v3.25.2
Comprehensive Income
6 Months Ended
Jun. 30, 2025
Other Comprehensive Income (Loss), Net of Tax [Abstract]  
Comprehensive Income COMPREHENSIVE INCOME (In Thousands)
The following table presents the components of other comprehensive income (loss) for the three and six month periods ended June 30, 2025 and 2024:
Schedule of Comprehensive Income (Loss)
Three Months Ended June 30,Six Months Ended June 30,
TaxTax
Before-Tax(Expense)Net-of-TaxBefore-Tax(Expense)Net-of-Tax
AmountBenefitAmountAmountBenefitAmount
2025
Net Unrealized Securities Holding Gain on Securities Available-for-Sale Arising During the Period$4,387 $(1,131)$3,256 $13,032 $(3,360)$9,672 
Net Unrealized (Loss) on Cash Flow Swap(208)54 (154)(1,762)454 (1,308)
Reclassification of Net Unrealized (Gain) on Cash Flow Hedge Agreements to Interest Expense(558)144 (414)(988)255 (733)
Amortization of Net Retirement Plan Actuarial (Gain)(159)41 (118)(255)66 (189)
Amortization of Net Retirement Plan Prior Service Cost83 (22)61 166 (44)122 
  Other Comprehensive Income$3,545 $(914)$2,631 $10,193 $(2,629)$7,564 
2024
Net Unrealized Securities Holding Gain (Loss) on Securities Available-for-Sale Arising During the Period$1,014 $(263)$751 $(1,048)$269 $(779)
Net Unrealized Gain on Cash Flow Swap680 (175)505 3,901 (1,006)2,895 
Reclassification of Net Unrealized (Gain) on Cash Flow Hedge Agreements to Interest Expense(215)56 (159)(428)111 (317)
Amortization of Net Retirement Plan Actuarial (Gain)(91)25 (66)(157)41 (116)
Amortization of Net Retirement Plan Prior Service Cost68 (17)51 137 (36)101 
  Other Comprehensive Income$1,456 $(374)$1,082 $2,405 $(621)$1,784 
The following table presents the changes in accumulated other comprehensive (loss) income by component:

Changes in Accumulated Other Comprehensive (Loss) Income by Component (1)
Unrealized Loss on Available-for-Sale SecuritiesUnrealized Gain on Cash Flow SwapDefined Benefit Plan ItemsTotal
Net Actuarial Gain (Loss)Net Prior Service Cost
For the quarter-to-date periods ended:
March 31, 2025$(20,876)$3,204 $4,856 $(704)$(13,520)
Other comprehensive income or loss before reclassifications3,256 (154)— — 3,102 
Amounts reclassified from accumulated other comprehensive income or loss— (414)(118)61 (471)
Net current-period other comprehensive income or loss3,256 (568)(118)61 2,631 
June 30, 2025$(17,620)$2,636 $4,738 $(643)$(10,889)
March 31, 2024$(33,178)$3,943 $(2,889)$(590)$(32,714)
Other comprehensive income or loss before reclassifications751 505 — — 1,256 
Amounts reclassified from accumulated other comprehensive income or loss— (159)(66)51 (174)
Net current-period other comprehensive income or loss751 346 (66)51 1,082 
June 30, 2024$(32,427)$4,289 $(2,955)$(539)$(31,632)
For the Year-To-Date periods ended:
December 31, 2024$(27,292)$4,677 $4,927 $(765)$(18,453)
Other comprehensive income or loss before reclassifications9,672 (1,308)— — 8,364 
Amounts reclassified from accumulated other comprehensive income or loss— (733)(189)122 (800)
Net current-period other comprehensive income or loss9,672 (2,041)(189)122 7,564 
June 30, 2025$(17,620)$2,636 $4,738 $(643)$(10,889)
December 31, 2023$(31,648)$1,711 $(2,839)$(640)$(33,416)
Other comprehensive income or loss before reclassifications(779)2,895 — — 2,116 
Amounts reclassified from accumulated other comprehensive income or loss— (317)(116)101 (332)
Net current-period other comprehensive income or loss(779)2,578 (116)101 1,784 
June 30, 2024$(32,427)$4,289 $(2,955)$(539)$(31,632)
(1) All amounts are net of tax.

The following table presents the reclassifications out of accumulated other comprehensive income or loss:
Reclassifications Out of Accumulated Other Comprehensive Income or Loss
Details about Accumulated Other Comprehensive Income or Loss ComponentsAmounts Reclassified from Accumulated Other Comprehensive Income or LossAffected Line Item in the Statement Where Net Income Is Presented
For the quarter-to-date periods ended:
June 30, 2025
Reclassification of Net Unrealized Gain on Cash Flow Hedge Agreements to Interest Expense$558 Interest expense
Amortization of defined benefit pension items:
Prior-service costs(83)
(1)
Salaries and Employee Benefits
Actuarial gain159 
(1)
Salaries and Employee Benefits
634 Total before Tax
(163)Provision for Income Taxes
Total reclassifications for the period$471 Net of Tax
June 30, 2024
Reclassification of Net Unrealized Gain on Cash Flow Hedge Agreements to Interest Expense$215 Interest expense
Amortization of defined benefit pension items:
Prior-service costs$(68)
(1)
Salaries and Employee Benefits
Actuarial gain91 
(1)
Salaries and Employee Benefits
238 Total before Tax
(64)Provision for Income Taxes
Total reclassifications for the period$174 Net of Tax
For the Year-to-date periods ended:
June 30, 2025
Reclassification of Net Unrealized Gain on Cash Flow Hedge Agreements to Interest Expense$988 Interest expense
Amortization of defined benefit pension items:
Prior-service costs(166)
(1)
Salaries and Employee Benefits
Actuarial gain255 
(1)
Salaries and Employee Benefits
1,077 Total before Tax
(277)Provision for Income Taxes
Total reclassifications for the period$800 Net of Tax
June 30, 2024
Reclassification of Net Unrealized Gain on Cash Flow Hedge Agreements to Interest Expense$428 Interest expense
Amortization of defined benefit pension items:
Prior-service costs(137)
(1)
Salaries and Employee Benefits
Actuarial gain157 
(1)
Salaries and Employee Benefits
448 Total before Tax
(116)Provision for Income Taxes
Total reclassifications for the period$332 Net of Tax
(1) These accumulated other comprehensive gain or loss components are included in the computation of net periodic pension cost.