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Note 10 - Other Comprehensive Income (Loss)
9 Months Ended
Sep. 30, 2019
Notes to Financial Statements  
Comprehensive Income (Loss) Note [Text Block]

(10)

Other Comprehensive Income (Loss)

 

The following tables illustrate activity within the balances in AOCI by component:

 

   

Net unrealized

   

Net unrealized

   

Minimum

         
   

gains (losses)

   

gains (losses)

   

pension

         

Three months ended September 30, 2019

 

on securities

   

on cash

   

liability

         

(In thousands)

 

available for sale

   

flow hedges

   

adjustment

   

Total

 
                                 

Balance, beginning of period

  $ 1,291     $ (14 )   $ (211 )   $ 1,066  

Net current period other comprehensive income (loss)

    719       (55 )     (2 )     662  

Balance, end of period

  $ 2,010     $ (69 )   $ (213 )   $ 1,728  
                                 

Three months ended September 30, 2018

                               

Balance, beginning of period

  $ (7,274 )   $ 623     $ (393 )   $ (7,044 )

Net current period other comprehensive income (loss)

    (1,632 )     40             (1,592 )

Balance, end of period

  $ (8,906 )   $ 663     $ (393 )   $ (8,636 )

 

   

Net unrealized

   

Net unrealized

   

Minimum

         
   

gains (losses)

   

gains (losses)

   

pension

         

Nine months ended September 30, 2019

 

on securities

   

on cash

   

liability

         

(In thousands)

 

available for sale

   

flow hedges

   

adjustment

   

Total

 
                                 

Balance, beginning of period

  $ (5,330 )   $ 408     $ (220 )   $ (5,142 )

Net current period other comprehensive income (loss)

    7,340       (477 )     7       6,870  

Balance, end of period

  $ 2,010     $ (69 )   $ (213 )   $ 1,728  
                                 

Nine months ended September 30, 2018

                               

Balance, beginning of period

  $ (1,781 )   $ 193     $ (342 )   $ (1,930 )

Net current period other comprehensive income (loss)

    (6,629 )     429             (6,200 )

Reclassification adjustment for adoption of ASU 2018-02

    (496 )     41       (51 )     (506 )

Balance, end of period

  $ (8,906 )   $ 663     $ (393 )   $ (8,636 )