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Comprehensive Income (Loss), Net of Tax (Tables)
12 Months Ended
Dec. 31, 2025
Other Comprehensive Income (Loss), Net of Tax [Abstract]  
Schedule of Comprehensive Income (Loss)
The following table presents the components of other comprehensive income (loss) for the years ended December 31, 2025, 2024 and 2023:
Schedule of Comprehensive Income (Loss)
Before-Tax
Amount
Tax
(Benefit)
Expense
Net-of-Tax
Amount
2025
Net Unrealized Securities Holding Gains Arising During the Period$19,528 (5,035)14,493 
Net Unrealized Losses on Cash Flow Swap(2,177)567 (1,610)
Reclassification of Net Unrealized Gain on Cash Flow Hedge Agreements (798)206 (592)
Net Retirement Plan Gain3,043 (785)2,258 
Amortization of Net Retirement Plan Actuarial Gain(510)132 (378)
Amortization of Net Retirement Plan Prior Service Cost330 (85)245 
  Other Comprehensive Income$19,416 (5,000)14,416 
2024
Net Unrealized Securities Holding Gains Arising During the Period$2,833 (732)2,101 
Reclassification Adjustment for Securities Losses Included in Net Income3,038 (783)2,255 
Net Unrealized Gains on Cash Flow Swap6,498 (1,675)4,823 
Reclassification of Net Unrealized Gain on Cash Flow Hedge Agreements (2,502)645 (1,857)
Net Retirement Plan Gain10,777 (2,779)7,998 
Prior Service Cost(441)114 (327)
Amortization of Net Retirement Plan Actuarial Gain (313)81 (232)
Amortization of Net Retirement Plan Prior Service Cost272 (70)202 
  Other Comprehensive Income$20,162 (5,199)14,963 
2023
Net Unrealized Securities Holding Gains Arising During the Period$14,070 (3,629)10,441 
Reclassification Adjustment for Securities Losses Included in Net Income9,097 (2,345)6,752 
Net Unrealized Gains on Cash Flow Swap(3,908)1,008 (2,900)
Reclassification of Net Unrealized Loss on Cash Flow Hedge Agreements750 (193)557 
Net Retirement Plan Gain2,354 (607)1,747 
Prior Service Cost(526)135 (391)
Amortization of Net Retirement Plan Actuarial Gain(162)43 (119)
Amortization of Net Retirement Plan Prior Service Cost205 (53)152 
  Other Comprehensive Income$21,880 (5,641)16,239 
Schedule of Accumulated Other Comprehensive Income (Loss) The following table presents the changes in accumulated other comprehensive (loss) income by component:
Changes in Accumulated Other Comprehensive (Loss) Income by Component (1)
UnrealizedDefined Benefit Plan Items
Gains andUnrealized
Losses onGain OnNetNet Prior
Available-for-Cash Flow Actuarial Service
Sale SecuritiesSwapGain (Loss)(Cost ) CreditTotal
For the year-to-date periods ended:
December 31, 2024$(27,292)4,677 4,927 (765)(18,453)
Other comprehensive income (loss) before reclassifications14,493 (1,610)2,258 — 15,141 
Amounts reclassified from accumulated other comprehensive (loss) income — (592)(378)245 (725)
Net current-period other comprehensive income (loss) 14,493 (2,202)1,880 245 14,416 
December 31, 2025$(12,799)2,475 6,807 (520)(4,037)
December 31, 2023$(31,648)1,711 (2,839)(640)(33,416)
Other comprehensive income (loss) before reclassifications2,101 4,823 7,998 (327)14,595 
Amounts reclassified from accumulated other comprehensive income (loss)2,255 (1,857)(232)202 368 
Net current-period other comprehensive income (loss) 4,356 2,966 7,766 (125)14,963 
December 31, 2024$(27,292)4,677 4,927 (765)(18,453)
December 31, 2022$(48,841)4,054 (4,467)(401)(49,655)
Other comprehensive (loss) income before reclassifications10,441 (2,900)1,747 (391)8,897 
Amounts reclassified from accumulated other comprehensive income (loss)6,752 557 (119)152 7,342 
Net current-period other comprehensive income (loss)17,193 (2,343)1,628 (239)16,239 
December 31, 2023$(31,648)$1,711 $(2,839)$(640)$(33,416)
(1) All amounts are net of tax. Amounts in parentheses indicate debits.
Reclassification out of Accumulated Other Comprehensive Income
The following table presents the reclassifications out of accumulated other comprehensive income (loss)
Reclassifications Out of Accumulated Other Comprehensive Income (Loss) (1)
Details about Accumulated Other
Comprehensive Income (Loss) Components
Amounts Reclassified
from Accumulated Other
Comprehensive Income (Loss)
Affected Line Item in the Statement
Where Net Income Is Presented
For the year-to-date periods ended:
December 31, 2025
Reclassification of net unrealized gain on cash flow hedge agreements 798 Interest Expense
Amortization of defined benefit pension items
Prior-service credit(330)
(2)
Salaries and Employee Benefits
Actuarial gain510 
(2)
Salaries and Employee Benefits
978 Total before tax
(253)Provision for Income Taxes
Total reclassifications for the period$725 Net of tax
December 31, 2024
Unrealized gains and losses on available-for-sale securities(3,038)Net Gain (Loss) on Securities
Reclassification of net unrealized gain on cash flow hedge agreements 2,502 Interest Expense
Amortization of defined benefit pension items
Prior-service credit$(272)
(2)
Salaries and Employee Benefits
Actuarial gain313 
(2)
Salaries and Employee Benefits
(495)Total before tax
127 Provision for Income Taxes
Total reclassifications for the period$(368)Net of tax
December 31, 2023
Unrealized gains and losses on available-for-sale securities$(9,097)Net Gain (Loss) on Securities
Reclassification of net unrealized loss on cash flow hedge agreements (750)Interest Expense
Amortization of defined benefit pension items
Prior-service credit$(205)
(2)
Salaries and Employee Benefits
Actuarial gain162 
(2)
Salaries and Employee Benefits
(9,890)Total before tax
2,548 Provision for Income Taxes
Total reclassifications for the period$(7,342)Net of tax
(1) Amounts in parentheses indicate debits to profit/loss.
(2) These accumulated other comprehensive income components are included in the computation of net periodic pension cost (see Note 13. Retirement Benefit Plans to the Consolidated Financial Statements for additional details).