UNITED
STATES
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SECURITIES
AND EXCHANGE COMMISSION
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þ
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ANNUAL
REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF
1934
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o
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TRANSITION
REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF
1934
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Items
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1
to 3.
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Not
required; see Item 4 below.
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4.
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The
following are furnished for the Plan:
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(a) The
West Pharmaceutical Services, Inc. 401(k) Plan is subject to the Employee
Retirement Income Security Act of 1974 (“ERISA”), as amended, and is,
therefore, filing Plan financial statements and schedules prepared in
accordance with the financial reporting requirements of
ERISA.
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(b) A
written consent of the accountant.
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Page
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1
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FINANCIAL
STATEMENTS:
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2
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3
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4
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SUPPLEMENTAL
INFORMATION:
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10
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11
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12
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AS
OF DECEMBER 31, 2009 AND 2008
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||||||||
2009
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2008
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|||||||
Investments,
at fair value (Note E):
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||||||||
West
Pharmaceutical Services, Inc. common stock
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$ | 27,314,051 | $ | 28,871,538 | ||||
Mutual
funds
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67,914,081 | 35,932,892 | ||||||
Collective
trust fund
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17,741,647 | 13,349,499 | ||||||
Participant
promissory notes
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2,185,828 | 1,639,939 | ||||||
Total
Investments
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115,155,607 | 79,793,868 | ||||||
Cash
in money market fund
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167,451 | 155,762 | ||||||
Employer
contributions receivable
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110,924 | 58,425 | ||||||
NET
ASSETS REFLECTING ALL INVESTMENTS AT FAIR VALUE
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115,433,982 | 80,008,055 | ||||||
Adjustment
from fair value to contract value for fully benefit-responsive investment
contracts
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(383,542 | ) | 174,521 | |||||
NET
ASSETS AVAILABLE FOR BENEFITS
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$ | 115,050,440 | $ | 80,182,576 |
FOR
THE YEARS ENDED DECEMBER 31, 2009 AND 2008
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2009
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2008
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|||||||
ADDITIONS
(REDUCTIONS):
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||||||||
Interest
and dividend income
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$ | 1,886,474 | $ | 2,757,596 | ||||
Contributions
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||||||||
Employer
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2,576,598 | 2,631,400 | ||||||
Participant
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5,581,713 | 5,859,854 | ||||||
Net
appreciation (depreciation) in fair value of investments (Note
C)
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11,110,827 | (22,022,926 | ) | |||||
Total
Additions (Reductions)
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21,155,612 | (10,774,076 | ) | |||||
DEDUCTIONS:
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||||||||
Benefits
paid
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(6,432,578 | ) | (10,817,417 | ) | ||||
Plan
expenses
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(11,357 | ) | (48,808 | ) | ||||
Total
Deductions
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(6,443,935 | ) | (10,866,225 | ) | ||||
Transfer
from The Tech Group 401(k) Plan
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20,156,187 | - | ||||||
NET
INCREASE (DECREASE)
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34,867,864 | (21,640,301 | ) | |||||
NET
ASSETS AVAILABLE FOR PLAN BENEFITS:
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||||||||
Beginning
of the year
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80,182,576 | 101,822,877 | ||||||
End
of the year
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$ | 115,050,440 | $ | 80,182,576 |
Years
of Continuous Service
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Percent
Vested
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Less
than 1
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0%
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1
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20%
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2
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40%
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3
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60%
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4
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80%
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5
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100%
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2009
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2008
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|||||||
Vanguard
Capital Opportunity Fund Investor Shares
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$ | 6,846,310 | $ | - | ||||
Vanguard
Morgan Growth Fund Investor Shares
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8,908,780 | 5,038,922 | ||||||
Vanguard
Total Bond Market Index Fund Investor Shares
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6,019,687 | - | ||||||
Vanguard
Windsor II Fund Investor Shares
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11,646,071 | 8,447,697 | ||||||
West
Pharmaceutical Services, Inc. Common Stock
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27,314,051 | 28,871,538 | * | |||||
Vanguard
Retirement Savings Trust, at contract value
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17,358,105 | 13,524,020 |
2009
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2008
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West
Stock Fund
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$ | 854,749 | $ | (1,830,217 | ) | |||
Mutual
funds
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10,256,078 | (20,192,709 | ) | |||||
$ | 11,110,827 | $ | (22,022,926 | ) |
2008
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Net
assets:
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||||
West
Pharmaceutical Services, Inc. common stock
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$ | 28,871,538 | ||
Cash
in money market fund
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155,762 | |||
Net
assets available for benefits
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$ | 29,027,300 |
2008
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Changes
in net assets:
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||||
Interest
and dividend income
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$ | 462,695 | ||
Employer
contributions
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2,572,975 | |||
Net
depreciation in fair value of investments
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(1,830,217 | ) | ||
Benefits
paid
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(3,238,317 | ) | ||
Plan
expenses
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(3,566 | ) | ||
Interfund
transfers
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(2,978,592 | ) | ||
Participant
loan withdrawals
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(261,959 | ) | ||
Net
change
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$ | (5,276,981 | ) |
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Level
1:
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Unadjusted
quoted prices in active markets for identical assets or
liabilities.
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Level
2:
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Inputs
other than quoted prices that are observable for the asset or liability,
either directly or indirectly. These include quoted prices for similar
assets or liabilities in active markets and quoted prices for identical or
similar assets or liabilities in inactive
markets.
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Level
3:
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Unobservable
inputs that reflect the reporting entity’s own
assumptions.
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Balance
at
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||||||||||||||||
Basis
of Fair Value Measurements
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December
31,
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|||||||||||||||
Level
1
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Level
2
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Level
3
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2009
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Money
market funds
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$ | 167,451 | $ | - | $ | - | $ | 167,451 | ||||||||
Common
stock
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27,314,051 | - | - | 27,314,051 | ||||||||||||
Mutual
funds
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67,914,081 | - | - | 67,914,081 | ||||||||||||
Collective
trust fund
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- | 17,741,647 | - | 17,741,647 | ||||||||||||
Participant
loans
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- | - | 2,185,828 | 2,185,828 | ||||||||||||
Total
assets at fair value
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$ | 95,395,583 | $ | 17,741,647 | $ | 2,185,828 | $ | 115,323,058 |
Balance
at
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||||||||||||||||
Basis
of Fair Value Measurements
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December
31,
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|||||||||||||||
Level
1
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Level
2
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Level
3
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2008
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Money
market funds
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$ | 155,762 | $ | - | $ | - | $ | 155,762 | ||||||||
Common
stock
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28,871,538 | - | - | 28,871,538 | ||||||||||||
Mutual
funds
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35,932,892 | - | - | 35,932,892 | ||||||||||||
Collective
trust fund
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- | 13,349,499 | - | 13,349,499 | ||||||||||||
Participant
loans
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- | - | 1,639,939 | 1,639,939 | ||||||||||||
Total
assets at fair value
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$ | 64,960,192 | $ | 13,349,499 | $ | 1,639,939 | $ | 79,949,630 |
Participant
Loans
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Balance
as of January 1, 2008
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$ | 1,610,495 | ||
Purchases,
sales, issuances and settlements, net
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29,444 | |||
Balance
as of December 31, 2008
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$ | 1,639,939 | ||
Transfer
from the Tech Group 401(k) Plan
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479,974 | |||
Purchases,
sales, issuances and settlements, net
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65,915 | |||
Balance
as of December 31, 2009
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$ | 2,185,828 |
AS
OF DECEMBER 31, 2009
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||||||||||||
PLAN
EIN: 23-1210010
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PLAN
NUMBER: 008
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(a)
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(b)
Identity of Issue
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(c)
Description
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(d)
Cost
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(e)
Current Value
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* |
American
Funds EuroPacific Growth Fund
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Mutual
Fund
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** | $ | 4,022,722 | |||||||
* |
Franklin
Balance Sheet Investment Fund
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Mutual
Fund
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** | 938,473 | ||||||||
* |
T.
Rowe Price Mid-Cap Value Fund
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Mutual
Fund
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** | 2,995,290 | ||||||||
* |
Templeton
Foreign Fund
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Mutual
Fund
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** | 1,348,865 | ||||||||
* |
Vanguard
500 Index Investor Shares
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Mutual
Fund
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** | 5,403,770 | ||||||||
* |
Vanguard
Capital Opportunity Fund Investor Shares
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Mutual
Fund
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** | 6,846,310 | ||||||||
* |
Vanguard
Explorer Fund Investor Shares
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Mutual
Fund
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** | 1,294,779 | ||||||||
* |
Vanguard
Extended Market Index Fund Investor Shares
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Mutual
Fund
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** | 1,866,017 | ||||||||
* |
Vanguard
Growth and Income Fund Investor Shares
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Mutual
Fund
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** | 3,634,650 | ||||||||
* |
Vanguard
Morgan Growth Fund Investor Shares
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Mutual
Fund
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** | 8,908,780 | ||||||||
* |
Vanguard
Target Retirement 2005 Fund
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Mutual
Fund
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** | 510,434 | ||||||||
* |
Vanguard
Target Retirement 2010 Fund
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Mutual
Fund
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** | 910,141 | ||||||||
* |
Vanguard
Target Retirement 2015 Fund
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Mutual
Fund
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** | 1,177,216 | ||||||||
* |
Vanguard
Target Retirement 2020 Fund
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Mutual
Fund
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** | 1,818,335 | ||||||||
* |
Vanguard
Target Retirement 2025 Fund
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Mutual
Fund
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** | 1,326,724 | ||||||||
* |
Vanguard
Target Retirement 2030 Fund
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Mutual
Fund
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** | 958,540 | ||||||||
* |
Vanguard
Target Retirement 2035 Fund
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Mutual
Fund
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** | 259,532 | ||||||||
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Vanguard
Target Retirement 2040 Fund
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Mutual
Fund
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** | 242,122 | ||||||||
* |
Vanguard
Target Retirement 2045 Fund
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Mutual
Fund
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** | 255,792 | ||||||||
* |
Vanguard
Target Retirement 2050 Fund
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Mutual
Fund
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** | 65,504 | ||||||||
* |
Vanguard
Target Retirement Income
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Mutual
Fund
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** | 292,503 | ||||||||
* |
Vanguard
Total Bond Market Index Fund Investor Shares
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Mutual
Fund
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** | 6,019,687 | ||||||||
* |
Vanguard
Wellington Fund Investor Shares
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Mutual
Fund
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** | 5,171,824 | ||||||||
* |
Vanguard
Windsor II Fund Investor Shares
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Mutual
Fund
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** | 11,646,071 | ||||||||
* |
Vanguard
Retirement Savings Trust
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Collective
Trust Fund
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** | 17,358,105 | ||||||||
* |
West
Pharmaceutical Services, Inc. Common Stock
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Company
Stock
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** | 27,314,051 | ||||||||
* |
Vanguard
Prime Money Market Fund
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Money
Market Fund
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** | 167,451 | ||||||||
Participant
Loans
|
4.25%
- 10.00%
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- | 2,185,828 | |||||||||
$ | 114,939,516 | |||||||||||
*
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Party-in-interest
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|||
**
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Cost
has been omitted, as all investments are
participant-directed.
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Exhibit
Number
|
Description
|
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Consent
of Independent Registered Public Accounting
Firm
|