Page(s)
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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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4–15
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SUPPLEMENTAL
SCHEDULES
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16
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17
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EXHIBITS
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Signature
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23.1
Consent of Independent Registered Public Accounting Firm
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*
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Refers to item numbers in Form
5500 (Annual Return/Report of Employee Benefit Plan) for the year ended
December 31, 2008.
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Statements
of Net Assets Available for Benefits
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as
of December 31, 2008 and 2007
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2008
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2007
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|||||||
ASSETS
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||||||||
Investments,
at fair value
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$ | 32,929,413 | $ | 39,952,724 | ||||
Receivables:
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||||||||
Participant
Contribution Receivable
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11 | 40,741 | ||||||
Employee
Contribution Receivable
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34,689 | 44,353 | ||||||
Total
receivables
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34,700 | 85,094 | ||||||
Net
assets available for benefits, at fair value
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32,964,113 | 40,037,818 | ||||||
Adjustment
from fair value to contract value for
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||||||||
fully
benefit-responsive investment contracts
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118,643 | (63,360 | ) | |||||
Net
assets available for benefits
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$ | 33,082,756 | $ | 39,974,458 |
Statements
of Changes in Net Assets Available for Benefits
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For
the Years Ended December 31, 2008 and 2007
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2008
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2007
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ADDITIONS
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Additions
to Net Assets Attributed to:
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Net
depreciation in fair value of
investments
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$ | (10,289,226 | ) | $ | (659,069 | ) | ||
Cash
dividends
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715,935 | 1,620,312 | ||||||
Interest
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491,596 | 499,250 | ||||||
(9,081,695 | ) | 1,460,493 | ||||||
Contributions
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||||||||
Participant
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2,501,684 | 2,216,684 | ||||||
Employer
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2,343,797 | 2,481,198 | ||||||
4,845,481 | 4,697,882 | |||||||
Total
additions
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(4,236,214 | ) | 6,158,375 | |||||
DEDUCTIONS
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Deductions
from Net Assets Attributed to:
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Benefits
paid to participants
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2,647,922 | 3,881,038 | ||||||
Administrative
expense
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7,566 | 7,075 | ||||||
Total
deductions
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2,655,488 | 3,888,113 | ||||||
Net
(decrease) increase
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(6,891,702 | ) | 2,270,262 | |||||
NET
ASSETS AVAILABLE FOR BENEFITS
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Beginning
of year
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39,974,458 | 37,704,196 | ||||||
End
of year
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$ | 33,082,756 | $ | 39,974,458 |
NOTE 1
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DESCRIPTION OF
PLAN
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NOTE 1
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DESCRIPTION OF PLAN
(continued)
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NOTE 1
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DESCRIPTION OF PLAN
(continued)
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NOTE 2
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SUMMARY OF SIGNIFICANT ACCOUNTING
POLICIES
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NOTE 2
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SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES (continued)
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NOTE 2
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SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES (continued)
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NOTE
3
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RELATED-PARTY
TRANSACTIONS
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NOTE
4
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INVESTMENTS
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December
31,
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||||
2008
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Vanguard
Prime Money Market Fund
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Investor
Shares
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$ | 2,127,077 | ||
Vanguard
500 Index Fund
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2,379,563 | |||
Investor
Shares
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Vanguard
Growth & Income Fund
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3,178,433 | |||
Investor
Shares
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Vanguard
Small-Cap Index Fund
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2,480,857 | |||
Investor
Shares
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Vanguard
Wellington Fund
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2,708,888 | |||
Investor
Shares
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Vanguard
Total Bond Market Index Fund
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2,933,090 | |||
Investor
Shares
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Vanguard
Retirement Savings Trust
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9,193,924 | |||
Investor
Shares, at contract value
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Loans
to Participants
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1,744,168 |
NOTE
4
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INVESTMENTS
(continued)
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December
31,
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||||
2007
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Tasty
Baking Company Common Stock
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357,787
shares
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$ | 2,976,791 | ||
Vanguard
500 Index Fund
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3,664,810 | |||
Investor
Shares
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Vanguard
Growth & Income Fund
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5,061,403 | |||
Investor
Shares
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Vanguard
Small-Cap Index Fund
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3,999,650 | |||
Investor
Shares
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Vanguard
Wellington Fund
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3,594,400 | |||
Investor
Shares
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Vanguard
Total Bond Market Index Fund
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2,505,706 | |||
Investor
Shares
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Vanguard
Retirement Savings Trust
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8,413,581 |
2008
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2007
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Mutual
funds
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$ | (8,559,378 | ) | $ | (232,357 | ) | ||
Common
stock
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(1,729,848 | ) | (426,712 | ) | ||||
(Depreciation)
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$ | (10,289,226 | ) | $ | (659,069 | ) |
NOTE
5
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PLAN
EXPENSES
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NOTE
6
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FEDERAL
INCOME TAXES
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NOTE
7
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RECONCILIATION
OF FINANCIAL STATEMENTS TO FORM
5500
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Net
assets available for benefits per the financial statements
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$ | 32,964,113 | ||
Adjustment
for fully benefit-responsive investment contracts
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118,643 | |||
Net
assets available for benefits per Form 5500
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$ | 33,082,756 |
Net
decrease per the financial statements
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$ | (6,891,702 | ) | |
Adjustment
from contract value to fair value for fully
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||||
benefit-responsive
investment contracts
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(182,003 | ) | ||
Net
decrease per Form 5500
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$ | (7,073,705 | ) |
NOTE
8
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FAIR VALUE
MEASUREMENTS
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Level
1
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Inputs
to the valuation methodology are unadjusted quoted prices for identical
assets or liabilities in active markets that the plan has the ability to
access.
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Level
2
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Inputs
to the valuation methodology
include:
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● Quoted
prices for similar assets or liabilities in active
markets;
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● Quoted
prices for identical or similar assets or liabilities in inactive
markets;
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● Inputs
other than quoted prices that are observable for the asset or
liability;
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● Inputs
that are derived principally from or corroborated by observable market
date by correlation or other
means.
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Level
3
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Inputs
to the valuation methodology are unobservable and significant to the fair
value measurement.
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NOTE 8
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FAIR VALUE MEASUREMENTS
(continued)
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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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Mutual
funds
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$ | 20,817,963 | $ | - | $ | - | $ | 20,817,963 | ||||||||
Common
stocks
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1,173,358 | - | - | 1,173,358 | ||||||||||||
Corporate
bonds
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- | - | - | - | ||||||||||||
U.S.
government securities
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- | - | - | - | ||||||||||||
Guaranteed
investment contract
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- | 9,193,924 | - | 9,193,924 | ||||||||||||
Participant
loans
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- | - | 1,744,168 | 1,744,168 | ||||||||||||
Total
assets at fair value
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$ | 21,991,321 | $ | 9,193,924 | $ | 1,744,168 | $ | 32,929,413 |
NOTE 8
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FAIR VALUE MEASUREMENTS
(continued)
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Level 3 Assets
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Year Ended December 31,
2008
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Participant
loans |
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Balance,
beginning of year
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$
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1,712,055
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Realized
gains/(losses)
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-
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Unrealized
gains/(losses) relating to
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|||||
instrument
still held at the reporting date
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-
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Purchases,
sales, issuances and
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Settlements
(net)
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32,113
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Balance,
end of year
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$
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1,744,168
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E.I.N.
23-1145880/PN
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Plan
Number 002
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Schedule
H, Part IV, Line 4(i)
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Schedule
of Assets (Held at End of Year)
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December
31, 2008
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Description
of Investment
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Including
Maturity Date
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Identity
of Issue, Borrower,
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Rate
of Interest, Collateral,
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Current
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||||||||||
a. | b. |
Lessor
or Similar Party
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c. |
Par
of Maturity Value
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d. |
Cost
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e. |
Value
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* |
Tasty
Baking Company
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Company
Stock
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$ | 3,554,972 | $ | 1,173,358 | ||||||
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Vanguard
Retirement Savings Trust
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Common
Collective Trust
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9,193,924 | 9,193,924 | ||||||||
at
fair value
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* |
Vanguard
500 Index Inv
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Registered
Investment Company
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3,263,050 | 2,379,563 | ||||||||
* |
Vanguard
Growth & Income Inv
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Registered
Investment Company
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5,014,362 | 3,178,433 | ||||||||
* |
Vanguard
Morgan Growth Inv
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Registered
Investment Company
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625,847 | 416,439 | ||||||||
* |
Vanguard
Prime Money Mkt
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Registered
Investment Company
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2,127,077 | 2,127,077 | ||||||||
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Vanguard
REIT Index Fund
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Registered
Investment Company
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580,038 | 340,864 | ||||||||
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Vanguard
Sm-Cap Index Inv
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Registered
Investment Company
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3,324,539 | 2,480,857 | ||||||||
* |
Vanguard
Strat Equity Fund
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Registered
Investment Company
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1,322,770 | 750,751 | ||||||||
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Vanguard
Tgt Retirement 2005
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Registered
Investment Company
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21,156 | 17,717 | ||||||||
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Vanguard
Tgt Retirement 2010
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Registered
Investment Company
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5,998 | 5,050 | ||||||||
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Vanguard
Tgt Retirement 2015
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Registered
Investment Company
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866,002 | 693,673 | ||||||||
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Vanguard
Tgt Retirement 2020
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Registered
Investment Company
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237,866 | 175,687 | ||||||||
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Vanguard
Tgt Retirement 2025
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Registered
Investment Company
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635,420 | 486,872 | ||||||||
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Vanguard
Tgt Retirement 2030
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Registered
Investment Company
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74,518 | 56,314 | ||||||||
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Vanguard
Tgt Retirement 2035
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Registered
Investment Company
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511,706 | 370,970 | ||||||||
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Vanguard
Tgt Retirement 2040
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Registered
Investment Company
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96,599 | 73,461 | ||||||||
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Vanguard
Tgt Retirement 2045
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Registered
Investment Company
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380,702 | 288,731 | ||||||||
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Vanguard
Tgt Retirement 2050
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Registered
Investment Company
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19,989 | 16,700 | ||||||||
* |
Vanguard
Target Retirement Inc
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Registered
Investment Company
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94,798 | 86,532 | ||||||||
* |
Vanguard
Total Bond Mkt Idx
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Registered
Investment Company
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2,883,503 | 2,933,090 | ||||||||
* |
Vanguard
Total Int'l Stock Idx
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Registered
Investment Company
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977,989 | 687,396 | ||||||||
* |
Vanguard
Total Stock Mkt Inv
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Registered
Investment Company
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217,067 | 149,163 | ||||||||
* |
Vanguard
Wellington Inv
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Registered
Investment Company
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3,404,902 | 2,708,888 | ||||||||
* |
Vanguard
Windsor II Fund Inv
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Registered
Investment Company
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620,659 | 393,735 | ||||||||
Subtotal
- Registered Investment
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Company
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27,306,557 | 20,817,962 | ||||||||||
Loans
to Participants
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4.25%
- 10.5%
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1,744,168 | 1,744,168 | |||||||||
Total
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$ | 41,799,621 | $ | 32,929,413 | ||||||||
*
Party-in-Interest
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Schedule
of Reportable Transactions - Attachment for Schedule H, Line
4j
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For
the Year Ended December 31, 2008
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Tasty
Baking 401(k) and Company Funded Retirement Plan, EIN 23-1145880, PN
002
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(a)
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(b)
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(c)
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(d)
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(e)
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(f)
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(g)
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Description
of Asset
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||||||||||||||||||||||
Identity
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(include
interest rate
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Current
Value
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||||||||||||||||||||
of
Party
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and
maturity in case
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Purchase
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Selling
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Historical
Cost
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of
Asset on
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Historical
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Involved
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of
loan)
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Price
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Price
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of
Asset
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Transaction
Date
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Gain
(Loss)
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Vanguard
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Vanguard
Prime Money Mkt
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$ | 1,688,998 | $ | - | $ | - | $ | 1,688,998 | $ | - | |||||||||||
Vanguard
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Vanguard
Prime Money Mkt
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762,303 | 762,303 | 762,303 | - | |||||||||||||||||
Vanguard
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Vanguard
Retirement Savings Trust
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2,078,867 | 2,078,867 | - | ||||||||||||||||||
Vanguard
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Vanguard
Retirement Savings Trust
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1,298,523 | 1,298,523 | 1,298,523 | - |
BY
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/s/ Paul D. Ridder
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Paul
D. Ridder for the Tasty Baking Company 401(k) Plan
Committee
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