CONTENTS
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AUDITED FINANCIAL STATEMENTS
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PAGE
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Report of Independent Registered Public Accounting Firm
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3
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Statements of Net Assets Available for Benefits
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5
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Statements of Changes in Net Assets Available for Benefits
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6
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Notes of Financial Statements
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7
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SUPPLEMENTAL SCHEDULE
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Form 5500 - Schedule H - Part IV:
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Item 4i - Schedule of Assets Held for Investment Purposes
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at End of Year - December 31, 2012
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16
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December 31,
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2012
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|
2011
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ASSETS
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|
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Investments, at fair value:
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|
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||
Chemung Financial Corporation common stock
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$ 5,628,989
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$ 4,354,191
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||
|
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Chemung Canal Trust Company common trust funds:
|
|
|
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||
Short-Term Bond Fund
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687,387
|
|
665,929
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||
Core Bond Fund
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1,362,445
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|
1,545,364
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||
Core Growth Fund
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1,506,077
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1,398.927
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||
Growth and Income Fund
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1,315,966
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1,206,664
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||
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Mutual funds:
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|
|
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||
Invesco Small Cap Growth Fund
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709,843
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|
574,960
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||
Artisan International Fund
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696,127
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707,667
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||
Dodge & Cox Balanced Fund
Dodge & Cox International Stock Fund
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36,587
664,513
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-
587,264
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Dodge & Cox Stock Fund
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5,116,648
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4,100,620
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||
Federated Automated Cash Management
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681,611
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1,361,734
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||
Federated Prime Obligations Fund
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90,692
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128,205
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||
Federated Stock Trust Fund
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239,031
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|
231,437
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||
Loomis Sayles Bond Fund
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1,688,998
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1,255,926
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||
Allianz NACM International Growth Opportunity Fund
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1,076,518
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1,010,343
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||
T. Rowe Price Blue Chip Growth Fund
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567,569
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|
283,150
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||
Vanguard Index Trust 500 Fund
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1,761,376
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1,364,014
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Westport Select Cap Fund
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826,347
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911,910
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||
TOTAL INVESTMENTS
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24,656,724
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21,688,305
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Accrued income receivable
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3
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|
47,867
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||
Employer contribution receivable
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393,085
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371,751
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Cash - non-interest bearing
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1,377
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|
111
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||
NET ASSETS AVAILABLE
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|
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FOR BENEFITS
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$25,051,189
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$22,108,034
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Year ended December 31,
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2012
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2011
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ADDITIONS
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Additions to net assets attributed to:
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Investment income:
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Interest and dividends
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$ 679,852
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$ 495,649
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Net appreciation (depreciation) in fair value of investments
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3,325,315
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(703,265)
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Other income
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1,316
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-
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4,006,483
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(207,616)
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Contributions:
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Employer
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393,085
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371,751
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Participant
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1,261,656
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1,199,461
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Rollover
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22,461
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671,878
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1,677,202
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2,243,090
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TOTAL ADDITIONS
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5,683,685
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2,035,474
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DEDUCTIONS
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Deductions from net assets attributed to:
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|
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Benefits paid to participants
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2,740.530
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2,419,176
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TOTAL DEDUCTIONS
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2,740,530
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2,419,176
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NET INCREASE (DECREASE)
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2,943,155
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(383,702)
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Net assets available for benefits
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|
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at beginning of year
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22,108,034
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22,491,736
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NET ASSETS AVAILABLE FOR BENEFITS
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|
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AT END OF YEAR
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$ 25,051,189
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$22,108,034
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Level 1
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Inputs to the valuation methodology are unadjusted quoted prices for identical assets of liabilities in active markets that the Plan has the ability to access.
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Level 2
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Inputs to the valuation methodology include:
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-
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Quoted prices for similar assets or liabilities in active markets;
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-
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Quoted prices for identical or similar assets or liabilities in inactive markets;
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-
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Inputs other than quoted prices that are observable for the asset or liability;
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-
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Inputs that are derived principally from or corroborated by observable market data by correlation or other means.
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|
If the asset or liability has a specified (contractual) term, the Level 2 input must be observable for substantially the full term of the asset or liability.
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Level 3
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Inputs to the valuation methodology are unobservable and significant to the fair value measurement.
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Level 1
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Level 2
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Level 3
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Total
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December 31, 2012
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Chemung Financial Corporation
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common stock
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$ -
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$ 5,628,989
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$ -
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$ 5,628,989
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Common trust funds:
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Short-term bond fund
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-
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687,387
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-
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687,387
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Core bond fund
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-
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1,362,445
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-
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1,362,445
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Core growth fund
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-
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1,506,077
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-
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1,506,077
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Growth and income fund
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-
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1,315,966
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-
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1,315,966
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Mutual funds:
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Cash equivalents
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772,303
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-
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-
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772,303
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Mid/small cap growth fund
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709,843
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-
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-
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709,843
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International foreign funds
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2,437,158
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-
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-
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2,437,158
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Large cap actively managed
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value funds
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5,355,679
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-
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-
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5,355,679
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Income/taxable fund
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1,688,998
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-
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-
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1,688,998
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Large cap actively managed
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growth fund
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567,569
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-
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-
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567,569
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Large cap index blend fund
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1,761,376
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-
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-
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1,761,376
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Mid/small cap blend fund
Moderate allocation
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826,347
36,587
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-
-
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-
-
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826,347
36,587
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Total assets at fair value
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$ 14,155,860
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$ 10,500,864
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$ -
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$ 24,656,724
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Level 1
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Level 2
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Level 3
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Total
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December 31, 2011
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Chemung Financial Corporation
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common stock
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$ -
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$ 4,354,191
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$ -
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$ 4,354,191
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Common trust funds:
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Short-term bond fund
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-
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665,929
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-
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665,929
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Core bond fund
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-
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1,545,364
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-
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1,545,364
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Core growth fund
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-
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1,398,927
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-
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1,398,927
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Growth and income fund
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-
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1,206,664
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-
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1,206,664
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Mutual funds:
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Cash equivalents
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1,489,939
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-
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-
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1,489,939
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Mid/small cap growth fund
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574,960
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-
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-
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574,960
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International foreign funds
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2,305,274
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-
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-
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2,305,274
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Large cap actively managed
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value fund
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4,332,057
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-
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-
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4,332,057
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Income/taxable fund
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1,255,926
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-
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-
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1,255,926
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Large cap actively managed growth
fund
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283,150
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-
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-
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283,150
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Large cap index blend fund
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1,364,014
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-
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-
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1,269,825
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Mid/small cap blend fund
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911,910
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-
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-
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911,910
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Total assets at fair value
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$ 12,517,230
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$ 9,171,075
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$ -
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$ 21,688,305
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December 31, 2012
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December 31, 2011
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Net
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Net
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appreciation
|
appreciation
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in fair
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(depreciation) in fair
|
||||||||
value during
|
Fair value
|
value during
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Fair value
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the year
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at end of year
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the year
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at end of year
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Chemung Financial Corporation
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common stock
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$ 1,300,521
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$ 5,628,989
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|
$ 83,512
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$ 4,354,191
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Chemung Canal Trust Company
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|
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common trust funds:
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|
|
|
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Short-Term Bond Fund
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18,067
|
687,387
|
20,635
|
665,929
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Core Bond Fund
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82,722
|
1,362,445
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|
80,444
|
1,545,364
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Core Growth Fund
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206,144
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1,506,077
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|
(153,162)
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1,398,927
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Growth and Income Fund
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126,839
|
1,315,966
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|
49,900
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1,206,664
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Mutual funds:
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Dodge & Cox Stock Fund
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837,274
|
5,116,648
|
|
(236,352)
|
4,100,620
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||||
Loomis Sayles Bond Fund
|
116,654
|
1,688,998
|
(17,936)
|
1,255,926
|
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Vanguard Index Trust 500 Fund
|
187,905
|
1,761,376
|
(2,353)
|
1,364,014
|
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Federated Auto Cash Management
|
-
|
681,611
|
-
|
1,361,734
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|||||
Other
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449,189
|
4,907,227
|
|
(527,953)
|
4,434,936
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$ 3,325,315
|
$ 24,656,724
|
|
$ (703,265)
|
$ 21,688,305
|
(b)
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(c)
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(e)
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Description of investment
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Party
|
including maturity date, rate of
|
||||||
in
|
Identity of issue, borrower,
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interest, collateral, par or
|
Current
|
||||
interest
|
lessor or similar party
|
maturity value
|
value
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||||
*
|
Chemung Financial Corporation
|
189,337 shares of common stock
|
$ 5,628,989
|
||||
*
|
Chemung Canal Trust Company
|
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common trust funds:
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|||||||
Short-Term Bond Fund
|
50,565 units
|
687,387
|
|||||
Core Bond Fund
|
85,531 units
|
1,362,445
|
|||||
Core Growth Fund
|
77,978 units
|
1,506,077
|
|||||
Growth and Income Fund
|
51,144 units
|
1,315,966
|
|||||
Mutual funds:
|
|||||||
Invesco Small Cap Growth Fund
|
23,661 units
|
709,843
|
|||||
Artisan International Fund
|
28,309 units
|
696,127
|
|||||
Dodge & Cox Balanced Fund
Dodge & Cox International Stock Fund
|
469 units
19,183 units
|
36,587
664,513
|
|||||
Dodge & Cox Stock Fund
|
41,974 units
|
5,116,648
|
|||||
Federated Automated Cash Management
|
681,611 units
|
681,611
|
|||||
Federated Prime Obligations Fund
|
90,692 units
|
90,692
|
|||||
Federated Stock Trust Fund
|
10,831 units
|
239,031
|
|||||
Loomis Sayles Bond Fund
|
111,706 units
|
1,688,998
|
|||||
Allianz NACM International Growth
|
|||||||
Opportunity Fund
|
33,288 units
|
1,076,518
|
|||||
T. Rowe Price Blue Chip Growth Fund
|
12,439 units
|
567,569
|
|||||
Vanguard Index Trust 500 Fund
|
13,408 units
|
1,761,376
|
|||||
Westport Select Cap Fund
|
44,142 units
|
826,347
|
|||||
|
|||||||
TOTAL INVESTMENTS
|
$ 24,656,724
|