Table
of Contents
|
Page
|
Report
of
Independent Registered Public Accounting Firm
|
1
|
Audited
Financial Statements:
|
|
Statements
of
Net Assets Available for Benefits
|
2
|
Statements
of
Changes in Net Assets Available for Benefits
|
3
|
Notes
to
Financial Statements
|
4
|
Supplemental
Schedule
|
|
Schedule
H,
Line 4i - Schedule of Assets (Held at the End of Year)
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8
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Exhibit
23 -
Consent of Independent Registered Public Accounting Firm
|
10
|
December
31,
|
||||||
2005
|
2004
|
|||||
Assets:
|
||||||
Investments,
at fair value
|
$110,598,856
|
$98,281,869
|
||||
Participant
loans
|
1,283,821
|
1,156,714
|
||||
Assets
held
for investment purposes
|
111,882,677
|
99,438,583
|
||||
Participants’
contribution receivable
|
23,623
|
-
|
||||
Employer's
contribution receivable
|
10,962
|
-
|
||||
Net
assets
available for benefits
|
$111,917,262
|
$99,438,583
|
||||
See
accompanying notes.
|
Years
ended
|
||||||
December
31,
|
||||||
2005
|
2004
|
|||||
Additions
to
net assets attributed to:
|
||||||
Investment
income:
|
||||||
Dividends
and
interest
|
$3,678,241
|
$
1,750,999
|
||||
Net
realized
and unrealized appreciation
|
||||||
in
fair value
of investments
|
4,732,284
|
|
8,612,719
|
|||
8,410,525
|
|
10,363,718
|
||||
Contributions:
|
||||||
Participants'
|
10,015,323
|
7,602,046
|
||||
Employer's
|
2,123,243
|
1,905,189
|
||||
12,138,566
|
|
9,507,235
|
||||
Total
additions
|
20,549,091
|
|
19,870,953
|
|||
Deductions
from net assets attributed to:
|
||||||
Withdrawals
and distributions
|
8,063,597
|
6,655,668
|
||||
Administrative
expenses
|
6,815
|
6,931
|
||||
Total
deductions
|
8,070,412
|
|
6,662,599
|
|||
Net
increase
in net assets
|
12,478,679
|
|
13,208,354
|
|||
Net
assets
available for benefits:
|
||||||
Beginning
of
year
|
99,438,583
|
86,230,229
|
||||
End
of
year
|
$111,917,262
|
$99,438,583
|
||||
See
accompanying notes.
|
Date
|
Number
of
shares
|
Fair
value
|
Cost
|
2005
|
316,647
|
$11,237,796
|
$4,614,313
|
2004
|
317,651
|
$10,495,197
|
$3,845,861
|
2005
|
2004
|
|
Trimble
Navigation Limited Common Stock
|
$
11,237,796
|
$
10,495,197
|
Fidelity
Magellan Fund
|
8,938,469
|
10,482,000
|
Fidelity
ContraFund
|
18,394,511
|
14,549,014
|
Fidelity
Balanced Fund
|
11,606,320
|
9,450,090
|
Fidelity
Low
Price Stock Fund
|
6,687,903
|
6,042,697
|
Fidelity
Aggressive Growth Fund
|
4,858,967
|
4,971,929
|
Fidelity
Diversified International Fund
|
7,812,247
|
4,020,387
|
Fidelity
Dividend Growth Fund
|
7,850,607
|
7,908,277
|
Fidelity
Retirement Money Market Fund
|
13,999,269
|
14,172,630
|
Other
funds
individually less than 5% of net assets
|
20,496,588
|
17,346,362
|
Assets
held
for investment purposes
|
$111,882,677
|
$99,438,583
|
2005
|
2004
|
|
Common
stock
|
$
898,242
|
$2,639,344
|
Mutual
funds
|
3,834,042
|
5,973,375
|
$4,732,284
|
$
8,612,719
|
Description
of
investment including
|
||||
Identity
of
issue, borrower,
|
maturity
date,
rate of interest,
|
Current
|
||
lessor
or
similar party
|
collateral,
par or maturity value
|
value
|
||
PIMCO
Total
Return
|
Mutual
Fund
|
$
3,881,902
|
||
WFA
Common
Stock Z
|
Mutual
Fund
|
1,590,370
|
||
Weitz
Partners
Value Fund
|
Mutual
Fund
|
3,107,160
|
||
*
|
Fidelity
Fund
|
Mutual
Fund
|
879,344
|
|
*
|
Fidelity
Magellan Fund
|
Mutual
Fund
|
8,938,469
|
|
*
|
Fidelity
ContraFund
|
Mutual
Fund
|
18,394,511
|
|
*
|
Fidelity
Balanced Fund
|
Mutual
Fund
|
11,606,320
|
|
*
|
Fidelity
Equity Income II Fund
|
Mutual
Fund
|
3,373,226
|
|
*
|
Fidelity
Aggressive Growth Fund
|
Mutual
Fund
|
4,858,967
|
|
*
|
Fidelity
Diversified International Fund
|
Mutual
Fund
|
7,812,247
|
|
*
|
Fidelity
Dividend Growth Fund
|
Mutual
Fund
|
7,850,607
|
|
*
|
Fidelity
Retirement Money Market Fund
|
Mutual
Fund
|
13,999,269
|
|
*
|
Fidelity
Low
Price Stock Fund
|
Mutual
Fund
|
6,687,903
|
|
*
|
Fidelity
Capital Appreciation
|
Mutual
Fund
|
3,419,938
|
|
*
|
Spartan
US
Equity Index Fund
|
Mutual
Fund
|
2,960,827
|
|
*
|
Trimble
Navigation Limited
|
Common
Stock
(316,647 shares)
|
11,237,796
|
|
*
|
Participant
loans
|
Interest
rates
ranging from 5% to 9.5%
|
1,283,821
|
|
Total
|
$
111,882,677
|
|||
*
|
Party-in-interest
|