[ ]
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TRANSITION
REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF
1934
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NORTHWEST
NATURAL GAS COMPANY
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RETIREMENT
K SAVINGS PLAN
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Note:
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Other
schedules required by Section 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 (“ERISA”) have been omitted because
they are not applicable.
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SIGNATURE |
11
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|
2008
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2007
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|||||||
Assets
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||||||||
Investments,
at fair value
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$ | 101,594,261 | $ | 140,048,804 | ||||
Contributions
receivable
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||||||||
Participant
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124,866 | 135,036 | ||||||
Employer
|
50,966 | 52,362 | ||||||
Total
contributions receivable
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175,832 | 187,398 | ||||||
Cash
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1,650 | 30,000 | ||||||
Net
assets available for benefits
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$ | 101,771,743 | $ | 140,266,202 |
2008
|
2007
|
|||||||
Additions
(Reductions)
|
||||||||
Investment
income
|
$ | 4,287,123 | $ | 8,705,898 | ||||
Net
(depreciation)/appreciation in fair value of investments
|
(42,697,654 | ) | 6,071,043 | |||||
Net
investment (loss)/income
|
(38,410,531 | ) | 14,776,941 | |||||
Contributions
|
||||||||
Participant
elective and rollover
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6,893,862 | 7,083,254 | ||||||
Employer
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2,056,782 | 1,931,364 | ||||||
Total
contributions
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8,950,644 | 9,014,618 | ||||||
Total
additions (reductions)
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(29,459,887 | ) | 23,791,559 | |||||
Deductions
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||||||||
Withdrawals
and benefit payments
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(9,030,972 | ) | (12,924,239 | ) | ||||
Administrative
fees and expenses
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(3,600 | ) | (3,950 | ) | ||||
Total
deductions
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(9,034,572 | ) | (12,928,189 | ) | ||||
Net
(decrease)/increase in net assets available for benefits
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(38,494,459 | ) | 10,863,370 | |||||
Net
assets available for benefits at beginning of year
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140,266,202 | 129,402,832 | ||||||
Net
assets available for benefits at end of year
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$ | 101,771,743 | $ | 140,266,202 |
1.
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Description
of Plan
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|
General
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Following
is a description of the valuation methodologies used for assets measured
at fair value. There have been no changes in methodologies used
at December 31, 2008 and 2007.
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Assets
at Fair Value as of December 31, 2008
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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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|||||||||||||
Mutual
Funds
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$ | 79,322,654 | - | - | $ | 79,322,654 | ||||||||||
Common
Stocks
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20,196,079 | - | - | 20,196,079 | ||||||||||||
Participant
Loans
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- | - | $ | 2,075,528 | 2,075,528 | |||||||||||
Total
assets at fair value
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$ | 99,518,733 | - | $ | 2,075,528 | $ | 101,594,261 |
Level
3 Assets
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||||
Participant
loans
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||||
January
1, 2008 balance
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$ | 2,047,601 | ||
Purchases,
sales, issuances, and settlements (net)
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27,927 | |||
December
31, 2008 balance
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$ | 2,075,528 |
December 31
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||||||||
2008
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2007
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|||||||
Northwest
Natural Gas Company Common Stock
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$ 20,196,079
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$ 22,225,966
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||||||
T.
Rowe Price Mutual Funds
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71,729,878
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106,351,264
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||||||
$ 91,925,957
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$128,577,230
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2008
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2007
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|||||||
T.
Rowe Price Balanced Fund 864,024 and 869,827 shares,
respectively
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$ | 12,139,540 | $ | 17,918,429 | ||||
T.
Rowe Price Blue Chip Growth Fund 565,750 and 618,430 shares,
respectively
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13,017,918 | 24,879,436 | ||||||
T.
Rowe Price Mid-Cap Growth Fund 369,441 and 358,105 shares,
respectively
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12,069,625 | 20,651,888 | ||||||
T.
Rowe Price Summit Cash Reserves 10,311,729 and 7,840,694
shares, respectively
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10,311,729 | 7,840,694 | ||||||
Northwest
Natural Gas Company Common Stock 456,615 and 456,761 shares,
respectively
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20,196,079 | 22,225,966 |
2008
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2007
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|||||||||
Mutual
Funds
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$ | (40,683,206 | ) | $ | 3,301,005 | |||||
Common
and Commingled Trust Funds
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- | 102,903 | ||||||||
Northwest
Natural Gas Company Common Stock
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(2,014,448 | ) | 2,667,135 | |||||||
Net
(depreciation)/appreciation in fair value of investments
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$ | (42,697,654 | ) | $ | 6,071,043 |
8.
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Nonparticipant-Directed
Investments
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December
31
|
||||||||
2008
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2007
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|||||||
Net
Assets:
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||||||||
Mutual
Funds
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$ | 7,642,859 | $ | 10,634,343 |
Year
Ended
December
31,
2008
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Year
Ended
December
31,
2007
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|||||||
Changes
in Net Assets:
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||||||||
Contributions
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$ | 1,567,707 | $ | 1,477,359 | ||||
Investment
income
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258,730 | 491,341 | ||||||
Net
appreciation (depreciation) in investments
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(4,720,671 | ) | 2,940,980 | |||||
Benefits
paid to participants
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(97,250 | ) | (469,945 | ) | ||||
Total
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$ | (2,991,484 | ) | $ | 4,439,735 |
9.
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Risks
and Uncertainties
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(c)
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|||||||||||
Description
of
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|||||||||||
Investment
Including
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|||||||||||
(b)
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Maturity
Date, Rate of
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(e)
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|||||||||
Identity
of Issue, Borrower,
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Interest,
Collateral, Par
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(d)
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Current
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||||||||
(a)
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Lessor
or Similar Party
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or
Maturity Value
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Cost
|
Value
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|||||||
* |
T.
Rowe Price Spectrum Income Fund
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Mutual
fund
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(1 | ) | $ | 3,965,556 | |||||
* |
T.
Rowe Price Balanced Fund
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Mutual
fund
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(1 | ) | 12,139,540 | ||||||
* |
T.
Rowe Price Blue Chip Growth Fund
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Mutual
fund
|
(1 | ) | 13,017,918 | ||||||
* |
T.
Rowe Price Mid-Cap Growth Fund
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Mutual
fund
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(1 | ) | 12,069,625 | ||||||
* |
T.
Rowe Price Small-Cap Stock Fund
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Mutual
fund
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(1 | ) | 2,516,377 | ||||||
* |
T.
Rowe Price Short-Term Bond Fund
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Mutual
fund
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(1 | ) | 1,032,816 | ||||||
* |
T.
Rowe Price Summit Cash Reserves
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Mutual
fund
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(1 | ) | 10,311,729 | ||||||
* |
T.
Rowe Price Science and Technology Fund
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Mutual
fund
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(1 | ) | 1,711,802 | ||||||
* |
T.
Rowe Price Retirement Income Fund
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Mutual
fund
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(1 | ) | 1,261,651 | ||||||
* |
T.
Rowe Price Retirement 2005 Fund
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Mutual
fund
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(1 | ) | 307,632 | ||||||
* |
T.
Rowe Price Retirement 2010 Fund
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Mutual
fund
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(1 | ) | 2,631,788 | ||||||
* |
T.
Rowe Price Retirement 2015 Fund
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Mutual
fund
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(1 | ) | 3,093,483 | ||||||
* |
T.
Rowe Price Retirement 2020 Fund
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Mutual
fund
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5,192,719 | 3,401,860 | |||||||
* |
T.
Rowe Price Retirement 2025 Fund
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Mutual
fund
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2,986,781 | 1,897,600 | |||||||
* |
T.
Rowe Price Retirement 2030 Fund
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Mutual
fund
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1,651,421 | 1,026,376 | |||||||
* |
T.
Rowe Price Retirement 2035 Fund
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Mutual
fund
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893,991 | 555,529 | |||||||
* |
T.
Rowe Price Retirement 2040 Fund
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Mutual
fund
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1,036,638 | 640,377 | |||||||
* |
T.
Rowe Price Retirement 2045 Fund
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Mutual
fund
|
170,821 | 112,567 | |||||||
* |
T.
Rowe Price Retirement 2050 Fund
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Mutual
fund
|
(1 | ) | 27,102 | ||||||
* |
T.
Rowe Price Retirement 2055 Fund
|
Mutual
fund
|
9,801 | 8,550 | |||||||
PIMCO
Total Return Admin.
|
Mutual
fund
|
(1 | ) | 1,990,822 | |||||||
Artisan
International Fund
|
Mutual
fund
|
(1 | ) | 2,391,063 | |||||||
Dodge
& Cox International Stock Fund
|
Mutual
fund
|
(1 | ) | 1,708,150 | |||||||
Vanguard
500 Index Fund
|
Mutual
fund
|
(1 | ) | 1,502,741 | |||||||
* |
Northwest
Natural Gas Company Common Stock
|
Common
stock
|
(1 | ) | 20,196,079 | ||||||
* |
Participant
loans
|
5.0%
to 9.25%, maturing 1/04/09
to 9/26/13
|
2,075,528 | ||||||||
Total
investments
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$ | 101,594,261 | |||||||||
* |
Represents
identification of known party-in-interest in the Plan.
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||||||||||
(1) |
Cost
information has been omitted for participant directed assets. Non-Contributory
Employer Contributions can only be invested in
Retirement Date Funds, however employees may also direct their
own contributions to Retirement Date
Funds.
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Document
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Exhibit
Number
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Consent
of Independent Registered Public Accounting Firm
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23
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