Other Comprehensive Income (Loss) |
Other Comprehensive Income (Loss) The following tables present the activity in other comprehensive income (loss): | | | | | | | | | | | | | | | | | | | | | | | | Three months ended June 30, | 2025 | | 2024 | (Dollars in thousands) | Pre-tax Amounts | Income Tax Benefit (Expense) | Net of Tax | | Pre-tax Amounts | Income Tax Benefit (Expense) | Net of Tax | Available for Sale Debt Securities: | | | | | | | | Change in fair value of available for sale debt securities | $2,852 | | ($720) | | $2,132 | | | $1,006 | | ($257) | | $749 | | | | | | | | | | | | | | | | | | | | | | | | | | Cash Flow Hedges: | | | | | | | | Change in fair value of cash flow hedges | (507) | | 128 | | (379) | | | 802 | | (213) | | 589 | | Net cash flow hedge losses reclassified into earnings | 1,947 | | (492) | | 1,455 | | | 1,645 | | (419) | | 1,226 | | Net change in fair value of cash flow hedges | 1,440 | | (364) | | 1,076 | | | 2,447 | | (632) | | 1,815 | | Defined Benefit Plan Obligations: | | | | | | | | | | | | | | | | | | | | | | | | Amortization of net actuarial losses into earnings | 29 | | (7) | | 22 | | | 30 | | (7) | | 23 | | | | | | | | | | Total other comprehensive income | $4,321 | | ($1,091) | | $3,230 | | | $3,483 | | ($896) | | $2,587 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | Six months ended June 30, | 2025 | | 2024 | (Dollars in thousands) | Pre-tax Amounts | Income Tax Benefit (Expense) | Net of Tax | | Pre-tax Amounts | Income Tax Benefit (Expense) | Net of Tax | Securities available for sale: | | | | | | | | Change in fair value of available for sale debt securities | $19,748 | | ($4,986) | | $14,762 | | | ($13,742) | | $3,503 | | ($10,239) | | | | | | | | | | | | | | | | | | | | | | | | | | Cash flow hedges: | | | | | | | | Change in fair value of cash flow hedges | (1,636) | | 413 | | (1,223) | | | 3,458 | | (890) | | 2,568 | | Net cash flow hedge losses reclassified into earnings | 3,869 | | (977) | | 2,892 | | | 3,291 | | (839) | | 2,452 | | Net change in fair value of cash flow hedges | 2,233 | | (564) | | 1,669 | | | 6,749 | | (1,729) | | 5,020 | | Defined benefit plan obligations: | | | | | | | | Defined benefit plan obligation remeasurement | 2,665 | | (728) | | 1,937 | | | — | | — | | — | | Pension plan settlement charge reclassified into earnings | 58 | | (15) | | 43 | | | 61 | | (15) | | 46 | | Amortization of net actuarial losses into earnings | 6,436 | | (1,625) | | 4,811 | | | — | | — | | — | | Net change in defined benefit plan obligations | 9,159 | | (2,368) | | 6,791 | | | 61 | | (15) | | 46 | | Total other comprehensive income (loss) | $31,140 | | ($7,918) | | $23,222 | | | ($6,932) | | $1,759 | | ($5,173) | |
The following tables present the changes in AOCL by component, net of tax: | | | | | | | | | | | | | | | | | | | | | | | | | | (Dollars in thousands) | Net Unrealized Losses on Available For Sale Debt Securities | | | | Net Unrealized Losses on Cash Flow Hedges | | Net Unrealized Losses on Defined Benefit Plan Obligations | | Total | For the three months ended June 30, 2025 | | | | | | Balance at March 31, 2025 | ($89,809) | | | | | ($7,345) | | | ($2,025) | | | ($99,179) | | Other comprehensive income (loss) before reclassifications | 2,132 | | | | | (379) | | | — | | | 1,753 | | Amounts reclassified from AOCL | — | | | | | 1,455 | | | 22 | | | 1,477 | | Net other comprehensive income | 2,132 | | | | | 1,076 | | | 22 | | | 3,230 | | Balance at June 30, 2025 | ($87,677) | | | | | ($6,269) | | | ($2,003) | | | ($95,949) | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | (Dollars in thousands) | Net Unrealized Losses on Available For Sale Debt Securities | | | | Net Unrealized Losses on Cash Flow Hedges | | Net Unrealized Losses on Defined Benefit Plan Obligations | | Total | For the six months ended June 30, 2025 | | | | | | Balance at December 31, 2024 | ($102,439) | | | | | ($7,938) | | | ($8,794) | | | ($119,171) | | Other comprehensive income (loss) before reclassifications | 14,762 | | | | | (1,223) | | | 1,937 | | | 15,476 | | Amounts reclassified from AOCL | — | | | | | 2,892 | | | 4,854 | | | 7,746 | | Net other comprehensive income | 14,762 | | | | | 1,669 | | | 6,791 | | | 23,222 | | Balance at June 30, 2025 | ($87,677) | | | | | ($6,269) | | | ($2,003) | | | ($95,949) | |
| | | | | | | | | | | | | | | | | | | | | | | | | | (Dollars in thousands) | Net Unrealized Losses on Available For Sale Debt Securities | | | | Net Unrealized Losses on Cash Flow Hedges | | Net Unrealized Losses on Defined Benefit Plan Obligations | | Total | For the three months ended June 30, 2024 | | | | | | Balance at March 31, 2024 | ($127,579) | | | | | ($12,414) | | | ($8,920) | | | ($148,913) | | Other comprehensive income before reclassifications | 749 | | | | | 589 | | | — | | | 1,338 | | Amounts reclassified from AOCL | — | | | | | 1,226 | | | 23 | | | 1,249 | | Net other comprehensive income | 749 | | | | | 1,815 | | | 23 | | | 2,587 | | Balance at June 30, 2024 | ($126,830) | | | | | ($10,599) | | | ($8,897) | | | ($146,326) | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | (Dollars in thousands) | Net Unrealized Losses on Available For Sale Debt Securities | | | | Net Unrealized Losses on Cash Flow Hedges | | Net Unrealized Losses on Defined Benefit Plan Obligations | | Total | For the six months ended June 30, 2024 | | | | | | Balance at December 31, 2023 | ($116,591) | | | | | ($15,619) | | | ($8,943) | | | ($141,153) | | Other comprehensive (loss) income before reclassifications | (10,239) | | | | | 2,568 | | | — | | | (7,671) | | Amounts reclassified from AOCL | — | | | | | 2,452 | | | 46 | | | 2,498 | | Net other comprehensive (loss) income | (10,239) | | | | | 5,020 | | | 46 | | | (5,173) | | Balance at June 30, 2024 | ($126,830) | | | | | ($10,599) | | | ($8,897) | | | ($146,326) | |
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