[X]
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ANNUAL
REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
[NO FEE REQUIRED]
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For
the fiscal year ended December 31, 2007
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Or
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[ ]
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TRANSITION
REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF
1934 [FEE REQUIRED]
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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. Name
of issuer of the securities held pursuant to the plan and the address of
its principal executive office:
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Kentucky
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61-0979818
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(State
or other jurisdiction of incorporation or organization)
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IRS
Employer Identification No.
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346
North Mayo Trail
Pikeville,
Kentucky
(address
of principal executive offices)
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41501
(Zip
Code)
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Reports
of Independent Registered Public Accounting Firm
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1
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Financial
Statements:
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Statements
of Net Assets Available for Benefits
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2
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Statement
of Changes in Net Assets Available for Benefits
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3
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Notes
to Financial Statements
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4-6
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Supplemental
Schedule:
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Schedule
of Assets (Held at Year-End)
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7
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Consent
of Independent Registered Public Accounting Firm
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Exhibit
23.1
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Schedules
Omitted:
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The
following schedules are omitted because of the absence of conditions under
which they are required:
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Schedule
of Reportable Transactions
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Obligations
in Default
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Leases
in Default
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2007
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2006
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|||||||
Assets
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||||||||
Cash
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$ | 96 | $ | 46,148 | ||||
Investments
at fair value:
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||||||||
Community
Trust Bancorp, Inc. common stock
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14,479,073 | 44,633,454 | ||||||
Mutual
funds
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17,703,590 | 15,838,504 | ||||||
Cash
equivalents
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4,365,574 | 4,514,250 | ||||||
Total
investments
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36,548,237 | 64,986,208 | ||||||
Accrued
interest and dividends receivable
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183,398 | 173,631 | ||||||
Net
assets available for benefits
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$ | 36,731,731 | $ | 65,205,987 |
Additions:
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||||
Contributions:
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||||
Participant
contributions
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$ | 2,253,964 | ||
Employer
contributions
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931,456 | |||
Participant
rollovers and transfers
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16,693 | |||
Total
contributions, rollovers, and transfers
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3,202,113 | |||
Investment
income:
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||||
Net
depreciation in fair value of investments
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(6,619,484 | ) | ||
Interest
and dividends
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1,190,103 | |||
Total
investment loss
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(5,429,381 | ) | ||
Deductions:
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||||
Transfer
to CTB Employee Stock Ownership Plan
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(23,232,538 | ) | ||
Benefits
paid to participants
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(3,014,450 | ) | ||
(26,246,988 | ) | |||
Decrease
in net assets
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(28,474,256 | ) | ||
Net
assets available for benefits
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||||
Beginning
of year
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65,205,987 | |||
End
of year
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$ | 36,731,731 |
2007
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2006
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|||||||
Fair
Value
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Fair
Value
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|||||||
CTBI
Common Stock, 525,938 (2007) and 1,074,728 (2006) shares
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$ | 14,479,073 | $ | 44,633,454 | ||||
Goldman
Sachs FS Gov’t MM FD #465, 4,365,525 (2007) and 4,308,047 (2006)
shares
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$ | 4,365,525 | $ | 4,308,047 | ||||
Vanguard
Total Bond Market #84, 343,328 (2007) and 313,873 (2006)
units
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$ | 3,488,211 | $ | 3,135,594 | ||||
Vanguard
Index Fund TR 500 Portfolio #40, 73,004 (2007) and 71,173 (2006)
units
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$ | 9,866,482 | $ | 9,294,556 |
2007
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||||
CTBI
common stock
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$ | (7,258,910 | ) | |
Mutual
funds
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639,426 | |||
Net
depreciation in fair value of investments
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$ | (6,619,484 | ) |
2007
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2006
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|||||||
CTBI
common stock
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$ | 14,479,073 | $ | 44,633,454 |
Identity
of Issuer, Borrower, Lessor, or Similar Party (a)(b)
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Description
of Investment, Including Maturity Date, Rate of Interest, Units, or Shares
(c)
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Cost
(d)
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Current
Value (e)
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||||||
Mutual
Funds
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|||||||||
American
Advantage S/C V- PN
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Equity
Mutual Fund, 10,708 units
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** | $ | 184,389 | |||||
Goldman
Sachs M/C Value-Inst #864
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Equity
Mutual Fund, 36,849 units
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** | 1,313,299 | ||||||
Harbor
International Fund #11
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Equity
Mutual Fund, 19,273 units
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** | 1,375,317 | ||||||
Meridian
Growth Fund Inc
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Equity
Mutual Fund, 7,180 units
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** | 270,827 | ||||||
Vanguard
Explorer Fund- Inv
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Equity
Mutual Fund, 1,811 units
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** | 128,900 | ||||||
Vanguard
Index Tr 500 Port #40
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Equity
Mutual Fund, 73,004 units
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** | 9,866,482 | ||||||
Vanguard
Index Trust Growth #9
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Equity
Mutual Fund, 6,805 units
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** | 226,133 | ||||||
Vanguard
Windsor II Fund –Inv
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Equity
Mutual Fund, 22,529 units
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** | 704,257 | ||||||
14,069,604 | |||||||||
Fixed
Mutual Funds
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|||||||||
Vanguard
Short Term Bond Index #132
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Fixed
Bond Fund, 14,390 units
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** | 145,775 | ||||||
Vanguard
Total Bond Market #84
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Fixed
Bond Fund, 343,328 units
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** | 3,488,211 | ||||||
3,633,986 | |||||||||
Cash
Equivalents
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|||||||||
Goldman
Sachs FS Gov’t MM FD #465
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Money
Market Fund, 4,365,525 shares
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** | 4,365,525 | ||||||
SEI
Daily Income Gov’t II Fund #36
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Money
Market Fund, 49 shares
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** | 49 | ||||||
4,365,574 | |||||||||
Common
Stock
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|||||||||
Community
Trust Bancorp, Inc. *
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Common
Stock, 525,938 shares
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** | 14,479,073 | ||||||
Total
assets held for investment purposes
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$ | 36,548,237 | |||||||
*
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Indicates
a party-in-interest to the Plan.
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||||||||
**
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Cost
information is not required for participant-directed investments and,
therefore, is not included.
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Community Trust Bancorp, Inc. | |||
Date:
June 27, 2008
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By:
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/s/ Jean R. Hale | |
Jean R. Hale | |||
Chairman, President and Chief Executive Officer | |||
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By:
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/s/ Kevin J. Stumbo | |
Kevin J. Stumbo | |||
Executive
Vice President and Treasurer
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|||
(Principal Financial Officer) |
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By:
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/s/ Howard W. Blackburn, Jr. | |
Howard W. Blackburn, Jr. | |||
Senior Vice President/Director of Human Resources | |||