T
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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
|
A.
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Full
title of the plan and the address of the plan, if different from that of
issuer named below:
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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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Report
of Independent Registered Public Accounting Firm
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Financial
Statements
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Statements
of Assets Available for Benefits
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Statements
of Changes in Assets Available for Benefits
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Notes
to Financial Statements
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Supplemental
Schedule
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Schedule
H, Line 4i – Schedule of Assets (Held at End of Year)
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Exhibit
Index
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Exhibit
23.1 Consent of Independent Registered Public Accounting
Firm
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CENTRAL
PACIFIC BANK
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|||||||
401(k)
RETIREMENT SAVINGS PLAN
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|||||||
Statements
of Assets Available for Benefits
|
|||||||
December
31, 2008 and 2007
|
|||||||
2008
|
2007
|
||||||
Investments,
at fair value (notes 3 and 4):
|
|||||||
Mutual
funds
|
$ | 43,394,602 | $ | 61,525,332 | |||
Common
stock fund
|
10,114,998 | 19,273,294 | |||||
Collective
trust fund
|
20,452,508 | 14,568,957 | |||||
Total
investments
|
73,962,108 | 95,367,583 | |||||
Participant loans | 1,242,857 | 1,165,129 | |||||
Receivables
(note 8):
|
|||||||
Employer’s
matching contribution
|
21,477 | 474,444 | |||||
Employer’s
profit sharing contribution
|
— | 953,962 | |||||
Participants’
contribution
|
— | 123,715 | |||||
Accrued
interest
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— | 53,962 | |||||
Total
receivables
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21,477 | 1,606,083 | |||||
Assets
reflecting all investments at fair value
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75,226,442 | 98,138,795 | |||||
Adjustment
to contract value for fully benefit-responsive
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|||||||
investment
(notes 2 and 3)
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267,381 | (110,235 | ) | ||||
Assets
available for benefits
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$ | 75,493,823 | $ | 98,028,560 | |||
See
accompanying notes to financial statements.
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CENTRAL
PACIFIC BANK
|
|||||||
401(k)
RETIREMENT SAVINGS PLAN
|
|||||||
Statements
of Changes in Assets Available for Benefits
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|||||||
Years
ended December 31, 2008 and 2007
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|||||||
2008
|
2007
|
||||||
Investment
loss:
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|||||||
Net depreciation in fair value of investments (note 3) | $ | (27,916,428 | ) | $ | (20,863,790 | ) | |
Dividend
income
|
2,544,262 | 4,454,500 | |||||
Interest
income
|
787,806 | 645,639 | |||||
Total
investment loss
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(24,584,360 | ) | (15,763,651 | ) | |||
Contributions:
|
|||||||
Participant | 3,770,208 | 3,734,222 | |||||
Employer
– 401(k) matching
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1,817,191 | 1,771,792 | |||||
Rollovers | 600,931 | 196,432 | |||||
Employer
– profit sharing
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— | 953,962 | |||||
Total
contributions
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6,188,330 | 6,656,408 | |||||
(18,396,030 | ) | (9,107,243 | ) | ||||
Deductions:
|
|||||||
Benefits
paid
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(4,074,088 | ) | (5,104,996 | ) | |||
Administrative
expenses (note 4)
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(64,619 | ) | (6,903 | ) | |||
(4,138,707 | ) | (5,111,899 | ) | ||||
Net
decrease before transfer from other plan
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(22,534,737 | ) | (14,219,142 | ) | |||
Transfer
from other plan (note 1)
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— | 1,568,032 | |||||
Net
decrease
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(22,534,737 | ) | (12,651,110 | ) | |||
Assets
available for benefits:
|
|||||||
Beginning
of year
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98,028,560 | 110,679,670 | |||||
End of year | $ | 75,493,823 | $ | 98,028,560 | |||
See
accompanying notes to financial statements.
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(1)
|
Description
of the Plan
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(a)
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General
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(b)
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Participant
Contributions
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(c)
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Employer
Contributions – 401(k)
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(d)
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Employer
Contributions – Profit Sharing
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(e)
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Employer
Contributions – Employee Stock Ownership
Plan
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(f)
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Participants’
Accounts and Forfeitures
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(g)
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Vesting
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(h)
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Loans
to Participants
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(i)
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Payment
of Benefits
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(j)
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Administration
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(2)
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Summary
of Significant Accounting Policies
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(a)
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Basis
of Accounting
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(b)
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Use
of Estimates
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(c)
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Recently
Issued Accounting Standards
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(d)
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Investment
Valuation and Income Recognition
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Level
1
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Level
2
|
Level
3
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Total
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|||||||||||
Mutual
funds
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$ | 43,394,602 | $ | - | $ | - | $ | 43,394,602 | ||||||
Common
stock fund
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10,114,998 | - | - | 10,114,998 | ||||||||||
Collective
trust fund
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- | 20,452,508 | - | 20,452,508 | ||||||||||
$ | 53,509,600 | $ | 20,452,508 | $ | - | $ | 73,962,108 |
(e)
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Payment
of Benefits
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(f)
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Risks
and Uncertainties
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(3)
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Investments
|
2008
|
2007
|
|||||||
Mutual
funds:
|
||||||||
Vanguard
PRIMECAP Fund
|
$ | 6,859,901 | $ | 10,089,113 | ||||
Vanguard
Target Retirement 2020 Fund
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4,518,418 | 6,366,920 | ||||||
Vanguard
Growth and Income Fund
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3,001,534 | 5,310,674 | ||||||
Vanguard
Total International Stock Index Fund
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2,758,192 | 6,265,104 | ||||||
American
Century Value Fund
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— | 5,985,814 | ||||||
Others
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26,256,557 | 27,507,707 | ||||||
43,394,602 | 61,525,332 |
Common
stock fund – Central Pacific Financial Corp. stock fund
|
10,114,998 | 19,273,294 | ||||||
Collective
trust fund – Vanguard Retirement Savings Trust, at fair
value
|
20,452,508 | 14,568,957 | ||||||
Adjustment
from fair value to contract value
|
267,381 | (110,235 | ) | |||||
Collective
trust fund, at contract value
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20,719,889 | 14,458,722 | ||||||
Total
investments
|
$ | 74,229,489 | $ | 95,257,348 |
2008
|
2007
|
||||||
Central
Pacific Financial Corp. stock fund
|
$ | (8,403,516 | ) | $ | (21,008,870 | ) | |
Mutual
funds
|
(19,512,912 | ) | 145,080 | ||||
$ | (27,916,428 | ) | $ | (20,863,790 | ) |
(4)
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Related-Party
Transactions
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(5)
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Plan
Termination
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(6)
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Tax
Status
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(7)
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Plan
Amendments
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(8)
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Technical
Plan Compliance Issues
|
Schedule
|
|||||
CENTRAL
PACIFIC BANK
|
|||||
401(k)
RETIREMENT SAVINGS PLAN
|
|||||
Schedule
H, Line 4i – Schedule of Assets (Held at End of Year)
|
|||||
December
31, 2008
|
|||||
|
|||||
(c)
|
|||||
(b)
|
Description
of investment, including
|
(d)
|
|||
Identity
of issue, borrower,
|
maturity
date, rate of interest,
|
Current
|
|||
(a)
|
lessor,
or similar party
|
collateral,
par, or maturity value
|
value
|
||
*
|
Vanguard
PRIMECAP Fund
|
Mutual
fund, 154,017 shares
|
$ | 6,859,901 | |
*
|
Vanguard
Target Retirement 2020 Fund
|
Mutual
fund, 272,687 shares
|
4,518,418 | ||
*
|
Vanguard
Target Retirement 2015 Fund
|
Mutual
fund, 367,636 shares
|
3,510,921 | ||
Dodge and
Cox Stock Fund
|
Mutual
fund, 45,110 shares
|
3,354,802 | |||
*
|
Vanguard
Long-Term Investment Grade
|
||||
Fund
Investor Shares
|
Mutual
fund, 361,748 shares
|
3,154,439 | |||
*
|
Vanguard
Growth and Income Fund
|
Mutual
fund, 154,321 shares
|
3,001,534 | ||
*
|
Vanguard
Target Retirement 2010 Fund
|
Mutual
fund, 162,429 shares
|
2,860,370 | ||
*
|
Vanguard
Total International Stock
|
||||
Index
Fund
|
Mutual
fund, 255,625 shares
|
2,758,192 | |||
*
|
Vanguard
Target Retirement 2025 Fund
|
Mutual
fund, 274,343 shares
|
2,543,157 | ||
*
|
Vanguard
Total Bond Market Index Fund
|
Mutual
fund, 231,605 shares
|
2,357,740 | ||
Schroder
U.S. Opportunities Fund
|
Mutual
fund, 144,590 shares
|
2,168,850 | |||
*
|
Vanguard
Total Stock Market Index
|
||||
Fund
Investor Shares
|
Mutual
fund, 85,356 shares
|
1,860,763 | |||
*
|
Vanguard
Target Retirement 2030 Fund
|
Mutual
fund, 87,667 shares
|
1,362,339 | ||
*
|
Vanguard
Target Retirement 2005 Fund
|
Mutual
fund, 135,921 shares
|
1,317,075 | ||
*
|
Vanguard
Target Retirement 2035 Fund
|
Mutual
fund, 96,611 shares
|
893,651 | ||
*
|
Vanguard
Target Retirement 2040 Fund
|
Mutual
fund, 21,503 shares
|
325,337 | ||
*
|
Vanguard
Target Retirement Income
|
Mutual
fund, 22,592 shares
|
215,073 | ||
*
|
Vanguard
Target Retirement 2050 Fund
|
Mutual
fund, 13,520 shares
|
205,234 | ||
*
|
Vanguard
Target Retirement 2045 Fund
|
Mutual
fund, 13,250 shares
|
126,806 | ||
Total
mutual funds
|
43,394,602 | ||||
*
|
Central
Pacific Financial Corp.
|
||||
stock
fund
|
Common
stock fund, 1,007,470 units
|
10,114,998 | |||
*
|
Vanguard
Retirement Savings Trust
|
Collective
trust fund, 20,719,889 units
|
|||
at contract value, fair value of
|
|||||
$20,452,508
|
20,719,889 | ||||
*
|
Participant
loans
|
158
total loans, with interest rates from
|
|||
3.93% to 9.00%, maturing in years
|
|||||
beginning in 2009 through 2023
|
1,242,857 | ||||
$ | 75,472,346 | ||||
*
Party-in-interest.
|
|||||
See
accompanying report of independent registered public accounting
firm.
|
CENTRAL
PACIFIC BANK 401(k) RETIREMENT SAVINGS PLAN
|
||
Date: June
24, 2009
|
By:
|
/s/ Karen
Street
|
Karen
Street
|
||
Executive
Vice President and Director of Human
Resources
|
Exhibit
No.
|
Description
|
23.1
|
Consent
of Independent Registered Public Accounting
Firm
|