Pages
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Report
of Independent Registered Public Accounting Firm
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2
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Statements
of Net Assets Available for Benefits as of December 31, 2009 and
2008
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3
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Statements
of Changes in Net Assets Available for Benefits for the years ended
December 31, 2009 and 2008
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4
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Notes
to Financial Statements
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5-10
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Supplemental
Schedule*:
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Schedule
H, Line 4i - Schedule of Assets (Held at End of Year) as of December
31, 2009
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11
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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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$ | 1,087,871 | $ | 594,545 | ||||
Participant
loans
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46,614 | 12,917 | ||||||
1,134,485 | 607,462 | |||||||
Receivables:
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||||||||
Participant
contributions
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13,176 | 8,961 | ||||||
Employer
contribution
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67,801 | 53,904 | ||||||
80,977 | 62,865 | |||||||
Net
assets available for benefits
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$ | 1,215,462 | $ | 670,327 |
2009
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2008
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Additions
(reductions) to net assets attributed to:
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Investment income
(loss):
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||||||||
Net appreciation
(depreciation) of investments
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$ | 236,972 | $ | (250,296 | ) | |||
Dividends
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5,841 | 3,008 | ||||||
Interest
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1,005 | 624 | ||||||
Total
investment income (loss)
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243,818 | (246,664 | ) | |||||
Contributions:
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Participant
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307,114 | 261,626 | ||||||
Employer
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67,801 | 53,904 | ||||||
Total
contributions
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374,915 | 315,530 | ||||||
Total
additions
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618,733 | 68,866 | ||||||
Deductions
from net assets attributed to:
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Benefits
paid to participants
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60,308 | 82,412 | ||||||
Administrative
fees
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13,290 | 10,696 | ||||||
Total
deductions
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73,598 | 93,108 | ||||||
Net
increase (decrease)
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545,135 | (24,242 | ) | |||||
Net
assets available for benefits:
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Beginning
of year
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670,327 | 694,569 | ||||||
End
of year
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$ | 1,215,462 | $ | 670,327 |
(1)
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Description
of Plan
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(a)
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General
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(b)
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Contributions
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(c)
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Participant
Accounts
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(d)
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Vesting
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(e)
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Investment
Options
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(f)
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Participant
Loans
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(g)
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Payment
of Benefits
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(h)
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Forfeitures
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(i)
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Administrative
Fees
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(2)
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Summary
of Accounting Principles
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(a)
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Basis
of Accounting
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(b)
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Use
of Estimates
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(c)
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Investment
Valuation and Income Recognition
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(d)
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Payment
of Benefits
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(e)
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Recent
Accounting Pronouncements Not Previously Discussed
Herein
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(e)
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(Continued)
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(3)
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Plan
Termination
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(4)
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Tax
Status
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(5)
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Risks
and Uncertainties
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(6)
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Investments
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2009
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2008
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Custom
Funds FL Global Balanced Portfolio – 90,530 units and 68,163 units,
respectively
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$ | 859,655 | $ | 508,494 | ||||
Foot
Locker Stock Fund – 15,125 units and 7,127 units,
respectively
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$ | 151,484 | $ | 47,289 |
2009
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2008
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Commingled
funds
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$ | 185,405 | $ | (209,735 | ) | |||
Common
stock
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51,567 | (40,561 | ) | |||||
$ | 236,972 | $ | (250,296 | ) |
(7)
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Fair
Value Measurements
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The
following tables provide a summary, by level, of the Plan’s financial
assets that are measured at fair value on a recurring
basis:
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Fair Value Measurements at 12/31/09
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Description
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Level 1
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Level 2
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Level 3
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Total
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Commingled
funds:
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Synthetic
investment contracts
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$ | - | $ | 24,897 | $ | - | $ | 24,897 | ||||||||
Fixed
income funds
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- | 6,654 | - | 6,654 | ||||||||||||
Balanced
funds
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- | 859,655 | - | 859,655 | ||||||||||||
U.S equity
- large cap structured funds
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- | 20,692 | - | 20,692 | ||||||||||||
Index
funds (Russell 1000 stock index)
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- | 6,500 | - | 6,500 | ||||||||||||
U.S.
equity - large cap funds
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- | 11,379 | - | 11,379 | ||||||||||||
U.S.
equity – small cap funds
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- | 2,119 | - | 2,119 | ||||||||||||
International
equity funds
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- | 4,491 | - | 4,491 | ||||||||||||
Foot
Locker Shares
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151,484 | - | - | 151,484 | ||||||||||||
Participant
loans
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- | - | 46,614 | 46,614 | ||||||||||||
$ | 151,484 | $ | 936,387 | $ | 46,614 | $ | 1,134,485 |
Fair Value Measurements at
12/31/08
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Description
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Level 1
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Level 2
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Level 3
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Total
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Commingled
funds:
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Synthetic
investment contracts
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$ | - | $ | 11 | $ | - | $ | 11 | ||||||||
Fixed
income funds
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- | 4,643 | - | 4,643 | ||||||||||||
Balanced
funds
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- | 508,494 | - | 508,494 | ||||||||||||
U.S equity
- large cap structured funds
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- | 12,760 | - | 12,760 | ||||||||||||
Index
funds (Russell 1000 stock index)
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- | 3,881 | - | 3,881 | ||||||||||||
U.S.
equity - large cap funds
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- | 12,202 | - | 12,202 | ||||||||||||
U.S.
equity – small cap funds
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- | 1,877 | - | 1,877 | ||||||||||||
International
equity funds
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- | 3,388 | - | 3,388 | ||||||||||||
Foot
Locker Shares
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47,289 | - | - | 47,289 | ||||||||||||
Participant
loans
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- | - | 12,917 | 12,917 | ||||||||||||
$ | 47,289 | $ | 547,256 | $ | 12,917 | $ | 607,462 |
2009
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2008
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Balance
at January 1
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$ | 12,917 | $ | 11,046 | ||||
Loan
issuances, net of repayments
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33,697 | 1,871 | ||||||
Balance
at December 31
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$ | 46,614 | $ | 12,917 |
(8)
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Related
Party Transactions
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(9)
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Subsequent
Events
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·
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Northern
Trust Focus Funds (age-based)
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·
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Baron
Small Cap Growth Fund
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·
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Mainstay
Large Cap Growth Fund
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·
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Artio
International Equity II Fund
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·
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Northern
Trust Collective Daily S&P 500 Equity Index
Fund
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·
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Goldman
Sachs Small Cap Value Fund
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·
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Loomis
Sayles Value Fund
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·
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PIMCO
Total Return Fund
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·
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Wells
Fargo (Galliard) Stable Return Fund
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(a)
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(b)
Identity of Issue, Borrower,
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(c)
Description of investment including maturity date, rate of
interest,
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(d)
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(e)
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Lessor,
or Similar Party
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collateral,
par, or maturity value
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Cost**
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Current
value
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Commingled
Funds:
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*
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Russell
Investment Group
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Russell
Investment Contract Fund
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1,560
units
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— | $ | 24,897 | ||||||||
*
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Russell
Investment Group
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Custom
Funds FL Fixed Income I Portfolio
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573
units
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— | 6,654 | |||||||||
*
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Russell
Investment Group
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Custom
funds FL Global Balanced Portfolio
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90,530
units
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— | 859,655 | |||||||||
*
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Russell
Investment Group
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Custom
Funds FL Large Cap Structured Equity Portfolio
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2,687
units
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— | 20,692 | |||||||||
*
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Russell
Investment Group
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Custom
Funds FL Russell 1000 Portfolio
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792
units
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— | 6,500 | |||||||||
*
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Russell
Investment Group
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Russell
Equity I Fund
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1,103
units
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— | 11,379 | |||||||||
*
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Russell
Investment Group
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Russell
Equity II Fund
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149
units
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— | 2,119 | |||||||||
*
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Russell
Investment Group
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Custom
Funds All International Markets Portfolio
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536
units
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— | 4,491 | |||||||||
Stock Fund:
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*
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Foot
Locker, Inc.
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Foot
Locker Stock Fund
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15,125
units
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— | 151,484 | |||||||||
Loans:
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*
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Loans
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Participant
loans
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33
loans were
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outstanding
at December 31, 2009, bearing interest at rates ranging from 3.25% -
8.25%, maturing through 2012.
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— | 46,614 | ||||||||||||
$ | 1,134,485 |
*
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Party-in-interest
as defined by ERISA
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**
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Cost
basis is not required for participant directed investments and therefore
is not included.
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FOOT LOCKER PUERTO RICO 1165(e)
PLAN
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By:
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/s/ Robert W. McHugh
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Foot
Locker, Inc.
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Robert
W. McHugh
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Chief
Financial Officer
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Exhibit
No. in Item
601 of Regulation S-K
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Description
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23
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Consent
of Independent Registered Public Accounting
Firm
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