3
|
|
4
|
|
5
|
|
6
|
|
7-12
|
|
14-15
|
|
16
|
Note:
|
Other
schedules required by Section 2520.103-10 of the Department of Labor’s
Rules and
Regulations
for Reporting and Disclosure under the Employee Retirement Income Security
Act of
1974 have
been omitted because they are not
applicable.
|
2007
|
2006
|
|||||||
Investments
at fair value (See Note 2):
|
$ | 175,613,873 | $ | 164,058,551 | ||||
Receivables:
|
||||||||
Employer contributions
|
181,400 | 160,007 | ||||||
Participant
contributions
|
425,136 | 375,643 | ||||||
Unsettled trades
|
625 | - | ||||||
Total receivables
|
607,161 | 535,650 | ||||||
Net assets
available for benefits, at fair value
|
176,221,034 | 164,594,201 | ||||||
Adjustment
from fair value to contract value for fully
benefit-responsive
investment contracts
|
57,551 | 59,201 | ||||||
Net assets available for
benefits
|
$ | 176,278,585 | $ | 164,653,402 |
2007
|
2006
|
|||||||
Additions to net assets attributed
to:
|
||||||||
Investment
income:
|
||||||||
Interest and dividend
income
|
$ | 1,237,560 | $ | 1,078,092 | ||||
Net appreciation in fair value of
investments
|
14,528,234 | 15,549,477 | ||||||
Total investment income
|
15,765,794 | 16,627,569 | ||||||
Contributions:
|
||||||||
Employer contributions
|
4,240,885 | 4,123,383 | ||||||
Participant
contributions
|
10,018,556 | 9,392,157 | ||||||
Participant rollovers
|
228,645 | 422,892 | ||||||
Total contributions
|
14,488,086 | 13,938,432 | ||||||
Total additions
|
30,253,880 | 30,566,001 | ||||||
Deductions
from net assets attributed to:
|
||||||||
Benefits paid to
participants
|
18,622,142 | 13,166,447 | ||||||
Transfer of assets from plan (See Note
3)
|
- | 2,321,056 | ||||||
Administrative
expenses
|
6,555 | 7,140 | ||||||
Total deductions
|
18,628,697 | 15,494,643 | ||||||
Net
increase
|
11,625,183 | 15,071,358 | ||||||
Net
assets available for benefits:
|
||||||||
Beginning of year
|
164,653,402 | 149,582,044 | ||||||
End of year
|
$ | 176,278,585 | $ | 164,653,402 |
1.
|
Description
of Plan
|
2.
|
Summary
of Accounting Policies
|
|
·
|
The fair
value of common stock shares are based upon the closing market price on
the valuation date.
|
|
·
|
Shares of
mutual funds are valued at the net asset value of the shares held by the
Plan at year-end.
|
|
·
|
The fair
value of the fully benefit-responsive investment contracts held by the
Fidelity Managed Income Portfolio are calculated using a discounted cash
flow model which considers recent fee bids as determined by recognized
dealers, discount rate and the duration of the underlying portfolio
securities.
|
|
·
|
Participant
loans are valued at their outstanding balance, which approximates fair
value.
|
3.
|
Investments
|
2007
|
2006
|
|||||||
Fidelity
Growth Company Fund
429,657 and 463,860 units,
respectively
|
$ | 35,652,911 | $ | 32,335,683 | ||||
Fidelity
Magellan Fund
278,173 and 279,697 units,
respectively
|
$ | 26,112,113 | $ | 25,038,477 | ||||
Fidelity
Equity Income Fund
368,383 and 378,967 units,
respectively
|
$ | 20,320,021 | $ | 22,188,499 | ||||
Fidelity
Retirement Money Market Portfolio
14,735,204 and 13,258,681 units,
respectively
|
$ | 14,735,204 | $ | 13,258,681 | ||||
Fidelity
Diversified International Fund
276,866 and 147,336 units,
respectively
|
$ | 11,046,963 | $ | 5,444,056 | ||||
Fidelity
Low-Priced Stock Fund
226,473 and 254,023 units,
respectively
|
$ | 9,314,820 | $ | 11,060,162 |
2007
|
2006
|
|||||||
Mutual
Funds
|
$ | 15,031,841 | $ | 15,005,989 | ||||
Common
Stock
|
(503,607 | ) | 543,488 | |||||
Net Appreciation in Fair Value of
Investments
|
$ | 14,528,234 | $ | 15,549,477 |
4.
|
Transfer
of Assets from Plan
|
5.
|
Investment
Risk
|
6.
|
Tax
Status
|
7.
|
Related
Party Transactions
|
2007
|
2006
|
|||||||
Cost of
shares purchased
|
$ | 1,029,723 | $ | 766,192 | ||||
Number of
shares purchased
|
31,388 | 24,242 | ||||||
Proceeds from
shares sold
|
$ | 918,002 | $ | 712,706 | ||||
Number of
shares sold
|
27,764 | 22,455 |
8.
|
Reconciliation
of Financial Statements to Form
5500
|
2007
|
2006
|
|||||||
Investment
income per financial statements
|
$ | 15,765,794 | $ | 16,627,569 | ||||
Add: Prior
year adjustment from fair value to
contract
value for fully benefit-responsive
investment
contracts
|
59,201 | - | ||||||
Less:
Adjustment from fair value to contract
value
for fully benefit-responsive investment
contracts
|
(57,551 | ) | (59,201 | ) | ||||
Total
investment income per Form 5500
|
$ | 15,767,444 | $ | 16,568,368 |
2007
|
2006
|
|||||||
Net assets
available for benefits per financial
statements
|
$ | 176,278,585 | $ | 164,653,402 | ||||
Less:
Adjustment from fair value to contract
value
for fully benefit-responsive investment
contracts
|
(57,551 | ) | (59,201 | ) | ||||
Net assets
per Form 5500
|
$ | 176,221,034 | $ | 164,594,201 |
Description
of Investment Including
|
|||||||||||||
Identity
of Issue, Borrower,
|
Maturity
Date, Rate of Interest,
|
||||||||||||
(a)
|
(b)
|
Lessor or Similar Party
|
(c)
|
Collateral, Par or Maturity
Value
|
(d)
|
Cost **
|
(e)
|
Current Value
|
|||||
*
|
Fidelity
Growth Company Fund
|
429,657 units
of a mutual fund
|
$ | 35,652,911 | |||||||||
*
|
Fidelity
Magellan Fund
|
278,173 units
of a mutual fund
|
26,112,113 | ||||||||||
*
|
Fidelity
Equity Income Fund
|
368,383 units
of a mutual fund
|
20,320,021 | ||||||||||
*
|
Fidelity
Low-Price Stock Fund
|
226,473 units
of a mutual fund
|
9,314,820 | ||||||||||
*
|
Fidelity
Retirement Money Market Portfolio
|
14,735,204
units of a mutual fund
|
14,735,204 | ||||||||||
*
|
Fidelity
Managed Income Portfolio
|
5,353,285
units of an open ended commingled pool
|
5,295,734 | ||||||||||
|
|||||||||||||
*
|
Fidelity
Intermediate Bond Fund
|
638,325 units
of a mutual fund
|
6,478,999 | ||||||||||
*
|
Fidelity
Spartan U.S. Equity Index Fund
|
96,728 units
of a mutual fund
|
5,020,176 | ||||||||||
|
BrokerageLink
Account
|
a
self-directed investment fund
|
4,742,814 | ||||||||||
*
|
UniSource
Energy Stock Fund
|
105,167 units
of a company stock fund
|
3,319,804 | ||||||||||
*
|
Fidelity
Diversified International Fund
|
276,866 units
of a mutual fund
|
11,046,963 | ||||||||||
Janus
Flexible Bond Fund
|
217,307 units
of a mutual fund
|
2,083,976 | |||||||||||
*
|
Fidelity
Freedom 2010
|
286,073 units
of a mutual fund
|
4,239,601 | ||||||||||
Franklin
Utilities A
|
157,941 units
of a mutual fund
|
2,328,052 | |||||||||||
American
Beacon Small Cap Value Fund
|
85,719 units
of a mutual fund
|
1,509,517 | |||||||||||
*
|
Fidelity
Small Cap Stock
|
67,448 units
of a mutual fund
|
1,175,613 | ||||||||||
*
|
Fidelity
Freedom 2020
|
272,665 units
of a mutual fund
|
4,310,828 | ||||||||||
*
|
Fidelity
Freedom 2015
|
389,674 units
of a mutual fund
|
4,859,239 |
Description
of Investment Including
|
|||||||||||||
Identity
of Issue, Borrower,
|
Maturity
Date, Rate of Interest,
|
||||||||||||
(a)
|
(b)
|
Lessor or Similar Party
|
(c)
|
Collateral, Par or Maturity
Value
|
(d)
|
Cost **
|
(e)
|
Current Value
|
|||||
*
|
Fidelity
Freedom 2040
|
242,709 units
of a mutual fund
|
2,361,556 | ||||||||||
*
|
Fidelity
Freedom 2025
|
172,167 units
of a mutual fund
|
2,269,155 | ||||||||||
*
|
Fidelity
Freedom 2030
|
100,695 units
of a mutual fund
|
1,663,477 | ||||||||||
*
|
Fidelity
Freedom 2035
|
81,766 units
of a mutual fund
|
1,118,555 | ||||||||||
*
|
Fidelity
Freedom 2005
|
36,529 units
of a mutual fund
|
430,680 | ||||||||||
*
|
Fidelity
Freedom Income
|
23,297 units
of a mutual fund
|
266,750 | ||||||||||
*
|
Fidelity
Freedom 2050
|
30,468 units
of a mutual fund
|
348,247 | ||||||||||
*
|
Fidelity
Freedom 2045
|
13,633 units
of a mutual fund
|
154,738 | ||||||||||
RS
Investments Value Fund
|
2,000 units
of a mutual fund
|
52,540 | |||||||||||
*
|
Fidelity
Freedom 2000
|
2,429 units
of a mutual fund
|
30,041 | ||||||||||
*
|
Loans to
participants
|
Loans with
maturities ranging from 1 month to 176 months and interest rates from
4.00% to 11.50%
|
4,371,749 | ||||||||||
$ | 175,613,873 |
By:
|
/s/ Kevin P.
Larson
|
Date:
|
June 27,
2008
|
Kevin P.
Larson
|
|||
Member of
Plan Administrative Committee
|
|||
|
|||
By:
|
/s/ Raymond S.
Heyman
|
Date:
|
June 27,
2008
|
Raymond S.
Heyman
|
|||
Member of
Plan Administrative Committee
|
|||
|
|
||
By:
|
/s/ Michael J.
DeConcini
|
Date:
|
June 27,
2008
|
Michael J.
DeConcini
|
|||
Member of
Plan Administrative Committee
|