Signatures
|
3
|
||||
Report of Independent Registered Public Accounting Firm
|
5
|
||||
Financial Statements:
|
|||||
Statements of Net Assets Available for Benefits as of December 31, 2010 and 2009
|
6
|
||||
Statements of Changes in Net Assets Available for Benefits for the years ended December 31, 2010 and 2009
|
7 | ||||
Notes to Financial Statements
|
8
|
||||
Supplemental Schedules:
|
|||||
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
|
19
|
||||
Schedule H, Line 4j - Schedule of Reportable Transactions
|
20
|
||||
Exhibit Index
|
21
|
Note:
|
Other schedules required by Section 2520.103-10 of the Department of Labor’s Rules and Regulations for reporting and disclosure under the Employee Retirement Income Security Act of 1974 have been omitted because they are not applicable.
|
December 31,
|
||||||||
2010
|
2009
|
|||||||
ASSETS
|
||||||||
Investments, at fair value:
|
||||||||
|
Registered investment companies
|
$38,148,908
|
$32,900,030
|
|||||
WesBanco, Inc. common stock
|
13,613,909
|
8,631,230
|
||||||
Cash and short-term investments
|
1,845
|
1,542
|
||||||
Total investments
|
51,764,662
|
41,532,802
|
||||||
Receivables:
|
||||||||
Contributions receivable - Employees
|
15,885
|
121,970
|
||||||
Contributions receivable - Employer
|
8,757
|
68,564
|
||||||
Loans to participants
|
1,558,510
|
960,040
|
||||||
Accrued dividends
|
100,546
|
97,224
|
||||||
Total receivables
|
1,683,698
|
1,247,798
|
||||||
Total assets
|
53,448,360
|
42,780,600
|
||||||
LIABILITIES
|
||||||||
Accrued liabilities
|
-
|
79
|
||||||
Net assets available for benefits
|
$53,448,360
|
$42,780,521
|
For the Years Ended December 31,
|
|||||||
2010
|
2009
|
||||||
ADDITIONS
|
|||||||
Investment income:
|
|||||||
Interest and dividends
|
$ 1,063,538
|
$ 1,070,050
|
|||||
Net appreciation (depreciation) in fair value of investments
|
8,195,956
|
(4,846,911)
|
|||||
Total investment income
|
9,259,494
|
(3,776,861)
|
|||||
Contributions:
|
|||||||
Employer
|
1,628,292
|
1,733,475
|
|||||
Employee
|
3,025,319
|
3,070,515
|
|||||
Total contributions
|
4,653,611
|
4,803,990
|
|||||
Total additions
|
13,913,105
|
1,027,129
|
|||||
DEDUCTIONS
|
|||||||
Distributions to participants
|
3,240,401
|
4,147,204
|
|||||
Other expense
|
4,865
|
15,384
|
|||||
Total deductions
|
3,245,266
|
4,162,588
|
|||||
Net increase (decrease)
|
10,667,839
|
(3,135,459)
|
|||||
Net assets available for benefits:
|
|||||||
Beginning of year
|
42,780,521
|
45,915,980
|
|||||
End of year
|
$ 53,448,360
|
$ 42,780,521
|
2010
|
2009
|
||||||||||
Net
|
Net
|
||||||||||
Fair
|
Appreciation
|
Fair
|
Appreciation
|
||||||||
Value
|
(Depreciation)
|
Value
|
(Depreciation)
|
||||||||
Participant-directed investments:
|
|||||||||||
AIM Funds Group Basic Value Class A
|
$ -
|
$ -
|
$ -
|
$ (68,868)
|
|||||||
American Balanced R4
|
*
|
3,121,675
|
303,229
|
*
|
2,873,629
|
440,790
|
|||||
American Bond Fund of America R4
|
-
|
17,251
|
1,213,208
|
100,185
|
|||||||
American Century Equity Income
|
1,318,006
|
112,397
|
1,053,162
|
139,709
|
|||||||
American EuroPacific Growth R4
|
*
|
2,945,459
|
205,965
|
*
|
2,621,236
|
705,167
|
|||||
American Growth Funds of America R4
|
*
|
3,005,457
|
299,114
|
*
|
2,487,076
|
631,111
|
|||||
American Small Cap World R4
|
1,027,841
|
175,724
|
724,510
|
215,733
|
|||||||
BlackRock GNMA Service
|
609,243
|
653
|
506,685
|
(4,207)
|
|||||||
BlackRock Money Market Service
|
-
|
-
|
*
|
5,177,494
|
9,628
|
||||||
Davis New York Venture Fund Adv.
|
1,144,673
|
108,880
|
1,068,159
|
247,423
|
|||||||
Federated Max Cap Fund
|
-
|
-
|
-
|
(91,491)
|
|||||||
Federated Total Return Government Bond
|
807,602
|
7,731
|
769,242
|
(32,137)
|
|||||||
Fidelity Advisor Small Cap A
|
1,955,199
|
236,367
|
1,670,333
|
387,717
|
|||||||
PIMCO Total Return
|
1,636,176
|
(20,608)
|
-
|
-
|
|||||||
PNC Index Equity
|
1,768,060
|
202,592
|
1,565,539
|
385,011
|
|||||||
PNC MMKT Service Unit
|
*
|
4,736,251
|
(13)
|
-
|
-
|
||||||
PNC MMKT
|
2
|
-
|
-
|
-
|
|||||||
Royce Low Price Stock
|
1,698,367
|
358,807
|
1,243,136
|
388,911
|
|||||||
T. Rowe Price Growth Stock Fund Adv.
|
1,649,229
|
231,612
|
1,394,416
|
399,357
|
|||||||
T. Rowe Midcap Value
|
107,099
|
5,794
|
-
|
-
|
|||||||
T. Rowe Price Target Retirement 2010 Fund Adv.
|
811,590
|
66,849
|
569,001
|
104,895
|
|||||||
T. Rowe Price Target Retirement 2020 Fund Adv.
|
931,442
|
102,327
|
776,742
|
158,281
|
|||||||
T. Rowe Price Target Retirement 2030 Fund Adv.
|
606,240
|
70,958
|
444,196
|
93,617
|
|||||||
T. Rowe Price Target Retirement 2040 Fund Adv.
|
425,382
|
52,464
|
307,884
|
78,169
|
|||||||
T. Rowe Price Target Retirement 2050 Fund Adv.
|
357,324
|
42,955
|
244,350
|
47,355
|
|||||||
Third Avenue Value Fund
|
1,361,728
|
137,728
|
1,154,709
|
308,816
|
|||||||
WesBanco, Inc. Common Stock
|
*
|
13,613,909
|
4,681,854
|
*
|
8,631,230
|
(10,278,700)
|
|||||
WesMark Bond Fund
|
1,498,676
|
(449)
|
1,350,919
|
8,455
|
|||||||
WesMark Growth Fund
|
*
|
4,175,593
|
701,772
|
*
|
3,449,803
|
731,823
|
|||||
WesMark Small Company Fund
|
450,594
|
94,003
|
234,601
|
46,339
|
|||||||
Total participant-directed investments
|
51,762,817
|
8,195,956
|
41,531,260
|
(4,846,911)
|
2010
|
2009
|
||||||||||
Net
|
Net
|
||||||||||
Fair
|
Appreciation
|
Fair
|
Appreciation
|
||||||||
Value
|
(Depreciation)
|
Value
|
(Depreciation)
|
||||||||
Participant-directed investments balance carried forward
|
$ 51,762,817
|
$ 8,195,956
|
$ 41,531,260
|
$ (4,846,911)
|
|||||||
Non-participant directed investments:
|
|||||||||||
Cash
|
821
|
-
|
445
|
-
|
|||||||
WesBanco Stock Liquidity Fund
|
1,024
|
-
|
1,097
|
-
|
|||||||
Total non-participant directed investments
|
1,845
|
-
|
1,542
|
-
|
|||||||
Total investments
|
$ 51,764,662
|
$ 8,195,956
|
$ 41,532,802
|
$ (4,846,911)
|
|||||||
*
|
The fair value of these individual investments represents 5% or more of the Plan's net assets.
|
WesBanco
|
WesBanco
|
|||||||
Stock Liquidity
|
Common Stock
|
|||||||
Fund
|
Equity Fund
|
Total
|
||||||
2010
|
||||||||
Investments, at fair value
|
||||||||
Cash and short-term investments
|
$ 1,024
|
$ 821
|
$ 1,845
|
|||||
Total investments
|
1,024
|
821
|
1,845
|
|||||
Accrued dividends
|
100,546
|
-
|
100,546
|
|||||
Total assets
|
$ 101,570
|
$ 821
|
$ 102,391
|
|||||
Net assets available for benefits
|
$ 101,570
|
$ 821
|
$ 102,391
|
|||||
WesBanco
|
WesBanco
|
|||||||
Stock Liquidity
|
Common Stock
|
|||||||
Fund
|
Equity Fund
|
Total
|
||||||
2009
|
||||||||
Investments, at fair value
|
||||||||
Cash and short-term investments
|
$ 1,097
|
$ 445
|
$ 1,542
|
|||||
Total investments
|
1,097
|
445
|
1,542
|
|||||
Accrued dividends
|
97,224
|
-
|
97,224
|
|||||
Total assets
|
$ 98,321
|
$ 445
|
$ 98,766
|
|||||
Net assets available for benefits
|
$ 98,321
|
$ 445
|
$ 98,766
|
WesBanco
|
WesBanco
|
|||||||||
Stock Liquidity
|
Common Stock
|
|||||||||
Fund
|
Equity Fund
|
Total
|
||||||||
Net assets available for benefits at
|
||||||||||
January 1, 2009
|
$ 198,426
|
$ 3,622,465
|
$ 3,820,891
|
|||||||
Additions:
|
||||||||||
Interest and dividends
|
671,905
|
-
|
671,905
|
|||||||
Net appreciation
|
-
|
-
|
-
|
|||||||
Contributions
|
409,260
|
-
|
409,260
|
|||||||
Deductions:
|
||||||||||
Distributions
|
(11,222)
|
-
|
(11,222)
|
|||||||
Other expense
|
-
|
-
|
-
|
|||||||
Net transfers to participant-directed investments
|
(1,170,048)
|
(3,622,020)
|
(4,792,068)
|
|||||||
Net assets available for benefits at
|
||||||||||
December 31, 2009
|
98,321
|
445
|
98,766
|
|||||||
Additions:
|
||||||||||
Interest and dividends
|
401,116
|
-
|
401,116
|
|||||||
Net appreciation
|
-
|
-
|
-
|
|||||||
Contributions
|
398,184
|
-
|
398,184
|
|||||||
Deductions:
|
||||||||||
Distributions
|
(2,998)
|
-
|
(2,998)
|
|||||||
Other expense
|
(35)
|
-
|
(35)
|
|||||||
Net transfers to participant-directed investments
|
(793,018)
|
376
|
(792,642)
|
|||||||
Net assets available for benefits at
|
||||||||||
December 31, 2010
|
$ 101,570
|
$ 821
|
$ 102,391
|
Investments at Fair Value
|
|||||
Level 1
|
Total
|
||||
Registered investment companies
|
|||||
Stable value / money market
|
$ 4,736,253
|
$ 4,736,253
|
|||
Fixed income
|
4,551,697
|
4,551,697
|
|||
Balanced and lifestyle
|
6,253,653
|
6,253,653
|
|||
Large cap growth
|
4,654,686
|
4,654,686
|
|||
Large cap value
|
2,462,679
|
2,462,679
|
|||
Large cap blend
|
5,943,653
|
5,943,653
|
|||
Mid cap value
|
107,099
|
107,099
|
|||
Small cap growth
|
2,405,793
|
2,405,793
|
|||
Small cap value
|
1,698,367
|
1,698,367
|
|||
International
|
2,945,459
|
2,945,459
|
|||
Worldwide
|
2,389,569
|
2,389,569
|
|||
Total registered investment companies
|
38,148,908
|
38,148,908
|
|||
Equity securities
|
13,613,909
|
13,613,909
|
|||
Cash and short-term investments
|
1,845
|
1,845
|
|||
Total investments at fair value
|
$51,764,662
|
$51,764,662
|
Identity of
|
||||||||
Issue, Borrower,
|
||||||||
Lessor, or
|
Current
|
|||||||
Similar Party
|
Description of Investment
|
Cost
|
Value
|
|||||
Short-term Investments
|
||||||||
Cash
|
*
|
$ 821
|
||||||
1,024
|
shares
|
WesBanco Stock Liquidity Fund
|
*
|
1,024
|
||||
Total Short-term Investments
|
$ 1,845
|
|||||||
Registered Investment Companies
|
||||||||
174,298
|
shares
|
American Balanced R4
|
$ 3,121,675
|
|||||
182,803
|
shares
|
American Century Equity Income
|
1,318,006
|
|||||
72,406
|
shares
|
American EuroPacific Growth R4
|
2,945,459
|
|||||
99,551
|
shares
|
American Growth Funds of America R4
|
3,005,457
|
|||||
26,621
|
shares
|
American Small Cap World R4
|
1,027,841
|
|||||
60,024
|
shares
|
BlackRock GNMA Service
|
609,243
|
|||||
33,334
|
shares
|
Davis New York Venture Fund
|
1,144,673
|
|||||
71,343
|
shares
|
Federated Total Return Government Bond
|
807,602
|
|||||
77,557
|
shares
|
Fidelity Advisor Small Cap A
|
1,955,199
|
|||||
150,800
|
shares
|
PIMCO Total Return
|
1,636,176
|
|||||
73,669
|
shares
|
PNC Index Equity
|
1,768,060
|
|||||
4,053,968
|
shares
|
PNC Money Market Service
|
4,736,251
|
|||||
1
|
shares
|
PNC Money Market
|
2
|
|||||
93,061
|
shares
|
Royce Low Price Stock
|
1,698,367
|
|||||
51,700
|
shares
|
T. Rowe Price Growth Stock
|
1,649,229
|
|||||
4,536
|
shares
|
T. Rowe Midcap Value
|
107,099
|
|||||
53,115
|
shares
|
T. Rowe Price Target Retirement 2010 Fund
|
811,590
|
|||||
56,969
|
shares
|
T. Rowe Price Target Retirement 2020 Fund
|
931,442
|
|||||
35,288
|
shares
|
T. Rowe Price Target Retirement 2030 Fund
|
606,240
|
|||||
24,574
|
shares
|
T. Rowe Price Target Retirement 2040 Fund
|
425,382
|
|||||
36,800
|
shares
|
T. Rowe Price Target Retirement 2050 Fund
|
357,324
|
|||||
26,308
|
shares
|
Third Avenue Value Fund
|
1,361,728
|
|||||
148,531
|
shares
|
WesMark Bond Fund
|
*
|
1,498,676
|
||||
310,453
|
shares
|
WesMark Growth Fund
|
*
|
4,175,593
|
||||
41,645
|
shares
|
WesMark Small Company Growth
|
*
|
450,594
|
||||
Total Registered Investment Companies
|
$ 38,148,908
|
|||||||
Equity Securities
|
||||||||
718,033
|
shares
|
WesBanco, Inc. Common Stock
|
*
|
$ 13,320,803
|
$ 13,613,909
|
|||
Participant Loans
|
||||||||
Loan Account (interest rates range from 3.25%
|
*
|
|||||||
to 9.25% and have maturities through
|
||||||||
September 2020)
|
$ 1,558,510
|
|||||||
* Party-in-interest
|
Current
|
||||||
Value of
|
||||||
Asset on
|
||||||
Identity of
|
Purchase
|
Selling
|
Cost of
|
Transaction
|
Net Gain /
|
|
Party Involved
|
Description of Assets
|
Price
|
Price
|
Asset
|
Date
|
(Loss)
|
There were no Category I, II, III or IV reportable transactions for the year ended December 31, 2010.
|
23.1
|
Consent of Independent Registered Public Accounting Firm
|