Page
Number
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REPORT OF
INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM
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FINANCIAL
STATEMENTS:
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Statements of
Net Assets Available for Benefits
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|
Statement of
Changes in Net 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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Other schedules
required by 29 CFR 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.
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June
30, 2009
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June
30, 2008
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|||||||
Assets
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||||||||
Investments, at fair value |
$
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209,544,653 |
$
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244,514,301 | ||||
Non-Interest
Bearing Cash
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(163)
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|||||||
Less: Deemed distributed
loans
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(103,512)
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(131,717)
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||||||
Receivables:
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||||||||
Participant
contributions
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-
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179,982
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||||||
Employer
contributions
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245,724
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104,115
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||||||
Total
receivables
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245,724
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284,097
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||||||
Net assets
available for benefits
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$
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209,686,702
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$
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244,666,681
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||||
Investment
income (loss):
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||||
Dividends
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$
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936,561
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||
Participant
loan interest
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875,157
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|||
Net
depreciation in fair value of investments
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(26,403,921
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)
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||
Total
investment income (loss)
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(24,592,203
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)
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Contributions:
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||||
Participants
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12,075,329
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|||
Employer
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6,928,906
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|||
Total
contributions
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19,004,235
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|||
Deductions:
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||||
Benefits
paid to participants
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(29,163,326
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)
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||
Administrative
expenses
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(228,685
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)
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Total
deductions
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(29,392,011
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)
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||
Net decrease
in net assets available for benefits
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(34,979,979
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)
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||
Net assets
available for benefits at beginning of period
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244,666,681
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|||
Net assets
available for benefits at end of period
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$
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209,686,702
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Level
1
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Level
2
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Level
3
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Total
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|||||||||||||
Common
Stock
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$ | 51,649,138 | - | - | $ | 51,649,138 | ||||||||||
Mutual
Funds
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$ | 116,939,467 | $ | 29,753,466 | - | $ | 146,692,933 | |||||||||
Participant
Loans
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- | - | $ | 11,202,582 | $ | 11,202,582 | ||||||||||
$ | 168,588,605 | $ | 29,753,466 | $ | 11,202,582 | $ | 209,544,653 |
Loans
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||||
Balance,
beginning of year
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$ | 12,924,064 | ||
Purchases,
sales, issuances and settlements, net
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$ | (1,721,483 | ) | |
Balance, end
of year
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$ | 11,202,582 |
June
30, 2009
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June
30, 2008
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|||||||||||||||
Shares/Units
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Fair
Value
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Shares/Units
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Fair
Value
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|||||||||||||
RadioShack
Common Stock
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3,699,799
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$ |
51,649,138
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3,942,598
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$ |
48,375,681
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||||||||||
Harbor
Capital Appreciation Fund
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905,447
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$ |
24,175,438
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931,754
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$ |
31,651,671
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||||||||||
Evergreen
Inst Money Market Fund
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19,712,655
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$ |
19,712,655
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- | - | |||||||||||
T. Rowe Price
Retirement 2020 Fund
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975,469
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$ |
12,076,301
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901,370
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$ |
14,701,345
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||||||||||
T. Rowe Price
Retirement 2025 Fund
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1,361,122
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$ |
12,100,371
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1,333,526
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$ |
16,042,322
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||||||||||
Putnam Money
Market Fund
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- | - |
19,643,454
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$ |
19,643,454
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|||||||||||
Putnam
International Equity Fund
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- | - |
543,538
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$ |
13,544,957
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Common
stock
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$
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7,630,380
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|||
Registered
investment companies
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$
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(34,034,301)
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|||
$
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(26,403,921)
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(a)
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(b)
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(c)
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(d)
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|||||
Identity
of issue, borrower, lessor or
similar
party
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Description
of investment including maturity date, rate of
interest,
collateral,
par or maturity date
|
Current Value | ||||||
* |
RadioShack Corporation
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Common stock
3,699,799 shares
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$ | 51,649,138 | ||||
Harbor
International Fund
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Registered
Investment Company
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8,698,136 | ||||||
Columbia Small
Cap Value Fund II
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Registered
Investment Company
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1,466,818 | ||||||
American
Beacon Large Cap Value Fund
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Registered
Investment Company
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5,501,700 | ||||||
Morgan Stanley
Small Company Growth Portfolio
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Registered
Investment Company
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4,903,169 | ||||||
T. Rowe Price
Retirement Income Fund
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Registered
Investment Company
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2,515,360 | ||||||
T. Rowe Price
Retirement 2010 Fund
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Registered
Investment Company
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4,621,959 | ||||||
T. Rowe Price
Retirement 2015 Fund
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Registered
Investment Company
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9,079,011 | ||||||
T. Rowe Price
Retirement 2020 Fund
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Registered
Investment Company
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12,076,301 | ||||||
T. Rowe Price
Retirement 2025 Fund
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Registered
Investment Company
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12,100,371 | ||||||
T. Rowe Price
Retirement 2030 Fund
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Registered
Investment Company
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6,884,678 | ||||||
T. Rowe Price
Retirement 2035 Fund
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Registered
Investment Company
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4,787,919 | ||||||
T. Rowe Price
Retirement 2040 Fund
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Registered
Investment Company
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3,377,527 | ||||||
T. Rowe Price
Retirement 2045 Fund
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Registered
Investment Company
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2,644,294 | ||||||
T. Rowe Price
Retirement 2050 Fund
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Registered
Investment Company
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873,475 | ||||||
T. Rowe Price
Retirement 2055 Fund
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Registered
Investment Company
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176,106 | ||||||
Royce Total
Return Fund
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Registered
Investment Company
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3,595,472 | ||||||
Victory
Institutional Diversified Stock Fund
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Registered
Investment Company
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2,685,352 | ||||||
Harbor Capital
Appreciation Fund
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Registered
Investment Company
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24,175,438 | ||||||
Vanguard
Institutional Index Fund
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Registered
Investment Company
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6,776,381 | ||||||
Western Asset
Core Portfolio
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Registered
Investment Company
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7,701,441 | ||||||
PIMCO Total
Return Fund
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Registered
Investment Company
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1,432,375 | ||||||
Evergreen Inst
Money Market
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Mutual
Fund
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19,712,655 | ||||||
Dreyfus
Treasury Prime Cash Mgmt
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Mutual
Fund
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906,995 | ||||||
* |
Participant
loans
|
Participant
loans – terms of 6 months– 5 years, interest rates of 4.25% -
10.5%
|
11,202,582 | |||||
$ | 209,544,653 |
RadioShack
401(k) Plan
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By:
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/s/
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Mark
Barfield
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Mark
Barfield
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Vice
President - Treasurer
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