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x
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ANNUAL
REPORT PURSUANT TO SECTION 15 (d) OF THE SECURITIES EXCHANGE ACT
OF 1934
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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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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
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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 Financial Statements
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4
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Supplementary
Information
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Schedule
H, Line 4a – Schedule of Delinquent Participant
Contributions
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14
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Schedule
H, Line 4i — Schedule of Assets (Held at End of Year)
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15
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Signature
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Exhibit
Index
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Exhibit
23.1 – Consent of Independent Registered Certified Public
Accountants
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/s/ BKD,
LLP
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2009
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2008
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|||||||
Assets
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||||||||
Investments
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$ | 43,899,733 | $ | 33,363,410 | ||||
Contribution
receivables
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||||||||
Participants
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54,194 | 15,251 | ||||||
Symmetry
Medical Inc. and subsidiaries
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— | 155,712 | ||||||
Total
contribution receivables
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54,194 | 170,963 | ||||||
Total
assets
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43,953,927 | 33,534,373 | ||||||
Liabilities, accrued
expenses
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14,666 | 72,856 | ||||||
Net
Assets Available for Benefits, At Fair Value
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43,939,261 | 33,461,517 | ||||||
Adjustment
from fair value to contract value for interest in collective investment
trust fund relating to fully benefit-responsive investment
contracts
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(5,828 | ) | 151,577 | |||||
Net
Assets Available for Benefits
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$ | 43,933,433 | $ | 33,613,094 |
See
Notes to Financial Statements
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2
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2009
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2008
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|||||||
Additions
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||||||||
Investment
income (loss)
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||||||||
Net
appreciation (depreciation) in fair value of investments
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$ | 7,669,519 | $ | (15,435,283 | ) | |||
Interest
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325,198 | 301,947 | ||||||
Dividends
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491,632 | 1,515,015 | ||||||
8,486,349 | (13,618,321 | ) | ||||||
Contributions
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||||||||
Symmetry
Medical Inc. and subsidiaries
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1,250,963 | 1,695,642 | ||||||
Participants
and rollovers
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4,423,028 | 4,801,627 | ||||||
Mergers
into Plan
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— | 7,671,533 | ||||||
5,673,991 | 14,168,802 | |||||||
Total
additions
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14,160,340 | 550,481 | ||||||
Deductions
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||||||||
Benefits
paid directly to participants
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3,753,778 | 2,751,688 | ||||||
Administrative
expenses
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86,223 | 42,583 | ||||||
Total
deductions
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3,840,001 | 2,794,271 | ||||||
Net
Increase (Decrease)
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10,320,339 | (2,243,790 | ) | |||||
Net
Assets Available for Benefits, Beginning of Year
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33,613,094 | 35,856,884 | ||||||
Net
Assets Available for Benefits, End of Year
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$ | 43,933,433 | $ | 33,613,094 |
See
Notes to Financial Statements
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3
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Note
1:
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Description
of the Plan
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Years of Service
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Percentage
Vested and
Nonforfeitable
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1
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25 | % | ||
2
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50 | |||
3
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75 | |||
4
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100 |
Note
2:
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Summary
of Significant Accounting Policies
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Note
3:
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Investments
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2009
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||||||||
Net
Appreciation
in Fair Value
During Year
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Fair Value at
End of Year
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|||||||
Mutual
funds
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$ | 7,085,736 | $ | 36,098,860 | ||||
Symmetry
Medical Inc. common stock units
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24,809 | 239,546 | ||||||
Collective
investment trust funds
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558,974 | 5,260,832 | ||||||
7,669,519 | 41,599,238 | |||||||
Participant
loans
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— | 2,300,495 | ||||||
$ | 7,669,519 | $ | 43,899,733 |
2008
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Net
Depreciation
in Fair Value
During Year
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Fair Value at
End of Year
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|||||||
Mutual
funds
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$ | (14,432,811 | ) | $ | 26,589,548 | |||
Symmetry
Medical Inc. common stock units
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(198,047 | ) | 217,615 | |||||
Collective
investment trust funds
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(804,425 | ) | 4,454,015 | |||||
(15,435,283 | ) | 31,261,178 | ||||||
Participant
loans
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— | 2,102,232 | ||||||
$ | (15,435,283 | ) | $ | 33,363,410 |
December 31
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|||||||||
2009
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2008
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Janus
Balanced Fund
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$ | 2,681,213 | $ | 2,331,791 | |||||
Janus
Twenty Fund
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5,901,970 | 4,320,296 | |||||||
Artio
International Equity Fund
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2,897,673 | 2,216,312 | |||||||
Mosiac
Mid Cap Fund
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3,312,200 | 2,460,623 | |||||||
Participant
Loans
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2,300,495 | 2,102,232 | |||||||
Wells
Fargo Advantage Total Return Bond Fund
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3,548,572 | 2,787,045 | |||||||
Wells
Fargo Advantage Index Fund
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2,753,543 | 2,066,594 | |||||||
**
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Wells
Fargo Outlook 2020 Fund
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2,234,293 | 1,587,745 | ||||||
Wells
Fargo Collective Russell 2000 Index Fund
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2,299,170 | 1,747,282 | |||||||
Wells
Fargo Collective Stable Return Fund
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2,961,662 | 2,706,733 |
Note
4:
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Related
Party Transactions
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Note
5:
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Employer
Profit Sharing
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Note
6:
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Plan
Amendments
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Note
7:
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Plan
Mergers
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Note
8:
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Disclosures
About Fair Value of Assets and
Liabilities
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Level 1
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Quoted
prices in active markets for identical assets or
liabilities
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Level 2
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Observable
inputs other than Level 1 prices, such as quoted prices for similar assets
or liabilities; quoted prices in markets that are not active; or other
inputs that are observable or can be corroborated by observable market
data for substantially the full term of the assets or
liabilities
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Level 3
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Unobservable
inputs that are supported by little or no market activity and that are
significant to the fair value of the assets or
liabilities
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2009
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||||||||||||||||
Fair Value Measurements Using
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||||||||||||||||
Fair Value
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Quoted Prices
in Active
Markets for
Identical
Assets
(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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Mutual
funds
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Balanced
funds
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$ | 18,407,013 | $ | 18,407,013 | $ | — | $ | — | ||||||||
Growth
funds
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10,944,097 | 10,944,097 | — | — | ||||||||||||
Fixed
income funds
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3,850,077 | 3,850,077 | — | — | ||||||||||||
International
funds
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2,897,673 | 2,897,673 | — | — | ||||||||||||
Common
stock units
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Healthcare
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239,546 | — | 239,546 | — | ||||||||||||
Collective
investment trust funds
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Index
funds
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2,299,170 | — | 2,299,170 | — | ||||||||||||
Fixed
income funds
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2,961,662 | — | 2,961,662 | — | ||||||||||||
Participant
loans
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2,300,495 | — | — | 2,300,495 | ||||||||||||
$ | 43,899,733 | $ | 36,098,860 | $ | 5,500,378 | $ | 2,300,495 |
2008
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Fair Value Measurements Using
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Fair Value
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Quoted Prices
in Active
Markets for
Identical
Assets
(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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Mutual
funds
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Balanced
funds
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$ | 13,353,405 | $ | 13,353,405 | $ | — | $ | — | ||||||||
Growth
funds
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8,064,086 | 8,064,086 | — | — | ||||||||||||
Fixed
income funds
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2,955,745 | 2,955,745 | — | — | ||||||||||||
International
funds
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2,216,312 | 2,216,312 | — | — | ||||||||||||
Common
stock units
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Healthcare
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217,615 | — | 217,615 | — | ||||||||||||
Collective
investment trust funds
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||||||||||||||||
Index
funds
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1,747,282 | — | 1,747,282 | — | ||||||||||||
Fixed
income funds
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2,706,733 | — | 2,706,733 | — | ||||||||||||
Participant
loans
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2,102,232 | — | — | 2,102,232 | ||||||||||||
$ | 33,363,410 | $ | 26,589,548 | $ | 4,671,630 | $ | 2,102,232 |
Participant
Loans
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Balance,
January 1, 2008
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$ | 1,912,253 | ||
Loan
issuances, repayments and settlements
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189,979 | |||
Balance,
December 31, 2008
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2,102,232 | |||
Loan
issuances, repayments and settlements
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198,263 | |||
Balance,
December 31, 2009
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$ | 2,300,495 |
Note
9:
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Current
Economic Conditions
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Note
10:
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Reconciliation
of Financial Statement to Form 5500
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Note
11:
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Reportable
Transaction
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Total that Constitute Nonexempt Prohibited Transactions
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Participant
Contributions
Transferred Late
to Plan
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Contributions Not
Corrected
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Contributions
Corrected Outside
VFCP
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Contributions
Pending Correction in
VFCP
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Total Fully
Corrected
Under VFCP and
PTE 2002-51
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$ | 120,926 | $ | — | $ | — | $ | — | $ | 120,926 |
Identity of Issuer
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Description of Investment
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Current
Value
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|||||
Mutual
Funds
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American
Funds New Perspective Fund
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84,286
shares
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$ | 2,141,707 | ||||
Janus
Balanced Fund
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109,259
shares
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2,681,213 | |||||
Janus
Twenty Fund
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95,827
shares
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5,901,970 | |||||
Artio
International Equity Fund
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105,102
shares
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2,897,673 | |||||
Mosaic
Mid Cap Fund
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346,827
shares
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3,312,200 | |||||
*
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Wells
Fargo Advantage Total Return Bond Fund
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280,520
shares
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3,548,572 | ||||
*
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Wells
Fargo Diversified Equity Fund
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83,041
shares
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2,011,248 | ||||
*
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Wells
Fargo Growth Equity Fund
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155,709
shares
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1,729,927 | ||||
*
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Wells
Fargo Advantage Index Fund
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67,771
shares
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2,753,543 | ||||
*
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Wells
Fargo Advantage Large Cap Fund
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256,322
shares
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1,853,209 | ||||
*
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Wells
Fargo Outlook Today Fund
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29,852
shares
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301,505 | ||||
*
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Wells
Fargo Outlook 2010 Fund
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53,425
shares
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644,302 | ||||
*
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Wells
Fargo Outlook 2020 Fund
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176,345
shares
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2,234,293 | ||||
*
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Wells
Fargo Outlook 2030 Fund
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156,149
shares
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2,004,953 | ||||
*
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Wells
Fargo Outlook 2040 Fund
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120,705
shares
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1,680,211 | ||||
*
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Wells
Fargo Outlook 2050 Fund
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49,306
shares
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402,334 | ||||
36,098,860 | |||||||
Common
Stock Units
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*
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Symmetry
Medical Inc.
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52,466
units
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239,546 | ||||
Collective
Investment Trust Funds
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|||||||
*
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Wells
Fargo Collective Russell 2000 Index Fund
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154,410
shares
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2,299,170 | ||||
*
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Wells
Fargo Collective Stable Return Fund
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66,330
shares
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2,961,662 | ||||
5,260,832 | |||||||
Participant
Loans
|
Various
loans with interest rates varying from 3.0% to 10.5% due through August
23, 2033.
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2,300,495 | |||||
$ | 43,899,733 | ||||||
*
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Party-in-Interest
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SYMMETRY
MEDICAL INC. 401(k) PLAN
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Date: June
29, 2010
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By:
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/s/ RONDA
L. HARRIS
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Ronda
L. Harris
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Chief
Accounting Officer
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