[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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A.
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Full
title of the plan and the address of the plan, if different from
that of
the issuer named below:
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B.
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Name
of
issuer of the securities held pursuant to the plan and the address
of its
principal executive office:
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2005
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2004
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||||||
PLAN
ASSETS
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|||||||
Investments,
at fair value
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$
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201,559
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164,389
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||||
Cash
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-
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9
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|||||
NET
ASSETS AVAILABLE FOR BENEFITS
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$
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201,559
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164,398
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Additions
to net assets:
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||||
Investment
income:
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||||
Net
appreciation (depreciation) in fair value of investments:
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||||
Mutual
funds
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$ |
7,545
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||
Common
stock
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(1,108
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)
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||
Dividends
and other income
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4,704
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|||
Interest
income
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1,131
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|||
Net
investment income
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12,272
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|||
Contributions:
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||||
Participants
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34,856
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|||
Employer
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1,669
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|||
Total
contributions
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36,525
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|||
Total
investment income and contributions
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48,797
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|||
Deductions
from net assets:
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||||
Participant
withdrawals
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11,636
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|||
Net
increase
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37,161
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Net
assets available for benefits:
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||||
Beginning
of period
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164,398
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|||
End
of period
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$
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201,559
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(a) |
CenturyTel
Common Stock Fund - consists of shares of CenturyTel Common Stock
($15,449
and $17,078 at December 31, 2005 and 2004,
respectively).
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(b) |
Loan
Fund - represents loans to participants from the participants’ investment
accounts ($14,565 and $22,651 at December 31, 2005 and 2004,
respectively).
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(c) |
American
Funds Amcap, R4 - consists primarily of investments in U.S. common
stocks
($23,068 and $21,705 at December 31, 2005 and 2004,
respectively).
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(d) |
Fidelity
Diversified International Fund - consists primarily of investments
in
foreign common stocks ($25,612 and $19,994 at December 31, 2005 and
2004,
respectively).
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(e) |
Oakmark
Equity and Income Fund, Class I - consists primarily of investments
in
U.S. equity and debt securities ($477 and $5 at December 31, 2005
and
2004, respectively).
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(f) |
Morgan
Stanley Institutional Fund Small Company Growth Portfolio B - consists
primarily of investments in equity securities of small companies
($3,308
and $2,807 at December 31, 2005 and 2004,
respectively).
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(g) |
PIMCO
Total Return Fund - consists primarily of investments in debt securities
($1,767 and $1,624 at December 31, 2005 and 2004,
respectively).
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(h) |
T.
Rowe Price Retirement 2010 Fund - consists primarily of investments
in
U.S. and foreign equity and debt securities and money market instruments
and is managed for investors planning to retire (or begin to withdraw
substantial portions of their investment) around the year 2010 ($550
and
$457 at December 31, 2005 and 2004,
respectively).
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(i) |
T.
Rowe Price Retirement 2020 Fund - consists primarily of investments
in U.
S. and foreign equity and debt securities and money market instruments
and
is managed for investors planning to retire (or begin to withdraw
substantial portions of their investment) around the year 2020 ($9,791
and
$60 at December 31, 2005 and 2004,
respectively).
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(j) |
T.
Rowe Price Retirement 2030 Fund - consists primarily of investments
in
U.S. and foreign equity and debt securities and money market instruments
and is managed for investors planning to retire (or begin to withdraw
substantial portions of their investment) around the year 2030 ($2,524
and
$1,434 at December 31, 2005 and 2004,
respectively).
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(k) |
T.
Rowe Price Equity Income Fund - consists primarily of investments
in U. S.
and foreign common stocks ($13,068 and $11,301 at December 31, 2005
and
2004, respectively).
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(l) |
T.
Rowe Price Equity Index 500 Fund - consists primarily of investments
in
the same stocks and in substantially the same percentages as the
S&P
500 Index ($76,667 and $56,690 at December 31, 2005 and 2004,
respectively).
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(m) |
T.
Rowe Price Mid-Cap Growth Fund - consists primarily of investments
in
common stocks of companies whose market capitalization falls within
the
range of companies in the S&P MidCap 400 Index ($10,832 and $6,950 at
December 31, 2005 and 2004,
respectively).
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(n) |
T.
Rowe Price Summit Cash Reserves Fund - consists primarily of investments
in various money market instruments ($3,867 and $1,633 at December
31,
2005 and 2004, respectively).
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(o) |
Allianz
NFJ Small Cap Value Institutional Fund - (formerly PIMCO NFJ Small
Cap
Value Institutional Fund) consists primarily of investments in common
stocks of companies with market capitalizations between $100 million
and
$1.8 billion that have below average P/E ratios relative to their
industries and U.S. depositary receipts ($14 at December 31,
2005).
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Identity
of issuer, borrower,
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Current
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||||||||||||
lessor
or similar party
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Description
of Investment
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Value
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|||||||||||
Investment
in CenturyTel Common Stock
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466
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shares
at $33.16 per share
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$
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15,449
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(Note
1
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)
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|||||||
Loan
Fund (interest rates ranged from 5% to 6.75%)
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14,565
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(Note
1
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)
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Investment
in Mutual Funds for
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|||||||||||||
Qualified
Employee Benefit Plans:
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|||||||||||||
Managed
by Capital Research and Management Company:
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American
Funds Amcap, R4
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1,211
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shares
at $19.05 per share
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23,068
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(Note
1
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)
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||||||||
Managed
by Fidelity Investments:
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|||||||||||||
Fidelity
Diversified International Fund
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787
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shares
at $32.54 per share
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25,612
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(Note
1
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)
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||||||||
Managed
by Harris Associates:
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Oakmark
Equity & Income Fund, Class I
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19
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shares
at $24.98 per share
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477
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||||||||||
Managed
by Morgan Stanley:
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Institutional
Fund Small Company Growth Portfolio B
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269 |
shares
at $12.31 per share
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3,308 | ||||||||||
Managed
by PIMCO:
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PIMCO
Total Return Fund
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168
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shares
at $10.50 per share
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1,767
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Managed
by Allianz
Global Investors of America:
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Allianz
NFJ Small Cap Value Institutional
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.47
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shares
at $29.73 per share
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14
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||||||||||
Managed
by T. Rowe Price:
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Retirement
2010 Fund
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38
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shares
at $14.57 per share
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550
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||||||||||
Retirement
2020 Fund
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626
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shares
at $15.63 per share
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9,791
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||||||||||
Retirement
2030 Fund
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153
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shares
at $16.49 per share
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2,524
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||||||||||
Equity
Income Fund
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504
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shares
at $25.92 per share
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13,068
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(Note
1
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)
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||||||||
Equity
Index 500 Fund
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2,285
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shares
at $33.55 per share
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76,667
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(Note
1
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)
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Mid-Cap
Growth Fund
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200
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shares
at $54.14 per share
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10,832
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(Note
1
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)
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||||||||
Summit
Cash Reserves Fund
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3,867
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shares
at $1.00 per share
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3,867
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||||||||||
$
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201,559
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CenturyTel
Security Systems, Inc.
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401(k)
Plan and Trust
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June
28, 2006
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/s/
R. Stewart Ewing, Jr.
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R.
Stewart Ewing, Jr.
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Retirement
Committee Member and
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Executive
Officer of Issuer of Plan
Securities
|
23.1 |
Consent
of Independent Registered Public Accounting
Firm
|