Table
Of Contents
|
||||||||
Page
No.
|
||||||||
Item
4.
Financial Statements
|
|
3
|
||||||
Annex
A Contents
|
4
|
|||||||
Report
of Independent Registered Public Accounting Firm
|
5
|
|||||||
Statements
of
Net Assets Available for Benefits for the Years
|
||||||||
Ended
December 31, 2004 and 2003
|
6
|
|||||||
Statement
of
Changes in Net Assets Available for Benefits for the
|
||||||||
Year
Ended December 31, 2004
|
7
|
|||||||
Notes
to Financial Statements
|
8
|
|||||||
Supplemental
Information - Form 5500 Schedule H, Line 4i-
|
||||||||
Schedule
of
Assets (Held at End of Year) for the Year Ended
|
||||||||
December
31,
2004
|
12
|
|||||||
Signature
|
13
|
|||||||
Exhibit
23.1 - Consent of Independent Registered Public Accounting
Firm
|
14
|
|
Annex
A
|
|
Table
of Contents
|
||
Page
|
||
Report
of Independent Registered Public Accounting Firm
|
5
|
|
Statements
of Net Assets Available for Benefits for the Years Ended December
31, 2004
and 2003
|
6
|
|
Statement
of Changes in Net Assets Available for Benefits for the Year Ended
December 31, 2004
|
7
|
|
Notes
to Financial Statements
|
8
|
|
Supplemental
Information:
|
||
Schedule
H,
Line 4i - Schedule of Assets (Held at End of Year)
|
12
|
Isle
of Capri Casinos, Inc. Retirement
|
|||||||
Trust
and Savings Plan
|
|||||||
Statements
of Net Assets Available for Benefits
|
|||||||
December
31,
|
|||||||
Assets
|
2004
|
2003
|
|||||
Investments
|
|||||||
Participant-directed
investment accounts
|
$
|
47,987,574
|
$
|
38,397,024
|
|||
Participant
loans receivable
|
3,612,141
|
2,981,355
|
|||||
Total
investments
|
51,599,715
|
41,378,379
|
|||||
Receivables
|
|||||||
Employer’s
contribution
|
2,056,662
|
1,869,479
|
|||||
Participants’
contributions
|
338,141
|
695,057
|
|||||
Accrued
interest
|
7,897
|
14,666
|
|||||
Total
receivables
|
2,402,700
|
2,579,202
|
|||||
Total
assets
|
54,002,415
|
43,957,581
|
|||||
Liabilities
|
|||||||
Accrued
expenses
|
12,200
|
28,147
|
|||||
Net
assets available for benefits
|
$
|
53,990,215
|
$
|
43,929,434
|
|||
Isle
of Capri Casinos, Inc. Retirement
|
||||
Trust
and Savings Plan
|
||||
Statement
of Changes in Net Assets Available for
Benefits
|
||||
Year
Ended December 31, 2004
|
||||
Additions
to net assets
|
||||
Investment
income:
|
||||
Net change in fair value of investments
|
$
|
3,792,738
|
||
Interest
|
164,088
|
|||
Dividends
|
574,046
|
|||
Total investment income
|
4,530,872
|
|||
Contributions:
|
||||
Employer’s
|
2,052,433
|
|||
Participants’
|
8,275,697
|
|||
Participants’ rollovers
|
248,532
|
|||
Total contributions
|
10,576,662
|
|||
Total
additions
|
15,107,534
|
|||
Deductions
from net assets
|
||||
Distributions
paid to participants
|
4,907,480
|
|||
Other
expenses
|
139,273
|
|||
Total
deductions
|
5,046,753
|
|||
Net
increase in Plan assets
|
10,060,781
|
|||
Net
assets available for benefits, beginning of year
|
43,929,434
|
|||
Net
assets available for benefits, end of year
|
$
|
53,990,215
|
||
December
31,
|
||||||||||
2004
|
|
2003
|
||||||||
Participant
directed investments accounts
|
||||||||||
Held by ABN AMRO Trust Services Company:
|
||||||||||
Collective trust fund:
|
||||||||||
ABN
AMRO Income Plus Fund
|
*
|
$
|
15,049,176
|
$
|
8,159,178
|
|||||
Registered investment companies (mutual funds):
|
||||||||||
ABN
AMRO Bond Fund
|
2,523,371
|
2,102,977
|
||||||||
Oppenheimer
Quest Opportunity Value Fund
|
5,274,562
|
|||||||||
ABN
AMRO/Montag & Caldwell Growth Fund
|
*
|
4,515,586
|
3,750,258
|
|||||||
Enterprise
Small Company Value Portfolio
|
*
|
4,728,585
|
3,669,851
|
|||||||
EuroPacific
Growth Fund
|
*
|
4,625,210
|
3,353,964
|
|||||||
Income
Fund of America
|
*
|
5,640,074
|
4,290,224
|
|||||||
MFS
Value Fund
|
*
|
8,099,412
|
6,292,577
|
|||||||
Columbia
Acorn
Fund
|
985,788
|
0
|
||||||||
Isle
of Capri Casinos
Stock Fund
|
1,820,372
|
1,503,433
|
||||||||
Total
|
$
|
47,987,574
|
$
|
38,397,024
|
||||||
ABN
AMRO Income Plus Fund
|
$
|
498,885
|
||
ABN
AMRO Bond Fund
|
(11,872
|
)
|
||
ABN
AMRO/Montag & Caldwell Growth Fund
|
158,882
|
|||
Oppenheimer
Quest Opportunity Value Fund
|
76,372
|
|||
Enterprise
Small Company Value Portfolio
|
677,636
|
|||
EuroPacific
Growth Fund
|
670,764
|
|||
Income
Fund of America
|
403,094
|
|||
MFS
Value Fund
|
942,157
|
|||
Columbia
Acorn Fund
|
86,033
|
|||
Isle
of Capri Casinos Stock Fund
|
290,787
|
|||
Total
|
$
|
3,792,738
|
||
Isle
of Capri Casinos, Inc. Retirement Trust and Savings
Plan
|
||||||||||
Form
5500
|
||||||||||
Schedule
H, Line 4i - Schedule of Assets (Held at End of
Year)
|
||||||||||
EIN
41-1659606 – PN 001
|
||||||||||
December
31, 2004
|
||||||||||
Identity
of Issue
|
Description
of Investment
|
Current
Value
|
||||||||
* ABN
AMRO Income Plus Fund
|
CollectiveTrust
Fund -2,653,750
shares
|
$ |
15,049,176
|
|||||||
|
|
|
||||||||
* ABN
AMRO Bond Fund
|
Mutual
Fund - 250,832 shares
|
2,523,371
|
||||||||
ABN
AMRO/Montag & Caldwell Growth
Fund
|
Mutual
Fund - 199,364 shares
|
4,515,586
|
||||||||
Enterprise
Small Company Value Portfolio
|
Mutual Fund - 411,539 shares |
4,728,585
|
||||||||
EuroPacific
Growth Fund
|
Mutual Fund - 129,812 shares |
4,625,210
|
||||||||
Income
Fund of America
|
Mutual Fund - 303,883 shares |
5,640,074
|
||||||||
MFS
Value Fund
|
Mutual Fund - 350,018 shares |
8,099,412
|
||||||||
Columbia
Acorn Fund
|
Mutual Fund - 902,449 shares |
985,788
|
||||||||
*
Isle
of Capri Casinos Stock Fund
|
Unitized Stock Fund - 51,002 shares |
1,820,372
|
||||||||
Participant
Loans
|
Interest rates range from 5.00% - 10.5% |
3,612,141
|
||||||||
*
Represents a party-in-interest
|
All investments are participant directed. |