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Consolidated Statements of Comprehensive Income - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended
Sep. 30, 2022
Sep. 30, 2021
Sep. 30, 2022
Sep. 30, 2021
Statement of Comprehensive Income        
Net income, before tax amount $ 13,267 $ 12,672 $ 37,786 $ 34,998
Income tax expense (benefit) 3,325 3,213 9,285 8,625
Net income 9,942 9,459 28,501 26,373
Debt securities available for sale        
Unrealized holding (losses) gains on securities arising during the period, before tax (1,238) 481 (6,875) 1,042
Unrealized holding (losses) gains on securities arising during the period, tax (281) 122 (1,612) 257
Unrealized holding (losses) gains on securities arising during the period, net (957) 359 (5,263) 785
Less: reclassification adjustment for (losses) gains on securities included in net income, before tax (576) 198 (1,630) 533
Less: reclassification adjustment for (losses) gains on securities included in net income, tax (121) 42 (342) 113
Less: reclassification adjustment for (losses) gains on securities included in net income, net of tax (455) 156 (1,288) 420
Total unrealized (losses) gains on securities available for sale, before tax (662) 283 (5,245) 509
Total unrealized (losses) gains on securities available for sale, tax (160) 80 (1,270) 144
Total unrealized (losses) gains on securities available for sale, net of tax (502) 203 (3,975) 365
Adjustments related to defined benefit plan:        
Adjustments related to defined benefit plan, Amortization of prior service cost, before tax       332
Adjustments related to defined benefit plan, Amortization of prior service cost, tax       94
Adjustments related to defined benefit plan, Amortization of prior service cost, net of tax       238
Total adjustments related to defined benefit plan, before tax       332
Total adjustments related to defined benefit plan, tax       94
Total adjustments related to defined benefit plan, net of tax       238
Net unrealized gains from cash flow hedges:        
Unrealized holding gains on cash flow hedges arising during the period, before tax 452 86 1,190 911
Unrealized holding gains on cash flow hedges arising during the period, tax 128 24 337 257
Unrealized holding gains on cash flow hedges arising during the period, net of tax 324 62 853 654
Total unrealized gains on cash flow hedges, before tax 452 86 1,190 911
Total unrealized gains on cash flow hedges, tax 128 24 337 257
Total unrealized gains on cash flow hedges, net of tax 324 62 853 654
Total other comprehensive (loss) income, before tax (210) 369 (4,055) 1,752
Total other comprehensive (loss) income, tax (32) 104 (933) 495
Total other comprehensive (loss) income, net of tax (178) 265 (3,122) 1,257
Total comprehensive income, before tax 13,057 13,041 33,731 36,750
Total comprehensive income, tax 3,293 3,317 8,352 9,120
Total comprehensive income, net of tax $ 9,764 $ 9,724 $ 25,379 $ 27,630