v3.25.4
Statements of Consolidated Shareholders' Equity - USD ($)
$ in Thousands
Total
Common Shares
Common Shares Issued to Rabbi Trust
Deferred Compensation Liability
Paid in Capital
Retained Earnings
Treasury Shares
Cumulative Translation Adjustment
Unrecognized Pension Benefit Cost
Total Preformed Line Products Company Equity
Noncontrolling Interests
Beginning Balance at Dec. 31, 2022 $ 358,624 $ 13,351 $ (10,261) $ 10,261 $ 53,646 $ 460,930 $ (99,303) $ (65,495) $ (4,492) $ 358,637 $ (13)
Increase (Decrease) in Stockholders' Equity [Roll Forward]                      
Net income 63,337         63,332       63,332 5
Foreign currency translation adjustment 9,667             9,667   9,667  
Pension adjustment, net of tax 14               14 14  
Total comprehensive income 73,018                 73,013 5
Purchase of common shares (16,101)           (16,101)     (16,101)  
Stock incentive plan activity 4,548 256     7,312 (175) (2,845)     4,548  
Common shares distributed from rabbi trust, net 0   78 (78)           0  
Cash dividends declared (3,933)         (3,933)       (3,933)  
Ending Balance at Dec. 31, 2023 416,156 13,607 (10,183) 10,183 60,958 520,154 (118,249) (55,828) (4,478) 416,164 (8)
Increase (Decrease) in Stockholders' Equity [Roll Forward]                      
Net income 37,111         37,094       37,094 17
Foreign currency translation adjustment (21,708)             (21,708)   (21,708)  
Pension adjustment, net of tax (895)               (895) (895)  
Total comprehensive income 14,508                 14,491 17
Purchase of common shares (3,099)           (3,099)     (3,099)  
Stock incentive plan activity (1,172) 145     4,135   (5,452)     (1,172)  
Common shares distributed from rabbi trust, net 0   608 (608)           0  
Cash dividends declared (4,069)         (4,069)       (4,069)  
Ending Balance at Dec. 31, 2024 422,324 13,752 (9,575) 9,575 65,093 553,179 (126,800) (77,536) (5,373) 422,315 9
Increase (Decrease) in Stockholders' Equity [Roll Forward]                      
Net income 35,307         35,283       35,283 24
Foreign currency translation adjustment 24,171             24,171   24,171  
Pension adjustment, net of tax 5,373               5,373 5,373  
Total comprehensive income 64,851                 64,827 24
Purchase of common shares (8,873)           (8,873)     (8,873)  
Stock incentive plan activity 1,351 108     2,124   (881)     1,351  
Common shares issued to rabbi trust, net 0   (11) 11           0  
Cash dividends declared (4,102)         (4,102)       (4,102)  
Ending Balance at Dec. 31, 2025 $ 475,551 $ 13,860 $ (9,586) $ 9,586 $ 67,217 $ 584,360 $ (136,554) $ (53,365) $ 0 $ 475,518 $ 33