Page
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(a) | Financial Statements and Supplemental Schedules – | |
Zions
Bancorporation Payshelter 401(k) and
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Employee
Stock Ownership Plan
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F-1
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(b) | Signatures |
F-2
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(c) | Exhibit 23 – Consent of Independent Registered | |
Public
Accounting Firm
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F-3
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Report of Independent Registered Public Accounting Firm | |
Audited Financial Statements | |
Statements
of Net Assets Available for Benefits
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1
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Statements
of Changes in
Net Assets Available for Benefits
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2
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Notes
to Financial
Statements
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3
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Supplemental Schedules | |
Schedule
H, Line 4i –
Schedule of
Assets (Held at End of Year)
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11
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Schedule
H, Line 4j – Schedule of Reportable Transactions
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12
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December
31,
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2006
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2005
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Assets
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||||||||
Investments
at fair value:
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||||||||
Short-term
investment fund
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$ |
4,500,549
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$ |
-
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||||
Zions
Bancorporation common stock
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289,725,170
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251,765,703
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||||||
Guaranteed
income fund
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-
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32,235,270
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||||||
Pooled
separate accounts
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-
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131,828,388
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||||||
Common
collective trust
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49,964,402
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-
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||||||
Registered
investment companies
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227,290,271
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-
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Real
estate joint venture
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345,484
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-
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Participant
loans
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7,960,751
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5,303,044
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579,786,627
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421,132,405
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Receivables:
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Participant
contributions
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446,931
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780,989
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Employer
contributions
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17,775,362
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13,971,848
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||||||
18,222,293
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14,752,837
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|||||||
Net
assets reflecting all investments at fair value
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598,008,920
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435,885,242
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Adjustment
from fair value to contract value for
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||||||||
fully
benefit-responsive investment contracts
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||||||||
in
common collective trust
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599,078
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-
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||||||
Net
assets available for benefits
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$ |
598,607,998
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$ |
435,885,242
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See accompanying notes to financial statements. |
Additions
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||||
Investment
income:
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Net
appreciation in fair value of investments
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$ |
37,555,386
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Interest
and dividends
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17,028,459
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54,583,845
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Contributions:
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Participant
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32,007,172
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|||
Employer
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31,929,610
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Rollovers
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2,354,921
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|||
66,291,703
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Transfer
from affiliated plan
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82,882,713
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|||
Total
additions
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203,758,261
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Deductions
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Benefits
paid directly to participants
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41,035,505
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Net
increase
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162,722,756
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Net
assets available for benefits:
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Beginning
of year
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435,885,242
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End
of year
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$ |
598,607,998
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See accompanying notes to financial statements. |
December
31,
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2006
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2005
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Zions
Bancorporation common
stock*
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$ |
289,725,170
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$ |
251,765,703
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Prudential
Retirement Insurance
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Guaranteed
Income Fund
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32,235,270
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Fidelity
Managed Income Portfolio II – Class 1
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49,964,402
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*Nonparticipant-directed
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Zions
Bancorporation common stock
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$ |
22,122,667
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Pooled
separate accounts
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5,199,146
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Registered
investment companies
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10,233,573
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$ |
37,555,386
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Net
appreciation in fair value
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$ |
22,122,667
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Interest
and dividends
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5,044,657
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Contributions
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27,473,698
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Net
transfers from other investments
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3,670,256
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Benefits
paid directly to participants
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(15,586,860 | ) | ||
Net
increase in net assets
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42,724,418
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Net
assets at beginning of year
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251,765,703
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Net
assets at end of year
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$ |
294,490,121
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Short-term
investment fund
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$ |
4,500,549
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Zions
Bancorporation common stock
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289,725,170
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Receivable
(included with employer
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contributions)
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264,402
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$ |
294,490,121
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(b)
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(d)
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||||||||||
Identity
of Issue, Borrower,
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(c)
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Cost
of Remain-
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(e)
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(a)
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Lessor,
or Similar Party
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Description
of Investment
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ing
Assets (1)
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Current
Value
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FIDELITY
INVESTMENTS
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SHORT-TERM
INV FUND (4,500,549 shares)
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$ |
4,500,549
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$ |
4,500,549
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*
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ZIONS
BANCORPORATION
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ZIONS
BANCORP COM STK (3,514,290 shares)
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155,009,467
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289,725,170
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FIDELITY
INVESTMENTS
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FID
MGD INC PORT II (50,563,480 shares)
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50,563,480
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(2)
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COLUMBIA
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COLUMBIA
ACORN USA Z (299,422 shares)
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8,581,421
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AMERICAN
BEACON FUNDS
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ABF
LARGE CAP VAL PA (1,113,622 shares)
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25,368,312
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T.
ROWE PRICE
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TRP
EMG MKT STOCK (38,607 shares)
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1,251,240
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PIMCO
FUNDS
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PIM
TOTAL RT INST (1,043,416 shares)
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10,830,655
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RAINIER
FUNDS
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RAINIER
SM/MID CAP (683,508 shares)
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25,064,222
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EVERGREEN
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EVRGRN
SPEC VAL INST (323,534 shares)
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8,910,138
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LOOMIS
SAYLES FUNDS
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LOOMIS
GLBL BD INST (19,460 shares)
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299,691
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MORGAN
STANLEY INV MGMT
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MSI
INTL REAL EST A (103,463 shares)
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3,602,593
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VANGUARD
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VANG
SM CAP IDX ADM (152,094 shares)
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4,964,353
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JANUS
CAPITAL
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JANUS
MID CAP VALUE (381,118 shares)
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9,074,420
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VANGUARD
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VANG
MIDCAP IDX ADM (47,583 shares)
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4,269,663
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VANGUARD
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VANG
REIT INDEX ADM (7,030 shares)
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767,327
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VICTORY
FUNDS
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VICTORY
DIVERS STK A (333,292 shares)
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6,015,913
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LEGG
MASON PARTNERS
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LMP
AGGR GROWTH A (3,598 shares)
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416,198
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LOOMIS
SAYLES FUNDS
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LOOMIS
BOND INST (358,435 shares)
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5,122,038
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PIMCO
FUNDS
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PIM
COM REAL RET I (20,756 shares)
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289,751
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ALLIANCE
BERNSTEIN INVESTMENTS
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ALL/BERN
INTL VAL AD (253,581 shares)
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5,763,905
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BLACKROCK
FUNDS
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BLKRK
INTL OPP INST (43,503 shares)
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1,824,092
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FIDELITY
INVESTMENTS
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FID
CONTRAFUND (330,289 shares)
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21,534,855
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FIDELITY
INVESTMENTS
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FID
CAPITAL & INCOME (120,070 shares)
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1,067,425
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FIDELITY
INVESTMENTS
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FID
BALANCED (237,276 shares)
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4,610,269
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FIDELITY
INVESTMENTS
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FID
FREEDOM INCOME (1,467 shares)
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16,934
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FIDELITY
INVESTMENTS
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FID
FREEDOM 2000 (125,067 shares)
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1,558,335
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FIDELITY
INVESTMENTS
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FID
FREEDOM 2010 (701,476 shares)
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10,255,585
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FIDELITY
INVESTMENTS
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FID
FREEDOM 2020 (655,061 shares)
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10,173,092
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FIDELITY
INVESTMENTS
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FID
FREEDOM 2030 (363,034 shares)
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5,819,442
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FIDELITY
INVESTMENTS
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SPTN
TOTAL MKT INDEX (15,949 shares)
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631,279
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FIDELITY
INVESTMENTS
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SPARTAN
INTL INDEX (327,381 shares)
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14,450,591
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FIDELITY
INVESTMENTS
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SPARTAN
US EQ INDEX (400,567 shares)
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20,100,467
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FIDELITY
INVESTMENTS
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FIDELITY
US BD INDEX (456,606 shares)
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4,958,745
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FIDELITY
INVESTMENTS
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FID
FREEDOM 2040 (383,462 shares)
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3,635,216
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FIDELITY
INVESTMENTS
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FA
DIVERS INTL I (196,988 shares)
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4,552,401
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FIDELITY
INVESTMENTS
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FID
FREEDOM 2005 (2,203 shares)
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25,574
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FIDELITY
INVESTMENTS
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FID
FREEDOM 2015 (44,109 shares)
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538,134
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FIDELITY
INVESTMENTS
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FID
FREEDOM 2025 (49,182 shares)
|
628,050
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FIDELITY
INVESTMENTS
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FID
FREEDOM 2035 (24,105 shares)
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317,945
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FAIRMONT
PARK JOINT VENTURE
|
Commercial
and residential real estate
|
345,484
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*
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PARTICIPANT
LOANS
|
Interest
rates ranging from 4.00% to 9.25%, with
|
|||||||||
maturities
through August 2017
|
7,960,751
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$ |
580,385,705
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* | Indicates party-in-interest to the Plan. |
(1) | Only provided for nonparticipant-directed investments. |
(2) | Stated at contract value. |
(h)
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|||||||||||||||||
(a)
|
(b)
|
(c)
|
(d)
|
(g)
|
Current
Value
|
(i)
|
|||||||||||
Identity
of Party
|
Description
of
|
Purchase
|
Selling
|
Cost
of
|
of
Asset on
|
Net
Gain
|
|||||||||||
Involved
|
Assets
|
Price
|
Price
|
Asset
|
Transaction
Date
|
(Loss)
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|||||||||||
Category
(iii) – a series of transactions with the same issue in excess of 5% of
Plan assets:
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|||||||||||||||||
Zions
Bancorporation
|
Zions
Bancorporation
|
||||||||||||||||
Common
Stock
|
$ |
39,563,882
|
$ |
-
|
$ |
39,563,882
|
$ |
39,563,882
|
$ |
-
|
|||||||
Zions
Bancorporation
|
|||||||||||||||||
Common
Stock
|
29,709,567
|
16,539,849
|
29,709,567
|
13,169,718
|
No category (i), (ii) or (iv) reportable transactions occurred during 2006. | |
Columns (e) and (f) are not applicable. |
ZIONS
BANCORPORATION PAYSHELTER 401(K)
AND EMPLOYEE STOCK OWNERSHIP
PLAN
|
|||
|
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June
27,
2007
|
By:
|
/s/ Doyle L. Arnold | |
DOYLE L. ARNOLD, | |||
Vice Chairman and Chief Financial | |||
Officer of Zions Bancorporation |