x
|
ANNUAL
REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF
1934
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For
the fiscal year ended December 31,
2007
|
o
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TRANSITION
REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF
1934
|
For
the transition period from _____ to
_____
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Report
of Independent Registered Public Accounting Firm
|
1
|
Statements
of Net Assets Available for Benefits
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2
|
Statements
of Changes in Net Assets Available for Benefits
|
3
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Notes
to Financial Statements
|
4-8
|
Schedule
of Assets (Held at End of Year)
|
9
|
Signatures |
10
|
Exhibit Index |
11
|
2007
|
2006
|
|||||||
Investments,
at fair value:
|
||||||||
Money
market accounts
|
$ | 22,062,331 | $ | 19,628,174 | ||||
Fixed
income mutual funds
|
6,360,746 | 5,169,842 | ||||||
Common
stock of Trustmark Corporation
|
36,405,629 | 47,138,446 | ||||||
Equity
mutual funds
|
86,226,280 | 78,094,495 | ||||||
Total
investments
|
151,054,986 | 150,030,957 | ||||||
Receivables:
|
||||||||
Employer
contributions
|
290,563 | 224,638 | ||||||
Participant
contributions
|
236,676 | 242,567 | ||||||
Total
receivables
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527,239 | 467,205 | ||||||
Net
assets available for benefits
|
$ | 151,582,225 | $ | 150,498,162 |
2007
|
2006
|
|||||||
Contributions:
|
||||||||
Employer
|
$ | 5,287,076 | $ | 3,769,358 | ||||
Participant
|
7,591,075 | 6,881,933 | ||||||
Rollover
|
396,373 | 405,404 | ||||||
Total
contributions
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13,274,524 | 11,056,695 | ||||||
Net
investment income:
|
||||||||
Net
(depreciation) appreciation in fair value of
investments
|
(12,134,644 | ) | 7,703,962 | |||||
Interest
and dividends
|
10,330,476 | 10,173,119 | ||||||
Net
investment (loss) income
|
(1,804,168 | ) | 17,877,081 | |||||
Benefits
paid to participants
|
(10,356,527 | ) | (11,668,218 | ) | ||||
Administrative
fees
|
(29,766 | ) | (299,459 | ) | ||||
Net
increase in net assets available for benefits
|
1,084,063 | 16,966,099 | ||||||
Net
assets available for benefits:
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||||||||
Beginning
of year
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150,498,162 | 133,532,063 | ||||||
End
of year
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$ | 151,582,225 | $ | 150,498,162 |
2007
|
2006
|
|||||||
Investments
at fair value as determined by quoted market price:
|
||||||||
Common
stock of Trustmark Corporation
|
$ | 36,405,629 | $ | 47,138,446 | ||||
Performance
Funds Trust Mutual Funds
|
||||||||
Large-Cap
Equity Fund
|
8,517,797 | 9,188,892 | ||||||
Mid-Cap
Equity Fund
|
11,003,027 | 10,046,878 | ||||||
Van
Kampen Equity and Income Fund
|
- | 8,471,983 | ||||||
Franklin
Mutual Discovery Fund
|
8,801,766 | 8,747,983 | ||||||
Investments
at cost, which approximates fair value:
|
||||||||
Federated
Capital Preservation Fund
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14,805,319 | 14,506,568 |
2007
|
2006
|
|||||||
Change
in investments at fair value as determined by quoted market
price:
|
||||||||
Common
stock of Trustmark Corporation
|
$ | (9,697,231 | ) | $ | 7,238,190 | |||
Mutual
funds
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(2,437,413 | ) | 465,772 | |||||
Net
(depreciation) appreciation in fair value of
investments
|
$ | (12,134,644 | ) | $ | 7,703,962 |
TRUSTMARK
401(k) PLAN
|
||||||||||
Plan
Sponsor: Trustmark Corporation
|
||||||||||
Plan
Sponsor: EIN 64-0471500
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||||||||||
Plan
Number: 002
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||||||||||
Schedule
H, Line 4i – Schedule of Assets (Held at End of Year)
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||||||||||
December
31, 2007
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||||||||||
(c)
Description of Investment,
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||||||||||
(b)
Identity of Issue,
|
Including Maturity
Date,
|
|||||||||
Borrower,
Lessor,
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Rate
of Interest, Collateral,
|
Shares/Units
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(e)
Current
|
|||||||
or
Similar Party
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Par,
or Maturity Value
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Held
|
Value
|
|||||||
Money
market accounts:
|
||||||||||
Federated
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Capital
Preservation Fund
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1,480,532 | $ | 14,805,319 | ||||||
Federated
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Prime
Obligations Fund
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7,257,012 | 7,257,012 | |||||||
Total
money market accounts
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22,062,331 | |||||||||
Fixed
income mutual funds:
|
||||||||||
*
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Performance
Funds Trust
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Short-Term
Government Income Fund
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174,193 | 1,722,767 | ||||||
*
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Performance
Funds Trust
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Intermediate
Term Government Income Fund
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180,366 | 1,855,969 | ||||||
American
Funds
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High
Income Trust Fund
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61,177 | 725,564 | |||||||
Federated
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Mortgage
Institutional Services Fund
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46,659 | 459,587 | |||||||
Federated
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Intermediate
Corporate Bond Institutional Services Fund
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16,545 | 166,275 | |||||||
Federated
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Total
Return Bond Institutional Services Fund
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133,699 | 1,430,584 | |||||||
Total
fixed income mutual funds
|
6,360,746 | |||||||||
Common
stock:
|
||||||||||
*
|
Trustmark
Corporation
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Common
Stock
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1,435,553 | 36,405,629 | ||||||
Equity
mutual funds:
|
||||||||||
*
|
Performance
Funds Trust
|
Mid-Cap
Equity Fund
|
825,433 | 11,003,027 | ||||||
*
|
Performance
Funds Trust
|
Large-Cap
Equity Fund
|
809,676 | 8,517,797 | ||||||
*
|
Performance
Funds Trust
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Leader’s
Equity Fund
|
186,262 | 1,853,302 | ||||||
*
|
Performance
Funds Trust
|
Strategic
Dividend Fund
|
23,701 | 278,722 | ||||||
American
Funds
|
Euro
Pacific Growth Fund
|
31,460 | 1,578,034 | |||||||
Davis
|
New
York Venture Fund
|
27,304 | 1,092,423 | |||||||
Federated
|
Kaufmann
Fund
|
191,959 | 1,195,904 | |||||||
Federated
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Kaufmann
Small Cap Fund
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13,906 | 359,891 | |||||||
Federated
|
MDT
Balanced Fund
|
370,862 | 5,103,058 | |||||||
Federated
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Mid-Cap
Index Fund
|
164,880 | 3,591,079 | |||||||
Franklin
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Balance
Sheet Investment Fund
|
103,292 | 5,986,786 | |||||||
Franklin
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Mutual
Discovery Fund
|
274,284 | 8,801,766 | |||||||
Goldman
Sachs
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Structured
Small Cap Equity Fund
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262,194 | 3,007,367 | |||||||
JP
Morgan
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Mid-Cap
Value Fund
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107,203 | 2,590,018 | |||||||
Nationwide
|
Investor
Destinations Aggressive Services Fund
|
205,648 | 2,235,396 | |||||||
Nationwide
|
Investor
Destinations Conservative Services Fund
|
45,145 | 465,443 | |||||||
Nationwide
|
Investor
Destinations Moderate Services Fund
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316,920 | 3,460,767 | |||||||
Nationwide
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Investor
Destinations Moderately Aggressive Services Fund
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303,438 | 3,380,300 | |||||||
Nationwide
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Investor
Destinations Moderately Conservative Services Fund
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59,779
|
626,486 | |||||||
Neuberger
|
Neuberger
Berman Genesis Assets Advantage Fund
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188,487 | 5,426,528 | |||||||
Oppenheimer
|
Global
Fund
|
49,970 | 3,625,798 | |||||||
Oppenheimer
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International
Small Co Fund
|
89,927 | 2,423,542 | |||||||
Van
Kampen
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Growth
& Income Fund
|
76,957 | 1,635,352 | |||||||
T.
Rowe Price
|
Growth
Stock Fund
|
123,874 | 4,137,398 | |||||||
Templeton
|
Foreign
Fund
|
307,516 | 3,850,096 | |||||||
Total
equity mutual funds
|
86,226,280 | |||||||||
Total
Assets (Held at End of Year)
|
$ | 151,054,986 |
*
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Denotes
party-in-interest based on the following relationship:
|
||||||||||
Trustmark National
Bank serves as investment advisor for Performance Funds Trust; Trustmark
Corporation is
the parent company of Trustmark National
Bank.
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BY:
|
/s/ Louis E. Greer | ||
Louis
E. Greer
|
|||
Treasurer
and Principal Financial Officer
|
|||
DATE:
|
June
25, 2008
|
||
Exhibit
Number
|
Description
of Exhibits
|
|
23
|
Consent
of Independent Registered Public Accounting
Firm
|