þ
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ANNUAL REPORT PURSUANT TO SECTION
15(d) OF THE SECURITIES EXCHANGE ACT OF
1934
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o
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TRANSITION
REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF
1934
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Page
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Report
of Independent Registered Public Accounting Firm
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3
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Financial
Statements
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Statements
of Net Assets Available for Benefits as of December 31, 2009 and December
31, 2008
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4
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Statement
of Changes in Net Assets Available for Benefits for the Year then Ended
December 31, 2009
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5
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Notes
to Financial Statements
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6 –
11
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Supplemental
Schedule
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Schedule
H, Line 4i-Schedule of Assets (Held at End of Year) at December
31, 2009
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12
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Signature
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14
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Exhibit
Index
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Exhibit
23.1: Consent of Independent Registered Public Accounting
Firm
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Exhibit
23.2: Consent of Independent Registered Public Accounting
Firm
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2009
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2008
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Assets:
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Investments,
at fair value (notes 3, 4 and 7):
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Money
market fund
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$ | 1,889,084 | 2,151,090 | |||||
Common
stock
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1,320,294 | 654,187 | ||||||
Mutual
funds
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9,461,515 | 7,040,050 | ||||||
Participant
loans
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143,886 | 186,450 | ||||||
Total
investments, at fair value
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12,814,779 | 10,031,777 | ||||||
Employer
contributions receivable
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350,000 | — | ||||||
Other
receivable
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— | 717 | ||||||
Total
assets
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13,164,779 | 10,032,494 | ||||||
Liability
–
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Corrective
distributions payable
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79,308 | — | ||||||
Net
assets available for benefits (note 8)
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$ | 13,085,471 | 10,032,494 |
Investment
income (notes 3 and 7):
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||||
Net
appreciation in fair value of investments
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$ | 2,286,902 | ||
Dividend
and interest income
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181,355 | |||
Total
investment income
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2,468,257 | |||
Contributions
(note 8):
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||||
Employee
contributions
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1,101,609 | |||
Employer
contributions
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350,000 | |||
1,451,609 | ||||
Total
additions
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3,919,866 | |||
Distributions:
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Benefits
paid to participants
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850,781 | |||
Administrative
fees (note 7)
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16,108 | |||
Total
deductions
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866,889 | |||
Net
increase in net assets available for benefits
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3,052,977 | |||
Net
assets available for benefits:
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Beginning
of year
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10,032,494 | |||
End
of year
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$ | 13,085,471 |
(1)
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Summary
of Significant Accounting Policies
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(a)
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Basis
of Presentation
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(b)
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Investments
and Investment Income
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(c)
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Payment
of Benefits
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(d)
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Administrative
Expenses
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(e)
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Use
of Estimates
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(f)
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Risks
and Uncertainties
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(g)
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Recently
Adopted Accounting Pronouncements
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(2)
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Description
of Plan
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(a)
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General
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(b)
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Plan
Trustee
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(c)
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Contributions
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(d)
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Participant
Accounts
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(e)
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Vesting
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(f)
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Investment
Options
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(g)
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Participant
Loans
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(h)
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Forfeitures
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(i)
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Payment
of Benefits
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(3)
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Investments
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December
31
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2009
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2008
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Fidelity
Advisor Prime Fund: 1,889,084 and 2,151,090 shares,
respectively
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$ | 1,889,084 | 2,151,090 | |||||
Fidelity
Advisor New Insights Fund: 99,585 and 75,683shares,
respectively
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1,700,913 | 1,003,550 | ||||||
Measurement
Specialties, Inc. common stock: 131,276 and 93,994 shares,
respectively
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1,320,294 | 654,187 | ||||||
Evergreen
International Equity Fund: 175,202 shares
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1,201,884 | * | ||||||
PIMCO
Total Return Fund: 81,093 and 75,187
shares,respectively
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875,801 | 762,391 | ||||||
JPMorgan
Equity Index Fund: 34,388 and 33,150 shares
respectively
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870,705 | 680,325 | ||||||
Fidelity
Advisor Diversified International Fund: 77,332 shares
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* | 935,723 |
Common
stock
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$ | 447,820 | ||
Mutual
funds
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1,839,082 | |||
$ | 2,286,902 |
(4)
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Fair
Value Measurements
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·
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Quoted
prices for similar assets or liabilities in active
markets;
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·
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Quoted
prices for identical or similar assets or liabilities in inactive
markets;
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·
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Inputs
other than quoted prices that are observable for the asset or liability;
and
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·
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Inputs
that are derived principally from or corroborated by observable market
data by correlation or other means.
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Level
1
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Level
2
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Level
3
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Total
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December
31, 2009:
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Money
market fund
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$ | 1,889,084 | — | — | 1,889,084 | |||||||||||
Common
stock
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1,320,294 | — | — | 1,320,294 | ||||||||||||
Mutual
funds
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9,461,515 | — | — | 9,461,515 | ||||||||||||
Participant
loans
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— | — | 143,886 | 143,886 | ||||||||||||
Total
investments
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$ | 12,670,893 | — | 143,886 | 12,814,779 | |||||||||||
December
31, 2008:
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Money
market fund
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$ | — | 2,151,090 | — | 2,151,090 | |||||||||||
Common
stock
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654,187 | — | — | 654,187 | ||||||||||||
Mutual
funds
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7,040,050 | — | — | 7,040,050 | ||||||||||||
Participant
loans
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— | — | 186,450 | 186,450 | ||||||||||||
Total
investments
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$ | 7,694,237 | 2,151,090 | 186,450 | 10,031,777 |
Participant
loans
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2009
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2008
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Balance,
beginning of year
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$ | 186,450 | 127,896 | |||||
Purchases,
sales, issuances and settlements (net)
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(42,564 | ) | 58,554 | |||||
Balance,
end of year
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$ | 143,886 | 186,450 |
(5)
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Plan
Termination
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(6)
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Tax
Status
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(7)
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Related-Party
Transactions
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(8)
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Reconciliation
of Financial Statements to
Form 5500
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December
31,
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||||
2009
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Net
assets available for benefits per the financial statements
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$ | 13,085,471 | ||
Employer
contributions receivable
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(350,000 | ) | ||
Corrective
distributions payable
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79,308 | |||
Net
assets available for benefits per Form 5500
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$ | 12,814,779 |
Year
ended
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December
31,
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||||
2009
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Contributions
per the financial statements
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$ | 1,451,609 | ||
Employer
contributions receivable
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(350,000 | ) | ||
Corrective
distributions payable
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79,308 | |||
Contributions
per Form 5500
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$ | 1,180,917 |
Identity
of issue, borrower,
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Current
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||||||
lessor
or similar party
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Description
of investment
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value
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*
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Fidelity
Advisor
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1,889,084
shares of Prime Fund
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$ | 1,889,084 | |||
*
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Fidelity
Advisor
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8,424
shares of Health Care Fund
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160,146 | ||||
*
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Fidelity
Advisor
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8,972
shares of Small Cap Fund
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192,001 | ||||
*
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Fidelity
Advisor
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16,509
shares of Strategic Income Fund
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200,091 | ||||
*
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Fidelity
Advisor
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2,393
shares of Freedom 2005 Fund
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24,548 | ||||
*
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Fidelity
Advisor
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20,481
shares of Freedom 2010 Fund
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214,846 | ||||
*
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Fidelity
Advisor
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19,743
shares of Freedom 2015 Fund
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206,313 | ||||
*
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Fidelity
Advisor
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47,125
shares of Freedom 2020 Fund
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508,950 | ||||
*
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Fidelity
Advisor
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27,392
shares of Freedom 2025 Fund
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284,056 | ||||
*
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Fidelity
Advisor
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35,748
shares of Freedom 2030 Fund
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386,437 | ||||
*
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Fidelity
Advisor
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15,333
shares of Freedom 2035 Fund
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155,932 | ||||
*
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Fidelity
Advisor
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43,633
shares of Freedom 2040 Fund
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474,289 | ||||
*
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Fidelity
Advisor
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2,462
shares of Freedom 2045 Fund
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20,728 | ||||
*
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Fidelity
Advisor
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2,230
shares of Freedom 2050 Fund
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18,464 | ||||
*
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Fidelity
Advisor
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3,137
shares of Freedom Income Fund
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31,782 | ||||
*
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Fidelity
Advisor
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99,585
shares of New Insights Fund
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1,700,913 | ||||
*
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Fidelity
Advisor
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43,455
shares of Mid Cap II Fund
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613,151 | ||||
*
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Fidelity
Advisor
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1,394
shares of Small Cap Value Fund
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17,434 | ||||
*
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Fidelity
Advisor
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264
shares of Government Income Fund
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2,745 | ||||
*
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Fidelity
Advisor
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174
shares of Asset Manager 20% Fund
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2,074 | ||||
Columbia
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24,071
shares of Dividend Income Fund
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285,238 | |||||
Evergreen
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175,202
shares of International Equity Fund
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1,201,884 | |||||
JPMorgan
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34,388
shares of Equity Index Fund
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870,705 | |||||
Dreyfus
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6,024
shares of Technology Growth Fund
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151,090 | |||||
Federated
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47,249
shares of Federated Kaufmann Fund
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220,182 | |||||
Mainstay
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34,456
shares of High Yield Bond Fund
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194,677 | |||||
RS
Investments
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11,317
shares of Partners A Fund
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292,651 | |||||
PIMCO
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81,093
shares of Total Return Fund
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875,801 | |||||
Perkins
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7,801
shares of Mid Cap Value Fund
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154,387 | |||||
*
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Measurement
Specialties, Inc.
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131,276
shares of Common Stock
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1,320,294 | ||||
*
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Participant
loans
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Maturing
through June 20, 2016, interest rates
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|||||
ranging
from 4.25% to 7.75%, collateralized
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|||||||
by
participant accounts
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143,886 | ||||||
$ | 12,814,779 | ||||||
*
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Party-in-interest
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Number
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Title
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23.1
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Consent
of KPMG LLP, Independent Registered Public Accounting
Firm
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23.2
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Consent
of Goodman & Company, LLP, Independent Registered Public Accounting
Firm
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Savings
Plan for Employees of Measurement
Specialties,
Inc.
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Date:
June 29, 2010
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/s/
Jeffrey
Kostelni
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Jeffrey
Kostelni
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Vice
President of Finance
|
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The
Plan Administrator
|