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ANNUAL
REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT
OF 1934
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o
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TRANSITION
REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT
OF
1934
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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.
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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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Plantronics,
Inc. 401(k) Plan
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Date:
September 25, 2006
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By:
/s/ Richard R. Pickard
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Richard
R. Pickard
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Vice
President, Legal and General Counsel
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Plantronics,
Inc. on behalf of the Plan Administrator of the Plantronics, Inc.
401(k)
Plan
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Table
of Contents
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Page
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4
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Financial
Statements:
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5
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6
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7
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13
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14
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PLANTRONICS,
INC.
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401(k)
PLAN
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STATEMENTS
OF NET ASSETS AVAILABLE FOR BENEFITS
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April
1,
2006
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April
2,
2005
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|||||
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Assets:
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Investments,
at fair value
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$
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61,232,958
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$
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50,899,870
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Investments,
at contract value
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17,781,267
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16,944,888
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Participant
loans
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1,558,081
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1,491,956
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Net
assets available for benefits
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$
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80,572,306
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$
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69,336,714
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PLANTRONICS,
INC.
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|||||||
401(k)
PLAN
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|||||||
STATEMENTS
OF CHANGES IN NET ASSETS AVAILABLE FOR
BENEFITS
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Fiscal
Years
ended
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|||||||
April
1,
2006
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April
2,
2005
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||||||
Additions
to net assets attributed to:
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Investment
income:
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Dividends
and interest
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$
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694,620
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$
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648,072
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Net
realized and unrealized appreciation in fair value of
investments
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6,588,239
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985,812
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7,282,859
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1,633,884
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Contributions:
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Participants'
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5,150,575
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4,622,392
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Employer's
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2,983,954
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2,728,211
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8,134,529
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7,350,603
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Total
additions
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15,417,388
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8,984,487
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Deductions
from net assets attributed to withdrawals, distributions, and
administrative expenses
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4,181,796
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3,080,427
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Total
deductions
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4,181,796
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3,080,427
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Net
increase in net assets
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11,235,592
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5,904,060
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Net
assets available for benefits:
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Beginning
of year
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69,336,714
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63,432,654
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End
of year
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$
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80,572,306
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$
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69,336,714
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April
1,
2006
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April
2,
2005
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SF
Guaranteed Fund
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$
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17,781,267
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$
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16,944,888
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Fidelity
Contrafund
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7,388,364
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4,507,190
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Fidelity
Equity Income II Fund
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6,817,130
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5,888,585
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Fidelity
Magellan Fund
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-
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7,688,315
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Select
Indexed Equity Fund
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9,724,495
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-
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OFI
Premier Global
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5,883,596
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3,901,798
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Plantronics,
Inc. Common Stock
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9,457,209
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10,058,915
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Other
funds individually less than 5% of net assets
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23,520,245
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20,347,023
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Assets
held for investment purposes
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$
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80,572,306
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$
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69,336,714
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Years
ended
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April
1,
2006
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April
2,
2005
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Company
common stock
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$
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(605,930
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)
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$
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135,029
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Mutual
funds
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822,909
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179,933
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Pooled
separate accounts
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6,371,260
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670,850
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$
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6,588,239
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$
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985,812
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PLANTRONICS,
INC.
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EIN:
77-0207692
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401(k)
PLAN
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PLAN
#002
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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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April
1, 2006
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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 value
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Current
value
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Massachusetts
Mutual Life Insurance Company:
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*
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SF
Guaranteed Fund
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Guaranteed
Investment Contract
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$
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17,781,267
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*
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Fidelity
Contrafund
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Pooled
Separate Account
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7,388,364
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*
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Fidelity
Equity Income II Fund
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Pooled
Separate Account
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6,817,130
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*
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Select
Midcap Growth II Fund
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Pooled
Separate Account
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2,453,189
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*
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Select
Indexed Equity Fund
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Pooled
Separate Account
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9,724,495
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*
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Select
Small Company Growth Fund
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Pooled
Separate Account
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3,026,150
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*
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Premier
Small Cap Value Fund
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Pooled
Separate Account
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2,530,251
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*
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Select
Focused Value Fund
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Pooled
Separate Account
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1,865,202
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*
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Select
Overseas Fund
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Pooled
Separate Account
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1,964,374
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*
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Select
Growth Equity Fund
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Pooled
Separate Account
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1,011,739
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*
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American
Century Ultra Fund
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Pooled
Separate Account
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3,294,977
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*
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OFI
Premier Global
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Pooled
Separate Account
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5,883,596
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*
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PIMCO
Total Return
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Pooled
Separate Account
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1,210,205
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Fidelity
Puritan Fund
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Mutual
Fund
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2,325,807
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Phoenix-Duff
& Phelps Real Estate Fund
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Mutual
Fund
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2,277,897
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*
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Plantronics,
Inc.
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Common
Stock
|
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9,457,209
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*
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Participant
loans
|
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Interest
rates ranging from 5.0% to 11.5%
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1,558,081
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*
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Interest
bearing cash
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Interest
bearing cash
|
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2,373
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Total
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$
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80,572,306
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*
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Party-in-interest
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Exhibit
Number
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Description
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Consent
of Mohler, Nixon & Williams Accountancy Corporation, Independent
Registered Public Accounting
Firm
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