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 |
3 | ||||||||
Financial Statements |
||||||||
4 | ||||||||
5 | ||||||||
6 | ||||||||
Supplemental Information |
||||||||
13 | ||||||||
Note: All other schedules required by Section 2520.103-10 of The
Department of Labor Rules and Regulations for Reporting and Disclosure
under the Employee Retirement Income Security Act of 1974 have been
omitted because they are not applicable. |
||||||||
17 | ||||||||
Exhibit - 23 |
||||||||
Consent of Independent Registered Public Accounting Firm |
19 | |||||||
EX-23 |
2
3
December 31, | ||||||||
2009 | 2008 | |||||||
Assets |
||||||||
Investments at fair value |
||||||||
Flagstar Bancorp, Inc. common stock |
$ | 3,281,192 | $ | 3,041,504 | ||||
Mutual funds |
67,385,569 | 46,463,706 | ||||||
Money market funds |
8,850,847 | 9,351,460 | ||||||
Common collective trust fund |
59,217 | 222,661 | ||||||
Participant loans |
3,191,386 | 3,286,426 | ||||||
Total investments at fair value |
82,768,211 | 62,365,757 | ||||||
Other |
86,388 | 936 | ||||||
Total assets |
82,854,599 | 62,366,693 | ||||||
Liabilities |
||||||||
Refundable contributions |
169,307 | 108,374 | ||||||
Total liabilities |
169,307 | 108,374 | ||||||
Net assets available for benefits reflecting all
investments at fair value |
82,685,292 | 62,258,319 | ||||||
Adjustment from fair value to contract value for
interest in common collective trust fund relating to
fully benefit responsive investment contracts |
10,909 | 11,855 | ||||||
Net assets available for benefits |
$ | 82,696,201 | $ | 62,270,174 | ||||
4
For the Year Ended | ||||
December 31, 2009 | ||||
Additions | ||||
Additions to net assets attributed to: |
||||
Net realized and unrealized appreciation in fair value of investments |
$ | 15,644,052 | ||
Interest |
248,599 | |||
Dividends |
967,524 | |||
Total investment income |
16,860,175 | |||
Contributions: |
||||
Participant |
10,097,358 | |||
Company |
3,129,786 | |||
Rollovers |
194,358 | |||
Total contributions |
13,421,502 | |||
Total additions |
30,281,677 | |||
Deductions |
||||
Deductions from net assets attributed to: |
||||
Participant benefits paid /deemed distributions |
9,748,011 | |||
Administrative fees |
107,639 | |||
Total deductions |
9,855,650 | |||
Net increase |
20,426,027 | |||
Net assets available for benefits: |
||||
Beginning of year |
62,270,174 | |||
End of year |
$ | 82,696,201 | ||
5
6
7
| Level 1 Fair value is based upon quoted prices for identical instruments in active markets. | ||
| Level 2 Fair value is based upon quoted prices for similar instruments in active markets, quoted prices for identical or similar instruments in markets that are not active, and model-based valuation techniques for which all significant assumptions are observable in the market. | ||
| Level 3 Fair value is generated from model-based techniques that use at least one significant assumption not observable in the market. These unobservable assumptions reflect estimates that market participants would use in pricing that asset or liability. Valuation techniques may include discounted cash flow models and similar techniques. |
8
Investments at Fair | ||||||||||||||||
December 31, 2009 | Level 1 | Level 2 | Level 3 | Value | ||||||||||||
Flagstar Bancorp common stock |
$ | 3,281,192 | $ | | $ | | $ | 3,281,192 | ||||||||
Mutual funds |
67,385,569 | | | 67,385,569 | ||||||||||||
Money market funds |
| 8,850,847 | | 8,850,847 | ||||||||||||
Common collective trust fund |
| 59,217 | | 59,217 | ||||||||||||
Participant loans |
| | 3,191,386 | 3,191,386 | ||||||||||||
Total assets at fair value |
$ | 70,666,761 | $ | 8,910,064 | $ | 3,191,386 | $ | 82,768,211 | ||||||||
Investments at Fair | ||||||||||||||||
December 31, 2008 | Level 1 | Level 2 | Level 3 | Value | ||||||||||||
Flagstar Bancorp common stock |
$ | 3,041,504 | $ | | $ | | $ | 3,041,504 | ||||||||
Mutual funds |
46,463,706 | | | 46,463,706 | ||||||||||||
Money market funds |
| 9,351,460 | | 9,351,460 | ||||||||||||
Common collective trust fund |
| 222,661 | | 222,661 | ||||||||||||
Participant loans |
| | 3,286,426 | 3,286,426 | ||||||||||||
Total assets at fair value |
$ | 49,505,210 | $ | 9,574,121 | $ | 3,286,426 | $ | 62,365,757 | ||||||||
Participant | ||||
Loans | ||||
Balance January 1, 2009 |
$ | 3,286,426 | ||
New loans issued, interest earned and repayments, net |
(95,040 | ) | ||
Balance December 31, 2009 |
$ | 3,191,386 | ||
Number of | ||||||||
December 31, 2009 | Shares | Fair Value | ||||||
Fidelity Retirement Government Money Market Fund |
7,047,420 | $ | 7,047,420 | |||||
Mutual Funds |
||||||||
Fidelity Growth Company Fund |
116,530 | 8,038,269 | ||||||
Fidelity Dividend Growth Fund |
306,698 | 7,259,548 | ||||||
Fidelity Diversified International Fund |
238,388 | 6,674,874 | ||||||
Fidelity Mid-Cap Stock Fund |
278,683 | 6,526,755 | ||||||
Fidelity U.S. Bond Index Funds |
395,110 | 4,369,913 | ||||||
Fidelity Spartan U.S. Equity Index Fund |
109,134 | 4,303,173 |
9
Number of | ||||||||
December 31, 2008 | Shares | Fair Value | ||||||
Fidelity Retirement Government Money Market Fund |
7,736,897 | $ | 7,736,897 | |||||
Mutual Funds |
||||||||
Fidelity Growth Company Fund |
112,779 | 5,521,645 | ||||||
Fidelity Diversified International Fund |
212,612 | 4,573,293 | ||||||
Fidelity Dividend Growth Fund |
288,659 | 4,557,920 | ||||||
Fidelity Mid-Cap Stock Fund |
262,787 | 4,102,097 | ||||||
Fidelity U.S. Bond Index Funds |
355,627 | 3,837,215 | ||||||
Fidelity Spartan U.S. Equity Index Fund |
104,380 | 3,329,709 |
Net Realized and | ||||
Unrealized | ||||
Appreciation | ||||
(Depreciation), in | ||||
fair value of | ||||
Flagstar Bancorp, Inc. common stock |
$ | (677,645 | ) | |
Mutual funds |
16,321,697 | |||
Total |
$ | 15,644,052 | ||
10
December 31, | ||||||||
2009 | 2008 | |||||||
Net assets available for benefits per financial statements |
$ | 82,696,201 | $ | 62,270,174 | ||||
Adjustment to fair value from contract-value for investment relating
to fully benefit-responsive investment contracts |
(10,909 | ) | (11,855 | ) | ||||
Net assets available for benefits per Form 5500 |
$ | 82,685,292 | $ | 62,258,319 | ||||
December 31, 2009 | ||||
Contributions per financial statements |
$ | 13,421,502 | ||
Refundable contributions |
(169,307 | ) | ||
Contributions per Form 5500 |
$ | 13,252,195 | ||
Net increase in net assets available for benefits per Financial Statements |
$ | 20,426,027 | ||
Change in adjustment to fair value from contract value for investment
relating to fully benefit investment contracts |
946 | |||
Net income per Form 5500 |
$ | 20,426,973 | ||
11
12
(c) Description of investment including | ||||||||||
(b) Identity of issue, borrower, | maturity date, rate of interest, | |||||||||
(a) | lessor or similar party | collateral, par, or maturity value | (d) Cost | (e) Current value | ||||||
Common Stock | ||||||||||
*
|
Flagstar Bancorp, Inc | 5,468,654 shares of Common Stock | ** | $ | 3,281,192 | |||||
Mutual Funds | ||||||||||
ABDN | Glbl FX Inc Is | ** | 18,522 | |||||||
ABF | International Equity Investment | ** | 10,741 | |||||||
ABF | Large Cap Value Portfolio | ** | 48,750 | |||||||
AIM | Basic Value A | ** | 2,548 | |||||||
AIM | Constellation Class A | ** | 853 | |||||||
AIM | Dynamics Investment Fund | ** | 299 | |||||||
AIM | Global Small and Mid Cap Growth A | ** | 17,305 | |||||||
AIM | Mid Cap Core Equity Fund Class A | ** | 41,514 | |||||||
AIM | Small Cap Growth Is | ** | 471 | |||||||
ALL/BERN | Small/ Mid Cap Val A | ** | 1,947 | |||||||
ALLNZ | CCM Mid Cap Administrative Fund | ** | 1,461 | |||||||
ALLNZ | NFJ Small Cap Value Fund Administrative Class | ** | 468 | |||||||
AM | CEN LG CO VAL INV | ** | 157 | |||||||
AM | CENT VISTA INV | ** | 10,329 | |||||||
AM | Central Ultra Investment Fund | ** | 4,983 | |||||||
Ariel | Appreciation Fund | ** | 73,256 | |||||||
Ariel | Fund | ** | 42,920 | |||||||
Artisan | International Fund | ** | 107,564 | |||||||
Artisan | Mid Cap Value Fund | ** | 38,600 | |||||||
Baron | Asset Fund | ** | 33,915 | |||||||
Baron | Small Cap Fund | ** | 61,222 | |||||||
Calvert | Cap Acc A | ** | 286 | |||||||
Calvert | SIF Equity A | ** | 82 | |||||||
Col | Consolidated High Yield Z | ** | 310 | |||||||
Col/Acorn | Select Fund Class Z | ** | 79,755 | |||||||
Credit Suisse | Large Cap Growth Com | ** | 3,655 | |||||||
Credit Suisse | Mid Cap Core Com | ** | 446 | |||||||
DOMINI | Social Eq Inv | ** | 647 | |||||||
DWS | Global Opps S | ** | 22,251 | |||||||
DWS | International S | ** | 5,304 | |||||||
DWS | Strategic Val A | ** | 2,719 | |||||||
*
|
Fidelity | Asset Mgr 20% | ** | 81 | ||||||
*
|
Fidelity | Asset Mgr 50% | ** | 12,641 | ||||||
*
|
Fidelity | Asset Mgr 70% | ** | 15,232 | ||||||
*
|
Fidelity | Asset Mgr 85% | ** | 10,782 | ||||||
*
|
Fidelity | Balanced Fund | ** | 97,752 | ||||||
*
|
Fidelity | Blue Chip Growth Fund | ** | 101,747 | ||||||
*
|
Fidelity | Blue Chip Value Fund | ** | 26,661 | ||||||
*
|
Fidelity | Canada Fund | ** | 416,300 | ||||||
*
|
Fidelity | Capital & Income Fund | ** | 171,913 | ||||||
*
|
Fidelity | Capital Appreciation Fund | ** | 30,269 | ||||||
*
|
Fidelity | Contra-fund | ** | 1,300,265 | ||||||
*
|
Fidelity | Convertible Securities Fund | ** | 9,018 | ||||||
*
|
Fidelity | Disciplined Equity Fund | ** | 66,413 | ||||||
*
|
Fidelity | Diversified International Fund | ** | 6,674,874 | ||||||
*
|
Fidelity | Dividend Growth Fund | ** | 7,259,548 | ||||||
*
|
Fidelity | Emerging Markets Fund | ** | 396,726 | ||||||
*
|
Fidelity | Equity-Income Fund | ** | 1,978,588 | ||||||
*
|
Fidelity | Equity-Income II Fund | ** | 2,870 | ||||||
*
|
Fidelity | Europe Cap Appreciation Fund | ** | 17,005 |
13
(c) Description of investment including | ||||||||||
(b) Identity of issue, borrower, | maturity date, rate of interest, | |||||||||
(a) | lessor or similar party | collateral, par, or maturity value | (d) Cost | (e) Current value | ||||||
*
|
Fidelity | Europe Fund | ** | 33,321 | ||||||
*
|
Fidelity | Export and Multinational Fund | ** | 69,199 | ||||||
*
|
Fidelity | Fidelity Fund | ** | 46,020 | ||||||
*
|
Fidelity | Fifty Fund | ** | 11,599 | ||||||
*
|
Fidelity | Focused High Inc | ** | 2,688 | ||||||
*
|
Fidelity | Focused Stock Fund | ** | 31,133 | ||||||
*
|
Fidelity | Freedom 2000 Fund | ** | 345,676 | ||||||
*
|
Fidelity | Freedom 2005 Fund | ** | 18,152 | ||||||
*
|
Fidelity | Freedom 2010 Fund | ** | 1,159,583 | ||||||
*
|
Fidelity | Freedom 2015 Fund | ** | 279,402 | ||||||
*
|
Fidelity | Freedom 2020 Fund | ** | 2,210,403 | ||||||
*
|
Fidelity | Freedom 2025 Fund | ** | 375,092 | ||||||
*
|
Fidelity | Freedom 2030 Fund | ** | 2,185,663 | ||||||
*
|
Fidelity | Freedom 2035 Fund | ** | 757,902 | ||||||
*
|
Fidelity | Freedom 2040 Fund | ** | 1,661,060 | ||||||
*
|
Fidelity | Freedom 2045 | ** | 138,818 | ||||||
*
|
Fidelity | Freedom 2050 | ** | 257,599 | ||||||
*
|
Fidelity | Freedom Income Fund | ** | 555,027 | ||||||
*
|
Fidelity | Ginnie Mae Fund | ** | 179,152 | ||||||
*
|
Fidelity | Global Balanced Fund | ** | 4,527 | ||||||
*
|
Fidelity | Government Income Fund | ** | 372,009 | ||||||
*
|
Fidelity | GR Strategies | ** | 33,748 | ||||||
*
|
Fidelity | Growth and Income Fund | ** | 30,556 | ||||||
*
|
Fidelity | Growth Company Fund | ** | 8,038,269 | ||||||
*
|
Fidelity | Independence Fund | ** | 1,942,045 | ||||||
*
|
Fidelity | Inflation Prot Bond Fund | ** | 46,462 | ||||||
*
|
Fidelity | Institutional Shares Int Govt | ** | 18,872 | ||||||
*
|
Fidelity | Intermediate Bond Fund | ** | 12,048 | ||||||
*
|
Fidelity | Intermediate Government Income | ** | 104,389 | ||||||
*
|
Fidelity | International Cap Appreciation | ** | 13,112 | ||||||
*
|
Fidelity | International Discovery Fund | ** | 156,201 | ||||||
*
|
Fidelity | Intl Real Estate | ** | 108,413 | ||||||
*
|
Fidelity | Investment Growth Bond Fund | ** | 13,712 | ||||||
*
|
Fidelity | Japan Fund | ** | 17,559 | ||||||
*
|
Fidelity | Large Cap Growth Fund | ** | 22,409 | ||||||
*
|
Fidelity | Large Cap Stock Fund | ** | 137,101 | ||||||
*
|
Fidelity | Large Cap Value Fund | ** | 69,916 | ||||||
*
|
Fidelity | Latin America Fund | ** | 1,071,847 | ||||||
*
|
Fidelity | Leveraged Company Stock Fund | ** | 618,217 | ||||||
*
|
Fidelity | Low-Priced Stock Fund | ** | 1,870,721 | ||||||
*
|
Fidelity | Mega Cap Stock | ** | 23,971 | ||||||
*
|
Fidelity | Mid Cap Growth Fund | ** | 14,893 | ||||||
*
|
Fidelity | Mid Cap Value Fund | ** | 44,807 | ||||||
*
|
Fidelity | Mid-Cap Stock Fund | ** | 6,526,755 | ||||||
*
|
Fidelity | Mortgage Securities Fund | ** | 7,321 | ||||||
*
|
Fidelity | NASDAQ Comp Index | ** | 3,552 | ||||||
*
|
Fidelity | New Markets Income Fund | ** | 246,333 | ||||||
*
|
Fidelity | OTC Portfolio | ** | 80,785 | ||||||
*
|
Fidelity | Overseas Fund | ** | 178,060 | ||||||
*
|
Fidelity | Pacific Basin Fund | ** | 32,684 | ||||||
*
|
Fidelity | Puritan Fund | ** | 17,962 | ||||||
*
|
Fidelity | Real Estate Income Fund | ** | 88,340 | ||||||
*
|
Fidelity | Real Estate Investment | ** | 127,289 | ||||||
*
|
Fidelity | Short Term Bond Fund | ** | 6,824 | ||||||
*
|
Fidelity | Small Cap Discovery | ** | 1,818,969 |
14
(c) Description of investment including | ||||||||||
(b) Identity of issue, borrower, | maturity date, rate of interest, | |||||||||
(a) | lessor or similar party | collateral, par, or maturity value | (d) Cost | (e) Current value | ||||||
*
|
Fidelity | Small Cap Growth Fund | ** | 18,742 | ||||||
*
|
Fidelity | Small Cap Independent Fund | ** | 17,985 | ||||||
*
|
Fidelity | Small Cap Stock Fund | ** | 71,191 | ||||||
*
|
Fidelity | Small Cap Value Fund | ** | 34,211 | ||||||
*
|
Fidelity | Southeast Asia Fund | ** | 226,624 | ||||||
*
|
Fidelity | Spartan U.S. Equity Index Fund | ** | 4,303,173 | ||||||
*
|
Fidelity | Stock Selector | ** | 11,952 | ||||||
*
|
Fidelity | Strategic Dividend and Income Fund | ** | 2,159 | ||||||
*
|
Fidelity | Strategic Income Fund | ** | 121,406 | ||||||
*
|
Fidelity | Telcom and Utilities Fund | ** | 201,880 | ||||||
*
|
Fidelity | Total Bond Fund | ** | 24,748 | ||||||
*
|
Fidelity | Trend Fund | ** | 18,434 | ||||||
*
|
Fidelity | U.S. Bond Index Fund | ** | 4,369,913 | ||||||
*
|
Fidelity | Ultrashort Bond | ** | 2,730 | ||||||
*
|
Fidelity | Value Fund | ** | 133,274 | ||||||
*
|
Fidelity | Value Strategies Fund | ** | 100,293 | ||||||
*
|
Fidelity | Worldwide Fund | ** | 4,808 | ||||||
Franklin | Small-Mid Cap Growth Fund Class A | ** | 7,457 | |||||||
Hartford | Growth Y | ** | 5,018 | |||||||
Hartford | International Growth Y | ** | 641 | |||||||
JH | Small Company A | ** | 18,565 | |||||||
LD Abbett | Affiliated A | ** | 50,585 | |||||||
LD Abbett | Small Cap Build Class A | ** | 48,196 | |||||||
LM | CBA AGG GR A | ** | 58,604 | |||||||
LM | CBA LC GRO A | ** | 2,058 | |||||||
LM | Value Trust Fidelity Class | ** | 18,752 | |||||||
Loomis | Growth A | ** | 1,587 | |||||||
Loomis | Small Cap Value R | ** | 4,031 | |||||||
Managers | AMG ES LG CP GR | ** | 37 | |||||||
Managers | Bond Fund | ** | 129,326 | |||||||
Managers | Special Equity | ** | 3,461 | |||||||
MSIF | Capital Growth P | ** | 6,511 | |||||||
MSIF | Intl Equity P | ** | 682 | |||||||
MSIF | Value P | ** | 863 | |||||||
MSIFT | Emerging Markets P | ** | 63,600 | |||||||
MSIFT | Mid Cap Growth P | ** | 21,548 | |||||||
Mutual | Global Discovery Fund Class A | ** | 114,508 | |||||||
Mutual | Shares Class A | ** | 48,757 | |||||||
NB | Core Fund Inv | ** | 5,795 | |||||||
NB | Genesis Investment Class | ** | 2,793 | |||||||
NB | Guardian Trust | ** | 178 | |||||||
NB | High Income Bond Investment | ** | 37,409 | |||||||
NB | International Fund Trust | ** | 18,035 | |||||||
NB | Partners Trust Fund | ** | 5,243 | |||||||
NB | Regency Trust | ** | 251 | |||||||
NB | Socially Responsible Trust | ** | 304 | |||||||
PIM | Global Band AD Un-hedged Fund | ** | 47,958 | |||||||
PIMCO | High Yield Administration Class | ** | 12,920 | |||||||
PIMCO | Long Term Government Administrative Class | ** | 50,853 | |||||||
PIMCO | Low DUR Administration Fund | ** | 45,230 | |||||||
PIMCO | Real Return Bond Admin. | ** | 158,241 | |||||||
PIMCO | Total Return Fund Administrative Class | ** | 670,662 | |||||||
Rainier | Small Mid Cap Fund | ** | 91,978 | |||||||
Royce | Total Return SER | ** | 4,254 | |||||||
Royce | Value Plus Ser | ** | 155,264 |
15
(c) Description of investment including | ||||||||||
(b) Identity of issue, borrower, | maturity date, rate of interest, | |||||||||
(a) | lessor or similar party | collateral, par, or maturity value | (d) Cost | (e) Current value | ||||||
RS | Partners Fund A | ** | 32,917 | |||||||
RS | Small Cap Grth A | ** | 3,187 | |||||||
RS | Value Fund | ** | 17,945 | |||||||
SPTN | Extended Market Index | ** | 53,967 | |||||||
SPTN | Total Market Index | ** | 84,588 | |||||||
TCW | Select Equity N | ** | 41 | |||||||
Templeton | Dev Markets Fund Class A | ** | 191,226 | |||||||
Templeton | Foreign Fund Class A | ** | 128,292 | |||||||
Templeton | Foreign Small Company Class A | ** | 19,953 | |||||||
Templeton | Global Bond Fund Class A | ** | 239,259 | |||||||
Templeton | Growth Fund Class A | ** | 17,513 | |||||||
Templeton | World Fund Class A | ** | 6,131 | |||||||
The Oakmark | Equity and Income Fund | ** | 192,406 | |||||||
The Oakmark | Fund I | ** | 36,971 | |||||||
The Oakmark | Select I | ** | 1,122,839 | |||||||
Touchstone | SC SEL GR Z | ** | 34,718 | |||||||
Van Kampen | Equity Income Class A | ** | 52,766 | |||||||
Van Kampen | Growth and Income Fund Class A | ** | 20,207 | |||||||
Virtus | Mid Cap Value A | ** | 15,560 | |||||||
WA | Core Plus Bond Fi | ** | 139 | |||||||
WEST | Asset Core Fi | ** | 2 | |||||||
WFA | C&B Mid Cap Value Fund D | ** | 637 | |||||||
WFA | Mid Cap DSCPLD Investment | ** | 376 | |||||||
WFA | Small Cap Value Investment | ** | 77,912 | |||||||
WFA | Small Co Value A | ** | 207 | |||||||
Total Mutual Funds | 67,385,569 | |||||||||
Money Market Funds | ||||||||||
*
|
Fidelity | Retirement Government Money Market | ** | 7,047,420 | ||||||
*
|
Fidelity | Retirement Money Market Portfolio | ** | 1,577,313 | ||||||
*
|
FMTC | Institutional Cash Portfolio | ** | 226,114 | ||||||
Total Money Market Funds | 8,850,847 | |||||||||
Common Collective Trust Fund | ||||||||||
*
|
Fidelity | Managed Income Portfolio | ** | 59,217 | ||||||
Participant Loans | ||||||||||
*
|
Participant Loans | Interest rates ranging from 4.25% to 9.25% with various maturity dates | 3,191,386 | |||||||
Total Investments | $ | 82,768,211 | ||||||||
* | Party-in-interest to the Plan | |
** | Participant Directed |
16
FLAGSTAR BANK 401(k) PLAN |
||||
June 29, 2010 | By: | /s/ Rebecca A. Lucci | ||
Plan Administrator | ||||
17