REPORT
OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM
|
1
|
FINANCIAL
STATEMENTS
|
|
STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS
|
2
|
STATEMENT OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS
|
3
|
NOTES TO FINANCIAL STATEMENTS
|
4
|
SUPPLEMENTAL
SCHEDULES
|
|
SCHEDULE H, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF
YEAR)
|
11
|
2008
|
2007
|
|||||||
ASSETS
|
||||||||
Cash
|
$ |
7,150
|
|
$ |
-
|
|||
Investments,
at fair value (Note 3)
|
13,229,612
|
12,441,044
|
||||||
Receivables | ||||||||
Participant contributions receivable
|
-
|
135,042
|
||||||
Employer contribution receivable
|
-
|
23,801
|
||||||
Dividends receivable
|
13,151
|
23,272
|
||||||
13,151 | 180,115 | |||||||
Total
assets
|
13,249,913
|
12,621,159
|
||||||
LIABILITIES | ||||||||
Excess Deferral Payable | - | 7,792 | ||||||
NET
ASSETS AVAILABLE FOR BENEFITS
|
$
|
13,249,913
|
$
|
12,613,367
|
||||
Additions
to net assets attributed to:
|
||||
Investment
income,excluding net depreciation
|
||||
Dividends
and interest income
|
$ |
403,040
|
||
Contributions
|
||||
Participant
|
|
1,841,214
|
||
Employer
|
348,705
|
|||
Rollovers
|
78,385
|
|||
2,268,304
|
||||
Total
additions
|
2,671,344
|
|||
Deductions
from net assets attributed to:
|
||||
Net depreciation in fair value of investments (Note 3) | 3,662,346 | |||
Benefits
paid to participants
|
1,413,156
|
|||
Net decrease before transfers |
(2,404,158
|
) | ||
Transfers in - Plan merger |
3,040,704
|
|||
Net
increase
|
636,546
|
|||
Net
assets available for benefits
|
||||
Beginning
of year
|
12,613,367
|
|||
End
of year
|
$
|
13,249,913
|
Fair Value
Measurements
|
||||
at December 31, 2008
Using
|
||||
Quoted Prices in
Active Markets for
|
Significant
Other
|
Significant
|
||
Identical
Assets
|
Observable
Inputs
|
Unobservable
Inputs
|
||
(Level
1)
|
(Level
2)
|
(Level
3)
|
||
Mutual Funds | $ |
11,754,593
|
-
|
-
|
Company common stock | $ |
1,475,019
|
-
|
-
|
December
31,
|
||||||||
2008
|
2007
|
|||||||
Investments
at fair value
|
||||||||
Vanguard
Institutional Index Fund (17,901 and 16,651 shares)
|
$
|
1,477,522
|
$
|
2,233,561
|
||||
Prime
Obligation Fund (5,173,671 and 2,483,536 shares)
|
5,173,671
|
2,483,536
|
||||||
American
Funds Europacific (30,565 and 28,161 shares)
|
854,289
|
1432,559
|
||||||
Fidelity
Structured Mid Cap Growth (0 and 57,889 shares)
|
n/a
|
782,665
|
||||||
Capital
City Bank Group, Inc. Common Stock
|
||||||||
(54,149
and 31,343 shares)
|
1,475,019
|
884,499
|
||||||
Select
American Shares (15,386 and 14,462 shares)
|
438,508
|
(2) |
691,127
|
|||||
Goldman
Sachs Core Fixed Institutional (72,349 and 64,024 shares)
|
610,627
|
(2) |
640,876
|
Mutual
Funds
|
$
|
(3,601,659
|
) | |
Capital City Bank Group, Inc. Common Stock
|
(60,687
|
) | ||
Net
depreciation in fair value of investments
|
$
|
(3,662,346
|
) |
(c)
|
||||||
(b)
|
Description
of Investment
|
|||||
Identity
of Issuer,
|
Including
Maturity Date,
|
|||||
Borrower,
|
Rate
of Interest,
|
(e)
|
||||
Lessor,
or
|
Collateral,
Par
|
(d)
|
Current
|
|||
(a)
|
Similar Party
|
or Maturity Value
|
**Cost
|
Value
|
||
Mutual
Funds
|
||||||
Vanguard
|
Mid-Cap
Index,
|
|||||
10,941
shares
|
$
|
184,797
|
||||
Vanguard
|
Total
Bond Index,
|
|||||
24,677 shares
|
251,207
|
|||||
DWS
Reef
|
Real
Estate Securities Fund,
|
|||||
4,491 shares
|
49,935
|
|||||
American
Funds
|
High
Income Fund,
|
|||||
16,256 shares
|
127,125
|
|||||
Vanguard
|
Developed
Market Index Fund,
|
|||||
7,334
shares
|
55,149
|
|||||
DWS
Dreman
|
Small
Cap Fund,
|
|||||
3,026 shares
|
73,381
|
|||||
Blackrock
|
Mid-Cap
Value Fund,
|
|||||
13,618 shares
|
100,502
|
|||||
American
Funds
|
Small-Cap
Fund,
|
|||||
3,826
shares
|
79,701
|
|||||
Van
Kampen Funds
|
Equity
Fund,
|
|||||
16,500 shares
|
106,427
|
|||||
Goldman
Sachs
|
Structured
U.S. Equity Fund,
|
|
||||
2,000 shares |
35,853
|
(c)
|
||||||
(b)
|
Description
of Investment
|
|||||
Identity
of Issue,
|
Including
Maturity Date,
|
|||||
Borrower,
|
Rate
of Interest,
|
(e)
|
||||
Lessor,
or
|
Collateral,
Par
|
(d)
|
Current
|
|||
(a)
|
Similar Party
|
or Maturity Value
|
**Cost
|
Value
|
||
T
Rowe Price
|
Real
Estate Retail Shares,
|
|||||
1,178
shares
|
$
|
29,482
|
||||
Vanguard
|
Inflation
Protected Reinvestment,
|
|||||
713 shares
|
8,217
|
|||||
Vanuguard
|
Prime
Obligation,
|
|
||||
5,173,671
shares
|
5,173,671 | |||||
Vanguard
|
Vanguard
Institutional Index,
|
|
||||
17,901shares
|
1,477,522 | |||||
American
Funds
|
Europacific,
|
|
||||
30,565 shares
|
854,289 | |||||
American
Funds
|
Fundamental
Growth,
|
|
||||
13,260 shares
|
331,360 | |||||
American
Funds
|
Growth
Fund of America,
|
|
||||
21,700 shares
|
443,546 | |||||
Royce | Premier Investment, | |||||
26,145 shares | 321,584 | |||||
Select | Selected American Shares, | |||||
15,386 shares | 438,508 | |||||
Vanguard | Total Stock Market, | |||||
16,968 shares | 369,909 |
(c)
|
||||||
(b)
|
Description
of Investment
|
|||||
Identity
of Issue,
|
Including
Maturity Date,
|
|||||
Borrower,
|
Rate
of Interest,
|
(e)
|
||||
Lessor,
or
|
Collateral,
Par
|
(d)
|
Current
|
|||
(a)
|
Similar Party
|
or Maturity Value
|
**Cost
|
Value
|
||
Goldman Sachs | Core Fixed Institutional, | |||||
72,349 shares |
610,627
|
|||||
Dreyfus Fund | Bond Market Index, | |||||
17,448 shares |
178,846
|
|||||
Van Kampen | Mid-Cap Growth, | |||||
28,125 shares |
416,537
|
|||||
Goldman Sachs | Financial Square Prime | |||||
Obligations, 36,418 shares |
36,418
|
|||||
*
|
Capital
City Bank
|
Capital
City Bank Group, Inc.,
|
|
|||
Group, Inc.
|
Common
Stock, 54,149 shares
|
1,475,019
|
||||
$
|
13,229,612
|