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Employee Benefits (Tables)
12 Months Ended
Dec. 31, 2023
Retirement Benefits [Abstract]  
Schedule of reconciliation of the change in the plan's benefit obligations
          
   December 31, 
   2023   2022 
   (In thousands) 
Change in Projected Benefit Obligation          
Projected benefit obligation, beginning of year  $15,952   $22,280 
Interest cost   753    579 
Assumption changes   (3)   (5,450)
Actuarial (gain) loss   (271)   85 
Settlements       (716)
Benefits paid   (954)   (826)
Projected benefit obligation, end of year  $15,477   $15,952 
           
Change in Plan Assets          
Fair value of plan assets, beginning of year  $18,768   $26,098 
Return on assets   2,347    (5,702)
Employer contribution        
Expenses   (113)   (86)
Settlements       (716)
Benefits paid   (954)   (826)
Fair value of plan assets, end of year  $20,048   $18,768 
           
Funded Status at end of year  $4,571   $2,816 
Schedule of weighted average assumptions used to determine pension benefit obligations
          
   December, 31 
   2023   2022 
Weighted average assumptions used to determine benefit obligations          
Discount rate   4.68%    4.87% 
           
Weighted average assumptions used to determine net periodic benefit cost          
Discount rate   4.87%    2.65% 
Expected return on plan assets   7.00%    7.25% 
Schedule of components of net periodic benefit cost
               
   December 31, 
   2023   2022   2021 
   (In thousands) 
Amounts recognized on Consolidated Balance Sheet               
Other assets  $4,571   $2,816   $3,818 
Other liabilities            
Net amount recognized  $4,571   $2,816   $3,818 
                
Amounts recognized in accumulated other comprehensive loss consists of:               
Net loss  $4,130   $5,716   $3,794 
Unrecognized transition asset            
Net amount recognized  $4,130   $5,716   $3,794 
                
Components of net periodic benefit cost               
Interest cost  $753   $579   $553 
Expected return on assets   (1,280)   (1,860)   (1,301)
Amortization of transition asset            
Amortization of net  loss   358    105    896 
Net periodic benefit cost   (169)   (1,176)   148 
Settlement (gain)/loss       256    (865)
Total  $(169)  $(920)  $(717)
                
Benefit Obligation Recognized in Other Comprehensive Loss (Income)               
Net loss (gain)  $(1,755)  $1,003   $(9,503)
Prior service cost (credit)            
Amortization of prior service cost            
Net amount recognized in other comprehensive loss (income)  $(1,755)  $1,003   $(9,503)
Schedule of weighted average asset allocation of our pension benefits
          
   December 31, 
   2023   2022 
Weighted Average Asset Allocation at Year-End          
Asset Category          
Equity securities   87%    87% 
Debt securities   13%    13% 
Cash and cash equivalents   0%    0% 
Total   100%    100% 
Schedule of estimated future benefit payments
     
Estimated Future Benefit Payments (In thousands)    
2024  $1,268 
2025   1,185 
2026   1,280 
2027   1,201 
2028   1,119 
Years 2029 - 2033   5,917 
      
Anticipated Contributions in 2024  $ 
Schedule of fair value of plan assets
                    
   December 31, 2023 
   Level 1 (1)   Level 2 (2)   Level 3 (3)   Total 
Investment Name:  (in thousands) 
Company Common Stock  $8,308   $   $   $8,308 
Large Cap Value       2,121        2,121 
Mid Cap Index       606        606 
Small Cap Growth       604        604 
Small Cap Value       596        596 
Large Cap Blend       638        638 
Growth       2,278        2,278 
International Growth       2,330        2,330 
Core Bond       1,763        1,763 
High Yield       351        351 
Inflation Protected Bond       437        437 
Money Market       16        16 
Total  $8,308   $11,740   $   $20,048