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FORM 11-K
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON D.C. 20549
ANNUAL REPORT
PURSUANT TO SECTION 15(d)
OF THE SECURITIES EXCHANGE ACT OF 1934
     
þ   Annual report pursuant to Section 15(d) of the Securities Exchange Act of 1934
For the fiscal year ended December 31, 2005
OR
     
o   Transition report pursuant to Section 15(d) of the Securities Exchange Act of 1934
For the transition period from                      to                     
Commission file number 333-106868
A.   Full title of the plan and the address of the plan, if different from that of the issuer named below:
Inter-Tel, Incorporated
Tax Deferred Savings Plan and Retirement Trust
1615 South 52nd Street
Tempe, AZ 85281
B.   Name of issuer of the securities held pursuant to the plan and the address of its principal executive office:
Inter-Tel, Incorporated
1615 South 52nd Street
Tempe, AZ 85281
 
 

 


 

INTER-TEL, INCORPORATED
TAX DEFERRED SAVINGS PLAN AND RETIREMENT TRUST
Financial Statements and Supplemental Schedule
December 31, 2005 and 2004
Table of Contents
         
    Page  
    1  
 
       
Financial Statements:
       
    2  
    3  
    4-7  
 
       
Supplemental Schedule:
       
 
       
    8-15  
 EX-23.1

 


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REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM
To the Participants and the Plan Administrator of the
INTER-TEL, INCORPORATED TAX DEFERRED SAVINGS PLAN AND RETIREMENT TRUST
We have audited the accompanying statements of net assets available for benefits of Inter-Tel, Incorporated Tax Deferred Savings and Retirement Trust at December 31, 2005 and 2004, and the related statement of changes in net assets available for benefits for the year ended December 31, 2005. These financial statements are the responsibility of the Plan’s management. Our responsibility is to express an opinion on these financial statements based on our audits.
We conducted our audits in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audits to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements. An audit also includes assessing the accounting principles used and significant estimates made by management, as well as evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.
In our opinion, the financial statements referred to above present fairly, in all material respects, the net assets available for benefits of Inter-Tel, Incorporated Tax Deferred Savings Plan and Retirement Trust at December 31, 2005 and 2004, and the changes in net assets available for benefits for the year ended December 31, 2005 in conformity with U.S. generally accepted accounting principles.
Our audits were conducted for the purpose of forming an opinion on the basic financial statements taken as a whole. The supplemental schedule of assets (held at end of year) is presented for purposes of additional analysis and is not a required part of the basic financial statements, but is supplementary information required by the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. This supplemental schedule is the responsibility of the Plan’s management, and has been subjected to the auditing procedures applied in the audit of the basic financial statements and, in our opinion, is fairly stated in all material respects in relation to the basic financial statements taken as a whole.
/s/ MAYER HOFFMAN MCCANN P.C.
June 15, 2006
Phoenix, Arizona

 


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INTER-TEL, INCORPORATED
TAX DEFERRED SAVINGS PLAN AND RETIREMENT TRUST
STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS
                 
    December 31,  
    2005     2004  
ASSETS:
               
Cash and cash equivalents
  $ 15,030     $ 10,265  
 
           
 
               
Investments, at fair value
    67,031,368       58,773,340  
 
           
 
               
Receivables
               
Employer contribution
    1,903,281       1,752,905  
Participant contributions
    213,505       164,999  
 
           
Total receivables
    2,116,786       1,917,904  
 
           
 
               
Total Assets
    69,163,184       60,701,509  
 
               
LIABILITIES:
               
Excess contribution refund payable
    124,273       109,974  
 
           
 
               
NET ASSETS AVAILABLE FOR BENEFITS
  $ 69,038,911     $ 60,591,535  
 
           
See accompanying notes to financial statements.

 


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INTER-TEL, INCORPORATED
TAX DEFERRED SAVINGS PLAN AND RETIREMENT TRUST
STATEMENT OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS
Year ended December 31, 2005
         
Additions:
       
 
       
Contributions:
       
Employer
  $ 1,905,906  
Participant
    6,319,163  
Rollovers
    657,130  
 
     
Total contributions
    8,882,199  
 
 
 
       
Interest and dividends
    2,477,970  
Net appreciation in fair value of investments
    242,117  
 
     
 
       
Total additions
    11,602,286  
 
     
 
       
Deductions:
       
Benefits paid to participants
    3,095,694  
Administrative expenses
    59,216  
 
     
Total deductions
    3,154,910  
 
     
 
       
Net increase
    8,447,376  
 
       
Net assets available for benefits, beginning of year
    60,591,535  
 
     
 
       
Net assets available for benefits, end of year
  $ 69,038,911  
 
     
See accompanying notes to financial statements.

 


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INTER-TEL, INCORPORATED
TAX DEFERRED SAVINGS PLAN AND RETIREMENT TRUST
NOTES TO FINANCIAL STATEMENTS
DECEMBER 31, 2005 AND 2004
(1)   Description of the Plan
 
    The following description of the Inter-Tel, Incorporated Tax Deferred Savings Plan and Retirement Trust (the “Plan”) provides only general information. Participants should refer to the Plan document for a more complete description of the Plan’s provisions.
 
    General — The Plan is a defined contribution plan covering all employees of Inter-Tel, Incorporated and its subsidiaries (the “Company”). Effective January 1, 2001, an employee becomes eligible to participate in the Plan subsequent to the pay period in which the employee completes one hour of service. Effective November 1, 2005, new employees are automatically enrolled at 1% unless they elect not to participate. The Plan was established on December 1, 1984 and is subject to the provisions of the Employee Retirement Income Security Act of 1974 (ERISA).
 
    Contributions — Each year, participants may contribute to the Plan a percentage or dollar amount of their annual compensation up to the annual IRS maximum through regular payroll deductions. At any time during the year, participants have the opportunity to change the previously elected percentage or dollar deferral. Participants employed by the Company on December 31 of each year are eligible to receive a discretionary matching Company contribution. For 2005, the Company matched 50% of the participant’s basic contribution limited to six percent of the participant’s 2005 compensation. At the Company’s discretion, it may allocate additional funds at the end of each Plan year based on each participant’s salary.
 
    Participant accounts — Each participant’s account is credited with the participant’s contributions, the Company’s contributions and an allocation of Plan earnings. Allocations are based on participant account balances. The benefit to which a participant is entitled is the benefit that can be provided from the participant’s account. Participants may elect to have their accounts invested in mutual funds or common stock of the Company as offered by the Plan, or they may elect to have their accounts invested in any combination of common and preferred stocks, bonds and mutual funds, through individual self-directed brokerage accounts.
 
    Vesting — Participants immediately vest in their voluntary contributions plus actual earnings thereon and amounts rolled over from former plans into the Plan. Vesting in the Company’s matching contribution is based on years of continuous service. The employer contribution portion of each participant account vests starting at the first year of service at a graduated amount each year until reaching the sixth year of service. After six years, the participant is 100 percent vested in the employer contribution account.

 


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    Forfeitures — Forfeited balances of terminated participants’ nonvested accounts are used to reduce employer contributions. In 2005, forfeitures totaled $130,577 and are reflected as a reduction of the employer contributions receivable and employer contributions at December 31, 2005 in the accompanying financial statements.
 
    Participant loans — Participants can borrow from their fund amounts a minimum of $1,000, up to a maximum equal to the lesser of $50,000 or 50% of their vested account balance. Loan terms range from one to five years or up to twenty years for the purchase of a primary residence. Loans are secured by the balance in the participant’s account and bear interest at a rate commensurate with prevailing rates at the time the loan is made as determined by the loan administrator. Principal and interest is paid ratably through payroll deductions.
 
    Payment of benefits - Upon termination of service, a participant may receive a lump-sum amount equal to the vested value of his or her account, or upon death, disability, or retirement, elect to receive annual installments over a 10 year period.
 
    Plan termination - Although it has not expressed any intent to do so, the Company has the discretionary right to discontinue its contributions at any time and to terminate the Plan, subject to the provisions of ERISA. In the event of termination of the Plan, participants will become 100 percent vested in all of their accounts.
 
(2)   Significant accounting policies
 
    The significant accounting policies followed by the Plan are as follows:
 
    Investment valuation and income recognition — The Plan’s investments are stated at fair value. Securities and mutual funds traded on national securities exchanges are valued at the last quoted sales price on the principal exchange on which traded. Securities and the limited partnership for which no price is readily available on the valuation date are valued at fair value as determined by the Plan Administrator. Participant loans are valued at their outstanding balances, which approximates fair value. The fair value of units of common/collective trusts are determined by Charles Schwab Trust Company.
 
    Purchases and sales of securities are recorded on a trade date basis. Interest income is recorded on the accrual basis. Dividends are recorded on the ex-dividend date.
 
    Use of estimates — The preparation of financial statements in conformity with U.S. generally accepted accounting principles requires management to make estimates and assumptions that affect the reported amounts of net assets, and the reported amounts of changes in net assets during the year. Actual results could differ from those estimates.
 
    Concentrations of credit risk — The Plan provides for various investment fund options, which in turn invest any combination of mutual and other investment funds.

 


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    Investment securities are exposed to various risks, such as interest rate, credit and overall market volatility risks. Due to the level of risk associated with certain investment securities, it is reasonably possible that changes in risks in the near term could materially affect participants’ account balances and the amounts reported in the statements of net assets available for benefits and the statement of changes in net assets available for benefits.
 
(3)   Investments
 
    Investment information is summarized as follows:
                 
    December 31  
    2005     2004  
Investments at fair value:
               
Common stock
  $ 8,236,736     $ 7,076,257  
Preferred stock
    3,645       3,750  
Corporate obligations
    51,714       61,039  
Common/collective trusts
    3,858,278       1,955,373  
Money market accounts
    8,551,687       8,114,166  
Mutual funds
    44,368,577       38,506,142  
Unit investment trusts
    317,142       1,560,551  
Participant loans
    1,579,458       1,435,900  
Other assets
    10,186        
Limited partnerships
    11,133       17,350  
Promissory note
    12,612       12,612  
Limited liability company units
    30,200       30,200  
 
           
Total investments, at fair value
  $ 67,031,368     $ 58,773,340  
 
           
    During 2005, the Plan’s investments (including gains and losses on investments bought and sold, as well as held during the year) appreciated (depreciated) in fair value as follows:
         
Common stock
  $ (513,019 )
Preferred stock
    (102 )
Corporate obligations
    (9,090 )
Common/collective trusts
    224,493  
Mutual funds
    549,175  
Limited partnerships
    1,188  
Unit investment trusts
    (10,528 )
 
     
 
  $ 242,117  
 
     
    Investments that represent five percent or more of the Plan’s net assets at December 31 are as follows:
         
    2005
Schwab Government Securities Fund
  $ 7,669,598  
Baron Growth Fund
    3,824,734  
First Eagle Overseas A
    7,011,060  
Growth Fund of America R4
    6,344,575  
Icon Information Tech Fund
    3,656,483  

 


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  2005
Schwab S&P 500 Index Inv
    4,862,510  
Vanguard Selected Value
    4,539,119  
Vanguard Windsor II Fund
    6,897,170  
         
    2004
First Eagle Overseas A
  $ 5,153,620  
Growth Fund of America CL F
    5,332,963  
Icon Information Tech Fund
    4,075,227  
Inter-Tel, Incorporated Common Stock
    4,126,330  
Pimco Renaissance Fund D
    5,197,518  
Schwab Government Security Fund
    7,230,469  
Schwab S&P 500 - Investor SHS
    4,364,578  
Vanguard Windsor II Fund
    5,589,981  
(4)   Administrative expenses
 
    Substantially all of the Plan’s administrative expenses, except for record-keeper fees, are paid by the Company.
 
(5)   Party-in-interest transactions
 
    Certain plan investments are shares of common stock of the Company or are funds held and managed by Charles Schwab Trust Company, the trustee; therefore, these transactions qualify as party-in-interest transactions. Fees paid and accrued by the Plan to the trustee for administrative fees amounted to $59,216 for the year ended December 31, 2005.
 
(6)   Income tax status
 
    The Plan has received a determination letter from the Internal Revenue Service dated February 11, 2004 stating that the Plan is qualified under Section 401(a) of the Internal Revenue Code (''the Code”) and, therefore, the related trust is exempt from taxation. Subsequent amendments have been structured to and are intended to maintain the Plan’s tax status. Once qualified, the Plan is required to operate in conformity with the Code to maintain its qualification. The Plan administrator believes the Plan is being operated in compliance with the applicable requirements of the Code, and, therefore, believes that the Plan is qualified and the related trust is tax-exempt.

 


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INTER-TEL, INCORPORATED   EIN: 86-0220994
TAX DEFERRED SAVINGS PLAN AND RETIREMENT TRUST: PLAN #001
SCHEDULE H, LINE 4(i)
SCHEDULE OF ASSETS (HELD AT END OF YEAR)
DECEMBER 31, 2005
                         
        (c) Description of        
        investment including        
        maturity date and rate        
    (b) Identity of issue, borrower,   of interest, collateral,       (e) Current
(a)   lessor or similar party   par or maturity value   (d) Cost   value
   
Common stocks:
          **        
   
AT&T Inc
   9,000 shares   **   $ 220,410  
   
ABB Ltd ADR
  400 shares   **     3,888  
   
ADAPTEC
  200 shares   **     1,164  
   
Advanced Photonix CL A
  1,000 shares   **     2,760  
   
Advanced Viral Research
  13,000 shares   **     910  
   
Alexander & Baldwin, Inc.
  50.694 shares   **     2,750  
   
Allianz AG ADR
  300 shares   **     4,542  
   
Aluminum Corp China ADR
  6 shares   **     458  
   
Amazon Com, Inc.
  200 shares   **     9,430  
   
Amdocs Limited
  200 shares   **     5,500  
   
America Movil ADR
  300 shares   **     8,709  
   
American Cap Strategies, Ltd
  100 shares   **     3,621  
   
American International Group
  5,000 shares   **     341,150  
   
American Technology Corp
  2,000 shares   **     6,620  
   
Amerisourcebergen Corp
  200 shares   **     8,280  
   
Ameritrade Hldg Corp
  200 shares   **     4,800  
   
Amgen Incorporated
  49 shares   **     3,864  
   
Amicas, Inc.
  1,548 shares   **     7,678  
   
Amsurg Corp
  90 shares   **     2,057  
   
Amylin Pharmaceuticals, Inc
  2,000 shares   **     79,840  
   
Anglogold Ashanti ADR
  50 shares   **     2,466  
   
Anheuser Busch Co. Inc.
  300 Shares   **     12,888  
   
Apple Computer, Inc.
  110 shares   **     7,908  
   
Applied Digital Solu
  1,753 shares   **     5,013  
   
Applied Materials, Inc.
  400 shares   **     7,176  
   
Arthrocare Corp
  100 shares   **     4,214  
   
Barrick Gold Corporation
  400 shares   **     11,148  
   
Best Buy, Inc.
  225 shares   **     9,783  
   
BHP Billiton Ltd ADR
  100 shares   **     3,342  
   
Bluefly, Inc.
  2,597 shares   **     2,909  
   
Broadwing, Corp
  4 shares   **     24  
   
Brown & Brown, Inc.
  600 shares   **     18,324  
   
CB Richard Ellis Group, Inc.
  50 shares   **     2,942  
   
Cal Dive International, Inc.
  100 shares   **     3,589  
   
Calamp Corp
  200 shares   **     2,098  
   
Calpine Corporation
  1,000 shares   **     208  
   
Castelle, Inc.
  300 shares   **     930  
   
Celgene Corp
  60 shares   **     3,888  
   
Cemex SA ADR
  30 shares   **     1,780  
   
China Pete & Chem ADR
  45 shares   **     2,232  
   
Cinergy Corp
  40 shares   **     1,698  
   
Cisco System, Inc.
  3,350 shares   **     57,352  
   
Coca Cola Company
  352.622 shares   **     14,214  
   
Coeur D Alene Mines CP
  5,500 shares   **     22,000  

 


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        (c) Description of        
        investment including        
        maturity date and rate        
    (b) Identity of issue, borrower,   of interest, collateral,       (e) Current
(a)   lessor or similar party   par or maturity value   (d) Cost   value
   
Conexant Systems, Inc.
  1,000 shares   **     2,260  
   
Conoco Phillips
  200.985 shares   **     11,693  
   
Consolidated Edison, Inc.
  40 shares   **     1,853  
   
Covad Commun Group, Inc.
  750 shares   **     735  
   
Coventry Health Care, Inc.
  6,000 shares   **     341,760  
   
Critical Path, Inc.
  6 shares   **     2  
   
Cryptologic, Inc.
  200 shares   **     3,918  
   
Cummins Engine, Inc.
  35.391 shares   **     3,175  
   
Cyberonics, Inc.
  100 shares   **     3,230  
   
Davita, Inc.
  45 shares   **     2,279  
   
Dell, Inc.
  500 shares   **     14,975  
   
Desire Petroleum ORD
  1,000 shares   **     566  
   
Devon Energy CP
  100 shares   **     6,254  
   
Digital Lightwave, Inc.
  210 shares   **     44  
   
DSL.net, Inc.
  1,000 shares   **     40  
   
Dun & Bradstreet, Corp
  4,000 shares   **     267,840  
   
Earthshell, Corp
  8,000 shares   **     16,000  
   
EBay, Inc.
  426 shares   **     18,412  
   
Edulink, Inc.
  43,000 shares   **     17  
   
Emulex, Corp
  600 shares   **     11,874  
   
Encana Corporation
  80 shares   **     3,613  
   
Exxon Mobil Corporation
  300.988 shares   **     16,906  
   
First Horizon National Corp
  40 shares   **     1,538  
   
Flextronics International, Ltd.
  600 shares   **     6,264  
   
Forest Labs, Inc.
  100 shares   **     4,068  
   
Foster Wheeler, Ltd
  900 shares   **     1,818  
   
Foster Wheeler ORD
  45 shares   **     1,655  
   
Foundry Networks, Inc.
  50 shares   **     690  
   
Freeport-McMoran Copper & Go CL B
  200 shares   **     10,760  
   
Freescale SemiConductor CL B
  161 shares   **     4,052  
   
Frontline Ltd ORD
  203.415 shares   **     7,713  
   
Frozen Food Express INDS
  270 shares   **     2,978  
   
Garmin, Ltd
  100 shares   **     6,635  
   
General Electric Company
  2,117.019 shares   **     74,202  
   
Global Industries
  70 shares   **     795  
   
Globalstar Telecom ORD
  500 shares   **     5  
   
Goldcorp, Inc.
  500 shares   **     11,140  
   
Goldspring, Inc.
  20,000 shares   **     440  
   
Great Plains Energy, Inc.
  50 shares   **     1,398  
   
Gunslinger Records, Inc.
  42,500 shares   **     43  
   
Hewlett-Packard Company
  689 shares   **     19,726  
   
Hollis-Eden Pharmaceuticals, Inc.
  1,000 shares   **     4,840  
   
Home Depot, Inc.
  1,291.157 shares   **     52,266  
   
HSBC HLDGS PLC ADR
  25 shares   **     2,012  
   
Imergent, Inc.
  250,000 shares   **     1,650,000  
   
IMPath Liquidating TR
  16 shares   **     32  
   
Intel Corp
  4,664.4 shares   **     116,423  
   
Inter-Tel Inc. Common Stock
  169,106 shares   **     3,309,404  
   
Intl Business Machines
  102.679 shares   **     8,440  
   
Intl Game Technology
  11 shares   **     339  
   
Intuitive Surgical
  50 shares   **     5,864  
   
Ionatron, Inc.
  3,000 shares   **     30,330  
   
Iridium World Communications CL
  60 shares   **     1  
   
ISCO International, Inc.
  4,640 shares   **     1,485  

 


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        (c) Description of        
        investment including        
        maturity date and rate        
    (b) Identity of issue, borrower,   of interest, collateral,       (e) Current
(a)   lessor or similar party   par or maturity value   (d) Cost   value
   
K-Tel Intl Inc.
  362 shares   **     9  
   
Keyspan Corp
  45 shares   **     1,606  
   
Knightsbridge Tankers, Ltd.
  102.253 shares   **     2,480  
   
Level 3 Communications, Inc.
  2,000 shares   **     5,740  
   
Ligand Pharmaceuticals Class B
  300 shares   **     3,345  
   
Lowes Companies
  1,472.837 shares   **     98,179  
   
Lucent Technologies, Inc.
  18,368 shares   **     48,859  
   
Mangosoft Inc.
  9 shares   **     36  
   
Marvel Entertainment, Inc.
  100 shares   **     1,638  
   
Marvell Tech Group, Ltd.
  100 shares   **     5,609  
   
Maxim Integrated prods, Inc.
  65 shares   **     2,356  
   
Maxtor Corp
  1,000 shares   **     6,940  
   
McHenry Metals Golf Corp
  5,000 shares   **     1  
   
McLeodUSA, Inc.CL A
  111 shares   **     1  
   
Merck & Co, Inc.
  1,500 shares   **     47,715  
   
Microage, Inc. Neomagic Corp.
  250 shares   **     1  
   
Microsoft Corp Network Commerce, Inc.
  4,812.07 shares   **     125,836  
   
Millipore Corp NMS Communications
  50 shares   **     3,302  
   
Motorola Incorporated Nokia Corp
  1,723.877 shares   **     38,942  
   
Movie Gallery, Inc. Nortel Networks Corp.
  1,000 shares   **     5,610  
   
Moving Bytes, Inc. Northpoint Communication Holdings
  10,000 shares   **     100  
   
National-Oilwell, Inc. Northwestern Corp.
  92 shares   **     5,768  
   
Neomagic Corp Novell, Inc.
  100 shares   **     856  
   
Neopharm, Inc. Oilex, inc.
  300 shares   **     3,237  
   
Netflix, Inc. Oracle Corp.
  3,140 shares   **     84,968  
   
Newmont Mining Corp Palm, Inc.
  450.454 shares   **     24,054  
   
NMS Communications Penn Traffic Co.
  1,101 shares   **     3,842  
   
Nokia Corp SPON ADR Perot System Corp.
  594 shares   **     10,870  
   
Nortel Networks CP Petsmart, Inc.
  18,865 shares   **     57,727  
   
Northpoint Commun HLDGS Pfizer, Inc.
  1,000 shares   **     1  
   
Novartis AG NovkPinnacle Systems
  50 shares   **     2,624  
   
O’Reilly Automotive, Inc. PNC Bk Corp.
  1,000 shares   **     32,010  
   
Oilex Inc. Polycom
  9,000 shares   **     1  
   
Oracle Corporation Practiceworks, Inc.
  2,200 shares   **     26,862  
   
Pacific Sunwear California Inc. Priceline.com, Inc.
  100 shares   **     2,492  
   
Packeteer, Inc. Qualcomm, Inc.
  100 shares   **     777  
   
Palm, Inc. Qwest Communications International
  7 shares   **     223  
   
Patterson Companies Read-Rite Corp.
  300 shares   **     10,020  
   
Petrochina CO ADR RF Micro Devices Inc.
  35.853 shares   **     2,938  
   
Pfizer Incorporated Ribozyme Pharm, Inc.
  1,000 shares   **     23,320  
   
Pinnacle West Cap Corp Ritchie Brothers Auctioneers
  40 shares   **     1,654  
   
Polycom Saba Software, Inc.
  101 shares   **     1,545  
   
Priceline.com Inc. Save the World Air, Inc.
  33 shares   **     737  
   
Procter & Gamble Co. Scientific Atlanta, Inc.
  195 shares   **     11,287  
   
Psychiatric Solutions Sears Roebuck & Company
  65 shares   **     3,818  
   
Qwest Communs International, Inc. Siebel Systems, Inc.
  1,966.052 shares   **     11,108  
   
Rayonier, Inc. Sonic Corp.
  69.004 shares   **     2,750  
   
Redhat, Inc. Southtrust Corp.
  500 shares   **     13,630  
   
Regions Financial CP Regions Southwest Airlines
  40 shares   **     1,366  
   
RF Micro Devices, Inc. Spectralink Corp.
  100 shares   **     541  
   
Ritchie Bros Auctioneers Storagenetworks, Inc.
  1,000 shares   **     42,250  
   
Sandisk, Corp. Sun Microsystems, Inc.
  200 shares   **     12,564  
   
Save the World Air, Inc. Sysco Corp.
  5,900 shares   **     4,248  
   
Scientific Atlanta, Inc. Target Corp.
  50 shares   **     2,154  

 


Table of Contents

                         
        (c) Description of        
        investment including        
        maturity date and rate        
    (b) Identity of issue, borrower,   of interest, collateral,       (e) Current
(a)   lessor or similar party   par or maturity value   (d) Cost   value
   
Sonic, Corp. Targeted Genetics Corp.
  150 shares   **     4,425  
   
Southwest Airlines, Co. Teardrop Golf Company
  135 shares   **     2,218  
   
Spectralink, Corp. Techne Corp.
  500 shares   **     5,935  
   
Starbucks, Corp. Telaxis Communications Corp.
  30 shares   **     900  
   
Stericycle, Inc. Telefonos de Mexico
  50 shares   **     2,944  
   
Stryker, Corp. Terayon Communication Systems
  1,000 shares   **     44,430  
   
Sun Microsystems, Inc. Texas Instruments, Inc.
  1,200 shares   **     5,028  
   
Suncor Energy, Inc. The Charles Schwab Corp.
  50 shares   **     3,157  
   
Superconductor Tech Tyco Intl. Ltd.
  90 shares   **     39  
   
Symantec Corp U. S. Physical Therapy, Inc.
  200 shares   **     3,500  
   
Sysco Corp Vitalworks, Inc.
  1,000 shares   **     31,050  
   
Target Corporation Vitesse Semiconductor Corp.
  204.515 shares   **     11,242  
   
Tektronix, Inc. Walgreen Company
  100.255 shares   **     2,828  
   
Telefon DE MX A ADR
  200 shares   **     4,848  
   
Tenaris S A ADR
  55 shares   **     6,298  
   
Terabeam, Inc.
  450 shares   **     1,251  
   
Texas Instruments, Inc.
  700 shares   **     22,449  
   
The Charles Schwab, Inc.
  1,000 shares   **     14,670  
   
Thor Industries, Inc.
  100.737 shares   **     4,037  
   
Tidewater Inc./Citizen Certificates
  70.746 shares   **     3,145  
   
Time Warner, Inc.
  100 shares   **     1,744  
   
TXU Corp
  0.487 shares   **     24  
   
Tyco Intl, Ltd.
  500 shares   **     14,430  
   
Universal Forest Product
  55 shares   **     3,039  
   
Universal Tech Institute
  400 shares   **     12,376  
   
Verisign, Inc.
  200 shares   **     4,380  
   
Vintage Pete, Inc.
  0.138 shares   **     7  
   
Wachovia, Corp.
  2,780 shares   **     146,951  
   
Wal-Mart Store, Inc.
  1,030 shares   **     48,204  
   
Walgreen Co.
  203.864 shares   **     9,023  
   
Washington Mutual Inc.
  349 shares   **     15,182  
   
Wattage Monitor, Inc.
  6,000 shares   **     1  
   
Wellpoint, Inc.
  100 shares   **     7,979  
   
Willis Group Holdings
  300 shares   **     11,082  
   
Xerox Corp.
  1.947 shares   **     29  
   
Zones, Inc.
  200 shares   **     1,000  
   
3Com Corp
  100 shares   **     360  
   
8x8 Inc
  2,500 shares   **     4,625  
   
 
                   
   
Total common stocks
                8,236,736  
   
 
                   
   
 
                   
   
Preferred Stock:
                   
   
Annaly Mtg Mgmt PFD
  150 shares   **     3,645  
   
 
                   
   
 
                   
   
Mutual funds:
                   
   
Acadian Emerging Mkts Port Instl CL
  384.556 shares   **     9,783  
   
Allianz RCM Global healthcare Fund
  553.710 shares   **     12,342  
   
Alpine Intl Real Estate Equity FD
  558.489 shares   **     16,972  
   
American Balanced Fund CL
  636.292 shares   **     11,339  
   
Ariel
  19,596.986 shares   **     981,221  
   
Ariel Appreciation Fund
  173.686 shares   **     8,115  
   
Ariel Fund
  572.752 shares   **     28,678  
   
Artisan International Fund
  693.896 shares   **     17,563  
   
Artisan International Value Fund
  153.356 shares   **     3,383  

 


Table of Contents

                         
        (c) Description of        
        investment including        
        maturity date and rate        
    (b) Identity of issue, borrower,   of interest, collateral,       (e) Current
(a)   lessor or similar party   par or maturity value   (d) Cost   value
   
Artisan Midcap FD
  176.568 shares   **     5,459  
   
Artisan Midcap Value Fund
  1,946.281 shares   **     36,493  
   
Baron Asset Fund
  65.789 shares   **     3,703  
   
Baron Growth Fund
  84,245.248 shares   **     3,824,734  
   
Bridgeway Ultra-Small Co Market
  1,431.858 shares   **     25,688  
   
Burnham Financial Services FD
  153.261 shares   **     3,241  
   
Calamos Growth A
  31,709.979 shares   **     1,745,951  
   
Calamos Growth FD CL A
  359.156 shares   **     19,775  
   
Calvert Income Fund
  156.452 shares   **     2,622  
   
Chase Growth Fund
  135.062 shares   **     2,620  
*  
Constellation TIP Health Biotech II
  151.472 shares   **     2,414  
   
Dodge & Cox Balanced Fund
  719.391 shares   **     58,515  
   
Dodge & Cox Intl Stock Fund
  3,118.646 shares   **     109,246  
   
Dodge & Cox Stock Fund
  47.009 shares   **     6,450  
   
Dreyfus Appreciation Fund
  902.070 shares   **     35,857  
   
Dreyfus Midcap Index Fund
  419.987 shares   **     11,734  
   
Dreyfus Premier Emerging Markets CL
  639.740 shares   **     13,831  
   
Dreyfus Small Cap Stock Index
  334.815 shares   **     7,178  
   
Equity Residual PPTY Trust
  115.306 shares   **     4,511  
   
Fairholme Fund
  1,725.994 shares   **     43,478  
   
Fidelity Latin American Fund
  154.818 shares   **     4,951  
   
Fidelity Magellan Fund
  314.872 shares   **     33,515  
   
First Eagle Overseas A
  304,299.47 shares   **     7,011,060  
   
FPA Capital Fund
  1,130.048 shares   **     48,456  
   
Franklin SM Cap Growth CL A
  258.826 shares   **     9,763  
   
Growth Fund of America R4
  206,798.399 shares   **     6,344,575  
   
Growth Fund of America CL Fund
  624.787 shares   **     19,181  
   
Harbor Bond Fund
  108.302 shares   **     1,258  
   
Harbor International Growth Fund
  157.841 shares   **     1,733  
   
Harding Loevner Emerging Markets
  598.091 shares   **     20,808  
   
Hennessy Cornerstone Growth Fund
  1,698.097 shares   **     32,875  
   
ICAP International Fund
  206.756 shares   **     6,800  
   
ICAP Select Equity Port
  70.843 shares   **     2,562  
   
Icon Information Tech Fund
  418,361.857 shares   **     3,656,483  
   
Inst’l Select S&P50 Index
  1,773.357 shares   **     17,379  
   
Janus Growth & Income Fund
  405.449 shares   **     14,600  
   
Janus Mid Cap Value Inv Shares
  834.315 shares   **     18,622  
   
Janus Overseas Fund
  138.160 shares   **     4,398  
   
JPMorgan Core Bond Fund
  230,450.174 shares   **     2,449,685  
   
Laudus US Small Cap Investor Shares
  118.289 shares   **     1,453  
   
Loomis Sayles Bond Fund
  3,295.455 shares   **     44,686  
   
Loomis Sayles Small Cap
  651.242 shares   **     16,301  
   
Managers Fremont Micro Cap Fund
  51.921 shares   **     1,648  
   
Managers Special Equity Fund
  36.059 shares   **     3,129  
   
Meridian Value FD
  690.616 shares   **     23,916  
   
MFA Mortgage Investments
  300 shares   **     1,710  
   
Navellier Mid Cap Growth
  1,677.852 shares   **     49,077  
   
NB Genesis Fund
  129.555 shares   **     4,401  
   
NB International FD Inv Class
  821.953 shares   **     17,812  
   
NB Ltd maturity Bond Fund
  480.497 shares   **     4,387  
   
Oakmark Equity Income FD
  6,366.953 shares   **     159,046  
   
Oakmark Fund
  552.269 shares   **     22,577  
   
Oakmark International Fund
  303.547 shares   **     6,836  
   
Oppenheimer Developing markets CL A
  1,229.477 shares   **     44,667  

 


Table of Contents

                         
        (c) Description of        
        investment including        
        maturity date and rate        
    (b) Identity of issue, borrower,   of interest, collateral,       (e) Current
(a)   lessor or similar party   par or maturity value   (d) Cost   value
   
Oppenheimer Intl Bond Fund CL A
  443.664 shares   **     2,556  
   
Pimco Emerging Markets Bond Fund CL D
  452.554 shares   **     5,051  
   
Pimco Total Return Fund Instl Class
  8,166.556 shares   **     85,749  
   
Pioneer Mid Cap Value Fund CL A
  491.4 shares   **     11,469  
   
Putnam Growth & Income CL A
  1,513.304 shares   **     29,857  
   
Putnam Intl Equity Fund CL A
  115.054 shares   **     3,006  
   
Royce Total Return Fund
  1,725.171 shares   **     21,737  
   
RS Smaller Company Growth Fund
  855.139 shares   **     18,052  
   
Schwab Premier Equity Inv Shares
  1,006.438 shares   **     11,433  
   
Schwab Short-Term Bond Market Index Fund
  1,220.634 shares   **     12,133  
   
Schwab S&P500 Index Inv
  253,255.731 shares   **     4,862,510  
   
Schwab Total Bond Market Index Fund
  1,402.208 shares   **     13,868  
   
Schwab Total Stock Market — Inv
  17,583.441 shares   **     375,231  
   
Schwab 1000 Index Fund — Investor SHA
  413.086 shares   **     14,966  
   
Selected American Shares
  841.379 shares   **     33,849  
   
Senior High Income Portfolio Inc.
  112.367 shares   **     632  
   
Sound Shore Fund
  557.620 shares   **     20,426  
   
SSGA Intl Stock Selection Fund
  248.880 shares   **     2,745  
   
Strong Advisor Common Stock Fund CL Z
  726.838 shares   **     15,823  
   
Tamarack Mico Cap Value Fund CL S
  945.072 shares   **     18,920  
   
Templeton Developing markets Trust
  294.034 shares   **     6,886  
   
Templeton Dragon Fund
  185.864 shares   **     3,565  
   
Templeton Emerging Market Fund
  211.617 shares   **     4,116  
   
Templeton Foreign Fund CL A
  2,203.596 shares   **     27,942  
   
Third Avenue Value Fund
  272.885 shares   **     14,949  
   
Torray Fund
  118.8 shares   **     4,636  
   
Tweedy Browne Global Value Fund
  420.742 shares   **     11,108  
   
US Global Regent Eastern European
  714.151 shares   **     28,209  
   
UMB Scout Small Cap Fund
  162.244 shares   **     2,572  
   
Value Line Income & Growth Fund
  311.257 shares   **     2,605  
   
Van Kampen Real Estate SEC Fund A
  638.133 shares   **     15,775  
   
Vanguard Energy Fund
  496.067 shares   **     27,805  
   
Vanguard GNMA Fund Investor SHS
  283.848 shares   **     2,924  
   
Vanguard Selected Value
  240,674.382 shares   **     4,539,119  
   
Vanguard Wellesley Income Fund
  483.674 shares   **     10,191  
   
Vanguard Windsor II Fund
  220,145.872 shares   **     6,897,170  
   
Vanguard 500 Index Fund Investor SHS
  175.239 shares   **     20,138  
   
WF Advantage Mid Cap Disciplined
  323.198 shares   **     6,629  
   
WF Advantage Ultra Short Term Income
  1,673.537 shares   **     15,313  
   
William Blair Intl Growth Fund
  541.866 shares   **     13,666  
   
 
                   
   
Total Mutual funds
                44,368,577  
   
 
                   
   
 
                   
   
Unit Investment Trusts:
                   
   
IShares MSCI Brazil Index
  100 shares   **     3,337  
   
IShares MSCI Japan Index Fund
  600 shares   **     8,112  
   
IShares TR Dow Jones Select Dividend
  4,000 shares   **     245,040  
   
Nasdaq 100 Shares
  1,500.875 shares   **     60,653  
   
 
                   
   
Total Unit Investment Trusts
                317,142  
   
 
                   
   
 
                   
   
Money Market Accounts:
                   
   
Schwab Cash Reserves Sweep Shares
  31,727.550 shares   **     31,728  
   
Schwab Money Market Fund
  825,388.400 shares   **     825,388  
   
Schwab US Treasury Money Fund
  24,495.920 shares   **     24,496  

 


Table of Contents

                         
        (c) Description of        
        investment including        
        maturity date and rate        
    (b) Identity of issue, borrower,   of interest, collateral,       (e) Current
(a)   lessor or similar party   par or maturity value   (d) Cost   value
   
Schwab Government Securities Fund
   7,669,597.85 shares   **     7,669,598  
   
Stock Liquidity
  477.52 shares   **     477  
   
 
                   
   
Total Money Market Accounts
                8,551,687  
   
 
                   
   
 
                   
   
Common/Collective Trusts:
                   
   
Schwab Managed Retirement 2010
  55,707.846 shares   **     769,883  
   
Schwab Managed Retirement 2020
  113,850.047 shares   **     1,702,058  
   
Schwab Managed Retirement 2030
  54,392.592 shares   **     865,930  
   
Schwab Managed Retirement 2040
  31,930.474 shares   **     515,677  
   
Schwab Managed Retirement, Inc.
  451.770 shares   **     4,730  
   
 
                   
   
Total Common/Collective Trusts
                3,858,278  
   
 
                   
   
 
                   
   
Corporate Obligations:
                   
   
Swiss Government
  65,000 shares   **     51,714  
   
 
                   
   
 
                   
   
Other Assets:
                   
   
San Juan Basin Royal TR
  233.915 shares   **     10,186  
   
 
                   
   
 
                   
   
Limited Liability Company Units
                   
   
Angstrom Preferred Holdings, LLC
  20,000 units   **     30,200  
   
 
                   
   
 
                   
   
Promissory Note:
                   
   
Baptist Foundation Promissory Note
  Interest rate: 11.75%;            
   
 
  maturity date: November            
   
 
  7, 2012; unsecured   **     12,612  
   
 
                   
   
 
                   
   
Limited Partnerships:
                   
   
Beaconsfield LP Fund I
  1 unit   **     11,133  
   
 
                   
   
 
                   
   
Participant loans
  Interest rates ranging            
   
 
  from 6.00% to 11.00%   **     1,579,458  
   
 
                 
   
 
                   
   
Total investments
              $ 67,031,368  
   
 
                 
 
*   Denotes a party-in-interest
 
**   Disclosure of historical cost information is not required for participant directed investments.

 


Table of Contents

SIGNATURE
Pursuant to the requirements of the Securities Exchange Act of 1934, the Inter-Tel, Incorporated Tax Deferred Savings Plan and Retirement Trust has duly caused this report to be signed by the undersigned hereunto duly authorized.
Inter-Tel, Incorporated Tax Deferred Savings Plan and Retirement Trust
     
/s/ Kurt R. Kneip
 
Inter-Tel, Incorporated
   
Kurt R. Kneip
   
Sr. Vice President and Chief Financial Officer
   
Date: June 29, 2006
   

 


Table of Contents

EXHIBIT INDEX
Exhibit:
Exhibit 23.1 — Consent of Independent Registered Public Accounting Firm