(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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A. | Full title of the plan and the address of the plan, if different from that of the issuer named below: |
B.
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Name
of issuer of the securities held pursuant to the plan and the
address of
its principal executive
office:
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1
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Financial
Statements
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|
2
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|
3
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4-7
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Supplementary
Information
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8
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9
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December
31,
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2006
|
2005
|
|||||||
Assets | ||||||||
Investments,
At Fair Value (Note 3)
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$ |
29,331,321
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$ |
28,141,742
|
||||
Receivables
|
||||||||
Participant
contributions
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66,410
|
64,651
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||||||
Employer
contributions
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76,504
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166,903
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||||||
Interest
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61,121
|
54,845
|
||||||
Due
from brokers
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--
|
4,500
|
||||||
Total
Receivables
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204,035
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290,899
|
||||||
Cash
|
41,631
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35,683
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||||||
Net Assets Available For Benefits | $ |
29,576,987
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$ |
28,468,324
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See the accompanying notes to financial statements. |
Page 2
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For
The Years
Ended
December 31,
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2006
|
2005
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|||||||
Additions To Net Assets Attributed To: | ||||||||
Investment
Income
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||||||||
Net
appreciation in fair value of
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||||||||
investments
(Note 3)
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$ |
2,935,004
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$ |
717,941
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||||
Interest
and dividends
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65,709
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56,483
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||||||
Net
Investment Income
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3,000,713
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774,424
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||||||
Contributions
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||||||||
Participant
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2,138,770
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2,319,845
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||||||
Employer
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718,291
|
822,349
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||||||
Participant
rollover
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272,651
|
751,072
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||||||
Total
Contributions
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3,129,712
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3,893,266
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||||||
Other
Income
|
--
|
5,171
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||||||
Total
Additions
|
6,130,425
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4,672,861
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||||||
Deductions From Net Assets Attributed To: | ||||||||
Benefits
paid directly to participants
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5,007,090
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5,054,081
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||||||
Other
expenses
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14,672
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7,600
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||||||
Total
Deductions
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5,021,762
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5,061,681
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||||||
Net Increase (Decrease) |
1,108,663
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(388,820 | ) | |||||
Net Assets Available For Benefits- | ||||||||
Beginning
Of Year
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28,468,324
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28,857,144
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||||||
Net Assets Available For Benefits- | ||||||||
End
Of Year
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$ |
29,576,987
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$ |
28,468,324
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See the accompanying notes to financial statements. |
Page 3
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1.
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Description
Of The Plan
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2.
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Summary
Of Significant Accounting
Policies
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3.
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Investments
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December
31,
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||||||||
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2006
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2005
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||||||
American
Balanced Fund
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$ |
2,455,837
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$ |
2,483,798
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||||
Washington
Mutual Investors Fund
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6,257,572
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6,465,204
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||||||
M&I
Stable Principal Fund
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13,661,486
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13,309,089
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For
The Years
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||||||||
Ended
December 31,
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||||||||
2006
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2005
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|||||||
Mutual
funds
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$ |
2,410,233
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$ |
1,117,597
|
||||
Common
stock
|
524,771
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(399,656 | ) | |||||
$ |
2,935,004
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$ |
717,941
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4.
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Income
Tax Status
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5.
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Plan
Termination
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6.
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Related
Party Transactions
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(b)
Identity of Issue,
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(c)
Description Of Investment Including
|
||
Borrower,
Lessor, Or
|
Maturity
Date, Rate Of Interest,
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(e)
Current
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(a) |
Similar
Party
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Collateral,
Par, Or Maturity Value
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Value
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Common Stock | |||
* |
Angelica
Corporation
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Common Stock |
$
1,285,795
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Mutual Funds | |||
American
Funds
|
Balanced Fund |
2,455,837
|
|
American
Funds
|
Washington Mutual Investors Fund |
6,257,572
|
|
American
Funds
|
EuroPacific Growth Fund |
1,365,160
|
|
Calamos
Advisors
|
Calamos Growth Fund |
824,196
|
|
Fidelity
|
Advisor Strategic Income Fund |
495,878
|
|
Vanguard
Group
|
Vanguard 500 Index Fund |
1,409,782
|
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Managers
Investments
|
Managers Special Equity Fund |
786,595
|
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Total
Mutual Funds
|
13,595,020
|
||
Money Market And Securities | |||
Due
In 1 Year
|
|||
* |
Marshall
& Ilsley
|
M&I Stable Principal Fund |
13,661,486
|
Money Market | Cash |
41,631
|
|
Participant Loans | Interest rates ranging from 4.5% - 10%, due | ||
at
various dates through March 2026
|
789,020
|
||
$29,372,952
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THE
ANGELICA CORPORATION
|
|
RETIREMENT
SAVINGS PLAN
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By: /s/
James W. Shaffer
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James
W. Shaffer, Member, Retirement
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Savings
Plan Administrator Committee; and
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Vice
President, Chief Financial Officer of
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Angelica
Corporation
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Exhibit No. | Description |
23.1
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Consent
of RubinBrown LLP, Independent Registered Public Accounting
Firm
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