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x
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ANNUAL
REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
for the fiscal year ended December 31,
2009.
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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
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.
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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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Report
of Independent Registered Public Accounting Firm
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3
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Audited
Financial Statements
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Statements
of Net Assets Available for Benefits
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4
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Statement
of Changes in Net Assets Available for Benefits
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5
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Notes
to the Financial Statements
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6
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Supplemental
Schedules
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Schedule
H, Line 4i—Schedule of Assets (Held at End of Year)
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16
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Schedule
H, Line 4j—Schedule of Reportable 5% Transactions
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17
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December
31,
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||||||||
2009
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2008
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Assets
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||||||||
Investments,
at fair value:
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||||||||
Pooled
separate accounts
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$ | 7,165,171 | $ | 5,083,051 | ||||
Mutual
funds
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3,206,386 | 2,600,792 | ||||||
Unallocated
contracts
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1,586,407 | 1,891,879 | ||||||
TechTeam
Global, Inc. common stock
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4,022,736 | 3,168,944 | ||||||
Participant
loans
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498,396 | 593,392 | ||||||
Total
investments
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16,479,096 | 13,338,058 | ||||||
Contributions
receivable:
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||||||||
Participants
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54,528 | 61,366 | ||||||
Employer
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— | 28,157 | ||||||
Total
contributions receivable
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54,528 | 89,523 | ||||||
Net
assets available for benefits
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$ | 16,533,624 | $ | 13,427,581 |
Additions
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||||
Investment
income:
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||||
Net
appreciation in fair value of investments
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$ | 3,211,224 | ||
Dividends
and interest
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54,821 | |||
Total
investment income
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3,266,045 | |||
Contributions:
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||||
Participants
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1,694,323 | |||
Employer
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306,093 | |||
Rollover
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76,481 | |||
Total
contributions
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2,076,897 | |||
Total
additions
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5,342,942 | |||
Deductions
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||||
Benefits
paid to participants
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2,227,251 | |||
Administrative
fees
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9,648 | |||
Total
deductions
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2,236,899 | |||
Increase
in net assets available for benefits
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3,106,043 | |||
Net
assets available for benefits at beginning of year
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13,427,581 | |||
Net
assets available for benefits at end of year
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$ | 16,533,624 |
Balance
at December 31, 2008
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$ | 3,168,944 | ||
Employer
contributions
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334,250 | |||
Participant
contributions
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63,998 | |||
Appreciation
in fair value of investment
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991,566 | |||
Benefits
paid to participants
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(385,520 | ) | ||
Transfers
out
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(146,732 | ) | ||
Administrative
fees
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(3,770 | ) | ||
Balance
at December 31, 2009
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$ | 4,022,736 |
December
31
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||||||||
2009
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2008
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|||||||
TechTeam
Global Stock Fund *
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$ | 4,022,736 | $ | 3,168,944 | ||||
Principal
Global Investors - Fixed Income Guaranteed Option
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1,586,407 | 1,891,879 | ||||||
Principal
Global Investors – Tm 2030 Sep Acct
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1,140,861 | 550,025 | ||||||
American
Fund Service Co – Am Fds Grth Fd of Am R3 Fund
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1,008,664 | 829,657 | ||||||
American
Century Inv. Mgmt – Am Cent Heritage A Fund
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998,748 | 774,494 |
TechTeam
Global Stock Fund
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$ | 991,566 | ||
Pooled
separate accounts
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1,424,561 | |||
Mutual
Funds
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737,711 | |||
Unallocated
Contracts
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57,386 | |||
$ | 3,211,224 |
Contributions
made for benefits
per
the financial statements (accrual basis)
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$ | 2,076,897 | ||
Contributions
receivable reversal on the accrual basis
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89,523 | |||
Contributions
made for benefits
per
the Form 5500 (modified cash basis)
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$ | 2,166,420 |
Level
1 —
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Observable
inputs such as quoted prices (unadjusted) in active markets for identical
assets or liabilities.
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Level
2 —
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Inputs
other than quoted prices that are observable for the asset or liability,
either directly or indirectly. These include quoted prices for similar
assets or liabilities in active markets and quoted prices for identical or
similar assets or liabilities in markets that are not
active.
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Level
3 —
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Unobservable
inputs that reflect the reporting entity’s own
assumptions.
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Investment Category
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Balance at
December 31,
2009
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Level 1
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Level 2
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Level 3
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||||||||||||
Pooled
separate accounts
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$ | 7,165,171 | $ | — | $ | 7,008,965 | $ | 156,206 | ||||||||
Mutual
funds
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3,206,386 | 3,206,386 | — | — | ||||||||||||
Unallocated
contracts
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1,586,407 | — | — | 1,586,407 | ||||||||||||
TechTeam
Global, Inc. common stock
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4,022,736 | 4,022,736 | — | — | ||||||||||||
Participant
loans
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498,396 | — | — | 498,396 | ||||||||||||
Total
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$ | 16,479,096 | $ | 7,229,122 | $ | 7,008,965 | $ | 2,241,009 |
Investment Category
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Balance at
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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||||||||||||
Pooled
separate accounts
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$ | 5,083,051 | $ | — | $ | 4,891,639 | $ | 191,412 | ||||||||
Mutual
funds
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2,600,792 | 2,600,792 | — | — | ||||||||||||
Unallocated
contracts
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1,891,879 | — | — | 1,891,879 | ||||||||||||
TechTeam
Global, Inc. common stock
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3,168,944 | 3,168,944 | — | — | ||||||||||||
Participant
loans
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593,392 | — | — | 593,392 | ||||||||||||
Total
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$ | 13,338,058 | $ | 5,769,736 | $ | 4,891,639 | $ | 2,676,683 |
Investment Category
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Balance at
December 31,
2008
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Total Gains
or (Losses)
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Interest
Credited
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Purchases,
Issuances,
Settlements
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Balance at
December
31, 2009 |
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Unallocated
contracts
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$ | 1,891,879 | $ | — | $ | 57,386 | $ | (362,858 | ) | $ | 1,586,407 | |||||||||
Pooled
separate accounts
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191,412 | (65,760 | ) | — | 30,554 | 156,206 | ||||||||||||||
Participant
loans
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593,392 | — | — | (94,996 | ) | 498,396 |
Description
of Investment
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Including
Maturity Date,
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||||||||||||
Identity
of Issue, Borrower
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Rate
of Interest, Collateral,
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Current
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or Similar Party
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Par or Maturity Value
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Cost
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Value
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*
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Principal
Global Investors
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Fixed
Income Guaranteed Option
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*** | $ | 1,586,407 | |||||||
*
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Principal
Global Investors
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Principal
LifeTm 2030 Sep Acct
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*** | 1,140,861 | ||||||||
American
Funds Service Co
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Am
Fds Grth Fd of Am R3 Fund
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*** | 1,008,664 | |||||||||
American
Century Inv Mgt
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Am
Cent Heritage A Fund
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*** | 998,748 | |||||||||
*
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Principal
Global Investors
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Principal
LifeTm 2040 Sep Acct
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*** | 808,273 | ||||||||
Goldman
Sachs Asset Mgt
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Mid-Cap
Value I Sep Acct
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*** | 758,470 | |||||||||
*
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Principal
Global Investors
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Diversified
Intl Sep Acct
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*** | 725,665 | ||||||||
*
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Principal
Global Investors
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Principal
LifeTm 2020 Sep Acct
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*** | 679,999 | ||||||||
MFS
Investment Management
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MFS
Value R2 Fund
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*** | 616,569 | |||||||||
Columbus
Circle Investors
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Large
Co Growth Sep Acct
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*** | 596,266 | |||||||||
*
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Principal
Global Investors
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Large
Cap Stk Idx Sep Acct
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*** | 561,636 | ||||||||
*
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Principal
Global Investors
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Bond
and Mtg Sep Acct
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*** | 468,947 | ||||||||
*
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Principal
Global Investors
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Intl
Emerging Mkts Sep Acct
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*** | 424,102 | ||||||||
*
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Principal
Global Investors
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Principal
LifeTm 2050 Sep Acct
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*** | 334,042 | ||||||||
Columbia
Funds
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Columbia
Val & Restruct R Fd
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*** | 242,012 | |||||||||
*
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Principal
Global Investors
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Sm-Cap
Growth I SA-R3
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*** | 224,280 | ||||||||
Franklin
Advisors, Inc
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Franklin
Small Cap Value R Fund
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*** | 215,253 | |||||||||
*
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Principal
Global Investors
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Principal
U.S. Property Sep Acct
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*** | 156,206 | ||||||||
Davis
Funds
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Davis
New York Venture R Fund
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*** | 125,141 | |||||||||
*
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Principal
Global Investors
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Sm
Cap Stk Idx Sep Acct
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*** | 91,144 | ||||||||
*
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Principal
Global Investors
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Medium
Company Blend Sep Acct
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*** | 74,282 | ||||||||
*
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Principal
Global Investors
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Prin
LifeTm Str Inc Sep Acct
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*** | 71,320 | ||||||||
*
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Principal
Global Investors
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Principal
LifeTm 2010 Sep Acct
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*** | 49,677 | ||||||||
*
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Participants
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Loans
to participants at interest rates ranging from
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||||||||||
5.25%
to 10.25%, with various maturity dates
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n/a | 498,396 | ||||||||||
**
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TechTeam
Global, Inc.
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TechTeam
Global Stock Fund
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$ | 5,509,132 | 4,022,736 | |||||||
$ | 16,479,096 |
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*
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Party-in-interest
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**
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Party-in-interest,
nonparticipant-directed
fund
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***
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Cost is not
required for participant-directed
investments
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Identity of Party
Involved
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Description of Asset
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Purchase
Price
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Cost of
asset
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Selling
Price
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Net
Gain/(Loss)
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Principal
Global Investors
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Fixed
Income Guaranteed Option
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$ | 334,553 | $ | 667,736 | $ | 697,381 | $ | 29,645 | |||||||||
TechTeam
Global, Inc.
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TechTeam
Global Stock Fund
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541,814 | 1,252,651 | 679,562 | (573,089 | ) |
The
Plan.
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Pursuant
to the requirements of the Securities Exchange Act of 1934, the Trustee of
the TechTeam Global Retirement Savings Plan has duly caused this Annual
Report to be signed on its behalf by the undersigned hereunto duly
authorized.
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June
24, 2010
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TechTeam
Global Retirement Savings Plan
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By:
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/s/ Heidi K. Hagle
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Heidi
K. Hagle
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Vice
President, Human
Resources
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