[X]
|
ANNUAL
REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF
1934
|
[_]
|
TRANSITION
REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF
1934
|
A. |
Full
title of the plan and the address of the plan, if different from
that of
the issuer named below:
|
At
December 31,
|
|||||||
2005
|
2004
|
||||||
ASSETS
|
|||||||
Cash
and cash equivalents
|
$
|
7
|
$
|
1
|
|||
Investments,
at fair value
|
|||||||
Mutual
funds
|
76,303
|
65,604
|
|||||
Vectren
Corporation Common Stock Fund
|
30,451
|
29,956
|
|||||
Common
trust fund
|
19,640
|
20,951
|
|||||
Participants’
loans
|
2,912
|
2,771
|
|||||
Total
investments
|
129,306
|
119,282
|
|||||
Total
assets
|
129,313
|
119,283
|
|||||
NET
ASSETS AVAILABLE FOR BENEFITS
|
$
|
129,313
|
$
|
119,283
|
Year
Ended December 31,
|
|||||||||||||
2005
|
2004
|
2003
|
|||||||||||
ADDITIONS
TO NET ASSETS ATTRIBUTED TO:
|
|||||||||||||
Investment income: |
|
||||||||||||
Dividend,
interest, and other income
|
$
|
5,240
|
$
|
4,178
|
$
|
3,207
|
|||||||
Net
appreciation of investments
|
981
|
6,907
|
12,433
|
||||||||||
Total
investment income
|
6,221
|
11,085
|
15,640
|
||||||||||
Contributions:
|
|||||||||||||
Employee
|
7,413
|
6,962
|
6,665
|
||||||||||
Employer
|
3,420
|
3,523
|
3,504
|
||||||||||
Total
contributions
|
10,833
|
10,485
|
10,169
|
||||||||||
DEDUCTIONS
FROM NET ASSETS ATTRIBUTED TO:
|
|||||||||||||
Distribution
of
benefits to participants
|
(7,020
|
)
|
(8,713
|
)
|
(5,544
|
)
|
|||||||
Fees
paid to
trustee
|
(4
|
)
|
(5
|
)
|
(4
|
)
|
|||||||
Total
deductions
|
(7,024
|
)
|
(8,718
|
)
|
(5,548
|
)
|
|||||||
Net
increase
|
10,030
|
12,852
|
20,261
|
||||||||||
NET
ASSETS AVAILABLE FOR PLAN BENEFITS
|
|||||||||||||
Beginning of Year | 119,283 | 106,431 | 86,170 | ||||||||||
End
of
year
|
$
|
129,313
|
$
|
119,283
|
$
|
106,431
|
1. |
DESCRIPTION
OF THE PLAN
|
2. |
SUMMARY
OF SIGNIFICANT ACCOUNTING
POLICIES
|
(in thousands) |
2005
|
2004
|
||||||||
1)
Vectren Corporation Common Stock Fund
|
$
|
30,451
|
$
|
29,956
|
||||||
1)
T. Rowe Price
|
||||||||||
Stable
Value Common Trust Fund
|
19,640
|
20,951
|
||||||||
Equity
Income Fund
|
16,739
|
16,300
|
||||||||
Balanced
Fund
|
11,153
|
10,720
|
||||||||
Growth
Stock Fund
|
11,161
|
9,919
|
||||||||
Trendstar
Invt Tr Small Cap Fund
|
6,561
|
-
|
||||||||
2)
Other investments less than 5% of net assets
|
30,689
|
28,665
|
||||||||
Participants'
loans
|
2,912
|
2,771
|
||||||||
Total
investments
|
$
|
129,306
|
$
|
119,282
|
2) |
T.
Rowe Price (TRP) is a party-in-interest to the Plan. The
Plan held $3,406,373 and $2,625,739 in TRP’s International Stock Fund,
$2,593,633 and $1,148,995 in TRP’s Retirement 2010 Fund, $2,491,821 and
$418,390 in TRP’s Retirement 2015 Fund, $2,225,129 and $536,121 in TRP’s
Retirement 2020 Fund, $1,769,583 and $340,499 in TRP’s Retirement 2025
Fund, $611,081 and $51,607 in TRP’s Retirement 2030 Fund, $ $275,722 and
$8,470 in TRP’s Retirement 2035 Fund, $528,362 and $12,788 in TRP’s
Retirement 2040 Fund and $6,047,858 and $6,270,808 in TRP’s Equity Index
500 Fund, as of December 31, 2005 and 2004, respectively. In addition,
new
funds added in 2005 and the associated ending balances at December
31,
2005 are as follows: TRP Retirement 2005 Fund, $213,338; TRP Retirement
2045 Fund, $30,390; and TRP Retirement Income Fund,
$580,256.
|
(in thousands) |
2005
|
2004
|
||||||||
Mutual
Funds and Common
Trust Fund
|
$
|
569
|
$
|
4,460
|
||||||
Vectren
Corporation
Common Stock Fund
|
412
|
2,447
|
||||||||
Total
appreciation
|
$
|
981
|
$
|
6,907
|
4. |
TAX
STATUS
|
(in
thousands)
|
|||||||
Identity
of Issuer, Borrower, Lessor, or Similar Party
|
Current
Value
|
||||||
1) Vectren Corporation Common
Stock Fund
|
|
$
|
30,451
|
||||
1) T. Rowe Price Stable
Value Common Trust Fund
|
|
19,640
|
|||||
Mutual
Funds
|
|||||||
1) T. Rowe
Price
|
|
||||||
Equity
Income Fund
|
16,739
|
||||||
Balanced
Fund
|
11,153
|
||||||
Equity
Index 500 Fund
|
6,048
|
||||||
Growth
Fund
|
11,161
|
||||||
International
Stock Fund
|
3,406
|
||||||
Retirement
Income Fund
|
580
|
||||||
Retirement
2005
Fund
|
231
|
||||||
Retirement
2010
Fund
|
2,594
|
||||||
Retirement
2015
Fund
|
2,492
|
||||||
Retirement
2020
Fund
|
2,225
|
||||||
Retirement
2025
Fund
|
1,770
|
||||||
Retirement
2030
Fund
|
611
|
||||||
Retirement
2035
Fund
|
276
|
||||||
Retirement
2040
Fund
|
528
|
||||||
Retirement
2045
Fund
|
30
|
||||||
Trendstar Investment Trust Small Cap Fund | 6,561 | ||||||
PIMCO
Total Return Fund
|
4,354
|
||||||
Sterling
Capital Small Cap Value Fund
|
3,503
|
||||||
Morgan
Stanley Instutional Equity Fund
|
2,041
|
||||||
Participants'
loans, interest rates from 5.0% to 10.0%
|
2,912
|
||||||
Total
assets held at end of year
|
$
|
129,306
|
Exhibit
Number
|
Document
|
||