[ X
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Annual
Report Pursuant to Section 15(d) of the Securities Exchange Act of 1934
for the Fiscal Year Ended December 31,
2009
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[ ]
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Transition
Report Pursuant to Section 15(d) of the Securities Exchange Act of
1934
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Page(s)
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Report
of Independent Registered Public Accounting Firm
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1
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Financial
Statements
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Statements of Net Assets
Available for Benefits at December 31, 2009 and 2008
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2
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Statement of Changes in Net
Assets Available for Benefits for the Year Ended December 31,
2009
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3
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Notes to Financial
Statements
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4-10
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Supplemental
Schedule*
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Schedule H, Line 4i – Schedule of
Assets (Held at End of Year)
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11
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*
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Other
supplemental schedules required by Section 2520.103.10 of the Department
of Labor's Rules and
Regulations for Reporting and Disclosure under the Employee
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Retirement
Income Security Act of 1974 have been omitted because they are not
applicable.
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(In
thousands)
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2009
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2008
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|||||
Assets
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|||||||
Investments,
at fair value
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$ | 21,624 | $ | 15,849 | |||
Loans
to participants, at fair value
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153 | — | |||||
21,777 | 15,849 | ||||||
Receivables
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Participant
contributions
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64 | 74 | |||||
Employer
contributions
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22 | 14 | |||||
86 | 88 | ||||||
Net assets available
for benefits at fair value
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21,863 | 15,937 | |||||
Adjustment from fair value to contract value for collective trust
investments in fully benefit-responsive investment
contracts
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(34 | ) | 5 | ||||
Net assets
available for benefits
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$ | 21,829 | $ | 15,942 |
(In
thousands)
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2009
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Additions
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||||
Investment
income
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||||
Dividends and
interest income
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$ | 457 | ||
Net appreciation in
fair value of investments
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4,667 | |||
Total
investment income, net
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5,124 | |||
Contributions
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Employer
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708 | |||
Participants
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1,114 | |||
Total
contributions
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1,822 | |||
Total
additions, net
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6,946 | |||
Deductions
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||||
Benefits paid to
participants
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1,059 | |||
Net
increase in net assets available for benefits
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5,887 | ||||
Net
Assets Available for Benefits
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Beginning of
year
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15,942 | |||
End of
year
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$ | 21,829 |
December
31,
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(In
thousands, except shares)
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2009
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2008
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|||||
Mutual
Funds – Asset Allocation
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|||||||
T.
Rowe Price Retirement 2020 Fund (1)(2)
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$ | 5,259 | $ | 3,726 | |||
T.
Rowe Price Retirement 2015 Fund (1)(2)
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3,868 | 3,025 | |||||
T.
Rowe Price Retirement 2010 Fund (1)(2)
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2,354 | 2,180 | |||||
T.
Rowe Price Retirement 2025 Fund (1)(2)
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2,186 | 1,551 | |||||
T.
Rowe Price Retirement 2030 Fund (1)(2)
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1,623 | 1,233 | |||||
T.
Rowe Price Retirement 2035 Fund
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703 | 457 | |||||
T.
Rowe Price Retirement 2040 Fund
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410 | 250 | |||||
T.
Rowe Price Retirement Income Fund
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261 | 216 | |||||
T.
Rowe Price Retirement 2045 Fund
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181 | 125 | |||||
T.
Rowe Price Retirement 2005 Fund
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96 | 82 | |||||
T.
Rowe Price Retirement 2050 Fund
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10 | 5 | |||||
Mutual
Funds - Equity
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Dodge
& Cox Stock Fund (1)(2)
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1,189 | 836 | |||||
Dodge
& Cox International Stock Fund
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655 | 446 | |||||
Vanguard
Mid Capitalization Index Fund, Instl.
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321 | 220 | |||||
Mutual
Funds – Fixed Income
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Western
Asset Core Plus Bond Fund, Instl.
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474 | 367 | |||||
Common
Collective Trust – Guaranteed Investment Contract
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T.
Rowe Price Stable Value Fund (1)
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1,134 | 541 | |||||
Common
Collective Trusts - Equity
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T.
Rowe Price Growth Stock Trust
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335 | 198 | |||||
Jennison
Institutional U.S. Small-Cap Equity Fund
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272 | 182 | |||||
SSGA
S&P 500 Index Fund
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245 | 182 | |||||
Common
Stock
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|||||||
Thermo
Fisher Scientific Inc., 1,002 and 797 shares, respectively
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48 | 27 | |||||
Total
Investments, at Fair Value
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$ | 21,624 | $ | 15,849 |
Year
Ended
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December
31,
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(In
thousands)
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2009
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Mutual
Funds
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$ | 4,441 | ||
Common
Collective Trusts
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215 | |||
Common
Stock
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11 | |||
Net
Increase in Fair Value
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$ | 4,667 |
Year
Ended
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December
31,
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(In
thousands)
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2009
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Mutual
Funds
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$ | 415 | ||
Common
Collective Trusts
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40 | |||
Participant
Loans
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2 | |||
Dividends
and Interest Income
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$ | 457 |
(In
thousands)
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December
31,
2009
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Quoted
Prices
in
Active
Markets
(Level
1)
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Significant
Other
Observable
Inputs
(Level
2)
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Significant
Unobservable
Inputs
(Level
3)
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|||||||||
Assets
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Asset allocation funds
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$ | 16,951 | $ | 16,951 | $ | — | $ | — | |||||
Equity funds
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3,017 | 2,165 | 852 | — | |||||||||
Guaranteed investment contract funds
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1,134 | — | 1,134 | — | |||||||||
Fixed income funds
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474 | 474 | — | — | |||||||||
Common stock
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48 | 48 | — | — | |||||||||
Participant loans
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153 | — | — | 153 | |||||||||
Total assets at fair value
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$ | 21,777 | $ | 19,638 | $ | 1,986 | $ | 153 |
(In
thousands)
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December
31,
2008
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Quoted
Prices
in
Active
Markets
(Level
1)
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Significant
Other
Observable
Inputs
(Level
2)
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Significant
Unobservable
Inputs
(Level
3)
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|||||||||
Assets
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Asset allocation funds
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$ | 12,850 | $ | 12,850 | $ | — | $ | — | |||||
Equity funds
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2,064 | 1,502 | 562 | — | |||||||||
Guaranteed investment contract funds
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541 | — | 541 | — | |||||||||
Fixed income funds
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367 | 367 | — | — | |||||||||
Common stock
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27 | 27 | — | — | |||||||||
Total assets at fair value
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$ | 15,849 | $ | 14,746 | $ | 1,103 | $ | — |
(In
thousands)
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Participant
Loans
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Balance
at December 31, 2008
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$ | — | ||
Issuances, repayments and settlements, net
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153 | |||
Balance
at December 31, 2009
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$ | 153 |
(In
thousands)
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Fair
Value
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Unfunded
Commitments
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Redemption
Frequency
(if
Currently Eligible)
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Redemption
Notice
Period
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Asset
Category
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Guaranteed
investment contract funds
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$ |
1,134
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$ |
—
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Daily
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Daily
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Equity
funds
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852
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—
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Daily
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No
more than 2 days
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|||
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$ |
1,986
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$ |
—
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Identity
of Issue/Borrower,
Lessor or Similar Party
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Description
of investments including maturity date,
rate of interest, collateral, par or maturity value
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Cost
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Current
Value
(In
thousands)
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Mutual
Funds
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T.
Rowe Price
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T.
Rowe Price Retirement 2020 Fund (1)
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(2) | $ | 5,259 | ||||
T.
Rowe Price
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T.
Rowe Price Retirement 2015 Fund (1)
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(2) | 3,868 | |||||
T.
Rowe Price
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T.
Rowe Price Retirement 2010 Fund (1)
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(2) | 2,354 | |||||
T.
Rowe Price
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T.
Rowe Price Retirement 2025 Fund (1)
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(2) | 2,186 | |||||
T.
Rowe Price
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T.
Rowe Price Retirement 2030 Fund (1)
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(2) | 1,623 | |||||
Dodge
& Cox
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Dodge
& Cox Stock Fund
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(2) | 1,189 | |||||
T.
Rowe Price
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T.
Rowe Price Retirement 2035 Fund (1)
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(2) | 703 | |||||
Dodge
& Cox
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Dodge
& Cox International Stock Fund
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(2) | 655 | |||||
Western
Asset Management Company
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Western
Asset Core Plus Bond Fund, Instl.
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(2) | 474 | |||||
T.
Rowe Price
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T.
Rowe Price Retirement 2040 Fund (1)
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(2) | 410 | |||||
Vanguard
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Vanguard
Mid Capitalization Index Fund, Instl.
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(2) | 321 | |||||
T.
Rowe Price
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T.
Rowe Price Retirement Income Fund (1)
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(2) | 261 | |||||
T.
Rowe Price
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T.
Rowe Price Retirement 2045 Fund (1)
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(2) | 181 | |||||
T.
Rowe Price
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T.
Rowe Price Retirement 2005 Fund (1)
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(2) | 96 | |||||
T.
Rowe Price
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T.Rowe
Price Retirement 2050 Fund (1)
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(2) | 10 | |||||
Total mutual
funds
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19,590 | |||||||
Common
Collective Trusts
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||||||||
T.
Rowe Price
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T.
Rowe Price Stable Value Fund (1)
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(2) | 1,100 | |||||
T.
Rowe Price
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T.
Rowe Price Growth Stock Trust (1)
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(2) | 335 | |||||
Jennison
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Jennison
Institutional U.S. Small-Cap Equity Fund
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(2) | 272 | |||||
State
Street Global Advisors
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SSGA
S&P 500 Index Fund
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(2) | 245 | |||||
Total common collective
trust
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1,952 | |||||||
Common
Stock
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Thermo
Fisher Scientific Inc.
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Common
Stock (1)
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(2) | 48 | |||||
Participant Loans |
Participant
Loans (for a term not exceeding 30 years at an interest rate of 4.25%)
(1)
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153 | ||||||
Total
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$ | 21,743 |