A. |
Full
title of the plan and the address of the plan, if different from
that of
the issuer named below:
|
B. |
Name
of issuer of the securities held pursuant of the plan and the address
of
its principal executive office:
|
Page
|
||
REPORT
OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM
|
1
|
|
FINANCIAL
STATEMENTS:
|
||
Statements
of Net Assets Available for Benefits as of December 31, 2005 and
2004
|
2
|
|
Statements of Changes in Net Assets Available for Benefits for the
Years
Ended December 31,
2005 and 2004
|
3
|
|
Notes
to Financial Statements as of and for the Years Ended December 31,
2005 and 2004
|
4-9
|
|
SUPPLEMENTAL
SCHEDULES:
|
||
Form 5500,
Schedule H, Part IV, Line 4i—Schedule of Assets (Held at
End of Year) as
of December 31, 2005
|
10
|
|
Form 5500,
Schedule H, Part IV, Question 4a—Delinquent Participant
Contributions for
the Year Ended
December 31,
2005
|
11
|
|
NOTE:
|
All
other schedules required by Section 2520.103-10 of the Department of
Labor’s Rules and Regulations for Reporting and Disclosure under the
Employee Retirement Income Security Act of 1974 have been omitted
because they are not applicable.
|
SOUTH
JERSEY INDUSTRIES, INC. 401(K) PLAN
|
|||||||
STATEMENTS
OF NET ASSETS AVAILABLE FOR BENEFITS
|
|||||||
DECEMBER
31, 2005 AND 2004
|
|||||||
ASSETS
|
2005
|
|
|
2004
|
|||
INVESTMENTS:
|
|||||||
Cash
|
$
|
45,960
|
$
|
45,304
|
|||
South
Jersey Industries, Inc. common stock - at fair value
|
75,355,057
|
70,692,113
|
|||||
Mutual
Funds - at fair value
|
11,403,929
|
9,069,718
|
|||||
Common/Collective
Trusts - at fair value
|
2,733,968
|
2,565,470
|
|||||
Participant
Loan Funds
|
329,277
|
214,434
|
|||||
Pending
Settlement Fund
|
58,702
|
-
|
|||||
Total
investments
|
89,926,893
|
82,587,039
|
|||||
CONTRIBUTIONS
RECEIVABLE:
|
|||||||
Participants
|
253,766
|
238,932
|
|||||
Employer
|
75,929
|
68,758
|
|||||
Total
contributions receivable
|
329,695
|
307,690
|
|||||
NET
ASSETS AVAILABLE FOR BENEFITS
|
$
|
90,256,588
|
$
|
82,894,729
|
|||
See
notes to financial statements.
|
|||||||
SOUTH
JERSEY INDUSTRIES, INC. 401(K) PLAN
|
|||||||
STATEMENTS
OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS
|
|||||||
YEARS
ENDED DECEMBER 31, 2005 AND 2004
|
|||||||
|
2005
|
|
|
2004
|
|||
ADDITIONS:
|
|||||||
Dividends
and
interest
|
$
|
2,971,386
|
$
|
2,553,419
|
|||
Net
appreciation in fair value of investments
|
7,493,525
|
16,845,465
|
|||||
Participant
contributions
|
3,430,083
|
3,251,573
|
|||||
Employer
contributions
|
1,026,543
|
957,116
|
|||||
Total
additions
|
14,921,537
|
23,607,573
|
|||||
DEDUCTIONS:
|
|||||||
Benefits
paid
to participants
|
7,558,938
|
3,063,711
|
|||||
Administration
Fees
|
740
|
122
|
|||||
Total
deductions
|
7,559,678
|
3,063,833
|
|||||
INCREASE
IN NET ASSETS
|
7,361,859
|
20,543,740
|
|||||
NET
ASSETS AVAILABLE FOR BENEFITS - Beginning of year
|
82,894,729
|
62,350,989
|
|||||
|
|||||||
NET
ASSETS AVAILABLE OR BENEFITS - End of year
|
$
|
90,256,588
|
$
|
82,894,729
|
|||
See
notes to financial statements.
|
|||||||
1.
|
DESCRIPTION
OF THE PLAN
|
Name
|
Objective
|
|
South
Jersey Industries, Inc. Common Stock
|
Growth
& Income
|
|
Merrill
Lynch Retirement Preservation Trust
|
Capital
Preservation
|
|
Manager
Special Equity Fund
|
Growth
|
|
JP
Morgan Large Cap Equity Growth Fund
|
Growth
& Income
|
|
ING
International Value Fund
|
Growth
|
|
Merrill
Lynch Bond Fund
|
Growth
& Income
|
|
Merrill
Lynch Basic Value Fund
|
Growth
& Income
|
|
Merrill
Lynch S&P 500 Index Fund
|
Growth
& Income
|
|
Lord
Abbett Mid Cap Value Fund
|
Growth
|
2.
|
SUMMARY
OF SIGNIFICANT ACCOUNTING
POLICIES
|
3.
|
INVESTMENTS
|
December
31
|
|||||||
2005
|
2004
|
||||||
South
Jersey Industries, Inc. common stock
|
$
|
75,355,057
|
$
|
70,692,113
|
2005
|
2004
|
||||||
South
Jersey Industries, Inc. common stock
|
$
|
7,483,412
|
$
|
16,137,896
|
|||
Mutual
Funds
|
49,938
|
701,529
|
|||||
Bond
Funds
|
(39,825
|
)
|
6,040
|
||||
Total
|
$
|
7,493,525
|
$
|
16,845,465
|
4.
|
PLAN
TERMINATION
|
5.
|
EXEMPT
PARTY-IN-INTEREST
TRANSACTIONS
|
6.
|
FEDERAL
INCOME TAX STATUS
|
7.
|
NONEXEMPT
PARTY-IN-INTEREST
TRANSACTION
|
Contribution
Date
|
Amount
|
Remittance
Date
|
|
May
2005
|
$
277,549
|
June
22, 2005
|
|
October
2005
|
$
261,289
|
December
2, 2005
|
|
November
2005
|
$
263,608
|
December
22, 2005
|
SOUTH
JERSEY INDUSTRIES, INC. 401(K) PLAN
|
||||||||||
SCHEDULE
H, PART IV, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF
YEAR)
|
||||||||||
AS
OF DECEMBER 31, 2005
|
||||||||||
Identity
of
|
|
|
|
|
|
|
|
Current
|
|
|
Party
Involved
|
|
|
Description
of Asset
|
|
|
Cost
|
|
|
Value
|
|
*
Merrill Lynch Trust
|
Cash
|
$
|
45,960
|
$
|
45,960
|
|||||
*
South Jersey Industries, Inc.
|
South
Jersey Industries, Inc. common stock
|
69,783,995
|
75,355,057
|
|||||||
*
Merrill Lynch Trust
|
ML
Retirement Preservation Trust
|
2,323,994
|
2,323,993
|
|||||||
*
Merrill Lynch Trust
|
ML
Retirement Preservation Trust GM
|
409,975
|
409,975
|
|||||||
*
Merrill Lynch Trust
|
Managers
Spec Equity fund
|
372,494
|
359,264
|
|||||||
*
Merrill Lynch Trust
|
Managers
Spec Equity GM
|
650,397
|
627,517
|
|||||||
*
Merrill Lynch Trust
|
Mercury
TTL Ret BD Distributor
|
2
|
2
|
|||||||
*
Merrill Lynch Trust
|
JP
Morgan EQUITY Growth
|
564,794
|
587,323
|
|||||||
*
Merrill Lynch Trust
|
JP
Morgan EQUITY Growth GM
|
613,236
|
656,873
|
|||||||
*
Merrill Lynch Trust
|
JP
Morgan EQUITY Growth
|
(2,615
|
)
|
-
|
||||||
*
Merrill Lynch Trust
|
JP
Morgan EQUITY Growth GM
|
12,792
|
-
|
|||||||
*
Merrill Lynch Trust
|
ING
International Value Fund CL A
|
1,479,873
|
1,492,847
|
|||||||
*
Merrill Lynch Trust
|
ING
International Value Fund CL A GM
|
1,303,282
|
1,316,455
|
|||||||
*
Merrill Lynch Trust
|
ML
Basic Value Fund CL A
|
792,360
|
778,449
|
|||||||
*
Merrill Lynch Trust
|
ML
Basic Value Fund CL A GM
|
646,133
|
635,288
|
|||||||
*
Merrill Lynch Trust
|
ML
Bond Fund - Core BD Port A
|
676,373
|
664,700
|
|||||||
*
Merrill Lynch Trust
|
ML
Bond FD - Core BD PRT CL A GM
|
1,238,698
|
1,219,010
|
|||||||
*
Merrill Lynch Trust
|
ML
S&P 500 Index Fund CL I
|
1,664,231
|
1,713,249
|
|||||||
*
Merrill Lynch Trust
|
Lord
Abbt Mid Cap Val CL P
|
772,079
|
757,671
|
|||||||
*
Merrill Lynch Trust
|
Lord
Abbt Mid Cap Val P GM
|
601,058
|
595,281
|
|||||||
*
Plan Participants
|
Participant
Loan Fund (maturing
2006-2015
|
329,277
|
329,277
|
|||||||
at
interest rates of 5.00%- 7.75%)
|
||||||||||
*
Merrill Lynch Trust
|
Pending
Settlement Fund
|
58,702
|
58,702
|
|||||||
$
|
84,337,090
|
$
|
89,926,893
|
|||||||
*
Indicates party-in-interest to the Plan.
|
||||||||||
SOUTH
JERSEY INDUSTRIES, INC. 401(K) PLAN
|
||||||||||
FORM
5500, SCHEDULE H, PART IV, QUESTION 4a—
|
||||||||||
DELINQUENT
PARTICIPANT CONTRIBUTIONS
|
||||||||||
FOR
THE YEAR ENDED DECEMBER 31, 2005
|
||||||||||
Question
4a "Did the employer fail to transmit to the plan any participant
contributions within the time period described
|
||||||||||
in
29 CFR 2510.3-102," was answered "yes."
|
||||||||||
Identity
of Party
|
|
|
Relationship
to Plan, Employer,
|
|
|
|
|
|
|
|
Involved
|
or
Other Party-in-Interest
|
Description
of Transactions
|
Amount
|
|||||||
South
Jersey Industries, Inc.
|
Employer/Plan
Sponsor
|
Participant
contributions for employees
were not
funded within the
time period prescribed by D.O.L. Regulation
2510.3-102.
|
||||||||
The
May 2005 participant contributions were deposited on June
22, 2005.
|
$
|
277,549
|
||||||||
The
October 2005 participant contributions were deposited on December
2, 2005.
|
$
|
261,289
|
||||||||
The
November 2005 participant contributions were deposited on December
22, 2005.
|
$
|
263,608
|
||||||||