7Baggers

City Holding Company
(NASDAQ:CHCO) 

CHCO stock logo

City Holding Company operates as a holding company for City National Bank of West Virginia that provides various banking, trust and investment management, and other financial solutions in the United States. The company offers checking, savings, and money market accounts, as well as certificates of d...

Founded: 1957
Full Time Employees: 921
Sector: Financial Services
Industry: Banks-Regional

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At a glance:
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Quarterly
Annual
    Unit: USD2025-12-31 2025-09-30 2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-12-31 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-09-30 2018-06-30 2018-03-31 2017-12-31 2017-09-30 2017-06-30 2017-03-31 2016-12-31 2016-09-30 2016-06-30 2016-03-31 2015-12-31 2015-09-30 2015-06-30 2015-03-31 2014-12-31 2014-09-30 2014-06-30 2014-03-31 2013-12-31 2013-09-30 2013-06-30 2013-03-31 2012-09-30 2012-06-30 2012-03-31 2011-12-31 2011-09-30 2011-06-30 2011-03-31 2010-12-31 2010-09-30 2010-06-30 2010-03-31 2009-12-31 2009-09-30 2009-06-30 2009-03-31 2008-12-31 2008-09-30 2008-06-30 2008-03-31 2007-09-30 2007-06-30 2007-03-31 2006-12-31 2006-09-30 2006-06-30 2006-03-31 2005-09-30 2005-06-30 2005-03-31 2004-09-30 2004-06-30 2004-03-31 2003-09-30 2003-06-30 2003-03-31 2002-12-31 2002-09-30 2002-06-30 
                                                                                              
      interest and fees on loans
    64,376,000 64,606,000 62,588,000 60,917,000 61,701,000 61,407,000 59,285,000 59,128,000 57,754,000 55,582,000 52,352,000 47,004,000 42,963,000 38,493,000 33,208,000 31,874,000 35,277,000 33,961,000 33,114,000 34,324,000 35,685,000 35,761,000 37,718,000 41,335,000 41,615,000 42,944,000 43,174,000 42,279,000 37,973,000 36,872,000 34,292,000 32,918,000 32,529,000 32,004,000 31,115,000 30,104,000 30,127,000 29,444,000 29,640,000 28,927,000 29,032,000 27,875,000 28,812,000 29,388,000 29,011,000 29,292,000 28,621,000 29,734,000 31,901,000 32,983,000 31,771,000 29,939,000 24,633,000 23,143,000 23,068,000 22,998,000 23,326,000 23,352,000 23,738,000 24,124,000 24,487,000 25,991,000 24,854,000 25,746,000 26,392,000 26,946,000 28,058,000 30,465,000 30,254,000 30,416,000 30,992,000 32,721,000 31,947,000 31,464,000 32,157,000 31,774,000 30,451,000 29,564,000 28,083,000 24,523,000 22,190,000 64,588,000 43,107,000 21,723,000 59,965,000 39,879,000 20,302,000 21,555,000 71,825,000 49,382,000 
      interest and dividends on investment securities:
                                                                                              
      taxable
    14,657,000 15,947,000 15,347,000 13,945,000 13,742,000 14,403,000 13,947,000 12,040,000 12,336,000 12,432,000 11,794,000 11,773,000 11,118,000 9,556,000 7,547,000 6,223,000 5,753,000 6,144,000 5,932,000 5,242,000 5,500,000 6,266,000 5,718,000 5,871,000 5,924,000 6,044,000 5,732,000 5,689,000 5,023,000 4,216,000 4,117,000 3,981,000 3,796,000 3,666,000 3,480,000 3,444,000 3,277,000 3,183,000 2,927,000 3,005,000 2,856,000 2,621,000 2,641,000 2,712,000 2,969,000 2,864,000 2,930,000 3,003,000 2,923,000 2,392,000 2,632,000 2,750,000 3,438,000 3,943,000 3,964,000 4,035,000 4,639,000 4,513,000 4,541,000 4,647,000 5,019,000 5,317,000 5,611,000 5,706,000 5,820,000 5,612,000 6,062,000 5,818,000 5,850,000 6,120,000 6,064,000 6,024,000 6,752,000 6,933,000 6,800,000 6,870,000 7,489,000 7,260,000 7,288,000 7,682,000 7,646,000 22,331,000 14,598,000 7,224,000 15,507,000 10,876,000 5,213,000 4,906,000 14,965,000 9,687,000 
      tax-exempt
    1,014,000 708,000 712,000 724,000 789,000 824,000 838,000 830,000 832,000 910,000 950,000 1,162,000 1,261,000 1,228,000 1,205,000 1,216,000 1,226,000 1,257,000 1,291,000 1,253,000 1,255,000 1,132,000 821,000 707,000 710,000 722,000 755,000 779,000 729,000 701,000 710,000 703,000 692,000 665,000 686,000 663,000 481,000 419,000 365,000 357,000 334,000 272,000 267,000 264,000 302,000 282,000 277,000 281,000 291,000 299,000 312,000 324,000 346,000 368,000 387,000 398,000 392,000 445,000 462,000 454,000 452,000 461,000 470,000 434,000 437,000 403,000 409,000 372,000 371,000 381,000 399,000 415,000 427,000 427,000 423,000 437,000 455,000 467,000 508,000 447,000 435,000 1,372,000 934,000 477,000 1,633,000 1,130,000 571,000 635,000 2,066,000 1,415,000 
      interest on deposits in depository institutions
    1,400,000 829,000 1,644,000 1,802,000 2,588,000 1,417,000 1,920,000 1,570,000 942,000 1,265,000 2,585,000 1,591,000 1,245,000 1,530,000 782,000 238,000 217,000 196,000 162,000 118,000 60,000 72,000 55,000 304,000 298,000 271,000 577,000 186,000 623,000 940,000 61,000 42,000 34,000 31,000 17,000 3,000                            1,000 2,000 3,000 5,000 8,000 47,000 51,000 65,000 171,000 113,000 117,000 459,000 452,000 415,000 150,000 31,000 24,000 18,000 36,000 22,000 11,000 103,000 58,000     
      total interest income
    81,447,000 82,090,000 80,291,000 77,388,000 78,820,000 78,051,000 75,990,000 73,568,000 71,864,000 70,189,000 67,681,000 61,530,000 56,587,000 50,807,000 42,742,000 39,551,000 42,473,000 41,558,000 40,499,000 40,937,000 42,500,000 43,231,000 44,312,000 48,217,000 48,547,000 49,981,000 50,238,000 48,933,000 44,348,000 42,729,000 39,180,000 37,644,000 37,051,000 36,366,000 35,298,000 34,214,000 33,885,000 33,046,000 32,932,000 32,289,000 32,222,000 30,768,000 31,720,000 32,364,000 32,282,000 32,438,000 31,828,000 33,018,000 35,115,000 35,674,000 34,724,000 33,026,000 28,432,000 27,466,000 27,430,000 27,440,000 28,370,000 28,323,000 28,754,000 29,241,000 29,970,000 31,770,000 30,935,000 31,887,000 32,651,000 32,964,000 34,534,000 36,663,000 36,522,000 36,968,000 37,520,000 39,597,000 39,530,000 39,198,000 39,926,000 39,747,000 39,010,000 37,441,000 35,910,000 32,676,000 30,293,000 89,135,000 59,468,000 30,175,000 87,709,000 59,368,000 29,699,000 30,616,000 98,349,000 66,648,000 
      interest expense
                                                                                              
      interest on deposits
    15,811,000 16,201,000 16,492,000 16,852,000 17,463,000 17,072,000 15,897,000 14,097,000 12,479,000 10,551,000 8,567,000 5,690,000 3,011,000 1,585,000 1,328,000 1,521,000 1,710,000 1,955,000 2,460,000 3,280,000 4,198,000 5,123,000 5,963,000 7,238,000 7,898,000 8,585,000 8,417,000 7,767,000 6,656,000 5,497,000 4,918,000 4,326,000 3,941,000 3,796,000 3,660,000 3,429,000 3,137,000 3,006,000 3,011,000 2,898,000 2,760,000 2,686,000 2,699,000 2,741,000 2,792,000 2,730,000 2,737,000 2,753,000 2,868,000 3,068,000 3,195,000 3,227,000 3,312,000 3,383,000 3,668,000 3,965,000 4,550,000 5,568,000 5,711,000 6,042,000 6,551,000 6,831,000 7,184,000 8,000,000 8,673,000 9,184,000 9,373,000 9,926,000 9,446,000 10,519,000 12,015,000 13,190,000 13,077,000 12,712,000 12,543,000 11,782,000 10,520,000 9,201,000 7,763,000 6,605,000 5,868,000 17,274,000 11,407,000 5,692,000 16,884,000 11,365,000 5,767,000 6,161,000 23,189,000 16,618,000 
      interest on securities sold under agreements to repurchase
    2,418,000 3,196,000 3,307,000 3,169,000                                                                                       
      interest on fhlb long-term advances
    1,586,000 1,586,000 1,568,000 1,552,000 1,586,000 1,586,000 1,568,000 1,423,000 1,026,000 1,034,000 649,000                                                                                
      total interest expense
    20,890,000 20,983,000 21,367,000 21,573,000 23,240,000 22,446,000 21,365,000 19,141,000 17,198,000 14,575,000 12,179,000 8,071,000 4,545,000 2,025,000 1,452,000 1,635,000 1,842,000 2,070,000 2,585,000 3,397,000 4,318,000 5,254,000 6,242,000 7,802,000 8,702,000 9,444,000 9,327,000 8,867,000 7,917,000 7,171,000 5,607,000 4,997,000 4,662,000 4,340,000 4,036,000 3,767,000 3,506,000 3,268,000 3,264,000 3,169,000 3,010,000 2,910,000 2,937,000 2,973,000 3,041,000 2,968,000 2,973,000 2,978,000 3,115,000 3,304,000 3,427,000 3,455,000 3,557,000 3,625,000 3,908,000 4,216,000 4,799,000 5,803,000 5,940,000 6,282,000 6,810,000 7,092,000 7,444,000 8,302,000 8,995,000 9,526,000 9,780,000 10,582,000 10,241,000 11,494,000 13,601,000 15,374,000 15,196,000 14,756,000 14,819,000 14,233,000 13,085,000 11,588,000 10,290,000 9,054,000 8,030,000 23,758,000 15,723,000 7,863,000 24,288,000 16,476,000 8,485,000 9,465,000 32,834,000 23,145,000 
      net interest income
    60,557,000 61,107,000 58,924,000 55,815,000 55,580,000 55,605,000 54,625,000 54,427,000 54,666,000 55,614,000 55,502,000 53,459,000 52,042,000 48,782,000 41,290,000 37,916,000 40,631,000 39,488,000 37,914,000 37,540,000 38,182,000 37,977,000 38,070,000 40,415,000 39,845,000 40,537,000 40,911,000 40,066,000 36,431,000 35,558,000 33,573,000 32,647,000 32,389,000 32,026,000 31,262,000 30,447,000 30,379,000 29,778,000 29,668,000 29,120,000 29,212,000 27,858,000 28,783,000 29,391,000 29,241,000 29,470,000 28,855,000 30,040,000 32,000,000 32,370,000 31,297,000 29,571,000 24,875,000 23,841,000 23,522,000 23,224,000 23,571,000 22,520,000 22,814,000 22,959,000 23,160,000 24,678,000 23,491,000 23,585,000 23,656,000 23,438,000 24,754,000 26,081,000 26,281,000 25,474,000 23,919,000 24,223,000 24,334,000 24,442,000 25,107,000 25,514,000 25,925,000 25,853,000 25,620,000 23,622,000 22,263,000 65,377,000 43,745,000 22,312,000 63,421,000 42,892,000 21,214,000 21,151,000 65,515,000 43,503,000 
      (recovery of) provision for credit losses
    1,100,000 -500,000 -2,000,000               -725,000 -2,000,000 -440,000                                                                       
      net interest income after (recovery of) provision for credit losses
    59,457,000 61,607,000 60,924,000     54,607,000         40,631,000 40,213,000 39,914,000 37,980,000                                                                       
      non-interest income
                                                                                              
      gains on sale of investment securities
    46,750 37,000 150,000  -3,250 -12,000  -1,000 10,750 -730,000  773,000     78,000  29,000 283,000 14,000  -6,000 63,000 17,250 -40,000 21,000 88,000               2,116,000 14,000 184,000 71,000 818,000 83,000 671,000  9,000 84,000 730,000   939,000 627,000 3,128,000                                 
      unrealized gains recognized on equity securities still held
    -416,000 96,000 -263,000  -390,000 353,000 364,000 -152,000 365,000  -294,000 361,000 -263,000 1,000 -601,000  52,000 93,000 410,000  835,000 461,000 242,000 -2,402,000 915,000 -214,000 113,000                                                                
      service charges
    7,713,000 7,852,000 7,264,000 7,151,000 7,679,000 7,531,000 6,980,000 7,035,000 7,158,000 7,124,000 6,906,000 6,563,000 7,054,000 7,487,000 7,067,000 6,725,000 7,057,000 6,706,000 5,895,000 5,881,000 6,771,000 6,295,000 4,945,000 7,723,000 8,234,000 8,183,000 7,778,000 7,321,000 7,921,000 7,598,000 7,323,000 6,862,000 7,355,000 7,415,000 7,074,000 6,730,000 6,994,000 6,842,000 6,564,000 6,303,000 6,893,000 6,907,000 6,589,000 5,927,000 6,750,000 6,934,000 6,739,000 6,160,000 6,995,000 7,169,000 6,897,000 6,535,000 9,861,000 9,649,000 9,090,000 9,360,000 9,840,000 9,855,000 9,054,000 9,624,000 9,702,000 10,448,000 10,228,000 11,628,000 11,689,000 11,261,000 10,435,000 11,459,000 11,993,000 11,269,000 11,274,000 11,192,000 11,426,000 10,063,000 10,962,000 10,833,000 10,903,000 9,862,000 10,433,000 9,685,000 8,443,000 23,931,000 15,491,000 7,381,000 20,660,000 13,375,000 6,081,000 6,790,000 16,710,000 10,397,000 
      bankcard revenue
    7,291,000 7,324,000 7,233,000 6,807,000 7,109,000 7,346,000 7,245,000 6,800,000 7,109,000 7,058,000 7,190,000 6,603,000 6,791,000 7,052,000 7,062,000 6,444,000 6,762,000 6,791,000 7,221,000 6,213,000 5,991,000 6,065,000 5,888,000 5,115,000 5,162,000 5,440,000 5,522,000 4,969,000 4,826,000 4,677,000 4,532,000 4,334,000 4,316,000 4,291,000 4,372,000 4,140,000 4,142,000 4,216,000 4,190,000 3,967,000 3,923,000 3,895,000 4,002,000 4,074,000 3,744,000 3,796,000 3,838,000 3,685,000 3,404,000 3,468,000 3,450,000 3,199,000                                       
      wealth and investment management fee income
    3,352,000 3,075,000 3,016,000 2,902,000                                                                                       
      bank owned life insurance
    864,000 919,000 942,000 1,153,000 855,000 1,435,000 775,000 927,000 1,218,000 807,000 3,208,000 804,000 1,813,000 754,000 978,000 2,014,000 748,000 747,000 940,000 1,460,000 813,000 1,088,000 848,000 1,676,000 856,000 762,000 1,132,000 1,016,000 734,000 813,000 722,000 821,000 1,240,000 774,000 968,000 1,229,000 952,000 846,000 768,000 760,000 898,000 929,000 783,000 764,000 778,000 771,000 765,000 756,000 975,000 805,000 799,000 812,000 738,000 766,000 723,000 613,750 952,000 745,000 758,000 661,250 1,104,000 813,000 728,000 629,500 794,000 992,000 732,000 548,250 767,000 750,000 676,000 596,000 585,000 696,000 444,000 561,000 678,000 537,000 552,000 545,000 991,000 1,747,000 1,172,000 581,000 727,000      
      other income
    834,000 851,000 894,000 729,000 739,000 772,000 785,000 716,000 774,000 742,000 952,000 1,326,000 792,000 792,000 1,243,000 791,000 799,000 1,438,000 941,000 811,000 1,142,000 1,232,000 783,000 1,536,000 861,000 765,000 1,560,000 814,000 -420,000 1,086,000 1,389,000 907,000 653,000 660,000 895,000 746,000 685,000 846,000 843,000 821,000 813,000 799,000 714,000 958,000 612,000 538,000 549,000 559,000 540,000 734,000 775,000 866,000 671,000 558,000 533,000 599,000 380,000 575,000 476,000 527,000 439,000 437,000 548,000 320,000 379,000 544,000 701,000 284,000 284,000 559,000 407,000 377,000 364,000 532,000 804,000 778,000 857,000 810,000 768,000 737,000 706,000 2,144,000 1,811,000 835,000 4,734,000 2,503,000 1,273,000 1,110,000 3,961,000 2,761,000 
      total non-interest income
    19,638,000 20,154,000 19,236,000 18,737,000 16,127,000 20,348,000 18,911,000 17,948,000 14,236,000 17,410,000 20,301,000 18,682,000 18,534,000 18,244,000 17,849,000 17,448,000 17,616,000 17,947,000 17,448,000 16,630,000 17,720,000 16,985,000 14,631,000 33,347,000 18,043,000 16,698,000 17,825,000 15,925,000 14,708,000 15,753,000 15,611,000 14,492,000 15,564,000 14,611,000 14,921,000 18,507,000 14,370,000 16,747,000 14,581,000 13,127,000 14,074,000 13,706,000 15,405,000 24,021,000 14,669,000 14,609,000 15,139,000 14,305,000 14,947,000 14,480,000 14,252,000 14,326,000 14,079,000 13,790,000 13,118,000 10,683,250 13,531,000 16,537,000 12,662,000 9,258,250 11,643,000 13,278,000 12,112,000 9,765,000 12,340,000 14,287,000 12,433,000 4,688,750 -12,758,000 14,195,000 17,318,000 13,814,000 13,689,000 14,371,000 10,154,250 14,766,000 13,463,000  13,012,000 12,098,000 11,444,000 38,167,000 27,695,000 11,025,000 29,296,000 18,657,000 8,985,000 9,555,000 24,549,000 15,710,000 
      non-interest expense
                                                                                              
      salaries and employee benefits
    20,198,000 19,779,000 19,995,000 19,194,000 19,489,000 19,245,000 18,751,000 18,878,000 18,772,000 18,289,000 18,429,000 17,673,000 17,150,000 17,398,000 16,413,000 15,577,000 15,299,000 15,321,000 15,559,000 15,671,000 15,989,000 15,361,000 14,873,000 15,851,000 15,918,000 15,210,000 15,767,000 15,243,000 14,017,000 13,576,000 13,551,000 13,151,000 12,158,000 12,876,000 12,945,000 13,078,000 12,427,000 12,993,000 12,790,000 12,673,000 11,296,000 12,179,000 12,193,000 12,179,000 12,489,000 13,144,000 12,977,000 13,139,000 12,911,000 12,930,000 12,640,000 12,949,000 11,295,000 10,668,000 10,245,000 10,320,000 10,302,000 10,183,000 9,912,000 8,930,000 9,817,000 9,745,000 9,749,000 8,523,000 9,623,000 9,797,000 9,583,000 8,845,000 9,538,000 9,517,000 9,363,000 9,307,000 8,912,000 9,057,000 8,355,000 8,733,000 8,764,000 8,632,000 8,739,000 8,404,000 7,920,000 24,667,000 16,517,000 8,127,000 23,154,000 15,367,000 7,738,000 7,631,000 24,284,000 16,633,000 
      occupancy related expense
    1,809,500 2,340,000 2,316,000 2,582,000 2,117,500 2,774,000 2,856,000 2,840,000 2,100,250 2,950,000 2,811,000 2,640,000 1,998,250 2,664,000 2,620,000 2,709,000 1,913,500 2,507,000 2,525,000 2,622,000 1,829,500 2,428,000 2,402,000 2,488,000 2,013,750 2,725,000 2,598,000 2,732,000 1,768,250 2,323,000 2,346,000 2,404,000                                                           
      equipment and software related expense
    2,660,500 3,618,000 3,554,000 3,470,000 2,372,500 3,431,000 3,130,000 2,929,000 2,201,250 2,830,000 2,883,000 3,092,000 2,113,000 2,949,000 2,732,000 2,769,000 1,938,250 2,554,000 2,655,000 2,544,000 1,885,000 2,607,000 2,504,000 2,429,000 1,665,500 2,248,000 2,223,000 2,191,000 1,422,750 1,965,000 1,895,000 1,831,000                                                           
      bankcard expenses
    2,376,000 2,191,000 2,203,000 2,215,000 1,909,000 2,271,000 2,290,000 2,039,000 2,014,000 2,188,000 1,736,000 1,509,000 1,356,000 1,405,000 1,665,000 1,606,000 1,576,000 1,549,000 1,746,000 1,584,000 1,443,000 1,517,000 1,498,000 1,435,000 1,285,000 1,554,000 1,534,000 1,182,000 1,229,000 1,134,000 1,064,000 1,076,000 960,000 1,051,000 970,000 943,000 1,315,000 1,081,000 925,000 833,000 777,000 785,000 797,000 818,000 891,000 843,000 833,000 806,000 697,000 680,000 766,000 727,000 720,000 694,000 620,000 565,000 559,000 633,000 501,000 548,000 481,000 448,000 476,000 570,000 695,000 686,000 648,000 711,000 717,000 640,000 621,000 623,000 597,000 518,000 478,000 485,000 458,000 543,000             
      other tax-related matters
    2,312,000 2,104,000 2,327,000 2,262,000                                                                                       
      advertising
    577,000 668,000 964,000 873,000 901,000 1,081,000 972,000 867,000 588,000 790,000 974,000 760,000 802,000 854,000 951,000 798,000 582,000 804,000 824,000 881,000 538,000 462,000 933,000 843,000 694,000 861,000 920,000 869,000 530,000 808,000 849,000 787,000 711,000 689,000 781,000 733,000 445,000 667,000 778,000 716,000 264,000 777,000 701,000 704,000 726,000 799,000 925,000 824,000 407,000 712,000 819,000 735,000 674,000 675,000 644,000 153,000 546,000 628,000 680,000 647,000 891,000 1,241,000 913,000 830,000 883,000 927,000 863,000 818,000 821,000 643,000 617,000 801,000 880,000 852,000 877,000 810,000 755,000 774,000 764,000 762,000 705,000 1,766,000 1,307,000 656,000 1,762,000 1,207,000 650,000 646,000 1,922,000 1,342,000 
      fdic insurance expense
    756,000 761,000 756,000 776,000 729,000 734,000 718,000 711,000 868,000 919,000 690,000 445,000 414,000 416,000 409,000 435,000 400,000 396,000 382,000 405,000 362,000 355,000 167,000  -1,000  347,000 291,000 308,000 315,000 313,000 315,000 317,000 328,000 328,000 375,000 137,000 508,000 512,000 465,000 443,000 456,000 445,000 450,000 448,000 432,000 357,000 410,000 500,000 500,000 341,000 511,000 405,000 394,000 385,000 300,000 392,000 932,000 952,000                                
      legal and professional fees
    552,000 549,000 651,000 582,000 629,000 500,000 551,000 482,000 478,000 529,000 558,000 470,000 610,000 532,000 525,000 527,000 405,000 610,000 589,000 675,000 438,000 548,000 589,000 601,000 706,000 539,000 605,000 521,000 469,000 453,000 475,000 450,000 563,000 504,000 440,000 449,000 211,000 976,000 528,000 471,000 662,000 620,000 542,000 567,000 552,000 476,000 612,000 409,000 1,467,000 591,000 535,000 435,000 611,000 421,000 447,000 366,000 567,000 3,511,000                                 
      repossessed asset losses, net of expenses
    -6,000 37,000 292,000 -66,000 -10,000 21,000 6,000 229,000 -50,000 40,000 22,000 16,000 55,000 -3,000 -32,000 40,000 -29,000 -108,000 1,000 79,000 -68,000 39,000 76,000 198,000 224,000 -59,000 253,000 216,000 207,000 156,000 112,000 370,000 146,000 107,000 147,000 336,000 244,000 305,000 53,000 288,000 217,000 492,000 335,000 220,000 27,000 31,000   -72,000 896,000   429,000  121,000 -28,000 109,000  198,000 314,500 234,000 78,000 946,000 321,000 136,000 86,000 129,000    32,000                    
      other expenses
    6,661,000 5,868,000 5,941,000 5,747,000 -865,000 5,857,000 5,728,000 5,206,000 5,489,000 4,798,000 4,848,000 4,700,000 4,203,000 3,591,000 3,674,000 3,436,000 3,559,000 3,776,000 3,678,000 3,674,000 2,998,000 3,939,000 3,950,000 4,102,000 3,822,000 3,709,000   2,274,500 3,001,000      2,923,000 2,063,000 3,109,000               2,885,000  2,640,000 2,677,000 2,611,000 2,592,000 2,382,000 3,362,000 2,152,000 2,268,000 2,101,000 2,880,000 2,107,000 2,119,000     3,094,000    2,503,000 2,600,000     2,708,000    7,438,000  2,296,000    
      total non-interest expense
    39,554,000 37,915,000 38,999,000 37,635,000 36,925,000 37,638,000 36,772,000 35,900,000 35,109,000 35,028,000 34,761,000 38,623,000 32,588,000 31,501,000 30,689,000 29,527,000 28,624,000 29,178,000 29,574,000 29,809,000 28,641,000 28,712,000 28,468,000 29,468,000 29,033,000 28,397,000 30,772,000 29,411,000 38,174,000 25,040,000 24,911,000 24,937,000 22,895,000 24,309,000 24,173,000 24,600,000 22,457,000 25,284,000 24,283,000 24,140,000 21,165,000 25,377,000 23,244,000 23,165,000 23,035,000 24,325,000 24,305,000 23,376,000 24,879,000 24,665,000 23,959,000 29,403,000 21,846,000 24,763,000 19,515,000 15,614,750 19,688,000 22,912,000 19,858,000 15,080,000 19,804,000 19,965,000 20,551,000 14,493,000 18,802,000 20,336,000 18,834,000 14,476,500 19,246,000 18,761,000 19,899,000 18,031,000 17,525,000 17,616,000 13,296,250 18,133,000 17,555,000  17,922,000 16,839,000 16,013,000 49,203,000 33,804,000 16,538,000 47,390,000 31,985,000 16,007,000 16,486,000 53,303,000 36,046,000 
      income before income taxes
    -121,762,535 43,846,000 41,161,000  -109,889,484 37,115,000 36,264,000 36,655,000 -108,869,894 37,796,000 40,617,000 30,600,000 -89,718,666 34,795,000 28,450,000 26,593,000 29,623,000 28,982,000 27,788,000 24,801,000 26,787,000 25,224,000 22,983,000 36,322,000 28,930,000 28,564,000 28,564,000 27,429,000 13,365,000 26,298,000 26,337,000 22,021,000 24,636,000 20,935,000 21,500,000 23,673,000 20,990,000 19,809,000 18,844,000 17,568,000 19,308,000 15,736,000 18,108,000 29,359,000 20,491,000 17,882,000 19,254,000 19,606,000 20,123,000 21,031,000 19,579,000 12,756,000 16,133,000 11,193,000 15,175,000 14,441,000 17,414,000 14,859,000 14,532,000 14,121,000 13,152,000 16,168,000 13,972,000 15,717,000 15,519,000 15,239,000 16,703,000 6,156,000 -8,073,000 20,058,000 19,455,000 18,806,000 18,898,000 20,297,000 19,692,000 20,922,000 21,158,000 19,745,000 20,110,000 18,881,000 17,694,000 54,341,000 37,636,000 16,799,000 50,527,000 32,864,000 14,192,000    
      income tax expense
    -22,976,020 8,658,000 7,774,000 6,575,000 -21,559,585 7,306,000 7,149,000 7,132,000 -22,071,259 7,957,000 7,884,000 6,259,000 -18,412,737 7,421,000 5,767,000 5,251,000 6,237,000 6,250,000 5,640,000 4,987,000 4,566,000 5,098,000 4,732,000 7,322,000 -17,791,865 6,193,000 5,813,000 5,810,000 3,842,250 5,606,000 5,358,000 4,405,000 14,972,000 7,003,000 6,812,000 7,647,000 6,338,000 6,577,000 6,303,000 5,866,000    11,367,000 5,961,000 6,010,000 6,497,000 5,803,000 6,877,000 7,056,000 6,573,000 4,769,000 5,526,000 3,780,000 5,144,000 4,787,000 5,837,000 5,029,000 4,918,000 4,212,000 4,129,000 5,453,000 4,659,000 4,639,000 5,022,000 5,093,000 5,779,000   6,679,000 6,417,000 6,092,000 6,576,000 7,066,000 6,752,000 7,302,000 7,397,000 6,879,000 6,938,000 6,532,000 6,016,000 19,084,000 13,335,000 5,796,000 17,505,000 11,375,000 4,840,000    
      net income available to common shareholders
    -98,786,515 35,188,000 33,387,000 30,342,000 -88,329,899 29,809,000 29,115,000 29,523,000 -86,798,635 29,839,000 32,733,000 24,341,000 -71,305,929 27,374,000 22,683,000 21,342,000 23,386,000 22,732,000 22,148,000 19,814,000 22,221,000 20,126,000 18,251,000 29,000,000 -66,651,648 22,371,000 22,751,000 21,619,000 14,820,750 20,692,000 20,979,000 17,616,000 9,664,000 13,932,000 14,688,000 16,026,000 14,652,000 13,232,000 12,541,000 11,702,000    17,992,000     13,246,000 13,975,000 13,006,000 7,987,000 10,607,000 7,413,000 10,031,000 9,654,000 11,577,000 9,830,000 9,614,000 9,909,000 9,023,000 10,715,000 9,313,000                            
      basic earnings per common share
    -6,751.06 2,410 2,290 2,060 -5,952.09 2,020 1,960 1,980 -5,772.38 1,980 2,160 1,630   1,510 1,410   1,410 1,250 1,400 1,250 1,120 1,790 -4,044.57 1,360   955 1,340      1,040 3,457.52 0.88           0.84 0.89 0.83 0.51 0.71 0.5 0.68 -2,027.32 770 650 620 0.63 0.58 0.68 590 700 660 640 690 260 -160 830 810 760 720 760 730 780 780 710 730 720 700 2,120 1,460 660 1,990 1,290 560    
      diluted earnings per common share
    -6,741.07 2,410 2,290 2,060 -5,952.11 2,020 1,960 1,970 -5,762.39 1,980 2,160 1,630   1,510 1,410   1,410 1,250 1,400 1,250 1,120 1,780 -4,034.58 1,360   955 1,330      1,040 3,447.52 0.88           0.83 0.88 0.82 0.51 0.71 0.5 0.67 -2,017.33 760 640 620 0.63 0.58 0.68 580 700 660 640 690 270 -160 830 800 760 720 760 730 770 770 710 720 710 690 2,090 1,430 650 1,950 1,270 550    
      provision for (recovery of) credit losses
            -300,000 200,000 425,000 2,918,000 500,000 730,000       2,562,000 1,026,000 1,250,000 7,972,000                                                                   
      net interest income after provision for (recovery of) credit losses
       55,815,000     54,966,000 55,414,000 55,077,000 50,541,000 51,542,000 48,052,000       26,553,500 36,951,000 36,820,000 32,443,000                                                                   
      losses on sale of investment securities
                                                                                              
      unrealized losses recognized on equity securities still held
       -5,000            -723,000    -51,000                                                                       
      interest on short-term borrowings
        4,191,000 3,788,000 3,900,000 3,621,000    2,381,000 1,534,000 440,000 124,000 114,000 132,000 115,000 125,000 117,000 120,000 131,000 279,000 464,000 762,000 814,000 863,000 1,052,000 1,061,000 1,435,000 459,000 460,000 521,000 349,000 187,000 157,000 189,000 90,000 86,000 107,000 91,000 69,000 85,000 82,000 96,000 86,000 85,000 75,000 93,000 82,000 79,000 71,000 79,000 77,000 73,000 86,000 90,000 77,000 72,000 78,000 86,000 98,000 100,000 134,000 131,000 111,000 153,000 343,000 478,000 663,000 1,145,000 1,758,000 1,694,000 1,513,000 1,304,000 1,343,000 1,326,000 1,127,000 956,000 787,000 577,000 658,000 361,000 166,000 659,000 566,000 434,000 1,014,000 1,751,000 1,141,000 
      provision for credit losses
        300,000 1,200,000 500,000                                                                                    
      net interest income after provision for credit losses
        55,280,000 54,405,000 54,125,000                                                                                    
      trust and investment management fee income
        2,947,000 2,923,000 2,762,000 2,623,000 2,563,000 2,409,000 2,339,000 2,252,000 2,343,000 2,158,000 2,100,000 2,197,000 2,198,000 2,172,000 2,012,000 2,033,000 2,162,000 1,844,000 1,931,000 1,799,000 2,015,000 1,802,000 1,699,000 1,642,000 1,737,000 1,579,000 1,645,000 1,568,000 1,800,000 1,471,000 1,612,000 1,386,000 1,597,000 1,329,000 1,371,000 1,276,000 1,547,000 1,176,000 1,201,000 1,200,000 1,363,000 1,103,000 1,111,000 1,037,000 1,093,000 939,000 964,000 990,000 912,000 942,000 807,000 925,000 699,000 730,000 753,000 720,000 618,000 567,000 862,000 549,000 590,000 497,000 707,000 518,000 640,000 449,000 632,000 523,000 437,000 568,000 498,000 572,000 504,000 566,000             
      postage, delivery, and statement mailings
        684,000 666,000 714,000 666,000 615,000 668,000 596,000 647,000 597,000 578,000 551,000 636,000 590,000 573,000 568,000 592,000 547,000 513,000 592,000 616,000 588,000 659,000 545,000 624,000 527,000 537,000 515,000 578,000 518,000 517,000 504,000 555,000 492,000 517,000 506,000 565,000 532,000 523,000 507,000 561,000 549,000 557,000 530,000 575,000 522,000 541,000 552,000 605,000 529,000 488,000 548,000 484,000 551,000 510,000 554,000 548,000 599,000 615,000 609,000 573,000 611,000 698,000 718,000 641,000 636,000 618,000 654,000 641,000 569,000 777,000 734,000 765,000 689,000 644,000 670,000 615,000 653,000 1,885,000 1,283,000 685,000 2,062,000 1,524,000 780,000    
      office supplies
        444,000 480,000 432,000 453,000 477,000 457,000 591,000 420,000 441,000 466,000 427,000 410,000 378,000 406,000 371,000 392,000 413,000 396,000 353,000 394,000 392,000 382,000 399,000 386,000 313,000 364,000 329,000 313,000 355,000 377,000 345,000 361,000 320,000 325,000 366,000 353,000 273,000 384,000 347,000 346,000 360,000 405,000 420,000 410,000 408,000 416,000 463,000 441,000 407,000 396,000 455,000 428,000 492,000 452,000 539,000 457,000 497,000 484,000 493,000 484,000 520,000 470,000 531,000 533,000 527,000 504,000 457,000 472,000 442,000 455,000 407,000 417,000 372,000 383,000 327,000 275,000 203,000 838,000 585,000 312,000 1,150,000 840,000 435,000 468,000 1,089,000 742,000 
      telecommunications
        510,000 578,000 624,000 600,000 614,000 568,000 623,000 606,000 628,000 651,000 754,000 584,000 702,000 790,000 676,000 690,000 540,000 547,000 531,000 511,000 563,000 569,000 597,000 726,000 401,000 408,000 441,000 500,000 518,000 494,000 492,000 484,000 495,000 459,000 431,000 428,000 409,000 418,000 463,000 475,000 522,000 510,000 506,000 338,000 581,000 721,000 465,000 445,000 433,000 387,000 389,000 388,000 371,000 417,000 429,000 428,000 413,000 440,000 451,000 455,000 476,000 514,000 420,000 562,000 496,000 440,000 418,000 438,000 460,000 455,000 549,000 498,000 525,000 476,000 702,000 513,000 473,000 1,417,000 929,000 466,000 1,408,000 923,000 405,000 565,000 1,839,000 1,303,000 
      merger related expenses
            1,411,750 2,000  5,645,000                             70,750 175,000 108,000                                                
      (recovery of ) provision for credit losses
           -180,000                                                                                   
      interest on customer repurchase agreements
            2,083,500 2,990,000 2,963,000                                                                                
      average shares outstanding, basic
            -14,891,132 14,922,000 14,994,000 14,818,000   14,888,000 14,974,000   15,573,000 15,656,000 -90,000 15,950,000 16,081,000 16,080,000 -16,333,686 16,271,000   3,840,000 15,340,000      15,252,000                                                       
      effect of dilutive securities
            -21,977 23,000 18,000 26,000   21,000 28,000   21,000 31,000 1,000 20,000 16,000 21,000 -17,981 18,000   5,000 18,000      25,000                                                       
      average shares outstanding, diluted
            -14,913,109 14,945,000 15,012,000 14,844,000   14,909,000 15,002,000   15,594,000 15,687,000 -89,000 15,970,000 16,097,000 16,101,000 -16,351,667 16,289,000   3,845,000 15,358,000      15,277,000                                                       
      recovery of credit losses
                   -756,000                                                                           
      net interest income after recovery of credit losses
                  41,290,000 38,672,000                                                                           
      interest on long-term debt
                           100,000 42,000 45,000 47,000 48,000 200,000 239,000 230,000 211,000 200,000 195,000 189,000 181,000 180,000 172,000 167,000 164,000 159,000 155,000 153,000 150,000 153,000 152,000 151,000 150,000 154,000 154,000 153,000 157,000 166,000 165,000 167,000 165,000 159,000 158,000 157,000 162,000 173,000 163,000 160,000 168,000 191,000 231,000 254,000 313,000 317,000 312,000 441,000 426,000 425,000 531,000 972,000 1,108,000 1,239,000 1,260,000 1,571,000 1,662,000 1,585,000 5,826,000 3,955,000 2,005,000 727,000 533,000 278,000 284,000 1,525,000 1,085,000 
      sale of visa shares
                           17,837,000                                                                   
      merger related costs
                              547,000 250,000                     71,000 -150,000 65,000 5,540,000 157,000 4,042,000                                     
      provision for (recovery of) loan losses
                            -293,750 274,000                                                                 
      net interest income after provision for (recovery of) loan losses
                            30,672,750 40,263,000                                                                 
      total comprehensive income
                            23,154,500 28,678,000   11,076,750 16,367,000 18,542,000 9,398,000   16,742,000 16,899,000 10,640,500 12,449,000           14,430,000 13,342,000 8,798,000 8,078,000 12,719,000 6,673,000 12,201,000                                    
      (recovery of) benefit from loan losses
                              -600,000 -849,000   -2,064,000                                                       -3,300,000     
      net interest income after (recovery of) benefit from loan losses
                              41,511,000 40,915,000   35,637,000                                                            
      other incomes
                              4,437,000 4,180,000   3,021,000 3,162,000 2,170,750 3,000,000 2,755,000    3,119,000 2,945,000 1,855,000 4,471,000 2,761,000 2,744,000 2,030,750 3,055,000 3,075,000 1,993,000 2,416,000 2,982,000 3,383,000 3,299,000  2,861,000             1,993,000 2,088,000 2,498,000 2,760,000  2,256,000 2,254,000 2,021,000   2,474,000 2,327,000 3,131,000 2,849,000  7,349,000 5,362,000 2,560,000  5,059,000  863,000 9,709,000 6,194,000 
      unrealized gains recognized on securities still held
                               75,000                                                               
      (recovery of) provision for loan losses
                                -477,500 -27,000                                                       -5,200,000      
      net interest income after (recovery of) provision for loan losses
                                25,922,000 35,585,000                                                             
      net gains on sale of investment securities
                                    1,069,000   4,276,000 878,250 2,668,000 845,000                                                    
      dividends declared per common share
                                362.5 530      440 1,718.71 0.43           0.37 0.37 0.37 0.37 0.35 0.35 0.35 -1,018.63 340 340 340 0.34 0.34 0.34 340 340 340 340 340 340 340 340 340 310 310 310 280 280 280 280 250 250 250 660 440 220 600      
      benefit from loan losses
                                   181,000 646,000 1,393,000 510,000    1,122,000 539,000 2,813,000 451,000 2,836,000 888,000 917,500 1,872,000 435,000 1,363,000 1,225,750 1,154,000 2,011,000 1,738,000  1,675,000             1,650,000 1,270,750 2,350,000 850,000  1,200,000 1,600,000 900,000   675,000 1,000,000 600,000          1,800,000 1,800,000 
      net interest income after benefit from loan losses
                                   32,466,000 22,788,000 30,633,000 30,752,000    28,546,000 28,581,000 26,399,000 27,407,000 25,947,000 28,503,000 21,173,750 27,598,000 28,420,000 28,677,000 22,083,750 31,216,000 29,286,000 27,833,000  22,166,000             23,104,000 17,647,750 23,931,000 24,624,000  23,023,000 22,734,000 23,542,000   25,250,000 24,853,000 25,020,000 23,622,000    22,312,000  46,192,000  21,151,000 63,715,000 41,703,000 
      occupancy and equipment
                                    2,177,500 2,916,000 2,956,000 2,838,000 2,792,000 2,759,000 2,708,000 2,836,000 2,583,000 2,575,000 2,529,000 2,590,000 2,449,000 2,531,000 2,395,000 2,615,000 2,529,000 2,409,000 2,500,000 2,472,000 2,126,000 1,978,000 1,935,000 1,929,000 2,057,000 1,921,000 2,106,000 1,861,000 1,917,000 1,874,000 2,045,000 1,947,000 1,953,000 1,880,000 1,909,000 1,773,000 1,800,000 1,701,000 1,597,000 1,600,000 1,525,000 1,637,000 1,656,000 1,602,000 1,624,000 1,599,000 1,687,000 1,564,000 1,475,000 4,425,000 2,953,000 1,494,000 4,465,000 3,034,000 1,545,000 1,679,000 4,976,000 3,266,000 
      depreciation
                                    1,121,500 1,450,000 1,510,000 1,525,000 1,516,000 1,585,000 1,567,000 1,567,000 1,539,000 1,522,000 1,516,000 1,511,000 1,534,000 1,542,000 1,533,000 1,478,000 1,468,000 1,437,000 1,453,000 1,399,000 1,175,000 1,109,000 1,086,000 1,100,000 1,131,000 1,140,000 1,136,000 1,138,000 1,145,000 1,174,000 1,218,000 1,180,000 1,171,000 1,184,000 1,211,000 1,193,000 1,110,000 1,087,000 1,133,000 1,160,000 1,109,000 1,070,000 1,037,000 1,061,000 1,071,000 1,050,000 1,096,000 994,000 944,000 2,951,000 1,980,000 1,006,000 3,355,000 2,300,000 1,187,000 1,288,000 4,461,000 3,094,000 
      provision for loan losses
                                       681,000 1,302,000 1,432,000               975,000  1,950,000 2,228,000  1,286,000 1,086,000 2,343,000 1,847,000 1,823,000 1,080,000 1,575,000 1,675,000 2,150,000     1,883,000    901,000 1,225,000               
      net interest income after provision for loan losses
                                       29,766,000 29,077,000 28,346,000               23,900,000  21,572,000 20,996,000 23,571,000 21,234,000 21,728,000 20,616,000 21,313,000 22,855,000 22,411,000 22,010,000 21,981,000 21,288,000     22,036,000    24,206,000 24,289,000     22,263,000    68,621,000  21,214,000    
      gain on sale of insurance division
                                               11,084,000                                               
      average common shares outstanding
                                        3,725,500 14,899,000           19,000 15,608,000 15,582,000 15,473,000 14,751,000 14,680,000 14,679,000     -57,000 15,496,000 15,656,000                             
      effect of dilutive securities:
                                                                                              
      employee stock awards and warrants outstanding
                                        2,750 11,000           42,000 182,000                                         
      shares for diluted earnings per share
                                        3,728.25 14,910           -5 15,790 15,752 15,627 14,834 14,759 14,759     -59 15,552 15,721                             
      insurance commissions
                                                1,238,000 1,396,000 1,319,000 2,025,000 1,269,000 1,365,000 1,358,000 1,840,000 1,439,000 1,347,000 1,996,000 1,433,000 1,388,000 1,504,000 1,621,000 1,503,000 1,346,000 1,244,000 1,397,000 1,110,000 1,208,000 1,325,000 1,933,000 981,000 1,025,000 1,168,000 1,038,000 1,127,000 832,000 1,012,000 674,000 526,000 521,000 614,000 595,000 545,000 592,000 1,979,000 1,378,000 660,000 1,957,000 1,353,000 762,000 411,000 1,473,000 1,037,000 
      interest on federal funds sold
                                                      9,000 13,000 15,000 12,000 11,000 9,000 13,000 13,000 13,000 16,000 12,000 1,000          266,000 291,000 257,000 87,000 92,000     4,000    36,000 60,000 90,000   367,000 
      repossessed asset losses (gains), net of expenses
                                                  142,000 379,000      650,000              109,250 314,000 91,000   9,000                  
      interest on investment securities:
                                                                                              
      total investment securities impairment losses
                                                        -272,000 -606,000  -918,000 -1,849,000   -1,932,000 -3,028,000 -1,237,000 -3,203,000                            
      noncredit impairment losses recognized in other comprehensive income
                                                         302,000      713,000 127,000 944,000 1,552,000                            
      net investment securities impairment losses
                                                        -272,000 -304,000  -918,000 -355,000   -1,219,000 -2,901,000 -293,000 -1,651,000                            
      net investment securities gains
                                                    671,000  9,000 84,000 458,000   -918,000 272,000 3,128,000                                 
      repossessed asset (gains) losses, net of expenses
                                                      -23,000 -155,000      -7,000              -47,000  -14,000     -35,000            
      employee stock options and warrants outstanding
                                                      170,000 154,000                                       
      interest income
                                                                                              
      employee stock options
                                                        83,000 79,000 80,000     -2,000 56,000 65,000                             
      gain on sale of investment securities
                                                         832,000       1,335,000 62,000                             
      net investment securities gain
                                                         528,000                                     
      loss on sale of investment securities
                                                          -31,000                                    
      net investment securities loss
                                                          -31,000                                    
      noncredit impairment losses recognized in other comprehensive
                                                                                              
      income
                                                           373,500 1,494,000                                  
      average common shares outstanding:
                                                                                              
      basic
                                                           3,791,250 15,003,000 15,120,000 15,380,000    15,793,000 -12,000 15,893,000 15,908,000 15,921,000 -12,000 16,142,000 16,103,000 16,147,000 16,714,000 17,100,000 17,369,000 -58,000 17,557,000 17,719,000 18,006,000 18,052,000 17,268,000 16,605,000 16,653,000 16,687,000 16,681,000 16,632,000 16,630,000 16,638,000 4,215.25 16,861 16,890 
      diluted
                                                           3,810,500 15,071,000 15,193,000 15,462,000    15,851,000 -12,000 15,952,000 15,949,000 15,933,000 -22,000 16,195,000 16,167,000 16,205,000 16,767,000 17,158,000 17,424,000 -55,000 17,619,000 17,772,000 18,067,000 18,238,000 17,477,000 16,812,000 16,906,000 16,954,000 16,972,000 16,942,000 16,936,000 16,955,000 4,274 17,096 17,074 
      professional fees
                                                              469,000 502,000 414,000 398,000 363,000 439,000 216,000 397,000 453,000 451,000 435,000 427,000 367,000 416,000 385,000 403,000                 
      insurance and regulatory
                                                               1,238,000 1,244,000 1,200,000 1,187,000 1,014,000 411,000 1,578,000 376,000 363,000 354,000 333,000 338,000 364,000 383,000 385,000 375,000 384,000 381,000 388,000 385,000 365,000 366,000 993,000 651,000 331,000 969,000 651,000 325,000 189,000 1,467,000 1,017,000 
      distributed earnings allocated to common shareholders
                                                               3,927,750 5,237,000 5,274,000                             
      undistributed earnings allocated to common shareholders
                                                               3,291,000 3,733,000 5,373,000                             
      net earnings allocated to common shareholders
                                                               7,218,750 8,970,000 10,647,000                             
      investment securities
                                                                   -1,181,750 -2,320,000                          
      visa ipo gain
                                                                          3,289,000                    
      loss on early extinguishment of debt
                                                                          1,208,000       282,000    263,000 263,000        
      net income
                                                                   7,891,750 10,497,000 10,146,000 10,924,000 4,249,000 -2,557,000 13,379,000 13,038,000 12,714,000 12,322,000 13,231,000 12,940,000 13,620,000 13,761,000 12,866,000 13,172,000 12,349,000 11,678,000 35,257,000 24,301,000 11,003,000 33,022,000 21,489,000 9,352,000 9,408,000 23,051,000 14,079,000 
      yoy
                                                                   85.73% -510.52% -24.16% -16.21% -66.58% -120.75% 1.12% 0.76% -6.65% -10.46% 2.84% -1.76% 10.29% 17.84% -63.51% -45.80% 12.23% -64.64% 64.07% 159.85% 16.95% 43.26% 52.63%     
      qoq
                                                                   -24.82% 3.46% -7.12% 157.10% -266.17% -119.11% 2.62% 2.55% 3.18% -6.87% 2.25% -4.99% -1.02% 6.96% -2.32% 6.66% 5.75% -66.88% 45.08% 120.86% -66.68% 53.67% 129.78% -0.60% -59.19% 63.73%  
      investment securities gains
                                                                     -332,000 -2,075,000 -10,800,000 -27,467,000  2,000 -1,000 45,000  72,000 -2,067,000   5,000 18,000 3,000 1,140,000 1,136,000 1,012,000 -435,000 375,000 353,000 666,000 793,000 470,000 
      gain on sale of retail credit card merchant agreements
                                                                                              
      income tax (benefit) expense
                                                                       1,895,000 -5,516,000                      
      gain on sale of retail credit card portfolio and merchantagreements
                                                                                              
      gain on sale of retail credit card portfolio and merchant agreements
                                                                                              
      interest on loans held for sale
                                                                               122,000 200,000              
      gain on sale of credit card merchant agreements
                                                                             1,500,000                 
      gain on sale of credit card portfolio
                                                                               3,563,000               
      professional fees and litigation expense
                                                                              415,000 379,000 571,000 395,000 456,000 514,000 565,000 2,694,000 2,025,000 844,000 2,337,000 1,818,000 837,000 702,000 2,155,000 1,373,000 
      repossessed asset gains, net of expenses
                                                                              -26,250 20,000 -129,000              
      loss on repurchase of trust preferred securities
                                                                              165,250 379,000               
      loss on early estinguishment of debt
                                                                                              
      noninterest income
                                                                                              
      total noninterest income
                                                                                 12,389,000             
      noninterest expense
                                                                                              
      repossessed asset losses and expenses
                                                                                 4,000   1,000  -51,000 57,000 -710,000  -191,000 -3,000 667,000 642,000 
      total noninterest expense
                                                                                 17,497,000             
      interest on retained interests
                                                                                     808,000 807,000 740,000 10,465,000 7,365,000 3,523,000 3,390,000 9,037,000 5,797,000 
      trust fee income
                                                                                  468,000 462,000 591,000 1,561,000 1,114,000 487,000 1,196,000 703,000 348,000 345,000 989,000 670,000 
      mortgage banking income
                                                                                  191,000 106,000 118,000 212,000 140,000 69,000 457,000 348,000 168,000 233,000 623,000 375,000 
      net proceeds from legal settlement
                                                                                              
      repossessed asset (gains), net of expenses
                                                                                   -16,000           
      benefit from (recovery of) loan losses
                                                                                              
      net interest income after benefit from (recovery of) loan losses
                                                                                     65,377,000 43,745,000        
      net proceeds from litigation settlement
                                                                                     5,453,000 5,453,000        
      repossessed asset losses (gains) and expenses
                                                                                     -45,000         
      interest on trust preferred securities
                                                                                        6,018,000 4,012,000 2,006,000 1,592,250 6,369,000 4,301,000 
      repossessed asset (gains) losses and expenses
                                                                                         -738,000     
      interest on federal funds sold and securities purchased under agreement to resell
                                                                                           114,000 456,000  
      postage and delivery
                                                                                           183,500 734,000 440,000 
      loan production office advisory fees
                                                                                              
      loss on disposal and impairment of fixed assets
                                                                                              
      retained interest impairment
                                                                                              
      income before income taxes and cumulative effect of accounting change
                                                                                           14,220,000 34,961,000 21,367,000 
      income tax benefit
                                                                                           4,812,000 11,910,000 7,288,000 
      income before cumulative effect of accounting change
                                                                                           9,408,000 23,051,000 14,079,000 
      cumulative effect of accounting change, net of tax
                                                                                              
      basic earnings per share
                                                                                              
      cumulative effect of accounting change
                                                                                              
      diluted earnings per share
                                                                                              
    Balance Sheets:
    Quarterly
    Annual
      Unit: USD2025-12-31 2025-09-30 2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-12-31 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-09-30 2018-06-30 2018-03-31 2017-12-31 2017-09-30 2017-06-30 2017-03-31 2016-12-31 2016-09-30 2016-06-30 2016-03-31 2015-12-31 2015-09-30 2015-06-30 2015-03-31 2014-12-31 2014-09-30 2014-06-30 2014-03-31 2013-12-31 2013-09-30 2013-06-30 2013-03-31 2012-09-30 2012-06-30 2012-03-31 2011-12-31 2011-09-30 2011-06-30 2011-03-31 2010-12-31 2010-09-30 2010-06-30 2010-03-31 2009-12-31 2009-09-30 2009-06-30 2009-03-31 2008-12-31 2008-09-30 2008-06-30 2008-03-31 2007-12-31 2007-09-30 2007-06-30 2007-03-31 2006-12-31 2006-09-30 2006-06-30 2006-03-31 2005-09-30 2005-06-30 2005-03-31 2004-09-30 2004-06-30 2004-03-31 2003-09-30 2003-06-30 2003-03-31 2002-12-31 2002-09-30 2002-06-30 
                                                                                                 
        assets
                                                                                                 
        loan portfolio:
                                                                                                 
        residential real estate,
      2,086,207,000    1,978,804,000    1,899,239,000    1,755,772,000    1,658,710,000        1,791,636,000                1,474,631,000    1,385,798,000                                               
        commercial, financial, and agriculture
      2,210,665,000    2,088,474,000    1,935,038,000    1,781,132,000    1,838,560,000        1,717,381,000                                               675,598,000                    
        installment loans to individuals,
      57,832,000    66,565,000    66,636,000    46,622,000    48,708,000        58,126,000                40,966,000    53,461,000                                               
        total loans
      4,354,704,000    4,133,843,000    3,900,913,000    3,583,526,000    3,545,978,000        3,567,143,000                2,691,304,000    2,593,597,000                           1,717,756,000                    
        securities:
                                                                                                 
        taxable
      1,392,157,000    1,295,289,000    1,273,674,000    1,288,252,000    1,075,550,000        761,358,000                352,296,000    337,440,000                           472,438,000                    
        tax-exempt
      137,059,000    158,257,000    175,383,000    218,588,000    242,125,000        98,217,000                31,389,000    28,464,000                           39,623,000                    
        total securities
      1,529,216,000    1,453,546,000    1,449,057,000    1,506,840,000    1,317,675,000        859,575,000                383,685,000    365,904,000                           512,061,000   586,657,000  519,543,000 566,846,000 635,565,000 657,921,000 651,493,000 722,203,000 702,772,000 677,946,000 714,666,000 519,419,000 551,333,000 558,112,000  484,484,000 484,131,000 
        deposits in depository institutions
      131,001,000    144,134,000    142,299,000    357,184,000    568,928,000        84,826,000                9,733,000    9,205,000                           11,940,000                    
        total interest-earning assets
      6,014,921,000    5,731,523,000    5,492,269,000    5,447,550,000    5,432,581,000        4,511,544,000                3,084,722,000    2,968,706,000                           2,257,447,000                    
        cash and due from banks
      97,771,000 129,665,000 145,876,000 135,029,000 104,575,000 161,333,000 141,168,000 121,853,000 74,443,000 62,085,000 66,350,000 69,804,000 88,581,000 65,051,000 90,449,000 100,877,000 92,847,000 103,841,000 97,523,000 97,709,000 77,412,000 76,451,000 87,658,000 92,365,000 65,664,000 71,332,000 53,373,000 50,522,000 55,016,000 49,806,000 240,483,000 97,495,000 54,450,000 54,281,000 54,577,000 164,887,000 62,263,000 57,233,000 69,933,000 165,134,000 180,965,000 109,627,000 142,335,000 235,004,000 130,183,000 79,836,000 93,962,000 137,518,000 75,999,000 164,915,000 186,707,000 191,865,000 72,309,000 90,630,000 105,328,000 140,873,000 42,188,000 59,020,000 51,953,000 50,043,000 44,746,000 40,861,000 43,309,000 59,116,000 40,638,000 48,058,000 43,757,000 55,511,000 52,206,000 59,270,000 65,705,000 50,675,000 55,695,000 60,163,000 53,011,000 58,014,000 51,460,000 59,282,000 52,530,000 54,903,000 59,647,000 45,582,000 44,745,000 47,801,000 45,379,000 52,932,000 57,792,000 69,187,000 109,318,000 55,752,000 71,225,000 
        bank premises and equipment
      69,651,000    71,298,000    72,582,000    72,590,000    76,069,000        78,103,000                76,136,000    80,459,000                                               
        goodwill and intangible assets
      158,889,000    161,318,000    153,937,000    116,469,000    117,899,000        121,460,000                                                                   
        other assets
      288,361,000 102,763,000 108,120,000 119,757,000 299,378,000 104,079,000 127,947,000 129,627,000 329,198,000 161,659,000 148,333,000 132,715,000 271,685,000 147,716,000 118,375,000 92,331,000 216,493,000 82,419,000 89,958,000 71,142,000 96,697,000 105,361,000 105,438,000 98,710,000 191,422,000 62,248,000 53,569,000 51,309,000 46,951,000 51,643,000 49,241,000 47,432,000 36,361,000 36,060,000 35,138,000 38,029,000 38,681,000 50,748,000 55,234,000 47,656,000 243,902,000 36,266,000 30,080,000 37,674,000 246,618,000 33,580,000 33,771,000 31,514,000 27,852,000 29,478,000 34,321,000 46,067,000 46,793,000 45,502,000 40,560,000 41,792,000 41,377,000 33,686,000 33,306,000 36,722,000 54,094,000 43,170,000 39,219,000 40,121,000 32,667,000 29,499,000 28,006,000 33,943,000 33,707,000 36,898,000 56,842,000 171,347,000 23,740,000 20,179,000 22,157,000 20,667,000 27,665,000 20,485,000 18,001,000 19,192,000 19,457,000 20,492,000 20,248,000 17,408,000 17,961,000 18,996,000 32,414,000 33,418,000 31,825,000 38,133,000 52,231,000 
        less: allowance for credit losses
      -20,994,000    -22,804,000    -22,089,000    -17,687,000    -21,922,000                                                                           
        total assets
      6,608,599,000 6,667,632,000 6,598,137,000 6,622,956,000 6,345,288,000 6,434,314,000 6,341,395,000 6,314,183,000 6,100,340,000 6,076,126,000 6,146,834,000 6,210,782,000 5,979,188,000 5,947,768,000 6,243,195,000 6,011,767,000 5,913,967,000 5,951,913,000 5,904,055,000 5,894,370,000 5,758,640,000 5,511,288,000 5,528,772,000 5,088,449,000 4,953,727,000 4,957,717,000 4,940,467,000 4,917,608,000 4,899,012,000 4,420,802,000 4,374,383,000 4,200,015,000 4,132,281,000 4,099,554,000 4,057,399,000 4,123,987,000 3,984,403,000 3,866,361,000 3,806,861,000 3,829,666,000 3,564,730,000 3,504,618,000 3,512,623,000 3,553,085,000 3,404,818,000 3,385,307,000 3,364,714,000 3,397,736,000 3,368,238,000 3,396,688,000 3,382,550,000 3,428,597,000 2,899,197,000 2,893,466,000 2,780,803,000 2,777,109,000 2,685,246,000 2,713,820,000 2,699,924,000 2,637,295,000 2,627,133,000 2,639,183,000 2,658,168,000 2,622,474,000 2,596,236,000 2,626,317,000 2,584,193,000 2,582,446,000 2,465,565,000 2,494,836,000 2,524,928,000 2,511,992,000 2,491,848,000 2,525,738,000 2,559,012,000 2,507,807,000 2,527,556,000 2,522,021,000 2,536,930,000 2,533,920,000 2,508,410,000 2,244,283,000 2,215,474,000 2,201,332,000 2,219,675,000 1,997,548,000 1,983,298,000 1,984,891,000 2,047,911,000 1,984,190,000 2,043,685,000 
        liabilities
                                                                                                 
        interest-bearing demand deposits
      1,338,751,000    1,323,507,000    1,291,234,000    1,150,007,000    1,071,628,000        878,716,000                644,961,000    614,489,000                           418,532,000                    
        savings deposits
      1,241,530,000 1,238,832,000 1,244,179,000 1,260,903,000 1,231,698,000 1,208,828,000 1,233,834,000 1,266,211,000 1,332,527,000 1,282,642,000 1,343,571,000 1,397,523,000 1,414,727,000 1,427,785,000 1,435,645,000 1,425,528,000 1,291,225,000 1,332,910,000 1,301,219,000 1,265,038,000 1,188,003,000 1,117,684,000 1,067,254,000 989,609,000 977,327,000 980,539,000 974,847,000 988,182,000 934,218,000 821,390,000 817,547,000 816,245,000 796,275,000 799,592,000 797,552,000 874,031,000 822,057,000 765,195,000 758,323,000 780,982,000 706,926,000 693,184,000 695,383,000 722,324,000 632,510,000 640,009,000 635,293,000 634,263,000 612,772,000 606,514,000 603,818,000 603,191,000 495,068,000 498,815,000 464,525,000 439,823,000 433,298,000 421,134,000 419,445,000 397,042,000 389,497,000 395,718,000 391,383,000 379,893,000 375,738,000 379,848,000 371,462,000 354,956,000 359,644,000 362,828,000 362,041,000 342,119,000 347,810,000 346,413,000 343,366,000 321,075,000 316,300,000 319,189,000 316,483,000 305,550,000 315,891,000 278,416,000 278,928,000 280,496,000 283,287,000 285,643,000 287,962,000 292,668,000 286,198,000 294,524,000 308,171,000 
        time deposits
      1,287,094,000 1,302,575,000 1,287,536,000 1,275,890,000 1,149,773,000 1,203,046,000 1,145,617,000 1,100,250,000 969,329,000 1,009,235,000 960,941,000 962,235,000 983,046,000 939,769,000 985,567,000 1,024,559,000 1,157,502,000 1,104,069,000 1,153,391,000 1,209,873,000 1,260,022,000 1,300,291,000 1,342,631,000 1,366,977,000 1,368,752,000 1,354,787,000 1,366,991,000 1,381,913,000 1,352,654,000 1,147,709,000 1,133,684,000 1,110,532,000 1,083,475,000 1,075,945,000 1,069,932,000 1,060,690,000 1,041,419,000 1,030,584,000 1,030,841,000 1,028,400,000 1,005,232,000 982,349,000 997,387,000 1,013,630,000 1,046,925,000 1,034,015,000 1,040,979,000 1,062,763,000 1,077,606,000 1,098,730,000 1,108,469,000 1,125,946,000 929,042,000 931,278,000 887,697,000 885,596,000 891,656,000 949,007,000 957,552,000 949,669,000 973,085,000 986,879,000 996,214,000 998,096,000 1,015,999,000 1,018,594,000 1,011,736,000 967,090,000 912,184,000 899,910,000 925,630,000 922,886,000 922,567,000 921,172,000 922,384,000 920,179,000 907,025,000 880,261,000 847,838,000 801,242,000 782,775,000 656,421,000 660,313,000 661,940,000 665,221,000 634,404,000 620,832,000 620,282,000 619,927,000 636,036,000 654,288,000 
        customer repurchase agreements
      355,952,000         278,671,000 271,714,000 293,256,000              202,622,000 207,033,000 194,683,000  220,124,000 196,635,000 195,375,000  201,664,000 177,904,000 186,686,000  173,384,000 153,674,000 156,714,000      146,115,000 133,142,000 121,913,000 137,798,000 150,943,000 124,343,000 116,427,000 131,947,000 123,074,000 113,824,000 114,050,000 127,576,000                                   
        fhlb long-term advances
      150,000,000 150,000,000 150,000,000 150,000,000 146,721,000 150,000,000 150,000,000 150,000,000 66,849,000 100,000,000 100,000,000                                                                                 
        total interest-bearing liabilities
      4,373,327,000    4,189,067,000    3,950,379,000    3,832,391,000    3,818,768,000        3,440,301,000                2,518,813,000    2,444,188,000                           1,868,351,000                    
        noninterest-bearing demand deposits
      1,367,035,000    1,336,625,000    1,389,295,000    1,429,415,000    1,315,801,000        818,161,000                590,424,000    531,061,000                           312,567,000                    
        other liabilities
      95,225,000 92,085,000 95,268,000 110,422,000 107,061,000 101,211,000 114,707,000 121,210,000 125,377,000 142,187,000 123,865,000 129,711,000 98,553,000 136,868,000 106,906,000 92,009,000 84,377,000 90,499,000 90,407,000 89,847,000 106,160,000 118,386,000 138,633,000 117,021,000 57,350,000 71,859,000 60,836,000 56,624,000 56,725,000 58,526,000 54,346,000 49,306,000 45,426,000 44,746,000 45,946,000 46,402,000 45,512,000 56,412,000 66,054,000 51,068,000 40,442,000 56,818,000 29,034,000 56,545,000 33,629,000 37,629,000 31,599,000 36,061,000 41,189,000 43,672,000 36,871,000 45,576,000 40,844,000 37,895,000 34,260,000 39,162,000 36,657,000 25,126,000 24,475,000 21,854,000 26,016,000 21,909,000 19,281,000 15,729,000 19,766,000 36,879,000 33,452,000 47,377,000 26,226,000 26,269,000 40,639,000 29,435,000 29,813,000 30,825,000 38,505,000 32,644,000 36,775,000 32,421,000 34,459,000 30,260,000 30,645,000 37,190,000 25,814,000 26,357,000 26,367,000 25,596,000 25,452,000 30,837,000 32,217,000 26,053,000 37,113,000 
        total shareholders’ equity
      773,012,000 798,943,000 764,215,000 756,336,000 712,535,000 741,299,000 686,740,000 682,231,000 635,289,000 610,134,000 636,192,000 651,050,000 618,829,000 548,288,000 591,993,000 632,430,000 695,021,000 677,296,000 695,476,000 691,685,000 701,106,000 691,359,000 693,750,000 685,228,000 637,915,000 649,603,000 636,908,000 619,241,000 600,764,000 512,026,000 503,754,000 491,877,000 502,507,000 500,315,000 492,507,000 481,646,000 442,438,000 434,784,000 428,359,000 418,118,000 415,051,000           365,848,000 328,415,000 320,622,000 316,046,000 311,134,000 309,892,000 310,379,000 311,122,000 314,861,000 314,841,000 311,408,000 311,668,000 307,735,000 301,452,000 291,182,000 281,505,000 280,429,000 284,912,000 302,056,000 304,841,000  291,720,000 294,783,000 303,354,000 305,307,000 298,327,000 284,120,000 288,376,000 290,432,000 279,624,000 219,302,000 210,285,000 197,569,000 202,204,000       
        total liabilities and shareholders’ equity
      6,608,599,000 6,667,632,000 6,598,137,000 6,622,956,000 6,345,288,000 6,434,314,000 6,341,395,000 6,314,183,000 6,100,340,000 6,076,126,000 6,146,834,000 6,210,782,000 5,979,188,000 5,947,768,000 6,243,195,000 6,011,767,000 5,913,967,000 5,951,913,000 5,904,055,000 5,894,370,000 5,758,640,000 5,511,288,000 5,528,772,000 5,088,449,000 4,953,727,000 4,957,717,000 4,940,467,000 4,917,608,000 4,899,012,000 4,420,802,000 4,374,383,000 4,200,015,000 4,132,281,000 4,099,554,000 4,057,399,000 4,123,987,000 3,984,403,000 3,866,361,000 3,806,861,000 3,829,666,000 3,564,730,000           3,428,597,000 2,899,197,000 2,893,466,000 2,780,803,000 2,777,109,000 2,685,246,000 2,713,820,000 2,699,924,000 2,637,295,000 2,627,133,000 2,639,183,000 2,658,168,000 2,622,474,000 2,596,236,000 2,626,317,000 2,584,193,000 2,582,446,000 2,465,565,000 2,494,836,000 2,524,928,000 2,511,992,000 2,491,848,000 2,525,738,000 2,559,012,000 2,507,807,000 2,527,556,000 2,522,021,000 2,536,930,000 2,533,920,000 2,508,410,000 2,244,283,000 2,215,474,000 2,201,332,000 2,219,675,000       
        net interest income
      237,242,000    221,108,000    220,266,000    181,339,000    156,906,000        162,151,000                115,856,000    118,221,000                           97,949,000                    
        net yield on earning assets
      3,940    3,860    4,010    3,330    2,890        3,590                3,760    3,980                           4,340                    
        interest-bearing deposits in depository institutions
       95,929,000 26,248,000 249,676,000  132,616,000 76,818,000 196,829,000  48,631,000 164,931,000 233,006,000  233,302,000 606,530,000 497,171,000  535,708,000 512,367,000 659,090,000 451,247,000 176,267,000 285,596,000 18,271,000  44,862,000 115,346,000 93,328,000 67,975,000 256,104,000 25,041,000 26,283,000 28,058,000 28,884,000 27,783,000 25,925,000 25,876,000 7,576,000 8,643,000 10,031,000  9,081,000 11,089,000 10,106,000  11,656,000 16,778,000 17,709,000 9,877,000 14,706,000 5,627,000 6,872,000 5,563,000 8,410,000 7,431,000 5,526,000 6,599,000 6,825,000 9,188,000 5,336,000 3,924,000 4,146,000 5,055,000 3,519,000 4,372,000 4,912,000 4,736,000 4,118,000 4,045,000 10,601,000 11,252,000  17,248,000 14,507,000 6,041,000 27,434,000 35,800,000 35,388,000 29,106,000 4,124,000 3,302,000 3,804,000 3,855,000 3,890,000 8,479,000 7,265,000 11,809,000     
        cash and cash equivalents
       225,594,000 172,124,000 384,705,000  293,949,000 217,986,000 318,682,000  110,716,000 231,281,000 302,810,000  298,353,000 696,979,000 598,048,000  639,549,000 609,890,000 756,799,000 528,659,000 252,718,000 373,254,000 110,636,000  116,194,000 168,719,000 143,850,000 122,991,000 305,910,000 265,524,000 123,778,000 82,508,000 83,165,000 82,360,000 190,812,000 88,139,000 64,809,000 78,576,000 175,165,000  118,708,000 153,424,000 245,110,000  91,492,000 110,740,000 155,227,000 85,876,000 179,621,000 192,334,000 233,737,000 112,872,000 134,040,000 147,759,000 146,399,000 83,787,000 100,845,000 96,141,000 66,379,000 82,770,000 45,007,000 48,364,000 62,635,000 45,010,000 52,970,000 48,493,000 59,629,000 56,251,000 69,871,000 76,957,000  92,943,000 94,670,000 79,052,000 110,448,000 102,260,000 94,670,000 81,636,000 59,027,000 62,949,000 49,386,000 48,600,000 51,691,000 53,858,000 60,197,000 69,601,000 69,187,000 129,318,000 99,754,000 157,632,000 
        investment securities available for sale, at fair value
       1,510,772,000 1,562,423,000 1,416,808,000  1,462,795,000 1,456,685,000 1,347,657,000  1,358,219,000 1,419,933,000 1,456,259,000  1,489,392,000 1,497,227,000 1,409,513,000  1,372,077,000 1,340,681,000 1,185,245,000 1,178,789,000 1,157,399,000 1,055,185,000 934,113,000  798,930,000 796,237,000 755,081,000 723,254,000 563,003,000 552,603,000 545,628,000 550,389,000 525,633,000 504,660,000 470,098,000 450,083,000 434,717,000 409,039,000 362,282,000  300,865,000 287,609,000 273,856,000  250,481,000 258,761,000 349,940,000 352,660,000 329,247,000 328,782,000 348,146,000 389,686,000 376,891,000 366,483,000  393,261,000 440,889,000 460,600,000  427,190,000 481,692,000 528,325,000  473,785,000 502,286,000 459,014,000  345,982,000 406,130,000 464,215,000  434,053,000 453,721,000 540,261,000                 
        other securities
       29,878,000 29,768,000 29,809,000  30,859,000 31,237,000 30,681,000  29,022,000 29,262,000 24,728,000  24,372,000 24,383,000 24,785,000  25,497,000 24,548,000 27,182,000 27,372,000 26,548,000 26,144,000 26,827,000  28,070,000 28,014,000 26,182,000 28,810,000 28,875,000 28,920,000 22,165,000 14,147,000 15,988,000 16,039,000 10,240,000 14,352,000 11,895,000 10,203,000 9,960,000  9,926,000 9,926,000 9,857,000  14,234,000 14,234,000 13,343,000 13,343,000 13,344,000 13,344,000 11,502,000 11,459,000 11,686,000 11,674,000 11,934,000                                    
        total investment securities
       1,540,650,000 1,592,191,000 1,446,617,000  1,493,654,000 1,487,922,000 1,378,338,000  1,387,241,000 1,449,195,000 1,480,987,000  1,513,764,000 1,521,610,000 1,434,298,000  1,397,574,000 1,365,229,000 1,212,427,000 1,206,161,000 1,183,947,000 1,081,329,000 960,940,000  878,211,000 877,613,000 836,589,000 812,891,000 649,690,000 641,553,000 630,070,000 628,985,000 608,610,000 590,497,000 552,646,000 539,604,000 526,111,000 502,450,000 458,760,000  391,886,000 381,617,000 371,168,000  357,804,000 369,034,000 377,627,000 370,120,000 346,585,000 346,419,000 368,031,000 414,589,000 407,896,000 401,595,000 396,175,000 417,020,000 464,772,000 484,475,000 453,585,000 451,571,000 506,223,000 555,569,000 513,931,000 502,464,000 531,315,000 488,063,000 453,281,000 379,015,000 439,776,000 497,963,000  469,988,000 495,432,000  519,898,000             517,794,000   
        gross loans
       4,412,775,000 4,339,196,000 4,285,824,000  4,157,830,000 4,112,873,000 4,091,788,000  4,007,482,000 3,922,142,000 3,894,686,000  3,628,752,000 3,566,758,000 3,559,905,000  3,521,925,000 3,529,416,000 3,546,723,000 3,622,119,000 3,663,966,000 3,665,596,000 3,613,050,000  3,582,571,000 3,519,367,000 3,559,322,000 3,587,608,000 3,146,697,000 3,155,468,000 3,137,681,000 3,127,410,000 3,105,912,000 3,083,767,000 3,074,173,000 3,046,226,000 2,957,912,000 2,903,398,000 2,877,117,000  2,696,438,000 2,684,457,000 2,632,471,000  2,630,742,000 2,577,777,000 2,557,035,000 2,606,197,000 2,558,456,000 2,527,445,000 2,497,023,000 2,085,232,000 2,065,589,000 1,971,964,000 1,973,103,000 1,925,798,000 1,897,344,000 1,869,524,000 1,865,000,000 1,825,838,000 1,833,572,000 1,801,840,000 1,792,434,000 1,797,384,000 1,786,335,000 1,791,308,000 1,812,344,000 1,777,731,000 1,750,047,000 1,704,800,000  1,719,776,000 1,730,354,000 1,691,748,000 1,677,469,000 1,697,201,000 1,647,539,000 1,623,126,000 1,622,710,000 1,600,985,000 1,343,247,000 1,343,897,000 1,350,629,000 1,333,732,000 1,242,197,000 1,197,893,000 1,187,152,000 1,204,391,000 1,229,095,000 1,214,444,000 
        allowance for credit losses
       -19,658,000 -19,724,000 -21,669,000  -21,832,000 -22,688,000 -22,310,000  -23,128,000 -22,751,000 -22,724,000  -17,011,000 -17,015,000 -17,280,000  -18,751,000 -20,016,000 -24,076,000 -24,549,000 -24,867,000 -25,199,000 -24,393,000                                                                    
        net loans
       4,393,117,000 4,319,472,000 4,264,155,000  4,135,998,000 4,090,185,000 4,069,478,000  3,984,354,000 3,899,391,000 3,871,962,000  3,611,741,000 3,549,743,000 3,542,625,000  3,503,174,000 3,509,400,000 3,522,647,000 3,597,570,000 3,639,099,000 3,640,397,000 3,588,657,000  3,569,385,000 3,505,572,000 3,544,676,000 3,571,642,000 3,130,386,000 3,138,592,000 3,119,300,000 3,108,574,000 3,086,358,000 3,064,704,000 3,054,964,000 3,026,496,000 2,938,362,000 2,884,259,000 2,857,802,000  2,675,497,000 2,663,648,000 2,612,292,000  2,610,255,000 2,557,241,000 2,535,991,000 2,585,622,000 2,537,850,000 2,507,376,000 2,477,302,000 2,066,246,000 2,046,137,000 1,953,336,000 1,953,694,000 1,905,950,000 1,878,400,000 1,851,110,000 1,846,776,000 1,807,474,000 1,814,116,000 1,782,858,000 1,773,747,000 1,777,729,000 1,765,360,000 1,769,328,000 1,790,090,000 1,758,852,000 1,732,088,000 1,686,233,000  1,702,796,000 1,713,738,000 1,675,666,000 1,662,064,000 1,681,644,000 1,632,271,000 1,606,308,000 1,604,942,000 1,582,687,000 1,326,922,000 1,325,360,000 1,330,796,000 1,313,443,000 1,218,761,000 1,171,801,000 1,158,242,000 1,175,887,000 1,200,472,000 1,186,421,000 
        bank owned life insurance
       123,506,000 122,587,000 121,738,000  120,061,000 119,650,000 118,875,000  117,979,000 117,173,000 124,238,000  121,283,000 120,528,000 120,522,000  120,238,000 119,491,000 118,976,000 118,243,000 117,501,000 116,746,000 116,000,000  114,616,000 113,855,000 114,256,000 113,544,000 105,372,000 104,773,000 104,052,000 103,440,000 102,706,000 101,960,000 101,481,000 100,732,000 100,293,000 99,446,000 98,679,000  97,157,000 96,663,000 95,880,000  94,338,000 93,567,000 92,803,000 92,047,000 91,249,000 90,444,000 89,645,000 81,146,000 80,407,000 79,683,000  78,233,000 77,705,000 76,961,000  75,479,000 74,858,000 74,116,000  72,627,000 71,874,000 71,131,000  69,660,000 68,894,000 68,143,000  56,868,000 56,272,000 55,687,000  54,619,000 54,058,000 53,505,000 52,477,000 51,925,000 51,381,000 50,961,000 50,386,000 49,795,000 48,621,000      
        premises and equipment
       69,539,000 69,038,000 69,696,000  70,651,000 71,041,000 71,623,000  72,682,000 73,118,000 73,430,000  71,686,000 72,388,000 73,067,000  75,156,000 76,263,000 76,529,000 76,925,000 77,031,000 77,991,000 78,948,000  76,929,000 78,263,000 78,747,000 78,383,000 72,484,000 72,482,000 72,920,000 72,682,000 72,334,000 72,809,000 73,805,000 75,165,000 75,589,000 75,040,000 75,965,000  73,419,000 75,900,000 76,910,000  78,999,000 80,171,000 81,393,000 82,548,000 82,194,000 82,190,000 82,002,000 72,360,000 72,516,000 65,497,000 64,612,000 64,813,000 64,403,000 63,867,000 64,530,000 64,991,000 64,515,000 64,188,000 64,193,000 63,365,000 63,425,000 61,689,000 60,138,000 59,574,000 56,492,000 54,144,000 48,929,000 51,561,000 48,923,000 45,190,000 44,689,000 43,545,000 43,094,000 42,212,000 42,547,000 41,390,000 33,898,000 34,705,000 34,331,000 34,664,000 35,996,000 35,702,000 36,736,000 37,802,000 38,961,000 40,211,000 
        accrued interest receivable
       21,890,000 21,654,000 21,603,000  21,785,000 21,826,000 21,759,000  19,223,000 17,973,000 18,395,000  17,256,000 16,342,000 16,101,000  16,224,000 15,967,000 16,231,000 15,793,000 16,627,000 14,200,000 12,570,000  12,929,000 12,719,000 13,657,000 12,424,000 11,449,000 9,348,000 9,528,000 9,223,000 9,236,000 8,122,000 8,644,000 8,408,000 7,986,000 8,428,000 8,517,000  7,690,000 7,838,000 7,752,000  7,751,000 7,727,000 7,843,000 6,866,000 8,108,000 8,275,000 8,701,000 7,681,000 7,090,000 6,729,000 7,093,000 6,800,000 7,704,000 8,149,000 7,264,000 8,298,000 8,270,000 8,623,000 7,969,000 8,575,000 8,936,000 9,824,000 9,024,000 9,733,000 9,923,000 10,562,000  12,255,000 11,596,000 12,371,000 12,337,000 12,934,000 11,271,000 11,995,000 12,838,000 12,141,000 10,778,000 10,088,000 9,286,000 10,720,000 10,651,000 10,954,000 11,102,000 11,265,000 11,506,000 11,492,000 
        deferred tax assets
       32,159,000 33,994,000 35,184,000  33,497,000 43,602,000 43,969,000  58,811,000 46,944,000 42,146,000  49,888,000 30,802,000 18,001,000                                                                            
        goodwill and other intangible assets
       158,414,000 158,957,000 159,501,000  160,640,000 161,236,000 161,832,000  163,461,000 163,426,000 164,099,000  116,081,000 116,428,000 116,774,000  117,489,000 117,857,000 118,224,000 118,592,000 119,004,000 119,417,000 119,829,000  120,773,000 121,322,000 121,790,000 122,848,000 78,215,000 78,342,000 78,468,000 78,595,000 78,730,000 78,865,000 79,000,000 79,135,000 79,284,000 79,433,000 79,581,000  70,653,000 70,779,000 70,964,000  74,434,000 74,670,000 74,906,000 75,142,000 76,420,000 74,642,000 77,129,000 65,103,000 65,162,000 56,066,000 56,164,000                                    
        deposits:
                                                                                                 
        noninterest-bearing
       1,377,313,000 1,383,247,000 1,365,870,000  1,339,538,000 1,354,660,000 1,359,072,000  1,333,474,000 1,373,106,000 1,420,990,000  1,429,281,000 1,531,660,000 1,357,266,000  1,311,464,000 1,279,932,000 1,244,175,000 1,176,990,000 1,061,310,000 1,079,469,000 857,501,000  795,548,000 798,056,000 793,633,000 789,119,000 672,042,000 684,614,000 703,209,000 666,639,000 669,876,000 688,223,000 714,791,000 672,286,000 669,865,000 651,867,000 666,523,000  542,177,000 563,715,000 551,596,000  498,491,000 500,391,000 510,406,000 493,228,000 498,245,000 510,713,000 525,870,000 407,634,000 421,664,000 403,292,000 369,025,000 363,504,000 353,495,000 344,562,000 337,927,000 317,221,000 331,286,000 337,180,000 328,440,000 303,121,000 315,278,000 313,863,000 298,530,000 316,205,000 326,734,000 310,646,000  299,819,000 329,772,000 338,332,000 321,038,000 335,887,000 345,207,000 355,525,000 350,903,000 338,165,000 326,605,000 299,293,000 310,093,000 301,390,000 289,454,000 301,233,000 293,062,000 281,290,000 272,136,000 280,409,000 
        interest-bearing:
                                                                                                 
        demand deposits
       1,338,872,000 1,333,858,000 1,355,806,000  1,351,239,000 1,333,169,000 1,330,268,000  1,319,783,000 1,337,445,000 1,356,017,000  1,160,970,000 1,189,056,000 1,191,492,000  1,139,033,000 1,070,004,000 1,077,749,000 1,027,201,000 940,791,000 921,761,000 837,966,000  898,704,000 891,742,000 879,279,000 899,568,000 802,490,000 785,933,000 816,976,000 769,245,000 711,121,000 722,440,000 743,246,000 695,891,000 713,642,000 701,248,000 711,366,000  647,792,000 646,198,000 654,832,000  620,880,000 609,584,000 622,085,000 601,527,000 604,047,000 612,950,000 629,244,000 549,752,000 543,623,000 544,664,000 526,824,000 505,863,000 510,985,000 506,971,000 486,737,000 478,947,000 461,829,000 477,722,000 457,293,000 432,179,000 430,113,000 428,539,000 420,554,000 404,593,000 418,835,000 420,328,000  412,479,000 416,331,000 435,069,000 422,925,000 420,613,000 427,813,000 443,932,000 439,314,000 458,753,000 413,700,000 413,525,000 405,690,000 403,114,000 382,649,000 387,875,000 383,335,000 377,165,000 359,714,000 369,291,000 
        total deposits
       5,257,592,000 5,248,820,000 5,258,469,000  5,102,651,000 5,067,280,000 5,055,801,000  4,945,134,000 5,015,063,000 5,136,765,000  4,957,805,000 5,141,928,000 4,998,845,000  4,887,476,000 4,804,546,000 4,796,835,000 4,652,216,000 4,420,076,000 4,411,115,000 4,052,053,000  4,029,578,000 4,031,636,000 4,043,007,000 3,975,559,000 3,443,631,000 3,421,778,000 3,446,962,000 3,315,634,000 3,256,534,000 3,278,147,000 3,392,758,000 3,231,653,000 3,179,286,000 3,142,279,000 3,187,271,000  2,865,502,000 2,902,683,000 2,942,382,000  2,793,395,000 2,786,247,000 2,829,517,000 2,785,133,000 2,807,536,000 2,835,950,000 2,884,251,000 2,381,496,000 2,395,380,000 2,300,178,000 2,221,268,000 2,194,321,000 2,234,621,000 2,228,530,000 2,171,375,000 2,158,750,000 2,175,712,000 2,202,499,000 2,163,722,000 2,127,037,000 2,143,833,000 2,125,600,000 2,041,130,000 1,992,626,000 2,008,307,000 2,018,645,000  1,982,675,000 2,013,688,000 2,039,151,000 1,985,217,000 1,979,825,000 1,972,470,000 1,963,778,000 1,897,009,000 1,895,584,000 1,675,142,000 1,652,059,000 1,658,219,000 1,653,012,000 1,592,150,000 1,597,902,000 1,589,347,000 1,564,580,000 1,562,410,000 1,612,159,000 
        securities sold under agreements to repurchase
       369,012,000 339,834,000 347,729,000  339,153,000 322,668,000 304,941,000      304,807,000 402,368,000 288,483,000  296,642,000 311,316,000 316,003,000 295,956,000 279,866,000 282,676,000 224,247,000     221,911,000    198,219,000    184,205,000                                                       
        total liabilities
       5,868,689,000 5,833,922,000 5,866,620,000  5,693,015,000 5,654,655,000 5,631,952,000  5,465,992,000 5,510,642,000 5,559,732,000  5,399,480,000 5,651,202,000 5,379,337,000  5,274,617,000 5,208,579,000 5,202,685,000 5,057,534,000 4,819,929,000 4,835,022,000 4,403,221,000  4,308,114,000 4,303,559,000 4,298,367,000 4,298,248,000 3,908,776,000 3,870,629,000 3,708,138,000 3,629,774,000 3,599,239,000 3,564,892,000 3,642,341,000 3,541,965,000 3,431,577,000 3,378,502,000 3,411,548,000  3,085,851,000 3,101,383,000 3,148,010,000  2,993,634,000 2,967,483,000 3,003,986,000 2,980,615,000 3,018,646,000 3,013,659,000 3,062,749,000 2,570,782,000 2,572,844,000 2,464,757,000 2,465,975,000 2,375,354,000 2,403,441,000 2,388,802,000 2,322,434,000 2,312,292,000 2,327,775,000 2,346,500,000 2,314,739,000 2,294,784,000 2,335,135,000 2,302,688,000 2,302,017,000 2,180,653,000 2,192,780,000 2,220,087,000  2,200,128,000 2,230,955,000 2,255,658,000 2,202,500,000 2,229,229,000 2,237,901,000 2,248,554,000 2,243,488,000 2,228,786,000 2,024,981,000 2,005,189,000 2,003,763,000 2,017,471,000 1,814,085,000 1,804,727,000 1,817,014,000 1,882,518,000 1,823,485,000 1,884,857,000 
        commitments and contingencies - see note i
                                                                                                 
        shareholders’ equity
                                                                             301,639,000                    
        preferred stock, par value 25 per share: 500,000 shares authorized; none issued
                                                                                                 
        common stock
       47,619,000 47,619,000 47,619,000  47,619,000 47,619,000 47,619,000  47,619,000 47,619,000 47,619,000  47,619,000 47,619,000 47,619,000  47,619,000 47,619,000 47,619,000 47,619,000 47,619,000 47,619,000 47,619,000  47,619,000 47,619,000 47,619,000 47,619,000 47,619,000 47,619,000 47,619,000 47,619,000 47,619,000 47,619,000 47,619,000 46,518,000 46,249,000 46,249,000 46,249,000         46,249,000   46,249,000 46,249,000 46,249,000 46,249,000 46,249,000 46,249,000 46,249,000 46,249,000 46,249,000 46,249,000 46,249,000 46,249,000 46,249,000 46,249,000 46,249,000 46,249,000 46,249,000 46,249,000 46,249,000 46,249,000  46,249,000 46,249,000 46,249,000 46,249,000 46,249,000 46,249,000 46,249,000 46,249,000 46,249,000 42,298,000 42,298,000 42,298,000 42,298,000 42,298,000 42,298,000 42,298,000 42,298,000 42,298,000 42,263,000 
        capital surplus
       173,733,000 172,853,000 174,300,000  175,602,000 174,834,000 175,747,000  177,113,000 176,746,000 177,529,000  170,138,000 169,557,000 170,206,000  170,300,000 169,674,000 170,526,000 171,304,000 170,526,000 169,881,000 170,096,000  169,794,000 169,374,000 170,215,000 169,555,000 140,450,000 140,091,000 140,547,000 140,960,000 140,381,000 139,972,000 140,305,000 112,873,000 105,996,000 105,648,000 106,137,000            107,977,000 103,311,000 103,449,000 102,959,000 103,335,000 103,120,000 102,938,000 102,737,000 103,057,000 102,867,000 101,546,000 101,699,000 101,750,000 101,645,000 101,658,000 102,797,000 102,895,000 102,831,000 102,962,000 103,276,000  103,475,000 103,422,000 103,373,000 104,043,000 104,082,000 103,825,000 103,900,000 104,997,000 108,269,000 55,121,000 55,652,000 56,117,000 56,238,000 57,319,000 57,550,000 57,653,000 59,029,000 59,089,000 59,232,000 
        retained earnings
       915,971,000 893,422,000 871,406,000  835,778,000 817,549,000 799,024,000  763,425,000 744,248,000 721,727,000  685,657,000 667,933,000 654,138,000  627,463,000 613,553,000 600,396,000 589,988,000 576,901,000 565,804,000 556,718,000  525,933,000 512,911,000 498,847,000 485,967,000 484,017,000 471,515,000 457,650,000 444,481,000 441,001,000 433,944,000 426,126,000 417,017,000 408,823,000 402,044,000 395,963,000            311,193,000 303,567,000 298,155,000 295,934,000 291,050,000 286,535,000 280,031,000 275,329,000 270,905,000 266,266,000 262,510,000 257,107,000 253,167,000 245,929,000 240,847,000 236,127,000 230,613,000 231,789,000 239,838,000 231,948,000  216,652,000 209,043,000 201,977,000 194,213,000 186,171,000 177,467,000 168,625,000 152,180,000 143,551,000 135,698,000 120,738,000 113,426,000 103,785,000 89,116,000 80,913,000 72,101,000 66,076,000 59,163,000 52,695,000 
        treasury stock
       -254,153,000 -254,181,000 -237,038,000  -230,836,000 -230,944,000 -218,555,000                     -87,895,000    -124,909,000    -126,958,000                                                       
        accumulated other comprehensive loss:
                                                                                                 
        unrealized loss on securities available-for-sale
       -82,785,000 -94,056,000 -98,509,000  -84,283,000 -119,737,000                      -8,611,000    -611,000                               -1,880,000 -2,373,000 -10,676,000 -17,317,000 -15,628,000 -20,631,000 -6,949,000 -35,000  -2,566,000 -4,767,000 -1,926,000 -2,649,000 -4,562,000 -8,750,000 -5,756,000             
        underfunded pension liability
       -1,442,000 -1,442,000 -1,442,000  -2,581,000 -2,581,000 -2,581,000  -3,422,000 -3,422,000 -3,422,000  -3,485,000 -3,485,000 -3,485,000  -5,661,000 -5,661,000 -5,661,000 -5,661,000 -6,270,000 -6,270,000 -6,270,000  -5,871,000 -5,871,000 -5,871,000 -5,871,000 -5,033,000 -5,033,000 -5,033,000 -5,033,000 -4,660,000 -4,660,000 -4,660,000 -4,660,000 -4,759,000 -4,759,000 -4,759,000            -4,995,000 -4,732,000 -4,732,000 -4,732,000 -4,732,000 -3,814,000 -3,814,000 -3,814,000 -3,814,000 -3,737,000 -3,737,000 -3,737,000 -3,737,000 -4,258,000 -4,258,000 -4,258,000 -4,258,000 -1,974,000 -1,974,000 -1,974,000  -2,670,000 -2,670,000 -2,670,000 -2,670,000 -3,173,000 -3,173,000 -3,173,000 -2,425,000 -2,425,000 -2,425,000 -2,391,000 -2,391,000 -2,391,000 -1,544,000 -1,544,000 -1,544,000 -1,544,000   
        total accumulated other comprehensive loss
       -84,227,000 -95,498,000 -99,951,000  -86,864,000 -122,318,000                      -14,482,000    -5,644,000    -7,012,000   -1,089,000            -1,331,000 -365,000 -2,477,000 -1,737,000 -3,907,000 -2,701,000 -1,838,000 -1,904,000 -2,497,000   -330,000 -2,554,000           -4,684,000  -7,282,000 -12,935,000 -9,438,000             
        short-term borrowings
          337,368,000    290,440,000    284,611,000    298,413,000        211,452,000                145,199,000 147,036,000 153,171,000 132,588,000 133,769,000             127,199,000 119,302,000 112,710,000 110,634,000 113,239,000 107,783,000 118,329,000 130,000,000 136,421,000 124,613,000 194,463,000 140,726,000 136,820,000 139,378,000 160,338,000 165,787,000 164,545,000 156,062,000 136,570,000 135,960,000 142,156,000 156,337,000 186,918,000 156,770,000 163,813,000 133,480,000 125,351,000 112,256,000      111,536,000 
        short-term borrowings:
                                                                                                 
        fhlb short-term advances
                                                                                                 
        accumulated other comprehensive income:
                                                                                                 
        unrealized (loss) on securities available-for-sale
             -119,023,000  -163,171,000 -127,026,000                   -18,244,000 -13,918,000 -11,486,000                                                            
        total accumulated other comprehensive
             -121,604,000  -166,593,000                    -23,277,000                                   -2,326,000 -9,215,000 -14,073,000      -4,396,000 -8,647,000                  
        cost of common stock in treasury
               -211,430,000 -201,973,000 -179,436,000  -209,644,000 -209,133,000 -194,819,000  -183,303,000 -157,936,000 -142,484,000 -139,038,000 -134,177,000 -120,583,000 -116,665,000  -105,138,000 -98,084,000 -91,589,000  -136,783,000 -136,520,000 -137,420,000  -124,909,000 -124,943,000 -126,265,000  -127,538,000 -127,619,000 -129,142,000            -98,240,000 -124,347,000 -124,754,000 -127,359,000 -125,593,000 -123,311,000 -117,001,000 -111,289,000 -102,853,000 -103,039,000 -99,847,000 -93,057,000 -90,877,000 -90,045,000 -88,357,000 -89,595,000 -88,729,000 -81,480,000 -83,275,000 -83,912,000  -70,260,000 -55,284,000 -43,561,000 -33,669,000 -30,893,000 -30,486,000 -20,960,000 -8,888,000 -15,111,000 -7,925,000 -9,548,000 -7,818,000 -4,859,000 -6,943,000 -7,324,000 -7,533,000 -6,426,000 -5,922,000  
        total accumulated other comprehensive income
                -130,448,000 -116,389,000  -145,482,000 -83,983,000 -44,714,000  15,217,000 22,566,000 15,628,000 31,233,000 30,490,000 31,029,000 27,460,000  11,395,000 5,088,000 -5,851,000   -18,951,000 -16,519,000  -3,777,000 -4,085,000 -6,139,000  1,254,000 2,037,000                      2,498,000 950,000      -10,599,000 -14,477,000 -3,718,000 7,280,000     -5,529,000    -4,106,000 -3,334,000 -5,890,000 1,145,000 -6,454,000 4,742,000 1,673,000 5,134,000 3,358,000 4,416,000   
        unrealized gain on securities available-for-sale
                 -112,967,000  -141,997,000 -80,498,000 -41,229,000  20,878,000 28,227,000 21,289,000 36,894,000 36,760,000 37,299,000 33,730,000  17,266,000 10,959,000 20,000      883,000 575,000 -1,479,000  6,013,000 6,796,000 3,670,000            3,664,000 4,367,000 2,255,000 2,995,000 825,000 1,113,000 1,976,000 1,811,000 1,022,000 5,449,000 3,362,000 1,256,000                 -1,138,000 -805,000 -3,465,000 3,536,000 -4,063,000 7,133,000 3,217,000 6,678,000 4,902,000 5,960,000   
        previously securitized loans
                                                                             10,518,000        35,599,000 41,670,000 50,588,000 70,970,000 83,385,000 92,954,000 37,339,000 4,933,000     
        long-term debt
                              4,054,000 4,055,000 4,054,000 4,053,000 4,053,000 16,495,000 16,495,000 16,495,000 16,495,000 16,495,000 16,495,000 16,495,000 16,495,000 16,495,000 16,495,000 16,495,000 16,495,000 16,495,000 16,495,000 16,495,000 16,495,000 16,495,000 16,495,000 16,495,000 16,495,000 16,495,000 16,495,000 16,495,000 16,495,000 16,495,000 16,495,000 16,495,000 16,495,000 16,495,000 16,495,000 16,495,000 16,892,000 16,915,000 16,937,000 16,959,000 17,981,000 18,002,000 19,023,000 19,047,000 21,075,000 21,384,000 21,425,000 24,476,000 21,853,000 21,897,000 21,940,000 48,069,000 76,669,000 90,854,000 93,980,000 129,301,000 145,787,000 148,836,000 193,836,000 193,836,000 225,836,000 15,000,000 15,000,000 25,000,000 25,000,000 25,000,000 36,549,000 
        commitments and contingencies - see note h
                                                                                                 
        net deferred tax assets
                       90,000                                      32,219,000    29,235,000    29,480,000    48,462,000        23,652,000             35,895,000   
        net deferred tax liability
                        2,310,000   1,601,000 2,598,000                                                                     
        net deferred tax asset
                         1,395,000    2,159,000  6,432,000 8,835,000 12,734,000  15,653,000 14,528,000 14,467,000  22,355,000 22,944,000 24,606,000  23,179,000 23,995,000 27,541,000  33,342,000 32,674,000 35,335,000  36,654,000 37,793,000 40,432,000 42,165,000 45,183,000 46,549,000 45,983,000 32,407,000 34,716,000 29,578,000  31,000,000 29,937,000 29,444,000  25,774,000 26,233,000 28,331,000  36,672,000 45,694,000 50,297,000  41,173,000 23,001,000 16,019,000  23,369,000 26,424,000 23,551,000  26,308,000 30,095,000 28,330,000 25,234,000 24,790,000 29,223,000 22,740,000 29,488,000 22,912,000 31,319,000 31,515,000 35,748,000  31,039,000 34,637,000 
        investment securities held-to-maturity, at amortized cost
                               51,211,000 53,362,000 55,326,000 60,827,000 57,812,000 60,030,000 62,277,000 64,449,000 66,989,000 69,798,000 72,308,000 75,169,000 79,499,000 83,208,000 86,518,000  81,095,000 84,082,000 87,455,000  93,089,000 96,039,000 14,344,000 4,117,000 3,994,000 4,293,000 8,383,000 13,444,000 19,319,000 23,438,000 23,458,000 23,759,000 23,883,000 23,875,000 23,865,000 24,381,000 24,531,000 27,244,000 28,164,000 28,679,000 29,029,000 29,049,000 29,067,000 33,033,000 33,646,000 33,748,000  35,935,000 41,711,000 46,396,000 47,500,000             72,410,000   
        deferred tax liabilities
                          3,202,000                                                                       
        commitments and contingencies - see note fifteen
                                                                                                 
        preferred stock, par value 25 per share: 500,000 shares authorized; — issued
                                                                                                 
        federal home loan bank advances
                             9,900,000     40,000,000    54,000,000    64,100,000                                                       
        less: allowance for loan losses
                              -14,466,000                -20,995,000    -21,148,000                           -16,406,000                    
        allowance for loan losses
                               -13,186,000 -13,795,000 -14,646,000 -15,966,000 -16,311,000 -16,876,000 -18,381,000 -18,836,000 -19,554,000 -19,063,000 -19,209,000 -19,730,000 -19,550,000 -19,139,000 -19,315,000  -20,941,000 -20,809,000 -20,179,000  -20,487,000 -20,536,000 -21,044,000 -20,575,000 -20,606,000 -20,069,000 -19,721,000 -18,986,000 -19,452,000 -18,628,000 -19,409,000 -19,848,000 -18,944,000 -18,414,000 -18,224,000 -18,364,000 -19,456,000 -18,982,000 -18,687,000 -19,655,000 -20,975,000 -21,980,000 -22,254,000 -18,879,000 -17,959,000 -18,567,000  -16,980,000 -16,616,000 -16,082,000 -15,405,000 -15,557,000 -15,268,000 -16,818,000 -17,768,000 -18,298,000 -16,325,000 -18,537,000 -19,833,000 -20,289,000 -23,436,000 -26,092,000 -28,910,000 -28,504,000 -28,623,000  
        federal funds purchased
                                   170,000,000 181,375,000   79,800,000 46,400,000   6,000,000                  75,000,000                                    
        deferred tax asset
                                  17,338,000    11,913,000    28,043,000                                                       
        short term borrowings:
                                                                                                 
        unrealized gains on securities available-for-sale
                                          -2,352,000                                                       
        commercial, financial, and agriculture,
                                              1,175,707,000    1,154,338,000                                               
        federal funds sold
                                                         35,000,000 35,000,000 35,000,000 35,000,000  35,000,000 35,000,000 35,000,000 11,000,000 34,100,000           15,690,000 20,000,000 20,000,000 20,000,000 25,000,000 15,000,000            20,000,000  86,407,000 
        stockholders’ equity
                                                  395,940,000                                               
        total liabilities and stockholders’ equity
                                                  3,404,818,000                                         1,997,548,000 1,983,298,000 1,984,891,000 2,047,911,000 1,984,190,000  
        investment securities available-for-sale, at fair value
                                                             360,783,000    429,720,000    485,767,000    424,214,000        472,398,000             445,384,000   
        bank-owned life insurance
                                                             78,961,000    76,231,000    73,388,000    70,400,000        55,195,000                
        fhlb borrowings
                                                              305,000                                   
        unrealized gain on derivative instruments
                                                                99,000 295,000 786,000 1,325,000 2,151,000 3,063,000 4,305,000 5,719,000 7,502,000 9,287,000 8,128,000 5,205,000 9,289,000  840,000    453,000               
        intangible assets
                                                              56,266,000 56,368,000 56,471,000 56,573,000 56,682,000 56,791,000 56,900,000 57,010,000 57,127,000 57,244,000 57,362,000 57,479,000 57,600,000 57,893,000 58,065,000  58,328,000 58,504,000 58,681,000 58,857,000 59,038,000 59,219,000 59,378,000 59,742,000 61,578,000           
        accumulated other comprehensive
                                                                                                 
        loan portfolio :
                                                                                                 
        residential real estate
                                                                             597,216,000        596,184,000 596,893,000 463,869,000 468,372,000 459,759,000 439,643,000 448,455,000 452,014,000 463,813,000 471,806,000 486,566,000 522,016,000 
        home equity
                                                                             330,997,000        306,448,000 307,354,000 302,262,000 304,934,000 301,231,000 292,192,000 272,091,000 253,178,000 232,048,000 210,753,000 185,084,000 157,577,000 
        loans to depository institutions
                                                                             57,315,000          10,000,000   20,000,000    20,000,000 35,000,000  
        installment loans to individuals
                                                                             46,112,000                    
        loans held for sale
                                                                                   10,012,000              
        unrealized loss on derivative instruments
                                                                               -1,210,000 -88,000 -210,000  -1,012,000 -509,000             
        -
                                                                                                 
        securities available for sale, at fair value
                                                                                  465,752,000 512,474,000 580,477,000 601,466,000 594,729,000 662,519,000 641,577,000 615,095,000 655,676,000 457,119,000 483,358,000 488,946,000  409,664,000 418,911,000 
        securities held-to-maturity, at amortized cost
                                                                                  53,791,000 54,372,000 55,088,000 56,455,000 56,764,000 59,684,000 61,195,000 62,851,000 58,990,000 62,300,000 67,975,000 69,166,000  74,820,000 65,220,000 
        loans:
                                                                                                 
        commercial real estate
                                                                                     483,334,000 445,241,000 409,064,000 377,742,000 374,292,000 347,724,000 317,549,000 301,321,000 288,724,000 273,904,000 262,824,000 251,347,000 
        other commercial
                                                                                     138,011,000 138,923,000 66,485,000 70,745,000 73,139,000 74,743,000 79,090,000 85,356,000 88,824,000 95,323,000 109,068,000 110,468,000 
        installment
                                                                                     42,844,000 48,668,000 16,065,000 20,221,000 24,722,000 28,351,000 39,466,000 46,877,000 53,488,000 64,181,000 75,047,000 89,117,000 
        indirect
                                                                                     4,658,000 6,048,000 7,960,000 13,020,000 16,140,000 20,006,000 29,074,000 35,059,000 41,475,000 48,709,000 56,425,000 65,634,000 
        credit card
                                                                                     15,632,000 16,188,000 16,954,000 17,893,000 17,961,000 18,119,000 19,133,000 19,155,000 18,780,000 19,715,000 19,081,000 18,285,000 
        unrealized (loss) on interest rate floors
                                                                                     -543,000 -104,000           
        retained interests
                                                                                          1,656,000 53,588,000 79,978,000 82,346,000 80,923,000 79,841,000 76,930,000 
        securities purchased under agreement to resell
                                                                                              27,202,000   
        federal funds purchased and securities sold under agreement to repurchase
                                                                                           93,839,000 78,873,000 84,330,000 146,937,000   
        securities sold, not yet purchased
                                                                                              26,284,000 26,886,000  
        corporation-obligated mandatorily redeemable capital securities of subsidiary trusts holding solely subordinated debentures of city holding company
                                                                                           87,500,000 87,500,000 87,500,000 87,500,000 87,500,000 87,500,000 
        total stockholders’ equity
                                                                                           183,463,000 178,571,000 167,877,000 165,393,000 160,705,000  
        federal funds sold and securities purchased under agreement to resell
                                                                                               44,002,000  
        securities sold under agreement to repurchase
                                                                                               95,636,000  
        preferred stock, par value 25 per share: authorized - 500,000 shares: none issued
                                                                                                 
        accumulated other comprehensive income
                                                                                               6,077,000 4,638,000 
        stockholders' equity
                                                                                                 
        total stockholders' equity
                                                                                                158,828,000 
        total liabilities and stockholders' equity
                                                                                                2,043,685,000 
      Cashflow Statements:
      Quarterly
      Annual
        Unit: USD2025-12-31 2025-09-30 2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-09-30 2018-06-30 2018-03-31 2017-12-31 2017-09-30 2017-06-30 2017-03-31 2016-12-31 2016-09-30 2016-06-30 2016-03-31 2015-12-31 2015-09-30 2015-06-30 2015-03-31 2014-12-31 2014-09-30 2014-06-30 2014-03-31 2013-12-31 2013-09-30 2013-06-30 2013-03-31 2012-09-30 2012-06-30 2012-03-31 2011-12-31 2011-09-30 2011-06-30 2011-03-31 2010-09-30 2010-06-30 2010-03-31 2009-12-31 2009-09-30 2009-06-30 2009-03-31 2008-12-31 2008-09-30 2008-06-30 2008-03-31 2007-09-30 2007-06-30 2007-03-31 2006-12-31 2006-09-30 2006-06-30 2006-03-31 2005-09-30 2005-06-30 2005-03-31 2004-09-30 2004-06-30 2004-03-31 2003-09-30 2003-06-30 2003-03-31 2002-12-31 2002-09-30 
                                                                                               
          summary of operations
                                                                                               
          total interest income
                                                                                               
          total interest expense
                                                                                               
          net interest income
                                                                                               
          benefit from (recovery of) loan losses
                                                                                               
          total other income
                                                                                               
          total other incomes
                                                                                               
          income before income taxes
                                                                                               
          income tax expense
                                                                                               
          net income
         35,188,000 33,387,000 30,342,000  29,809,000 29,115,000 29,523,000 27,452,000 29,839,000 32,733,000 24,341,000 30,663,000 27,383,000 22,683,000 21,342,000 23,386,000 22,732,000 22,148,000 19,814,000  20,125,000 18,249,000 29,000,000 22,371,000 22,751,000 21,619,000  20,693,000 20,974,000 17,616,000  13,932,000 14,688,000 16,026,000  13,232,000 12,542,000 11,702,000 13,515,000 10,607,000 11,983,000 17,992,000 14,530,000 11,872,000 12,757,000 13,803,000 13,246,000 13,976,000 13,006,000 7,987,000 10,607,000 7,411,000 10,031,000 9,654,000 11,579,000 9,831,000 9,614,000 9,023,000 10,715,000 9,313,000 11,078,000 10,497,000 10,146,000 10,924,000 4,249,000 -2,557,000 13,379,000 13,038,000 12,714,000 12,322,000 13,231,000 12,940,000 13,620,000 13,761,000 12,866,000 13,172,000 12,349,000 11,678,000 10,956,000 13,298,000 11,003,000 11,533,000 12,137,000 9,352,000 9,408,000 8,972,000 
          per share data
                                                                                               
          net income basic
                                                                                               
          net income diluted
                                                                                               
          cash dividends declared
                                                                                               
          book value per share
                                                                                               
          selected average balances
                                                                                               
          total loans
                                                                                               
          securities
                                                                                               
          interest-earning assets
                                                                                               
          deposits
                                                                                               
          long-term debt
                                                                                               
          shareholders’ equity
                                                                                               
          total assets
                                                                                               
          selected year-end balances
                                                                                               
          net loans
                                                                                               
          performance ratios
                                                                                               
          return on average assets
                                                                                               
          return on average equity
                                                                                               
          return on average tangible equity
                                                                                               
          net interest margin
                                                                                               
          efficiency ratio
                                                                                               
          dividend payout ratio
                                                                                               
          asset quality
                                                                                               
          net charge-offs to average loans
                                                                                               
          benefit from (recovery of) loan losses to average loans
                                                                                               
          allowance for loan losses to nonperforming loans
                                                                                               
          allowance for loan losses to total loans
                                                                                               
          consolidated capital ratios
                                                                                               
          total
                                                                                               
          tier i risk-based
                                                                                               
          tier i leverage
                                                                                               
          average equity to average assets
                                                                                               
          average tangible equity to average tangible assets
                                                                                               
          full-time equivalent employees
                                                                                               
          2006
                                                                                               
          fourth quarter
                                                                                               
          third quarter
                                                                                               
          second quarter
                                                                                               
          first quarter
                                                                                               
          2005
                                                                                               
          earnings per share, basic
                                                                                               
          earnings per share, diluted
                                                                                               
          roa*
                                                                                               
          roe*
                                                                                               
          * roa (return on average assets) is a measure of the effectiveness of asset utilization. roe (return on average equity) is a measure of the return on shareholders’ investment.
                                                                                               
          assets
                                                                                               
          loan portfolio :
                                                                                               
          residential real estate
                                                                                               
          home equity
                                                                                               
          commercial, financial, and agriculture
                                                                                               
          installment loans to individuals
                                                                                               
          previously securitized loans
                                                                                               
          securities:
                                                                                               
          taxable
                                                                                               
          tax-exempt
                                                                                               
          total securities
                                                                                               
          loans held for sale
                                                                                               
          deposits in depository institutions
                                                                                               
          federal funds sold
                                                                                               
          retained interests
                                                                                               
          total interest-earning assets
                                                                                               
          cash and due from banks
                                                                                               
          premises and equipment
                                                                                               
          other assets
                                                                                               
          less: allowance for loan losses
                                                                                               
          liabilities
                                                                                               
          interest-bearing demand deposits
                                                                                               
          savings deposits
                                                                                               
          time deposits
                                                                                               
          short-term borrowings
                                                                                               
          total interest-bearing liabilities
                                                                                               
          noninterest-bearing demand deposits
                                                                                               
          other liabilities
                                                                                               
          total liabilities and shareholders’ equity
                                                                                               
          net yield on earning assets
                                                                                               
          loan portfolio:
                                                                                               
          interest-bearing liabilities
                                                                                               
          fully federal taxable equivalent using a tax rate of approximately 35%.
                                                                                               
          immediate basis point change in interest rates
                                                                                               
          2006:
                                                                                               
          +300
                                                                                               
          +200
                                                                                               
          +100
                                                                                               
          -100
                                                                                               
          -200
                                                                                               
          2005:
                                                                                               
          securities available-for-sale:
                                                                                               
          u.s. treasury and other u.s. government corporations and agencies
                                                                                               
          states and political subdivisions
                                                                                               
          mortgage-backed securities
                                                                                               
          other debt securities
                                                                                               
          total debt securities available-for-sale
                                                                                               
          equity securities and investment funds
                                                                                               
          total securities available-for-sale
                                                                                               
          securities held-to-maturity:
                                                                                               
          total securities held-to-maturity
                                                                                               
          total debt securities held-to-maturity
                                                                                               
          total debt securities
                                                                                               
          real estate - mortgage
                                                                                               
          gross loans
                                                                                               
          loans maturing after one year with interest rates that are:
                                                                                               
          fixed until maturity
                                                                                               
          variable or adjustable
                                                                                               
          balance at beginning of year
                                                                                               
          allowance from acquisition
                                                                                               
          reduction of allowance for loans sold
                                                                                               
          charge-offs:
                                                                                               
          commercial, financial, and agricultural
                                                                                               
          real estate-mortgage
                                                                                               
          overdraft deposit accounts
                                                                                               
          totals
                                                                                               
          recoveries:
                                                                                               
          net charge-offs
                                                                                               
          balance at end of year
                                                                                               
          as a percent of average total loans
                                                                                               
          as a percent of nonperforming and potential problem loans
                                                                                               
          allowance for loan losses
                                                                                               
          non-accrual loans
                                                                                               
          accruing loans past due 90 days or more
                                                                                               
          previously securitized loans past due 90 days or more
                                                                                               
          commercial, financial and agricultural
                                                                                               
          principal receipts
                                                                                               
          interest receipts
                                                                                               
          total cash receipts
                                                                                               
          prepayment speed
                                                                                               
          from january 2006 - december 2006
                                                                                               
          from january 2007 - september 2007
                                                                                               
          from september 2007 - december 2007
                                                                                               
          from january 2008 - december 2008
                                                                                               
          from january 2009 - december 2009
                                                                                               
          from january 2010 - december 2010
                                                                                               
          thereafter
                                                                                               
          weighted-average cumulative defaults
                                                                                               
          balance at december 31, 2004
                                                                                               
          principal payments on mortgage loans received from borrowers
                                                                                               
          discount accretion
                                                                                               
          balance at december 31, 2005
                                                                                               
          balance at december 31, 2006
                                                                                               
          three months or less
                                                                                               
          over three months through six months
                                                                                               
          over six months through twelve months
                                                                                               
          over twelve months
                                                                                               
          contractual obligations
                                                                                               
          total contractual obligations
                                                                                               
          city holding:
                                                                                               
          city national:
                                                                                               
          /s/ charles r. hageboeck
                                                                                               
          charles r. hageboeck
                                                                                               
          president and chief executive officer
                                                                                               
          interest-bearing deposits in depository institutions
                                                                                               
          cash and cash equivalents
                                                                                               
          investment securities available-for-sale, at fair value
                                                                                               
          investment securities held-to-maturity, at amortized cost
                                                                                               
          total investment securities
                                                                                               
          bank-owned life insurance
                                                                                               
          accrued interest receivable
                                                                                               
          net deferred tax assets
                                                                                               
          intangible assets
                                                                                               
          deposits:
                                                                                               
          noninterest-bearing
                                                                                               
          interest-bearing:
                                                                                               
          demand deposits
                                                                                               
          total deposits
                                                                                               
          total liabilities
                                                                                               
          preferred stock, par value 25 per share: 500,000 shares authorized; none issued
                                                                                               
          common stock, par value 2.50 per share: 50,000,000 shares authorized; 18,499,282 shares issued at december 31, 2006 and 2005, including 1,009,095 and 395,465 shares in treasury, respectively
                                                                                               
          capital surplus
                                                                                               
          retained earnings
                                                                                               
          cost of common stock in treasury
                                                                                               
          accumulated other comprehensive income:
                                                                                               
          unrealized loss on securities available-for-sale
                                                                                               
          unrealized loss on derivative instruments
                                                                                               
          underfunded pension liability
                                                                                               
          total accumulated other comprehensive income
                                                                                               
          total shareholders’ equity
                                                                                               
          interest income
                                                                                               
          interest and fees on loans
                                                                                               
          interest on investment securities:
                                                                                               
          interest on loans held for sale
                                                                                               
          interest on retained interests
                                                                                               
          interest on deposits in depository institutions
                                                                                               
          interest on federal funds sold
                                                                                               
          interest expense
                                                                                               
          interest on deposits
                                                                                               
          interest on short-term borrowings
                                                                                               
          interest on long-term debt
                                                                                               
          benefit from loan losses
                                      181,000  1,393,000 510,000 681,000   1,122,000 539,000 2,813,000 451,000 2,836,000 888,000 384,000 1,872,000 435,000 1,363,000  1,154,000 2,011,000 1,738,000       1,086,000   1,080,000   2,150,000 1,650,000  2,350,000   1,200,000 1,600,000 900,000   675,000 1,000,000          
          net interest income after benefit from loan losses
                                                                                               
          noninterest income
                                                                                               
          investment securities gains
                                                                                               
          service charges
                                                                                               
          insurance commissions
                                                                                               
          trust and investment management fee income
                                                                                               
          gain on sale of credit card portfolio
                                                                                               
          net proceeds from litigation settlements
                                                                                               
          other income
                                                                                               
          total noninterest income
                                                                                               
          noninterest expense
                                                                                               
          salaries and employee benefits
                                                                                               
          occupancy and equipment
                                                                                               
          depreciation
                                                                                               
          professional fees and litigation expense
                                                                                               
          postage, delivery, and statement mailings
                                                                                               
          advertising
                                                                                               
          telecommunications
                                                                                               
          bankcard expenses
                                                                                               
          insurance and regulatory
                                                                                               
          office supplies
                                                                                               
          repossessed asset (gains), net of expenses
                                                                                               
          loss on early extinguishment of debt
                                                                          1,208,000      282,000            
          other incomes
                                                                                               
          total noninterest expense
                                                                                               
          basic earnings per common share
                                                                                               
          diluted earnings per common share
                                                                                               
          dividends declared per common share
                                                                                               
          average common shares outstanding:
                                                                                               
          basic
                                                                                               
          diluted
                                                                                               
          balances at december 31, 2003
                                                                                               
          comprehensive income:
                                                                                               
          other comprehensive loss, net of deferred income tax benefit of 1,678:
                                                                                               
          unrealized loss on securities of 5,308, net of tax and reclassification adjustments for gains included in net income of 1,173
                                                                                               
          increase in underfunded pension liability of 57, net of tax
                                                                                               
          total comprehensive income
                                                                                               
          exercise of 140,730 stock options, including tax benefit of 252
                                                                                               
          purchase of 197,040 common shares for treasury
                                                                                               
          balances at december 31, 2004
                                                                                               
          other comprehensive loss, net of deferred income tax benefit of 4,579:
                                                                                               
          unrealized loss on securities of 10,049, net of tax and reclassification adjustments for losses included in net income of 151
                                                                                               
          increase in underfunded pension liability of 1,247, net of tax
                                                                                               
          issuance of 1,580,034 shares for acquisition of classic bancshares, net 108,173 shares owned and transferred to treasury
                                                                                               
          issuance of 18,800 stock award shares
                                                                                               
          exercise of 367,675 stock options, including tax benefit of 4,124
                                                                                               
          purchase of 342,576 common shares for treasury
                                                                                               
          balances at december 31, 2005
                                                                                               
          other comprehensive gain, net of deferred income tax benefit of 1,655:
                                                                                               
          unrealized gain on securities of 5,645, net of tax and reclassification adjustments for losses included in net income of 1,995
                                                                                               
          unrealized loss on interest rate floors of 350, net of tax
                                                                                               
          decrease in underfunded pension liability of 838, net of tax
                                                                                               
          issuance of 6,700 stock award shares
                                                                                               
          exercise of 46,243 stock options
                                                                                               
          excess tax benefit on stock-based compensation
                                                                                               
          purchase of 666,753 common shares for treasury
                                                                                               
          balances at december 31, 2006
                                                                                               
          operating activities
                                                                                               
          adjustments to reconcile net income to net cash from operating activities:
                                                                                               
          amortization and accretion
                                                      -1,634,000 -3,409,000 -4,191,000 -2,564,000 -1,130,000 -56,000 730,000 682,000 598,000 486,000 396,000 414,000 305,000 203,000 166,000 142,000 53,000 37,000 -61,000 -183,000 -235,000 -338,000 -439,000 -727,000 -599,000 -428,000 -537,000 -606,000 -667,000 -786,000            
          depreciation of premises and equipment
        1,144,000 1,048,000 1,046,000 1,050,000 1,062,000 1,039,000 1,042,000 1,072,000  1,103,000 1,139,000 1,210,000  1,317,000 1,326,000 1,390,000  1,467,000 1,466,000 1,440,000 1,505,000 1,513,000 1,447,000 1,325,000 1,269,000 1,258,000 1,209,000 1,268,000 1,264,000 1,285,000 1,270,000 1,398,000 1,450,000 1,511,000 1,525,000 1,516,000 1,585,000 1,567,000 1,567,000 1,539,000 1,522,000 1,516,000 1,511,000 1,534,000 1,542,000 1,533,000 1,478,000 1,468,000 1,437,000 1,453,000 1,399,000 1,176,000 1,109,000 1,086,000 1,100,000 1,132,000 1,140,000 1,136,000 1,145,000 1,174,000 1,218,000 1,180,000 1,171,000 1,184,000 1,211,000 1,193,000 1,110,000 1,087,000 1,133,000 1,160,000 1,108,000 1,071,000 1,037,000 1,061,000 1,071,000 1,050,000            
          loss on early extinguishments of debt
                                                                                               
          deferred income tax expense
        108,000 -1,595,000 -208,000 1,645,000 -155,000 -910,000 462,000 984,000  -627,000 -210,000 -654,000  547,000 -246,000 880,000  -84,000 1,462,000 427,000 1,605,000 -1,288,000 3,147,000 -824,000 772,000 212,000 1,922,000  140,000 494,000 287,000 11,099,000 423,000 456,000 2,931,000 -181,000 1,450,000 1,718,000 830,000 3,148,000 -1,070,000 3,585,000 964,000 664,000 1,306,000 1,863,000 752,000 -259,000 1,677,000   79,000 52,000 211,000        5,457,000      350,000 183,000    1,489,000 17,000 460,000 550,000 809,000 907,000 967,000 1,681,000 888,000 4,180,000 2,220,000 3,004,000 853,000 -3,557,000 2,439,000 
          net periodic pension cost
                                                                                               
          increase in retained interests
                                                                                       -65,000 -737,000 -1,494,000 -1,455,000 -1,423,000 -1,082,000  
          increase in value of bank-owned life insurance
        -864,000 -919,000 -942,000 -1,153,000 -804,000 -1,437,000 -775,000 -976,000  -807,000 -3,208,000 -804,000  -754,000 -978,000 -2,014,000  -748,000 -939,000 -1,460,000 -813,000 -1,088,000 -847,000 -1,676,000 -761,000 -1,132,000 -1,016,000 -1,158,000 -599,000 -721,000 -612,000 -734,000 -746,000 -479,000 -749,000 -697,000 -847,000 -767,000 -760,000 -898,000 -929,000 -783,000 -764,000 -778,000 -771,000 -764,000 -756,000 -798,000 -805,000 -796,000 -812,000 -702,000 -770,000 -692,000 -728,000 -952,000 -721,000 -782,000 -1,104,000 -813,000 -728,000 -753,000 -793,000 -993,000 -731,000 -740,000 -766,000 -751,000 -676,000 -597,000 -585,000 -696,000 -576,000 -562,000 -677,000 -537,000            
          proceeds from bank-owned life insurance
                                         488,000 1,137,000     136,000               109,000 478,000   586,000   -8,000 40,000       1,000 204,000 1,000              
          gain from sale of credit card portfolio
                                                                                               
          gain on sale of premises and equipment
                                                                                               
          realized investment securities losses
                                                             31,000     2,901,000 293,000 1,651,000 1,437,000 2,320,000 332,000 2,075,000 10,800,000       -72,000               
          decrease (increase) in accrued interest receivable
                                                                            692,000    597,000 -1,663,000 724,000 1,139,000            
          increase in other assets
                                                                  -11,027,000       -13,486,000 2,079,000 12,854,000 -19,159,000   -1,344,000 5,684,000 -4,851,000 -3,388,000 -135,000 1,481,000 -993,000 -2,930,000 -2,891,000 652,000 -1,073,000 461,000 926,000 -1,671,000   
          increase in other liabilities
                                                               11,690,000 815,000 3,072,000 5,407,000 2,613,000 3,889,000    -13,688,000    8,797,000   5,497,000   -1,936,000 2,756,000   6,277,000         
          net cash from operating activities
        34,345,000 37,293,000 28,220,000 31,514,000 33,760,000 37,646,000 28,322,000 32,168,000 2,632,000 36,733,000 27,410,000 39,901,000 8,184,000 36,371,000 17,117,000 28,279,000 21,393,000 33,366,000 20,926,000 19,401,000 9,566,000 12,240,000 27,371,000 40,618,000 23,504,000 26,297,000 20,366,000 16,814,000 20,709,000 23,179,000 12,371,000 23,325,000 14,178,000 19,983,000 20,357,000 17,511,000 10,071,000 22,912,000 14,836,000 3,560,000 33,971,000 -3,135,000 13,499,000 18,771,000 20,619,000 7,453,000 6,511,000 17,471,000 24,094,000 19,635,000 14,693,000 13,832,000 11,659,000 11,590,000 13,732,000 16,865,000 9,063,000 16,347,000 7,727,000 12,492,000 15,174,000 9,030,000 -2,563,000 14,522,000 4,042,000 15,391,000 18,782,000 13,889,000 6,498,000 12,172,000 6,813,000 16,498,000 18,910,000 11,766,000 10,233,000 18,238,000 16,243,000 3,450,000 16,308,000 9,089,000 16,904,000 10,648,000 13,719,000 8,088,000 7,768,000 16,052,000 13,017,000 
          capital expenditures
          free cash flows
        34,345,000 37,293,000 28,220,000 31,514,000 33,760,000 37,646,000 28,322,000 32,168,000 2,632,000 36,733,000 27,410,000 39,901,000 8,184,000 36,371,000 17,117,000 28,279,000 21,393,000 33,366,000 20,926,000 19,401,000 9,566,000 12,240,000 27,371,000 40,618,000 23,504,000 26,297,000 20,366,000 16,814,000 20,709,000 23,179,000 12,371,000 23,325,000 14,178,000 19,983,000 20,357,000 17,511,000 10,071,000 22,912,000 14,836,000 3,560,000 33,971,000 -3,135,000 13,499,000 18,771,000 20,619,000 7,453,000 6,511,000 17,471,000 24,094,000 19,635,000 14,693,000 13,832,000 11,659,000 11,590,000 13,732,000 16,865,000 9,063,000 16,347,000 7,727,000 12,492,000 15,174,000 9,030,000 -2,563,000 14,522,000 4,042,000 15,391,000 18,782,000 13,889,000 6,498,000 12,172,000 6,813,000 16,498,000 18,910,000 11,766,000 10,233,000 18,238,000 16,243,000 3,450,000 16,308,000 9,089,000 16,904,000 10,648,000 13,719,000 8,088,000 7,768,000 16,052,000 13,017,000 
          investing activities
                                                                                               
          proceeds from maturities and calls of securities held to maturity
                                                                                               
          purchases of securities held-to-maturity
                                                   -10,226,000                                         
          proceeds from sale of money market and mutual fund available-for-sale securities
                                                                                               
          purchases of money market and mutual fund available-for-sale securities
                                                                                               
          proceeds from sales of securities available-for-sale
         51,918,000        17,690,000 619,000 84,940,000                    200,000 5,576,000 29,594,000 1,221,000 35,000 99,000   4,893,000 161,000 1,531,000 129,000 812,000 -40,000 17,950,000 488,000 12,131,000 10,306,000 5,336,000 464,000 270,000 55,810,000 291,000 10,766,000 2,000 81,000 2,988,000 642,000 75,000 86,000 196,000 232,000 526,000 2,065,000 777,000 45,000 989,000 24,307,000 29,996,000 2,610,000 613,000            
          proceeds from maturities and calls of securities available-for-sale
                                   34,195,000 17,445,000 15,242,000 21,230,000 24,909,000 25,876,000 12,101,000 23,390,000 23,155,000 21,556,000 15,931,000 18,078,000 10,568,000 11,835,000 17,151,000 16,172,000 11,912,000 10,834,000 12,352,000 13,885,000 12,425,000 18,128,000 14,338,000 46,205,000 62,593,000 26,345,000 24,822,000 27,077,000 23,963,000 32,253,000 32,591,000 29,401,000 29,636,000 25,752,000 19,428,000 27,520,000 29,496,000 20,167,000 11,146,000 13,869,000 16,628,000 15,122,000 16,896,000 23,628,000 29,694,000 21,465,000 18,353,000 19,446,000 19,874,000            
          purchases of securities available-for-sale
                                   -64,999,000 -33,608,000 -31,898,000 -35,721,000 -50,613,000 -46,901,000 -49,770,000 -39,747,000 -54,879,000 -77,813,000 -59,169,000 -4,289,000 -84,081,000 -23,279,000 -33,054,000 -34,857,000 -14,237,000 -3,528,000 -3,268,000 -10,262,000 -38,483,000 -19,960,000 -21,847,000 -488,000 -83,937,000 -34,068,000 -32,492,000 -8,165,000 -32,763,000 -41,012,000 -33,275,000 -2,087,000 -41,871,000 -1,536,000 -34,724,000 -34,738,000 -48,775,000 -11,139,000 -87,776,000 -10,062,000 -22,744,000 -38,664,000 -10,160,000 -727,000 -1,198,000 -46,046,000 -8,586,000 -2,218,000 -800,000            
          net increase in loans
        -95,431,000                           -76,227,000 8,416,000 -16,646,000 -10,827,000 -22,350,000 -22,818,000 -9,495,000 -30,826,000 -87,504,000 -55,124,000 -26,215,000 -14,668,000   -53,327,000 21,622,000 -20,260,000            -27,677,000 -28,651,000 -5,472,000   -9,997,000     -35,830,000      -13,787,000    -9,957,000 -21,827,000   5,781,000        
          redemption of asset-backed notes
                                                                                               
          sales of premises and equipment
                                                                         3,000 -3,000 340,000        109,000 75,000 26,000         
          purchases of premises and equipment
        -743,000 -1,540,000 -388,000 -253,000 -956,000 -648,000 -506,000 -596,000  -665,000 -1,111,000 -616,000  -627,000 -649,000 -401,000  -370,000 -1,513,000 -1,048,000 -1,193,000 -553,000 -469,000 -3,329,000 -498,000 -1,441,000 -1,576,000 -5,956,000 -1,526,000 -1,149,000 -1,561,000 -2,312,000 -1,192,000 -959,000 -2,111,000 -1,964,000 -2,162,000 -781,000 -610,000 -1,285,000 -751,000 -506,000 -472,000 -589,000 -421,000 -308,000 -356,000 -1,959,000 -1,387,000 -1,576,000 -1,700,000 -966,000 -2,973,000 -1,971,000 -924,000 -1,542,000 -1,676,000 -473,000 -1,621,000 -1,501,000 -1,213,000 -2,020,000 -1,186,000 -2,920,000 -2,762,000 -1,757,000 -4,209,000 -3,432,000 -1,093,000 -3,813,000 -4,841,000 -1,572,000 -2,181,000 -1,512,000 -1,961,000 -727,000 -2,104,000 -1,091,000 -261,000 -1,345,000 -641,000 -332,000 -1,349,000     
          proceeds from sale of credit card portfolio
                                                                                               
          acquisition, net of cash received
                                                                                               
          net cash from investing activities
        -80,387,000 -10,138,000 -192,051,000 12,658,000 -119,082,000 -2,821,000 -133,308,000 2,951,000 -30,000,000 -74,831,000 -21,678,000 129,351,000 396,104,000 -143,551,000 -150,042,000 -102,395,000 126,760,000 -37,399,000 -144,424,000 58,651,000 31,824,000 -116,003,000 -158,041,000 -43,066,000 -53,727,000 -11,702,000 12,629,000 -100,687,000 -6,821,000      -39,114,000 -116,479,000 -80,272,000 -65,761,000 1,219,000   -65,134,000 21,051,000 -15,904,000 -42,763,000 -8,725,000 42,681,000 -70,806,000 -30,854,000 -15,156,000 44,130,000 -24,909,000 2,859,000 -6,159,000 -31,930,000 17,153,000 -7,446,000 -35,839,000 58,122,000 17,948,000 -49,655,000 -9,149,000 25,054,000 -33,655,000 -23,116,000 -99,475,000 -16,447,000 -2,979,000 -17,007,000 36,116,000 42,887,000 -79,483,000 20,131,000 14,460,000 25,994,000 -42,851,000 -31,457,000 83,102,000 -40,850,000 -8,297,000 1,385,000 -12,720,000 -29,160,000 2,446,000 -25,074,000 -10,010,000 -23,564,000 
          financing activities
                                                                                               
          net increase in non-interest-bearing deposits
         -5,934,000 17,377,000 21,421,000   -4,412,000 16,268,000  -39,632,000 -47,892,000 9,288,000  -102,379,000 174,394,000 -15,859,000  31,532,000 35,757,000 67,185,000  -18,159,000 221,968,000 52,414,000 -2,508,000 15,182,000 4,514,000  -12,572,000 -18,595,000 36,570,000  -18,347,000 -26,568,000 42,505,000  17,998,000 -14,656,000 45,450,000                                                 
          net increase in interest-bearing deposits
        7,090,000 14,709,000 -27,023,000 92,905,000 36,600,000 50,507,000 15,912,000 105,334,000  -30,058,000 -73,664,000 -41,622,000  -81,723,000 -31,291,000 89,389,000  51,446,000 -27,997,000 77,482,000 116,616,000 27,275,000 137,250,000 -76,100,000 525,000 -616,000 63,190,000 33,708,000 34,425,000 -6,589,000 94,758,000 62,337,000 -3,266,000 -88,043,000 118,616,000 -99,677,000 19,157,000 -30,188,000 57,994,000 22,033,000 -15,474,000 -51,650,000 63,635,000 32,606,000 9,235,000 -33,068,000 27,430,000 -17,090,000 -15,651,000 -32,847,000 39,138,000 235,000 -34,063,000 44,643,000 21,426,000 -50,309,000 -2,842,000 50,520,000 -2,897,000 -20,893,000 30,037,000 11,366,000 -4,639,000 16,818,000 69,137,000 66,179,000 -5,152,000 -26,426,000 32,149,000 -1,060,000 -16,903,000 36,640,000 20,241,000 16,675,000 19,031,000 55,985,000 -11,151,000 -8,488,000 -4,761,000 4,640,000 -3,496,000 24,566,000 6,027,000 384,000 12,995,000   
          net decrease in short-term borrowings
                                  -67,228,000                                -2,605,000 5,456,000 -10,546,000                   8,129,000 -16,905,000 -56,147,000 14,966,000 -5,457,000 -62,607,000   
          proceeds from long-term debt
            50,000,000                                                         16,495,000                
          repayment of long-term debt
                            68,000 -4,124,000                                   -23,000 -22,000 -22,000 -21,000 -22,000 -21,000 -21,000 -21,000 -21,000 -29,000 -29,000 -29,000 -27,000 -79,000 -2,584,000 -10,260,000 -1,905,000 -826,000 -1,213,000          
          redemption of trust preferred securities
                                                                         -1,000 1,000 -17,569,000    -6,525,000 -3,772,000 -2,705,000            
          purchases of treasury stock
        -16,867,000 -19,429,000 -9,464,000 -14,243,000 -3,653,000 -6,307,000 -9,771,000 -23,953,000 -20,103,000 -6,434,000 -720,000 -16,311,000 -2,984,000 -10,357,000 -25,478,000 -17,081,000 -5,762,000 -4,881,000 -13,736,000 -4,893,000 -12,971,000 -7,322,000 -8,020,000 -4,089,000 -5,041,000 -540,000 -693,000 -13,997,000     -93,000 -9,925,000     -8,424,000 -11,170,000 -5,427,000 -2,936,000     -4,843,000 -3,072,000 -2,361,000 -6,344,000 -5,712,000 -9,373,000 -3,192,000 -7,105,000 -2,605,000 -841,000 -1,803,000 -1,242,000 -7,257,000 -3,717,000 -14,977,000 -11,803,000 -10,908,000 -3,020,000 -689,000 -9,711,000 -10,914,000 -1,207,000   -2,628,000   -3,258,000   
          proceeds from stock options exercises
                                                                                               
          excess tax benefits from stock-based compensation arrangements
                                                                         243,000 17,000 6,000   47,000 27,000 22,000 173,000            
          dividends paid
        -12,640,000 -11,453,000 -11,595,000 -11,606,000 -11,616,000 -10,512,000 -10,751,000 -10,603,000 -10,632,000 -9,759,000 -10,008,000 -9,594,000 -9,655,000 -8,909,000 -9,100,000 -9,038,000 -8,747,000 -9,018,000 -9,124,000 -9,249,000 -9,022,000 -9,159,000 -9,199,000 -9,293,000 -8,747,000 -8,735,000 -8,775,000 -8,184,000 -7,110,000 -7,103,000 -7,186,000 -6,871,000 -6,874,000 -6,857,000 -6,518,000 -6,452,000 -6,454,000 -6,445,000 -6,367,000 -6,435,000 -6,417,000 -6,388,000 -6,064,000 -6,130,000 -6,242,000 -6,288,000 -5,827,000 -5,820,000 -5,803,000 -5,794,000 -5,461,000 -5,191,000 -5,155,000 -5,171,000 -5,039,000 -5,129,000 -5,189,000 -5,273,000 -5,304,000 -5,382,000 -5,397,000 -5,411,000 -5,432,000 -5,410,000 -5,422,000 -5,504,000 -5,475,000 -5,482,000 -5,022,000 -5,239,000 -5,347,000 -4,898,000 -4,918,000 -4,919,000 -4,993,000 -4,520,000            
          net cash from financing activities
        12,367,000 26,315,000 -48,750,000 115,144,000 16,762,000 41,138,000 4,290,000 127,287,000 126,043,000 -82,467,000 -77,261,000 -66,442,000 -40,297,000 -291,446,000 231,856,000 37,533,000 -254,494,000 33,692,000 -23,411,000 150,088,000 234,551,000 -16,773,000 393,288,000 -27,060,000 -22,302,000 10,274,000 -12,136,000 -99,046,000 26,498,000 150,343,000 53,581,000 23,119,000 28,673,000 -83,291,000 121,430,000 122,298,000 56,434,000 -53,740,000 88,997,000   -23,417,000 62,332,000 53,869,000 2,896,000 -43,215,000 20,159,000 -40,410,000 -5,953,000 -45,882,000 89,920,000 -10,091,000 -28,237,000 -4,071,000 80,810,000 -51,076,000 3,087,000 49,254,000 -28,086,000 -33,797,000 20,210,000 17,744,000 -30,451,000 23,610,000 7,938,000 87,462,000 -15,955,000 -17,996,000 12,948,000 -50,015,000 -34,082,000 31,589,000 -30,853,000 -18,636,000 -23,193,000 19,976,000 11,292,000 -72,989,000 17,844,000 -3,883,000 -20,456,000 -7,408,000 6,037,000 -10,120,000 -42,825,000 23,522,000  
          increase in cash and cash equivalents
        -33,675,000 53,470,000 -212,581,000 159,316,000 -68,560,000 75,963,000     -71,529,000 102,810,000 363,991,000 -398,626,000 98,931,000 -36,583,000 -106,341,000 29,659,000 -146,909,000 228,140,000 275,941,000 -120,536,000 262,618,000 -29,508,000 -52,525,000 24,869,000 20,859,000 -182,919,000 40,386,000 141,746,000 41,270,000   -108,452,000 102,673,000   -96,589,000 105,052,000 -48,595,000 -34,716,000 -91,686,000 96,882,000 56,736,000 -19,248,000 -44,487,000 69,351,000 -93,745,000 -12,713,000 -41,403,000 148,743,000 -21,168,000 -13,719,000 1,360,000 62,612,000 -17,058,000 4,704,000 29,762,000       -11,136,000     -1,727,000    7,590,000   -3,922,000        -60,131,000 29,564,000  
          cash and cash equivalents at beginning of year
                                                                                               
          cash and cash equivalents at end of year
                                                                                               
          u.s. treasury securities and obligations of u.s. govern-ment corporations and agencies
                                                                                               
          obligations of states and political subdivisions
                                                                                               
          securities available-for-sale
                                                                                               
          due in one year or less
                                                                                               
          due after one year through five years
                                                                                               
          due after five years through ten years
                                                                                               
          due after ten years
                                                                                               
          securities held-to-maturity
                                                                                               
          gross realized gains
                                                                                               
          gross realized losses
                                                                                               
          investment security gains
                                                                                               
          balance at january 1
                                                                                               
          benefit from possible loan losses
                                                                                               
          charge-offs
                                                                                               
          recoveries
                                                                                               
          balance at december 31
                                                                                               
          nonaccrual loans
                                                                                               
          impaired loans with a valuation allowance
                                                                                               
          impaired loans with no valuation allowance
                                                                                               
          total impaired loans
                                                                                               
          allowance for loan losses allocated to impaired loans
                                                                                               
          total principal amount of loans outstanding
                                                                                               
          discount
                                                                                               
          net book value
                                                                                               
          principal amount of loans between 30 and 89 days past due
                                                                                               
          principal amount of loans between 90 and 119 days past due
                                                                                               
          net credit (recoveries) losses during the year
                                                                                               
          land
                                                                                               
          buildings and improvements
                                                                                               
          equipment
                                                                                               
          less accumulated depreciation
                                                                                               
          net premises and equipment
                                                                                               
          gross carrying amount
                                                                                               
          accumulated amortization
                                                                                               
          net core deposit intangible
                                                                                               
          2007
                                                                                               
          2008
                                                                                               
          2009
                                                                                               
          2010
                                                                                               
          2011
                                                                                               
          over five years
                                                                                               
          within one year
                                                                                               
          over one through two years
                                                                                               
          over two through three years
                                                                                               
          over three through four years
                                                                                               
          over four through five years
                                                                                               
          balance at end of year:
                                                                                               
          securities repurchase agreements
                                                                                               
          federal funds borrowed
                                                                                               
          avg. outstanding during the year:
                                                                                               
          fhlb advances and federal funds borrowed
                                                                                               
          max. outstanding at any month end:
                                                                                               
          weighted-average interest rate:
                                                                                               
          during the year:
                                                                                               
          end of the year:
                                                                                               
          fhlb advances
                                                                                               
          junior subordinated debentures owed to city holding capital trust
                                                                                               
          total long-term debt
                                                                                               
          interest rate floors on variable-rate loans
                                                                                               
          deferred tax assets:
                                                                                               
          deferred compensation payable
                                                                                               
          unrealized securities losses
                                                                                               
          accrued expenses
                                                                                               
          impaired investments
                                                                                               
          net operating income carryforward
                                                                                               
          other
                                                                                               
          total deferred tax assets
                                                                                               
          deferred tax liabilities:
                                                                                               
          deferred loan fees
                                                                                               
          total deferred tax liabilities
                                                                                               
          current:
                                                                                               
          federal
                                                                                               
          state
                                                                                               
          total current
                                                                                               
          deferred:
                                                                                               
          total deferred
                                                                                               
          income tax (benefit) expense attributable to securities transactions
                                                                                               
          computed federal taxes at statutory rate
                                                                                               
          state income taxes, net of federal tax benefit
                                                                                               
          tax effects of:
                                                                                               
          tax-exempt interest income
                                                                                               
          other items
                                                                                               
          outstanding at january 1
                                                                                               
          granted
                                                                                               
          exercised
                                                                                               
          forfeited
                                                                                               
          outstanding at december 31
                                                                                               
          exercisable at end of year
                                                                                               
          nonvested at beginning of year
                                                                                               
          vested during year
                                                                                               
          nonvested at end of year
                                                                                               
          ranges of
                                                                                               
          exercise
                                                                                               
          prices
                                                                                               
          13.30
                                                                                               
          28.00 - 36.90
                                                                                               
          risk-free interest rate
                                                                                               
          expected dividend yield
                                                                                               
          volatility factor
                                                                                               
          expected life of option
                                                                                               
          forfeited/vested
                                                                                               
          net income, as reported
                                                                                               
          add: restricted stock compensation expense included in reported net income, net of related tax effects
                                                                                               
          less: total stock-based compensation expense including both restricted stock and stock options, determined under fair value based method, net of related tax effects
                                                                                               
          net income, pro forma
                                                                                               
          basic earnings per share, as reported
                                                                                               
          basic earnings per share, pro forma
                                                                                               
          diluted earnings per share, as reported
                                                                                               
          change in fair value of plan assets:
                                                                                               
          fair value at beginning of measurement period
                                                                                               
          actual gain on plan assets
                                                                                               
          contributions
                                                                                               
          benefits paid
                                                                                               
          fair value at end of measurement period
                                                                                               
          change in benefit obligation:
                                                                                               
          benefit obligation at beginning of measurement period
                                                                                               
          interest cost
                                                                                               
          actuarial gain
                                                                                               
          change in estimates
                                                                                               
          benefit obligation at end of measurement period
                                                                                               
          funded status
                                                                                               
          unrecognized net actuarial gain
                                                                                               
          unrecognized net obligation
                                                                                               
          other comprehensive loss
                                                                                               
          accrued benefit cost
                                                                                               
          weighted-average assumptions as of october 31:
                                                                                               
          discount rate
                                                                                               
          expected return on plan assets
                                                                                               
          components of net periodic benefit:
                                                                                               
          net amortization and deferral
                                                                                               
          equity securities
                                                                                               
          debt securities
                                                                                               
          plan year ending october 31
                                                                                               
          2012 through 2016
                                                                                               
          commitments to extend credit:
                                                                                               
          home equity lines
                                                                                               
          credit card lines
                                                                                               
          commercial real estate
                                                                                               
          other commitments
                                                                                               
          standby letters of credit
                                                                                               
          commercial letters of credit
                                                                                               
          total capital
                                                                                               
          consolidated
                                                                                               
          city national
                                                                                               
          tier i capital
                                                                                               
          assets:
                                                                                               
          liabilities:
                                                                                               
          cash
                                                                                               
          investment in subsidiaries
                                                                                               
          deferred tax asset
                                                                                               
          fixed assets
                                                                                               
          junior subordinated debentures
                                                                                               
          dividends payable
                                                                                               
          accrued interest payable
                                                                                               
          income
                                                                                               
          dividends from bank subsidiaries
                                                                                               
          expenses
                                                                                               
          income before income tax benefit and (excess dividends) equity in undistributed net income of subsidiaries
                                                                                               
          income tax benefit
                                                                                               
          income before (excess dividends) equity in undistributed net income of subsidiaries
                                                                                               
          (excess dividends) equity in undistributed net income of subsidiaries
                                                                                               
          loss on early extinguishment of debentures
                                                                                               
          realized investment securities gains
                                       -200,000 -4,276,000 -2,722,000   -2,116,000 -14,000 -184,000 -71,000 -818,000 -83,000 -671,000                            -5,000 -18,000 -3,000  -124,000 -1,012,000  -22,000 -353,000   
          realized gain on sale of fixed assets
                                                                                               
          benefit from depreciation
                                                                                    1,096,000   971,000 974,000 1,006,000    1,288,000 1,367,000 
          decrease (increase) in other assets
                                                                       -1,493,000 5,937,000                       
          excess dividends (equity in undistributed net income) of subsidiaries
                                                                                               
          purchases of available for sale securities
                                                                                    -548,000           
          proceeds from sales of available for sale securities
                                                                                    923,000 903,000 701,000         
          acquisition, net cash received
                                                                                              
          proceeds from sale of fixed assets
                                                                                               
          redemption of junior subordinated debentures
                                                                                               
          issuance of stock awards
                                                                            -154,000                   
          exercise of stock options
                                                                            76,000 72,000 82,000  228,000 68,000 357,000    433,000 149,000 818,000 150,000 106,000 775,000 436,000 443,000 
          taxable equivalent adjustment
                                                                                               
          income before income tax expense
                                                                                               
          average shares outstanding
                                                                                               
          effect of dilutive securities:
                                                                                               
          employee stock options
                                                                                               
          shares for diluted earnings per share
                                                                                               
          basic earnings per share
                                                                                               
          diluted earnings per share
                                                                                               
          net income available to common shareholders
                                                                                               
          amortization
        1,369,000 906,000 2,527,000 2,087,000  1,762,000 2,031,000 1,916,000                                                                                
          (recovery of) provision for credit losses
        1,100,000 -500,000      -180,000          -725,000 -2,000,000 -440,000                                                                    
          net periodic employee (benefit) cost
                                                                                               
          unrealized and realized securities losses
                                                                                               
          stock-based compensation expense
                                                                                               
          excess tax benefit from stock-compensation expense
                      -88,000 -3,000  -176,000 -165,000 -56,000 -5,000 -23,000 -16,000 -121,000 -28,000 -356,000 -77,000 -351,000 -1,000 1,000 -155,000 -8,000 -361,000 -189,000                                                     
          loans held for sale:
                                                                                               
          loans originated for sale
        -4,197,000 -3,422,000 -6,816,000 -2,876,000 -1,724,000 -1,283,000 -4,082,000 -3,018,000  -3,194,000 -3,760,000 -2,637,000  -5,672,000 -8,374,000 -15,093,000  -10,878,000 -13,041,000 -4,682,000 -8,891,000 -9,973,000 -7,045,000 -2,327,000 -4,314,000 -5,590,000 -4,325,000  -3,417,000 -3,263,000 -2,606,000  -4,474,000 -5,433,000 -3,951,000  -5,624,000 -3,104,000 -2,809,000  -4,803,000 -5,007,000 -4,184,000  -2,457,000 -1,514,000 -940,000 -2,385,000 -5,239,000 -4,102,000 -11,554,000                                     
          proceeds from the sale of loans originated for sale
        5,230,000 3,562,000 6,184,000 2,623,000 1,769,000 1,304,000 4,113,000 3,035,000  3,214,000 3,810,000 2,689,000  5,910,000 8,422,000 15,090,000  11,296,000 12,562,000 4,733,000 9,119,000 9,936,000 7,625,000 2,229,000 4,608,000 4,645,000 5,939,000  3,590,000 3,137,000 2,874,000  4,732,000 5,465,000 6,118,000  5,836,000 2,694,000 3,107,000  5,206,000 5,690,000 3,637,000  1,946,000 1,457,000 1,672,000 2,014,000 6,240,000 4,946,000 14,630,000                                     
          gain on sale of loans
        -61,000 -70,000 -120,000 -37,000 -45,000 -21,000 -31,000 -17,000  -20,000 -50,000 -52,000  -59,000 -96,000 -128,000  -117,000 -103,000 -51,000 -91,000 -100,000 -100,000 -77,000 -137,000 -119,000 -165,000 -102,000 -86,000 -84,000 -79,000 -79,000 -128,000 -142,000 -167,000 -106,000 -129,000 -81,000 -58,000 -88,000 -112,000 -109,000 -58,000 -56,000 -47,000 -35,000 -49,000 -55,000 -126,000                                       
          change in accrued interest receivable
        1,172,000 -236,000 -51,000 -953,000 1,135,000 41,000 -67,000 -1,469,000  -1,250,000 422,000 759,000  -914,000 -241,000 -474,000  -257,000 264,000 -438,000 834,000 -2,427,000 -1,630,000 -1,001,000 -210,000 938,000 -1,233,000 726,000 -2,101,000 180,000 -305,000 13,000 -1,114,000 522,000 -236,000 -422,000 442,000 89,000 -1,085,000 489,000 148,000 -86,000 -926,000 925,000 -24,000 116,000 -977,000 1,242,000 167,000 426,000 -615,000 -591,000 90,000 364,000                                  
          change in other assets
        -8,435,000 1,126,000 3,345,000 -14,884,000 122,000 1,479,000 2,071,000 1,364,000 -11,940,000 2,304,000 6,608,000 3,156,000 10,847,000 38,000 -9,522,000 -1,828,000 6,575,000 3,470,000 -11,274,000 1,318,000 760,000 -5,035,000 -3,589,000 -5,926,000 -9,178,000 -2,817,000 -4,193,000 14,873,000 -2,619,000 -1,962,000 -11,128,000 -285,000 -1,014,000 2,707,000 -131,000 12,512,000 4,037,000 -7,475,000 -10,630,000 -688,000 -4,542,000 7,527,000 -1,824,000 -2,433,000 157,000 -2,357,000 -3,629,000 1,763,000 4,789,000 11,826,000 4,119,000 -1,280,000 -657,000 1,202,000                                  
          change in other liabilities
        4,828,000 1,454,000 -9,135,000 12,625,000 -3,975,000 4,088,000 -6,647,000 -1,376,000 454,000 2,762,000 -13,949,000 6,599,000 -10,987,000 4,355,000 204,000 4,577,000 -12,168,000 4,512,000 8,154,000 -3,273,000 -1,424,000 -2,936,000 7,397,000 8,937,000 10,110,000 4,468,000 -57,000 -5,919,000 3,052,000 4,987,000 3,504,000 1,079,000 -1,326,000 -562,000 383,000 -10,757,000 -9,944,000 14,850,000 11,432,000 -16,283,000 27,112,000 -27,650,000 8,343,000 5,126,000 6,156,000 -4,679,000 -5,240,000 2,735,000 4,547,000 -10,849,000 -620,000 3,739,000 2,084,000 -3,731,000                                  
          purchases
        -60,857,000 -42,012,000 -206,177,000 -19,668,000 -102,379,000 -143,251,000 -49,304,000  -34,953,000    -125,581,000 -204,932,000 -157,888,000  -122,146,000 -250,055,000 -66,424,000 -67,498,000 -161,454,000 -138,327,000 -94,151,000 -56,984,000 -51,980,000 -61,432,000                                                             
          proceeds from sales
        66,765,000 11,000 10,000 14,000 32,491,000 741,000 20,000 142,000  11,000 -183,000 249,000  33,000 38,000 45,000     1,759,000 2,458,000 26,090,000 38,644,000 6,535,000 25,062,000                                                             
          proceeds from maturities and calls
        77,899,000 58,345,000 53,016,000 45,529,000 68,785,000 42,671,000 33,543,000 24,201,000  30,199,000 36,889,000 26,839,000  46,569,000 61,830,000 69,476,000  77,019,000 87,192,000 49,368,000 43,154,000 44,775,000 30,602,000 20,644,000 23,255,000 16,550,000 15,432,000                                                             
          other securities
                                                                                               
          proceeds from the disposals of premises and equipment
        5,000 -9,000 46,000 6,000 -1,000 46,000 47,000  1,000    125,000 64,000  1,000                                                                      
          proceeds from bank-owned life insurance policies
           -1,000 293,000 1,025,000 223,000  1,000 206,000  -1,000 1,110,000 2,514,000  1,000 424,000 1,723,000 79,000 427,000 101,000 1,412,000                                                                
          payments for low income housing tax credits
        -1,249,000 -4,481,000 -1,376,000 -2,788,000 -1,966,000 -2,108,000 -2,499,000 -5,771,000  -2,433,000 -2,440,000 -1,704,000  -1,312,000 -343,000 -489,000  -133,000 -341,000 -1,218,000                                                                    
          acquisition of citizens commerce bancshares, inc.
                -11,670,000 495,000 13,518,000                                                                            
          net increase in noninterest-bearing deposits
                                               55,518,000 -21,538,000 12,119,000 6,131,000 46,974,000 -1,900,000 -10,015,000 17,178,000 -5,017,000 -12,468,000 -15,157,000 53,065,000 -14,064,000 6,574,000 34,267,000 5,521,000 10,009,000 8,933,000 6,635,000 -14,065,000 -5,894,000 8,740,000 25,319,000 -12,157,000 1,415,000 15,333,000  -10,529,000 16,088,000 -3,585,000  -8,560,000 17,294,000    -20,551,000  -23,490,000 7,180,000 -10,800,000 8,703,000 -8,316,000 -11,779,000 8,171,000 11,772,000   
          net increase in customer repurchase agreements
                                                                                               
          proceeds from fhlb long-term advances
                                                                                               
          proceeds from exercise of stock options
            402,000 234,000 58,000      36,000    85,000 152,000 385,000 34,000 67,000 122,000 161,000 113,000 252,000 15,000 181,000 688,000 280,000 135,000 559,000 38,000            199,000 661,000 1,369,000 1,397,000 56,000 488,000  15,000 153,000 43,000 3,000  22,000 3,000  1,351,000                     
          lease payments
        -186,000 -185,000 -185,000 -186,000  -220,000 -177,000 -202,000  -204,000 -202,000 -203,000  -190,000    -201,000                                                                      
          cash and cash equivalents at beginning of period
        225,389,000 156,276,000  200,000,000  634,631,000  528,659,000 140,144,000 122,991,000 82,508,000 88,139,000 70,113,000 148,228,000 85,876,000 84,994,000 146,399,000  66,379,000 62,635,000  59,629,000  74,518,000 110,448,000  86,273,000 56,084,000 63,338,000 129,318,000  
          cash and cash equivalents at end of period
        -33,675,000 53,470,000 -212,581,000 384,705,000 -68,560,000 75,963,000 -100,696,000 318,682,000  -120,565,000 -71,529,000 302,810,000  -398,626,000 98,931,000 598,048,000  29,659,000 -146,909,000 756,799,000 275,941,000 -120,536,000 262,618,000 110,636,000 -52,525,000 24,869,000 143,850,000 -182,919,000 40,386,000 141,746,000 123,778,000 -657,000 805,000 -108,452,000 190,812,000 23,330,000 -13,767,000 -96,589,000 175,165,000 -48,595,000 -34,716,000 -91,686,000 245,110,000 56,736,000 -19,248,000 -44,487,000 155,227,000 -93,745,000 -12,713,000 -41,403,000 233,737,000 -21,168,000 -13,719,000 147,759,000  -17,058,000 4,704,000 96,141,000 37,763,000 -3,357,000 48,364,000  -7,960,000 4,477,000 48,493,000  -13,620,000 -7,086,000 76,957,000 -1,727,000 15,618,000 79,052,000  7,590,000 13,034,000 81,636,000 -3,922,000 13,563,000 49,386,000 -3,091,000 -2,167,000 53,858,000 -9,404,000 414,000 69,187,000  -57,878,000 
          net periodic pension (benefit) cost
         -24,000 -24,000 -24,000                                                                                    
          unrealized and realized investment securities gains
             -341,000                   255,000 -134,000 -163,000                                                             
          stock-compensation expense
         908,000 786,000 719,000  876,000 707,000 1,100,000  681,000 633,000 1,093,000  754,000 687,000 971,000  652,000 625,000 1,153,000  753,000 693,000 1,009,000 527,000 571,000 803,000  455,000 449,000 793,000  443,000 430,000 780,000  406,000 445,000 755,000  370,000 320,000 740,000  321,000 317,000 572,000 318,000 260,000 246,000 457,000 213,000 215,000 442,000                                  
          excess tax expense from stock-compensation
         128,000 345,000  25,000 231,000 42,000  101,000 102,000                                                                            
          other investments
                                                                                               
          net increase in short-term borrowings
         29,178,000 -7,895,000 22,074,000 -13,498,000     6,957,000 -21,542,000 -4,208,000  -97,561,000 113,885,000 -23,975,000  -14,674,000 -4,687,000 20,047,000 16,090,000 -2,810,000 48,529,000 22,892,000 -4,411,000   -130,238,000 12,114,000   -29,245,000   -61,619,000 68,921,000 25,710,000 -3,040,000 1,845,000 2,675,000 -6,135,000 20,583,000 -2,343,000 -11,184,000 12,973,000 11,229,000 -15,885,000 -13,144,000 26,600,000 7,916,000 1,781,000 8,873,000 9,250,000 -75,226,000 61,169,000 682,000 7,897,000 6,592,000        51,737,000 3,629,000   1,243,000 8,483,000 -6,542,000    2,977,000   18,630,000         
          supplemental cash flow information:
                                                                                               
          cash paid for interest
         20,752,000 21,919,000 22,200,000                                                                                    
          cash paid for income taxes
         9,432,000                                                                                      
          unrealized and realized investment securities losses
          113,000 5,000    153,000 412,000 730,000 294,000 -1,134,000   601,000 723,000 -57,000 -93,000 -438,000 -232,000 -841,000   2,339,000                                                                
          net decrease in loans
          -51,787,000 -10,196,000  -44,480,000 -20,449,000 34,018,000 108,040,000 -84,911,000 -29,185,000 6,108,000   -6,859,000 -15,695,000 -99,197,000 7,092,000 16,428,000 75,822,000    6,442,000                       49,511,000       -1,854,000        2,652,000 -13,723,000 2,226,000 19,713,000    62,648,000          10,295,000   1,396,000 -9,092,000 -4,986,000 17,645,000   
          provision for (recovery of) credit losses
                 200,000 425,000 2,918,000            7,972,000                                                                
          amortization and (accretion)
                 1,785,000 2,409,000 2,302,000  2,394,000 2,675,000 3,538,000  2,189,000 2,046,000 1,990,000                                                                    
          provision for credit losses
            300,000 1,200,000                                                                                  
          net periodic employee benefit cost
            16,000 15,000 16,000 15,000  13,000 13,000 13,000  64,000 64,000 64,000  126,000 159,000 158,000 181,000 180,000 181,000 181,000 193,000 193,000 193,000 33,000 96,000 231,000 111,000 -39,000 112,000 111,000 114,000 129,000 129,000 128,000 129,000 211,000 212,000 213,000 200,000 107,000 107,000 107,000 179,000 317,000 208,000 49,000 329,000 129,000 248,000 14,000    96,000 58,000 58,000 58,000  50,000 50,000 50,000  12,000 12,000 12,000 59,000 59,000 59,000  61,000 77,000 46,000            
          other financing activities
                            -218,000                                                                  
          net decrease in non-interest-bearing deposits
                                                                                               
          net (decrease) in short-term borrowings
               -29,915,000                       -56,844,000                                -6,420,000 10,808,000 -69,850,000    -5,702,000                   
          decrease in cash and cash equivalents
               162,406,000                                                    -3,357,000 -14,271,000  -7,960,000    -13,620,000     -31,396,000    -4,637,000   -6,698,000 -3,091,000 -2,167,000 -9,480,000 -9,404,000     
          provision for deferred income taxes
                                                                                               
          depreciation, amortization and accretion
                                                                                               
          stock based compensation
                                                                                               
          (equity in undistributed net income) excess dividends of subsidiaries
                                                                                               
          proceeds from sales of other investments
                                                                                               
          repayment of fhlb long-term advances
                                                                                               
          recovery of credit losses
                     730,000 -756,000                                                                        
          pension contributions
                         -1,000,000                                                                    
          unrealized and realized investment securities losses (gains)
                                                                                               
          excess tax benefit from stock-compensation
                                                                                               
          excess dividends of subsidiaries
                                                                                               
          gain from the sale of visa shares
                                                                                               
          proceeds from the sale of visa shares
                                                                                               
          proceeds from the disposition of assets held-for-sale
                                                                                               
          benefit from (recovery of) credit losses
                                                                                               
          asset write down
                                                                                              
          sale of virginia beach branch
                                                                                              
          acquisition of farmers deposit bancorp, inc., net of cash acquired of 4,209
                                                                                               
          acquisition of poage bankshares, inc., net of cash acquired of 34,288
                                                                                               
          proceeds from sale of capital securities
                                                                                               
          consolidated statements of cash flows continued
                                                                                               
          city holding company and subsidiaries
                                                                                               
          interest paid
                                                                                               
          income taxes paid
                                                                                               
          (accretion) and amortization
                             2,038,000 1,295,000 -422,000                                                                
          payments for other operating activities
                                                                                              
          other investing activities
                             -91,000                                                                  
          disposals of premises and equipment
                               119,000 892,000 86,000 30,000 3,112,000 262,000 455,000 55,000 557,000 218,000 501,000 1,781,000 428,000 32,000 35,000 341,000 8,000                                                
          sale of ashland office
                               440,000                                                                
          accretion and amortization
                                -36,000 102,000 455,000  438,000 306,000 410,000  403,000 72,000 361,000  290,000 29,000 117,000  -636,000 -1,054,000 -1,922,000  -1,290,000                                           
          recovery of loan losses
                                                                                               
          (recovery of) benefit from loan losses
                                 -600,000 -849,000                                                             
          proceeds from life insurance
                                 1,907,000 304,000 215,000 210,000                                                        
          net decrease (increase) in loans
                                 41,483,000 26,920,000                        16,391,000                                     
          deferred income tax (benefit) expense
                                                          -1,151,000             294,000 -739,000     221,000 -231,000 -462,000                
          originations of loans held for sale
                                                                                               
          proceeds from loans held for sale
                                                                                               
          proceeds from maturities and calls of securities held-to-maturity
                                   1,887,000 2,190,000 2,220,000 2,142,000 2,508,000 2,771,000 2,478,000 2,823,000 4,285,000 3,645,000 3,217,000 2,332,000 2,551,000 2,992,000 4,312,000 3,336,000 2,377,000 2,870,000   719,000 316,000 4,105,000 5,083,000 5,888,000       2,717,000 500,000      247,000 75,000 1,145,000 5,751,000 4,649,000 1,058,000  528,000 656,000 253,000            
          issuance of common stock
                                                                                               
          (recovery of) provision for loan losses
                                                                                               
          unrealized gains recognized on securities still held
                                    -383,000                                                           
          proceeds from issuance of common stock
                                        28,408,000                                                     
          net cash (used in) investing activities
                                      -24,682,000  -42,046,000                                                       
          provision for loan losses
                                           1,302,000                  1,950,000 2,228,000      1,575,000       1,600,000    901,000               
          net investment securities impairment losses
                                                                                               
          gain on sale of insurance division
                                               22,168,000 -11,084,000                                             
          proceeds from sale of cityinsurance
                                                                                               
          acquisition of american founders bank, inc., including cash acquired of 561
                                                                                               
          proceeds from exercise of warrants
                                                                                             
          (decrease) increase in cash and cash equivalents
                                                                                               
          investment securities impairment losses
                                            54,000                                                   
          (decrease) in cash and cash equivalents
                                                                                               
          proceeds from sale of insurance division
                                                15,250,000                                             
          proceeds from exercise of stock options, net of tax benefit
                                            23,000    1,653,000 23,000 973,000                                            
          total non-interest income
                                                                                               
          total non-interest expenses
                                                                                               
          return on average tangible common equity
                                                                                               
          benefit from loan losses to average loans
                                                                                               
          earnings per common share, basic
                                                                                               
          earnings per common share, diluted
                                                                                               
          roatce*
                                                                                               
          investment securities
                                                                                               
          goodwill and other intangible assets
                                                                                               
          shareholders' equity
                                                                                               
          residential real estate,
                                                                                               
          commercial, financial, and agriculture,
                                                                                               
          installment loans to individuals,
                                                                                               
          bank premises and equipment
                                                                                               
          1.
                                                                                               
          3.
                                                                                               
          year ended
                                                                                               
          actual
                                                                                               
          2013
                                                                                               
          2014
                                                                                               
          2015
                                                                                               
          forecasted
                                                                                               
          2016
                                                                                               
          2017
                                                                                               
          2018
                                                                                               
          interest-earning assets:
                                                                                               
          loan portfolio
                                                                                               
          interest-bearing liabilities:
                                                                                               
          net investment security gains
                                                                                               
          non-interest income, excluding net investment securities gains
                                                                                               
          non-interest expense
                                                                                               
          december 31, 2015
                                                                                               
          +400
                                                                                               
          december 31, 2014
                                                                                               
          u.s. treasuries and u.s. government agencies
                                                                                               
          mortgage-backed securities:
                                                                                               
          u.s. government agencies
                                                                                               
          private label
                                                                                               
          trust preferred securities
                                                                                               
          corporate securities
                                                                                               
          marketable equity securities
                                                                                               
          investment funds
                                                                                               
          mortgage backed securities
                                                                                               
          other investment securities:
                                                                                               
          non-marketable equity securities
                                                                                               
          total other investment securities
                                                                                               
          commercial and industrial
                                                                                               
          consumer
                                                                                               
          dda overdrafts
                                                                                               
          balance at beginning of period
                                                                                               
          total charge-offs
                                                                                               
          total recoveries
                                                                                               
          benefit from acquired loans
                                                                                               
          balance at end of period
                                                                                               
          as a percent of average total loans:
                                                                                               
          as a percent of non-performing loans:
                                                                                               
          total non-performing loans
                                                                                               
          cet 1 capital
                                                                                               
          city holding company
                                                                                               
          city national bank
                                                                                               
          tier 1 capital
                                                                                               
          tier 1 leverage ratio
                                                                                               
          (*) represents the minimum required capital levels as of january 1, 2019 when basel iii capital rules have been fully phased in.
                                                                                               
          december 31, 2014:
                                                                                               
          s/ charles r. hageboeck
                                                                                               
          president & chief executive officer
                                                                                               
          charleston, west virginia
                                                                                               
          march 2, 2016
                                                                                               
          investment securities available for sale, at fair value
                                                                                               
          bank owned life insurance
                                                                                               
          short-term borrowings:
                                                                                               
          federal home loan bank advances
                                                                                               
          securities sold under agreements to repurchase
                                                                                               
          common stock, par value 2.50 per share: 50,000,000 shares authorized; 18,499,282 shares issued at december 31, 2015 and december 31, 2014, less 3,319,067 and 3,345,590, shares in treasury, respectively
                                                                                               
          treasury stock
                                                                                               
          accumulated other comprehensive income
                                                                                               
          unrealized gains on securities available-for-sale
                                                                                               
          total accumulated other comprehensive loss
                                                                                               
          non-interest income
                                                                                               
          gains on sale of investment securities
                                                                                               
          bankcard revenue
                                                                                               
          fdic insurance expense
                                                                                               
          legal and professional fees
                                                                                               
          repossessed asset losses, net of expenses
                                                                                               
          merger related costs
                                                                                               
          total non-interest expense
                                                                                               
          average common shares outstanding
                                                                                               
          employee stock options and warrant
                                                                                               
          available-for-sale securities
                                                                                               
          unrealized gain on available-for-sale securities arising during period
                                                                                               
          reclassification adjustment for net gains
                                                                                               
          other comprehensive income related to available-for-sale securities
                                                                                               
          defined benefit pension plan
                                                                                               
          amortization of actuarial net gains
                                                                                               
          recognition of unrealized gains
                                                                                               
          change in underfunded pension liability
                                                                                               
          other comprehensive income before income taxes
                                                                                               
          tax effect
                                                                                               
          other comprehensive income, net of tax
                                                                                               
          comprehensive income, net of tax
                                                                                               
          balances at december 31, 2012
                                                                                               
          other comprehensive income
                                                                                               
          acquisition of community financial corporation
                                                                                               
          exercise of 126,168 stock options
                                                                                               
          balances at december 31, 2013
                                                                                               
          exercise of 20,000 stock options
                                                                                               
          purchase of 650,799 treasury shares
                                                                                               
          balances at december 31, 2014
                                                                                               
          exercise of 81,500 stock options
                                                                                               
          exercise of 61,796 warrants
                                                                                               
          purchase of 150,385 treasury shares
                                                                                               
          balances at december 31, 2015
                                                                                               
          acquisition of community financial corporation, net of cash acquired of 8,888
                                                       -1,000                                       
          outstanding balance
                                                                                               
          less: fair value adjustment
                                                                                               
          fair value of acquired noncredit-impaired loans
                                                                                               
          u.s. treasuries and u.s.
                                                                                               
          government agencies
                                                                                               
          obligations of states and
                                                                                               
          political subdivisions
                                                                                               
          trust preferred
                                                                                               
          available-for-sale
                                                                                               
          held-to-maturity
                                                                                               
          total other investment
                                                                                               
          balance at january 1, 2014
                                                                                               
          additions:
                                                                                               
          additional credit impairment
                                                                                               
          deductions:
                                                                                               
          called or sold
                                                                                               
          balance at december 31, 2014
                                                                                               
          balance at december 31, 2015
                                                                                               
          outstanding loan balance
                                                                                               
          credit-impaired loans:
                                                                                               
          carrying value
                                                                                               
          contractual principal and interest
                                                                                               
          balance at the beginning of the period
                                                                                               
          accretion
                                                                                               
          net reclassifications to accretable from non-accretable
                                                                                               
          payments received
                                                                                               
          disposals
                                                                                               
          balance at the end of period
                                                                                               
          allowance for loan loss
                                                                                               
          beginning balance
                                                                                               
          provision
                                                                                               
          benefit from acquired loans with deteriorated credit quality
                                                                                               
          ending balance
                                                                                               
          as of december 31, 2015
                                                                                               
          evaluated for impairment:
                                                                                               
          individually
                                                                                               
          collectively
                                                                                               
          acquired with deteriorated credit quality
                                                                                               
          loans
                                                                                               
          as of december 31, 2014
                                                                                               
          risk rating
                                                                                               
          pass ratings:
                                                                                               
          (a) exceptional
                                                                                               
          (b) good
                                                                                               
          (c) acceptable
                                                                                               
          (d) pass/watch
                                                                                               
          special mention
                                                                                               
          substandard
                                                                                               
          doubtful
                                                                                               
          pass
                                                                                               
          with no related allowance recorded:
                                                                                               
          with an allowance recorded
                                                                                               
          less: accumulated depreciation
                                                                                               
          goodwill reduction in conjunction with sale of cityinsurance
                                                                                               
          goodwill acquired in conjunction with the acquisition of afb
                                                                                               
          core deposit intangible acquired in conjunction with the acquisition of afb
                                                                                               
          amortization expense
                                                                                               
          2019
                                                                                               
          2020
                                                                                               
          junior subordinated debentures owed to city holding capital trust iii, due 2038, interest at a rate of 4.01% and 3.74%, respectively
                                                                                               
          non-hedging interest rate derivatives:
                                                                                               
          derivatives designated as hedges of fair value:
                                                                                               
          change in fair value non-hedging interest rate derivatives:
                                                                                               
          other income - derivative asset
                                                                                               
          other income - derivative liability
                                                                                               
          change in fair value hedging interest rate derivatives:
                                                                                               
          hedged item - derivative asset
                                                                                               
          description
                                                                                               
          non-hedging derivative assets:
                                                                                               
          interest rate swap agreements
                                                                                               
          non-hedging derivative liabilities:
                                                                                               
          hedging derivative liabilities:
                                                                                               
          * for instances where the fair value of financial collateral meets or exceeds the amounts presented in the statement of financial position, a value of zero is displayed to represent full collateraliztion.
                                                                                               
          impaired assets
                                                                                               
          impaired securities losses
                                                                                               
          unrealized securities gains
                                                                                               
          total current tax expense
                                                                                               
          total deferred tax expense
                                                                                               
          tax reserve adjustment
                                                                                               
          additions for current year tax positions
                                                                                               
          additions for prior year tax positions
                                                                                               
          decreases for prior year tax positions
                                                                                               
          decreases for settlements with tax authorities
                                                                                               
          decreases related to lapse of applicable statute of limitation
                                                                                               
          *
                                                                                               
          granted during the year
                                                                                               
          vested during the year
                                                                                               
          forfeited during the year
                                                                                               
          ranges of exercise prices
                                                                                               
          25.00 - 29.99
                                                                                               
          30.00 - 34.99
                                                                                               
          35.00 - 39.99
                                                                                               
          40.00 - 44.99
                                                                                               
          45.00 - 50.00
                                                                                               
          weighted-average assumptions for balance sheet liability at end of year:
                                                                                               
          expected long-term rate of return
                                                                                               
          weighted-average assumptions for benefit cost at beginning of year:
                                                                                               
          net actuarial gain
                                                                                               
          deferred tax benefit
                                                                                               
          net actuarial loss
                                                                                               
          amounts included in accumulated other comprehensive loss, net of tax
                                                                                               
          plan year ending december 31,
                                                                                               
          2021 through 2025
                                                                                               
          mutual funds
                                                                                               
          common stocks
                                                                                               
          government and gse bonds
                                                                                               
          corporate bonds
                                                                                               
          fixed income securities
                                                                                               
          alternative investments
                                                                                               
          recurring fair value measurements
                                                                                               
          financial assets
                                                                                               
          derivative assets
                                                                                               
          financial liabilities
                                                                                               
          derivative liabilities
                                                                                               
          nonrecurring fair value measurements
                                                                                               
          impaired loans
                                                                                               
          other real estate owned
                                                                                               
          impairment losses on investment securities
                                                                                               
          included in other comprehensive income
                                                                                               
          dispositions
                                                                                               
          transfers into level 3
                                                                                               
          loans classified as impaired during the period
                                                                                               
          specific valuation allowance allocations
                                                                                               
          (additional) reduction in specific valuation allowance allocations
                                                                                               
          paydowns, payoffs, other activity
                                                                                               
          oreo remeasured at initial recognition:
                                                                                               
          carrying value of foreclosed assets prior to remeasurement
                                                                                               
          charge-offs recognized in the allowance for loan losses
                                                                                               
          fair value
                                                                                               
          oreo remeasured subsequent to initial recognition:
                                                                                               
          write-downs included in other non-interest expense
                                                                                               
          acquired
                                                                                               
          short-term debt
                                                                                               
          deferred tax assets
                                                                                               
          dividends from subsidiaries
                                                                                               
          income before income tax benefit and equity in undistributed net income of subsidiaries
                                                                                               
          income before equity in undistributed net income of subsidiaries
                                                                                               
          equity in undistributed net income of subsidiaries
                                                                                               
          equity in undistributed net income
                                                                                               
          return of capital
                                                                                               
          exercise of warrants
                                                                                               
          net earnings allocated to common shareholders
                                                                                               
          investment securities losses
                                                                                               
          distributed earnings allocated to common stock
                                                                                               
          undistributed earnings allocated to common stock
                                                                                               
          employee stock options and warrant outstanding
                                                                                               
          balance at december 31, 2013
                                                                                               
          other comprehensive income before reclassifications
                                                                                               
          amounts reclassified from other comprehensive loss
                                                                                               
          net securities (gains) losses reclassified into earnings
                                                                                               
          related income tax expense
                                                                                               
          net effect on accumulated other comprehensive loss
                                                                                               
          net (increase) in loans
                                                        -27,911,000   -20,504,000                  10,986,000    -35,893,000              
          net cash (used in) financing activities
                                                                                               
          tangible equity to tangible assets
                                                                                               
          total shareholders' equity
                                                                                               
          stockholders’ equity
                                                                                               
          total liabilities and stockholders’ equity
                                                                                               
          2012
                                                                                               
          december 31, 2013
                                                                                               
          mortgage baked securities
                                                                                               
          home equity – junior liens
                                                                                               
          home equity - junior liens
                                                                                               
          february 27, 2015
                                                                                               
          net deferred tax asset
                                                                                               
          common stock, par value 2.50 per share: 50,000,000 shares authorized; 18,499,282 shares issued at december 31, 2014 and december 31, 2013, less 3,345,590 and 2,748,922, shares in treasury, respectively
                                                                                               
          unrealized gain on securities available-for-sale
                                                                                               
          total investment securities impairment losses
                                                                                               
          noncredit impairment losses recognized in other comprehensive income
                                                                                               
          net investment securities gains
                                                                                               
          other comprehensive income, available-for-sale securities
                                                                                               
          balances at december 31, 2011
                                                                                               
          acquisition of virginia savings bancorp, inc.
                                                                                               
          exercise of 18,899 stock options
                                                                                               
          purchase of 237,535 treasury shares
                                                                                               
          acquisition of virginia savings bancorp, inc., net of cash acquired of 24,943
                                                                                               
          date of acquisition:
                                                                                               
          consideration:
                                                                                               
          common stock
                                                                                               
          warrant issued
                                                                                               
          total consideration
                                                                                               
          identifiable assets:
                                                                                               
          total identifiable assets
                                                                                               
          identifiable liabilities:
                                                                                               
          total identifiable liabilities
                                                                                               
          net identifiable assets
                                                                                               
          goodwill
                                                                                               
          core deposit intangible
                                                                                               
          acquired credit-impaired
                                                                                               
          contractually required principal and interest
                                                                                               
          contractual cash flows not expected to be collected
                                                                                               
          expected cash flows
                                                                                               
          interest component of expected cash flows
                                                                                               
          estimated fair value of purchased credit impaired loans acquired
                                                                                               
          acquired noncredit-impaired
                                                                                               
          balance, january 1, 2013
                                                                                               
          sold
                                                                                               
          balance, december 31, 2013
                                                                                               
          balance, december 31, 2014
                                                                                               
          deal name
                                                                                               
          p1
                                                                                               
          p2
                                                                                               
          p3
                                                                                               
          p5
                                                                                               
          p6
                                                                                               
          p7
                                                                                               
          s5
                                                                                               
          s9
                                                                                               
          as of december 31, 2013
                                                                                               
          home equity - junior lien
                                                                                               
          adjustments to goodwill acquired in conjunction with the acquisition of virginia savings
                                                                                               
          goodwill acquired in conjunction with the acquisition of community
                                                                                               
          core deposit intangible acquired in conjunction with the acquisition of community
                                                                                               
          customer repurchase agreements
                                                                                               
          federal funds purchased
                                                                                               
          junior subordinated debentures owed to city holding capital trust iii, due 2038, interest at a rate of 3.74% and 3.74%, respectively
                                                                                               
          fair value:
                                                                                               
          change in fair value:
                                                                                               
          derivative assets:
                                                                                               
          derivative liabilities:
                                                                                               
          26.62 - 33.90
                                                                                               
          35.09 - 44.43
                                                                                               
          acquisition
                                                                                               
          actuarial loss
                                                                                               
          2020 through 2024
                                                                                               
          income before income tax (benefit) expense and equity in undistributed net income (excess dividends) of subsidiaries
                                                                                               
          income tax (benefit) expense
                                                                                               
          income before equity in undistributed net income (excess dividends) of subsidiaries
                                                                                               
          equity in undistributed net income (excess dividends) of subsidiaries
                                                                                               
          acquisition of virginia savings bank
                                                                                               
          net earnings available to common shareholders
                                                                                               
          warrant outstanding
                                                                                               
          balance at december 31, 2012
                                                                                               
          related income tax
                                                                                               
          accretion of gain from sale of interest rate floors
                                                              -99,000 -196,000 -539,000 -826,000 -912,000 -1,242,000 -1,413,000 -1,783,000 -1,786,000                       
          acquisition of virginia savings bancorp, net of cash acquired of 24,943
                                                                                               
          realized investment securities (gains) losses
                                                          -84,000                                     
          acquisition of community bank, net of cash acquired
                                                          -21,849,000                                     
          proceeds from sale of money market and mutual fund securities available-for-sale
                                                               145,399,000 263,531,000 208,300,000 252,700,000 235,850,000 188,700,000  255,470,000 230,449,000 72,034,000  169,157,000 298,200,000 314,400,000 219,810,000 272,575,000 261,385,000  256,900,000 245,350,000 254,900,000            
          purchases of money market and mutual fund securities available-for-sale
                                                               -91,835,000 -287,701,000 -237,801,000 -235,904,000 -174,103,000 -251,942,000  -209,266,000 -244,206,000 -121,215,000  -163,106,000 -246,213,000 -372,304,000 -204,146,000 -213,855,000 -357,702,000  -245,326,000 -202,509,000 -307,007,000            
          acquisition of virginia savings bancorp, net of cash acquired of 24,947
                                                                                               
          net realized investment securities
                                                                                               
          acquisition of virginia savings bancorp, net of cash acquired of 25,060
                                                                                               
          loss on sale of premises and equipment
                                                                                   7,000            
          net realized investment securities losses
                                                                                               
          deferred income tax benefit
                                                               -531,000 -595,000 -676,000  779,000 -809,000                           
          net periodic employee benefit
                                                               97,000                                
          decrease in accrued interest receivable
                                                                     606,000 361,000   709,000    -659,000          -802,000   303,000 148,000 68,000   
          realized investment securities
                                                                           -2,000                   
          increase in accrued interest receivable
                                                                445,000 -885,000 -28,000 353,000 -654,000    -800,000       -34,000     -697,000 183,000 -910,000   -504,000      
          decrease in other assets
                                                                -417,000 3,468,000   902,000                           
          loss on disposal of premises and equipment
                                                                          14,000 111,000                   
          gain from sale of retail credit card portfolio and merchant agreements
                                                                                               
          (decrease) increase in other liabilities
                                                                                               
          investment in bank owned life insurance
                                                                                               
          proceeds from sale of retail credit card portfolio and merchant agreements
                                                                                               
          proceeds from sale of visa stock
                                                                                               
          proceeds from sale of derivative instruments
                                                                                               
          increase (decrease) in cash and cash equivalents
                                                                            2,439,000                   
          decrease in other liabilities
                                                                      -17,066,000    118,000          577,000   -530,000 11,000 -1,721,000 141,000 -5,386,000 -908,000   
          investment in bank-owned life insurance
                                                                          -3,000,000                   
          redemption of visa stock
                                                                          2,334,000                   
          proceeds from sale of derivative instrument
                                                                                               
          net decrease in noninterest-bearing deposits
                                                                                               
          gain on sale of credit card merchant agreements
                                                                             -1,500,000                
          proceeds from sale of credit card merchant agreements
                                                                             1,650,000                
          gain on sale of retail credit card portfolio
                                                                                               
          loss on repurchase of trust preferred securities
                                                                                               
          (decrease) in other assets
                                                                             -317,000                  
          (decrease ) increase in other liabilities
                                                                             -883,000                  
          proceeds from sale of retail credit card portfolio
                                                                                               
          net (decrease) in noninterest-bearing deposits
                                                                                 -9,320,000              
          loss (gain) on sale of premises and equipment
                                                                                              
          increase (decrease) in other liabilities
                                                                                -3,322,000               
          net (decrease) increase in short-term borrowings
                                                                                               
          net amortization
                                                                                    -248,000 682,000 366,000 283,000 427,000 87,000 1,317,000 923,000 663,000  493,000 
          periodic pension cost
                                                                                    13,000           
          (gain) loss on sales of premises and equipment
                                                                                               
          proceeds from bank owned life insurance
                                                                                    910,000         
          increase in value of bank owned life insurance
                                                                                    -552,000 -545,000 -991,000 -575,000 -591,000 -581,000      
          proceeds from maturities and calls of available for sale securities
                                                                                    34,139,000 34,665,000 36,952,000         
          proceeds from sale of money market and mutual fund available for sale securities
                                                                                    292,101,000 362,300,000 305,800,000         
          purchases of money market and mutual fund available for sale securities
                                                                                    -334,500,000 -280,250,000 -386,400,000         
          purchases of held-to-maturity securities
                                                                                             
          proceeds from maturities and calls of held-to-maturity securities
                                                                                    250,000      5,531,000 2,147,000 3,144,000  2,044,000 
          redemption of retained interests
                                                                                       -2,471,000 -10,089,000 -8,084,000     
          proceeds from long term debt
                                                                                         35,000,000      
          exercise of stock options and issuance of stock awards
                                                                                    1,735,000 52,000 445,000         
          cash dividends paid
                                                                                    -4,495,000 -4,156,000 -3,650,000 -3,657,000 -3,678,000 -3,329,000 -3,327,000 -3,324,000 -2,502,000 -2,499,000  
          gain on sales of premises and equipment
                                                                                               
          provision for depreciation
                                                                                      944,000      1,187,000   
          purchases of available-for-sale securities
                                                                                      -7,963,000  -258,486,000 -304,514,000 -285,795,000 -198,530,000 -233,017,000   
          proceeds from sale of money market & mutual fund available for sale securities
                                                                                               
          proceeds from sales of other available for sale securities
                                                                                               
          proceeds from maturities and calls of securities available for sale
                                                                                       37,763,000 55,713,000 33,286,000 76,654,000 43,358,000 57,250,000  33,358,000 
          purchases of money market & mutual fund available for sale securities
                                                                                               
          purchases of other available-for-sale securities
                                                                                               
          proceeds from sales of securities available for sale
                                                                                        225,825,000 267,533,000 227,975,000 163,058,000 130,025,000  163,099,000 
          proceeds from loans sold
                                                                                             
          realized gains on loans sold
                                                                                               
          repayment of long term debt
                                                                                              
          net decrease in premises and equipment
                                                                                            -121,000   
          cumulative effect of accounting change, net of tax
                                                                                               
          net income before cumulative effect of accounting change
                                                                                               
          amortization and accretion, including write-off of goodwill
                                                                                               
          loss on fixed asset disposals
                                                                                               
          net periodic pension benefit
                                                                                               
          purchases of loans held for sale
                                                                                               
          realized (gains) losses on loans sold
                                                                                               
          net cash paid in sales of subsidiaries, divisions, and branches
                                                                                               
          realized gain on sales of subsidiaries, divisions, and branches
                                                                                               
          net income before cumulative effective of accounting change
                                                                                              8,972,000 
          purchases of securities available for sale
                                                                                               
          net increase in premises and equipment
                                                                                               
          net increase in securities sold, not yet purchased
                                                                                               
          purchase of treasury stock
                                                                                               
          net decrease in interest-bearing deposits