[x]
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ANNUAL
REPORT PURSUANT TO SECTION 15(d)OF
THE SECURITIES EXCHANGE ACT OF 1934
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For
the fiscal year
ended:
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TRANSITION
REPORT PURSUANT TO SECTION 15(d) OF
THE SECURITIES EXCHANGE ACT OF 1934
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For
the period ended: December
31, 2006
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Commission
file
number: 001-09764
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Page | ||
Report of Independent Registered Public Accounting Firm |
1
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Statements of Net Assets Available for Plan Benefits – December 31, 2006 and 2005 |
2
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Statements of Changes in Net Assets Available for Plan Benefits – Years ended December 31, 2006 and 2005 |
3
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Notes to Financial Statements |
4
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Schedule
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Schedule H, Line 4i – Schedule of Assets (Held at End of Year) – December 31, 2006 |
9
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HARMAN
INTERNATIONAL INDUSTRIES, INCORPORATED
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||||||||||
RETIREMENT
SAVINGS PLAN
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||||||||||
Statements
of Net Assets Available for Plan Benefits
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||||||||||
December
31, 2006 and 2005
|
||||||||||
2006
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2005
|
|||||||||
Assets:
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||||||||||
Investments,
at fair value:
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||||||||||
Money
market fund
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$
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454,483
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350,506
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|||||||
Mutual
funds
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157,539,655
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124,434,308
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||||||||
Collective
trusts
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66,595,934
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61,155,588
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||||||||
Common
stock
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56,794,767
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63,273,490
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||||||||
Total
investments
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281,384,839
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249,213,892
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||||||||
Contributions
receivable:
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||||||||||
Participant
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436,285
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600,411
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||||||||
Employer
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6,434,712
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5,870,315
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||||||||
Total
contributions receivable
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6,870,997
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6,470,726
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||||||||
Cash
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77,309
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72,843
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||||||||
Net
assets available for plan benefits at fair value
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288,333,145
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255,757,461
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||||||||
Adjustment
from fair value to contract value for fully benefit-
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||||||||||
responsive
investment contracts
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74,424
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150,971
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||||||||
Net
assets available for plan benefits
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$
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288,407,569
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255,908,432
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|||||||
See
accompanying notes to financial statements.
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HARMAN
INTERNATIONAL INDUSTRIES, INCORPORATED
|
||||||||||
RETIREMENT
SAVINGS PLAN
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||||||||||
Statements
of Changes in Net Assets Available for Plan Benefits
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||||||||||
Years
ended December 31, 2006 and 2005
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||||||||||
2006
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2005
|
|||||||||
Additions
to net assets attributed to:
|
||||||||||
Investment
income (loss):
|
||||||||||
Net
appreciation (depreciation) in fair value of investments
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$
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12,131,879
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(19,318,879)
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|||||||
Interest
and dividends
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12,819,070
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6,634,501
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||||||||
Total
investment income (loss)
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24,950,949
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(12,684,378)
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Contributions:
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||||||||||
Employer
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13,718,502
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12,122,228
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||||||||
Participant
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12,720,937
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10,990,504
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Rollovers
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788,721
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803,128
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||||||||
Total
contributions
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27,228,160
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23,915,860
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||||||||
Transfer
in from plan merger
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—
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660,557
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||||||||
Total
additions
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52,179,109
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11,892,039
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||||||||
Deductions
from net assets attributed to:
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||||||||||
Benefit
payments
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19,643,767
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18,834,172
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||||||||
Administrative
expenses
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36,205
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60,433
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||||||||
Total
deductions
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19,679,972
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18,894,605
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||||||||
Net
increase (decrease)
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32,499,137
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(7,002,566)
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Net
assets available for Plan benefits:
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||||||||||
Beginning
of year
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255,908,432
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262,910,998
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||||||||
End
of year
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$
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288,407,569
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255,908,432
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|||||||
See
accompanying notes to financial statements.
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(1)
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Description
of the Plan
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(a)
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General
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(b)
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Contributions
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(c)
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Participant
Account Balances
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(d)
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Vesting
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(e)
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Investment
Options
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(f)
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Benefits
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(g)
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Forfeitures
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(2)
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Summary
of Significant Accounting
Policies
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(a)
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Basis
of Accounting
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(b)
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Investment
Valuation and Income
Recognition
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(c)
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Use
of Estimates
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(d)
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Payment
of Benefits
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(e)
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Administrative
Expenses
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(f)
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Risks
and Uncertainties
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(g)
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Concentration
of Credit Risk
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(3)
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Investments
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Description
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2006
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2005
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Putnam
Stable Value Fund
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$
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58,380,923
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54,729,925
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Harman
International Industries, Incorporated common stock
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56,794,767
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63,273,490
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||||||||
Putnam
Voyager Fund
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29,279,405
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29,371,309
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The
Putnam Fund for Growth and Income
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27,732,356
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25,012,998
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Putnam
International Equity Fund
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15,035,032
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8,440,071*
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Lord
Abbett Small Cap Value Fund
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14,805,505
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11,471,600*
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All
other investments less than 5%
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79,356,851
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56,914,499
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||||||||
$
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281,384,839
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249,213,892
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||||||||
*
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Less
than 5%, included for comparative purposes.
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2006
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2005
|
|||||||||
Mutual
funds
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$
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8,279,498
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3,648,343
|
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Common
stock
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2,806,833
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(23,267,612)
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Collective
trusts
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1,045,548
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300,390
|
||||||||
Net appreciation (depreciation) in fair value of investments |
$
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12,131,879
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(19,318,879)
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(4)
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Related-Party
Transactions
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(5)
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Plan
Merger
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(6)
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Plan
Termination
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(7)
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Tax
Status
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(8)
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Reconciliation
of Financial Statements to Form
5500
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Net
assets available for plan benefits reported in the financial
statements
|
$
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288,407,569
|
|
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|||
Adjustment from fair value to contract value for fully benefit-responsive investment contracts |
(74,424)
|
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Net
assets available for plan benefits reported on Form 5500
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$
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288,333,145
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Total
investment income reported in the financial statements
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$
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24,950,949
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Adjustment from fair value to contract value for fully benefit-responsive investment contracts |
(74,424)
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Total
investment income reported on Form 5500
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$
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24,876,525
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Schedule
1
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HARMAN
INTERNATIONAL INDUSTRIES, INCORPORATED
|
||||||||||||
RETIREMENT
SAVINGS PLAN
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||||||||||||
Schedule
H, Line 4i – Schedule of Assets (Held at End of Year)
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||||||||||||
December
31, 2006
|
||||||||||||
Identity
of issuer,
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Description
of investment, including maturity date,
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Current
|
||||||||||
borrower,
or similar party
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rate
of interest, par, or maturity value
|
value
|
||||||||||
Putnam
Management Company, Inc.*
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Money
Market Fund (454,483 shares)
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$
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454,483
|
|||||||||
Mutual
funds:
|
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Putnam
Management Company, Inc.*
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AIM
Small Cap Growth Fund (353,753 shares)
|
10,340,193
|
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Putnam
Management Company, Inc.*
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American
Europacific Growth Fund (267,763 shares)
|
12,467,048
|
||||||||||
Putnam
Management Company, Inc.*
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Lord
Abbett Small Cap Value Fund (498,838 shares)
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14,805,505
|
||||||||||
Putnam
Management Company, Inc.*
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Pimco
Total Return Fund (707,558 shares)
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7,344,449
|
||||||||||
Putnam
Management Company, Inc.*
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T.
Rowe Price Blue Chip Growth Fund (139,970 shares)
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5,001,123
|
||||||||||
Putnam
Management Company, Inc.*
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Vanguard
Windsor II Fund (249,963 shares)
|
8,686,199
|
||||||||||
Putnam
Management Company, Inc.*
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The
George Putnam Fund of Boston (574,289 shares)
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10,388,889
|
||||||||||
Putnam
Management Company, Inc.*
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The
Putnam Fund for Growth and Income (1,383,850 shares)
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27,732,356
|
||||||||||
Putnam
Management Company, Inc.*
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Putnam
Voyager Fund (1,545,903 shares)
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29,279,405
|
||||||||||
Putnam
Management Company, Inc.*
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Putnam
Asset Allocation Growth Portfolio (629,614 shares)
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8,984,586
|
||||||||||
Putnam
Management Company, Inc.*
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Putnam
Asset Allocation Balanced Portfolio (428,516 shares)
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5,305,033
|
||||||||||
Putnam
Management Company, Inc.*
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Putnam
Asset Allocation Conservative Portfolio (222,319 shares)
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2,169,837
|
||||||||||
Putnam
Management Company, Inc.*
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Putnam
International Equity Fund (476,697 shares)
|
15,035,032
|
||||||||||
Collective
trusts:
|
||||||||||||
Putnam
Management Company, Inc.*
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Putnam
S & P 500 Index Fund (221,012 shares)
|
8,215,011
|
||||||||||
Putnam
Management Company, Inc.*
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Putnam
Stable Value Fund – invested in contracts with various
|
|||||||||||
companies,
with various maturity dates and interest rates
|
||||||||||||
ranging
from 3.68% to 6.23% (58,455,347 units)
|
58,380,923
|
|||||||||||
Harman
International Industries,
|
||||||||||||
Incorporated*
|
Common
stock (568,459 shares)
|
56,794,767
|
||||||||||
$
|
281,384,839
|
|||||||||||
*
|
Party-in-interest
investment.
|
|||||||||||
See
accompanying report of independent registered public accounting
firm.
|
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|
Harman
International Industries, Incorporated Retirement
Savings Plan
|
||
|
||
|
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Date: June
28, 2007
|
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By:
/s/ Sandra S. Buchanan
|
Sandra
S. Buchanan
Vice-President Compensation
& Benefits
|
||
|