Page
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Report
of Independent Registered Accounting Firm
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1
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Financial
Statements:
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Statements
of Net Assets Available for Benefits
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2
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Statements
of Changes in Net Assets Available for Benefits
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3
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Notes
to the Financial Statements
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4 -
10
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Supplemental
Schedule:
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Schedule
of Assets Held for Investment Purposes
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11
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Exhibit:
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Exhibit
23 - Consent of Independent Registered Public Accounting
Firm
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12
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ASSETS
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2009
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2008
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Investments
at fair market value:
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Shares
of registered investment companies
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$ | 100,650,850 | $ | 78,351,666 | ||||
Common
collective trust
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12,404,581 | 12,687,420 | ||||||
Employer
stock fund
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832,069 | 415,370 | ||||||
Participant
loans
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1,291,401 | 1,283,656 | ||||||
115,178,901 | 92,738,112 | |||||||
Receivables:
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Employee
contributions
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- | 3,289 | ||||||
Employer
contributions
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- | 903 | ||||||
- | 4,192 | |||||||
Net
assets available for plan benefits at fair value
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115,178,901 | 92,742,304 | ||||||
Adjustment
from fair value to contract value for
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interest
in collective trust relating to fully benefit
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responsive
investment contracts
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658,209 | 1,045,431 | ||||||
Net
assets available for plan benefits
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$ | 115,837,110 | $ | 93,787,735 |
2009
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2008
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Sources
of net assets:
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Employee
contributions
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$ | 9,167,029 | $ | 12,320,570 | ||||
Employer
contributions
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1,440,239 | 2,490,391 | ||||||
Interest
and dividend income
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2,446,170 | 4,658,297 | ||||||
Realized
gains from investment transactions, net
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162,862 | - | ||||||
Unrealized
gains on investments, net
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21,581,291 | - | ||||||
Total
sources of net assets
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34,797,591 | 19,469,258 | ||||||
Applications
of net assets:
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Termination
benefits and withdrawal payments
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12,632,152 | 14,212,517 | ||||||
Realized
losses from investment transactions, net
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- | 101,922 | ||||||
Unrealized
losses on investments, net
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- | 45,053,185 | ||||||
Administrative
expenses
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116,064 | 90,425 | ||||||
Total
applications of net assets
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12,748,216 | 59,458,049 | ||||||
Increase
(decrease) in net assets
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22,049,375 | (39,988,791 | ) | |||||
Net
assets available for plan benefits:
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Beginning
of year
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93,787,735 | 133,776,526 | ||||||
End
of the year
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$ | 115,837,110 | $ | 93,787,735 |
Assets at Fair Value as of
December 31, 2009
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Quoted prices in active markets
for identical assets:
(Level 1)
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Significant observable
inputs:
(Level 2)
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Significant unobservable
inputs:
(Level 3)
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Total Fair
Value
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Mutual
funds:
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Allocation
funds
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$ | 40,978,901 | $ | - | $ | - | $ | 40,978,901 | ||||||||
Blend funds
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17,894,443 | - | - | 17,894,443 | ||||||||||||
Value funds
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15,456,579 | - | - | 15,456,579 | ||||||||||||
Growth
funds
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10,422,839 | - | - | 10,422,839 | ||||||||||||
Bond funds
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6,597,846 | - | - | 6,597,846 | ||||||||||||
Targed date
funds
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6,125,310 | - | - | 6,125,310 | ||||||||||||
Other funds
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3,174,932 | - | - | 3,174,932 | ||||||||||||
Total mutual
funds
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100,650,850 | - | - | 100,650,850 | ||||||||||||
Computer Task Group,
Inc.
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Employer Stock
Fund
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832,069 | - | - | 832,069 | ||||||||||||
Common/Collective
trust
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- | 12,404,581 | - | 12,404,581 | ||||||||||||
Participant
loans
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- | - | 1,291,401 | 1,291,401 | ||||||||||||
Total assets at fair
value
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$ | 101,482,919 | $ | 12,404,581 | $ | 1,291,401 | $ | 115,178,901 |
Assets at Fair Value as of
December 31, 2008
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Quoted prices in active markets
for identical assets:
(Level 1)
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Significant observable
inputs:
(Level 2)
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Significant unobservable
inputs:
(Level 3)
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Total Fair
Value
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Mutual
funds:
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Allocation
funds
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$ | 33,631,971 | $ | - | $ | - | $ | 33,631,971 | ||||||||
Blend funds
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12,972,043 | - | - | 12,972,043 | ||||||||||||
Value funds
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14,060,438 | - | - | 14,060,438 | ||||||||||||
Growth
funds
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8,326,960 | - | - | 8,326,960 | ||||||||||||
Bond funds
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6,132,236 | - | - | 6,132,236 | ||||||||||||
Targed date
funds
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1,960,760 | - | - | 1,960,760 | ||||||||||||
Other funds
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1,267,258 | - | - | 1,267,258 | ||||||||||||
Total mutual
funds
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78,351,666 | - | - | 78,351,666 | ||||||||||||
Computer Task Group,
Inc.
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Employer Stock
Fund
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415,370 | - | - | 415,370 | ||||||||||||
Common/Collective
trust
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- | 12,687,420 | - | 12,687,420 | ||||||||||||
Participant
loans
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- | - | 1,283,656 | 1,283,656 | ||||||||||||
Total assets at fair
value
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$ | 78,767,036 | $ | 12,687,420 | $ | 1,283,656 | $ | 92,738,112 |
Level
3 Assets
Participant Loans
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Balance
as of January 1, 2008
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$ | 1,315,411 | ||
Issuances,
repayment and settlements, net
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(31,755 | ) | ||
Balance
as of December 31, 2008
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$ | 1,283,656 | ||
Issuances,
repayment and settlements, net
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7,745 | |||
Balance
as of December 31, 2009
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$ | 1,291,401 |
December 31,
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2009
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2008
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MFS
Growth Allocation A
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$ | 22,349,453 | $ | 17,866,343 | ||||
Fixed
Fund
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$ | 12,404,581 | $ | 12,687,420 | ||||
MFS
Moderate Allocation A
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$ | 11,540,140 | $ | 10,557,553 | ||||
MFS
Value A
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$ | 9,856,165 | $ | 9,362,869 | ||||
MFS
Research Bond A
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$ | 6,597,846 | $ | 6,132,236 | ||||
American
Funds Growth Fund of America
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$ | 6,382,907 | $ | 5,255,477 | ||||
Fidelity
Low-Priced Stock
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$ | 6,665,208 | $ | 5,169,564 |
2009
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2008
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Shares
of registered investment companies
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$ | 21,237,149 | $ | (44,848,324 | ) | |||
Common
collective trust fund
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(1 | ) | (4 | ) | ||||
Employer
securities
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507,005 | (306,779 | ) | |||||
Total
appreciation (depreciation)
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$ | 21,744,153 | $ | (45,155,107 | ) |
Identity
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Fair
Market
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||||
of issuer
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Description of Investment
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Value
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MFS
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MFS
Growth Allocation A
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$ | 22,349,453 | ||
MFS
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Fixed
Fund
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12,404,581 | |||
MFS
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MFS
Moderate Allocation A
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11,540,140 | |||
MFS
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MFS
Value A
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9,856,165 | |||
Fidelity
Management Trust Fund
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Fidelity
Low-Priced Stock
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6,665,208 | |||
MFS
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MFS
Research Bond A
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6,597,846 | |||
American
Funds
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American
Funds Growth Fund of America
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6,382,907 | |||
American
Funds
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American
Funds Europacific
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4,427,135 | |||
Dreyfus
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Dreyfus
Basic S&P 500 Index
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4,174,371 | |||
Alliance
Bernstein
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Alliance
Bernstein International Value A
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3,770,492 | |||
MFS
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MFS
Aggressive Growth Allocation A
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3,680,873 | |||
MFS
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MFS
Conservative Allocation A
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3,408,435 | |||
American
Funds
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American
Funds Amcap
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2,374,090 | |||
Royce
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Royce
Low Priced Stock
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2,627,729 | |||
Lord
Abbett
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Columbia
Mid Cap Value A
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1,829,922 | |||
Franklin
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Franklin
Small-Mid Cap Growth A
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1,665,842 | |||
T.
Rowe Price
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T.
Rowe Price Retirement Income
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1,504,562 | |||
T.
Rowe Price
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T.
Rowe Price Retirement 2020 Advisor
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1,260,252 | |||
American
Funds
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American
Funds The US Treasury Money
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936,194 | |||
T.
Rowe Price
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T.
Rowe Price Retirement 2025 Advisor
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935,880 | |||
T.
Rowe Price
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T.
Rowe Price Retirement 2030 Advisor
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735,767 | |||
American
Century
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American
Century Inflation Bond A
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734,176 | |||
T.
Rowe Price
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T.
Rowe Price Retirement 2010 Advisor
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706,708 | |||
T.
Rowe Price
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T.
Rowe Price Retirement 2015 Advisor
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687,761 | |||
T.
Rowe Price
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T.
Rowe Price Retirement 2035 Advisor
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682,774 | |||
T.
Rowe Price
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T.
Rowe Price Retirement 2040 Advisor
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649,933 | |||
T.
Rowe Price
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T.
Rowe Price Retirement 2045 Advisor
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334,527 | |||
T.
Rowe Price
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T.
Rowe Price Retirement 2055 Advisor
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76,097 | |||
T.
Rowe Price
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T.
Rowe Price Retirement 2050 Advisor
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55,611 | |||
CTG*
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CTG
Stock Fund
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832,069 | |||
CTG
401(k) Retirement Plan*
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Participant
Loan Fund (interest rates
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||||
ranging
from 4.25%-10%)
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1,291,401 | ||||
$ | 115,178,901 | ||||
*The
above named institution is a party-in-interest
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COMPUTER TASK GROUP, INCORPORATED 401(k) RETIREMENT PLAN | |||||
By: |
/s/ Peter P.
Radetich
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||||
Date: June 21, 2010
|
|||||
Name: Peter P.
Radetich
|
|||||
Title: Member, Retirement Plan
Committee
|