Page
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REPORT
OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM
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1
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FINANCIAL
STATEMENTS AS OF DECEMBER 31, 2005 AND 2004 AND
FOR THE YEAR ENDED DECEMBER 31, 2005:
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Statements
of Net Assets Available for Plan Benefits
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2
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Statement
of Changes in Net Assets Available for Plan Benefits
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3
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Notes
to Financial Statements
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4-8
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SUPPLEMENTAL
SCHEDULES:
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Form
5500, Schedule H, Part IV, Line 4i - Schedule of Assets (Held At
End Of
Year) as
of December 31, 2005
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9
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SIGNATURES
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10
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2005
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2004
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INVESTMENTS,
AT FAIR VALUE (Notes 1(f), 2(d) and 4):
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Fixed Income Funds:
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PIMCO Total Return Administrative Fund
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$1,210,500
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$1,115,054
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Total fixed income funds
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1,210,500
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1,115,054
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Equity Funds:
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Alger Mid Cap Growth Retirement Portfolio Fund
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837,065
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676,174
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American Century International Growth Fund
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-
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324,950
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RSI Retirement Trust International Equity Fund
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534,297
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-
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American Century Ultra Fund
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221,660
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173,990
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SSGA S&P 500 Index Fund
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1,517,164
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1,403,141
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Neuberger Berman Genesis Fund Trust
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1,794,069
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1,308,431
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RSI Retirement Trust Value Equity Fund
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1,138,389
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957,759
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Total equity funds
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6,042,644
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4,844,445
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Asset Allocation funds:
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RS Group Trust Co. Aggressive Asset Allocation
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23,984
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29,418
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RS Group Trust Co. Conservative Asset Allocation
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38,595
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19,046
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RS Group Trust Co. Moderate Asset Allocation
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336,768
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337,220
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Total asset allocation funds
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399,347
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385,684
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INVESTMENTS,
AT CONTRACT VALUE (Notes 1(f), 2(d) and 4):
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RS
Group Trust Co. Stable Value Fund
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5,037,452
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4,449,764
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Dime
Community Bancshares, Inc. Common Stock Fund
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Stock Investment
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8,082,047
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10,146,785
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RS Group Federal Prime Obligation
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187,544
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291,059
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8,269,591
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10,437,844
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Participant
Loans (Note 1(h))
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397,122
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377,979
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TOTAL
INVESTMENTS
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21,356,656
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21,610,770
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DUE
FROM THE EMPLOYEE STOCK OWNERSHIP PLAN OF DIME COMMUNITY
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BANCSHARES, INC.AND CERTAIN AFFILIATES ("ESOP") (Note
1(c))
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397,837 |
409,036
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INTEREST
RECEIVABLE
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-
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-
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FORFEITURE
CASH BALANCE
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3,204
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684
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LIABILITIES:
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Payable
for fund purchases
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(38,656)
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-
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NET
ASSETS AVAILABLE FOR PLAN BENEFITS
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$21,719,041
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$22,020,490
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ADDITIONS:
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2005
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Investment income (loss):
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Net appreciation (depreciation) in fair value of
investments:
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Fixed income funds
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$18,144
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Equity funds
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342,985
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Asset allocation funds
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24,233
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Employer stock fund
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(1,852,692)
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Total net depreciation in fair value of investments
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(1,467,330)
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Interest and dividend income
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708,166
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Investment loss, net
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(759,164)
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Participant contributions
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1,289,134
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Net change in contributions receivable from the Employee
Stock Ownership Plan
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(11,199)
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Total additions, net
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518,771
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DEDUCTIONS:
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Benefits paid to participants
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800,226
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Administrative expenses
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19,994
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Total deductions
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820,220
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NET
DECREASE
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(301,449)
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NET
ASSETS AVAILABLE FOR PLAN BENEFITS:
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Beginning of year
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22,020,490
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End of year
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$21,719,041
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December
31, 2005
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December
31, 2004
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Units
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Current
Value
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Units
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Current
Value
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PIMCO
Total Return Administrative Fund
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115,286
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$1,210,500
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104,504
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$1,115,054
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SSGA
S&P 500 Index Fund
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73,828
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1,517,164
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70,262
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1,403,141
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Neuberger
Berman Genesis Fund Trust
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36,953
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1,794,069
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30,607
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1,308,431
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RS
Group Trust Co. Stable Value Fund
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147,735
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5,037,452
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135,280
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4,449,764
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RSI
Retirement Trust Value Equity Fund (a)
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11,197
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1,138,389
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10,035
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957,759
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Dime
Community Bancshares, Inc. Common Stock Fund
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553,186
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8,269,591
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566,543
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10,437,844
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(a) |
The
current value of the investment did not exceed 5% of the net assets
available for plan benefits as of December 31,
2004.
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PIMCO
Total Return Administrative Fund
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(30,367)
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Alger
Mid Cap Growth Retirement Portfolio Fund
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986
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American
Century International Growth Fund
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38,523
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RSI
Retirement Trust International Equity Fund
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22,532
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American
Century Ultra Fund
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7,122
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SSGA
S&P 500 Index Fund
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43,982
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Neuberger
Berman Genesis Fund Trust
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206,806
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RSI
Retirement Trust Value Equity Fund
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71,546
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RS
Group Trust Co. Aggressive Asset Allocation
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1,849
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RS
Group Trust Co. Conservative Asset Allocation
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1,441
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RS
Group Trust Co. Moderate Asset Allocation
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20,943
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Dime
Community Bancshares, Inc. Common Stock Fund
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(1,852,693)
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Net
depreciation in fair value of investments
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$(1,467,330)
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(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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Party
In
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Current
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Interest
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Identity
of Issuer
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Description
of Investments
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Cost
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Value
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REGISTERED
INVESTMENT COMPANIES:
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*
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RSI
Retirement Trust
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Value
Equity Fund
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**
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$1,138,389
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*
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RSI
Retirement Trust
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International
Equity Fund
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**
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534,297
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Alger
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Mid
Cap Growth Retirement Portfolio Fund
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**
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837,065
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PIMCO
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Total
Return Administrative Fund
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**
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1,210,500
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American
Century
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International
Growth Fund
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**
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-
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American
Century
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Ultra
Fund
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**
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221,660
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SSGA
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S&P
500 Index Fund
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**
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1,517,164
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Neuberger
Berman
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Genesis
Fund Trust
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**
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1,794,069
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Total
Registered Investment Companies
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$7,253,144
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COMMON/
COLLECTIVE TRUSTS:
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*
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RS
Group Trust Co.
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Conservative
Asset Allocation
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**
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38,595
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*
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RS
Group Trust Co.
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Moderate
Asset Allocation
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**
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336,768
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*
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RS
Group Trust Co.
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Aggressive
Asset Allocation
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**
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23,984
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*
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RS
Group Trust Co.
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Stable
Value Fund
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**
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5,037,452
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Total
Common/ Collective Trusts
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$5,436,799
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EMPLOYER
SECURITIES
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*
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Dime
Community Bancshares, Inc.
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Common
Stock Fund - Common
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**
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8,082,047
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INTEREST
BEARING CASH (INCLUDING MONEY MARKET ACCOUNTS AND CERTIFICATES OF
DEPOSIT):
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*
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RSI
Group Trust Co.
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Federal
Prime Obligation
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**
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187,544
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PARTICIPANT
LOANS:
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*
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Employee
Loans Receivable
(78 loans with interest rates ranging from 5.00% to
10.50%, and maturities ranging from February 2006
through September 2015).
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**
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397,122
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TOTAL
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$21,356,656
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