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,
2005.
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Or
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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 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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3
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Financial
Statements
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Statements of Net Assets Available for Benefits
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4
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Statements of Changes in Net Assets Available for Benefits
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5
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Notes
to Financial Statements
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6
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Supplemental
Schedule
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11 |
Form 5500, Schedule H, Part IV, Line 4i - Schedule of Assets (Held
at End
of Year) - December 31, 2005
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12
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2005
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2004
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|||||||
Investments
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||||||||
Investments,
at fair value
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$
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50,900,623
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$
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48,057,469
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||||
Loans
to participants
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1,341,471
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1,429,636
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||||||
Total
investments
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52,242,094
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49,487,105
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||||||
Contributions
receivable
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||||||||
Participant
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37,330
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91,665
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||||||
Company
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15,214
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34,598
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||||||
Loans
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8,340
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17,855
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||||||
Total
receivables
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60,884
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144,118
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||||||
Corrective
distribution payable
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(19,952
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)
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(5,243
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)
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||||
Net
assets available for benefits
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$
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52,283,026
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$
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49,625,980
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||||
2005
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2004
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|||||||
Additions
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||||||||
Investment
income
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||||||||
Interest
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$
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90,648
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$
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79,313
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||||
Dividends
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2,077,870
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1,578,634
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||||||
Total
investment income
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2,168,518
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1,657,947
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||||||
Contributions
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||||||||
Participant
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2,364,110
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2,355,142
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||||||
Company
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2,571,096
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2,703,738
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||||||
Rollover
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83,176
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3,499,912
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||||||
Total
contributions
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5,018,382
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8,558,792
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||||||
Total
additions
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7,186,900
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10,216,739
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||||||
Deductions
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||||||||
Distributions
to participants or beneficiaries
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(5,379,959
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) |
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(4,067,489
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)
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|||
Investment
management fees
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(98,160
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) |
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(5,397
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)
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|||
Corrective
distributions
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(19,952
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) |
(5,243
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)
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||||
Total
deductions
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(5,498,071
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)
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(4,078,129
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)
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Net
realized and unrealized appreciation in fair value of investments
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968,217
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2,647,497
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||||||
Net
increase
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2,657,046
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8,786,107
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||||||
Assets
available for benefits:
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||||||||
Beginning
of year
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49,625,980
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40,839,873
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||||||
End
of year
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$
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52,283,026
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$
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49,625,980
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||||
·
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Johnson
Outdoors Headquarters
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·
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Johnson
Outdoors Mankato Operations
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·
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Johnson
Outdoors Binghamton Operations
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·
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Johnson
Outdoors Eufaula Operations
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·
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Johnson
Outdoors U.S. Diving Operations
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·
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Johnson
Outdoors Old Town Canoe
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·
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Johnson
Outdoors Ocean Kayak
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·
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Johnson
Outdoors Watercraft Sports &
Leisure
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Vanguard
Total Stock Index
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Pimco
II Total Return Fund
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American
Balanced Fund R5
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Dreyfus
Premier Emerging Markets Fund
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Fidelity
Advisor Equity Growth Fund
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Washington
Mutual Investors Fund R5
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Capital
World Growth & Income Fund R5
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Oppenheimer
Real Asset Fund
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T.
Rowe Price Small Cap Stock Fund
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William
Blair International Growth Fund
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Putnam
Stable Value Fund
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Johnson
Outdoors Inc. Class A common stock
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Oppenheimer
Real Asset Fund
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4.
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Investment
Risk
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Description
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2005
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2004
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|||||
Capital
World Growth & Income Fund R5
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$
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6,120,324
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$
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5,409,442
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|||
T.
Rowe Price Small Cap Fund
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5,421,397
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5,084,725
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|||||
Washington
Mutual Investors Stock Fund R5
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6,475,977
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6,918,259
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|||||
American
Balanced Fund R5
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3,561,278
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3,709,602
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|||||
PIMCO
II Total Return Fund
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3,631,855
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3,647,774
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|||||
Fidelity
Advisor Equity Growth Fund
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6,362,333
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6,667,990
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|||||
Putnam
Stable Value Fund
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11,410,640
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10,902,164
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2005
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2004
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|||||||
Mutual
funds
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$
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1,147,605
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$
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2,374,735
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||||
Johnson
Outdoors Inc. Class A common
stock
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(179,388
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)
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272,762
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||||
$
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968,217
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$
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2,647,497
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Identity
of issue, borrower, lessor
or similar party
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Number
of shares/units
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Current
fair value
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|||||
Vanguard
Total Stock Index
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75,590.655
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$
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2,267,720
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||||
Pimco
II Total Return Fund
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363,913.288
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3,631,855
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|||||
American
Balanced Fund R5
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199,735.144
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3,561,278
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|||||
Dreyfus
Premier Emerging Markets Fund
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101,447.322
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2,193,291
|
|||||
Fidelity
Advisor Equity Growth Fund
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125,218.130
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6,362,333
|
|||||
Washington
Mutual Investors Fund R5
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210,054.396
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6,475,977
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|||||
Capital
World Growth & Income Fund R5
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167,313.405
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6,120,324
|
|||||
Oppenheimer
Real Asset Fund
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95,955.325
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748,451
|
|||||
T.
Rowe Price Small Cap Stock Fund
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165,236.109
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5,421,397
|
|||||
William
Blair International Growth Fund
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74,287.868
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1,873,540
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|||||
Putnam
Stable Value Fund *
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11,410,640.397
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11,410,640
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|||||
Johnson
Outdoors Inc. Class A common stock*
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49,221.775
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833,817
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|||||
Loans
to participants, interest rates ranging from 5%
to 12.5%*
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1,341,471
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||||||
Total
investments
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$
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52,242,094
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|||||
JOHNSON
OUTDOORS RETIREMENT AND SAVINGS PLAN
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By:
/s/ Richard
Fiegel
Richard Fiegel
By: /s/
David
Marquette
David Marquette
By:
/s/ Kevin
Mooney
Kevin Mooney
By:
/s/ Janine
Tracy
Janine Tracy
By:
/s/ W. Floyd
Wilkinson
W. Floyd Wilkinson
As
members of the Johnson Outdoors Retirement
and
Savings Plan Administrative
Committee
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Exhibit
No.
|
Description
|
Page
Number in
Sequentially
Numbered
Form 11-K
|
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23.1
|
Consent
of Grant Thornton LLP
|
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