x
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ANNUAL
REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT
OF 1934.
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¨
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TRANSITION
REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF
1934.
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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
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2
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Statement
of Changes in Net Assets Available for Benefits
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3
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Notes
to Financial Statements
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4
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Supplementary
Schedule
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Schedule
of Assets (Held at End of Year)
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10
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Signatures
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11 |
Exhibits
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12 |
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:
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||||||||
Cash
and money market funds
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$ | 4,144,546 | $ | 4,201,812 | ||||
Mutual
funds
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29,136,502 | 22,371,484 | ||||||
Common
stocks
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3,350,770 | 6,609,513 | ||||||
Participant
loans
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455,536 | 375,055 | ||||||
37,087,354 | 33,557,864 | |||||||
Receivables:
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||||||||
Employer
contributions
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51,816 | 44,488 | ||||||
Accrued
interest
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32,187 | 22,328 | ||||||
84,003 | 66,816 | |||||||
Total
Assets
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37,171,357 | 33,624,680 | ||||||
Liabilities
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||||||||
Due
to broker for securities purchased
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24,897 | 15,106 | ||||||
Accrued
administrative expenses
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15,613 | 12,232 | ||||||
Total
Liabilities
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40,510 | 27,338 | ||||||
Net
assets available for benefits
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$ | 37,130,847 | $ | 33,597,342 |
Additions
to net assets attributed to:
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||||
Investment
income:
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||||
Net
appreciation in fair value of investments
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$ | 1,684,238 | ||
Interest
and dividends
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749,650 | |||
Total
Investment Income:
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2,433,888 | |||
Contributions:
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||||
Participant
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2,929,276 | |||
Employer
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1,375,913 | |||
Rollover
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497,456 | |||
Total
Contributions:
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4,802,645 | |||
Total
Additions
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7,236,533 | |||
Deductions
from net assets attributed to:
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||||
Benefits
paid to participants
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3,644,531 | |||
Administrative
expenses
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58,497 | |||
Total
Deductions
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3,703,028 | |||
Net Increase in Net Assets Available for Benefits
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3,533,505 | |||
Net
assets available for benefits:
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||||
Beginning
balance
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33,597,342 | |||
Ending
balance
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$ | 37,130,847 |
Quoted Prices in
Active Markets
for Identical
Assets
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Significant Other
Observable
Inputs
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Significant
Unobservable
Inputs
|
Balance as of
December 31,
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|||||||||||||
(Level 1)
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(Level 2)
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(Level 3)
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2009
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|||||||||||||
Cash and money market
funds
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$ | 4,144,546 | $ | - | $ | - | $ | 4,144,546 | ||||||||
Common
stock:
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3,350,770 | - | - | 3,350,770 | ||||||||||||
Mutual
funds:
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||||||||||||||||
Index funds
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3,641,273 | - | - | 3,641,273 | ||||||||||||
Balanced
funds
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3,002,499 | - | - | 3,002,499 | ||||||||||||
Growth
funds
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8,016,202 | - | - | 8,016,202 | ||||||||||||
Fixed income
funds
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5,803,722 | - | - | 5,803,722 | ||||||||||||
Value funds
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4,422,266 | - | - | 4,422,266 | ||||||||||||
Other funds
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4,250,540 | - | - | 4,250,540 | ||||||||||||
Total mutual
funds
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29,136,502 | - | - | 29,136,502 | ||||||||||||
Participant
Loans
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- | - | 455,536 | 455,536 | ||||||||||||
Total investments at fair
value
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$ | 36,631,818 | $ | - | $ | 455,536 | $ | 37,087,354 |
Quoted Prices in
Active Markets
for Identical
Assets
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Significant Other
Observable Inputs
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Significant
Unobservable
Inputs
|
Balance as of
December 31,
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|||||||||||||
(Level 1)
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(Level 2)
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(Level 3)
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2008
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|||||||||||||
Cash and money market
funds
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$ | 4,201,812 | $ | - | $ | - | $ | 4,201,812 | ||||||||
Common
stock:
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6,609,513 | - | - | 6,609,513 | ||||||||||||
Mutual
funds:
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||||||||||||||||
Index funds
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1,823,601 | - | - | 1,823,601 | ||||||||||||
Balanced
funds
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2,238,580 | - | - | 2,238,580 | ||||||||||||
Growth
funds
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6,590,194 | - | - | 6,590,194 | ||||||||||||
Fixed income
funds
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5,310,970 | - | - | 5,310,970 | ||||||||||||
Value funds
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3,202,227 | - | - | 3,202,227 | ||||||||||||
Other funds
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3,205,912 | - | - | 3,205,912 | ||||||||||||
Total mutual
funds
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22,371,484 | - | - | 22,371,484 | ||||||||||||
Participant
Loans
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- | - | 375,055 | 375,055 | ||||||||||||
Total investments at fair
value
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$ | 33,182,809 | $ | - | $ | 375,055 | $ | 33,557,864 |
Significant
Unobservable
Inputs
|
|
|||
(Level
3)
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||||
Participant
loans:
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||||
Beginning
balance December 31, 2008
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$ | 375,055 | ||
Loans,
payments and defaults (net)
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80,481 | |||
Ending
balance December 31, 2009
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$ | 455,536 |
Investments
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2009
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2008
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At
Fair Value as Determined by Quoted Market Prices:
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||||||||
Mutual
Funds:
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American
Funds Amcap R5
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$ | 1,941,131 | $ | 1,377,230 | * | |||
Dodge
& Cox Stock Fund
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3,508,033 | 2,723,578 | ||||||
Neuberger
& Berman Genesis Trust
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2,253,992 | 1,760,418 | ||||||
Oakmark
Equity & Income I
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3,002,499 | 2,238,580 | ||||||
PIMCO
Total Return Instl Fund
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3,209,642 | 2,939,194 | ||||||
Royce
Micro Cap Invmt Fund
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2,331,602 | 1,664,665 | * | |||||
Other
Mutual Funds
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12,889,603 | 9,667,819 | ||||||
Common
Stock:
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||||||||
Sandy
Spring Bancorp, Inc.
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3,350,770 | 6,609,513 | ||||||
At
Estimated Fair Value:
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||||||||
Cash
and Money Market Funds:
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Government
Obligations Tax Managed Fund #636
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4,115,705 | 4,183,763 | ||||||
Other
Cash and Money Market Funds
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28,841 | 18,049 | ||||||
Participant
Loans
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455,536 | * | 375,055 | * | ||||
Total
Investments
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$ | 37,087,354 | $ | 33,557,864 |
Mutual
Funds
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$ | 5,605,321 | ||
Common
Stock
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(3,921,083 | ) | ||
Total
investment appreciation in value
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$ | 1,684,238 |
(a)
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(b)
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(c)
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(d)
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(e)
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||||||||
Identity
of issuer
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Description
of Investment
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Cost
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Current
value
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American
Funds Amcap R5
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Mutual
Fund
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** | $ | 1,941,131 | ||||||||
Calamos
Growth A
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Mutual
Fund
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** | 1,316,121 | |||||||||
Dodge
& Cox Stock Fund
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Mutual
Fund
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** | 3,508,033 | |||||||||
DWS
Dreman Small Cap Value Fund – CI S
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Mutual
Fund
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** | 306,956 | |||||||||
Federated
Govt Obligations Fd #5
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Money
Market Fund
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** | 228 | |||||||||
Government
Obligations Tax Managed Fund #636
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Money
Market Fund
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** | 4,115,705 | |||||||||
MFS
International New Discovery Fund I
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Mutual
Fund
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** | 1,308,670 | |||||||||
Morgan
Stanley Inst International Equity Fund
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Mutual
Fund
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** | 1,718,890 | |||||||||
Neuberger
& Berman Genesis Trust
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Mutual
Fund
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** | 2,253,992 | |||||||||
Oakmark
Equity & Income I
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Mutual
Fund
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** | 3,002,499 | |||||||||
PIMCO
Total Return Instl Fund
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Mutual
Fund
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** | 3,209,642 | |||||||||
RiverSource
Mid Cap Value Fund R4
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Mutual
Fund
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** | 607,277 | |||||||||
Royce
Micro Cap Invmt Fund
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Mutual
Fund
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** | 2,331,602 | |||||||||
T.Rowe
Price Real Estate Fund
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Mutual
Fund
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** | 1,222,980 | |||||||||
UMB
Scout Small Cap Fund
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Mutual
Fund
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** | 173,356 | |||||||||
Vanguard
500 Index-Signal Shares
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Mutual
Fund
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** | 1,783,568 | |||||||||
Vanguard
Equity Income Inv
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Mutual
Fund
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** | 992,803 | |||||||||
Vanguard
Inflation Protected Securities – Adm
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Mutual
Fund
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** | 1,360,145 | |||||||||
Vanguard
Mid Cap Index Fund Signal Shares
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Mutual
Fund
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** | 864,902 | |||||||||
Vanguard
Short Term Fed - Inv
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Mutual
Fund
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** | 1,233,935 | |||||||||
*
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Sandy
Spring Bancorp, Inc.
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Common
Stock
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** | 3,350,770 | ||||||||
*
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Sandy
Spring Bancorp, Inc.
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Cash
Account
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** | 28,613 | ||||||||
*
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Participant
Loans
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Loans,
ranging from 3.25%-8.25%, maturities through September
2019
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$ | - | 455,536 | |||||||
Total
Investments
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$ | 37,087,354 |
Sandy
Spring Bancorp, Inc. Cash and Deferred Profit
Sharing
Plan
|
||||
(Name
of Plan)
|
||||
By:
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Sandy Spring Bancorp, Inc. | |||
Plan Sponsor and Administrator | ||||
/s/
Daniel J. Schider
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||||
Daniel
J. Schrider, Chief Executive Officer
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Sandy
Spring Bancorp, Inc.
|
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Exhibits
|
|
Description
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23.1 | Consent of ParenteBeard LLC |