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CHANGE IN ACCUMULATED OTHER COMPREHENSIVE LOSS (Tables)
9 Months Ended
Sep. 30, 2023
Equity [Abstract]  
Schedule of Components of Accumulated Other Comprehensive Loss Changes to accumulated other comprehensive loss by component are shown, net of taxes, in the following tables for the period indicated:
(Dollars in thousands)Net change in
investment
securities
available-for-sale
Net change
in investment securities
held-to-maturity
Net
change in
defined
benefit
plan
Net change in
fair value of
derivatives
used for cash
flow hedges(1)
Net change in equity method investmentsTotal
Balance, June 30, 2023$(550,890)$(99,945)$(4,571)$(1,115)$462 $(656,059)
Other comprehensive (loss) income(127,523) (3)(1,608)192 (128,942)
Less: Amounts reclassified from accumulated other comprehensive loss 4,366 (48)(28) 4,290 
Net current-period other comprehensive (loss) income(127,523)4,366 (51)(1,636)192 (124,652)
Balance, September 30, 2023$(678,413)$(95,579)$(4,622)$(2,751)$654 $(780,711)
Balance, June 30, 2022$(395,213)$(119,649)$(4,746)$189 $541 $(518,878)
Other comprehensive (loss) income(202,520)(1)(4)— 25 (202,500)
Less: Amounts reclassified from accumulated other comprehensive loss— 5,967 (27)(41)— 5,899 
Net current-period other comprehensive (loss) income(202,520)5,966 (31)(41)25 (196,601)
Balance, September 30, 2022$(597,733)$(113,683)$(4,777)$148 $566 $(715,479)
(1)Includes amortization of net gain for cash flow hedges terminated as of April 1, 2020.
(Dollars in thousands)Net change in
investment
securities
available-for-sale
Net change
in investment securities
held-to-maturity
Net
change in
defined
benefit
plan
Net change in
fair value of
derivatives
used for cash
flow hedges(1)
Net change in equity method investmentsTotal
Balance, December 31, 2022$(563,533)$(108,503)$(4,482)$108 $566 $(675,844)
Other comprehensive (loss) income(114,880) 2 (2,752)88 (117,542)
Less: Amounts reclassified from accumulated other comprehensive loss 12,924 (142)(107) 12,675 
Net current-period other comprehensive (loss) income(114,880)12,924 (140)(2,859)88 (104,867)
Balance, September 30, 2023$(678,413)$(95,579)$(4,622)$(2,751)$654 $(780,711)
Balance, December 31, 2021$(33,873)$175 $(4,691)$268 $353 $(37,768)
Other comprehensive (loss) income(2)
(563,860)(119,769)(4)— 213 (683,420)
Less: Amounts reclassified from accumulated other comprehensive loss— 5,911 (82)(120)— 5,709 
Net current-period other comprehensive (loss) income(563,860)(113,858)(86)(120)213 (677,711)
Balance, September 30, 2022$(597,733)$(113,683)$(4,777)$148 $566 $(715,479)
(1)Includes amortization of net gain for cash flow hedges terminated as of April 1, 2020.
(2)Includes $119.8 million, net of tax, of unrealized losses on transferred investment securities from available-for-sale to held-to-maturity.
Schedule of Components of Other Comprehensive Loss
The unaudited Consolidated Statements of Income were impacted by components of other comprehensive loss as shown in the tables below:
Three Months Ended September 30,Affected line item in unaudited Consolidated Statements of Income
(Dollars in thousands)20232022
Net unrealized holding losses on securities transferred between available-for-sale and held-to-maturity:
Amortization of net unrealized losses to income during the period5,745 7,851 Net interest income
Income taxes(1,379)(1,884)Income tax provision
Net of tax4,366 5,967 
Amortization of defined benefit pension plan-related items:
Prior service credits
(19)(19)
Actuarial gains(44)(17)
Total before tax(63)(36)Salaries, benefits and other compensation
Income taxes15 Income tax provision
Net of tax(48)(27)
Net unrealized gains on terminated cash flow hedges:
Amortization of net unrealized gains to income during the period(37)(54)Interest and fees on loans and leases
Income taxes9 13 Income tax provision
Net of tax(28)(41)
Total reclassifications$4,290 $5,899 
 Nine Months Ended September 30,Affected line item in unaudited Consolidated Statements of Operations
 20232022 
Net unrealized holding losses on securities transferred between available-for-sale and held-to-maturity:
Amortization of net unrealized losses to income during the period17,005 7,777 Net interest income
Income taxes(4,081)(1,866)Income tax provision
Net of tax12,924 5,911 
Amortization of defined benefit pension plan-related items:
Prior service credits
(57)(57)
Actuarial gains(130)(51)
Total before tax(187)(108)Salaries, benefits and other compensation
Income taxes45 26 Income tax provision
Net of tax(142)(82)
Net unrealized gains on terminated cash flow hedges:
Amortization of net unrealized gains to income during the period(141)(158)Interest and fees on loans and leases
Income taxes34 38 Income tax provision
Net of tax(107)(120)
Total reclassifications$12,675 $5,709