[X]
|
ANNUAL
REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF
1934
|
|
For
the fiscal year ended December 31,
2006
|
|
OR
|
[ ]
|
TRANSITION
REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF
1934
|
|
Commission
file number 000-52059
|
PAGE
|
|||
2
|
|||
3
|
|||
4
|
|||
5
|
|||
10
|
|||
11
|
|||
12
|
|||
13
|
|||
(MODIFIED
CASH BASIS)
|
||||||||
December
31
|
||||||||
2006
|
2005
|
|||||||
ASSETS
|
||||||||
Investments,
at fair value
|
$ |
39,342,689
|
$ |
33,026,012
|
||||
Adjustment
from fair value to contract value for fully benefit responsive investment
contract within common collective trust
|
5,013
|
-
|
||||||
Net
assets available for benefits
|
$ |
39,347,702
|
$ |
33,026,012
|
||||
See
accompanying notes.
|
PGT
SAVINGS PLAN
|
||||
(MODIFIED
CASH BASIS)
|
||||
YEAR
ENDED DECEMBER 31, 2006
|
||||
ADDITIONS
TO NET ASSETS ATTRIBUTED TO:
|
||||
Investment
income:
|
||||
Interest,
dividends, and capital gains
|
$ |
1,882,597
|
||
Interest
income on loans to participants
|
147,911
|
|||
Net
appreciation in fair value of investments
|
2,052,718
|
|||
Contributions:
|
||||
Employer
|
1,697,709
|
|||
Participants
|
3,759,599
|
|||
Rollover
|
56,301
|
|||
Total
additions
|
9,596,835
|
|||
DEDUCTIONS
FROM NET ASSETS ATTRIBUTED TO:
|
||||
Benefits
paid directly to participants
|
3,275,145
|
|||
Total
deductions
|
3,275,145
|
|||
NET
CHANGE
|
6,321,690
|
|||
NET
ASSETS AVAILABLE FOR BENEFITS AT BEGINNING OF
YEAR
|
33,026,012
|
|||
NET
ASSETS AVAILABLE FOR BENEFITS AT END OF YEAR
|
$ |
39,347,702
|
||
See
accompanying notes.
|
Year
Ended
December
31, 2006
|
||||
Mutual
funds
|
$ |
2,054,273
|
||
Collective
funds
|
(375 | ) | ||
PGT
Common Stock
|
(1,180 | ) | ||
Net
Appreciation
|
$ |
2,052,718
|
December
31
|
||||||||
2006
|
2005
|
|||||||
T.
Rowe Price
|
||||||||
Retirement
2010 Fund
|
$ |
4,552,581
|
*
|
|||||
Retirement
2015 Fund
|
4,887,740
|
*
|
||||||
Retirement
2020 Fund
|
6,809,905
|
*
|
||||||
Retirement
2025 Fund
|
6,350,833
|
*
|
||||||
Retirement
2030 Fund
|
4,349,031
|
*
|
||||||
Retirement
2035 Fund
|
2,823,068
|
*
|
||||||
Retirement
2040 Fund
|
2,046,604
|
*
|
||||||
Franklin
Templeton Bank and Trust:
|
||||||||
Stable
Value Fund
|
*
|
$ |
9,639,010
|
|||||
Mutual
Shares
|
*
|
5,746,475
|
||||||
Growth
Fund
|
*
|
2,390,107
|
||||||
Growth
Target Fund
|
*
|
2,271,512
|
||||||
Van
Kampen Small Cap Growth Fund
|
*
|
3,518,342
|
December
31,
|
||||||||
2006
|
2005
|
|||||||
Net
assets available for benefits per the financial statements
|
$ |
39,347,702
|
$ |
33,026,012
|
||||
Less:
Adjustment to report collective trust fund at fair value
|
(5,013 | ) |
-
|
|||||
Net
Assets available for benefits per the Form 5500
|
$ |
39,342,689
|
$ |
33,026,012
|
PGT
SAVINGS PLAN
|
||||
EIN:
59-2038649 Plan No.:
001
|
||||
SCHEDULE
H, LINE 4A - SCHEDULE OF DELINQUENT PARTICIPANT
CONTRIBUTIONS
|
||||
(MODIFIED
CASH BASIS)
|
||||
YEAR
ENDED DECEMBER 31, 2006
|
||||
Total
that Constitute Nonexempt Prohibited Transactions
|
||||
Participant
Contributions Transferred Late to Plan
|
Contributions
Not Corrected
|
Contributions
Corrected Outside VFCP
|
Contributions
Pending Correction in VFCP
|
Total
Fully Corrected Under VFCP and PTE 2002-51
|
Employee
deferrals not timely remitted *
|
$ -
|
$ -
|
$ -
|
$ 188,886
|
Employee
loan payments not timely remitted **
|
$ -
|
$ -
|
$ -
|
$ 34,092
|
*
Represents participant contributions that were withheld from the
participants' wages but not timely remitted to the Plan by the Plan
Sponsor
|
||||
**
Represents participant loan repayments that were not timely remitted
to
the Plan by the Plan Sponsor
|
||||
PGT
SAVINGS PLAN
|
||||
SUPPLEMENTAL
SCHEDULE
|
||||
EIN:
59-2038649 PLAN NO.:
001
|
||||
SCHEDULE
H, LINE 4I - SCHEDULE OF ASSETS (HELD AT END OF
YEAR)
|
||||
(MODIFIED
CASH BASIS)
|
||||
DECEMBER
31, 2006
|
||||
(c)
|
||||
Description
of Investment
|
||||
(b)
|
Including
Maturity Date,
|
(e)
|
||
Identity
of Issue, Borrower,
|
Rate
of Interest, Collateral,
|
(d)
|
Current
|
|
(a)
|
Lessor,
or Similar Party
|
Par,
or Maturity Value
|
Cost
|
Value
|
Western
Asset Core Plus, FI
|
Registered
Investment Company
|
#
|
$ 52,638
|
|
American
Beacon Large Cap Value
|
Registered
Investment Company
|
#
|
333,494
|
|
American
Europacific Growth R4
|
Registered
Investment Company
|
#
|
665,595
|
|
Buffalo
Small Cap
|
Registered
Investment Company
|
#
|
294,971
|
|
Harbor
Capital Appreciation Fund
|
Registered
Investment Company
|
#
|
62,850
|
|
*
|
T
Rowe Price Retirement Income Fund
|
Registered
Investment Company
|
#
|
146,104
|
*
|
T
Rowe Price Retirement 2005 Fund
|
Registered
Investment Company
|
#
|
1,365,818
|
*
|
T
Rowe Price Retirement 2010 Fund
|
Registered
Investment Company
|
#
|
4,552,581
|
*
|
T
Rowe Price Retirement 2015 Fund
|
Registered
Investment Company
|
#
|
4,887,740
|
*
|
T
Rowe Price Retirement 2020 Fund
|
Registered
Investment Company
|
#
|
6,809,905
|
*
|
T
Rowe Price Retirement 2025 Fund
|
Registered
Investment Company
|
#
|
6,350,833
|
*
|
T
Rowe Price Retirement 2030 Fund
|
Registered
Investment Company
|
#
|
4,349,031
|
*
|
T
Rowe Price Retirement 2035 Fund
|
Registered
Investment Company
|
#
|
2,823,068
|
*
|
T
Rowe Price Retirement 2040 Fund
|
Registered
Investment Company
|
#
|
2,046,604
|
*
|
T
Rowe Price Retirement 2045 Fund
|
Registered
Investment Company
|
#
|
1,057,069
|
Vanguard
500 Index, Admiral
|
Registered
Investment Company
|
#
|
65,107
|
|
Wells
Fargo Adv Small Cap Value
|
Registered
Investment Company
|
#
|
303,401
|
|
*
|
T
Rowe Price Stable Value Fund, Sch E
|
Collective
Trust Fund
|
#
|
584,625
|
*
|
PGT
Industries, Inc.
|
Common
Stock
|
#
|
19,253
|
*
|
Participant
Loans
|
Interest
rates ranging from 5.0% to 10.5%
|
#
|
2,572,002
|
$ 39,342,689
|
||||
*
Indicates party-in-interest to the Plan.
|
||||
#
Information is not required, as investments are
participant-directed.
|
PGT
SAVINGS PLAN
|
|||
Date: October
15, 2007
|
|||
By:
|
/s/
Jeffrey T. Jackson
|
||
Jeffrey
T. Jackson
|
|||
Chief
Financial Officer
|
Exhibit
Number
|
Description
|
23.1
|
Consent
of Independent Registered Public Accounting
Firm
|