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West
Virginia
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55-0619957
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(State
or Other Jurisdiction of
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(I.R.S.
Employer
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Incorporation
or Organization)
25
Gatewater Road, Cross Lanes, WV
(Address
of Principal Executive Offices)
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Identification
No.)
25313
(Zip
Code)
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Title
of Each Class
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Name
of Each Exchange on Which Registered:
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None
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None
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Large
accelerated filer [ ]
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Accelerated
filer [X]
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Non-accelerated
filer [ ] (Do not check if a smaller reporting
company)
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Smaller
reporting company
[ ]
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FORM
10-K INDEX
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||
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PART
I
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Pages
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Item
1.
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Business
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4-11
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Item
1A.
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Risk
Factors
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12-16
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Item
1B.
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Unresolved
Staff Comments
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17
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Item
2.
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Properties
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17
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Item
3.
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Legal
Proceedings
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17
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Item
4.
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Submission
of Matters to a Vote of Security Holders
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17
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PART
II
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||
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Item
5.
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Market
for Registrant’s Common Equity, Related Stockholder Matters and Issuer
Purchases of Equity Securities
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18-20
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Item
6.
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Selected
Financial Data
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20
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Item
7.
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Management’s
Discussion and Analysis of Financial Condition and Results of
Operations
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20
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Item
7A.
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Quantitative
and Qualitative Disclosures About Market Risk
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21
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Item
8.
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Financial
Statements and Supplementary Data
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21
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Item
9.
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Changes
in and Disagreements With Accountants on Accounting and Financial
Disclosure
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21
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Item
9A.
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Controls
and Procedures
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21
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Item
9B.
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Other
Information
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21
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Part
III
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||
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Item
10.
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Directors,
Executive Officers and Corporate Governance
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21-22
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Item
11.
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Executive
Compensation
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22
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Item
12.
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Security
Ownership of Certain Beneficial Owners and Management and Related
Stockholder Matters
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22
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Item
13.
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Certain
Relationships and Related Transactions, and Director
Independence
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22
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Item
14.
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Principal
Accounting Fees and Services
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22
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Part
IV
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||
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Item
15.
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Exhibits,
Financial Statement Schedules
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23
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Signatures
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24-26
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Exhibit Index
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27-29
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Item
1.
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Business
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December
31,
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||||||||
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2009
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2008
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|||||||
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City
Holding:
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||||||||
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Tier
I Risk-based
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13.57 | % | 12.27 | % | ||||
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Total
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14.54 | 13.46 | ||||||
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Tier
I Leverage
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10.19 | 9.47 | ||||||
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City
National:
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||||||||
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Tier
I Risk-based
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11.17 | % | 10.29 | % | ||||
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Total
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12.16 | 11.49 | ||||||
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Tier
I Leverage
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8.34 | 7.97 | ||||||
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Name
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Age
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Business
Experience
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Charles
R. Hageboeck, Ph.D.
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47
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President
and Chief Executive Officer, City Holding Company and City National Bank,
Charleston, WV since February 1, 2005. Executive Vice President
and Chief Financial Officer, City Holding Company and City National Bank,
Charleston, WV from June 2001 – January 31, 2005.
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Craig
G. Stilwell
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54
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Executive
Vice President of Retail Banking, City Holding Company and City National
Bank, Charleston, WV since February 2005. Executive Vice
President of Marketing & Human Resources, City Holding Company and
City National Bank, Charleston, WV from May 2001 – February
2005.
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John
A. DeRito
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59
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Executive
Vice President of Commercial Banking, City Holding Company and City
National Bank, Charleston, WV since June 25, 2004. Regional Credit Officer
for the West Virginia Central Region of BB&T, Charleston, WV from
November 2000 – June 2004. Senior Vice President and Credit
Officer, One Valley Bank, Charleston, WV from November 1983 – November
2000.
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David
L. Bumgarner
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44
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Senior
Vice President and Chief Financial Officer, City Holding Company and City
National Bank since February 2005. Audit Senior Manager, Arnett
& Foster, PLLC from August 2000 – January 2005.
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Michael
T. Quinlan, Jr.
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41
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Senior
Vice President, Branch Banking, City Holding Company and City National
Bank since August 2001
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Description of Information
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Page
Reference
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||||||||||
| 1. |
Distribution
of Assets, Liabilities and Stockholders'
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||||||||||
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Equity;
Interest Rates and Interest Differential
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|||||||||||
| a. |
Average
Balance Sheets
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6 | |||||||||
| b. |
Analysis
of Net Interest Earnings
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7 | |||||||||
| c. |
Rate
Volume Analysis of Changes in
Interest
Income and Expense
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8 | |||||||||
| 2. |
Investment
Portfolio
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||||||||||
| a. |
Book
Value of Investments
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14 | |||||||||
| b. |
Maturity
Schedule of Investments
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14 | |||||||||
| c. |
Securities
of Issuers Exceeding 10% of
Stockholders’
Equity
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14 | |||||||||
| 3. |
Loan
Portfolio
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||||||||||
| a. |
Types
of Loans
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15 | |||||||||
| b. |
Maturities
and Sensitivity to Changes in Interest Rates
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15 | |||||||||
| c. |
Risk
Elements
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18 | |||||||||
| d. |
Other
Interest Bearing Assets
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N/A | |||||||||
| 4. |
Summary
of Loan Loss Experience
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18 | |||||||||
| 5. |
Deposits
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||||||||||
| a. |
Breakdown
of Deposits by Categories, Average Balance
And
Average Rate Paid
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6 | |||||||||
| b. |
Maturity
Schedule of Time Certificates of Deposit
and
Other Time Deposits of $100,000 or More
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21 | |||||||||
| 6. |
Return
on Equity and Assets
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4 | |||||||||
| 7. |
Short-term
Borrowings
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21 | |||||||||
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Item
1A.
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Risk
Factors
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·
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Loan
delinquencies may increase;
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·
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Problem
assets and foreclosures may
increase;
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·
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Demand
for the products and services of City National may decline;
and
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·
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Collateral
(including real estate) for loans made by City National may decline in
value, in turn reducing customers’ borrowing power, and making existing
loans less secure.
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·
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local,
regional and national banks;
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·
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savings
and loans;
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·
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internet
banks;
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·
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credit
unions;
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·
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finance
companies; and
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·
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brokerage
firms serving the Company’s market
areas.
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Item
1B.
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Unresolved Staff
Comments
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Item
2.
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Properties
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|
Item
3.
|
Legal
Proceedings
|
|
Item
4.
|
Submission of Matters to a
Vote of Security Holders
|
|
Item
5.
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Market for Registrant's
Common Equity, Related Stockholder Matters, and Issuer Purchases of Equity
Securities
|
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Cash
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||||||||||||
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Dividends
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Market
Value
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|||||||||||
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Per
Share
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Low
|
High
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||||||||||
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2009
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||||||||||||
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Fourth
Quarter
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$ | 0.34 | $ | 28.96 | $ | 33.29 | ||||||
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Third
Quarter
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0.34 | 28.65 | 34.34 | |||||||||
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Second
Quarter
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0.34 | 27.02 | 33.78 | |||||||||
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First
Quarter
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0.34 | 20.88 | 33.41 | |||||||||
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2008
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||||||||||||
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Fourth
Quarter
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$ | 0.34 | $ | 29.08 | $ | 42.88 | ||||||
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Third
Quarter
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0.34 | 35.74 | 47.28 | |||||||||
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Second
Quarter
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0.34 | 37.29 | 44.15 | |||||||||
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First
Quarter
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0.34 | 32.51 | 41.37 | |||||||||
|
Period
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Total
Number
of
Shares
Purchased
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Average
Price
Paid
per
Share
|
Total
Number
of
Shares
Purchased
as
Part of Publicly
Announced
Plans
or
Programs
(a)
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Maximum
Number of Shares that May Yet Be Purchased Under the Plans or
Programs
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||||||
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October
1 – October 31, 2009
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27,600
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$
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30.40
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27,600
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972,600
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|||||
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November
1 – November 30, 2009
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-
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-
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-
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-
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||||||
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December
1 - December 31, 2009
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-
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-
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-
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-
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||||||
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(a)
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In August 2007, the Company
announced that the Board of Directors had authorized the Company to buy
back up to 1,000,000 shares of its common stock, in open market
transactions at prices that are accretive to continuing
shareholders. In October 2009, the Company announced that the Board
of Directors rescinded the share repurchase program approved in August
2007 and announced it had authorized the Company to buy back up to
1,000,000 shares of its common stock, in open market transactions at
prices that are accretive to continuing shareholders. No
timetable was placed on the duration of this share repurchase
program
.
|
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Plan
Category
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Number
of Shares to be Issued Upon Exercise of Outstanding Awards
(a)
|
Weighted-average
exercise price of outstanding awards
(b)
|
Number
of securities remaining available for future issuance under equity
compensation plans (excluding securities reflected in column
(a))
(c)
|
|||||||||
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Plans
approved by shareholders
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280,605 | $ | 33.56 | 735,000 | ||||||||
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Plans
not approved by shareholders
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- | - | - | |||||||||
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Total
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280,605 | $ | 33.56 | 735,000 | ||||||||
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2004
|
2005
|
2006
|
2007
|
2008
|
2009
|
|
|
City
Holding Company
|
100.00
|
102.13
|
119.67
|
102.20
|
108.85
|
105.80
|
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NASDAQ
Composite
|
100.00
|
101.37
|
111.03
|
121.92
|
72.49
|
104.31
|
|
Peer
Group
|
100.00
|
91.03
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101.00
|
77.66
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89.64
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55.20
|
|
Item
6.
|
Selected Financial
Data
|
|
Item
7.
|
Management's Discussion and
Analysis of Financial Condition and Results of
Operations
|
|
Item
7A.
|
Quantitative and Qualitative
Disclosures About Market
Risk
|
|
Item
8.
|
Financial Statements and
Supplementary Data
|
|
Item
9.
|
Changes in and Disagreements
With Accountants on Accounting and Financial
Disclosure
|
|
Item
9A.
|
Controls and
Procedures
|
|
(a)
|
Management’s
annual report on internal control over financial reporting appears on page
24 of the Annual Report to Shareholders of City Holding Company for the
year ended December 31, 2009, included in this report as Exhibit 13, is
incorporated herein by reference.
|
|
(b)
|
The
Company did not have any changes in internal control over financial
reporting during its fourth quarter for the year ending December 31, 2009,
that materially affected, or were reasonably likely to materially affect,
the Company’s internal control over financial
reporting.
|
|
Item
9B.
|
Other
Information
|
|
Item
10.
|
Directors, Executive Officers
and Corporate Governance
|
|
Item
11.
|
Executive
Compensation
|
|
Item
12.
|
Security Ownership of Certain
Beneficial Owners and Management and Related Stockholder
Matters
|
|
Item
13.
|
Certain Relationships and
Related Transactions, Director
Independence
|
|
Item
14.
|
Principal Accounting Fees and
Services
|
|
Item
15.
|
Exhibits, Financial Statement
Schedules
|
|
(a)
|
(1)
|
Financial Statements.
Reference
is made to Part II, Item 8, of this Annual Report on Form
10-K.
|
|
(2)
|
Financial Statement
Schedules.
These schedules are omitted as the required
information is inapplicable or the information is presented in the
consolidated financial statements or related notes.
|
|
|
(3)
|
Exhibits.
The exhibits listed in
the “Exhibit Index” on pages 27-29 of this Annual Report on Form 10-K
included herein are filed herewith or incorporated by reference from
previous filings.
|
|
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(b)
|
See
(a) (3) above.
|
|
|
(c)
|
See
(a) (1) and (2) above.
|
|
|
SIGNATURES
|
|
Date: March
29, 2010
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City
Holding Company
|
||
|
(Registrant)
|
|||
|
/s/
Charles R. Hageboeck, Ph.D.
|
|||
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Charles
R. Hageboeck, Ph.D.
|
|||
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President
and Chief Executive Officer
|
|||
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(Principal
Executive Officer)
|
|||
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/s/
David L. Bumgarner
|
|||
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David
L. Bumgarner
|
|||
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Senior
Vice President, Chief Financial Officer and Principal Accounting
Officer
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|||
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(Principal
Financial Officer)
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|||
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/s/
Charles R. Hageboeck, Attorney-in-Fact
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/s/
Charles R. Hageboeck, Attorney-in-Fact
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Philip
L. McLaughlin
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David
W. Hambrick
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Chairman
|
Director
|
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/s/
Charles R. Hageboeck, Attorney-in-Fact
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/s/
Charles R. Hageboeck, Ph.D.
|
|
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Hugh
R. Clonch
|
Charles
R. Hageboeck, Ph.D.
|
|
|
Director
|
Director,
President, and Chief Executive Officer
|
|
|
/s/
Charles R. Hageboeck, Attorney-in-Fact
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/s/
Charles R. Hageboeck, Attorney-in-Fact
|
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Oshel
B. Craigo
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Tracy
W. Hylton, II
|
|
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Director
|
Director
|
|
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/s/
Charles R. Hageboeck, Attorney-in-Fact
|
/s/
Charles R. Hageboeck, Attorney-in-Fact
|
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John
R Elliot
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C.
Dallas Kayser
|
|
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Director
|
Director
|
|
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/s/
Charles R. Hageboeck, Attorney-in-Fact
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/s/
Charles R. Hageboeck, Attorney-in-Fact
|
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William
H. File, III
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James
L. Rossi
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Director
|
Director
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/s/
Charles R. Hageboeck, Attorney-in-Fact
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/s/
Charles R. Hageboeck, Attorney-in-Fact
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Robert
D. Fisher
|
Sharon
H. Rowe
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Director
|
Director
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/s/
Charles R. Hageboeck, Attorney-in-Fact
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/s/
Charles R. Hageboeck, Attorney-in-Fact
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Jay
C. Goldman
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Mary
H. Williams
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Director
|
Director
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/s/
Philip L. McLaughlin
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/s/
David W. Hambrick
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Philip
L. McLaughlin
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David
W. Hambrick
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Chairman
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Director
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/s/
Hugh R. Clonch
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/s/
Charles R. Hageboeck, Ph.D.
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Hugh
R. Clonch
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Charles
R. Hageboeck, Ph.D.
|
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Director
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Director,
President, and Chief Executive Officer
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/s/
Oshel B. Craigo
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/s/
Tracy W. Hylton, II
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Oshel
B. Craigo
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Tracy
W. Hylton, II
|
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Director
|
Director
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/s/
John R Elliot
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/s/
C. Dallas Kayser
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John
R Elliot
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C.
Dallas Kayser
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|
|
Director
|
Director
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/s/
William H. File, III
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/s/
James L. Rossi
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|
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William
H. File, III
|
James
L. Rossi
|
|
|
Director
|
Director
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|
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/s/
Robert D. Fisher
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/s/
Sharon H. Rowe
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|
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Robert
D. Fisher
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Sharon
H. Rowe
|
|
|
Director
|
Director
|
|
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/s/
Jay C. Goldman
|
/s/
Mary H. Williams
|
|
|
Jay
C. Goldman
|
Mary
H. Williams
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|
|
Director
|
Director
|
|
|
3(a)
|
Articles of Incorporation of
City Holding Company
(attached to, and incorporated by reference
from, Amendment No. 1 to City Holding Company’s Registration Statement on
Form S-4, Registration No. 2-86250, filed November 4, 1983 with the
Securities and Exchange
Commission).
|
|
3(b)
|
Articles of Amendment to the
Articles of Incorporation of City Holding Company
, dated March 6,
1984 (attached to, and incorporated by reference from, City Holding
Company's Form 8-K Report dated March 7, 1984, and filed with the
Securities and Exchange Commission on March 22,
1984).
|
|
3(c)
|
Articles of Amendment to the
Articles of Incorporation of City Holding Company
, dated March 4,
1986 (attached to, and incorporated by reference from, City Holding
Company's Form 10-K Annual Report for the year ended December 31, 1986,
filed March 31, 1987 with the Securities and Exchange
Commission).
|
|
3(d)
|
Articles of Amendment to the
Articles of Incorporation of City Holding Company
, dated September
29, 1987 (attached to and incorporated by reference from, City Holding
Company's Registration Statement on Form S-4, Registration No. 33-23295,
filed with the Securities and Exchange Commission on August 3,
1988).
|
|
3(e)
|
Articles of Amendment to the
Articles of Incorporation of City Holding Company
, dated May 6,
1991 (attached to, and incorporated by reference from, City Holding
Company's Form 10-K Annual Report for the year ended December 31, 1991,
filed March 17, 1992 with the Securities and Exchange
Commission).
|
|
3(f)
|
Articles of Amendment to the
Articles of Incorporation of City Holding Company
, dated May 7,
1991 (attached to, and incorporated by reference from, City Holding
Company's Form 10-K Annual Report for the year ended December 31, 1991,
filed March 17, 1992 with the Securities and Exchange
Commission).
|
|
3(g)
|
Articles of Amendment to the
Articles of Incorporation of City Holding Company
, dated August 1,
1994 (attached to, and incorporated by reference from, City Holding
Company's Form 10-Q Quarterly Report for the quarter ended September 30,
1994, filed November 14, 1994 with the Securities and Exchange
Commission).
|
|
3(h)
|
Articles of Amendment to the
Articles of Incorporation of City Holding Company
, dated December
9, 1998 (attached to, and incorporated by reference from, City Holding
Company’s Form 10-K Annual Report for the year ended December 31, 1998,
filed March 31, 1999 with the Securities and Exchange
Commission).
|
|
3(i)
|
Articles of Amendment to the
Articles of Incorporation of City Holding Company
, dated June 13,
2001 (attached to, and incorporated by reference from, City Holding
Company’s Registration Statement on Form 8-A, filed June 22, 2001 with the
Securities and Exchange
Commission).
|
|
3(j)
|
Articles of Amendment to the
Articles of Incorporation of City Holding Company
, dated May 10,
2006 (attached to, and incorporated by reference from, City Holding
Company’s Form 10-Q, Quarterly Report for the quarter ended June 30, 2006,
filed August 9, 2006 with the Securities and Exchange
Commission).
|
|
3(k)
|
Amended and Restated Bylaws of
City Holding Company
, revised February 28, 2007 (attached to, and
incorporated by reference from, City Holding Company’s Current Report on
Form 8-K filed March 1, 2007 with the Securities and Exchange
Commission).
|
|
3(l)
|
Amended and Restated Bylaws of
City Holding Company
, revised February 24, 2010 (attached to, and
incorporated by reference from, City Holding Company’s Current Report on
Form 8-K filed March 1, 2010 with the Securities and Exchange
Commission).
|
|
4(a)
|
Rights Agreement
, dated
as of June 13, 2001 (the “Rights Agreement”), between City Holding Company
and SunTrust Bank, as Rights Agent (attached to, and incorporated by
reference from, City Holding Company’s Registration Statement on Form 8-A,
filed June 22, 2001 with the Securities and Exchange
Commission).
|
|
4(b)
|
Amendment No. 1 to the Rights
Agreement
dated as of November 30, 2005 (attached to, and
incorporated by reference from City Holding Company’s Amendment No. 1 on
Form 8-A, filed December 21, 2005, with the Securities and Exchange
Commission).
|
|
|
10(a)
|
Directors’ Deferred
Compensation Plan for the Directors of the Bank of Raleigh
, dated
January 1987 (attached to and incorporated by reference from, City Holding
Company’s Form 10-K Annual Report for the year ended December 31, 2004,
filed March 2, 2005 with the Securities and Exchange
Commission).
|
|
10(b)
|
Form of Deferred Compensation
Agreement for the Directors of the National Bank of Summers
, dated
January 15, 1987 (attached to and incorporated by reference
from, City Holding Company’s Form 10-K Annual Report for the year ended
December 31, 2004, filed March 2, 2005 with the Securities and Exchange
Commission).
|
|
10(c)
|
City Holding Company’s 1993
Stock Incentive Plan
(attached to, and incorporated by reference
from, Exhibit 4.1 to City Holding Company’s Registration Statement on Form
S-8, Registration No. 333-87667, filed with the Securities and Exchange
Commission on September 23, 1999).
|
|
10(d)
|
Amendment No. 1 to City Holding
Company’s 1993 Stock Incentive Plan
(attached to, and incorporated
by reference from, Exhibit 4.2 to City Holding Company’s Registration
Statement on Form S-8, Registration No. 333-87667, filed with the
Securities and Exchange Commission on September 23,
1999).
|
|
10(e)
|
Amendment No. 2 to City Holding
Company’s 1993 Stock Incentive Plan
(attached to, and incorporated
by reference from, City Holding Company’s Form 10-Q Quarterly Report for
the quarter ended June 30, 2002, filed August 14, 2002 with the Securities
and Exchange Commission).
|
|
10(f)
|
City Holding Company’s 2003
Incentive Plan
(attached to, and incorporated by reference from,
City Holding Company’s Definitive Proxy Statement, filed March 21, 2003
with the Securities and Exchange
Commission).
|
|
10(g)
|
Form of Employment
Agreement
, dated as of July 25, 2007, by and between City Holding
Company and Charles R. Hageboeck, Ph.D. (attached to, and incorporated by
reference from, City Holding Company’s Current Report on Form 8-K, filed
July 31, 2007 with the Securities and Exchange
Commission).
|
|
10(h)
|
Form of Employment
Agreement
, dated as of July 25, 2007, by and between City Holding
Company and Craig G. Stilwell (attached to, and incorporated by reference
from, City Holding Company’s Current Report on Form 8-K, filed July 31,
2007 with the Securities and Exchange
Commission).
|
|
10(i)
|
Form of Change of Control
Agreement
, dated February 1, 2005, by and between City Holding
Company and David L. Bumgarner (attached to and incorporated by reference
from, City Holding Company’s Form 10-K Annual Report for the year ended
December 31, 2004, filed March 2, 2005 with the Securities and Exchange
Commission).
|
|
10(j)
|
Form of Change in Control and
Termination Agreement
, dated June 28, 2004, by and between City
Holding Company and John A. DeRito (attached to, and incorporated by
reference from, City Holding Company’s Form 10-K Annual Report for the
year ended December 31, 2005, filed March 7, 2006 with the Securities and
Exchange Commission).
|
|
10(k)
|
Amended and Restated
Declaration of Trust City Holding Capital Trust III,
dated as of March
27, 2008 (attached and incorporated by reference from, City Holding
Company’s Form 10Q, Quarterly Report for the period ended March 31, 2008
with the Securities and Exchange
Commission).
|
|
10(l)
|
Junior Subordinated
Indenture,
dated as of March
27, 2008, between City Holding Company and Wells Fargo, National
Association, as Trustee (attached and incorporated by reference from, City
Holding Company’s Form 10Q, Quarterly Report for the period ended March
31, 2008 with the Securities and Exchange
Commission).
|
|
10(m)
|
City Holding Company Guarantee
Agreement,
dated as of March
27, 2008 (attached and incorporated by reference from, City Holding
Company’s Form 10Q, Quarterly Report for the period ended March 31, 2008
with the Securities and Exchange
Commission).
|
|
13
|
Portions
of City Holding Company Annual Report to Shareholders for Year Ended
December 31, 2009.
|
|
21
|
Subsidiaries
of City Holding Company
|
|
23
|
Consent
of Ernst & Young LLP, Independent Registered Public Accounting
Firm
|
|
31(a)
|
Certification
pursuant to Rule 13a-14(a) under the Securities Exchange Act of 1934, as
adopted pursuant to Section 302 of the Sarbanes-Oxley Act of 2002 by
Charles R. Hageboeck, Ph.D.
|
|
31(b)
|
Certification
pursuant to Rule 13a-14(a) under the Securities Exchange Act of 1934, as
adopted pursuant to Section 302 of the Sarbanes-Oxley Act of 2002 by David
L. Bumgarner
|
|
32(a)
|
Certification
pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of
the Sarbanes-Oxley Act of 2002 by Charles R. Hageboeck,
Ph.D.
|
|
32(b)
|
Certification
pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of
the Sarbanes-Oxley Act of 2002 by David L.
Bumgarner
|
No information found
* THE VALUE IS THE MARKET VALUE AS OF THE LAST DAY OF THE QUARTER FOR WHICH THE 13F WAS FILED.
| FUND | NUMBER OF SHARES | VALUE ($) | PUT OR CALL |
|---|
| DIRECTORS | AGE | BIO | OTHER DIRECTOR MEMBERSHIPS |
|---|
No information found
No Customers Found
No Suppliers Found
Price
Yield
| Owner | Position | Direct Shares | Indirect Shares |
|---|