
(Unaudited)
Three Months EndedNine Months Ended
September 30,June 30,March 31,December 31,September 30,September 30,September 30,
2021202120212020202020212020
Earnings
Net Interest Income (FTE)$39,822 $38,257 $37,871 $38,514 $38,278 $115,950 $117,168 
Net Income available to common shareholders22,732 22,148 19,814 22,222 20,126 64,694 67,374 
Per Share Data
Earnings per share available to common shareholders:
   Basic$1.47 $1.41 $1.25 $1.40 $1.25 $4.13 $4.15 
   Diluted1.47 1.41 1.25 1.40 1.25 4.13 4.15 
Weighted average number of shares (in thousands):
   Basic15,279 15,573 15,656 15,708 15,950 15,501 16,065 
   Diluted15,302 15,594 15,687 15,733 15,970 15,526 16,084 
Period-end number of shares (in thousands)15,192 15,527 15,724 15,768 15,848 15,192 15,848 
Cash dividends declared$0.58 $0.58 $0.58 $0.58 $0.57 $1.74 $1.71 
Book value per share (period-end)44.58 44.79 43.99 44.47 43.62 44.58 43.62 
Tangible book value per share (period-end)36.85 37.20 36.47 36.94 36.11 36.85 36.11 
Market data:
   High closing price$79.99 $83.85 $87.41 $70.77 $67.98 $87.41 $82.40 
   Low closing price72.29 74.44 69.05 56.98 55.37 69.05 55.18 
   Period-end closing price77.91 75.24 81.78 69.55 57.61 77.91 57.61 
   Average daily volume
   (in thousands)
53 61 63 56 67 59 75 
Treasury share activity:
      Treasury shares repurchased
      (in thousands)
337 217 75 81 231 629 492 
      Average treasury share repurchase price
$75.65 $78.75 $76.71 $60.32 $59.49 $76.85 $64.23 
Key Ratios (percent)
Return on average assets1.53 %1.49 %1.38 %1.59 %1.46 %1.47 %1.68 %
Return on average tangible equity15.7 %15.2 %13.5 %15.3 %13.8 %14.8 %15.6 %
Yield on interest earning assets3.04 %3.00 %3.17 %3.32 %3.43 %3.07 %3.75 %
Cost of interest bearing liabilities0.22 %0.27 %0.37 %0.47 %0.58 %0.28 %0.73 %
Net Interest Margin2.89 %2.81 %2.91 %2.99 %3.02 %2.87 %3.22 %
Non-interest income as a percent of total revenue31.1 %31.0 %30.4 %30.7 %30.3 %31.0 %35.8 %
Efficiency Ratio50.0 %52.8 %54.3 %51.0 %51.6 %52.3 %51.5 %
Price/Earnings Ratio (a)13.22 13.35 16.30 12.41 11.53 14.14 10.40 



Capital (period-end)
Average Shareholders' Equity to Average Assets11.69 %11.81 %12.30 %12.46 %12.71 %
Tangible equity to tangible assets9.59 %9.98 %9.93 %10.33 %10.61 %
Consolidated City Holding Company risk based capital ratios (b):
   CET I15.95 %16.40 %16.76 %16.18 %15.93 %
   Tier I15.95 %16.40 %16.76 %16.18 %15.93 %
   Total16.39 %16.88 %17.33 %16.75 %16.50 %
   Leverage9.46 %9.70 %10.06 %10.22 %10.19 %
City National Bank risk based capital ratios (b):
   CET I14.61 %14.82 %14.75 %14.10 %14.46 %
   Tier I14.61 %14.82 %14.75 %14.10 %14.46 %
   Total15.06 %15.30 %15.33 %14.68 %15.04 %
   Leverage8.73 %8.80 %8.91 %8.97 %9.32 %
Other (period-end)
Branches94 94 94 94 94 
FTE921 912 916 926 925 
   Assets per FTE (in thousands)$6,463 $6,477 $6,434 $6,219 $5,984 
   Deposits per FTE (in thousands)5,308 5,271 5,236 5,024 4,799 
(a) The price/earnings ratio is computed based on annualized quarterly earnings (excludes gain for sale of VISA shares, net of taxes).
(b) September 30, 2021 risk-based capital ratios are estimated.





CITY HOLDING COMPANY AND SUBSIDIARIES
Consolidated Statements of Income
(Unaudited) ($ in 000s, except per share data)
Three Months EndedNine Months Ended
September 30,June 30,March 31,December 31,September 30,September 30,September 30,
2021202120212020202020212020
Interest Income
   Interest and fees on loans$33,961 $33,114 $34,324 $35,685 $35,761 $101,399 $114,813 
   Interest on investment securities:
     Taxable6,144 5,932 5,242 5,500 6,266 17,318 17,855 
     Tax-exempt1,257 1,291 1,253 1,254 1,132 3,801 2,659 
   Interest on deposits in depository institutions
196 162 118 60 72 476 432 
Total Interest Income41,558 40,499 40,937 42,499 43,231 122,994 135,759 
Interest Expense
   Interest on deposits1,955 2,460 3,280 4,198 5,123 7,695 18,324 
   Interest on short-term borrowings
115 125 117 120 131 357 873 
   Interest on long-term debt— — — — — — 100 
Total Interest Expense2,070 2,585 3,397 4,318 5,254 8,052 19,297 
Net Interest Income39,488 37,914 37,540 38,181 37,977 114,942 116,462 
(Recovery of) provision for credit losses(725)(2,000)(440)474 1,026 (3,165)10,248 
Net Interest Income After (Recovery of) Provision for Credit Losses40,213 39,914 37,980 37,707 36,951 118,107 106,214 
Non-Interest Income
Net gains on sale of investment securities— 29 283 — 312 56 
Unrealized gains (losses) recognized on equity securities still held93 410 (51)835 461 452 (1,698)
   Service charges6,706 5,895 5,881 6,771 6,295 18,482 18,962 
   Bankcard revenue6,791 7,221 6,213 5,991 6,065 20,225 17,068 
   Trust and investment management fee income
2,172 2,012 2,033 2,162 1,844 6,217 5,574 
   Bank owned life insurance747 940 1,460 813 1,088 3,147 3,611 
   Sale of VISA shares— — — — — — 17,837 
   Other income1,438 941 811 1,143 1,232 3,190 3,550 
Total Non-Interest Income17,947 17,448 16,630 17,721 16,985 52,025 64,960 
Non-Interest Expense
   Salaries and employee benefits15,321 15,559 15,671 15,989 15,361 46,551 46,085 
   Occupancy related expense2,507 2,525 2,622 2,447 2,428 7,654 7,318 
   Equipment and software related expense
2,554 2,655 2,544 2,660 2,607 7,753 7,540 
   FDIC insurance expense396 382 405 363 355 1,183 522 
   Advertising804 824 881 538 462 2,509 2,238 



   Bankcard expenses1,549 1,746 1,584 1,443 1,517 4,879 4,450 
   Postage, delivery, and statement mailings
573 568 592 546 513 1,733 1,721 
   Office supplies406 371 392 413 396 1,169 1,143 
   Legal and professional fees610 589 675 438 548 1,874 1,738 
   Telecommunications790 676 690 540 547 2,156 1,589 
   Repossessed asset (gains) losses, net of expenses(108)79 (68)39 (28)313 
   Other expenses3,776 3,678 3,674 3,332 3,939 11,128 11,992 
Total Non-Interest Expense29,178 29,574 29,809 28,641 28,712 88,561 86,649 
Income Before Income Taxes28,982 27,788 24,801 26,787 25,224 81,571 84,525 
   Income tax expense6,250 5,640 4,987 4,565 5,098 16,877 17,151 
Net Income Available to Common Shareholders$22,732 $22,148 $19,814 $22,222 $20,126 $64,694 $67,374 
Distributed earnings allocated to common shareholders$8,726 $8,921 $9,037 $9,053 $8,944 $26,177 $26,832 
Undistributed earnings allocated to common shareholders13,786 13,021 10,598 12,947 10,984 37,899 39,884 
Net earnings allocated to common shareholders$22,512 $21,942 $19,635 $22,000 $19,928 $64,076 $66,716 
Average common shares outstanding15,279 15,573 15,656 15,708 15,950 15,501 16,065 
Shares for diluted earnings per share15,302 15,594 15,687 15,733 15,970 15,526 16,084 
Basic earnings per common share$1.47 $1.41 $1.25 $1.40 $1.25 $4.13 $4.15 
Diluted earnings per common share$1.47 $1.41 $1.25 $1.40 $1.25 $4.13 $4.15 




CITY HOLDING COMPANY AND SUBSIDIARIES
Consolidated Balance Sheets
($ in 000s)
(Unaudited)(Unaudited)(Unaudited)(Unaudited)
September 30,June 30,March 31,December 31,September 30,
20212021202120202020
Assets
Cash and due from banks$103,841 $97,523 $97,709 $77,412 $76,451 
Interest-bearing deposits in depository institutions535,708 512,367 659,090 451,247 176,267 
Cash and cash equivalents639,549 609,890 756,799 528,659 252,718 
Investment securities available-for-sale, at fair value1,373,073 1,340,681 1,185,245 1,178,789 1,157,399 
Other securities24,501 24,548 27,182 27,372 26,548 
Total investment securities1,397,574 1,365,229 1,212,427 1,206,161 1,183,947 
Gross loans3,521,925 3,529,416 3,546,723 3,622,119 3,663,966 
Allowance for credit losses(18,751)(20,016)(24,076)(24,549)(24,867)
Net loans3,503,174 3,509,400 3,522,647 3,597,570 3,639,099 
Bank owned life insurance120,238 119,491 118,976 118,243 117,501 
Premises and equipment, net75,156 76,263 76,529 76,925 77,031 
Accrued interest receivable16,224 15,967 16,231 15,793 16,627 
Net deferred tax assets90 — 1,395 — — 
Intangible assets117,489 117,857 118,224 118,592 119,004 
Other assets82,419 89,958 71,142 96,697 105,361 
Total Assets$5,951,913 $5,904,055 $5,894,370 $5,758,640 $5,511,288 
Liabilities
Deposits:
   Noninterest-bearing$1,311,464 $1,279,932 $1,244,175 $1,176,990 $1,061,310 
   Interest-bearing:
   Demand deposits1,139,033 1,070,004 1,077,749 1,027,201 940,791 
   Savings deposits1,332,910 1,301,219 1,265,038 1,188,003 1,117,684 
   Time deposits1,104,069 1,153,391 1,209,873 1,260,022 1,300,291 
Total deposits4,887,476 4,804,546 4,796,835 4,652,216 4,420,076 
Short-term borrowings
   Customer repurchase agreements296,642 311,316 316,003 295,956 279,866 
Net deferred tax liabilities— 2,310 — 3,202 1,601 
Other liabilities90,499 90,407 89,847 106,160 118,386 
Total Liabilities5,274,617 5,208,579 5,202,685 5,057,534 4,819,929 



Stockholders' Equity
Preferred stock— — — — — 
Common stock47,619 47,619 47,619 47,619 47,619 
Capital surplus170,300 169,674 170,526 171,304 170,526 
Retained earnings627,463 613,553 600,396 589,988 576,901 
Cost of common stock in treasury(183,303)(157,936)(142,484)(139,038)(134,177)
Accumulated other comprehensive income:
Unrealized gain on securities available-for-sale
20,878 28,227 21,289 36,894 36,760 
Underfunded pension liability
(5,661)(5,661)(5,661)(5,661)(6,270)
Total Accumulated Other Comprehensive Income15,217 22,566 15,628 31,233 30,490 
Total Stockholders' Equity677,296 695,476 691,685 701,106 691,359 
Total Liabilities and Stockholders' Equity$5,951,913 $5,904,055 $5,894,370 $5,758,640 $5,511,288 
Regulatory Capital
Total CET 1 capital$550,426 $561,317 $563,523 $557,641 $548,269 
Total tier 1 capital550,426 561,317 563,523 557,641 548,269 
Total risk-based capital565,712 577,543 582,816 577,292 568,153 
Total risk-weighted assets3,451,018 3,421,764 3,362,595 3,446,774 3,442,629 





CITY HOLDING COMPANY AND SUBSIDIARIES
Loan Portfolio
(Unaudited) ($ in 000s)
September 30,June 30,March 31,December 31,September 30,
20212021202120202020
Commercial and industrial$353,046 $358,583 $371,195 $372,989 $383,980 
1-4 Family108,913 108,079 108,131 109,812 114,071 
Hotels297,341 290,119 293,176 294,464 295,989 
Multi-family215,307 212,715 212,561 215,671 214,394 
Non Residential Non-Owner Occupied664,365 653,264 649,683 641,351 628,814 
Non Residential Owner Occupied205,579 209,100 199,130 213,484 211,433 
Commercial real estate (1)
1,491,505 1,473,277 1,462,681 1,474,782 1,464,701 
Residential real estate (2)
1,506,572 1,521,102 1,532,907 1,587,694 1,621,265 
Home equity124,806 127,608 130,009 136,469 140,135 
Consumer43,296 45,184 47,224 47,688 50,541 
DDA Overdrafts2,700 3,662 2,707 2,497 3,344 
Gross Loans$3,521,925 $3,529,416 $3,546,723 $3,622,119 $3,663,966 
Construction loans included in:
(1) - Commercial real estate loans$19,360 $43,904 $39,101 $40,449 $42,449 
(2) - Residential real estate loans19,059 20,838 22,129 27,078 28,947 




CITY HOLDING COMPANY AND SUBSIDIARIES
Asset Quality Information
(Unaudited) ($ in 000s)

Three Months EndedNine Months Ended
September 30,June 30,March 31,December 31,September 30,September 30,September 30,
2021202120212020202020212020
Allowance for Credit Losses
Balance at beginning of period$20,016 $24,076 $24,549 $24,867 $25,199 $24,549 $11,589 
Charge-offs:
Commercial and industrial— (211)(34)(9)(757)(245)(834)
Commercial real estate(392)(1,718)(1)(616)(75)(2,111)(497)
Residential real estate(18)(86)(93)(139)(252)(197)(1,111)
Home equity(47)(8)(64)(88)(126)(119)(332)
Consumer(3)(79)(147)(27)(74)(229)(165)
DDA overdrafts(633)(430)(453)(629)(554)(1,516)(1,716)
Total charge-offs(1,093)(2,532)(792)(1,508)(1,838)(4,417)(4,655)
Recoveries:
Commercial and industrial69 25 46 74 140 17 
Commercial real estate18 15 164 150 44 197 375 
Residential real estate29 17 74 57 24 120 127 
Home equity58 23 47 33 84 89 
Consumer72 104 39 55 42 215 183 
DDA overdrafts307 308 413 333 334 1,028 1,134 
Total recoveries553 472 759 716 480 1,784 1,925 
Net charge-offs(540)(2,060)(33)(792)(1,358)(2,633)(2,730)
(Recovery of) provision for credit losses(725)(2,000)(440)474 1,026 (3,165)10,248 
Impact of adopting ASC 326— — — — — — 5,760 
Balance at end of period$18,751 $20,016 $24,076 $24,549 $24,867 $18,751 $24,867 
Loans outstanding$3,521,925 $3,529,416 $3,546,723 $3,622,119 $3,663,966 
Allowance as a percent of loans outstanding0.53 %0.57 %0.68 %0.68 %0.68 %
Allowance as a percent of non-performing loans243.1 %199.3 %194.5 %200.7 %182.7 %
Average loans outstanding$3,535,497 $3,541,165 $3,585,790 $3,635,673 $3,661,569 $3,553,966 $3,643,603 
Net charge-offs (annualized) as a percent of average loans outstanding0.06 %0.23 %— %0.09 %0.15 %0.10 %0.10 %







CITY HOLDING COMPANY AND SUBSIDIARIES
Asset Quality Information, Continued
(Unaudited) ($ in 000s)
September 30,June 30,March 31,December 31,September 30,
20212021202120202020
Nonaccrual Loans
Residential real estate$3,634 $2,482 $3,004 $2,968 $3,983 
Home equity67 81 88 95 74 
Commercial and industrial531 820 1,200 768 728 
Commercial real estate3,355 6,383 7,792 8,401 8,479 
Consumer— — — — — 
   Total nonaccrual loans7,587 9,766 12,084 12,232 13,264 
Accruing loans past due 90 days or more127 278 295 — 345 
   Total non-performing loans7,714 10,044 12,379 12,232 13,609 
Other real estate owned1,335 1,309 1,625 1,650 2,080 
   Total non-performing assets$9,049 $11,353 $14,004 $13,882 $15,689 
Non-performing assets as a percent of loans and other real estate owned0.26 %0.32 %0.39 %0.38 %0.43 %
Past Due Loans
Residential real estate$5,258 $5,453 $4,092 $5,993 $5,153 
Home equity688 523 449 575 474 
Commercial and industrial455 721 1,358 1,241 691 
Commercial real estate441 498 508 625 602 
Consumer35 12 10 113 121 
DDA overdrafts390 417 212 341 379 
   Total past due loans$7,267 $7,624 $6,629 $8,888 $7,420 
Total past due loans as a percent of loans outstanding0.21 %0.22 %0.19 %0.25 %0.20 %
Troubled Debt Restructurings ("TDRs")
   Residential real estate$16,910 $17,788 $18,572 $19,226 $20,398 
   Home equity1,822 1,920 1,956 2,001 2,100 
   Commercial and industrial430 — — — — 
   Commercial real estate1,937 3,076 4,615 4,638 4,894 
   Consumer221 203 211 277 260 
     Total TDRs$21,320 $22,987 $25,354 $26,142 $27,652 






CITY HOLDING COMPANY AND SUBSIDIARIES
Consolidated Average Balance Sheets, Yields, and Rates
(Unaudited) ($ in 000s)

Three Months Ended
September 30, 2021June 30, 2021September 30, 2020
AverageYield/AverageYield/AverageYield/
BalanceInterestRateBalanceInterestRateBalanceInterestRate
Assets:
Loan portfolio (1):
Residential real estate (2)
$1,648,921 $15,813 3.80 %$1,652,165 $16,135 3.92 %$1,766,796 $17,899 4.03 %
Commercial, financial, and agriculture (2)
1,836,604 17,344 3.75 %1,839,478 16,158 3.52 %1,839,939 16,910 3.66 %
Installment loans to individuals (2), (3)
49,972 714 5.67 %49,522 713 5.77 %54,834 804 5.83 %
Previously securitized loans (4)
***91 ******109 ******148 ***
Total loans3,535,497 33,962 3.81 %3,541,165 33,115 3.75 %3,661,569 35,761 3.89 %
Securities:
Taxable1,136,519 6,144 2.14 %1,046,008 5,932 2.27 %877,623 6,266 2.84 %
Tax-exempt (5)
245,551 1,590 2.57 %244,233 1,633 2.68 %204,178 1,433 2.79 %
Total securities1,382,070 7,734 2.22 %1,290,241 7,565 2.35 %1,081,801 7,699 2.83 %
Deposits in depository institutions544,843 196 0.14 %628,158 162 0.10 %304,498 72 0.09 %
Total interest-earning assets5,462,410 41,892 3.04 %5,459,564 40,842 3.00 %5,047,868 43,532 3.43 %
Cash and due from banks101,058 92,243 80,505 
Premises and equipment, net75,956 76,660 77,647 
Goodwill and intangible assets117,719 118,088 119,267 
Other assets220,420 206,709 229,667 
Less: Allowance for credit losses(20,407)(23,701)(25,311)
       Total assets$5,957,156 $5,929,563 $5,529,643 
Liabilities:
Interest-bearing demand deposits$1,093,243 $127 0.05 %$1,069,896 $122 0.05 %$931,152 $187 0.08 %
Savings deposits1,315,462 169 0.05 %1,287,966 163 0.05 %1,093,886 303 0.11 %
Time deposits (2)
1,126,553 1,659 0.58 %1,181,953 2,175 0.74 %1,322,423 4,633 1.39 %
Short-term borrowings282,722 115 0.16 %305,134 125 0.16 %260,518 131 0.20 %
   Total interest-bearing liabilities3,817,980 2,070 0.22 %3,844,949 2,585 0.27 %3,607,979 5,254 0.58 %
Noninterest-bearing demand deposits1,356,745 1,311,340 1,114,822 
Other liabilities86,263 72,940 104,084 
Stockholders' equity696,168 700,334 702,758 
Total liabilities and
stockholders' equity$5,957,156 $5,929,563 $5,529,643 
Net interest income$39,822 $38,257 $38,278 
Net yield on earning assets2.89 %2.81 %3.02 %
(1) For purposes of this table, non-accruing loans have been included in average balances and the following amounts (in thousands) of net loan fees have been included in interest income:
Loan fees, net$1,120 $488 $156 



(2) Included in the above table are the following amounts (in thousands) for the accretion of the fair value adjustments related to the Company's acquisitions:
Residential real estate$154 $211 $132 
Commercial, financial, and agriculture265 365 250 
Installment loans to individuals21 23 38 
Time deposits48 48 155 
$488 $647 $575 
(3) Includes the Company’s consumer and DDA overdrafts loan categories.
(4) Effective January 1, 2012, the carrying value of the Company's previously securitized loans was reduced to $0.
(5) Computed on a fully federal tax-equivalent basis assuming a tax rate of approximately 21%.




CITY HOLDING COMPANY AND SUBSIDIARIES
Consolidated Average Balance Sheets, Yields, and Rates
(Unaudited) ($ in 000s)

Nine Months Ended
September 30, 2021September 30, 2020
AverageYield/AverageYield/
BalanceInterestRateBalanceInterestRate
Assets:
Loan portfolio (1):
Residential real estate (2)
$1,669,324 $48,801 3.91 %$1,776,903 $56,827 4.27 %
Commercial, financial, and agriculture (2)
1,833,744 50,044 3.65 %1,810,165 55,051 4.06 %
Installment loans to individuals (2), (3)
50,898 2,140 5.62 %56,535 2,519 5.95 %
Previously securitized loans (4)
***414 ******415 ***
Total loans3,553,966 101,399 3.81 %3,643,603 114,812 4.21 %
Securities:
Taxable1,043,269 17,318 2.22 %861,853 17,855 2.77 %
Tax-exempt (5)
243,146 4,811 2.65 %140,075 3,366 3.21 %
Total securities1,286,415 22,129 2.30 %1,001,928 21,221 2.83 %
Deposits in depository institutions562,272 474 0.11 %214,912 432 0.27 %
Total interest-earning assets5,402,653 124,002 3.07 %4,860,443 136,465 3.75 %
Cash and due from banks91,073 76,936 
Premises and equipment, net76,481 77,910 
Goodwill and intangible assets118,084 119,678 
Other assets214,872 218,695 
Less: Allowance for loan losses(22,989)(21,984)
       Total assets$5,880,174 $5,331,678 
Liabilities:
Interest-bearing demand deposits$1,057,452 $373 0.05 %$898,440 $833 0.12 %
Savings deposits1,275,211 516 0.05 %1,045,877 1,366 0.17 %
Time deposits (2)
1,181,166 6,806 0.77 %1,347,013 16,125 1.60 %
Short-term borrowings292,845 357 0.16 %242,173 873 0.48 %
Long-term debt— — — %1,109 100 12.04 %
   Total interest-bearing liabilities3,806,674 8,052 0.28 %3,534,612 19,297 0.73 %
Noninterest-bearing demand deposits1,289,247 1,004,144 
Other liabilities82,953 98,393 
Stockholders' equity701,300 694,529 
Total liabilities and
stockholders' equity$5,880,174 $5,331,678 
Net interest income$115,950 $117,168 
Net yield on earning assets2.87 %3.22 %
(1) For purposes of this table, non-accruing loans have been included in average balances and the following amounts (in thousands) of loan fees have been included in interest income:
Loan fees$2,443 $881 



(2) Included in the above table are the following amounts (in thousands) for the accretion of the fair value adjustments related to the Company's acquisitions:
Residential real estate$472 $477 
Commercial, financial, and agriculture956 2,141 
Installment loans to individuals72 114 
Time deposits145 466 
$1,645 $3,198 
(3) Includes the Company’s consumer and DDA overdrafts loan categories.
(4) Effective January 1, 2012, the carrying value of the Company's previously securitized loans was reduced to $0.
(5) Computed on a fully federal tax-equivalent basis assuming a tax rate of approximately 21%.




CITY HOLDING COMPANY AND SUBSIDIARIES
Non-GAAP Reconciliations
(Unaudited) ($ in 000s, except per share data)
Three Months EndedNine Months Ended
September 30,June 30,March 31,December 31,September 30,September 30,September 30,
2021202120212020202020212020
Net Interest Income/Margin
Net interest income ("GAAP")$39,488 $37,914 $37,540 $38,181 $37,977 $114,942 $116,462 
Taxable equivalent adjustment334 343 331 333 301 1,008 706 
Net interest income, fully taxable equivalent
$39,822 $38,257 $37,871 $38,514 $38,278 $115,950 $117,168 
Average interest earning assets$5,462,410 $5,459,564 $5,284,025 $5,125,874 $5,047,868 $5,402,653 $4,860,443 
Net Interest Margin2.89 %2.81 %2.91 %2.99 %3.02 %2.87 %3.22 %
Accretion related to fair value adjustments(0.04)%(0.05)%(0.04)%(0.05)%(0.05)%(0.04)%(0.09)%
Net Interest Margin (excluding accretion)
2.85 %2.76 %2.87 %2.94 %2.97 %2.83 %3.13 %
Tangible Equity Ratio (period end)
Equity to assets ("GAAP")11.37 %11.78 %11.74 %12.18 %12.54 %
Effect of goodwill and other intangibles, net(1.78)%(1.80)%(1.81)%(1.85)%(1.93)%
Tangible common equity to tangible assets
9.59 %9.98 %9.93 %10.33 %10.61 %
Return on Tangible Equity
Return on tangible equity ("GAAP")15.7 %15.2 %13.5 %15.3 %13.8 %14.8 %15.6 %
Impact of sale of VISA shares— %— %— %— %— %— %(3.1)%
Return on tangible equity, excluding sale of VISA shares15.7 %15.2 %13.5 %15.3 %13.8 %14.8 %12.5 %
Return on Assets
Return on assets ("GAAP")1.53 %1.49 %1.38 %1.59 %1.46 %1.47 %1.68 %
Impact of sale of VISA shares— %— %— %— %— %— %(0.33)%
Return on assets, excluding merger sale of VISA shares1.53 %1.49 %1.38 %1.59 %1.46 %1.47 %1.35 %


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Document and Entity Information Document
Oct. 21, 2021
Entity Information [Line Items]  
Document Type 8-K
Document Period End Date Oct. 21, 2021
Entity Registrant Name CITY HOLDING COMPANY
Entity Central Index Key 0000726854
Amendment Flag false
Entity Incorporation, State or Country Code WV
Entity File Number 0-11733
Entity Tax Identification Number 55-0619957
Entity Address, Address Line One 25 Gatewater Road
Entity Address, City or Town Cross Lanes
Entity Address, State or Province WV
Entity Address, Postal Zip Code 25313
City Area Code 304
Local Phone Number 769-1100
Written Communications false
Soliciting Material false
Pre-commencement Tender Offer false
Pre-commencement Issuer Tender Offer false
Title of 12(b) Security Common Stock $2.50 Par Value
Trading Symbol CHCO
Security Exchange Name NASDAQ
Entity Emerging Growth Company false
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