[X]
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ANNUAL
REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF
1934
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[
]
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TRANSITION
REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF
1934
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Description:
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Page
No.
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Table
of Contents to Financial Statements
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4
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Financial
Statements:
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Report
of Independent Registered Public Accounting Firm
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5
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Statements
of Net Assets Available for Benefits,
December
31, 2004 and 2003
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6
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Statement
of Changes in Net Assets Available for Benefits for the Year Ended
December
31, 2004
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7
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Notes
to Financial Statements
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8-10
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Supplemental
Schedule:
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Schedule
of Assets Held for Investment Purposes at End of Year,
December
31, 2004
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12
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Signatures
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13
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Exhibit
Index
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14
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Exhibit
No.
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Description
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23
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Consent
of Independent Registered Public Accounting Firm
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M/I
Homes, Inc. 401(k) Profit Sharing Plan
Financial
Statements As of December 31, 2004 and 2003
and
for the Year Ended December 31, 2004,
Supplemental
Schedule as of December 31, 2004 and
Report
of Independent Registered Public Accounting
Firm
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Page
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REPORT
OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM
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5
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FINANCIAL
STATEMENTS:
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Statements
of Net Assets Available for Benefits, December 31, 2004 and
2003
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6
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Statement
of Changes in Net Assets Available for Benefits for the Year Ended
December 31, 2004
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7
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Notes
to Financial Statements
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8-10
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SUPPLEMENTAL
SCHEDULE:
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||
Form
5500, Schedule H, Part IV, Line 4i—Schedule of Assets Held for Investment
Purposes at End of Year,
December
31, 2004
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12
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M/I
HOMES, INC.
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|||||
401(k)
PROFIT SHARING PLAN
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|||||
STATEMENTS
OF NET ASSETS AVAILABLE FOR BENEFITS,
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|||||
DECEMBER
31, 2004 AND 2003
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|||||
2004
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2003
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||||
ASSETS:
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|||||
Cash
and Cash Equivalents
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$
18,954
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$
14,858
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|||
Investments:
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|||||
Collective
Investment Trust-
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|||||
SEI
Stable Asset Fund
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5,808,586
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4,962,816
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|||
Mutual
Funds:
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|||||
The
One Group Equity Index Fund
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6,593,585
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5,947,211
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|||
The
One Group Mid-Cap Growth Fund
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6,892,511
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5,862,447
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|||
American
Advantage International Equity Fund
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2,945,853
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2,115,132
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|||
Standish
Fixed Income Fund
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2,946,969
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2,692,026
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|||
Morgan
Stanley Institutional Fund Trust Mid-Cap Value Fund
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- | 3,115 | |||
Harbor
Capital Appreciation Fund
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1,651,343
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1,257,113
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|||
J.P.
Morgan Mid-Cap Value Fund Select
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2,283,347
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1,576,100
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Dodge
& Cox Common Stock Fund
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6,200,570
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4,742,859
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Total
mutual funds
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29,514,178
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24,196,003
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|||
M/I
Homes, Inc. common shares
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1,195,942
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797,557
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Participant
loans - interest at 5.0% to 10.5%
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1,127,501
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861,426
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Total
investments
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37,646,207
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30,817,802
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Receivables:
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|||||
Contribution
receivable from Plan sponsor
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2,250,000
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2,050,000
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Dividend
income receivable
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48,250
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37,228
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Interest
income receivable
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67,193
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-
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|||
Unsettled
trades - sales
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23,921
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-
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Total
receivables
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2,389,364
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2,087,228
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TOTAL
ASSETS
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40,054,525
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32,919,888
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LIABILITIES:
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Unsettled
trades - purchases
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115,001
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-
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TOTAL
LIABILITIES
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115,001
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-
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NET
ASSETS AVAILABLE FOR PLAN BENEFITS
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$39,939,524
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$32,919,888
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See
notes to financial statements.
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M/I
HOMES, INC.
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||||||||||
401(k)
PROFIT SHARING PLAN
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||||||||||
STATEMENT
OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS
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FOR
THE YEAR ENDED DECEMBER 31, 2004
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Investment
Income:
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Net
appreciation in fair value of investments
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$
3,391,321
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Interest
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306,182
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Dividends
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494,957
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Contributions:
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From
participants
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3,058,008
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From
Plan sponsor
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2,250,000
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Net
additions
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9,500,468
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Distributions
to participants
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(2,480,832
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)
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NET
INCREASE IN NET ASSETS AVAILABLE FOR BENEFITS
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7,019,636
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NET
ASSETS AVAILABLE FOR BENEFITS - Beginning of year
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32,919,888
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|||||||||
NET
ASSETS AVAILABLE FOR BENEFITS - End of year
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$39,939,524
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See
notes to financial statements.
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1.
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SUMMARY
OF SIGNIFICANT ACCOUNTING
POLICIES
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2.
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PLAN
DESCRIPTION
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3.
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INVESTMENTS
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2004
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2003
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SEI
Stable Asset Fund
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$5,808,586
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$4,962,816
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The
One Group Equity Index Fund
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6,593,585
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5,947,211
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|||
The
One Group Mid-Cap Growth Fund
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6,892,511
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5,862,447
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|||
American
Advantage International Equity Fund
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2,945,853
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2,115,132
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|||
Standish
Fixed Income Fund
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2,946,969
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2,692,026
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|||
J.P.
Morgan Mid-Cap Value Fund Select
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2,283,347
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-
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Dodge
& Cox Common Stock Fund
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6,200,570
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4,742,859
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4.
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NET
APPRECIATION IN FAIR VALUE OF
INVESTMENTS
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Mutual
Funds:
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SEI
Stable Asset Fund
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$
-
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The
One Group Equity Index Fund
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527,232
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The
One Group Mid-Cap Growth Fund
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803,542
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American
Advantage International Equity Fund
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516,053
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Standish
Fixed Income Fund
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(3,171
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)
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Morgan
Stanley Institutional Fund Trust Mid-Cap Value Fund
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27
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Harbor
Capital Appreciation Fund
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130,729
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J.P.
Morgan Mid-Cap Value Fund Select
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328,076
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Dodge
& Cox Common Stock Fund
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750,377
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Total
mutual funds
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3,052,865
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M/I
Homes, Inc. common shares
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338,456
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Total
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$3,391,321
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5.
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INVESTMENT
CONTRACT VALUATION
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M/I
HOMES, INC.
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||||
401(k)
PROFIT SHARING PLAN
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||||
FORM
5500, SCHEDULE H, PART IV, LINE 4i -
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SCHEDULE
OF ASSETS HELD FOR INVESTMENT PURPOSES AT END OF YEAR
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||||
DECEMBER
31, 2004
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Number of
Shares/
Face Value
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Market
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|||
Collective
Investment Trust-
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||||
SEI
Stable Asset Fund
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5,808,586
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$
5,808,586
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Mutual
Funds:
|
||||
The
One Group Equity Index Fund
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238,985
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6,593,585
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The
One Group Mid-Cap Growth Fund
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286,591
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6,892,511
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American
Advantage International Equity Fund
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145,402
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2,945,853
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Standish
Fixed Income Fund
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146,835
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2,946,969
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Harbor
Capital Appreciation Fund
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57,598
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1,651,343
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J.P.
Morgan Mid-Cap Value Fund Select
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102,946
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2,283,347
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Dodge
& Cox Common Stock Fund
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47,616
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6,200,570
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Total
mutual funds
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29,514,178
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|||
M/I
Homes, Inc. common shares
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21,701
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1,195,942
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Participant
loans - interest at 5.0% to 10.5%
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$1,127,501
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1,127,501
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TOTAL
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$37,646,207
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Exhibit
No.
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Description
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23
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Independent
Registered Public Accounting Firm’s Consent
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