(mark one)
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x |
Annual Report Pursuant to Section 15(d) of the Securities Exchange Act of 1934
for the fiscal year ended December 31, 2014.
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Or
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o |
Transition Report Pursuant to Section 15(d) of the Securities Exchange Act of 1934
for the transition period from _________ to _________.
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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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JOHNSON OUTDOORS RETIREMENT AND SAVINGS PLAN
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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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Johnson Outdoors Inc.
555 Main Street
Racine, WI 53403
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2014
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2013
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Assets
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|||
Investments, at fair value
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$ 79,475,145
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$ 76,176,149
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Notes receivable from participants
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1,594,792
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1,523,779
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Contributions receivable
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Participant
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-
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-
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Company
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1,309,338
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1,258,507
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Total receivables
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2,904,130
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2,782,286
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Total Assets
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82,379,275
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78,958,435
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Liabilities
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Fees Payable
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41,611
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-
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Net assets available for benefits at fair value
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82,337,664
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78,958,435
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Adjustment from fair value to contract value for interest in collective
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trust relating to fully benefit-responsive investment contracts
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(239,103)
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(171,601)
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Net assets available for benefits
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$ 82,098,561
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$ 78,786,834
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2014
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2013
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Investment income
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Net realized and unrealized appreciation in fair value
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of investments
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$ 542,481
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$ 9,906,577
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Interest
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3,487
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3,598
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Dividends
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3,262,267
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1,889,114
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Total investment income
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3,808,235
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11,799,289
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Interest income on notes receivable from participants
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64,127
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58,225
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Contributions
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Participant
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2,844,307
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2,511,801
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Company
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2,383,165
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2,211,219
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Rollover
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283,597
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271,122
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Total contributions
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5,511,069
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4,994,142
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Total additions
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9,383,431
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16,851,656
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Distributions to participants or beneficiaries
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(5,887,715)
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(5,607,866)
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Administrative expenses and investment management fees
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(183,989)
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(166,640)
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Total disbursements
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(6,071,704)
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(5,774,506)
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Net increase
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3,311,727
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11,077,150
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Transfer from other plan
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-
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562,003
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Net assets available for benefits:
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Beginning of year
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78,786,834
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67,147,681
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End of year
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$82,098,561
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$78,786,834
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Vanguard Total Stock Market Index Fund
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Vanguard Total Bond Market Index Fund
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PIMCO Commodities Plus Strategy Fund
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American Funds Balanced Fund
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Fidelity Advisor Equity Growth Fund
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American Capital World Growth and Income Fund
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T. Rowe Price Institutional Small Cap Stock Fund
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William Blair Institutional International Growth Fund*
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Johnson Outdoors Common Stock
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FMI Large Cap Fund
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Harding Loevner Emerging Markets Fund
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Putnam Stable Value Fund
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Wasatch Frontier Emerging Small Countries Fund
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MFS Emerging Markets Debt Fund
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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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Description:
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Mutual funds:
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Large cap
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$25,280,174
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$ -
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$ -
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$25,280,174
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Foreign and global
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17,829,376
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-
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-
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17,829,376
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Fixed income
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5,773,035
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-
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-
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5,773,035
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Small cap
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9,760,789
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-
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-
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9,760,789
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Balanced
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4,317,908
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-
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-
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4,317,908
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Commodities
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2,530,579
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-
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-
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2,530,579
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Total mutual funds
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65,491,861
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-
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-
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65,491,861
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Common stock:
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Consumer discretionary - leisure
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1,046,269
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-
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-
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1,046,269
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Common/collective trust
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-
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12,937,015
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-
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12,937,015
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Total
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$66,538,130
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$12,937,015
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$ -
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$79,475,145
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Level 1
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Level 2
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Level 3
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Total
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Description:
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Mutual funds:
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Large cap
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$ 22,620,877
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$ -
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$ -
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$ 22,620,877
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Foreign and global
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17,407,983
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-
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-
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17,407,983
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Fixed income
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6,070,286
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-
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-
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6,070,286
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Small cap
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9,010,390
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-
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-
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9,010,390
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Balanced
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4,084,700
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-
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-
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4,084,700
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Commodities
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2,744,381
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-
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-
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2,744,381
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Total mutual funds
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61,938,617
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-
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-
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61,938,617
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Common stock:
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Consumer discretionary - leisure
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978,083
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-
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-
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978,083
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Common/collective trust
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-
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13,259,449
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-
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13,259,449
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Total
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$ 62,916,700
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$ 13,259,449
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$ -
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$ 76,176,149
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2014
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Fair Value Estimated using Net Asset Value per Share
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Unfunded
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Redemption
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Redemption
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Fair Value
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Commitment
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Frequency
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Notice Period
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Asset category:
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Common/collective trust
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$ 12,937,015
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$ -
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Immediate
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None
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2013
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Fair Value Estimated using Net Asset Value per Share
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Unfunded
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Redemption
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Redemption
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Fair Value
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Commitment
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Frequency
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Notice Period
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Asset category:
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Common/collective trust
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$ 13,259,449
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$ -
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Immediate
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None
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Description
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2014
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Vanguard Total Bond Market Index Fund
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$
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5,773,035
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Vanguard Total Stock Market Index Fund
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7,371,247
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American Funds Balanced Fund
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4,317,908
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Fidelity Advisor Equity Growth Fund
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9,778,601
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American Capital World Growth and Income Fund
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6,638,242
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T. Rowe Price Institutional Small Cap Stock Fund
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9,760,789
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Putnam Stable Value Fund*
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12,697,912
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William Blair Institutional International Growth Fund
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5,187,965
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Harding Loevner Emerging Markets Fund
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4,273,485
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FMI Large Cap Fund
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8,130,326
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*Amount represents contract value (fair value is $12,937,015)
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Description
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2013
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Vanguard Total Bond Market Index Fund
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$
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6,070,286
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Vanguard Total Stock Market Index Fund
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6,398,341
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American Funds Balanced Fund
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4,084,700
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Fidelity Advisor Equity Growth Fund
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8,950,726
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American Capital World Growth and Income Fund
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6,764,339
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T. Rowe Price Institutional Small Cap Stock Fund
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9,010,390
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Putnam Stable Value Fund*
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13,087,848
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William Blair International Growth Fund
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4,873,368
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Harding Loevner Emerging Markets Fund
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4,230,515
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FMI Large Cap Fund
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7,271,810
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*Amount represents contract value (fair value is $13,259,449)
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2014
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2013
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Mutual funds
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$ 404,895
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$ 9,646,175
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Johnson Outdoors Inc. common stock
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137,586
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260,402
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$ 542,481
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$ 9,906,577
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2014
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2013
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Net assets available for benefits per the financial statements
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$ 82,251,999
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$ 78,786,834
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Differences in:
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Investments
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-
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1,523,779
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Receivables - notes receivables from participants
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-
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(1,523,779)
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Company contribution receivable
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-
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-
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Adjustment from contract value to fair value
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239,103
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171,601
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Net assets available for benefits per the Form 5500
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$ 82,491,102
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$ 78,958,435
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2014
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2013
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Increase in net assets available for benefits per the financial statements
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$ 3,465,165
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$ 11,639,153
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Reverse adjustment from contract value to fair value, prior year
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(171,601)
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(429,303)
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Adjustment from contract value to fair value, current year
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239,103
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171,601
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Increase in net assets available for benefits per the Form 5500
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$ 3,532,667
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$ 11,381,451
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Number of
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Current
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Identity of issue, borrower, lessor or similar party
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shares/units
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fair value
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Vanguard Total Stock Market Index Fund
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142,854
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$ 7,371,247
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Vanguard Total Bond Market Index Fund
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531,098
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5,773,035
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American Funds Balanced Fund
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174,390
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4,317,908
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FMI Large Cap Fund
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383,144
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8,130,326
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Fidelity Advisor Equity Growth Fund
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98,744
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9,778,601
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American Capital World Growth and Income Fund
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144,028
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6,638,242
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PIMCO Commodities Plus Strategy Fund
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329,502
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2,530,579
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T.Rowe Price Institutional Small Cap Stock Fund
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476,601
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9,760,789
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William Blair Institutional International Growth Fund
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339,972
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5,187,965
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Johnson Outdoors Inc. Common Stock*
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33,534
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1,046,269
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Harding Loevner Emerging Markets Fund
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93,676
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4,273,485
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MFS Emerging Markets Debt Fund
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62,886
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913,741
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Wasatch Frontier Emerging Small Countries Fund
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263,207
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815,943
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Putnam Stable Value Fund
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12,697,912
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12,937,015
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Participant loans* (interest rate of 4.25%; maturing
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|||
from January 2015 to December 2019)
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1,594,792
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1,594,792
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Total investments, at fair value
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$ 81,069,937
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JOHNSON OUTDOORS RETIREMENT AND SAVINGS PLAN
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By: /s/ Richard Fiegel
Richard Fiegel
By: /s/ Megan Fahey
Megan Fahey
By: /s/ Sara Vidian
Sara Vidian
By: /s/ David W. Johnson
David W. Johnson
By: /s/ Erik Hokanson
Erik Hokanson
As members of the Johnson Outdoors Retirement
and Savings Plan Administrative Committee
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Exhibit No.
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Description
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Page Number in
Sequentially Numbered
Form 11-K
|
23.1
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Consent of McGladrey LLP
|
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