Note 15 – Components of Other Comprehensive Income/(loss)
Following is detail of "Accumulated other comprehensive income/(loss)" as presented in the Consolidated Statements of Condition: | ||||||||||||
Accumulated Other Comprehensive Income/(Loss) | ||||||||||||
Before-Tax Amount | Tax Benefit/ (Expense) | |||||||||||
(Dollars in thousands) | ||||||||||||
December 31, 2010 | $ | (127,546) | ||||||||||
Other comprehensive income: | ||||||||||||
Fair value adjustments on securities available-for-sale | $ | 36,294 | $ | (14,119) | 22,175 | |||||||
Adjustment for net (gain)/loss on securities available-for-sale included in Net income/(loss) | (773) | 301 | (472) | |||||||||
Pension and postretirement plans: | ||||||||||||
Net actuarial gain/(loss) arising during the period | (60,953) | 23,337 | (37,616) | |||||||||
Amortization of prior service cost, transition asset/obligation, and net actuarial gain/(loss) included in net periodic benefit cost | 21,556 | (8,253) | 13,303 | |||||||||
December 31, 2011 | (3,876) | 1,266 | (130,156) | |||||||||
Other comprehensive income: | ||||||||||||
Fair value adjustments on securities available-for-sale | (19,016) | 7,397 | (11,619) | |||||||||
Adjustment for net (gain)/loss on securities available-for-sale included in Net income/(loss) | (328) | 128 | (200) | |||||||||
Pension and postretirement plans: | ||||||||||||
Net actuarial gain/(loss) arising during the period | (45,110) | 17,906 | (27,204) | |||||||||
Amortization of prior service cost, transition asset/obligation, and net actuarial gain/(loss) included in net periodic benefit cost | 37,867 | (15,031) | 22,836 | |||||||||
December 31, 2012 | (26,587) | 10,400 | (146,343) | |||||||||
Other comprehensive income: | ||||||||||||
Fair value adjustments on securities available-for-sale | (108,703) | 41,935 | (66,768) | |||||||||
Adjustment for net (gain)/loss on securities available-for-sale included in Net income/(loss) | 451 | (174) | 277 | |||||||||
Pension and postretirement plans: | ||||||||||||
Net actuarial gain/(loss) arising during the period | 81,456 | (31,392) | 50,064 | |||||||||
Prior service credit/(cost) arising during the period | 10,678 | (4,115) | 6,563 | |||||||||
Amortization of prior service cost, transition asset/obligation, and net actuarial gain/(loss) included in net periodic benefit cost | 10,085 | (3,887) | 6,198 | |||||||||
December 31, 2013 | $ | (6,033) | $ | 2,367 | $ | (150,009) | ||||||