A.
|
Full
title of the plan and the address of the plan, if different from
that of
the issuer named below:
|
B.
|
Name
of issuer of the securities held pursuant to the plan and the address
of
its principal executive office:
|
Audited
Financial Statements
|
Report
of Independent Registered Public Accounting Firm
|
Financial
Statements:
|
Statement
of Net Assets Available for Benefits as of December 31, 2007 and
2006
|
Statement
of Changes in Net Assets Available for Benefits for the Years Ended
December 31, 2007 and 2006
|
Notes
to Financial Statements
|
Supplemental
Schedule:
|
Schedule
of Assets Held for Investment Purposes at End of Year
|
Note:
Other supplemental schedules required by Section 252.103-10 of the
Department of Labor’s Rules and Regulations for Reporting and Disclosure
under ERISA have been omitted because they are not
applicable.
|
Exhibit No.
|
Description
|
|
23.1
|
Consent
of Independent Registered Public Accounting Firm - Meaden & Moore,
Ltd.
|
By:
|
/s/
DAVID C. EVANS
|
|
Printed
Name: David C. Evans
|
||
Title:
|
Executive
Vice President and Chief
|
|
Financial
Officer of The Scotts
|
||
Miracle-Gro
Company
|
INDEX
TO THE FINANCIAL STATEMENTS
December
31, 2007 and 2006
|
|
PAGE
NO.
|
|
Report
of Independent Registered Public Accounting Firm
|
5
|
Financial
Statements:
|
|
Statement
of Net Assets Available for Benefits
|
6
|
Statement
of Changes in Net Assets Available for Benefits
|
7
|
Notes
to Financial Statements
|
8 –
16
|
Supplemental
Schedule
|
|
Schedule
of Assets Held for Investment Purposes at End of Year
|
17
|
NOTE: |
Other
supplement schedules required by Section 252.103-10 of the Department
of
Labor’s Rules and Regulations for Reporting and Disclosure and ERISA have
been omitted because they are not
applicable.
|
December 31
|
|||||||
2007
|
2006
|
||||||
ASSETS
|
|||||||
Cash
and cash equivalents
|
$
|
1,059
|
$
|
13,219
|
|||
Investments
(at Fair Value):
|
|||||||
All/Bern
Balanced A
|
526,556
|
463,029
|
|||||
Columbia
Acorn A
|
567,188
|
515,445
|
|||||
Dreyfus
S&P 500 Index Fund
|
-
|
696,689
|
|||||
Fidelity
Advisor Diversified International Fund
|
708,787
|
517,002
|
|||||
Fidelity
Advisor Dividend Growth Fund
|
16
|
368
|
|||||
Fidelity
Advisor International Small Cap T
|
453,127
|
337,410
|
|||||
Fidelity
Advisor New Insights
|
1,004,839
|
816,028
|
|||||
Fidelity
Advisor Stable Value
|
577,618
|
398,414
|
|||||
Fidelity
Advisor Strategic Income Fund
|
665,235
|
503,217
|
|||||
JPM
Intrepid America Fund
|
822,928
|
765,183
|
|||||
JPM
Intrepid Value Fund
|
193,125
|
-
|
|||||
JPM
Equity Index Fund
|
870,929
|
-
|
|||||
Robertson
Stephens Partners
|
369,857
|
320,295
|
|||||
The
Scotts Company Common Shares
|
26,115
|
2,543
|
|||||
VK
Comstock A
|
-
|
71,460
|
|||||
Participant
Loans
|
76,346
|
62,248
|
|||||
Total
Investments
|
6,862,666
|
5,469,331
|
|||||
Total
Assets
|
6,863,725
|
5,482,550
|
|||||
LIABILITIES
|
-
|
-
|
|||||
Net
Assets Reflecting all Investments at Fair Value
|
6,863,725
|
5,482,550
|
|||||
Adjustment
from fair value to contract value for the Fidelity Advisor Stable
Value
Fund, a fully benefit-responsive investment contract
|
2,296
|
4,017
|
|||||
Net
Assets Available for Benefits
|
$
|
6,866,021
|
$
|
5,486,567
|
Year Ended December 31
|
|||||||
2007
|
2006
|
||||||
Additions
to Net Assets Attributed to:
|
|||||||
Contributions:
|
|||||||
Employer
|
$
|
789,322
|
$
|
807,100
|
|||
Employee
|
953,538
|
892,694
|
|||||
Rollover
|
80,267
|
333,386
|
|||||
1,823,127
|
2,033,180
|
||||||
Interest
and dividend income
|
422,258
|
254,473
|
|||||
Net
unrealized/realized gain (loss) on investments
|
(34,209
|
)
|
255,063
|
||||
Total
Additions
|
2,211,176
|
2,542,716
|
|||||
Deductions
from Net Assets Attributed to:
|
|||||||
Benefits
paid to participants
|
808,856
|
587,883
|
|||||
Administrative
expenses
|
22,866
|
11,022
|
|||||
Total
Deductions
|
831,722
|
598,905
|
|||||
Net
Increase
|
1,379,454
|
1,943,811
|
|||||
Net
Assets Available for Benefits:
|
|||||||
Beginning
of Year
|
5,486,567
|
3,542,756
|
|||||
End
of Year
|
$
|
6,866,021
|
$
|
5,486,567
|
1 |
Description
of Plan
|
1 |
Description
of Plan, Continued
|
1 |
Description
of Plan, Continued
|
2 |
Summary
of Significant Accounting
Policies
|
2 |
Summary
of Significant Accounting Policies,
Continued
|
3 |
Investments
|
2007
|
2006
|
||||||
All/Bern
Balanced A
|
$
|
526,556
|
$
|
463,029
|
|||
Columbia
Acorn A
|
567,188
|
515,445
|
|||||
Dreyfus
S&P 500 Index Fund
|
-
|
696,689
|
|||||
Fidelity
Advisor Diversified International Fund
|
708,787
|
517,002
|
|||||
Fidelity
Advisor International Small Cap T
|
453,127
|
337,410
|
|||||
Fidelity
Advisor New Insights
|
1,004,839
|
816,028
|
|||||
Fidelity
Advisor Stable Value Fund
|
577,618
|
398,414
|
|||||
Fidelity
Advisor Strategic Income Fund
|
665,235
|
503,217
|
|||||
JPM
Intrepid America Fund
|
822,928
|
765,183
|
|||||
JPM
Equity Index Fund
|
870,929
|
-
|
|||||
Robertson
Stephens Partners
|
369,857
|
320,295
|
4 |
Investment
Contract with Fidelity Trust
Company
|
4 |
Investment
Contract with Fidelity Trust Company,
Continued
|
Average
Yields:
|
2007
|
2006
|
|||||
Based
on actual earnings
|
3.96
|
%
|
3.47
|
%
|
|||
Based
on interest rates credited to participants
|
4.15
|
%
|
3.88
|
%
|
5 |
Tax
Status
|
6 |
Plan
Termination:
|
7 |
Reconciliation
of Financial Statements to Form
5500
|
2007
|
2006
|
||||||
Net
assets available for benefits per the financial statements
|
$
|
6,866,021
|
$
|
5,486,567
|
|||
Adjustment
from contract value to fair value for fully benefit-responsive investment
contracts
|
(2,296
|
)
|
(4,017
|
)
|
|||
Rounding
|
-
|
(8
|
)
|
||||
Net
assets available for benefits per the Form 5500
|
$
|
6,863,725
|
$
|
5,482,542
|
2007
|
||||
Investment
income per the financial statements
|
$
|
388,049
|
||
Adjustment
from contract value to fair value for fully benefit-responsive investment
contracts for 2007
|
(2,296
|
)
|
||
Adjustment
from contract value to fair value for fully benefit-responsive investment
contracts for 2006
|
4,017
|
|||
Rounding
|
8
|
|||
Net
investment income per the Form 5500
|
$
|
389,778
|
8 |
Party-in-Interest
Transactions
|
9 |
Recently
Issued Accounting
Pronouncements
|
(b)
|
( c )
|
||||||||||||
Identity of Issue,
|
Description of Investment Including
|
(e)
|
|||||||||||
Borrower, Lessor,
|
Maturity Date, Rate of Interest,
|
(d)
|
Current
|
||||||||||
(a)
|
or Similar Party
|
Collateral, Par or Maturity Value
|
Cost
|
Value
|
|||||||||
All/Bern
Balanced A
|
Mutual
Fund
|
N/A
|
$
|
526,556
|
|||||||||
Columbia
Acorn A
|
Mutual
Fund
|
N/A
|
567,188
|
||||||||||
*
|
Fidelity
Advisor Diversified International Fund
|
Mutual
Fund
|
N/A
|
708,787
|
|||||||||
*
|
Fidelity
Advisor Dividend Growth Fund
|
Mutual
Fund
|
N/A
|
16
|
|||||||||
*
|
Fidelity
Advisor International Small Cap T
|
Mutual
Fund
|
N/A
|
453,127
|
|||||||||
*
|
Fidelity
Advisor New Insights
|
Mutual
Fund
|
N/A
|
1,004,839
|
|||||||||
*
|
Fidelity
Advisor Stable Value
|
Mutual
Fund
|
N/A
|
577,618
|
|||||||||
*
|
Fidelity
Advisor Strategic Income Fund
|
Mutual
Fund
|
N/A
|
665,235
|
|||||||||
JPM
Intrepid America Fund
|
Mutual
Fund
|
N/A
|
822,928
|
||||||||||
JPM
Intrepid Value Fund
|
Mutual
Fund
|
N/A
|
193,125
|
||||||||||
JPM
Equity Index Fund
|
Mutual
Fund
|
N/A
|
870,929
|
||||||||||
Robertson
Stephens Partners
|
Mutual
Fund
|
N/A
|
369,857
|
||||||||||
The
Scotts Company Common Shares
|
Mutual
Fund
|
N/A
|
26,115
|
||||||||||
*
|
Participant
Loans
|
Notes
receivable (interest at prevailing local rate)
|
|
N/A
|
76,346
|
||||||||
$
|
6,862,666
|
EXHIBIT NO.
|
DESCRIPTION
|
|
23.1
|
Consent
of Independent Registered Public Accounting
Firm – Meaden & Moore,
Ltd.
|