[X]
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ANNUAL
REPORT PURSUANT TO SECTION 15(d) OF THE
SECURITIES EXCHANGE ACT OF 1934
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For
the fiscal year ended December 31,
2004
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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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For
the transition period from ___________ to
______________
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A.
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Full
title of the plan and the address of the plan, if
different from that of the 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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Page
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Report
of Independent Registered Public Accounting
Firm
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1
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Statements
of Net Assets Available for Benefits as of December
31, 2004 and 2003
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2
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Statements
of Changes in Net Assets Available for Benefits for
the years ended December 31, 2004 and 2003
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3
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Notes
to Financial Statements
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4
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Form
5500, Schedule H - Schedule of Assets Held for
Investment Purposes (December 31, 2004)
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10
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Exhibits
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Exhibit
23 Consent of Independent Registered Public
Accounting Firm
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CELADON
GROUP, INC.
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401(K)
EMPLOYEE SAVINGS PLAN
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Statements
of Net Assets Available for Benefits
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December
31, 2004 and 2003
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2004
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2003
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Assets
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Cash
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$
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28,001
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$
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787
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Investments At Fair Value
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11,504,546
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9,426,090
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Contribution Receivable - Employee
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222,446
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168,017
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Contribution Receivable - Employer
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104,803
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93,461
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Other Assets - Accrued Income
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11,406
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10,388
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Total Assets
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11,871,202
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9,698,743
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Liabilities
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Excess Match
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—
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23,594
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Net assets available for benefits
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$
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11,871,202
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$
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9,675,149
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See
accompanying notes to financial
statements.
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CELADON
GROUP, INC.
401(K)
EMPLOYEE SAVINGS PLAN
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Statements
of Changes in Net Assets Available for Benefits
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December
31, 2004 and 2003
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2004
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2003
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Additions:
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Investment
Income
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Interest
and dividends
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$
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292,034
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$
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164,054
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Realized
gain on sale of assets
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385,341
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585,629
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Net
appreciation on investments
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417,378
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653,869
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Total
investment income
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1,094,753
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1,403,552
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Contributions
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Participant
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2,344,532
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2,082,117
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Employer
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427,224
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328,218
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Rollovers
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262,524
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269,772
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Forfeitures
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(74,977
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)
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(69,279
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)
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Total
contributions
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2,959,303
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2,610,828
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Total
Additions
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4,054,056
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4,014,380
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Deductions:
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Participants'
benefits
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1,837,978
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1,871,644
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Administrative
fees
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20,025
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16,616
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Total
Deductions
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1,858,003
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1,888,260
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Net
increase
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2,196,053
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2,126,120
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Net
assets available at beginning of year
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9,675,149
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7,549,029
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Net
assets available at end of year
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$
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11,871,202
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$
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9,675,149
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See
accompanying notes to financial
statements.
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December
31, 2004
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ML
Retirement Preservation Trust
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$3,350,617
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Fidelity
Advance Growth & Income Class T
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$
911,860
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Celadon
Group, Inc. Common Stock
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$
662,567
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December
31, 2003
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ML
Retirement Preservation Trust
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$3,139,366
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Fidelity
Advance Growth & Income Class T
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$
926,687
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ML
Bond Fund Intermediate Term Class A GM
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$
695,936
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Net
assets available for benefits per the financial statements
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$11,871,202
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Amounts
allocated to withdrawing participants
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(29,719)
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Net
Assets available for benefits per Schedule H to the Form
5500
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$11,841,483
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Benefits
paid to participants per the financial statements
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$1,837,978
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Add:
Amounts allocated to withdrawing participants at December
31, 2004
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29,719
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Less:
Amounts allocated to withdrawing participants at December
31, 2003
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0
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Benefits
paid to participants per Schedule H of Form 5500
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$1,867,697
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Net
Assets Available for Benefits, Beginning of Year
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As
previously
reported
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$9,581,688
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Adjustment
for understatement of
employer contribution receivable
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93,461
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Balance
at December 31, 2003, as
restated
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$9,675,149
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Net
increase in plan assets, as
restated
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$2,126,120
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401(K)
EMPLOYEE SAVINGS PLAN
Plan
Number 001, EIN 13-3361050
Form
5500, Schedule H
Schedule
of Assets Held for Investment
Purposes
December
31, 2004
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(a)
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(b)
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(c)
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(e)
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Identity
of Issue
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Description
of Investment
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Current
Value
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COMMON
STOCK
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*
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CELADON
GROUP INC
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29,778
Shares
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$ 662,567
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COMMON/COLLECTIVE
TRUSTS
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*
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ML
RET PRESERVATION TRUST
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3,074,685
Shares
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3,074,685
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*
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ML
RET PRES TRUST - GM
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275,932
Shares
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275,932
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MUTUAL
FUNDS
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FEDERATED
KAUFMAN FD CL A
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81,923
Shares
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439,110
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FEDERATED
KAUFMAN FD CL A - GM
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22,157
Shares
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118,762
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AMERICAN
EUROPACIFIC GR FD R3
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13,351
Shares
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470,757
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AMERICAN
EUROPACIFIC GR FD R3 GM
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13,098
Shares
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461,848
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*
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ML
FUNDAMENTAL GROWTH FUND A
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21,116
Shares
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365,522
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*
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ML
VALUE OPPORTUNITIES CL A
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9,535
Shares
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258,222
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*
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ML
VALUE OPPORTUNITIES CL A GM
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4,291
Shares
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116,188
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*
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ML
BOND FUND - INTMDTE POR A
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26,293
Shares
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314,995
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*
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ML
BD FD - INTERMEDIATE CL A GM
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34,689
Shares
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415,578
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AIM
BASIC VALUE FD CL A
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15,480
Shares
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501,846
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FIDELITY
ADV GROWTH & INC CL T
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54,931
Shares
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911,860
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FIDELITY
ADV GRW & INC T GM
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1
Share
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10
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*
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ML
S & P 500 INDEX FUND CL I
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25,009
Shares
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371,137
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LORD
ABBETT AFFILITD CL GM
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35,624
Shares
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525,804
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LORD
ABBETT MID CAP VALUE CL P
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3,302
Shares
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73,376
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LORD
ABBETT MID CAP VAL P GM
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7,598
Shares
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168,818
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OPPEN
QUEST BAL FD CL A
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23,184
Shares
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418,230
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*
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ML
U.S. GOV MORTGAGE FD CL A
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1,466
Shares
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15,056
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*
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ML
U.S. GOV MORTGAGE CL A GM
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39,145
Shares
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402,021
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DELAWARE
GROUP TREND FD
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768
Shares
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16,260
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DELAWARE
GROUP TREND FD GM
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3,568
Shares
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75,572
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MASS
INVEST GROWTH STK FD CL A
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40,075
Shares
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495,332
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MASS
INV GRTH STK FD CL A GM
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32,001
Shares
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395,530
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SELF
DIRECTED PARTICIPANT INVESTMENTS
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SELF-DIRECT
RCMA ACCT
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159,528
Shares
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159,528
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$11,504,546
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*
Indicates party-in-interest to plan
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CELADON
GROUP, INC. 401(K)
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EMPLOYEE
SAVINGS PLAN
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CELADON
GROUP, INC.
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By:
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/s/ Paul A.
Will
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Dated:
August 25, 2005
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Paul
A. Will, Administrator
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