December
31,
|
||||||||
2007
|
2006
|
|||||||
(dollars
in thousands)
|
||||||||
Assets
|
||||||||
Investments,
at fair value (Note 2)
|
||||||||
Vanguard
PRIMECAP Fund Investor Shares
|
$ | 28,868 | $ | 25,264 | ||||
Shares in
registered investment companies
|
96,764 | 69,620 | ||||||
Vanguard 500
Index Fund Signal Shares
|
88,641 | * | — | |||||
Vanguard 500
Index Fund Investor Shares
|
— | 83,712 | * | |||||
Vanguard
Money Market Reserve Fund - Federal Portfolio
|
30,392 | 26,632 | ||||||
Vanguard
Small-Cap Index Fund Signal Shares
|
30,644 | * | — | |||||
Vanguard
Small-Cap Index Fund Investor Shares
|
— | 30,401 | * | |||||
Vanguard
Wellington Fund Investor Shares
|
68,531 | * | 68,284 | * | ||||
Vanguard
Windsor II Fund Investor Shares
|
57,231 | * | 57,912 | * | ||||
Vanguard
International Growth Fund
|
46,518 | * | 33,279 | * | ||||
Vanguard
Retirement Savings Trust
|
83,085 | * | 91,850 | * | ||||
Common stock
- Energizer Holdings, Inc. Stock
|
112,092 | * | 89,853 | * | ||||
Loans to
participants
|
9,454 | 9,287 | ||||||
Total
Investments
|
652,220 | 586,094 | ||||||
Receivables:
|
||||||||
Employer
contributions
|
26 | 153 | ||||||
Participant
contributions
|
103 | — | ||||||
Total
Receivables
|
129 | 153 | ||||||
Total
Assets
|
652,349 | 586,247 | ||||||
Liabilities
|
||||||||
Accrued
administrative expenses
|
29 | 29 | ||||||
Net
Assets Available For Benefits
|
$ | 652,320 | $ | 586,218 | ||||
* Investment
represents 5% or more of Plan's net assets.
|
For
The Years
|
||||||||
Ended
December 31,
|
||||||||
2007
|
2006
|
|||||||
(dollars
in thousands)
|
||||||||
Additions
To Net Assets Attributed To:
|
||||||||
Investment
Income
|
||||||||
Interest
income
|
$ | 709 | $ | 627 | ||||
Dividends
income
|
29,454 | 21,885 | ||||||
Net
appreciation in fair value of investments
|
47,679 | 64,219 | ||||||
77,842 | 86,731 | |||||||
Contributions
|
||||||||
Employer
|
5,666 | 5,676 | ||||||
Participant
|
21,279 | 19,419 | ||||||
26,945 | 25,095 | |||||||
Total
Additions
|
104,787 | 111,826 | ||||||
Deductions
From Net Assets Attributed To:
|
||||||||
Benefits
paid
|
38,484 | 35,664 | ||||||
Administrative
expenses
|
201 | 124 | ||||||
Total
Deductions
|
38,685 | 35,788 | ||||||
Net
Increase
|
66,102 | 76,038 | ||||||
Net
Assets Available For Benefits - Beginning Of Year
|
586,218 | 510,180 | ||||||
Net
Assets Available For Benefits - End Of Year
|
$ | 652,320 | $ | 586,218 | ||||
1.
|
Description
Of The Plan
|
Daniel J.
Sescleifer
|
Executive
Vice President and Chief Financial Officer
|
William C.
Fox
|
Vice
President and Treasurer
|
Peter J.
Conrad
|
Vice
President, Human Resources
|
John J.
McColgan
|
Vice
President and Controller
|
Joseph J.
Tisone
|
Vice
President, Global Operations –Household Products
|
Geraldine S.
Auger
|
Vice
President, HR Programs
|
David S.
VerNooy
|
Vice
President, Research Development and Engineering – Schick-Wilkinson
Sword
|
2.
|
Summary
Of Significant Accounting Policies
|
3.
|
Related
Party and Party-in-Interest
|
4.
|
Income
Tax Status
|
5.
|
Investments
|
For
the Years
|
||||||||
Ended
December 31,
|
||||||||
2007
|
2006
|
|||||||
Net
appreciation in fair market value
|
||||||||
Vanguard 500
Index Fund Signal Shares
|
$ | 3,108 | $ | — | ||||
Vanguard 500
Index Fund Investor Shares
|
— | 10,001 | ||||||
Vanguard
Wellington Fund Investor Shares
|
353 | 3,240 | ||||||
Vanguard
Windsor II Fund Investor Shares
|
(5,608 | ) | 5,239 | |||||
Vanguard
Small-Cap Index Fund Signal Shares
|
(33 | ) | — | |||||
Vanguard
Small-Cap Index Fund Investor Shares
|
— | 3,757 | ||||||
Energizer
Holdings, Inc. Common Stock
|
45,988 | 33,658 | ||||||
Vanguard
International Growth Fund
|
1,437 | 2,939 | ||||||
Other
|
2,434 | 5,385 | ||||||
Net
Assets Available For Benefits
|
$ | 47,679 | $ | 64,219 | ||||
6.
|
Form
5500
|
7.
|
Recent
Accounting Pronouncements
|
8.
|
Subsequent
Event
|
(a)
|
(b) Identity
of Issue, Borrower, Lessor, or
Similar
Party
|
(c) Description
of Investment
Including
Maturity Date, Rate of Interest,
Collateral,
Par, or Maturity Value
|
(d)
Cost
|
(e)
Current
Value
|
||||||||
*
|
Vanguard
Group
|
PRIMECAP Fund
Investor Shares
|
$ | 25,310 | $ | 28,868 | ||||||
* |
Vanguard
Group
|
500 Index
Fund Signal Shares
|
86,854 | 88,641 | ||||||||
* |
Vanguard
Group
|
Money Market
Reserve Fund - Federal Portfolio
|
30,392 | 30,392 | ||||||||
* |
Vanguard
Group
|
Wellington
Fund Investor Shares
|
63,754 | 68,531 | ||||||||
* |
Vanguard
Group
|
Windsor II
Fund Investor Shares
|
54,281 | 57,231 | ||||||||
* |
Vanguard
Group
|
International
Growth Fund
|
40,947 | 46,518 | ||||||||
* |
Vanguard
Group
|
Small-Cap
Index Fund Signal Shares
|
30,870 | 30,644 | ||||||||
* |
Vanguard
Group
|
Explorer
Fund
|
11,174 | 11,256 | ||||||||
* |
Vanguard
Group
|
Bond Market
Index Signal
|
24,374 | 24,940 | ||||||||
* |
Vanguard
Group
|
Forward
International Sml Companies Fund Institutional Class
|
5,882 | 5,686 | ||||||||
* |
Vanguard
Group
|
STI Classic
Small Cap Value Equity Fund Signal Shares
|
1,375 | 1,375 | ||||||||
* |
Vanguard
Group
|
Target
Retirement 2005 Fund
|
1,763 | 1,819 | ||||||||
* |
Vanguard
Group
|
Target
Retirement 2010 Fund
|
8,286 | 8,740 | ||||||||
* |
Vanguard
Group
|
Target
Retirement 2015 Fund
|
9,683 | 10,067 | ||||||||
* |
Vanguard
Group
|
Target
Retirement 2020 Fund
|
9,284 | 9,779 | ||||||||
* |
Vanguard
Group
|
Target
Retirement 2025 Fund
|
7,197 | 7,446 | ||||||||
* |
Vanguard
Group
|
Target
Retirement 2030 Fund
|
5,670 | 5,949 | ||||||||
* |
Vanguard
Group
|
Target
Retirement 2035 Fund
|
3,755 | 3,897 | ||||||||
* |
Vanguard
Group
|
Target
Retirement 2040 Fund
|
1,780 | 1,832 | ||||||||
* |
Vanguard
Group
|
Target
Retirement 2045 Fund
|
1,845 | 1,873 | ||||||||
* |
Vanguard
Group
|
Target
Retirement 2050 Fund
|
518 | 534 | ||||||||
* |
Vanguard
Group
|
Target
Retirement Income
|
1,545 | 1,571 | ||||||||
Total
Investment in Shares in Registered Investment Company
|
426,539 | 447,589 | ||||||||||
* |
Vanguard
Group
|
Vanguard
Retirement Saving Trust (Common/Collective Trust)
|
83,085 | 83,085 | ||||||||
Total
Investment in Common/Collective Trust
|
83,085 | 83,085 | ||||||||||
* |
Energizer
Holdings, Inc.
|
ESOP Common
Stock - Participant directed
|
40,566 | 112,092 | ||||||||
Total
Investment in Common Stock
|
40,566 | 112,092 | ||||||||||
* |
Participant
Loans
|
Notes
Receivable from Participants (various maturity
|
||||||||||
dates, 5.00%
to 10.50% interest)
|
— | 9,454 | ||||||||||
$ | 550,190 | $ | 652,220 | |||||||||
* Investment
represents allowable transaction with a party-in-interest.
|