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ANNUAL
REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF
1934
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o
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TRANSITION
REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT
OF
1934
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Page
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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 as of
December 31, 2005 and December 31, 2004
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2
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Statement
of Changes in Net Assets Available for Benefits
for the Year then Ended December 31, 2005
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3
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Notes
to Financial Statements
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4
-
7
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Supplemental
Schedule
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Schedule
of Assets (Held at end of Year)
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8
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All
other schedules required by the Department of Labor’s Rules and
Regulations for Reporting and Disclosure under the Employee Retirement
Income Security Act of 1974 are omitted as they are inapplicable
or not
required.
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Signature
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9
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Statements
of Net Assets Available for Benefits
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December
31,
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2005
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2004
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|||||
Cash
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$
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884
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$
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-
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|||
Investments
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11,935,259
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11,723,014
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Receivables
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|||||||
Employer
contributions
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244,264
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275,284
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Net
assets available for benefits
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$
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12,180,407
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$
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11,998,298
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Statement
of Changes in Net Assets Available for
Benefits
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Year
Ended December 31, 2005
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Additions
to net assets attributed to
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Investment
income
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Net
appreciation in fair value of investments
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$
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644,220
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Interest
and dividends
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165,804
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810,024
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Contributions
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||||
Participant
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836,403
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Employer
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244,264
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Rollovers
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6,052
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1,086,719
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Total
additions
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1,896,743
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Deductions
from net assets attributed to
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Benefits
paid to participants
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1,691,705
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Corrective
distributions
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22,917
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Administrative
expenses
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12
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Total
deductions
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1,714,634
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Net
change
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182,109
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Net
assets available for benefits
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Beginning
of year
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11,998,298
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End
of year
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$
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12,180,407
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December
31,
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2005
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2004
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Measurement
Specialties, Inc., 92,871 and 100,544 shares, respectively
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$
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2,261,398
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$
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2,559,850
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Dreyfus
S&P 500 Index Fund, 25,167 shares
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914,834
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Calvert
Large Cap Growth Fund - A, 24,691 shares
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748,388
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PIMCO
Total Return Fund, 62,038 shares
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651,402
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Fidelity
Prime Fund, 1,805,495 shares
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1,805,495
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Fidelity
Advisor Diverse International Fund, 75,100 shares
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1,570,333
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Fidelity
Advisor Freedom 2020 Fund, 50,656 shares
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623,570
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Fidelity
Advisor New Insights Fund, 115,183 shares
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1,908,575
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Fidelity
Advisor Mid Cap II Fund, 46,519 shares
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678,244
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BlackRock
Index Equity Fund, 48,489 shares
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*
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1,121,072
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Janus
Adviser Balanced Fund, 29,389 shares
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*
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739,732
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Janus
Adviser Growth and Income Fund, 77,399 shares
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*
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1,274,759
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Janus
Adviser International Growth Fund, 31,737 shares
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*
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917,526
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BlackRock
Money Market Portfolio
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*
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1,651,207
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Mutual
Funds
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$
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756,147
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Common
stock
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(111,927
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)
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$
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644,220
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December
31,
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|||||||
2005
|
2004
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||||||
Net
assets available for benefits per the financial statements
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$
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12,180,407
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$
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11,998,298
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Cash
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(884
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)
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-
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Employer
contributions receivable
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(244,264
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)
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(275,284
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)
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Net
assets available for benefits per the Form 5500
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$
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11,935,259
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$
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11,723,014
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Contributions
per the financial statement
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$
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1,086,719
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Contributions
receivable - December 31, 2005
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(244,264
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)
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Contributions
receivable - December 31, 2004
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275,284
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Contributions
per Form 5500
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$
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1,117,739
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Identity
of issue,
borrower,
lessor,
or
similar party
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Description
of investment
including
maturity date,
rate
of interest, collateral, par, or maturity value
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Current
value
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||||||
Dreyfus
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25,167
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shares
of S&P 500 index fund
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$
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914,834
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Calvert
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24,691
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shares
of Large Cap Growth Fund-A
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748,388
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PIMCO
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62,038
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shares
of Total Return Fund
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651,402
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*
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Measurement
Specialties, Inc.
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92,871
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shares
of common stock
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2,261,398
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Fidelity
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1,805,495
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shares
of Prime Fund
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1,805,495
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Fidelity
Advisor
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7,870
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shares
of Equity Income Fund
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223,030
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Fidelity
Advisor
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75,100
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shares
of Diverse International Fund
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1,570,333
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Fidelity
Advisor
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50,656
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shares
of Freedom 2020 Fund
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623,570
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Fidelity
Advisor
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115,183
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shares
of New Insights Fund
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1,908,575
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Fidelity
Advisor
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20,235
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shares
of Value Fund
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271,358
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Fidelity
Advisor
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46,519
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shares
of Mid Cap II Fund
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678,244
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*
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Participant
loans
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Maturing
through 2011, interest rates ranging from 5% to 10.50%, collateralized
by
participant accounts
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278,632
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$
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11,935,259
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Exhibit Number |
Description
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23.1 | Consent of Independent Registered Public Accounting Firm |