þ | ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
o | TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
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Financial Statements |
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Supplemental Information |
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Exhibit 23 |
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Consent of Independent Registered Public Accounting Firm |
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3
December 31, | ||||||||
2006 | 2005 | |||||||
Assets |
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Investments at fair value |
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Flagstar Bancorp, Inc. common stock |
$ | 12,889,505 | $ | 12,381,408 | ||||
Mutual funds |
65,638,131 | 55,748,380 | ||||||
Money market funds |
7,857,193 | 6,973,753 | ||||||
Common/Collective trusts |
38,753 | 20,936 | ||||||
Participant loans |
2,829,076 | 2,723,215 | ||||||
Total investments |
89,252,658 | 77,847,692 | ||||||
Receivables: |
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Company contributions |
| 126,623 | ||||||
Participant contributions |
6,552 | 300,864 | ||||||
Other |
64,880 | 4,185 | ||||||
Total receivables |
71,432 | 431,672 | ||||||
Total assets |
89,324,090 | 78,279,364 | ||||||
Liabilities |
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Refundable contributions |
206,334 | 13,253 | ||||||
Total liabilities |
206,334 | 13,253 | ||||||
Net assets available for benefits |
$ | 89,117,756 | $ | 78,266,111 | ||||
4
For the Year Ended | ||||
December 31, 2006 | ||||
Additions |
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Additions to net assets attributed to: |
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Investment income: |
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Net appreciation in fair value of investments |
$ | 8,519,350 | ||
Interest and dividends |
1,054,342 | |||
Total investment income |
9,573,692 | |||
Contributions: |
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Participant |
8,593,508 | |||
Company |
3,119,509 | |||
Rollovers |
663,159 | |||
Total contributions |
12,376,176 | |||
Total additions |
21,949,868 | |||
Deductions |
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Deductions from net assets attributed to: |
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Participant benefits paid /deemed distributions |
11,027,812 | |||
Administrative fees |
70,411 | |||
Total deductions |
11,098,223 | |||
Net increase |
10,851,645 | |||
Net assets available for benefits: |
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Beginning of year |
78,266,111 | |||
End of year |
$ | 89,117,756 | ||
5
6
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December 31, 2006 | Number of Shares | Fair Value | ||||||
Flagstar Bancorp, Inc. Common Stock |
868,565 | $ | 12,889,505 | |||||
Fidelity Retirement Government Money Market Fund |
5,754,828 | 5,754,828 | ||||||
Mutual Funds |
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Fidelity Growth Company Fund |
124,051 | 8,647,616 | ||||||
Fidelity Dividend Growth Fund |
255,708 | 8,100,816 | ||||||
Fidelity Mid-Cap Stock Fund |
257,917 | 7,515,699 | ||||||
Fidelity Spartan U.S. Equity Index Fund |
122,223 | 6,133,162 | ||||||
Fidelity Diversified International Fund |
182,737 | 6,752,137 |
December 31, 2005 | Number of Shares | Fair Value | ||||||
Flagstar Bancorp, Inc. Common Stock |
859,820 | $ | 12,381,408 | |||||
Fidelity Retirement Government Money Market Fund |
5,207,792 | 5,207,792 | ||||||
Mutual Funds |
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Fidelity Growth Company Fund |
134,261 | 8,543,024 | ||||||
Fidelity Dividend Growth Fund |
264,514 | 7,615,354 | ||||||
Fidelity Mid-Cap Stock Fund |
245,456 | 6,521,767 | ||||||
Fidelity Spartan U.S. Equity Index Fund |
122,668 | 5,417,011 | ||||||
Fidelity Diversified International Fund |
163,592 | 5,323,271 |
Flagstar Bancorp, Inc. Common Stock |
$ | 420,610 | ||
Mutual funds |
8,097,613 | |||
Common/Collective Trusts |
1,127 | |||
Total |
$ | 8,519,350 | ||
8
December 31, | ||||||||
2006 | 2005 | |||||||
Net assets per financial statements |
$ | 89,117,756 | $ | 78,266,111 | ||||
Refundable contributions |
206,334 | 13,253 | ||||||
Net assets per Form 5500 |
$ | 89,324,090 | $ | 78,279,364 | ||||
Contributions per financial statements |
$ | 12,376,176 | $ | 12,986,163 | ||||
Refundable contributions |
193,081 | 13,253 | ||||||
Contributions per Form 5500 |
$ | 12,569,257 | $ | 12,999,416 | ||||
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(b) Identity of issue, borrower, | (c) Description of investment including maturity date, | |||||||||
(a) | lessor or similar party | rate of interest, collateral, par, or maturity value | (d) Cost | (e) Current value | ||||||
* |
Flagstar Bancorp, Inc | 868,565 shares of Common Stock | ** | $ | 12,889,505 | |||||
FMTC | Institutional Cash Portfolio | ** | 1,006,624 | |||||||
ABF | Large Cap Value Portfolio | ** | 46,760 | |||||||
AIM | Small Cap Growth Is | ** | 145 | |||||||
AIM | Mid Cap Core Equity Fund Class A | ** | 8,726 | |||||||
AIM | Dynamics Investment Fund | ** | 67 | |||||||
AIM | Global Aggressive Growth Class A Fund | ** | 6,010 | |||||||
AIM | Basic Value A | ** | 114 | |||||||
ALL/BERN | Small/ Mid Cap Val A | ** | 4,075 | |||||||
ALLNZ | CCM Mid Cap Administrative Fund | ** | 6,486 | |||||||
ALLNZ | NFJ Small Cap Value Fund Administrative Class | ** | 147 | |||||||
AM | Central Ultra Investment Fund | ** | 4,910 | |||||||
Ariel | Appreciation Fund | ** | 34,357 | |||||||
Ariel | Fund | ** | 61,316 | |||||||
Artisan | International Fund | ** | 33,725 | |||||||
Artisan | Mid Cap Value Fund | ** | 31,972 | |||||||
Baron | Small Cap Fund | ** | 43,079 | |||||||
Baron | Asset Fund | ** | 33,435 | |||||||
Calvert | New Vision Small Cap Fund - Class A | ** | 144 | |||||||
Col/Acorn | Select Fund Class Z | ** | 143,393 | |||||||
Credit Suisse | Global Fixed Income Fund - Common Shares | ** | 16,177 | |||||||
Credit Suisse | Large Cap Growth Com | ** | 4,068 | |||||||
DWS | International S | ** | 19,543 | |||||||
DWS | Global Opps S | ** | 17,060 | |||||||
DWS | Dividend High Return Equity Class A | ** | 3,735 | |||||||
* |
Fidelity | Retirement Government Money Market | ** | 5,754,828 | ||||||
* |
Fidelity | Retirement Money Market Portfolio | ** | 1,095,741 | ||||||
* |
Fidelity | Managed Income Portfolio | ** | 38,750 | ||||||
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Fidelity | Spartan U.S. Equity Index Fund | ** | 6,133,162 | ||||||
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Fidelity | Spartan Total Market Index Fund | ** | 63,709 | ||||||
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Fidelity | Spartan Extended Market Index | ** | 1,445 | ||||||
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Fidelity | Aggressive International Fund | ** | 22,596 | ||||||
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Fidelity | Disciplined Equity Fund | ** | 71,202 | ||||||
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Fidelity | Real Estate Investment | ** | 391,950 | ||||||
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Fidelity | Large Cap Growth Fund | ** | 27,635 | ||||||
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Fidelity | Mid Cap Growth Fund | ** | 36,063 | ||||||
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Fidelity | Total Bond Fund | ** | 476,741 | ||||||
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Fidelity | Aggressive Growth Fund | ** | 38,520 | ||||||
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Fidelity | Balanced Fund | ** | 567,378 | ||||||
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Fidelity | Blue Chip Growth Fund | ** | 44,632 | ||||||
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Fidelity | Canada Fund | ** | 267,905 | ||||||
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Fidelity | Capital & Income Fund | ** | 100,895 | ||||||
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Fidelity | Capital Appreciation Fund | ** | 129,100 | ||||||
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Fidelity | Dividend Growth Fund | ** | 8,100,816 |
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(b) Identity of issue, borrower, | (c) Description of investment including maturity date, | |||||||||
(a) | lessor or similar party | rate of interest, collateral, par, or maturity value | (d) Cost | (e) Current value | ||||||
* |
Fidelity | Diversified International Fund | ** | 6,752,137 | ||||||
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Fidelity | Equity-Income II Fund | ** | 4,682 | ||||||
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Fidelity | Equity-Income Fund | ** | 1,910,270 | ||||||
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Fidelity | Europe Fund | ** | 22,968 | ||||||
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Fidelity | Export and Multinational Fund | ** | 140,136 | ||||||
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Fidelity | Fifty Fund | ** | 2,270 | ||||||
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Fidelity | Freedom 2000 Fund | ** | 272,845 | ||||||
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Fidelity | Freedom 2010 Fund | ** | 1,374,565 | ||||||
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Fidelity | Freedom 2020 Fund | ** | 1,424,331 | ||||||
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Fidelity | Freedom 2030 Fund | ** | 1,687,618 | ||||||
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Fidelity | Freedom 2040 Fund | ** | 904,035 | ||||||
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Fidelity | Freedom Income Fund | ** | 301,063 | ||||||
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Fidelity | Ginnie Mae Fund | ** | 33,908 | ||||||
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Fidelity | Growth Company Fund | ** | 8,647,616 | ||||||
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Fidelity | Independence Fund | ** | 1,639,556 | ||||||
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Fidelity | International Discovery Fund | ** | 160,927 | ||||||
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Fidelity | Japan Fund | ** | 67,825 | ||||||
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Fidelity | Low-Priced Stock Fund | ** | 3,265,510 | ||||||
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Fidelity | Mid-Cap Stock Fund | ** | 7,515,699 | ||||||
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Fidelity | Mortgage Securities Fund | ** | 1,766 | ||||||
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Fidelity | New Markets Income Fund | ** | 210,770 | ||||||
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Fidelity | Puritan Fund | ** | 4,258 | ||||||
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Fidelity | Small Cap Stock Fund | ** | 68,328 | ||||||
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Fidelity | Small Capital Retirement Fund | ** | 1,215,778 | ||||||
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Fidelity | Trend Fund | ** | 963 | ||||||
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Fidelity | U.S. Bond Index Fund | ** | 2,971,695 | ||||||
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Fidelity | Value Fund | ** | 209,017 | ||||||
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Fidelity | Worldwide Fund | ** | 777 | ||||||
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Fidelity | Large Cap Stock Fund | ** | 13,331 | ||||||
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Fidelity | Fidelity Fund | ** | 870 | ||||||
* |
Fidelity | Contrafund | ** | 1,157,721 | ||||||
* |
Fidelity | Investment Growth Bond Fund | ** | 26,979 | ||||||
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Fidelity | Growth and Income Fund | ** | 14,823 | ||||||
* |
Fidelity | Government Income Fund | ** | 1,628 | ||||||
* |
Fidelity | Overseas Fund | ** | 27,331 | ||||||
* |
Fidelity | Leveraged Company Stock Fund | ** | 614,197 | ||||||
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Fidelity | Pacific Basin Fund | ** | 78,395 | ||||||
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Fidelity | OTC Portfolio | ** | 3,626 | ||||||
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Fidelity | Asset Mgr 50% | ** | 64,487 | ||||||
* |
Fidelity | Asset Mgr 70% | ** | 7,115 | ||||||
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Fidelity | INTM Govt Income | ** | 553 | ||||||
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Fidelity | Ultrashort Bond | ** | 5 | ||||||
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Fidelity | NASDAQ Comp Index | ** | 28 | ||||||
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Fidelity | Intl Real Estate | ** | 157,426 |
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(b) Identity of issue, borrower, | (c) Description of investment including maturity date, | |||||||||
(a) | lessor or similar party | rate of interest, collateral, par, or maturity value | (d) Cost | (e) Current value | ||||||
* |
Fidelity | Convertible Securities Fund | ** | 2,180 | ||||||
* |
Fidelity | Utilities Fund | ** | 221,854 | ||||||
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Fidelity | Emerging Markets Fund | ** | 763,767 | ||||||
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Fidelity | Focused Stock Fund | ** | 2,039 | ||||||
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Fidelity | Global Balanced Fund | ** | 48,699 | ||||||
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Fidelity | Small Cap Independent Fund | ** | 31,609 | ||||||
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Fidelity | Latin America Fund | ** | 1,435,879 | ||||||
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Fidelity | Southeast Asia Fund | ** | 304,339 | ||||||
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Fidelity | Strategic Income Fund | ** | 99,392 | ||||||
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Fidelity | Short Term Bond Fund | ** | 1,059 | ||||||
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Fidelity | Large Cap Value Fund | ** | 73,809 | ||||||
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Fidelity | Inflation Prot Bond Fund | ** | 38,379 | ||||||
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Fidelity | Real Estate Income Fund | ** | 29,055 | ||||||
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Fidelity | Blue Chip Value Fund | ** | 21,400 | ||||||
* |
Fidelity | Mid Cap Value Fund | ** | 4,652 | ||||||
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Fidelity | Freedom 2005 Fund | ** | 5,752 | ||||||
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Fidelity | Freedom 2015 Fund | ** | 160,989 | ||||||
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Fidelity | Freedom 2025 Fund | ** | 111,603 | ||||||
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Fidelity | Freedom 2035 Fund | ** | 178,392 | ||||||
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Fidelity | Europe Cap Appreciation Fund | ** | 62,818 | ||||||
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Fidelity | Growth and Income Fund II | ** | 2,351 | ||||||
* |
Fidelity | Strategic Dividend and Income Fund | ** | 8,089 | ||||||
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Fidelity | Small Cap Growth Fund | ** | 15,816 | ||||||
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Fidelity | Small Cap Value Fund | ** | 19,576 | ||||||
* |
Fidelity | Value Strategies Fund | ** | 23,319 | ||||||
* |
Fidelity | Intermediate Bond Fund | ** | 6,488 | ||||||
FMA | Small Company IS | ** | 6,527 | |||||||
Franklin | Small-Mid Cap Growth Fund Class A | ** | 808 | |||||||
Hartford | Growth Y Fund | ** | 7,116 | |||||||
Hartford | Small Cap Growth Y | ** | 417 | |||||||
LD Abbett | Small Cap Build - Class A | ** | 6,231 | |||||||
LD Abbett | Affiliated A | ** | 23,424 | |||||||
LM | Value Trust Fidelity Class | ** | 42,610 | |||||||
LMP | Aggressive Growth A | ** | 745 | |||||||
LMP | Large Cap Growth A | ** | 1,671 | |||||||
Loomis | Small Cap Value R | ** | 975 | |||||||
Managers | Bond Fund | ** | 5,010 | |||||||
Managers | Special Equity | ** | 31 | |||||||
Managers | Value Fund | ** | 15,295 | |||||||
MSI | Emerging Markets Fund Class B | ** | 39,905 | |||||||
MSIFT | High Yield Advance Fund | ** | 1,098 | |||||||
MSIFT | MidCap Gth Adv. | ** | 2,291 |
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(b) Identity of issue, borrower, | (c) Description of investment including maturity date, | |||||||||
(a) | lessor or similar party | rate of interest, collateral, par, or maturity value | (d) Cost | (e) Current value | ||||||
Mutual | Discovery Fund - Class A | ** | 119,905 | |||||||
Mutual | Shares Class A | ** | 13,309 | |||||||
NB | Partners Trust Fund | ** | 31,038 | |||||||
NB | International Fund Trust | ** | 13,816 | |||||||
The Oakmark | Equity and Income Fund | ** | 94,859 | |||||||
The Oakmark | Select I | ** | 842,142 | |||||||
The Oakmark | Fund I | ** | 25,758 | |||||||
PIM | Global Band AD Unhedged Fund | ** | 10,451 | |||||||
PIMCO | High Yield - Administration Class | ** | 28,134 | |||||||
PIMCO | Long Term Government - Administrative Class | ** | 10,605 | |||||||
PIMCO | Real Return Bond Admin. | ** | 1,516 | |||||||
PIMCO | Total Return Fund - Administrative Class | ** | 115,064 | |||||||
Rainier | Small Mid Cap Fund | ** | 57,819 | |||||||
Royce | Value Plus Ser | ** | 92,541 | |||||||
Royce | Opportunity S Fund | ** | 12,652 | |||||||
RS | Partners Fund | ** | 51,311 | |||||||
RS | Value Fund | ** | 10,862 | |||||||
TCW | Select Equity N Fund | ** | 16,656 | |||||||
Templeton | Foreign Fund - Class A | ** | 61,449 | |||||||
Templeton | Foreign Small Company - Class A | ** | 21,620 | |||||||
Templeton | Dev Markets Fund - Class A | ** | 43,351 | |||||||
Templeton | Growth Fund - Class A | ** | 36,662 | |||||||
Templeton | World Fund - Class A | ** | 9,037 | |||||||
Templeton | Global Bond Fund - Class A | ** | 26,800 | |||||||
Touchstn | SC SEL GR Z | ** | 487 | |||||||
Van Kampen | Growth and Income Fund - Class A | ** | 10,783 | |||||||
Van Kampen | Equity Income Class A | ** | 35,675 | |||||||
WA | Core Plus Bond FI | ** | 5,500 | |||||||
West | Asset Core Fidelity Fund | ** | 1,716 | |||||||
WFA | Small Cap Value - Class Z | ** | 29,680 | |||||||
WFA | C&B Mid Cap Value Fund D | ** | 6,456 | |||||||
* |
Participant Loans | Interest rates ranging from 5% to 9.25% with various | ||||||||
maturity dates | -0- | 2,829,076 | ||||||||
$ | 89,252,658 | |||||||||
* | Party-in-interest to the Plan | |
** | Participant Directed |
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FLAGSTAR BANK 401(k) PLAN |
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June 25, 2007 | By: | /s/Rebecca A. Lucci | ||
Plan Administrator | ||||
15