Page
|
|
1
|
|
Financial
Statements:
|
|
2
|
|
3
|
|
4-7
|
|
Supplemental
Schedule: *
|
|
8-20
|
|
21
|
|
*
|
All
other schedules required by 29 CFR 2520.103-10 of the Department
of
Labor’s Rules and Regulations for Reporting and Disclosure under ERISA
have been omitted because they are not
applicable.
|
/s/
|
Insero
& Company CPAs,P.C.
|
Certified
Public Accountants
|
|
Rochester,
New York
|
|
May
5, 2006
|
Assets
|
2005
|
2004
|
|||||
Investments
|
|||||||
Mutual
Funds
|
$
|
53,116,832
|
$
|
49,746,506
|
|||
Common
Collective Trust
|
9,877,519
|
11,902,863
|
|||||
Common
Stock
|
4,973,577
|
6,239,092
|
|||||
Corporate
Bonds
|
108,168
|
60,337
|
|||||
Money
Market Funds
|
4,969,201
|
5,444,329
|
|||||
Participant
Loans
|
2,212,996
|
1,952,617
|
|||||
Non-interest
bearing cash
|
8,859
|
0
|
|||||
Total
Investments
|
75,267,152
|
75,345,744
|
|||||
Receivables
|
|||||||
Employee
Contributions
|
38,521
|
189,093
|
|||||
Employer
Contributions
|
13,328
|
66,825
|
|||||
Accrued
Income
|
868
|
509
|
|||||
Total
Receivables
|
52,717
|
256,427
|
|||||
Net
Assets Available for Benefits
|
$
|
75,319,869
|
$
|
75,602,171
|
|
2005
|
2004
|
|||||
Additions
to net assets attributed to:
|
|||||||
Investment
income:
|
|||||||
Interest
and dividends
|
$
|
2,688,845
|
$
|
2,231,971
|
|||
Net
appreciation in fair
|
|||||||
value
of investments
|
525,461
|
4,310,091
|
|||||
Contributions:
|
|||||||
Participants
|
7,563,932
|
7,025,367
|
|||||
Employer
|
2,028,051
|
1,913,803
|
|||||
Total
Additions
|
12,806,289
|
15,481,232
|
|||||
Deductions
from net assets attributed to:
|
|||||||
Administrative
expenses
|
50,117
|
38,804
|
|||||
Distributions
to participants
|
13,038,474
|
6,301,511
|
|||||
Total
Deductions
|
13,088,591
|
6,340,315
|
|||||
Net
Increase(Decrease)
|
(282,302
|
)
|
9,140,917
|
||||
Net
assets at beginning of year
|
75,602,171
|
66,461,254
|
|||||
Net
Assets at End of Year
|
$
|
75,319,869
|
$
|
75,602,171
|
|||
1.
|
Establishment
and Description of Plan
|
2.
|
Significant
Accounting Policies
|
2.
|
Significant
Accounting Policies
(Continued)
|
3.
|
Income
Tax Status
|
4.
|
Investments
|
4.
|
Investments
(Continued)
|
2005
|
2004
|
|||||||
Current
|
Current
|
|||||||
Value
|
Value
|
|||||||
CONMED
Corp. Common Stock
|
$
|
N/A*
|
$
|
4,053,062
|
||||
Fidelity
Equity Income Fund
|
7,397,158
|
7,553,676
|
||||||
Fidelity
Aggressive Growth Fund
|
7,495,095
|
7,954,778
|
||||||
Fidelity
Retirement Money
|
||||||||
Market
Fund
|
3,814,378
|
3,902,766
|
||||||
Fidelity
Managed Income
|
||||||||
Portfolio
Fund
|
9,877,519
|
11,902,863
|
||||||
Spartan
U.S. Equity Index Fund
|
7,104,350
|
7,193,900
|
||||||
Fidelity
Investment Grade
|
||||||||
Bond
Fund
|
3,878,747
|
4,378,851
|
||||||
Fidelity
Puritan Fund
|
7,384,699
|
6,119,546
|
||||||
Fidelity
Low-Priced Stock Fund
|
6,486,658
|
6,596,979
|
2005
|
2004
|
||||||
Mutual
funds
|
$
|
1,289,218
|
$
|
3,698,287
|
|||
Common
stocks
|
(763,757
|
)
|
611,804
|
||||
$
|
525,461
|
$
|
4,310,091
|
5.
|
Transactions
with Parties-in-Interest
|
December
31, 2005
|
December
31, 2004
|
||||||||||||
Number
|
Fair
|
Number
|
Fair
|
||||||||||
of
Shares
|
Value
|
of
Shares
|
Value
|
||||||||||
CONMED
Corp.
|
|||||||||||||
Common
Stock
|
139,697
|
$
|
3,304,531
|
142,613
|
$
|
4,053,062
|
|
Fair
|
||||||
Identity
of Issue/Description of Investment
|
Units
|
Value
|
|||||
FAM
Value Fund**
|
66,573
|
$
|
3,195,507
|
||||
Fidelity
Puritan Fund**
|
394,271
|
7,384,699
|
|||||
Fidelity
Equity Income Fund**
|
140,151
|
7,397,158
|
|||||
Fidelity
Investment Grade Bond Fund**
|
526,289
|
3,878,747
|
|||||
Fidelity
Low-Priced Stock Fund**
|
158,831
|
6,486,658
|
|||||
Fidelity
Aggressive Growth Fund**
|
421,073
|
7,495,095
|
|||||
Fidelity
Capital Appreciation Fund**
|
25,619
|
643,035
|
|||||
Fidelity
Diversified International Fund**
|
109,241
|
3,554,690
|
|||||
Legg
Mason Value Trust Fund
|
4,892
|
364,317
|
|||||
Spartan
U.S. Equity Index Fund**
|
160,877
|
7,104,350
|
|||||
Fidelity
Managed Income Portfolio Fund**
|
9,877,519
|
9,877,519
|
|||||
CONMED
Corporation Common Stock **
|
139,697
|
3,304,531
|
|||||
Held
in Brokerage Link Account *
|
*
|
3,319,919
|
|||||
Fidelity
Retirement Money Market Fund**
|
3,814,378
|
3,814,378
|
|||||
Fidelity
Freedom Funds**
|
146,687
|
1,936,939
|
|||||
Needham
Growth Fund
|
34,512
|
1,231,716
|
|||||
Interest
Bearing Cash Accounts
|
253,578
|
253,578
|
|||||
Rainier
Small/Mid Cap Fund
|
36,148
|
1,198,307
|
|||||
WFA
Small Cap Value Z Fund
|
20,025
|
604,154
|
|||||
Participant
loans, interest rates from 5.25% to
|
|||||||
10.50%
and maturities from 2006 to 2020
|
2,212,996
|
||||||
|
$
|
75,258,293
|
CONMED
Corporation
Retirement
Savings Plan
Schedule
of Assets (Held at End of Year)
Brokerage
Link Account
December
31, 2005
|
Security
Description
|
Shares
|
Fair
Value
|
||||||
AT&T
INC COM
|
65
|
1,595
|
||||||
ACCLAIM
ENTMT INC COM
|
201
|
1
|
||||||
ADVANCED
MICRO DEVICES INC
|
500
|
15,300
|
||||||
ADVANCED
VIRAL RESH CORP
|
9,900
|
693
|
||||||
AFRICAN
PLATINUM PLC SHS
|
3,250
|
1,242
|
||||||
AGERE
SYS INC COM
|
4
|
52
|
||||||
AKAMAI
TECH NFS LLC
|
1,000
|
19,930
|
||||||
ALPINE
US REAL ESTATE EQUITY
|
122
|
5,004
|
||||||
ALTRIA
GROUP INC NFS LLC
|
40
|
2,989
|
||||||
ALVARION
LTD
|
250
|
2,180
|
||||||
AMERICAN
CAPITAL STRATEGIES
|
148
|
5,364
|
||||||
AMER
CENTURY TARGET MATURITIES
|
502
|
26,164
|
||||||
AMERN
HEALTHWAYS INC
|
350
|
15,838
|
||||||
AMGEN
INC NFS LLC
|
100
|
7,886
|
||||||
AMYLIN
PHARM INC
|
100
|
3,992
|
||||||
APOLLO
GOLD CORP
|
3,000
|
720
|
||||||
APPLIED
MATERIALS INC
|
20
|
359
|
CONMED
Corporation
Retirement
Savings Plan
Schedule
of Assets (Held at End of Year)
Brokerage
Link Account
December
31, 2005
|
Security
Description
|
Shares
|
Fair
Value
|
||||||
ARIAD
PHARMACEUTICAL INC
|
1,000
|
5,850
|
||||||
AT
HOME CORP SER A
|
41
|
0
|
||||||
ATMEL
CORP NFS LLC
|
200
|
618
|
||||||
AU
OPTRONICS CORP
|
327
|
4,908
|
||||||
AVAYA
INC NFS LLC
|
16
|
171
|
||||||
BAXTER
INTL INC
|
50
|
1,883
|
||||||
BECKMAN
COULTER INC
|
200
|
11,380
|
||||||
BEMA
GOLD CORP
|
1,300
|
3,783
|
||||||
BERKSHIRE
HATHAWAY INC DEL CL B
|
3
|
8,807
|
||||||
BEST
BUY INC
|
50
|
2,174
|
||||||
BEYOND
CORP COM NEW
|
86
|
0
|
||||||
BIG
SCREEN ENTMT GROUP INC
|
10
|
1
|
||||||
BIOGEN
IDEC INC
|
200
|
9,056
|
||||||
BIOMIRA
INC
|
100
|
140
|
||||||
BLUEFLY
INC
|
300
|
336
|
||||||
BOSTON
SCIENTIFIC
|
150
|
3,674
|
||||||
BRISTOL
MYERS SQUIBB NFS LLC
|
11,523
|
264,799
|
||||||
BROADCOM
CORP CL A
|
100
|
4,715
|
||||||
BROADVISION
INC COM NEW NFS LLC
|
116
|
57
|
||||||
BUCKS
CNTY BK 4.15% 9/12/07
|
20,000
|
19,736
|
||||||
BUILDING
MATERIAL HOLDING CORP
|
300
|
20,463
|
||||||
CMGI
INC FRMLY CMG
|
10,200
|
15,392
|
||||||
|
Security
Description
|
Shares
|
Fair
Value
|
||||||
CALPINE
CORP NFS LLC
|
10,000
|
2,080
|
||||||
CARDINAL
HEALTH INC
|
35
|
2,406
|
||||||
CATALINA
MKTG CORP
|
150
|
3,803
|
||||||
CATHAY
BANCORP INC
|
180
|
6,469
|
||||||
CEPHEID
|
85
|
746
|
||||||
CHESAPEAKE
ENERGY CORP
|
300
|
9,519
|
||||||
CHILMARK
ENTMT GROUP INC
|
2,000
|
6
|
||||||
CISCO
SYS INC NFS LLC
|
1,562
|
26,741
|
||||||
CITIGROUP
INC
|
133
|
6,454
|
||||||
CITIGROUP
INC GLBL SR NT
|
10,000
|
9,736
|
||||||
COEUR
D ALENE MINES CORP
|
3,700
|
14,800
|
||||||
COHEN
& STEERS INTL REALTY INC
|
3,186
|
42,309
|
||||||
COMCAST
CORP NEW CL A
|
17
|
441
|
||||||
COMMERCE
ONE INC DEL COM NEW
|
2,218
|
0
|
||||||
CORNING
INC
|
575
|
11,305
|
||||||
CUSAC
GOLD LTD FRMLY CUSAC GOLD
|
15,000
|
1,920
|
||||||
CYPRESS
SEMICONDUCTOR CORP
|
175
|
2,494
|
||||||
DEEP
WELL OIL & GAS INC
|
4,000
|
5,200
|
||||||
DELL
INC
|
260
|
7,787
|
||||||
DEUTCHE
TELEKOM A G SPON ADR
|
600
|
9,978
|
||||||
DEVON
ENERGY CORP NEW
|
50
|
3,127
|
||||||
DIGITAL
LIGHTWAVE INC
|
1,385
|
291
|
||||||
|
Security
Description
|
Shares
|
Fair
Value
|
||||||
DIODES
INC
|
450
|
13,973
|
||||||
DOVER
DOWNS GAMING * ENTMT INC
|
70
|
991
|
||||||
DOVER
MOTORSPORTS INC
|
100
|
611
|
||||||
DRDGOLD
LTD SPON ADR
|
9,500
|
13,680
|
||||||
DREAMWORKS
ANIMATION SKG INC
|
900
|
22,104
|
||||||
DREYFUS
EMERGING LEADERS FUND
|
738
|
30,555
|
||||||
DREYFUS
EMERGING MARKETS
|
481
|
10,397
|
||||||
EAGLE
BROADBAND INC
|
400
|
36
|
||||||
EBAY
INC
|
300
|
12,966
|
||||||
ECOLLEGE.COM
|
1,000
|
18,030
|
||||||
EDEN
ENERGY CORP
|
1,000
|
2,050
|
||||||
EDULINK
INC
|
30,000
|
0
|
||||||
EL
PASO CORP
|
1,000
|
12,160
|
||||||
EMERSON
OIL & GAS INC
|
20,000
|
280
|
||||||
ENERGY
PARTNERS LTD COM
|
250
|
5,448
|
||||||
ENGLOBAL
CORP COM
|
175
|
1,470
|
||||||
ENRON
CORP
|
2,000
|
0
|
||||||
ETOYS
INC
|
200
|
0
|
||||||
EVERGREEN
SOLAR INC
|
400
|
4,260
|
||||||
EXODUS
COMMUNICATIONS INC
|
400
|
0
|
||||||
EXPEDIA
INC DEL COM
|
31
|
743
|
||||||
FALCON
NAT GAS CORP
|
3,000
|
780
|
||||||
FAIRHOLME
FUND
|
1,114
|
28,074
|
||||||
|
Security
Description
|
Shares
|
Fair
Value
|
||||||
FIDELITY
INTERNTL GROWTH & INCOME
|
108
|
3,430
|
||||||
FIDELITY
CONVERTIBLE SECURITIES
|
279
|
6,275
|
||||||
FIDELITY
FREEDOM 2010
|
1,095
|
15,391
|
||||||
FIDELITY
FREEDOM 2020
|
518
|
7,620
|
||||||
FIDELITY
GROWTH COMPANY
|
99
|
6,293
|
||||||
FIDELITY
AGGRESSIVE GROWTH
|
349
|
6,220
|
||||||
FIDELITY
BLUE CHIP GROWTH
|
82
|
3,551
|
||||||
FIDELITY
DIVIDEND GROWTH
|
1,531
|
44,083
|
||||||
FIDELITY
SELECT ENERGY
|
104
|
4,864
|
||||||
FIDELITY
SELECT TECHNOLOGY
|
300
|
18,917
|
||||||
FIDELITY
SELECT MEDICAL DELIVERY
|
91
|
4,939
|
||||||
FIDELITY
SELECT BIOTECHNOLOGY
|
41
|
2,540
|
||||||
FIDELITY
SELECT BROKERAGE & INVST MGT
|
72
|
4,964
|
||||||
FIDELITY
CASH RESERVES
|
881,493
|
881,493
|
||||||
FIDELITY
VALUE
|
167
|
12,689
|
||||||
FIDELITY
CAPITAL & INCOME
|
5,103
|
42,716
|
||||||
FIDELITY
CONTRAFUND
|
431
|
27,904
|
||||||
FIDELITY
SHORT TERM BOND
|
1,249
|
11,068
|
||||||
FINISAR
CORP
|
1,850
|
3,848
|
||||||
FIRST
PETE & PIPELINE INC
|
16,000
|
176
|
||||||
FORD
MTR CO DEL COM
|
20
|
156
|
||||||
FORDING
CDN COAL TR UNIT
|
900
|
31,113
|
||||||
FORMFACTOR
INC
|
145
|
3,542
|
||||||
|
Security
Description
|
Shares
|
Fair
Value
|
||||||
FOWARD
INDS II
|
1,200
|
10,680
|
||||||
FOUNDRY
NETWORKS INC
|
500
|
6,905
|
||||||
FREESCALE
SEMICONDUCTOR INC
|
23
|
579
|
||||||
GALAXY
MINERALS INC
|
20,000
|
240
|
||||||
GAP
INC
|
1,100
|
19,404
|
||||||
GENENTECH
INC
|
25
|
2,313
|
||||||
GENERAL
ELECTRIC CO
|
430
|
15,072
|
||||||
GENERAL
MOTORS ACEP CORP
|
10,000
|
8,946
|
||||||
GENUITY
INC CL A NEW
|
5
|
0
|
||||||
GLOBAL
ENERGY GROUP INC
|
10,699
|
1,819
|
||||||
GOLDCORP
INC NEW
|
300
|
6,684
|
||||||
GOOGLE
INC
|
15
|
6,223
|
||||||
GROWTH
FUND OF AMERICA CLASS A
|
385
|
11,887
|
||||||
HARBOR
CAPITAL APPRECIATION
|
1,894
|
61,851
|
||||||
HARVARD
SCIENTIFIC CO
|
100
|
0
|
||||||
HOME
DEPOT INC
|
140
|
5,667
|
||||||
HUFFY
CORP
|
2,000
|
0
|
||||||
HYDROGENICS
CORP
|
500
|
1,565
|
||||||
IAC/INTERACTIVE
CRP COM NEW
|
31
|
878
|
||||||
IBISES
INTL INC NEW
|
1,000
|
15
|
||||||
INTEL
CORP
|
1,380
|
34,445
|
||||||
INTELLISYNC
CORP
|
1,000
|
5,160
|
||||||
|
Security
Description
|
Shares
|
Fair
Value
|
||||||
INTERIORS
INC CL A
|
5,000
|
0
|
||||||
INTL
BUSINESS MACH
|
55
|
4,521
|
||||||
INTL
SPEEDWAY CL A
|
100
|
4,790
|
||||||
INTERNET
CAP GROUP INC
|
9
|
74
|
||||||
ISCO
INTL INC
|
1,000
|
320
|
||||||
ISONICS
CORP
|
200
|
360
|
||||||
JANUS
OLYMPUS
|
93
|
3,042
|
||||||
JDS
UNIPHASE CORP NFS LLC
|
3,647
|
8,607
|
||||||
JP
MORGAN CHASE & CO
|
6
|
238
|
||||||
JABIL
CIRCUIT INC
|
1,280
|
47,475
|
||||||
JOHNSON
& JOHNSON
|
400
|
24,040
|
||||||
JUNIPER
NETWORKS INC
|
175
|
3,903
|
||||||
KEITHLEY
INSTRUMENTS INC
|
100
|
1,398
|
||||||
LEAR
CORP
|
100
|
2,846
|
||||||
LEVEL
3 COMMUNICATIONS INC
|
100
|
287
|
||||||
LILLY
ELI & CO
|
40
|
2,264
|
||||||
LUCENT
TECH INC
|
18,000
|
47,880
|
||||||
MBNA
CORP
|
300
|
8,145
|
||||||
MARVEL
ENTMT INC
|
1,000
|
16,380
|
||||||
MARVELL
TECHNOLOGY GRP LTD
|
75
|
4,207
|
||||||
MAVERICK
TUBE CORP
|
200
|
7,972
|
||||||
MEDCO
HEALTH SOLUTIONS INC
|
24
|
1,339
|
||||||
|
Security
Description
|
Shares
|
Fair
Value
|
||||||
MEDTRONIC
INC
|
300
|
17,271
|
||||||
MERCK
& CO INC
|
200
|
6,362
|
||||||
MERCK
& CO INC NOTES
|
20,000
|
20,026
|
||||||
MERIDIAN
BIOSCIENCE
|
600
|
12,084
|
||||||
MERIDIAN
FUND
|
1,493
|
54,615
|
||||||
MERRILL
LYNCH CO INC MTN BE
|
20,000
|
19,845
|
||||||
MERRILL
LYNCH NTS
|
25,000
|
28,528
|
||||||
MICROSOFT
CORP
|
506
|
13,232
|
||||||
MIRACLE
ENTERTAINMENT INC
|
16,625
|
0
|
||||||
MIRAVANT
MEDICAL TECHNOLOGY
|
536
|
99
|
||||||
MOTOROLA
INC NOTES
|
10,000
|
11,116
|
||||||
MOTOROLA
INC
|
393
|
8,878
|
||||||
NQL
INC
|
1,000
|
1
|
||||||
NANOGEN
INC
|
4,000
|
10,440
|
||||||
NANOPHASE
TECH CORP
|
10
|
57
|
||||||
NASDAQ
100 TR UNIT SER 1
|
550
|
22,227
|
||||||
NAUTILUS
GROUP INC COM
|
350
|
6,531
|
||||||
NEEDHAM
GROWTH FUND
|
326
|
11,631
|
||||||
NEOWARE
SYSTEMS INC
|
600
|
13,980
|
||||||
NETFLIX
COM INC
|
1,200
|
32,472
|
||||||
NOKIA
CORP ADR
|
550
|
10,065
|
||||||
NORTEL
NETWORKS CORP NEW (HOLDING CO)
|
154
|
471
|
||||||
NORTHGATE
EXPL LTD
|
1,000
|
1,830
|
CONMED
Corporation
Retirement
Savings Plan
Schedule
of Assets (Held at End of Year)
Brokerage
Link Account
December
31, 2005
|
Security
Description
|
Shares
|
Fair
Value
|
||||||
OCEANEERING
INTL INC
|
200
|
9,956
|
||||||
ORACLE
CORPORATION NFS LLC
|
550
|
6,716
|
||||||
PLX
TECHNOLOGY INC
|
100
|
860
|
||||||
PACCAR
INC
|
200
|
13,846
|
||||||
PACIFIC
RIM MINING CORP
|
8,600
|
6,450
|
||||||
PAINCARE
HLDGS INC
|
6,350
|
20,701
|
||||||
PARADIGM
OIL & GAS INC
|
4,000
|
312
|
||||||
PARAFIN
CORP
|
9,000
|
540
|
||||||
PARNASSUS
EQUITY INCOME PORTFOLIO
|
3,147
|
75,589
|
||||||
PCCW
LTD NEW
|
100
|
62
|
||||||
PETROQUEST
ENERGY INC
|
500
|
4,140
|
||||||
PFIZER
INC
|
500
|
11,660
|
||||||
POWERWAVE
TECH INC
|
250
|
3,143
|
||||||
PRIMUS
TELECOMMS GP
|
5
|
4
|
||||||
QUALCOMM
INC NFS LLC
|
481
|
20,721
|
||||||
RAMBUS
INC NFS LLC
|
1,240
|
20,076
|
||||||
RAYTHEON
CO COM NEW
|
100
|
4,015
|
||||||
REALNETWORKS
INC NFS LLC
|
600
|
4,656
|
||||||
S&P
500 DEPOSITORY RECEIPT
|
415
|
51,672
|
CONMED
Corporation
Retirement
Savings Plan
Schedule
of Assets (Held at End of Year)
Brokerage
Link Account
December
31, 2005
|
Security
Description
|
Shares
|
Fair
Value
|
||||||
SPSS
INC
|
33
|
1,021
|
||||||
SAFESCRIPT
PHARMACIES INC
|
2,000
|
0
|
||||||
ST
PAUL COS INC
|
4
|
179
|
||||||
SAP
AG SPON ADR
|
100
|
4,507
|
||||||
SHAMAN
PHARMACEUTICALS INC
|
44,070
|
0
|
||||||
SHES
GOT NETWORK INC
|
700
|
7
|
||||||
SILICON
GRAPHICS INC
|
2,000
|
700
|
||||||
SILICON
VALLEY RESEARCH INC
|
2,000
|
0
|
||||||
SILVERADO
GOLD MINES LTD
|
9,998
|
520
|
||||||
SILVER
STAR ENERGY INC COM
|
1,250
|
275
|
||||||
SIRIUS
SATELLITE RADIO INC
|
6,600
|
44,220
|
||||||
SMART
TEK SOLUTIONS INC COM
|
25,200
|
4,536
|
||||||
SOUTHWESTERN
ENERGY
|
800
|
28,752
|
||||||
SPARTAN
US EQUITY INDEX
|
95
|
4,189
|
||||||
SPRINT
CORP (FON GROUP)
|
25
|
584
|
CONMED
Corporation
Retirement
Savings Plan
Schedule
of Assets (Held at End of Year)
Brokerage
Link Account
December
31, 2005
|
Security
Description
|
Shares
|
Fair
Value
|
||||||
SUN
MICROSYSTEMS INC NFS LLC
|
310
|
1,299
|
||||||
SUPERCONDUCTOR
TECHNOLOGIES INC
|
90
|
39
|
||||||
TEXAS
INSTRUMENTS INC
|
500
|
16,035
|
||||||
3COM
CORP NFS LLC
|
1,005
|
3,618
|
||||||
3M
COMPANY
|
6
|
465
|
||||||
TIME
WARNER INC
|
396
|
6,906
|
||||||
TYCO
INTL LTD NEW
|
140
|
4,040
|
||||||
UNITED
PARCEL SVC INC
|
120
|
9,018
|
||||||
UNITEDHEALTH
GROUP
|
75
|
4,661
|
||||||
US
GOLD SHARES
|
2,116
|
22,645
|
||||||
VA
LINUX SYS INC
|
150
|
267
|
||||||
VERIZON
COMMUNICATIONS
|
200
|
6,024
|
||||||
VERIZON
PENN NOTES
|
10,000
|
9,971
|
||||||
VAN
ECK INT’L INVESTORS GOLD
|
339
|
4,186
|
||||||
VERTICAL
COMPUTER SYSTEM INC
|
1,000
|
6
|
||||||
VIRAGEN
INC
|
100
|
45
|
CONMED
Corporation
Retirement
Savings Plan
Schedule
of Assets (Held at End of Year)
Brokerage
Link Account
December
31, 2005
|
Security
Description
|
Shares
|
Fair
Value
|
||||||
WAL-MART
STORES INC
|
390
|
18,957
|
||||||
WANNIGAN
CAP CORP
|
14
|
2
|
||||||
WANNINGAN
MINING CORP RESTRICTED
|
4
|
0
|
||||||
WASATCH
HOISINGTON US TREAS
|
1,771
|
25,857
|
||||||
WAVE
SYSTEMS CORP CL A
|
139
|
95
|
||||||
WELLS
FARGO & CO NEW
|
200
|
12,566
|
||||||
WESTERN
DIGITAL CORP
|
1,000
|
18,610
|
||||||
WHOLE
FOODS MKT INC
|
200
|
15,478
|
||||||
WIND
RIV SYS INC NFS LLC
|
100
|
1,477
|
||||||
WORLDCOM
INC GA NEW WORLDCOM GROUP COM
|
20,390
|
0
|
||||||
WORLDCOM
INC GA (MCI GROUP)
|
72
|
0
|
||||||
WRIGHT
MED GROUP INC
|
1,000
|
20,400
|
||||||
XO
COMMUNICATIONS IN C CL-A
|
5,000
|
0
|
||||||
XYBERHAUT
CORP
|
200
|
9
|
||||||
XCELERA.COM
INC ISIN
|
100
|
20
|
||||||
YAHOO
INC NFS LLC
|
123
|
4,819
|
||||||
ZHONE
TECHNOLOGIES INC NEW COM
|
2,523
|
5,349
|
||||||
ZIMMER
HLDGS INC
|
1,379
|
93,000
|
||||||
TOTAL
ACCOUNT MARKET VALUE
|
$
|
3,319,919
|
CONMED
CORPORATION
|
||
Retirement
Savings Plan
|
||
By:
|
/s/
Robert
D. Shallish, Jr.
|
|
Robert
D. Shallish, Jr.
|
||
Vice
President - Finance and
|
||
Chief
Financial Officer
|
||
CONMED
Corporation
|