TABLE OF CONTENTS
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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 Benefits as of December 31, 2010 and 2009
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2
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Statement of Changes in Net Assets Available for Benefits
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For the Year Ended December 31, 2010
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3
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Notes to Financial Statements as of December 31, 2010 and 2009
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and for the Year Ended December 31, 2010
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4-7
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SUPPLEMENTAL SCHEDULE:
Form 5500, Schedule H, Part IV, Line 4i—Schedule of Assets (Held at End of Year)
As of December 31, 2010
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8-26
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SIGNATURE
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27
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Exhibit 23-1 Consent of J.H. Cohn LLP
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AUTOMATIC DATA PROCESSING, INC.
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||||||||
RETIREMENT AND SAVINGS PLAN
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||||||||
STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS
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||||||||
DECEMBER 31, 2010 AND 2009
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||||||||
2010
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2009
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|||||||
ASSETS
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||||||||
CASH
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$ | 6,637 | $ | 13,576 | ||||
INVESTMENTS (Notes 3 and 4):
|
||||||||
Participant directed investments, at fair value
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2,221,927,563 | 1,865,648,079 | ||||||
RECEIVABLES:
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||||||||
Notes receivable from participants
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66,837,683 | 58,555,434 | ||||||
Interest and dividends receivable
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4,221,269 | 4,144,065 | ||||||
Broker receivable for securities sold
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326,903 | 6,330,188 | ||||||
Participant contribution receivable
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11,347 | 72,001 | ||||||
Employer contribution receivable
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5,713 | 4,711 | ||||||
TOTAL RECEIVABLES
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71,402,915 | 69,106,399 | ||||||
TOTAL ASSETS
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2,293,337,115 | 1,934,768,054 | ||||||
LIABILITIES
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||||||||
Broker payable for securities purchased
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2,150,921 | 14,465,565 | ||||||
Accrued expenses
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957,108 | 1,432,481 | ||||||
TOTAL LIABILITIES
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3,108,029 | 15,898,046 | ||||||
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||||||||
NET ASSETS AVAILABLE FOR BENEFITS
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$ | 2,290,229,086 | $ | 1,918,870,008 | ||||
See notes to financial statements.
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AUTOMATIC DATA PROCESSING, INC.
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||||
RETIREMENT AND SAVINGS PLAN
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||||
STATEMENT OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS
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||||
FOR THE YEAR ENDED DECEMBER 31, 2010
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||||
ADDITIONS:
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|||
Contributions:
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|||
Participant
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$ | 153,243,364 | ||
Employer
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57,518,614 | |||
Total contributions
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210,761,978 | |||
Investment income:
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||||
Net appreciation in fair value of investments (Note 3)
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206,827,776 | |||
Dividend income
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24,967,940 | |||
Interest income
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3,267,194 | |||
Total investment income
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235,062,910 | |||
Interest income on notes receivable from participants
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3,267,858 | |||
TOTAL ADDITIONS
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449,092,746 | |||
DEDUCTIONS:
|
||||
Benefits paid to participants
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(119,102,122 | ) | ||
Administrative and general expenses
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(5,324,678 | ) | ||
TOTAL DEDUCTIONS
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(124,426,800 | ) | ||
NET INCREASE IN NET ASSETS BEFORE TRANSFERS
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324,665,946 | |||
TRUST TO TRUST TRANSFERS IN
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46,693,132 | |||
NET INCREASE IN NET ASSETS AVAILABLE FOR BENEFITS
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371,359,078 | |||
NET ASSETS AVAILABLE FOR BENEFITS:
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||||
Beginning of year
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1,918,870,008 | |||
End of year
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$ | 2,290,229,086 | ||
See notes to financial statements.
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1.
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DESCRIPTION OF PLAN
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Participant Contributions—As defined in the Plan document, participating employees who are deemed non-highly compensated (employees earning less than $110,000 in 2009), can contribute up to 35% of their compensation, subject to the maximum deferral limits under the Internal Revenue Code (“IRC”) (and certain special limits for Puerto Rico residents participating in the Plan). Participating employees earning more than these amounts (“Highly Compensated Employees”) can only contribute up to the amount determined by the Plan Administrator annually (currently 10% of their compensation). Participants who have attained age 50 before the close of the Plan year are eligible to make additional contributions (“Catch-Up Contributions”) up to the amount of $5,500 for 2010. Participants may also contribute amounts representing distributions from other qualified defined benefit or defined contribution plans (“rollover contributions”). Unless the employee elects otherwise, any employee hired on or after January 8, 2007 shall be automatically enrolled as a participant in the Plan after sixty days of employment at a deferral rate of 3% of compensation. These contributions will be invested in the JPMorgan SmartRetirement Fund that corresponds to their estimated retirement date. Participant contributions during the year ended December 31, 2010 include $7,420,916 of rollover contributions.
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Matching Employer Contributions—Effective January 1, 2009, the Company contributes an amount equal to 50% of the first 6% of each participant’s salary deferral election to the Plan. Once a participant has contributed to the Plan for 60 months, the Company’s matching contribution increases to an amount equal to 70% of the first 6% of a participant’s salary deferral election. Participants must be actively employed on December 31 of a given year to receive the matching contribution for that year. Matching contributions are not made on the employee catch-up contributions.
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Limitations—In addition, there are contribution limitations set forth in the IRC, which the Plan must satisfy.
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2.
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SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
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3.
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INVESTMENTS
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The investments of the Plan as of December 31, 2010 and 2009 are summarized as follows:
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Investments, at fair value:
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2010
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2009
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||||||
Artio International Equity Fund - Institutional Fund
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$ | 258,702,101 | * | $ | 236,597,001 | * | ||
ADP Common Stock, 5,403,929 shares and 5,497,108 shares, respectively
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250,093,834 | * | 235,386,165 | * | ||||
Seix Intermediate Bond Fund
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238,379,734 | 221,713,266 | ||||||
Western Asset Institutional Government Reserves Fund
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212,068,291 | * | 220,131,628 | * | ||||
UBS S&P 500 Index Fund
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194,005,925 | * | 154,776,506 | * | ||||
Columbia Dividend Value Fund
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183,186,521 | 146,994,502 | ||||||
Montag & Caldwell Large Cap Growth Fund
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141,620,168 | 121,129,157 | ||||||
BlackRock Russell 2000 Growth Fund
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175,423,277 | * | 120,015,087 | * | ||||
JPMorgan SmartRetirement 2020 Fund
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132,637,228 | * | 99,519,652 | * | ||||
American Century Small Cap Value Fund
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126,466,222 | 87,629,024 | ||||||
JPMorgan SmartRetirement 2030 Fund
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112,292,164 | 77,709,658 | ||||||
JPMorgan SmartRetirement 2040 Fund
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77,325,268 | 48,508,786 | ||||||
JPMorgan SmartRetirement 2015 Fund
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60,524,198 | 45,703,785 | ||||||
JPMorgan SmartRetirement 2010 Fund
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29,146,496 | 26,189,881 | ||||||
JPMorgan SmartRetirement Income Fund
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26,453,188 | 20,589,254 | ||||||
JPMorgan U.S. Government Short-Term Investment Fund
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2,964,485 | 3,051,743 | ||||||
Fidelity Managed Income Portfolio
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635,897 | - | ||||||
Broadridge Company Stock, 117 shares
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2,566 | 2,639 | ||||||
Trusco Small Cap Growth Fund
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- | 345 | ||||||
Total Investments
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$ | 2,221,927,563 | $ | 1,865,648,079 | ||||
* Investments held that represent 5% or more of the Plan’s net assets available for benefits at the end of each of the respective years. For separately managed accounts (Seix Intermediate Bond Fund, Columbia Dividend Value Fund, Montag & Caldwell Large Cap Growth Fund and American Century Small Cap Value Fund), underlying investments are used to make such determination.
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BlackRock Russell 2000 Growth Fund
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$ | 37,215,935 | ||
UBS S&P 500 Index Fund
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24,353,993 | |||
American Century Small Cap Value Fund
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21,665,916 | |||
ADP Stock Fund
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19,229,643 | |||
Columbia Dividend Value Fund
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16,893,890 | |||
JPMorgan SmartRetirement 2020 Fund
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17,024,798 | |||
Artio International Equity – Institutional Fund
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15,707,823 | |||
JPMorgan SmartRetirement 2030 Fund
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15,202,193 | |||
JPMorgan SmartRetirement 2040 Fund
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10,324,757 | |||
Montag & Caldwell Large Cap Growth Fund
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9,854,075 | |||
JPMorgan SmartRetirement 2015 Fund
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7,468,614 | |||
JPMorgan SmartRetirement 2010 Fund
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3,326,309 | |||
JPMorgan SmartRetirement Income Fund
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2,643,828 | |||
Trusco Small Cap Growth Fund
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2,049 | |||
Western Asset Institutional Government Reserves Fund
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19,587 | |||
Seix Intermediate Bond Fund
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5,894,366 | |||
Net appreciation in fair value of investments
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$ | 206,827,776 |
Level 1
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Fair value is determined based upon closing prices for identical instruments that are traded on active exchanges.
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Level 2
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Fair value is determined based upon quoted prices for similar instruments in active markets; quoted prices for identical or similar instruments in markets that are not active; or model-derived valuations whose inputs are observable or whose significant value drivers are observable.
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Level 3
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Fair value is determined based upon significant inputs to the valuation model that are unobservable.
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As of December 31, 2010
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||||||||||||
Asset Class
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Level 1
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Level 2
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Total
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Equity Securities:
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||||||||||||
ADP Common Stock
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$ | 251,759,914 | $ | - | $ | 251,759,914 | ||||||
Consumer Goods
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126,812,099 | 259,925 | 127,072,024 | |||||||||
Manufacturing and Industrial
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104,192,313 | - | 104,192,313 | |||||||||
Financial Services
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72,937,659 | - | 72,937,659 | |||||||||
Telecommunications and Other Services
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59,026,333 | - | 59,026,333 | |||||||||
Energy
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52,579,739 | - | 52,579,739 | |||||||||
Other
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11,545,850 | - | 11,545,850 | |||||||||
Mutual Funds:
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||||||||||||
International Equity Securities
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258,702,101 | - | 258,702,101 | |||||||||
U.S. Equity Securities
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8,974,731 | - | 8,974,731 | |||||||||
Commingled Trusts
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||||||||||||
Target Date Retirement Funds
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- | 438,378,542 | 438,378,542 | |||||||||
S&P 500 Index Funds
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- | 194,005,924 | 194,005,924 | |||||||||
Growth Index Funds
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- | 175,423,277 | 175,423,277 | |||||||||
Managed Income Portfolio
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- | 635,897 | 635,897 | |||||||||
Money Markets
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- | 229,200,254 | 229,200,254 | |||||||||
Fixed Income Securities:
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||||||||||||
U.S. Government Securities
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- | 147,116,717 | 147,116,717 | |||||||||
AA Corporate Bonds
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- | 27,338,645 | 27,338,645 | |||||||||
A Corporate Bonds
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24,733,535 | 24,733,535 | ||||||||||
Mortgage-Backed Securities
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- | 38,304,108 | 38,304,108 | |||||||||
Total Investments
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$ | 946,530,739 | $ | 1,275,396,824 | $ | 2,221,927,563 |
As of December 31, 2009
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||||||||||||
Asset Class
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Level 1
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Level 2
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Total
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|||||||||
Equity Securities:
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||||||||||||
ADP Common Stock
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$ | 236,927,685 | $ | - | $ | 236,927,685 | ||||||
Consumer Goods
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89,136,521 | 258,300 | 89,394,821 | |||||||||
Manufacturing and Industrial
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88,927,825 | - | 88,927,825 | |||||||||
Telecommunications and Other Services
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55,680,146 | 134,775 | 55,814,921 | |||||||||
Financial Services
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47,299,988 | - | 47,299,988 | |||||||||
Energy
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31,755,787 | - | 31,755,787 | |||||||||
Other
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27,139,931 | 27,139,931 | ||||||||||
Mutual Funds:
|
||||||||||||
International Equity Securities
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236,597,001 | - | 236,597,001 | |||||||||
U.S. Equity Securities
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6,742,774 | - | 6,742,774 | |||||||||
Commingled Trusts
|
||||||||||||
Targeted Date Retirement Funds
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- | 318,221,016 | 318,221,016 | |||||||||
S&P 500 Index Fund
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- | 154,776,506 | 154,776,506 | |||||||||
Growth Index Fund
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- | 120,015,087 | 120,015,087 | |||||||||
Money Markets
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- | 247,985,279 | 247,985,279 | |||||||||
Fixed Income Securities:
|
||||||||||||
U.S. Government Securities
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- | 117,335,712 | 117,335,712 | |||||||||
AA Corporate Bonds
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- | 26,129,861 | 26,129,861 | |||||||||
A Corporate Bonds
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- | 25,722,305 | 25,722,305 | |||||||||
Mortgage-Backed Securities
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- | 34,861,580 | 34,861,580 | |||||||||
Total Investments
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$ | 820,207,658 | $ | 1,045,440,421 | $ | 1,865,648,079 |
December 31, 2010
|
December 31, 2009
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Redemption
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Redemption
|
|||||||
Fair Value
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Fair Value
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Frequency
|
Notice Period
|
|||||||
UBS Standard & Poors 500 Index Fund (1)
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$ | 194,005,924 | $ | 154,776,506 |
Daily
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Trade date + 1
|
||||
BlackRock Russell 2000 Growth Index Fund (2)
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175,423,277 | 120,015,087 |
Daily
|
Trade date + 1
|
||||||
JPMorgan SmartRetirement Income Fund (3)
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26,453,188 | 20,589,254 |
Daily
|
Trade date + 1
|
||||||
JPMorgan SmartRetirement 2010 Fund (4)
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29,146,496 | 26,189,881 |
Daily
|
Trade date + 1
|
||||||
JPMorgan SmartRetirement 2015 Fund (4)
|
60,524,198 | 45,703,785 |
Daily
|
Trade date + 1
|
||||||
JPMorgan SmartRetirement 2020 Fund (4)
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132,637,228 | 99,519,652 |
Daily
|
Trade date + 1
|
||||||
JPMorgan SmartRetirement 2030 Fund (4)
|
112,292,164 | 77,709,658 |
Daily
|
Trade date + 1
|
||||||
JPMorgan SmartRetirement 2040 Fund (4)
|
77,325,268 | 48,508,786 |
Daily
|
Trade date + 1
|
||||||
Fidelity Managed Income Portfolio
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635,897 | - |
Daily
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Trade date + 1
|
||||||
Total
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$ | 808,443,640 | $ | 593,012,609 | ||||||
(1) The objective of this fund is to provide a rate of return consistent with the Standard & Poor's 500 Index.
|
||||||||||
(2) The objective of this fund is to provide a rate of return consistent with the Russell 2000 Growth Index.
|
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(3) The objective of this fund is to outperform a custom benchmark of domestic and international equities, fixed income and real estate investments that has risk and return characteristics designed for investors who are retired or expecting to retire in the near term.
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(4) The objective of these funds is to outperform custom benchmarks of domestic and international equities, fixed income and real estate investments that have risk and return characteristics designed for investors who are expecting to retire near the applicable fund's target retirement date.
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6.
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PLAN TERMINATION
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7.
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FEDERAL INCOME TAX STATUS
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AUTOMATIC DATA PROCESSING, INC.
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Plan Number 002
|
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RETIREMENT AND SAVINGS PLAN
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Plan Sponsor EIN 22-1467904
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FORM 5500, SCHEDULE H, PART IV, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
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AS OF DECEMBER 31, 2010
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|||||||||
Number
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Current
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||||||||
Description
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of Shares
|
Value
|
|||||||
ADP STOCK FUND
|
|||||||||
Common Stock
|
|||||||||
*AUTOMATIC DATA PROCESSING, INC. COMMON STK
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Common Stock
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5,403,929 | $ | 250,093,834 | |||||
BROADRIDGE FINANCIAL SOLUTIONS COMMON STOCK
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Common Stock
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117 | 2,566 | ||||||
Total Common Stock
|
250,096,400 | ||||||||
Short-Term Investment Fund
|
|||||||||
* J.P. Morgan U.S. Government Short-Term Investment Fund
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Money Market
|
2,964,485 | 2,964,485 | ||||||
TOTAL ADP STOCK FUND
|
$ | 253,060,885 | |||||||
AMERICAN CENTURY SMALL CAP VALUE FUND
|
|||||||||
Common Stock
|
|||||||||
AAR CORP COM STK
|
Common Stock
|
11,800 | $ | 324,146 | |||||
ACTUANT CORP CLS 'A' COOM STK
|
Common Stock
|
6,000 | 159,720 | ||||||
ACUITY BRANDS INC COM STK
|
Common Stock
|
3,400 | 196,078 | ||||||
AEROPOSTALE INC COM STK
|
Common Stock
|
15,700 | 386,848 | ||||||
AEROVIRONMENT
|
Common Stock
|
6,700 | 179,761 | ||||||
ALASKA AIR GROUP INC COM STK
|
Common Stock
|
5,300 | 300,457 | ||||||
ALEXANDER & BALDWIN INC COM STK
|
Common Stock
|
5,700 | 228,171 | ||||||
ALLEGIANT TRAVEL COM STK
|
Common Stock
|
3,900 | 192,036 | ||||||
ALLIANCE HEALTHCARE SERVICES INC COM STK
|
Common Stock
|
76,200 | 323,088 | ||||||
ALLIANT TECHSYSTEMS INC COM STK
|
Common Stock
|
5,700 | 424,251 | ||||||
ALMOST FAMILY INC COM STK
|
Common Stock
|
4,800 | 184,416 | ||||||
ALPHA NATURAL RESOURCES CM STK
|
Common Stock
|
3,300 | 198,099 | ||||||
ALTERRA CAPITAL HLDGS LTD
|
Common Stock
|
24,100 | 521,524 | ||||||
ALTRA HOLDINGS INC COM STK
|
Common Stock
|
20,700 | 411,102 | ||||||
AMERICAN EAGLE OUTFITTER COM STK
|
Common Stock
|
21,400 | 313,082 | ||||||
AMERICAN EQUITY INVT LIFE HLDG CO COM ST
|
Common Stock
|
15,100 | 189,505 | ||||||
AMERICAN NATIONAL BANKSHARES COM STK
|
Common Stock
|
9,400 | 221,370 | ||||||
AMERIGROUP CORP COM STK
|
Common Stock
|
4,900 | 215,208 | ||||||
AMSURG CORP COM STK
|
Common Stock
|
17,000 | 356,150 | ||||||
ANALOGIC CORP COM STK
|
Common Stock
|
3,187 | 157,788 | ||||||
APOGEE ENTERPRISES INC COM STK
|
Common Stock
|
15,000 | 202,050 | ||||||
APOLLO INVESTMENT CORP COM STK
|
Common Stock
|
48,800 | 540,216 | ||||||
ARCH CHEMICALS INC COM STK
|
Common Stock
|
4,300 | 163,099 | ||||||
ARCTIC CAT INC COM STK
|
Common Stock
|
16,100 | 235,704 | ||||||
ARES CAPITAL CORP COM STK
|
Common Stock
|
26,200 | 431,776 | ||||||
ARKANSAS BEST CORP COM STK
|
Common Stock
|
8,400 | 230,328 | ||||||
ARTESIAN RESOURCES CORP CLASS 'A' COM STK
|
Common Stock
|
14,600 | 276,670 | ||||||
ARTIO GLOBAL INVESTORS INC
|
Common Stock
|
34,000 | 501,500 | ||||||
ASSISTED LIVING CONCEPTS INC CLASS 'A' COM
|
Common Stock
|
7,200 | 234,216 | ||||||
ASSOCIATED BANC-CORP COM STK
|
Common Stock
|
24,500 | 371,175 | ||||||
ATLANTIC TELE NETWORK INC COM STK
|
Common Stock
|
9,650 | 369,981 | ||||||
ATMOS ENERGY CORP COM STK
|
Common Stock
|
7,800 | 243,360 | ||||||
(Continued)
|
AUTOMATIC DATA PROCESSING, INC.
|
Plan Number 002
|
||||||||
RETIREMENT AND SAVINGS PLAN
|
Plan Sponsor EIN 22-1467904
|
||||||||
FORM 5500, SCHEDULE H, PART IV, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
|
|||||||||
AS OF DECEMBER 31, 2010
|
|||||||||
Number
|
Current
|
||||||||
Description
|
of Shares
|
Value
|
|||||||
AMERICAN CENTURY SMALL CAP VALUE FUND (Con't)
|
|||||||||
Common Stock (Con't)
|
|||||||||
AVISTA CORP COM STK
|
Common Stock
|
11,000 | $ | 247,720 | |||||
BALDWIN & LYONS INC CLASS 'B'
|
Common Stock
|
11,000 | 258,830 | ||||||
BALLY TECHNOLOGIES INC COM STK
|
Common Stock
|
4,700 | 198,293 | ||||||
BANCORPSOUTH INC COM
|
Common Stock
|
17,100 | 272,745 | ||||||
BARNES GROUP INC COM STK
|
Common Stock
|
11,600 | 239,772 | ||||||
BECKMAN COULTER INC COM STK
|
Common Stock
|
1,458 | 109,685 | ||||||
BEL FUSE INC CLASS 'B' SHS
|
Common Stock
|
13,100 | 313,090 | ||||||
BELDEN INC COM STK
|
Common Stock
|
8,000 | 294,560 | ||||||
BELO CORP CLASS 'A' COM STK
|
Common Stock
|
62,500 | 442,500 | ||||||
BENCHMARK ELECTRONICS INC COM STK
|
Common Stock
|
15,600 | 283,296 | ||||||
BERRY PETROLEUM CORP CLASS 'A' COM STK
|
Common Stock
|
10,700 | 467,590 | ||||||
BIG LOTS INC COM STK
|
Common Stock
|
17,700 | 539,142 | ||||||
BILL BARRETT CORP COM
|
Common Stock
|
9,600 | 394,848 | ||||||
BLACK HILLS CORP COM STK
|
Common Stock
|
6,400 | 192,000 | ||||||
BLUE COAT SYS INC
|
Common Stock
|
7,900 | 235,973 | ||||||
BOB EVANS FARMS INC COM STK
|
Common Stock
|
7,300 | 240,608 | ||||||
BOSTON PRIVATE FINANCIAL HLDGS INC COM
|
Common Stock
|
58,700 | 384,485 | ||||||
BRADY CORP 'A' NON.V
|
Common Stock
|
15,800 | 515,238 | ||||||
BRIGGS & STRATTON CORP COM STK
|
Common Stock
|
9,600 | 189,024 | ||||||
BRINK'S COMPANY BRINKS GROUP COM
|
Common Stock
|
12,500 | 336,000 | ||||||
BRINKER INTERNATIONAL COM STK
|
Common Stock
|
24,100 | 503,208 | ||||||
BRISTOW GROUP INC COM STK
|
Common Stock
|
6,900 | 326,715 | ||||||
BROOKLINE BANCORP
|
Common Stock
|
17,400 | 188,790 | ||||||
BROWN SHOE CO INC COM STK
|
Common Stock
|
19,500 | 271,635 | ||||||
BRUSH ENGINEERED MATERIALS INC COM STK
|
Common Stock
|
4,100 | 158,424 | ||||||
CABELAS INC COM STK
|
Common Stock
|
11,600 | 252,300 | ||||||
CACI INTL INC CLASS A COM
|
Common Stock
|
3,400 | 181,560 | ||||||
CADENCE DESIGN SYSTEMS INC COM STK
|
Common Stock
|
25,900 | 213,934 | ||||||
CAL DIVE INTL INC DEL COM STK
|
Common Stock
|
65,600 | 371,952 | ||||||
CALAMOS ASSET MANAGEMENT INC COM STK
|
Common Stock
|
22,000 | 308,000 | ||||||
CAPITOL FEDERAL FINANCIAL INC
|
Common Stock
|
17,617 | 209,813 | ||||||
CASS INFORMATION SYSTEMS COM STK
|
Common Stock
|
4,600 | 174,524 | ||||||
CATO CORP CLASS 'A' COM STK
|
Common Stock
|
5,500 | 150,755 | ||||||
CDI CORP COM STK
|
Common Stock
|
16,200 | 301,158 | ||||||
CENTRAL VERMONT PUBLIC SERVICE CORP COM
|
Common Stock
|
14,800 | 323,528 | ||||||
CENTURY ALUMINIUM COM STK
|
Common Stock
|
14,400 | 223,632 | ||||||
CERADYNE INC COM STK
|
Common Stock
|
6,000 | 189,180 | ||||||
(Continued)
|
AUTOMATIC DATA PROCESSING, INC.
|
Plan Number 002
|
||||||||
RETIREMENT AND SAVINGS PLAN
|
Plan Sponsor EIN 22-1467904
|
||||||||
FORM 5500, SCHEDULE H, PART IV, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
|
|||||||||
AS OF DECEMBER 31, 2010
|
|||||||||
Number
|
Current
|
||||||||
Description
|
of Shares
|
Value
|
|||||||
AMERICAN CENTURY SMALL CAP VALUE FUND (Con't)
|
|||||||||
Common Stock (Con't)
|
|||||||||
CHARMING SHOPPES INC COM STK
|
Common Stock
|
47,911 | $ | 170,084 | |||||
CHEMED CORP CAP
|
Common Stock
|
3,700 | 234,987 | ||||||
CHESAPEAKE UTILITIES CORP COM STK
|
Common Stock
|
7,000 | 290,640 | ||||||
CHRISTOPHER & BANKS CORP COM STK
|
Common Stock
|
49,900 | 306,885 | ||||||
COUR D'ALENE MINECOM
|
Common Stock
|
16,700 | 456,244 | ||||||
COHERENT INC COM STK
|
Common Stock
|
3,600 | 162,504 | ||||||
COLDWATER CREEK COM STK
|
Common Stock
|
65,400 | 207,318 | ||||||
COLFAX CORP
|
Common Stock
|
14,100 | 259,581 | ||||||
COLLECTIVE BRANDS INC
|
Common Stock
|
27,900 | 588,690 | ||||||
COMFORT SYSTEMS USA COM STK
|
Common Stock
|
14,800 | 194,916 | ||||||
COMMERCIAL METALS CO COM STK
|
Common Stock
|
17,200 | 285,348 | ||||||
COMMUNITY BANK SYSTEMS NY COM STK
|
Common Stock
|
6,900 | 191,613 | ||||||
COMMUNITY HEALTH SYSTEMS INC(NEW) COM ST
|
Common Stock
|
4,700 | 175,639 | ||||||
COMPASS DIVERSIFIED HLDGS SHS OF BENEFIC INTEREST
|
Common Stock
|
17,800 | 314,882 | ||||||
COMPUWARE CORP COM STK
|
Common Stock
|
15,900 | 185,553 | ||||||
COOPER TIRE & RUBBER CO COM STK
|
Common Stock
|
7,900 | 186,282 | ||||||
CORE-MARK HLDG CO INC COM STK
|
Common Stock
|
8,200 | 291,838 | ||||||
CSS INDUSTRIES INC COM STK
|
Common Stock
|
11,000 | 226,710 | ||||||
CULLEN FROST BANKERS COM STK
|
Common Stock
|
4,300 | 262,816 | ||||||
CULP INC COM STK
|
Common Stock
|
23,200 | 240,352 | ||||||
CURTISS-WRIGHT CORP COM STK
|
Common Stock
|
48,800 | 1,620,160 | ||||||
CUTERA INC COM STK
|
Common Stock
|
36,000 | 298,440 | ||||||
CVB FINANCIAL NPV
|
Common Stock
|
18,600 | 161,262 | ||||||
CYMER INC COM STK
|
Common Stock
|
6,200 | 279,434 | ||||||
CYTEC INDUSTRIES INC COM STK
|
Common Stock
|
3,900 | 206,934 | ||||||
DANA HOLDING CORP
|
Common Stock
|
30,300 | 521,463 | ||||||
DG FASTCHANNEL INC COM STK
|
Common Stock
|
11,200 | 323,456 | ||||||
DHT HLDGS INC COM STK
|
Common Stock
|
50,600 | 235,290 | ||||||
DIANA SHIPPING INC COM STK
|
Common Stock
|
35,100 | 421,902 | ||||||
DOUGLAS DYNAMICS INC
|
Common Stock
|
9,300 | 140,895 | ||||||
DRESS BARN INC COM STK
|
Common Stock
|
15,900 | 420,078 | ||||||
DST SYSTEMS INC DELAWARE COM STK
|
Common Stock
|
15,100 | 669,685 | ||||||
DYNAMIC MATERIALS CORP COM STK
|
Common Stock
|
15,600 | 352,092 | ||||||
EAST WEST BANCORP INC COM STK
|
Common Stock
|
9,000 | 175,950 | ||||||
ELECTRO SCIENTIFIC INDUSTRIES INC COM ST
|
Common Stock
|
27,900 | 447,237 | ||||||
ELECTRONICS FOR IMAGING INC COM STK
|
Common Stock
|
24,000 | 343,440 | ||||||
EMCOR GROUP COM STK
|
Common Stock
|
18,200 | 527,436 | ||||||
EMULEX CORP COM STK
|
Common Stock
|
14,500 | 169,070 | ||||||
ENCORE WIRE CORP COM STK
|
Common Stock
|
22,000 | 551,760 | ||||||
(Continued)
|
AUTOMATIC DATA PROCESSING, INC.
|
Plan Number 002
|
||||||||
RETIREMENT AND SAVINGS PLAN
|
Plan Sponsor EIN 22-1467904
|
||||||||
FORM 5500, SCHEDULE H, PART IV, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
|
|||||||||
AS OF DECEMBER 31, 2010
|
|||||||||
Number
|
Current
|
||||||||
Description
|
of Shares
|
Value
|
|||||||
AMERICAN CENTURY SMALL CAP VALUE FUND (Con't)
|
|||||||||
Common Stock (Con't)
|
|||||||||
ENTERCOM COMMUNICATIONS COM STK
|
Common Stock
|
14,444 | $ | 167,262 | |||||
ENTRAVISION COMMUNICATIONS CORP CLASS 'A'
|
Common Stock
|
130,000 | 334,100 | ||||||
ESTERLINE TECHNOLOGIES CORP COM STK
|
Common Stock
|
3,700 | 253,783 | ||||||
ETHAN ALLEN INTERIORS INC COM STK
|
Common Stock
|
9,300 | 186,093 | ||||||
FARMER BROS CO COM STK
|
Common Stock
|
14,000 | 249,200 | ||||||
FIFTH STREET FINANCE CORP
|
Common Stock
|
19,400 | 235,516 | ||||||
FINISH LINE IN CLASS 'A' COM STK
|
Common Stock
|
19,000 | 326,610 | ||||||
FIRST COMM'WTH FINL CORP PA COM STK
|
Common Stock
|
20,800 | 147,264 | ||||||
FIRST FINANCIAL HLDGS INC COM STK
|
Common Stock
|
21,100 | 242,861 | ||||||
FIRST FINANCIAL NORTHWEST INC COM STK
|
Common Stock
|
39,600 | 158,796 | ||||||
FIRST HORIZON NATIONAL CORP COM STK
|
Common Stock
|
84,810 | 999,065 | ||||||
FIRST INTERSTATE BANCSYSTEM INC
|
Common Stock
|
13,500 | 205,740 | ||||||
FIRST MIDWEST BANCORP COM STK
|
Common Stock
|
26,200 | 301,824 | ||||||
FIRST NIAGARA FINANCIAL GROUP INC COM
|
Common Stock
|
32,600 | 455,748 | ||||||
FIRST REPUBLIC BANK SAN FRANCISCO
|
Common Stock
|
7,438 | 216,595 | ||||||
FIRSTMERIT CORP COM STK
|
Common Stock
|
23,800 | 471,002 | ||||||
FLUSHING FINANCIAL CORP COM STK
|
Common Stock
|
12,800 | 179,200 | ||||||
FNB CORP PA COM STK
|
Common Stock
|
33,500 | 328,970 | ||||||
FOREST OIL CORP COM STK
|
Common Stock
|
5,000 | 189,850 | ||||||
FRED'S INC CLASS 'A' COM STK
|
Common Stock
|
23,300 | 320,608 | ||||||
FREIGHTCAR AMERICA INC COM STK
|
Common Stock
|
4,700 | 136,018 | ||||||
FRONTIER OIL CORP COM STK
|
Common Stock
|
29,400 | 529,494 | ||||||
FULLER (H.B.) CO COM STK
|
Common Stock
|
12,600 | 258,552 | ||||||
FULTON FINANCIAL CORP COM STK
|
Common Stock
|
57,000 | 589,380 | ||||||
FURNITURE BRANDS INTL INC COM STK
|
Common Stock
|
56,400 | 289,896 | ||||||
GANNETT CO INC COM STK
|
Common Stock
|
42,300 | 638,307 | ||||||
GATX CORP COM STK
|
Common Stock
|
5,400 | 190,512 | ||||||
GENCO SHIPPING & TRADING LIMITED COM STK
|
Common Stock
|
22,100 | 318,240 | ||||||
GENESCO INC COM STK
|
Common Stock
|
12,800 | 479,872 | ||||||
GEORGIA GULF CORP COM STK
|
Common Stock
|
11,400 | 274,284 | ||||||
GETTY REALTY CORP COM STK
|
Common Stock
|
9,900 | 309,672 | ||||||
GLATFELTER (P.H.) CO COM STK
|
Common Stock
|
14,800 | 181,596 | ||||||
GLOBAL INDUSTIRES COM STK
|
Common Stock
|
27,200 | 188,496 | ||||||
GOODRICH PETROLEUM CORPORATION COM STK
|
Common Stock
|
16,500 | 291,060 | ||||||
GRANITE CONSTRUCTION COM STK
|
Common Stock
|
48,200 | 1,322,126 | ||||||
GREAT PLAINS ENERGY INC COM STK NPV
|
Common Stock
|
24,800 | 480,872 | ||||||
GRIFFON CORP COM STK
|
Common Stock
|
5,100 | 64,974 | ||||||
GROUP 1 AUTOMOTIVE INC COM STK
|
Common Stock
|
4,200 | 175,392 | ||||||
HANOVER INSURANCE GROUP INC COM STK
|
Common Stock
|
7,500 | 350,400 | ||||||
(Continued)
|
AUTOMATIC DATA PROCESSING, INC.
|
Plan Number 002
|
||||||||
RETIREMENT AND SAVINGS PLAN
|
Plan Sponsor EIN 22-1467904
|
||||||||
FORM 5500, SCHEDULE H, PART IV, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
|
|||||||||
AS OF DECEMBER 31, 2010
|
|||||||||
Number
|
Current
|
||||||||
Description
|
of Shares
|
Value
|
|||||||
AMERICAN CENTURY SMALL CAP VALUE FUND (Con't)
|
|||||||||
Common Stock (Con't)
|
|||||||||
HARTE-HANKS INC COM STK
|
Common Stock
|
15,300 | $ | 195,381 | |||||
HAYNES INTERNATIONAL INC COM STK
|
Common Stock
|
4,800 | 200,784 | ||||||
HCC INSURANCE HLDG COM STK
|
Common Stock
|
51,700 | 1,496,198 | ||||||
HEALTH MANAGEMENT ASSOCIATES INC CLASS A
|
Common Stock
|
25,200 | 240,408 | ||||||
HECLA MINING CO COM STK
|
Common Stock
|
47,400 | 533,724 | ||||||
HEIDRICK & STRUGGLES COM STK
|
Common Stock
|
13,000 | 372,450 | ||||||
HELEN OF TROY COM STK
|
Common Stock
|
6,200 | 184,388 | ||||||
HELIX ENERGY SOLUTIONS GROUP INC COM STK
|
Common Stock
|
23,300 | 282,862 | ||||||
HERCULES TECHNOLOGY GROWTH CAP INC COM S
|
Common Stock
|
24,500 | 253,820 | ||||||
HERITAGE FINANCIAL CORP COM STK
|
Common Stock
|
22,200 | 309,024 | ||||||
HFF INC COM STK
|
Common Stock
|
23,400 | 226,044 | ||||||
HOT TOPIC INC COM STK
|
Common Stock
|
26,800 | 168,036 | ||||||
HUBBELL INC CLASS 'B'
|
Common Stock
|
5,000 | 300,650 | ||||||
HUGOTON ROYALTY TR UNITS OF BEN INTEREST
|
Common Stock
|
9,500 | 194,940 | ||||||
IBERIABANK CORP COM STK
|
Common Stock
|
5,500 | 325,215 | ||||||
ICU MEDICAL INC COM STK
|
Common Stock
|
6,000 | 219,000 | ||||||
IDACORP INC COM STK
|
Common Stock
|
4,500 | 166,410 | ||||||
IESI-BFC LTD
|
Common Stock
|
13,700 | 332,910 | ||||||
IMPAX LABORATORIES INC COM STK
|
Common Stock
|
17,100 | 343,881 | ||||||
INTEGRATED DEVICE TECHNOLOGY INC COM STK
|
Common Stock
|
53,700 | 357,642 | ||||||
INTERNAP NETWOEK SERVICES COM STK
|
Common Stock
|
45,400 | 276,032 | ||||||
INTERSIL CORP CLASS 'A' COM STK
|
Common Stock
|
21,100 | 322,197 | ||||||
INTREPID POTASH INC
|
Common Stock
|
5,400 | 201,366 | ||||||
INVESTMENT TECHNOLOGY GROUP COM STK
|
Common Stock
|
14,600 | 239,002 | ||||||
JACK IN THE BOX INC COM STK
|
Common Stock
|
14,200 | 300,046 | ||||||
JETBLUE AIRWAYS CORP COM STK
|
Common Stock
|
64,000 | 423,040 | ||||||
JOURNAL COMMUNICATIONS INC COM STK
|
Common Stock
|
48,900 | 246,945 | ||||||
KAISER ALUMINUM CORP COM STK
|
Common Stock
|
3,700 | 185,333 | ||||||
KAISER FEDERAL FINANCIAL GROUP INC
|
Common Stock
|
17,999 | 208,428 | ||||||
KAMAN CORP
|
Common Stock
|
8,900 | 258,723 | ||||||
KEY ENERGY SERVICES INC COM STK
|
Common Stock
|
30,100 | 390,698 | ||||||
KFORCE INC COM STK
|
Common Stock
|
16,600 | 268,588 | ||||||
KINDRED HEALTHCARE INC COM STK
|
Common Stock
|
11,500 | 211,255 | ||||||
KNIGHT CAPITAL GROUP INC CLASS A COM ST
|
Common Stock
|
14,600 | 201,334 | ||||||
KNOLOGY INC COM STK
|
Common Stock
|
18,000 | 281,340 | ||||||
KORN-FERRY INTERNATIONAL COM STK
|
Common Stock
|
19,300 | 446,023 | ||||||
LAKELAND FINANCIAL CORP COM STK
|
Common Stock
|
13,000 | 278,980 | ||||||
LAWSON PRODUCTS INC COM STK
|
Common Stock
|
14,200 | 353,438 | ||||||
LAWSON SOFTWARE INC COM STK
|
Common Stock
|
18,400 | 170,200 | ||||||
(Continued)
|
AUTOMATIC DATA PROCESSING, INC.
|
Plan Number 002
|
||||||||
RETIREMENT AND SAVINGS PLAN
|
Plan Sponsor EIN 22-1467904
|
||||||||
FORM 5500, SCHEDULE H, PART IV, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
|
|||||||||
AS OF DECEMBER 31, 2010
|
|||||||||
Number
|
Current
|
||||||||
Description
|
of Shares
|
Value
|
|||||||
AMERICAN CENTURY SMALL CAP VALUE FUND (Con't)
|
|||||||||
Common Stock (Con't)
|
|||||||||
LIFEPOINT HOSPITALS INC COM STK
|
Common Stock
|
5,700 | $ | 209,475 | |||||
LIN TV CORP COM STK
|
Common Stock
|
82,600 | 437,780 | ||||||
LINCOLN ELECTRIC HLDS INC COM STK
|
Common Stock
|
4,400 | 287,188 | ||||||
LITTELFUSE INC COM STK
|
Common Stock
|
4,700 | 221,182 | ||||||
LSI INDUSTRIES COM STK
|
Common Stock
|
32,100 | 271,566 | ||||||
MARSHALL & ILSLEY CORP NEW COM STK
|
Common Stock
|
46,600 | 322,472 | ||||||
MARTIN MARIETTA MATERIALS INC COM STK
|
Common Stock
|
2,100 | 193,704 | ||||||
MB FINANCIAL INC COM STK
|
Common Stock
|
10,700 | 185,324 | ||||||
MCG CAPITAL CORP COM STK
|
Common Stock
|
27,500 | 191,675 | ||||||
MDC HLDGS INC COM STK
|
Common Stock
|
8,000 | 230,160 | ||||||
MDU RESOURCES GROUP INC COM STK
|
Common Stock
|
30,800 | 624,316 | ||||||
MEDICIS PHARMACEUTICAL CORP CLASS A COM
|
Common Stock
|
11,100 | 297,369 | ||||||
MENS WEARHOUSE INC COM STK
|
Common Stock
|
11,000 | 274,780 | ||||||
MERCER INSURANCE GROP INC COM STK
|
Common Stock
|
19,800 | 554,202 | ||||||
METHODE ELECTRONICS INC COM CLASS 'A'
|
Common Stock
|
18,500 | 239,945 | ||||||
MISTRAS GROUP INC
|
Common Stock
|
26,800 | 361,264 | ||||||
MKS INSTRUMENTS INC COM STK
|
Common Stock
|
6,300 | 154,287 | ||||||
MOLEX INC COM STK
|
Common Stock
|
12,200 | 277,184 | ||||||
MOOG INC CLASS 'A' (LIM.V)
|
Common Stock
|
9,200 | 366,160 | ||||||
MOTRICITY INC
|
Common Stock
|
1,400 | 25,998 | ||||||
MUELLER INDUSTRIES INC COM STK
|
Common Stock
|
23,600 | 771,720 | ||||||
MUELLER WATER PRODUCTS INC COM STK
|
Common Stock
|
85,100 | 354,867 | ||||||
NATIONAL BANKSHARES INC COM STK
|
Common Stock
|
6,700 | 210,983 | ||||||
NATIONAL HEALTH CARE CORP COM STK
|
Common Stock
|
16,984 | 785,850 | ||||||
NATIONAL SEMICONDUCTOR CORP COM STK
|
Common Stock
|
19,800 | 272,448 | ||||||
NCR CORP COM STK
|
Common Stock
|
11,500 | 176,755 | ||||||
NETGEAR INC COM STK
|
Common Stock
|
5,500 | 185,240 | ||||||
NEUSTAR INC-CLASS COM STK
|
Common Stock
|
9,900 | 257,895 | ||||||
NEW YORK & CO INC COM STK
|
Common Stock
|
47,400 | 209,508 | ||||||
NORDIC AMERICAN TANKER SHIPPING
|
Common Stock
|
25,500 | 663,510 | ||||||
NORTH AMERICAN ENERGY PARTNERS COM NPV
|
Common Stock
|
19,700 | 241,522 | ||||||
NORTHWESTERN CORPORATION COM STK
|
Common Stock
|
7,100 | 204,693 | ||||||
NOVATEL WIRELESS INC
|
Common Stock
|
6,200 | 59,210 | ||||||
OLD DOMINION FREIGHT LINE INC COM STK
|
Common Stock
|
6,000 | 191,940 | ||||||
OLD NATIONAL BANCORP (INDIANA) COM STK
|
Common Stock
|
25,100 | 298,439 | ||||||
OLIN CORP COM STK
|
Common Stock
|
8,300 | 170,316 | ||||||
OM GROUP INC COM STK
|
Common Stock
|
7,800 | 300,378 | ||||||
ORBITAL SCIENCES COM STK
|
Common Stock
|
10,800 | 185,004 | ||||||
ORIENT EXPRESS HOTELS LTD CLS A COM STK
|
Common Stock
|
16,400 | 213,036 | ||||||
(Continued)
|
AUTOMATIC DATA PROCESSING, INC.
|
Plan Number 002
|
||||||||
RETIREMENT AND SAVINGS PLAN
|
Plan Sponsor EIN 22-1467904
|
||||||||
FORM 5500, SCHEDULE H, PART IV, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
|
|||||||||
AS OF DECEMBER 31, 2010
|
|||||||||
Number
|
Current
|
||||||||
Description
|
of Shares
|
Value
|
|||||||
AMERICAN CENTURY SMALL CAP VALUE FUND (Con't)
|
|||||||||
Common Stock (Con't)
|
|||||||||
ORITANI FINANCIAL CORP (NEW)
|
Common Stock
|
17,600 | $ | 215,424 | |||||
OSHKOSH CORPORATION
|
Common Stock
|
7,500 | 264,300 | ||||||
OVERSEAS SHIPHOLDING GROUP INC COM STK
|
Common Stock
|
27,400 | 970,508 | ||||||
OWENS & MINOR INC COM STK
|
Common Stock
|
18,100 | 532,683 | ||||||
PACIFIC CONTINETAL CORP COM STK
|
Common Stock
|
18,400 | 185,104 | ||||||
PARAMETRIC TECHNOLOGY CORP NEW COM STK
|
Common Stock
|
21,100 | 475,383 | ||||||
PARK ELECTROCHEMICAL CORP COM STK
|
Common Stock
|
11,500 | 345,000 | ||||||
PARK STERLING BANK COM STK
|
Common Stock
|
49,100 | 302,456 | ||||||
PC CONNECTION COM STK
|
Common Stock
|
17,400 | 154,164 | ||||||
PENN VIRGINIA CORP COM STK
|
Common Stock
|
31,100 | 523,102 | ||||||
PENNANTPARK INVESTMENT CORP COM STK
|
Common Stock
|
24,900 | 304,776 | ||||||
PENSKE AUTOMOTIVE GROUP INC COM STK
|
Common Stock
|
11,100 | 193,362 | ||||||
PEP BOYS MANNY MOE & JACK COM STK
|
Common Stock
|
11,700 | 157,131 | ||||||
PETROLEUM DEVELOPMENT COM STK
|
Common Stock
|
6,600 | 278,586 | ||||||
PHARMACEUTICAL PRODUCT DEVELOPMENT COM S
|
Common Stock
|
11,600 | 314,824 | ||||||
PIEDMONT OFFICE REALTY TRUST INC CLS A
|
Common Stock
|
12,500 | 251,750 | ||||||
PIKE ELECTRIC CORPORATION COM STK
|
Common Stock
|
43,600 | 374,088 | ||||||
PIPER JAFFRAY COMPANIES COM STK
|
Common Stock
|
10,600 | 371,106 | ||||||
PLATINUM UNDERWRITERS HLDGS LTD
|
Common Stock
|
8,600 | 386,742 | ||||||
PLEXUS CORP COM STK
|
Common Stock
|
18,700 | 578,578 | ||||||
PMI GROUP INC COM STK
|
Common Stock
|
38,500 | 127,050 | ||||||
POLYCOM INC COM STK
|
Common Stock
|
4,600 | 179,308 | ||||||
PORTLAND GENERAL ELECTRIC CO COM
|
Common Stock
|
32,900 | 713,930 | ||||||
PRESTIGE BRANDS HLDGS INC COM STK
|
Common Stock
|
21,100 | 252,145 | ||||||
PRIMO WATER CORP
|
Common Stock
|
15,800 | 224,518 | ||||||
PROASSURANCE CORP COM STK
|
Common Stock
|
5,100 | 309,060 | ||||||
PROSPECT CAPITAL CORP COM STK
|
Common Stock
|
15,800 | 170,640 | ||||||
PROVIDENT FINANCIAL SERVICES INC COM STK
|
Common Stock
|
23,500 | 355,555 | ||||||
PZENA INVESTMENT MANAGEMENT, INC COM STK
|
Common Stock
|
9,500 | 69,825 | ||||||
QUEST SOFTWARE INC COM STK
|
Common Stock
|
33,200 | 920,968 | ||||||
RADIAN GROUP INC COM STK
|
Common Stock
|
39,000 | 314,730 | ||||||
RADIOSHACK CORP COM STK
|
Common Stock
|
29,800 | 551,002 | ||||||
RALCORP HOLDINGS INC COM STK
|
Common Stock
|
7,600 | 494,076 | ||||||
RED ROBIN GOURMET BURGERS INC COM STK
|
Common Stock
|
15,700 | 337,079 | ||||||
REGAL BELOIT CORP COM STK
|
Common Stock
|
3,200 | 213,632 | ||||||
REGIS CORP COM STK
|
Common Stock
|
9,900 | 164,340 | ||||||
RENT-A-CENTER INC COM STK
|
Common Stock
|
5,800 | 187,224 | ||||||
ROBBINS & MYERS INC COM
|
Common Stock
|
9,700 | 347,066 | ||||||
ROGERS CORP CAP STK
|
Common Stock
|
9,400 | 359,550 | ||||||
(Continued)
|
AUTOMATIC DATA PROCESSING, INC.
|
Plan Number 002
|
||||||||
RETIREMENT AND SAVINGS PLAN
|
Plan Sponsor EIN 22-1467904
|
||||||||
FORM 5500, SCHEDULE H, PART IV, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
|
|||||||||
AS OF DECEMBER 31, 2010
|
|||||||||
Number
|
Current
|
||||||||
Description
|
of Shares
|
Value
|
|||||||
AMERICAN CENTURY SMALL CAP VALUE FUND (Con't)
|
|||||||||
Common Stock (Con't)
|
|||||||||
ROSETTA RESOURCES INC COM STK
|
Common Stock
|
5,100 | $ | 191,964 | |||||
ROWAN COS INC COM STK
|
Common Stock
|
4,900 | 171,059 | ||||||
ROYAL GOLD INC COM STK
|
Common Stock
|
3,300 | 180,279 | ||||||
RTI INTERNATIONAL METALS INC COM STK
|
Common Stock
|
6,000 | 161,880 | ||||||
RUBY TUESDAY INC COM
|
Common Stock
|
9,900 | 129,294 | ||||||
RUDDICK CORP COM STK
|
Common Stock
|
4,100 | 151,044 | ||||||
SANDRIDGE ENERGY INC COM STK
|
Common Stock
|
37,400 | 273,768 | ||||||
SCHNITZER STEEL COM STK
|
Common Stock
|
3,100 | 205,809 | ||||||
SCHULMAN (A.) INC COM STK
|
Common Stock
|
8,700 | 199,143 | ||||||
SCRIPPS (EW) CO NEW CLASS 'A' COM STK
|
Common Stock
|
67,900 | 707,455 | ||||||
SENECA FOODS CLASS 'A' COM STK
|
Common Stock
|
10,000 | 269,800 | ||||||
SENSIENT TECHNOLOGIES CORP COM STK
|
Common Stock
|
6,800 | 249,764 | ||||||
SIGMA DESIGNS INC COM STK
|
Common Stock
|
31,700 | 449,189 | ||||||
SILGAN HLDGS INC COM STK
|
Common Stock
|
9,600 | 343,776 | ||||||
SIMPSON MFG CO INC COM STK
|
Common Stock
|
5,200 | 160,732 | ||||||
SKYWEST INC COM STK
|
Common Stock
|
9,400 | 146,828 | ||||||
SONOCO PRODUCTS CO COM STK
|
Common Stock
|
12,600 | 424,242 | ||||||
STAGE STORES INC COM STK
|
Common Stock
|
11,100 | 192,474 | ||||||
STANDARD MICROSYSTEMS CORP COM STK
|
Common Stock
|
13,900 | 400,737 | ||||||
STANDARD MOTOR PRODUCTS INC COM STK
|
Common Stock
|
19,500 | 267,150 | ||||||
STERLING BANCSHARES INC COM STK
|
Common Stock
|
55,400 | 388,908 | ||||||
SUN HEALTHCARE GROUP INC
|
Common Stock
|
9,300 | 117,742 | ||||||
SUPERIOR ENERGY SERVICES INC COM STK
|
Common Stock
|
5,400 | 188,946 | ||||||
SWIFT ENERGY CO COM STK
|
Common Stock
|
13,400 | 524,610 | ||||||
SYKES ENTERPRISES INC COM STK
|
Common Stock
|
26,300 | 532,838 | ||||||
SYNOPSYS INC COM STK
|
Common Stock
|
6,200 | 166,842 | ||||||
SYNOVUS FINANCIAL CORP COM STK
|
Common Stock
|
72,900 | 192,456 | ||||||
SYSTEMAX INC COM STK
|
Common Stock
|
12,900 | 181,890 | ||||||
S1 CORP. COM STK
|
Common Stock
|
72,400 | 499,560 | ||||||
TALECRIS BIOTHERAPEUTICS HLDGS CORP
|
Common Stock
|
15,900 | 370,470 | ||||||
TARGA RESOURCES CORP
|
Common Stock
|
2,189 | 58,687 | ||||||
TECH DATA CORP COM STK
|
Common Stock
|
4,900 | 215,698 | ||||||
TELLABS INC COM STK
|
Common Stock
|
45,300 | 307,134 | ||||||
TETRA TECHNOLOGIES COM STK
|
Common Stock
|
46,500 | 551,955 | ||||||
TEXAS INDUSTRIES INC COM STK
|
Common Stock
|
6,500 | 297,570 | ||||||
THE JONES GROUP INC
|
Common Stock
|
26,000 | 404,040 | ||||||
THOMAS & BETTS CORP COM STK
|
Common Stock
|
3,500 | 169,050 | ||||||
THOMPSON CREEK METALS CO INC COM
|
Common Stock
|
28,100 | 413,632 | ||||||
TOTAL SYSTEM SERVICES INC
|
Common Stock
|
30,300 | 466,014 | ||||||
(Continued)
|
AUTOMATIC DATA PROCESSING, INC.
|
Plan Number 002
|
||||||||
RETIREMENT AND SAVINGS PLAN
|
Plan Sponsor EIN 22-1467904
|
||||||||
FORM 5500, SCHEDULE H, PART IV, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
|
|||||||||
AS OF DECEMBER 31, 2010
|
|||||||||
Number
|
Current
|
||||||||
Description
|
of Shares
|
Value
|
|||||||
AMERICAN CENTURY SMALL CAP VALUE FUND (Con't)
|
|||||||||
Common Stock (Con't)
|
|||||||||
TOWERS WATSON & CO CLASS A
|
Common Stock
|
4,400 | $ | 229,064 | |||||
TRADESTATION GROUP INC COM STK
|
Common Stock
|
54,200 | 365,850 | ||||||
TREDEGAR CORP COM
|
Common Stock
|
8,900 | 172,482 | ||||||
TREEHOUSE FOODS INC COM STK
|
Common Stock
|
7,700 | 393,393 | ||||||
TRICO BANCSHARES COM STK
|
Common Stock
|
16,100 | 260,015 | ||||||
TRIUMPH GROUP INC COM STK
|
Common Stock
|
2,900 | 259,289 | ||||||
TRUE RELIGION APPAREL INC COM STK
|
Common Stock
|
21,600 | 480,816 | ||||||
TRUSTMARK CORP COM STK
|
Common Stock
|
9,000 | 223,560 | ||||||
UNIT CORP COM STK
|
Common Stock
|
8,200 | 381,136 | ||||||
UNITED BANKSHARES INC COM STK
|
Common Stock
|
7,700 | 224,840 | ||||||
UNITED FIRE & CASUALTY CO COM STK
|
Common Stock
|
8,900 | 198,648 | ||||||
UNITIL CORP COM STK
|
Common Stock
|
11,100 | 252,414 | ||||||
US ECOLOGY INC COM STK
|
Common Stock
|
25,000 | 434,500 | ||||||
US PHYSICAL THERAPY COM STK
|
Common Stock
|
15,100 | 299,282 | ||||||
UTAH MEDICAL PRODUCTS COM STK
|
Common Stock
|
9,300 | 248,031 | ||||||
UTI WORLDWIDE INC ORD
|
Common Stock
|
8,400 | 178,080 | ||||||
VAIL RESORTS INC COM STK
|
Common Stock
|
6,000 | 312,240 | ||||||
VALIDUS HOLDING LTD COM STK
|
Common Stock
|
6,772 | 207,291 | ||||||
VARIAN SEMICONDUCT EQUIP ASSOC INC COM
|
Common Stock
|
10,400 | 384,488 | ||||||
VERIGY LTD COM
|
Common Stock
|
23,600 | 307,272 | ||||||
VILLAGE SUPER MARKET INC CLASS 'A' COM STK
|
Common Stock
|
6,700 | 221,100 | ||||||
W & T OFFSHORE INC COM STK
|
Common Stock
|
12,100 | 216,227 | ||||||
WADDELL & REED FINL INC CL A
|
Common Stock
|
8,345 | 294,495 | ||||||
WASHINGTON BANKING CO COM STK
|
Common Stock
|
16,200 | 222,102 | ||||||
WASHINGTON FEDERAL INC COM STK
|
Common Stock
|
13,700 | 231,804 | ||||||
WD-40 CO COM STK
|
Common Stock
|
3,263 | 131,434 | ||||||
WEBSENSE INC COM STK
|
Common Stock
|
23,200 | 469,800 | ||||||
WEBSTER FINANCIAL CORP COM STK
|
Common Stock
|
33,700 | 663,890 | ||||||
WEIS MARKETS INC COM STK
|
Common Stock
|
14,500 | 584,785 | ||||||
WESCO INTERNATIONAL INC COM STK
|
Common Stock
|
2,800 | 147,840 | ||||||
WESTAR ENERGY INC COM STK
|
Common Stock
|
6,300 | 158,508 | ||||||
WGL HLDGS INC COM STK
|
Common Stock
|
8,000 | 286,160 | ||||||
WHITNEY HLDGS CORP COM STK
|
Common Stock
|
36,100 | 510,815 | ||||||
WINTRUST FINANCIAL CORP COM STK
|
Common Stock
|
10,500 | 346,815 | ||||||
WORTHINGTON INDUSTRIES INC COM STK
|
Common Stock
|
10,200 | 187,680 | ||||||
YOUNG INNOVATIONS INC COM STK
|
Common Stock
|
34,700 | 1,110,747 | ||||||
ZIONS BANCORP COM STK
|
Common Stock
|
9,000 | 218,070 | ||||||
ZORAN CORP COM STK
|
Common Stock
|
29,800 | 262,240 | ||||||
(Continued)
|
AUTOMATIC DATA PROCESSING, INC.
|
Plan Number 002
|
||||||||
RETIREMENT AND SAVINGS PLAN
|
Plan Sponsor EIN 22-1467904
|
||||||||
FORM 5500, SCHEDULE H, PART IV, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
|
|||||||||
AS OF DECEMBER 31, 2010
|
|||||||||
Number
|
Current
|
||||||||
Description
|
of Shares
|
Value
|
|||||||
AMERICAN CENTURY SMALL CAP VALUE FUND (Con't)
|
|||||||||
Common Stock (Con't)
|
|||||||||
Total Common Stock
|
$ | 106,243,955 | |||||||
Preferred Stock
|
|||||||||
ASPEN INSURANCE
|
Preferred Stock
|
44,800 | $ | 2,461,200 | |||||
CALLAWAY GOLF CO SER 'B' CNV PFD SHS
|
Preferred Stock
|
2,300 | 299,863 | ||||||
DUPONT FABROS TECHNOLOGY
|
Preferred Stock
|
7,336 | 183,107 | ||||||
ENTERTAINMENT PROPERTY TRUST CUM CNV PRE
|
Preferred Stock
|
8,000 | 222,880 | ||||||
LEXINGTON REALITY TRUST
|
Preferred Stock
|
4,300 | 184,093 | ||||||
LODGENET INTERACTIVE CORP
|
Preferred Stock
|
185 | 259,925 | ||||||
NATIONAL RETAIL PROPERTIES INC
|
Preferred Stock
|
14,800 | 368,816 | ||||||
PS BUSINESS PARKS INC CALIF DEP SHS REP
|
Preferred Stock
|
5,800 | 146,276 | ||||||
UNIVERSAL CORP
|
Preferred Stock
|
278 | 278,000 | ||||||
Total Preferred Stock
|
$ | 4,404,160 | |||||||
REIT
|
|||||||||
AMERICAN CAMPUS COMMUNITIES INC COM STK
|
REIT
|
9,600 | $ | 304,896 | |||||
ASHFORD HOSPITALITY TRUST INC COM STK
|
REIT
|
28,100 | 271,165 | ||||||
ASSOCIATED ESTATES REALTY CORP COM
|
REIT
|
27,500 | 420,475 | ||||||
CAPSTEAD MTGE CORP COM STK
|
REIT
|
14,900 | 187,591 | ||||||
CBL & ASSOCIATES PROPERTIES INC COM STK
|
REIT
|
20,700 | 362,250 | ||||||
CHIMERA INVESTMENT CORPORATION COM STK
|
REIT
|
125,200 | 514,572 | ||||||
COMMONWEALTH REIT SHS OF BNF INT
|
REIT
|
6,600 | 168,366 | ||||||
DCT INDUSTRIAL TRUST INC COM STK
|
REIT
|
49,500 | 262,845 | ||||||
DUKE REALTY CORP COM STK
|
REIT
|
26,400 | 328,944 | ||||||
FIRST INDUSTRIAL REALTY TRUST COM STK
|
REIT
|
29,300 | 256,668 | ||||||
FIRST POTOMAC REALTY TRUST SBI
|
REIT
|
18,900 | 317,898 | ||||||
GOVERNMENT PROPERTIES INCOME
|
REIT
|
17,800 | 476,862 | ||||||
HATTERAS FINANCIAL CORP
|
REIT
|
6,000 | 181,620 | ||||||
HEALTHCARE REALTY TRUST INC COM STK
|
REIT
|
8,000 | 169,360 | ||||||
HERSHA HOSPITALITY TRUST CLASS 'A' SHS BEN
|
REIT
|
11,049 | 72,923 | ||||||
HIGHWOODS PROPERTIES INC COM STK
|
REIT
|
11,300 | 359,905 | ||||||
INLAND REAL ESTATE CORP COM STK
|
REIT
|
17,400 | 153,120 | ||||||
KILROY REALTY CORP COM STK
|
REIT
|
10,600 | 386,582 | ||||||
LEXINGTON REALTY TRUST COM STK
|
REIT
|
38,800 | 308,460 | ||||||
MEDICAL PROPERTIES TRUST INC COM STK
|
REIT
|
14,200 | 153,786 | ||||||
MFA FINANCIAL INC COM STK
|
REIT
|
47,800 | 390,048 | ||||||
NATIONAL HEALTH INVESTORS COM STK
|
REIT
|
4,300 | 193,586 | ||||||
NATIONAL RETAIL PROPERTIES INC COM
|
REIT
|
15,900 | 421,350 | ||||||
OMEGA HEALTHCARE INVESTORS COM STK
|
REIT
|
10,900 | 244,596 | ||||||
PS BUSINESS PARKS INC CALIF COM SER'A '
|
REIT
|
4,800 | 267,456 | ||||||
SABRA HEALTH CARE REIT INC
|
REIT
|
10,600 | 195,046 | ||||||
SAUL CENTERS INC COM STK
|
REIT
|
3,700 | 175,195 | ||||||
URSTADT BIDDLE PROPERTIES CLASS'A' COM
|
REIT
|
11,100 | 215,895 | ||||||
WASHINGTON REAL ESTATE INVEST TRUST SHS
|
REIT
|
6,200 | 192,138 | ||||||
WINTHROP REALTY TRUST SHS BNF INT
|
REIT
|
14,500 | 185,455 | ||||||
Total REIT
|
$ | 8,139,053 | |||||||
(Continued)
|
AUTOMATIC DATA PROCESSING, INC.
|
Plan Number 002
|
||||||||
RETIREMENT AND SAVINGS PLAN
|
Plan Sponsor EIN 22-1467904
|
||||||||
FORM 5500, SCHEDULE H, PART IV, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
|
|||||||||
AS OF DECEMBER 31, 2010
|
|||||||||
Number
|
Current
|
||||||||
Description
|
of Shares
|
Value
|
|||||||
AMERICAN CENTURY SMALL CAP VALUE FUND (Con't)
|
|||||||||
Cash Equivalents
|
|||||||||
Short-Term Investment Fund
|
|||||||||
* J.P. Morgan U.S. Government Short-Term Investment Fund
|
Money Market
|
3,043,733 | $ | 3,043,733 | |||||
Total Cash Equivalents
|
$ | 3,043,733 | |||||||
Investment Companies
|
|||||||||
Mutual Funds
|
|||||||||
ISHARES TRUST RUSSELL 2000 INDEX FUND
|
Mutual Funds
|
14,300 | $ | 1,118,689 | |||||
ISHARES TRUST RUSSELL 2000 VALUE INDEX FUND
|
Mutual Funds
|
46,000 | 3,270,140 | ||||||
ISHARES TRUST S&P SMALLCAP 600 INDEX FUND
|
Mutual Funds
|
3,600 | 246,492 | ||||||
Total Investment Companies
|
$ | 4,635,321 | |||||||
TOTAL AMERICAN CENTURY SMALL CAP VALUE FUND
|
$ | 126,466,222 | |||||||
UBS S&P 500 INDEX FUND
|
Commingled Trust
|
11,015,553 | $ | 194,005,925 | |||||
ARTIO INTERNATIONAL EQUITY - INSTITUTIONAL FUND
|
Mutual Fund
|
8,583,348 | $ | 258,702,101 | |||||
Money Market Fund
|
|||||||||
WESTERN ASSET INSTITUTIONAL GOVERNMENT RESERVES FUND
|
Money Market
|
212,068,291 | $ | 212,068,291 | |||||
(Continued)
|
AUTOMATIC DATA PROCESSING, INC.
|
Plan Number 002
|
||||||||||||
RETIREMENT AND SAVINGS PLAN
|
Plan Sponsor EIN 22-1467904
|
||||||||||||
FORM 5500, SCHEDULE H, PART IV, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
|
|||||||||||||
AS OF DECEMBER 31, 2010
|
|||||||||||||
Rate of
|
Maturity
|
Par
|
Current
|
||||||||||
Description
|
Interest
|
Date
|
Value
|
Value
|
|||||||||
SEIX INTERMEDIATE BOND FUND
|
|||||||||||||
Government Bonds
|
|||||||||||||
UNITED STATES OF AMER TREAS NOTES
|
0.09 | % |
1/31/2011
|
$ | 20,081,451 | $ | 20,081,196 | ||||||
UNITED STATES OF AMER TREAS NOTES
|
3.75 | % |
11/15/2018
|
20,790,799 | 21,495,747 | ||||||||
UNITED STATES TREAS NOTES
|
0.88 | % |
5/31/2011
|
21,840,291 | 21,840,111 | ||||||||
UNITED STATES TREAS NOTES
|
2.13 | % |
11/30/2014
|
41,910,723 | 42,416,296 | ||||||||
UNITED STATES TREAS NOTES
|
2.38 | % |
9/30/2014
|
20,376,157 | 20,338,596 | ||||||||
UNITED STATES TREAS NOTES
|
2.63 | % |
11/15/2020
|
11,634,411 | 11,572,171 | ||||||||
UNITED STATES TREAS NOTES
|
2.75 | % |
2/15/2019
|
9,214,166 | 9,372,600 | ||||||||
Total Government Bonds
|
$ | 147,116,717 | |||||||||||
Mortgage-Backed Security Bonds
|
|||||||||||||
GNMA I MORTPASS
|
6.00 | % |
11/15/2038
|
1,305,094 | $ | 1,409,456 | |||||||
FEDERAL HOME LN MTG CORP PTN CTFS
|
5.50 | % |
2/1/2036
|
658,763 | 655,925 | ||||||||
FHLMCGLD MORTPASS
|
5.50 | % |
4/1/2038
|
3,439,469 | 3,447,811 | ||||||||
FHLMCGLD MORTPASS
|
6.50 | % |
9/1/2040
|
2,759,103 | 2,799,235 | ||||||||
FHLMCGLD MORTPASS
|
6.00 | % |
3/1/2037
|
1,367,835 | 1,370,891 | ||||||||
FEDERAL NATIONAL MORTGAGE ASSOC
|
5.50 | % |
8/1/2037
|
346,168 | 345,587 | ||||||||
FEDERAL NATIONAL MORTGAGE ASSOC
|
5.00 | % |
2/1/2036
|
5,932,016 | 5,889,114 | ||||||||
FNMA MORTPASS
|
3.59 | % |
11/1/2020
|
1,154,402 | 1,157,890 | ||||||||
FNMA MORTPASS
|
3.76 | % |
10/1/2020
|
1,433,994 | 1,414,305 | ||||||||
FNMA MORTPASS
|
4.01 | % |
12/1/2020
|
592,926 | 594,723 | ||||||||
FNMA MORTPASS
|
5.50 | % |
4/1/2029
|
1,343,160 | 1,397,835 | ||||||||
FNMA MORTPASS
|
5.50 | % |
1/1/2036
|
309,137 | 309,724 | ||||||||
FNMA MORTPASS
|
5.50 | % |
10/1/2038
|
3,617,772 | 3,636,403 | ||||||||
FNMA MORTPASS
|
6.50 | % |
7/1/2036
|
693,134 | 708,688 | ||||||||
FNMA MORTPASS
|
6.00 | % |
4/1/2039
|
2,030,062 | 2,032,672 | ||||||||
FNMA MORTPASS
|
6.00 | % |
7/1/2038
|
374,689 | 374,070 | ||||||||
Total Mortgage-Backed Security Bonds
|
$ | 27,544,329 | |||||||||||
Corporate Bonds
|
|||||||||||||
HSBC BANK PLC
|
3.50 | % |
6/28/2015
|
380,720 | $ | 390,565 | |||||||
ROCHE HLDGS INC
|
6.00 | % |
3/1/2019
|
2,068,507 | $ | 2,357,075 | |||||||
ABBOTT LABS
|
5.60 | % |
11/30/2017
|
1,506,059 | $ | 1,753,836 | |||||||
ALABAMA POWER CO.
|
5.80 | % |
11/15/2013
|
431,643 | $ | 483,889 | |||||||
ASTRAZENECA
|
5.90 | % |
9/15/2017
|
2,620,747 | $ | 3,072,256 | |||||||
AT&T INC
|
5.10 | % |
9/15/2014
|
2,446,170 | $ | 2,784,477 | |||||||
BANK OF NOVA SCOTIA
|
2.38 | % |
12/17/2013
|
378,728 | $ | 388,414 | |||||||
BANK OF NOVA SCOTIA
|
3.40 | % |
1/22/2015
|
440,744 | $ | 454,605 | |||||||
BECTON DICKINSON & CO
|
4.95 | % |
11/12/2020
|
161,918 | $ | 152,057 | |||||||
BERKSHIRE HATHAWAY FINANCE CORP
|
4.60 | % |
5/15/2013
|
555,260 | $ | 592,679 | |||||||
BERKSHIRE HATHAWAY INC
|
3.20 | % |
2/11/2015
|
706,519 | $ | 729,539 | |||||||
BOEING CO
|
5.13 | % |
2/15/2013
|
856,389 | $ | 926,511 | |||||||
CISCO SYSTEMS INC
|
4.45 | % |
1/15/2020
|
829,584 | $ | 864,354 | |||||||
CISCO SYSTEMS INC
|
5.50 | % |
2/22/2016
|
1,352,403 | $ | 1,549,633 | |||||||
(Continued)
|
AUTOMATIC DATA PROCESSING, INC.
|
Plan Number 002
|
||||||||||||
RETIREMENT AND SAVINGS PLAN
|
Plan Sponsor EIN 22-1467904
|
||||||||||||
FORM 5500, SCHEDULE H, PART IV, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
|
|||||||||||||
AS OF DECEMBER 31, 2010
|
|||||||||||||
Rate of
|
Maturity
|
Par
|
Current
|
||||||||||
Description
|
Interest
|
Date
|
Value
|
Value
|
|||||||||
SEIX INTERMEDIATE BOND FUND (Con't)
|
|||||||||||||
Corporate Bonds (Con't)
|
|||||||||||||
CME GROUP INC
|
5.400 | % |
8/1/2013
|
$ | 589,518 | $ | 654,063 | ||||||
CME GROUP INC
|
5.750 | % |
2/15/2014
|
584,967 | 639,989 | ||||||||
CREDIT SUISSE NEW YORK
|
5.300 | % |
8/13/2019
|
760,879 | 765,796 | ||||||||
DIAGEO
|
5.200 | % |
1/30/2013
|
395,308 | 432,442 | ||||||||
DUKE ENERGY CAROLINAS LLC
|
7.000 | % |
11/15/2018
|
207,977 | 243,383 | ||||||||
DUPONT INSTRUMENTS CORP
|
5.000 | % |
7/15/2013
|
758,047 | 825,797 | ||||||||
GENERAL DYNAMICS CORP
|
5.250 | % |
2/1/2014
|
394,809 | 427,232 | ||||||||
GENERAL ELECTRIC CO
|
5.000 | % |
2/1/2013
|
7,520,400 | 8,100,677 | ||||||||
GENERAL ELECTRIC CO
|
5.250 | % |
12/6/2017
|
537,649 | 619,974 | ||||||||
GEORGIA POWER CO
|
6.000 | % |
11/1/2013
|
211,922 | 237,041 | ||||||||
GLAXOSMITHLKLINE CAPITAL INC
|
5.650 | % |
5/15/2018
|
733,100 | 895,305 | ||||||||
HEWLETT-PACKARD CO
|
4.500 | % |
3/1/2013
|
333,739 | 364,993 | ||||||||
ILLINOIS TOOL WORKS INC
|
6.250 | % |
4/1/2019
|
717,398 | 816,580 | ||||||||
INTERNATIONAL BUS MACH CORP
|
7.625 | % |
10/15/2018
|
1,920,958 | 2,321,877 | ||||||||
* JPMORGAN CHASE & CO
|
4.400 | % |
7/22/2020
|
491,843 | 484,249 | ||||||||
* JPMORGAN CHASE & CO
|
6.300 | % |
4/23/2019
|
823,979 | 846,862 | ||||||||
KIMBERLY-CLARK CORP
|
3.625 | % |
8/1/2020
|
310,540 | 294,633 | ||||||||
MASSMUTUAL GLOBAL FUNDING
|
2.300 | % |
9/28/2015
|
315,818 | 308,118 | ||||||||
MORGAN STANLEY
|
7.300 | % |
5/13/2019
|
916,360 | 915,144 | ||||||||
NOVARTIS SECURITIES INVESTMENT LTD
|
5.125 | % |
2/10/2019
|
406,911 | 443,520 | ||||||||
ORACLE CORP
|
5.750 | % |
4/15/2018
|
937,903 | 1,135,937 | ||||||||
PACCAR INC NT
|
6.375 | % |
2/15/2012
|
520,160 | 547,919 | ||||||||
PEPSICO INC
|
3.125 | % |
1/1/2020
|
512,911 | 491,533 | ||||||||
PFIZER INC
|
6.200 | % |
3/15/2019
|
624,831 | 709,845 | ||||||||
PRAXAIR INC
|
1.750 | % |
11/15/2012
|
913,355 | 926,959 | ||||||||
PRAXAIR INC
|
4.625 | % |
3/30/2015
|
931,325 | 1,041,597 | ||||||||
SOUTHERN CALIF EDISON CO IST MTGBDS
|
5.750 | % |
3/15/2014
|
713,537 | 790,183 | ||||||||
TEVA PHARMACEUTICAL FINANCE II
|
3.000 | % |
6/15/2015
|
305,231 | 309,313 | ||||||||
TOTAL CAPITAL SA
|
3.000 | % |
6/24/2015
|
266,591 | 271,579 | ||||||||
TOYOTA MOTOR CREDIT CORP
|
3.200 | % |
6/17/2015
|
269,646 | 276,827 | ||||||||
TRANSCANADA PIPELINES
|
3.800 | % |
10/1/2020
|
521,946 | 488,889 | ||||||||
UNITED PARCEL SERVICE INC
|
3.125 | % |
1/15/2021
|
269,210 | 251,758 | ||||||||
UNITED TECHNOLOGIES CORP
|
6.125 | % |
2/1/2019
|
1,100,427 | 1,247,749 | ||||||||
VERIZON WIRELESS CAPITAL/CELLCO PTN
|
5.550 | % |
2/1/2014
|
606,635 | 659,418 | ||||||||
WAL-MART STORES INC
|
4.550 | % |
5/1/2013
|
2,091,476 | 2,242,379 | ||||||||
WAL-MART STORES INC
|
5.800 | % |
2/15/2018
|
2,542,163 | 2,928,890 | ||||||||
WALGREEN CO.
|
4.875 | % |
8/1/2013
|
564,403 | 613,840 | ||||||||
Total Corporate Bonds
|
$ | 52,072,180 | |||||||||||
(Continued)
|
AUTOMATIC DATA PROCESSING, INC.
|
Plan Number 002
|
||||||||||||
RETIREMENT AND SAVINGS PLAN
|
Plan Sponsor EIN 22-1467904
|
||||||||||||
FORM 5500, SCHEDULE H, PART IV, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
|
|||||||||||||
AS OF DECEMBER 31, 2010
|
|||||||||||||
Rate of
|
Maturity
|
Par
|
Current
|
||||||||||
Description
|
Interest
|
Date
|
Value
|
Value
|
|||||||||
SEIX INTERMEDIATE BOND FUND (Con't)
|
|||||||||||||
CMO/REMIC
|
|||||||||||||
BANC OF AMERICA COMMERCIAL MORTGAGE INC
|
FLOATING
|
9/10/2047
|
$ | 990,730 | $ | 1,027,666 | |||||||
FANNIE MAE
|
5.500 | % |
10/25/2032
|
332,766 | 333,675 | ||||||||
FHLMC REMIC SERIES
|
5.500 | % |
2/15/2033
|
554,702 | 565,879 | ||||||||
FREDDIE MAC
|
5.500 | % |
11/15/2033
|
1,032,985 | 1,072,132 | ||||||||
FANNIE MAE
|
3.655 | % |
11/25/2020
|
641,233 | 626,192 | ||||||||
FHLMC REMIC SERIES
|
5.000 | % |
7/15/2037
|
305,377 | 306,803 | ||||||||
GMNA REMIC TRUST
|
5.500 | % |
1/20/2033
|
851,171 | 857,696 | ||||||||
3351 PC
|
6.000 | % |
7/15/2037
|
443,276 | 446,998 | ||||||||
Total CMO/REMIC
|
$ | 5,237,041 | |||||||||||
Commercial Mortgage-Backed Bonds
|
|||||||||||||
BANC AMERIC COML MTG INC
|
5.379 | % |
9/10/2047
|
953,731 | $ | 946,540 | |||||||
CITIGROUP COMMERCIAL MORTGAGE TRUST 2004
|
4.380 | % |
10/15/2041
|
1,516,676 | 1,498,550 | ||||||||
CS FIRST BOSTON MORTGAGE SECURITIES 2005
|
5.100 | % |
8/15/2038
|
235,401 | 247,049 | ||||||||
LBS-UBS COMMERCIAL MORTGAGE TRUST VARIAB
|
FLOATING
|
11/15/2030
|
198,485 | 228,860 | |||||||||
NCUA GTD NTS TST 2010-C1
|
2.650 | % |
10/29/2020
|
1,100,480 | 1,065,814 | ||||||||
WACHOVIA BANK COMMERCIAL MORTGAGE TRUST
|
FLOATING
|
10/15/2044
|
924,861 | 944,607 | |||||||||
WACHOVIA BANK COMMERCIAL MORTGAGE TRUST
|
FLOATING
|
7/15/2042
|
566,183 | 591,317 | |||||||||
Total Commercial Mortgage-Backed Bonds
|
$ | 5,522,737 | |||||||||||
Short-Term Investment Fund
|
|||||||||||||
* J.P. Morgan U.S. Government Short-Term Investment Fund
|
Variable
|
12/31/2049
|
886,730 | $ | 886,730 | ||||||||
Total Short-Term Investment Fund
|
$ | 886,730 | |||||||||||
TOTAL SEIX INTERMEDIATE BOND FUND
|
$ | 238,379,734 | |||||||||||
(Continued)
|
AUTOMATIC DATA PROCESSING, INC.
|
Plan Number 002
|
||||||||
RETIREMENT AND SAVINGS PLAN
|
Plan Sponsor EIN 22-1467904
|
||||||||
FORM 5500, SCHEDULE H, PART IV, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
|
|||||||||
AS OF DECEMBER 31, 2010
|
|||||||||
Number
|
Current
|
||||||||
Description
|
of Shares
|
Value
|
|||||||
MONTAG & CALDWELL LARGE CAP GROWTH FUND
|
|||||||||
Common Stock
|
|||||||||
ABBOTT LABS COM
|
Common Stock
|
88,500 | $ | 4,240,035 | |||||
ACCENTURE PLC CLS 'A'
|
Common Stock
|
90,100 | 4,368,949 | ||||||
ALLERGAN INC COM STK
|
Common Stock
|
78,000 | 5,356,260 | ||||||
APACE CORP
|
Common Stock
|
22,800 | 2,718,444 | ||||||
APPLE INC COM STK
|
Common Stock
|
17,245 | 5,562,547 | ||||||
BROADCOM CORP CLASS 'A' COM STK
|
Common Stock
|
80,100 | 3,488,355 | ||||||
CAMERON INTERNATIONAL COR COM STK
|
Common Stock
|
77,300 | 3,921,429 | ||||||
CARNIVAL CORP COM STK
|
Common Stock
|
65,600 | 3,024,816 | ||||||
COCA-COLA CO COM STK
|
Common Stock
|
100,100 | 6,583,577 | ||||||
COLGATE-PALMOLIVE CO COM STK
|
Common Stock
|
17,700 | 1,422,549 | ||||||
COSTCO WHOLESALE CORP COM STK
|
Common Stock
|
74,000 | 5,343,540 | ||||||
EMERSON ELECTRIC CO COM STK
|
Common Stock
|
62,900 | 3,595,993 | ||||||
FLUOR CORP (NEW) COM STK
|
Common Stock
|
83,000 | 5,499,580 | ||||||
GOOGLE INC COM STK
|
Common Stock
|
10,725 | 6,370,328 | ||||||
HALLIBURTON CO COM STK
|
Common Stock
|
49,700 | 2,029,251 | ||||||
* JPMORGAN CHASE & CO COM STK
|
Common Stock
|
92,700 | 3,932,334 | ||||||
JUNIPER NETWORKS COM STK
|
Common Stock
|
41,700 | 1,539,564 | ||||||
KRAFT FOODS INC COM STK
|
Common Stock
|
101,500 | 3,198,265 | ||||||
MCDONALD'S CORP COM STK
|
Common Stock
|
71,600 | 5,496,016 | ||||||
MERCK & CO INC (NEW) COM STK
|
Common Stock
|
160,728 | 5,792,637 | ||||||
NIKE INC CLASS 'B' COM STK NPV
|
Common Stock
|
50,300 | 4,296,626 | ||||||
OCCIDENTAL PETROLEUM CORP COM
|
Common Stock
|
59,700 | 5,856,570 | ||||||
ORACLE CORP COM STK
|
Common Stock
|
110,600 | 3,461,780 | ||||||
PEPSICO INC CAP STK
|
Common Stock
|
84,100 | 5,494,253 | ||||||
PROCTER & GAMBLE CO COM STK
|
Common Stock
|
92,805 | 5,970,146 | ||||||
QUALCOMM INC COM STK
|
Common Stock
|
120,600 | 5,968,494 | ||||||
SCHLUMBERGER COM STK
|
Common Stock
|
71,400 | 5,961,900 | ||||||
STRYKER CORP COM STK
|
Common Stock
|
107,200 | 5,756,640 | ||||||
TJX COS INC COM STK
|
Common Stock
|
83,400 | 3,702,126 | ||||||
UNITED PARCEL SERVICE INC CLASS 'B' COM ST
|
Common Stock
|
52,800 | 3,832,224 | ||||||
WAL-MART STORES INC COM STK
|
Common Stock
|
24,400 | 1,315,892 | ||||||
WALT DISNEY (HLDG) CO DISNEY COM STK
|
Common Stock
|
100,000 | 3,751,000 | ||||||
Total Common Stock
|
$ | 138,852,120 | |||||||
Short-Term Investment Fund
|
|||||||||
* J.P. Morgan U.S. Government Short-Term Investment Fund
|
Money Market
|
2,768,048 | $ | 2,768,048 | |||||
Total Short-Term Investment Fund
|
$ | 2,768,048 | |||||||
TOTAL MONTAG & CALDWELL LARGE CAP GROWTH FUND
|
$ | 141,620,168 | |||||||
(Continued)
|
AUTOMATIC DATA PROCESSING, INC.
|
Plan Number 002
|
|||
RETIREMENT AND SAVINGS PLAN
|
Plan Sponsor EIN 22-1467904
|
|||
FORM 5500, SCHEDULE H, PART IV, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
|
||||
AS OF DECEMBER 31, 2010
|
||||
Number
|
Current
|
|||
Description
|
of Shares
|
Value
|
||
COLUMBIA DIVIDEND VALUE FUND
|
||||
Common Stock
|
||||
ABBOTT LABS COM
|
Common Stock
|
60,000
|
$ 2,874,600
|
|
ACCENTURE PLC CLS 'A'
|
Common Stock
|
38,400
|
1,862,016
|
|
ALTRIA GROUP INC COM STK
|
Common Stock
|
78,500
|
1,932,670
|
|
AMERICAN ELECTRIC POWER CO INC COM STK
|
Common Stock
|
24,500
|
881,510
|
|
AMERICAN EXPRESS CO COM
|
Common Stock
|
45,000
|
1,931,400
|
|
ARCHER-DANIELS-MIDLAND CO UNIT
|
Common Stock
|
18,000
|
698,940
|
|
AT&T INC COM STK
|
Common Stock
|
192,000
|
5,640,960
|
|
* AUTOMATIC DATA PROCESSING INC COM STK
|
Common Stock
|
36,000
|
1,666,080
|
|
BLACKROCK INC CLASS 'A' COM STK
|
Common Stock
|
10,700
|
2,039,206
|
|
BRISTOL-MYERS SQUIBB CO COM STK
|
Common Stock
|
130,000
|
3,442,400
|
|
CHEVRON CORP COM STK
|
Common Stock
|
40,800
|
3,723,000
|
|
CHUBB CORP COM STK
|
Common Stock
|
16,000
|
954,240
|
|
COCA-COLA CO COM STK
|
Common Stock
|
12,800
|
841,856
|
|
CONOCOPHILLIPS COM STK
|
Common Stock
|
24,000
|
1,634,400
|
|
DEERE & CO COM STK
|
Common Stock
|
22,500
|
1,868,625
|
|
DOVER CORP COM STK
|
Common Stock
|
27,000
|
1,578,150
|
|
DU PONT (E.I.)DE NEMOURS & CO COM STK
|
Common Stock
|
25,500
|
1,271,940
|
|
EATON VANCE CORP COM NON BTG
|
Common Stock
|
40,000
|
1,209,200
|
|
EMERSON ELECTRIC CO COM STK
|
Common Stock
|
26,000
|
1,486,420
|
|
ENCANA CORP COM NPV
|
Common Stock
|
48,000
|
1,397,760
|
|
ENTERGY CORP COM STK
|
Common Stock
|
6,000
|
424,980
|
|
EXELON CORP COM STK NPV
|
Common Stock
|
11,000
|
458,040
|
|
EXXON MOBIL CORP COM STK NPV
|
Common Stock
|
66,500
|
4,862,480
|
|
FEDERATED INVESTORS INC COM STK CLASS 'B'
|
Common Stock
|
20,000
|
523,400
|
|
FIRSTENERGY CORP COM STK
|
Common Stock
|
26,100
|
966,222
|
|
FRONTIER COMMUNICATIONS CORP CLASS 'B' COM
|
Common Stock
|
39,134
|
380,774
|
|
GALLAGHER (ARTHUR J.) & CO COM
|
Common Stock
|
30,825
|
896,391
|
|
GENERAL ELECTRIC CO. COM STK
|
Common Stock
|
120,000
|
2,194,800
|
|
GENERAL MILLS INC COM STK
|
Common Stock
|
32,200
|
1,145,998
|
|
HEINZ (H.J.) CO COM STK
|
Common Stock
|
41,000
|
2,027,860
|
|
HOME DEPOT INC COM STK
|
Common Stock
|
68,000
|
2,384,080
|
|
HONEYWELL INTERNATIONAL INC COM STK
|
Common Stock
|
46,800
|
2,487,888
|
|
ILLINOIS TOOL WORKS INC COM STK
|
Common Stock
|
18,000
|
961,200
|
|
INTEL CORP COM STK
|
Common Stock
|
165,000
|
3,469,950
|
|
(Continued)
|
AUTOMATIC DATA PROCESSING, INC.
|
Plan Number 002
|
|||
RETIREMENT AND SAVINGS PLAN
|
Plan Sponsor EIN 22-1467904
|
|||
FORM 5500, SCHEDULE H, PART IV, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
|
||||
AS OF DECEMBER 31, 2010
|
||||
Number
|
Current
|
|||
Description
|
of Shares
|
Value
|
||
COLUMBIA DIVIDEND VALUE FUND (Con't)
|
||||
Common Stock (Con't)
|
||||
INTERNATIONAL BUS MACH CORP COM STK
|
Common Stock
|
33,100
|
$ 4,857,756
|
|
INTERNATIONAL FLAVORS & FRAGRANCES COM
|
Common Stock
|
20,000
|
1,111,800
|
|
JOHNSON & JOHNSON COM STK
|
Common Stock
|
45,000
|
2,783,250
|
|
* JPMORGAN CHASE & CO COM STK
|
Common Stock
|
91,000
|
3,860,220
|
|
KIMBERLY-CLARK CORP COM STK
|
Common Stock
|
30,000
|
1,891,200
|
|
KRAFT FOODS INC COM STK NPV CLS 'A'
|
Common Stock
|
22,000
|
693,220
|
|
LINEAR TECHNOLOGY CORP COM STK NPV
|
Common Stock
|
14,000
|
484,260
|
|
MATTEL INC COM STK
|
Common Stock
|
40,000
|
1,017,200
|
|
MCDONALD'S CORP COM STK
|
Common Stock
|
44,000
|
3,377,440
|
|
MCGRAW-HILL COS INC (THE) COM STK
|
Common Stock
|
24,400
|
888,404
|
|
MERCK & CO INC (NEW) COM STK
|
Common Stock
|
127,589
|
4,598,308
|
|
MEREDITH CORP COM STK
|
Common Stock
|
37,500
|
1,299,375
|
|
METLIFE INC COM STK
|
Common Stock
|
48,000
|
2,133,120
|
|
MICROSOFT CORP COM STK
|
Common Stock
|
135,500
|
3,783,160
|
|
MORGAN STANLEY COM STK
|
Common Stock
|
40,000
|
1,088,400
|
|
MURPHY OIL CORP COM
|
Common Stock
|
14,000
|
1,043,700
|
|
NATIONAL FUEL GAS CO COM STK
|
Common Stock
|
21,800
|
1,430,516
|
|
NEXTERA ENERGY INC
|
Common Stock
|
13,403
|
696,822
|
|
NORDSTROM INC COM STK NPV
|
Common Stock
|
23,400
|
991,692
|
|
NORFOLK SOUTHERN CORP COM STK
|
Common Stock
|
18,000
|
1,130,760
|
|
NORTHERN TRUST CORP COM STK
|
Common Stock
|
30,400
|
1,684,464
|
|
NUCOR CORP COM STK
|
Common Stock
|
31,000
|
1,358,420
|
|
OCCIDENTAL PETROLEUM CORP COM
|
Common Stock
|
19,600
|
1,922,760
|
|
PARKER-HANNIFIN CORP COM STK
|
Common Stock
|
18,000
|
1,553,400
|
|
PEOPLES UNITED FINANCIAL INC COM
|
Common Stock
|
105,000
|
1,471,050
|
|
PEPSICO INC CAP STK
|
Common Stock
|
12,200
|
797,026
|
|
PFIZER INC COM STK
|
Common Stock
|
200,000
|
3,502,000
|
|
PG&E CORP COM STK NPV
|
Common Stock
|
20,000
|
956,800
|
|
PHILIP MORRIS INTERNATIONAL INC NPV
|
Common Stock
|
74,000
|
4,331,220
|
|
PNC FINANCIAL SERVICES GROUP COM STK
|
Common Stock
|
22,000
|
1,335,840
|
|
PPL CORP COM STK
|
Common Stock
|
40,000
|
1,052,800
|
|
PRICE T ROWE GROUP INC COM STK
|
Common Stock
|
20,000
|
1,290,800
|
|
PROCTER & GAMBLE CO COM STK NPV
|
Common Stock
|
42,500
|
2,734,025
|
|
PROGRESSIVE CORP (OHIO) COM STK
|
Common Stock
|
20,000
|
397,400
|
|
PUBLIC SERVICE ENTERPRISE GROUP INC COM
|
Common Stock
|
36,000
|
1,145,160
|
|
RAYTHEON CO COM STK
|
Common Stock
|
32,000
|
1,482,880
|
|
RENAISSANCERE HLDGS COM STK
|
Common Stock
|
12,200
|
777,018
|
|
(Continued)
|
AUTOMATIC DATA PROCESSING, INC.
|
Plan Number 002
|
||||||||
RETIREMENT AND SAVINGS PLAN
|
Plan Sponsor EIN 22-1467904
|
||||||||
FORM 5500, SCHEDULE H, PART IV, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
|
|||||||||
AS OF DECEMBER 31, 2010
|
|||||||||
Number
|
Current
|
||||||||
Description
|
of Shares
|
Value
|
|||||||
COLUMBIA DIVIDEND VALUE FUND (Con't)
|
|||||||||
Common Stock (Con't)
|
|||||||||
RPM INTERNATIONAL INC COM STK
|
Common Stock
|
42,000 | $ | 928,200 | |||||
SCHLUMBERGER COM STK
|
Common Stock
|
22,000 | 1,837,000 | ||||||
SEMPRA ENERGY CORP COM STK
|
Common Stock
|
18,400 | 965,632 | ||||||
SHERWIN-WILLIAMS CO COM STK
|
Common Stock
|
37,450 | 3,136,437 | ||||||
SMUCKER (J.M) CO COM STK NPV
|
Common Stock
|
14,000 | 919,100 | ||||||
SONOCO PRODUCTS CO COM STK NPV
|
Common Stock
|
34,500 | 1,161,615 | ||||||
STAPLES INC COM STK
|
Common Stock
|
33,000 | 751,410 | ||||||
TARGET CORP COM STK
|
Common Stock
|
36,800 | 2,212,784 | ||||||
TEXAS INSTRUMENTS INC COM STK
|
Common Stock
|
40,000 | 1,300,000 | ||||||
TIME WARNER INC
|
Common Stock
|
64,200 | 2,065,314 | ||||||
TJX COS INC COM STK
|
Common Stock
|
18,800 | 834,532 | ||||||
TRANSOCEAN LTD
|
Common Stock
|
24,200 | 1,682,142 | ||||||
UNITED TECHNOLOGIES CORP COM STK
|
Common Stock
|
28,000 | 2,204,160 | ||||||
UNUM GROUP COM
|
Common Stock
|
60,000 | 1,453,200 | ||||||
US BANCORP DELAWARE COM STK
|
Common Stock
|
58,000 | 1,564,260 | ||||||
VERIZON COMMUNICATIONS INC COM STK
|
Common Stock
|
148,000 | 5,295,440 | ||||||
WAL-MART STORES INC COM STK
|
Common Stock
|
28,250 | 1,523,523 | ||||||
WASTE MANAGEMENT INC COM STK
|
Common Stock
|
44,000 | 1,622,280 | ||||||
WELLS FARGO & CO COM STK
|
Common Stock
|
60,000 | 1,859,400 | ||||||
WINDSTREAM CORP COM STK
|
Common Stock
|
24,465 | 341,042 | ||||||
APACHE CORP
|
Common Stock
|
4,200 | 278,775 | ||||||
CITIGROUP INC
|
Common Stock
|
2,000 | 273,380 | ||||||
BHP BILLITON LIMITED ADR EACH REP 2 ORD
|
Common Stock
|
14,800 | 1,375,216 | ||||||
CANON INC ADR (CNV INTO 1 ORD SHS NPV)
|
Common Stock
|
21,000 | 1,078,140 | ||||||
DIAGEO ADR EACH REPR 4 ORD
|
Common Stock
|
22,000 | 1,635,260 | ||||||
ROYAL DUTCH SHELL ADR EACH REPR 2 'A' SHS
|
Common Stock
|
60,000 | 4,006,799 | ||||||
Total Common Stock
|
$ | 171,378,143 | |||||||
Cash Equivalents
|
|||||||||
Short-Term Investment Fund
|
|||||||||
* J.P. Morgan U.S. Government Short-Term Investment Fund
|
Money Market
|
7,468,968 | $ | 7,468,968 | |||||
Total Cash Equivalents
|
$ | 7,468,968 | |||||||
Investment Companies
|
|||||||||
Mutual Funds
|
|||||||||
SPIDER S&P 500 ETF TRUST
|
Mutual Funds
|
34,500 | 4,339,410 | ||||||
Total Investment Companies
|
$ | 4,339,410 | |||||||
TOTAL COLUMBIA DIVIDEND VALUE FUND
|
$ | 183,186,521 | |||||||
(Continued)
|
AUTOMATIC DATA PROCESSING, INC.
|
Plan Number 002
|
||||||||
RETIREMENT AND SAVINGS PLAN
|
Plan Sponsor EIN 22-1467904
|
||||||||
FORM 5500, SCHEDULE H, PART IV, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
|
|||||||||
AS OF DECEMBER 31, 2010
|
|||||||||
Number
|
Current
|
||||||||
Description
|
of Shares
|
Value
|
|||||||
Retirement Income
|
|||||||||
JPMORGAN SMARTRETIREMENT INCOME FUND
|
Commingled Trust
|
2,030,176 | $ | 26,453,188 | |||||
Retirement 2010
|
|||||||||
JPMORGAN SMARTRETIREMENT 2010 FUND
|
Commingled Trust
|
2,188,175 | $ | 29,146,496 | |||||
Retirement 2015
|
|||||||||
JPMORGAN SMARTRETIREMENT 2015 FUND
|
Commingled Trust
|
4,473,333 | $ | 60,524,198 | |||||
Retirement 2020
|
|||||||||
JPMORGAN SMARTRETIREMENT 2020 FUND
|
Commingled Trust
|
9,597,484 | $ | 132,637,228 | |||||
Retirement 2030
|
|||||||||
JPMORGAN SMARTRETIREMENT 2030 FUND
|
Commingled Trust
|
8,250,710 | $ | 112,292,164 | |||||
Retirement 2040
|
|||||||||
JPMORGAN SMARTRETIREMENT 2040 FUND
|
Commingled Trust
|
5,689,865 | $ | 77,325,268 | |||||
Growth Index Fund
|
|||||||||
BLACKROCK RUSSELL 2000 GROWTH FUND
|
Commingled Trust
|
17,542,328 | $ | 175,423,277 | |||||
Mutual Fund
|
|||||||||
FIDELITY MANAGED INCOME PORTFOLIO
|
Mutual Fund
|
635,897 | $ | 635,897 | |||||
Total Investment Funds
|
$ | 2,221,927,563 | |||||||
*Notes receivable from participants - original loan amounts
|
|||||||||
ranging from $1,000 to $50,000 with interest rates
|
|||||||||
ranging from 4.25% to 10.5% collateralized by
|
|||||||||
the participant's vested interest in the account balance.
|
|||||||||
The loan maturity dates range from 2011 to 2020
|
66,837,683 | ||||||||
TOTAL INVESTMENTS
|
$ | 2,288,765,246 | |||||||
(Concluded)
|
|||||||||
*Permitted party-in-interest
|
|||||||||
Cost information is not required for participant directed investments and is therefore not included.
|
|||||||||
See Report of Independent Registered Public Accounting Firm.
|