Page
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Report
of Independent Registered Public Accounting Firm
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1
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Financial
Statements:
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Statements
of Net Assets Available for
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Benefits
at December 31, 2007 and 2006
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2
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Statement
of Changes in Net Assets Available for
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Benefits
for the Year Ended December 31, 2007
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3
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Notes
to Financial Statements
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4-8
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Supplemental
Schedule: *
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Schedule
H, line 4i - Schedule of Assets (Held at End of Year) at
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December
31, 2007
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9
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Signatures
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10
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*
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All
other schedules required by 29 CFR 2520.103-10 of the Department of
Labor’s Rules and Regulations for Reporting and Disclosure under ERISA
have been omitted because they are not
applicable.
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/s/
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Insero
& Company CPAs,P.C.
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Certified
Public Accountants
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Rochester,
New York
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June
20, 2008
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Assets
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2007
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2006
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||||||
Investments,
at Fair Value
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||||||||
Mutual
Funds
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$ | 69,608,143 | $ | 64,673,778 | ||||
Common
Collective Trust
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9,281,773 | 9,273,031 | ||||||
Common
Stock
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4,499,083 | 4,568,833 | ||||||
Preferred
Stock
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107,420 | - | ||||||
Corporate
Bonds
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165,969 | 158,715 | ||||||
Money
Market Funds
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7,587,555 | 6,050,254 | ||||||
Participant
Loans
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2,755,817 | 2,514,433 | ||||||
Non-interest
Bearing Cash
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2,045 | 7,656 | ||||||
Total
Investments
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94,007,805 | 87,246,700 | ||||||
Receivables
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||||||||
Employee
Contributions
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40,767 | 120,546 | ||||||
Employer
Contributions
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11,280 | 42,563 | ||||||
Other
Receivable
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6,985 | 21,456 | ||||||
Accrued
Income
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1,008 | 1,057 | ||||||
Total
Receivables
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60,040 | 185,622 | ||||||
Total
Assets
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94,067,845 | 87,432,322 | ||||||
Liabilities
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||||||||
Excess
Contributions Payable
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223,830 | 212,669 | ||||||
Total
Liabilities
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223,830 | 212,669 | ||||||
Net Assets Available for
Benefits at Fair Value
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93,844,015 | 87,219,653 | ||||||
Adjustment
from Fair Value to Contract Value for
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||||||||
Interest
in Common Collective Trust Relating to
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Fully
Benefit-Responsive Investment Contracts
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100,870 | 93,200 | ||||||
Net
Assets Available for Benefits
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$ | 93,944,885 | $ | 87,312,853 |
Additions
to net assets attributed to:
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Investment
income:
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Interest
and dividends
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$ | 6,346,689 | ||
Contributions:
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Participants
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8,101,822 | |||
Employer
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2,344,701 | |||
Total
Additions
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16,793,212 | |||
Deductions
from net assets attributed to:
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Net
depreciation in fair
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value of investments
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817,446 | |||
Administrative
expenses
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61,750 | |||
Distributions
to participants
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9,281,984 | |||
Total
Deductions
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10,161,180 | |||
Net
Increase
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6,632,032 | |||
Net
Assets Available for Benefits at Beginning of Year
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87,312,853 | |||
Net
Assets Available for Benefits at End of Year
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$ | 93,944,885 |
1.
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Establishment
and Description of Plan
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1.
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Establishment
and Description of Plan (Continued)
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2.
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Significant Accounting
Policies
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2.
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Significant
Accounting Policies (Continued)
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3.
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Income
Tax Status
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4.
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Investments
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4.
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Investments
(Continued)
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2007
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2006
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Current
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Current
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Value
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Value
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Fidelity
Managed Income
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Portfolio
Fund
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$ | 9,281,773 | $ | 9,273,031 | ||||
Fidelity
Puritan Fund
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9,537,016 | 9,110,492 | ||||||
Fidelity
Equity Income Fund
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8,537,055 | 8,977,600 | ||||||
Spartan
U.S. Equity Index Fund
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8,392,507 | 8,219,957 | ||||||
Fidelity
Low-Priced Stock Fund
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7,023,633 | 7,432,157 | ||||||
Fidelity
Aggressive Growth Fund
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N/A | * | 6,451,884 | |||||
Fidelity
Diversified International Fund
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6,459,602 | 5,180,629 | ||||||
Fidelity
Retirement Money
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Market
Fund
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6,072,324 | 4,787,040 | ||||||
Rainer
Small/Mid Cap Fund
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8,984,450 | N/A | * |
Mutual
funds
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$ | (816,180 | ) | |
Common
stocks
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(1,266 | ) | ||
$ | (817,446 | ) |
5.
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Transactions
with Parties-in-Interest
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December 31, 2007
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December 31, 2006
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|||||||||||||||
Number
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Fair
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Number
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Fair
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of
Shares
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Value
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of
Shares
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Value
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CONMED
Corp.
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Common
Stock
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128,377 | $ | 2,966,792 | 136,131 | $ | 3,147,349 |
6.
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Reconciliation
of Financial Statements to Form
5500
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The
following is a reconciliation of the financial statements to the Form 5500
at December 31, 2007:
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Net
Assets Available for Benefits Per
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the
Financial Statements
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$ | 93,944,885 | ||
Adjustment
from Contract Value to Fair Value for
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Interest
in Common Collective Trust Relating to
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Fully
Benefit-Responsive Investment Contracts
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(100,870 | ) | ||
Net
Assets Available for Benefits Per the Form 5500
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$ | 93,844,015 | ||
Net
Increase in Net Assets Available for Benefits Per
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the
Financial Statements
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$ | 6,632,032 | ||
Change
in adjustment from Contract Value to Fair Value
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for
Interest in Common Collective Trust Relating to
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Fully
Benefit-Responsive Investment Contracts
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(7,670 | ) | ||
Net
Income Per the Form 5500
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$ | 6,624,362 | ||
Fair
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Identity
of Issue/Description of Investment
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Value
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FAM
Value Fund
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$ | 2,841,997 | ||
Fidelity
Puritan Fund**
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9,537,016 | |||
Fidelity
Equity Income Fund**
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8,537,055 | |||
Fidelity
Investment Grade Bond Fund**
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4,375,117 | |||
Fidelity
Low-Priced Stock Fund**
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7,023,633 | |||
Fidelity
Capital Appreciation Fund**
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4,128,928 | |||
Fidelity
Diversified International Fund**
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6,459,602 | |||
Legg
Mason Value Trust Fund
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302,295 | |||
Spartan
U.S. Equity Index Fund**
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8,392,507 | |||
Fidelity
Managed Income Portfolio Fund**
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9,281,773 | |||
CONMED
Corporation Common Stock **
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2,966,792 | |||
Participant
- Directed Brokerage Link Account
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3,951,065 | |||
Fidelity
Retirement Money Market Fund**
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6,072,324 | |||
Fidelity
Freedom Funds**
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4,599,576 | |||
Needham
Growth Fund
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2,128,112 | |||
Interest
Bearing Cash Accounts
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231,535 | |||
Rainier
Small/Mid Cap Fund
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8,984,450 | |||
WFA Small Cap Value Z Fund
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1,436,166 | |||
Participant loans, interest rates from 5.25% to
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10.50%
and maturities from 2008 to 2022
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2,755,817 | |||
$ | 94,005,760 |
CONMED
CORPORATION
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Retirement
Savings Plan
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By:
/s/
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Robert D. Shallish, Jr.
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Robert
D. Shallish, Jr.
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Vice
President – Finance and
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Chief
Financial Officer
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CONMED
Corporation
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