(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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1
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Financial
Statements
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2
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3
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4 -
10
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Supplemental
Schedules
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11
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12
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13
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December
31,
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||||||||
2007
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2006
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Assets
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Investments,
At Fair Value (Note 3)
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$ | 31,327,458 | $ | 29,331,321 | ||||
Receivables
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Participant
contributions
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— | 66,410 | ||||||
Employer
contributions
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90,752 | 76,504 | ||||||
Interest
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— | 61,121 | ||||||
Total
Receivables
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90,752 | 204,035 | ||||||
Cash
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— | 41,631 | ||||||
Total
Assets
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31,418,210 | 29,576,987 | ||||||
Liabilities
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Excess
contributions payable
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77,383 | — | ||||||
Net
Assets Available For Benefits
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$ | 31,340,827 | $ | 29,576,987 | ||||
For
The Years
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Ended
December 31,
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2007
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2006
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Additions
To Net Assets Attributed To:
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Investment
Income
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Net
appreciation in fair value of
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investments
(Note 3)
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$ | 1,483,874 | $ | 2,935,004 | ||||
Interest
and dividends
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73,485 | 65,709 | ||||||
Net
Investment Income
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1,557,359 | 3,000,713 | ||||||
Contributions
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Participant
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2,330,332 | 2,138,770 | ||||||
Employer
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850,573 | 718,291 | ||||||
Participant
rollover
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85,397 | 272,651 | ||||||
Total
Contributions
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3,266,302 | 3,129,712 | ||||||
Transfers
In From Plan Merger (Note 7)
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1,103,165 | — | ||||||
Total
Additions
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5,926,826 | 6,130,425 | ||||||
Deductions
From Net Assets Attributed To:
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Benefits
paid directly to participants
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4,138,414 | 5,007,090 | ||||||
Other
expenses
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24,572 | 14,672 | ||||||
Total
Deductions
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4,162,986 | 5,021,762 | ||||||
Net
Increase
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1,763,840 | 1,108,663 | ||||||
Net
Assets Available For Benefits - Beginning Of Year
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29,576,987 | 28,468,324 | ||||||
Net
Assets Available For Benefits - End Of Year
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$ | 31,340,827 | $ | 29,576,987 | ||||
1.
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Description
Of The Plan
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2.
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Summary
Of Significant Accounting Policies
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3.
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Investments
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December
31,
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2007
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2006
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ABF
Large Cap Value Pa
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$ | 5,778,016 | $ | — | ||||
Fidelity
Balanced Fund
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2,521,782 | — | ||||||
Fidelity
Income Freedom Fund
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13,045,786 | — | ||||||
Fidelity
International Discovery
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1,730,459 | — | ||||||
American
Balanced Fund
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— | 2,455,837 | ||||||
Washington
Mutual Investors Fund
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— | 6,257,572 | ||||||
M&I
Stable Principal Fund
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— | 13,611,486 | ||||||
For
The Years
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Ended
December 31,
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2007
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2006
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Mutual
funds
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$ | 1,796,159 | $ | 2,410,233 | ||||
Common
stock
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(312,285 | ) | 524,771 | |||||
$ | 1,483,874 | $ | 2,935,004 |
4.
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Income
Tax Status
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5.
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Plan
Termination
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6.
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Related
Party Transactions
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7.
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Plan
Merger
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(b)
Identity Of
Issue,
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(c)
Description Of Investment
Including
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Borrower,
Lessor,
Or
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Maturity
Date, Rate Of
Interest,
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(e)
Current
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(a)
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Similar
Party
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Collateral,
Par, Or Maturity
Value
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Value
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Common
Stock
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*
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Angelica
Corporation
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Common
stock
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$ 939,813
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Mutual
Funds
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AllianceBerstein
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ABF
Large Cap Value Pa
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5,778,016
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Rainier
Funds
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Rainier
Sm/Mid Cap
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1,243,479
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Artisan
Funds
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Artisan
Mid Cap Value
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141,105
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Royce
Funds
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Royce
Opportunity
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8,781
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*
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Fidelity
Funds
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Fidelity
Balanced
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2,521,782
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*
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Fidelity
Funds
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Fidelity
Intl Discovery
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1,730,459
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*
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Fidelity
Funds
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Fidelity
Cap Appreciation
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257,600
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*
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Fidelity
Funds
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Fidelity
Sm Cap Independ
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845,137
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*
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Fidelity
Funds
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Fidelity
Strategic Income
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665,211
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*
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Fidelity
Funds
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Fidelity
Freedom Income
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13,045,786
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*
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Fidelity
Funds
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Fidelity
Freedom 2000
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189
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*
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Fidelity
Funds
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Fidelity
Freedom 2010
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276,770
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*
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Fidelity
Funds
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Fidelity
Freedom 2020
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51,663
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*
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Fidelity
Funds
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Fidelity
Freedom 2030
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77,007
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*
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Fidelity
Funds
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Spartan
US Eq Index
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1,356,182
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*
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Fidelity
Funds
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Fidelity
Freedom 2040
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127,259
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*
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Fidelity
Funds
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Fidelity
Freedom 2005
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3,563
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*
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Fidelity
Funds
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Fidelity
Freedom 2015
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179,527
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*
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Fidelity
Funds
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Fidelity
Freedom 2025
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70,362
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*
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Fidelity
Funds
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Fidelity
Freedom 2035
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62,561
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*
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Fidelity
Funds
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Fidelity
Freedom 2045
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47,007
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*
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Fidelity
Funds
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Fidelity
Freedom 2050
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53,625
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Total
Mutual Funds
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28,543,071
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Common
Collective Trust Fund
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*
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Fidelity
Funds
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Fidelity
Managed Income Portfolio
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788,472
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Participant
Loans
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Interest
rates ranging from 4.5% - 8.75%, due
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at
various dates through May 2015
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1,056,102
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$ 31,327,458
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Participant
Contributions
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Loan
Repayments
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Total
That Constitutes Nonexempt
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Transferred
Late To Plan
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Transferred
Late To Plan
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Prohibited
Transactions
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$ 66,410
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$ 10,380
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$ 76,790
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23.1
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Consent
of RubinBrown LLP, Independent Registered Public Accounting
Firm
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