-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, H1ID0WhQ6mFDqa8xBgkG4d9983RjivDeImKxmhoBMS1R/XpFHf9+g6KkbNcfeduh g1pKUJ+ssfGel67Ozn440g== 0000950144-01-504102.txt : 20010702 0000950144-01-504102.hdr.sgml : 20010702 ACCESSION NUMBER: 0000950144-01-504102 CONFORMED SUBMISSION TYPE: 11-K PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20001231 FILED AS OF DATE: 20010629 FILER: COMPANY DATA: COMPANY CONFORMED NAME: KFORCE COM INC CENTRAL INDEX KEY: 0000930420 STANDARD INDUSTRIAL CLASSIFICATION: SERVICES-HELP SUPPLY SERVICES [7363] IRS NUMBER: 593264661 STATE OF INCORPORATION: FL FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 11-K SEC ACT: SEC FILE NUMBER: 000-26058 FILM NUMBER: 1671609 BUSINESS ADDRESS: STREET 1: 120 W HYDE PARK PL STREET 2: SUITE 150 CITY: TAMPA STATE: FL ZIP: 33606 BUSINESS PHONE: 8132297600 MAIL ADDRESS: STREET 1: 120 W HYDE PARK PLACE STREET 2: SUITE 150 CITY: TAMPA STATE: FL ZIP: 33606 FORMER COMPANY: FORMER CONFORMED NAME: ROMAC INTERNATIONAL INC DATE OF NAME CHANGE: 19950502 11-K 1 g70295e11-k.txt KFORCE, INC. 1 =============================================================================== SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM 11-K (Mark One) [X] ANNUAL REPORT PURSUANT TO SECTION 15 (d) OF THE SECURITIES EXCHANGE ACT OF 1934 For the fiscal year ended DECEMBER 31, 2000 OR [ ] TRANSITION REPORT PURSUANT TO SECTION 15 (d) OF THE SECURITIES EXCHANGE ACT OF 1934 For the transition period from ______________ to _______________ Commission file number 0-26058 A. Full title of the plan and the address of the plan, if different from that of the issuer named below: KFORCE.COM, INC. 401(k) RETIREMENT SAVINGS PLAN 120 WEST HYDE PARK PLACE TAMPA, FL 33606 B. Name of issuer of the securities held pursuant to the plan and the address of its principal executive office: KFORCE INC. 120 WEST HYDE PARK PLACE TAMPA, FL 33606 =============================================================================== 2 KFORCE.COM, INC. 401(K) RETIREMENT SAVINGS PLAN TABLE OF CONTENTS - -------------------------------------------------------------------------------
PAGE INDEPENDENT AUDITORS' REPORTS 3 FINANCIAL STATEMENTS: Statements of Net Assets Available for Benefits as of December 31, 2000 and 1999 5 Statement of Changes in Net Assets Available for Benefits for the Year Ended December 31, 2000 6 Notes to Financial Statements 7 SUPPLEMENTAL SCHEDULE: Form 5500, Schedule H, Part IV, Line 4i - Assets Held for Investment Purposes as of December 31, 2000 12
Schedules not filed herewith are omitted because of the absence of conditions under which they are required. 2 3 INDEPENDENT AUDITORS' REPORT To the Participants and Administrator of kforce.com, Inc. 401(k) Retirement Savings Plan f/k/a Romac International, Inc. 401(k) Retirement Savings Plan: We have audited the accompanying statement of net assets available for benefits of the kforce.com, Inc. 401(k) Retirement Savings Plan (the "Plan") as of December 31, 2000, and the related statement of changes in net assets available for benefits for the year ended December 31, 2000. These financial statements are the responsibility of the Plan's management. Our responsibility is to express an opinion on these financial statements based on our audit. We conducted our audit in accordance with auditing standards generally accepted in the United States of America. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements. An audit also includes assessing the accounting principles used and significant estimates made by management, as well as evaluating the overall financial statement presentation. We believe that our audit provides a reasonable basis for our opinion. In our opinion, such financial statements present fairly, in all material respects, the net assets available for benefits of the Plan as of December 31, 2000, and the changes in net assets available for benefits for the year then ended, in conformity with accounting principles generally accepted in the United States of America. Our audit was conducted for the purpose of forming an opinion on the basic 2000 financial statements taken as a whole. The supplemental schedule of Assets Held for Investment Purposes as of December 31, 2000 is presented for the purpose of additional analysis and is not a required part of the basic financial statements, but is supplementary information required by the Department of Labor's Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. The supplemental schedule is the responsibility of the Plan's management. Such supplemental schedule has been subjected to the auditing procedures applied in the audit of the basic 2000 financial statements and, in our opinion, is fairly stated in all material respects in relation to the basic financial statements taken as a whole. Deloitte & Touche LLP Certified Public Accountants Tampa, Florida May 31, 2001 3 4 Report of Independent Certified Public Accountants To the Participants and Administrator of Romac International, Inc. 401(k) Retirement Savings Plan In our opinion, the accompanying statement of net assets available for benefits presents fairly, in all material respects, the net assets available for benefits of Romac International, Inc. 401(k) Retirement Saving Plan (the "Plan") at December 31, 1999 in conformity with accounting principles generally accepted in the United States of America. These financial statements are the responsibility of the Plan's management; our responsibility is to express an opinion on these financial statements based on our audit. We conducted our audit of these statements in accordance with auditing standards generally accepted in the United States of America, which require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audit provides a reasonable basis for our opinion. /s/ PricewaterhouseCoopers LLP PricewaterhouseCoopers LLP Tampa, Florida June 28, 2000 4 5 KFORCE.COM, INC. 401(K) RETIREMENT SAVINGS PLAN STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS DECEMBER 31, 2000 AND 1999 - -------------------------------------------------------------------------------
2000 1999 INVESTMENTS - At fair value (including $717,879 and $593,704 of participant loans at December 31, 2000 and 1999, respectively) $66,635,438 $84,624,201 ----------- ----------- RECEIVABLES: Employer contributions 874,170 885,619 Employee contributions 286,181 193,778 Accrued interest and dividends 16,104 22,172 ----------- ----------- Total receivables 1,176,455 1,101,569 ----------- ----------- CASH AND CASH EQUIVALENTS 68,467 72,803 ----------- ----------- NET ASSETS AVAILABLE FOR BENEFITS $67,880,360 $85,798,573 =========== ===========
The accompanying notes are an integral part of these financial statements. -5- 6 KFORCE.COM, INC. 401(K) RETIREMENT SAVINGS PLAN STATEMENT OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS YEAR ENDED DECEMBER 31, 2000 - ------------------------------------------------------------------------------- ADDITIONS TO NET ASSETS ATTRIBUTED TO: Investment income: Interest and dividends $ 4,629,893 Loan interest 55,467 ------------ 4,685,360 ------------ Contributions: Participant 11,893,692 Employer 900,957 Rollovers from other qualified plans 2,232,418 Other 20,731 ------------ Total contributions 15,047,798 ------------ Total additions 19,733,158 ------------ DEDUCTIONS FROM NET ASSETS ATTRIBUTED TO: Net depreciation in fair value of investments 18,111,582 Benefits paid to participants 19,520,335 Administrative expenses 19,454 ------------ Total deductions 37,651,371 ------------ NET DECREASE (17,918,213) NET ASSETS AVAILABLE FOR BENEFITS, BEGINNING OF YEAR 85,798,573 ------------ NET ASSETS AVAILABLE FOR BENEFITS, END OF YEAR $ 67,880,360 ============
The accompanying notes are an integral part of these financial statements. -6- 7 KFORCE.COM, INC. 401(K) RETIREMENT SAVINGS PLAN NOTES TO FINANCIAL STATEMENTS - ------------------------------------------------------------------------------- 1. DESCRIPTION OF THE PLAN Effective April 20, 1998, the sponsor of the Romac International, Inc. Employees' 401(k) Retirement Savings Plan (the "Romac Plan"), Romac International, Inc. ("Romac"), consummated a merger with Source Services Corporation ("Source"), with Romac being the surviving entity. Effective July 1, 1998, the Romac Plan was merged into the Source Services Corporation 401(k) and Profit Sharing Retirement Plan (the "Source Plan") which was amended and restated and renamed the Romac International, Inc. 401(k) Retirement Savings Plan (the "Romac Plan"). Effective July 1, 1997, Romac consummated a merger with UQ Solutions, Inc. ("UQ"), with Romac again being the surviving entity. Effective July 1, 1999, the UQ 401(k) Plan (the "UQ Plan") was merged into the Romac Plan. The Romac Plan was amended to accommodate such merger. Subsequent to this date, there was no activity in the UQ Plan except for an asset transfer in the amount of $1,360,361 on July 29, 1999. During the year ended 2000, the Plan sponsor changed its name to kforce.com, Inc. (the "Company") and the Romac Plan's name was changed to kforce.com, Inc. 401(k) Retirement Savings Plan (the "Plan"). The following description of the Plan is provided for general information purposes. Participants should refer to the Plan agreement for a more complete description of the Plan provisions. The Plan is subject to the provisions of the Employee Retirement Income Security Act of 1974. GENERAL - The Plan is a defined contribution plan covering substantially all full-time employees, except those subject to a collective bargaining agreement. The Plan is administered by the Company. Merrill Lynch Trust Company (the "Trustee") is the trustee and record keeper of the Plan. ELIGIBILITY - All employees are eligible to participate in the Plan with the exception of the following: - Employees who are covered by a collective bargaining agreement that does not provide for participation in the Plan. - Employees who are non-resident aliens with no U.S. source earned income. - Individuals who are performing service as independent contractors or consultants regardless of whether they are subsequently determined to be common law employees. - Employees who are not on the U.S. payroll. CONTRIBUTIONS - Participants may contribute up to 15% of their compensation for the year. Company matching and profit sharing contributions are made at the discretion of the Board of Directors in amounts not to exceed the maximum permitted as a deductible expense by the Internal Revenue Code (the "Code"). Company contributions, if any, are funded annually to eligible participants remaining in the Plan at each year-end. Eligible participants are employees who have completed at least 1000 hours as of the last day of the Plan year, or who have terminated employment because of death, or total -7- 8 disability or after reaching age 55. The Company made matching contributions in the form of Company common stock equal to 10% of participant contributions for the periods to all participants eligible for matching and still employed at December 31, 2000 and 1999, respectively. There were no profit sharing contributions to the Plan for the year ended December 31, 2000. All contributions to the Plan are deposited with the Trustee. Contributions are then directed at the employee's discretion into the investment options described below. Investment elections may be changed by the employee at any time. - Merrill Lynch Retirement Preservation Trust - A collective trust maintained by Merrill Lynch that seeks to provide preservation of participant's investments, liquidity, and current income that is typically higher than money market funds. The fund invests primarily in a broadly-diversified portfolio of Guaranteed Investment Contracts and in obligations of U.S government and U.S. government agency securities. - MFS Total Return Fund - A fund which seeks above-average income growth consistent with the prudent employment of capital and may invest up to 20% of its total assets in high-yield securities, as well as 20% of its total assets in foreign and emerging market securities. - Alliance Growth and Income Fund - A fund which seeks income and capital appreciation by investing primarily in dividend-paying common stock of high quality companies. - Alliance Quasar Fund - A fund which seeks growth of capital by investing principally in equity securities issued by predominantly small companies within any industry which fund management believes has capital appreciation potential. - Templeton Foreign Fund - A fund which seeks long term capital growth by investing primarily in stocks and debt obligations of companies and governments outside the United States. - Merrill Lynch Small Cap Value Fund, formerly the Merrill Lynch Special Value Fund - A fund which seeks long-term growth of capital by emphasizing securities of relatively small-market capitalization companies, as well as emerging growth companies, that fund management believe have special investment value, regardless of size. - Merrill Lynch Corporate Bond Fund - A fund which seeks capital appreciation by investing primarily in investment grade corporate fixed-income securities with a maximum remaining maturity of 10 years. - PIMCO Total Return Fund - A fund which seeks to maximize total return, consistent with preservation of capital and prudent investment management. Under normal circumstances, the fund invests at least 65% of its assets in a diversified portfolio of fixed-income securities of varying maturities. - Merrill Lynch Equity Index Trust - A trust which seeks to replicate the total return of the Standard & Poor's 500 Composite Stock Price Index (S&P 500(R) Index). This index is a means to measure the performance of a broad base of large U.S. corporations. The trust invests primarily in a portfolio of equity securities (stocks) designed to substantially equal or "match" the performance of this index, before expenses. - Pioneer Growth Shares A Fund - A fund which seeks capital appreciation; current income is incidental. The fund invests primarily in equities. -8- 9 - Self-Directed Fund - An investment option permitting participants to invest in investments other than those listed above (including investments in common stocks, money market funds and mutual funds). - kforce.com, Inc. Common Stock - An investment option permitting participants to invest in Company common stock. PARTICIPANT ACCOUNTS - Each participant's account is self-directed and is credited with the participant's contributions, the Company's matching contribution, an allocation of profit sharing contributions made by the Company, and Plan earnings. The benefit to which a participant is entitled is the benefit that can be provided from the participant's vested account. The participant's account balance is reduced for any participant withdrawals, participant loans, and applicable expenses. ROLLOVERS - All employees who to meet the Plan eligibility requirements are eligible to make cash rollover contributions to the Plan from a previous employer's qualified retirement plan or a conduit IRA. VESTING - Participants are immediately vested in their contributions and profit sharing contributions made prior to June 30, 1998 plus actual earnings thereon. Company contributions and earnings vest at 10%, 30%, and 60% after 2, 3, and 4 years of vesting service, respectively. Company contributions become 100% vested upon: - Normal retirement - Total disability - Death - Completion of five years of vesting service - Plan termination IN-SERVICE WITHDRAWALS - Participants may request the following types of in-service withdrawals from the Plan during any given calendar month: - Age 59 1/2 - Financial hardship - Withdrawals from profit sharing account PLAN TERMINATION - Although it has not expressed any intent to do so, the Company has the right under the Plan to discontinue its contributions at any time and to terminate the Plan subject to the provisions of ERISA. In the event of Plan termination, participants will become 100% vested in their accounts and the trust shall continue until all Participants' accounts have been completely distributed to each Participant (or their designated beneficiary) in accordance with the Plan. LOANS - Participants may borrow money from their vested account balance for any reason. The maximum amount available for loans is the lesser of $50,000 reduced by the participant's highest loan balance outstanding in the twelve months prior to the date of the loan or 50% of the participant's vested account balance. The minimum amount for a loan is $1,000. Loan repayments must have a definite repayment period not to exceed five years unless the loan is for the purchase of a principal residence, in which case the repayment period must not exceed 15 years. Participant loans, including interest thereon, are taxable to the participant upon default, as well as subject to applicable excise penalties. The loans are collateralized by the balance in the participant's account and bear interest at any reasonable rate. -9- 10 PAYMENT OF BENEFITS - On termination of service, a participant may elect an immediate single-sum payment. Additionally, participants of the Plan who were initially participants of the Romac Plan, and the UQ Plan prior to the merger, who have accounts greater than $5,000, may elect to receive equal installments over a period not to exceed the participant's (or participant's beneficiary's) life expectancy determined at the time of distribution. An immediate distribution from the Plan is made and the annuity is established with an outside third party. At December 31, 2000, there were approximately $59,000 in distribution payments that were processed and approved for payment by the Plan, but not yet paid to participants. At December 31, 1999, there were no distribution payments that were processed and approved for payment by the Plan, but not yet paid to participants. FORFEITED ACCOUNTS - Nonvested balances resulting from Company contributions will be forfeited upon the date the participant incurs five consecutive one-year breaks in service. A one-year break in service is any year a participant has less than 500 hours. For terminated employees who receive a distribution but who are re-employed during the five consecutive years following termination, the forfeiture amount shall be restored to the participant's account if the participant pays back the full amount of the distribution within five years of the re-employment date. Forfeited balances will be used first to fund any restorations and then to offset future Company matching contributions. Any remaining forfeitures shall be credited to a suspense account to be used for future restorations and to offset future Company matching contributions. For the year ended December 31, 2000, Company matching contributions were reduced by $0, from forfeited nonvested accounts. Additionally, no restorations were made out of forfeited funds for the year ended December 31, 2000. The suspense account is maintained in the Merrill Lynch Retirement Preservation Trust. Forfeited funds in the suspense account at December 31, 2000 and 1999 were $461,348 and $188,611, respectively. 2. SUMMARY OF ACCOUNTING POLICIES BASIS OF ACCOUNTING - The Plan's financial statements are prepared in accordance with accounting principles generally accepted in the United States of America, except for benefit payments that are reported on a cash basis, in accordance with guidelines of the American Institute of Certified Public Accountants. USE OF ESTIMATES - The preparation of the financial statements in conformity with accounting principles generally accepted in the United States of America requires the use of estimates and assumptions that affect the reported amounts of net assets available for benefits and the related changes in the net assets available for benefits. Actual results could differ from those estimates. VALUATION OF INVESTMENTS - The Plan's investments are stated at fair value, based on quoted market prices. Shares of mutual funds are valued at the net asset value of shares held by the Plan at year-end. Loans are carried at cost which approximates market value. CONTRIBUTIONS - Employee contributions are recorded when salary or bonus is earned. Company contributions are recorded when authorized. Purchases and sales of securities are recorded on a trade-date basis. PAYMENT OF BENEFITS - Benefits are recorded when paid. -10- 11 EXPENSES OF PLAN - Certain expenses incurred in the administration of the Plan are paid by the Plan. The Company pays a portion of the expenses for services necessary for the administration of the Plan. ACCOUNTING PRONOUNCEMENTS - In June 1998 the Financial Accounting Standards Board issued Statement of Financial Accounting Standards ("SFAS") No. 133, Accounting for Derivative Instruments and Hedging Activities (SFAS No. 133). In June 2000, the FASB issued SFAS No. 138, Accounting for Certain Derivative Instruments and Hedging Activities, an amendment of SFAS No. 133, which amends certain provisions of SFAS No. 133 and provides additional guidance. The Plan will adopt SFAS No. 133, as amended, as of January 1, 2001. Management has determined that the impact of SFAS No. 133, as amended, will not be material to the Plan's financial statements. 3. TAX STATUS The Plan obtained its latest favorable determination letter dated June 8, 1999, in which the Internal Revenue Service stated that the Plan, as then designed, was in compliance with the applicable requirements of the Internal Revenue Code. The Plan has been amended since receiving the determination letter. However, the Company believes that the Plan is currently designed and being operated in compliance with the applicable requirements of the Internal Revenue Code. Therefore, the Company believes that the Plan was qualified and the related trust was tax exempt as of the financial statement dates. 4. PARTY-IN-INTEREST TRANSACTIONS Plan investments include shares of a collective trust and mutual funds managed by the Trustee and, therefore, these transactions qualify as party-in-interest. Fees paid by the Plan for the investment management services amounted to approximately $19,000 and $6,000 for the years ended December 31, 2000 and 1999, respectively. 5. INVESTMENTS The following presents investments, at fair value, that represent 5% or more of the Plan's net assets as of December 31, 2000 and 1999:
DECEMBER 31, ------------------------------ DESCRIPTION OF INVESTMENT 2000 1999 Merrill Lynch Small Cap Value Fund $ 6,990,622 $ 5,597,546 Merrill Lynch Retirement Preservation Trust 7,475,054 10,164,968 Alliance Growth and Income Fund 21,850,986 21,427,640 Templeton Foreign Fund 7,372,017 7,835,254 kforce.com, Inc. common stock 4,945,380 23,813,553 MFS Total Return Fund 3,952,225 3,792,846
The Plan's investments, including gains and losses on investments purchased, sold and held during the year, appreciated (depreciated) in value as follows:
YEAR ENDED DECEMBER 31, 2000 Mutual funds $ (26,585) kforce.com, Inc. common stock (20,776,513) Common stock investments 2,691,516 ------------ $(18,111,582) ============
****** -11- 12 KFORCE.COM, INC. 401(K) RETIREMENT SAVINGS PLAN FORM 5500, SCHEDULE H, PART IV, LINE 4I ASSETS HELD FOR INVESTMENT PURPOSES AS OF DECEMBER 31, 2000 - -------------------------------------------------------------------------------
IDENTITY OF PARTY INVOLVED DESCRIPTION OF ASSET CURRENT VALUE kforce.com, Inc. Common Stock $ 4,945,380 Merrill Lynch Equity Index Trust 1* Collective Trust 2,068,747 Merrill Lynch Retirement Preservation Trust* Collective Trust 7,475,054 Pioneer Growth Shares Fund Mutual Fund 576,051 Pimco Total Return Fund Mutual Fund 2,104,504 MFS Total Return Fund Mutual Fund 3,952,225 Alliance Growth And Income Fund Mutual Fund 21,850,986 Alliance Quasar Fund Mutual Fund 1,644,280 Templeton Foreign Fund Mutual Fund 7,372,017 Merrill Lynch Small Cap Value Fund* Mutual Fund 6,990,622 Participant Loans* 717,879 NEWPOWER HOLDINGS INC Self Directed Equity Investment 440 Priceline Com Inc Self Directed Equity Investment 109 Barnesandnoble.Com Inc Self Directed Equity Investment 111 BUY.COM INC Self Directed Equity Investment 117 Rhythms Netconnections Self Directed Equity Investment 119 Gnl Datacomm Indust Inc Self Directed Equity Investment 122 Century Business Svcs Self Directed Equity Investment 123 Momentum B Applicatns Self Directed Equity Investment 123 HARMONIC INC Self Directed Equity Investment 139 Amn Pwr Conversion Corp Self Directed Equity Investment 142 AVAYA INC DELAWARE Self Directed Equity Investment 147 CLIPCLOP.COM ENTERPRISES Self Directed Equity Investment 154 AT&T CORP WIRELESS GROUP Self Directed Equity Investment 159 TALK VISUAL CORP Self Directed Equity Investment 165 TERAYON COMM SYSTS Self Directed Equity Investment 175 Wind River Systems Inc Self Directed Equity Investment 191 C Cor Electronics 10 Self Directed Equity Investment 227 ITXC.CORP Self Directed Equity Investment 228 Perot Systems Cp Del Com Self Directed Equity Investment 232 GRIC COMMUNICATIONS INC Self Directed Equity Investment 246 Symantec Corp Com Self Directed Equity Investment 250 Circuit City Stores Inc- Self Directed Equity Investment 259 RF MONOLITHICS INC Self Directed Equity Investment 261 Cendant Corp Self Directed Equity Investment 273 VICINITY CORP Self Directed Equity Investment 279 Real Networks Inc Self Directed Equity Investment 296 NEW ERA OF NETWORKS INC Self Directed Equity Investment 299 SWITCHBOARD INC Self Directed Equity Investment 300 ASIA WEB HLDGS INC DEL Self Directed Equity Investment 331 IMAGING DIAGNOSTIC SYS Self Directed Equity Investment 341 FLAG TELECOM HOLDGS LMTD Self Directed Equity Investment 352
(Continued) -12- 13 KFORCE.COM, INC. 401(K) RETIREMENT SAVINGS PLAN FORM 5500, SCHEDULE H, PART IV, LINE 4I ASSETS HELD FOR INVESTMENT PURPOSES AS OF DECEMBER 31, 2000 - -------------------------------------------------------------------------------
IDENTITY OF PARTY INVOLVED DESCRIPTION OF ASSET CURRENT VALUE Sonic Automotive Inc A Self Directed Equity Investment 356 Teradyne Inc Self Directed Equity Investment 368 CRAFTMADE INTL INC Self Directed Equity Investment 376 BROOKTROUT INC Self Directed Equity Investment 378 Immune Response Corp Del Self Directed Equity Investment 382 PINNACLE HOLDINGS INC Self Directed Equity Investment 392 Charles Schwab Corp Self Directed Equity Investment 414 VERISIGN INC Self Directed Equity Investment 419 Comcast Corp Self Directed Equity Investment 433 BINDVIEW DEVELOPMENT CRP Self Directed Equity Investment 462 MARRIOTT INTL INC Self Directed Equity Investment 471 Samsonite Corp Self Directed Equity Investment 476 Exodus Communications Inc Self Directed Equity Investment 480 Comdisco Inc Self Directed Equity Investment 482 NVIDIA Self Directed Equity Investment 486 Bio Technology Gen Corp Self Directed Equity Investment 486 PRIMUS TELECOM GP INC Self Directed Equity Investment 499 SONICBLUE INC Self Directed Equity Investment 499 ION NETWORKS INC Self Directed Equity Investment 544 HEALTH GRADES INC Self Directed Equity Investment 544 Medtronic Inc Self Directed Equity Investment 555 Computer Science Corp Self Directed Equity Investment 581 Intelidata Technologies Self Directed Equity Investment 592 Aes Corp Self Directed Equity Investment 601 MCDATA CORP DEL Self Directed Equity Investment 615 Microchip Technology Inc Self Directed Equity Investment 617 Allied Waste Inds Self Directed Equity Investment 621 Kulick E & Soffa Indust Self Directed Equity Investment 621 WELLS FARGO & CO NEW DEL Self Directed Equity Investment 624 HTE INC Self Directed Equity Investment 632 PUMATECH INC Self Directed Equity Investment 637 CRYPTOLOGIC INC Self Directed Equity Investment 641 STARNET COMM INTL Self Directed Equity Investment 655 Illinois Tool Works Inc Self Directed Equity Investment 673 Internet Cap Group Inc Self Directed Equity Investment 699 NEXTERA ENTERPRISES Self Directed Equity Investment 714 Metromedia Fib Netwk A Self Directed Equity Investment 729 EFFICIENT NETWORKS INC Self Directed Equity Investment 744 California Amplifier Inc Self Directed Equity Investment 769 EXCHANGE APPLICATNS INC Self Directed Equity Investment 771 Immunex Corp New Self Directed Equity Investment 801 AMPAL AMER ISRL Self Directed Equity Investment 822 Calpine Corp Self Directed Equity Investment 843 EFFICIENT NETWORKS INC Self Directed Equity Investment 854 Xerox Corp Self Directed Equity Investment 855
(Continued) -13- 14 KFORCE.COM, INC. 401(K) RETIREMENT SAVINGS PLAN FORM 5500, SCHEDULE H, PART IV, LINE 4I ASSETS HELD FOR INVESTMENT PURPOSES AS OF DECEMBER 31, 2000 - -------------------------------------------------------------------------------
IDENTITY OF PARTY INVOLVED DESCRIPTION OF ASSET CURRENT VALUE XCELERA INC Self Directed Equity Investment 858 Concord E F S Inc Self Directed Equity Investment 885 Extended Stay America Self Directed Equity Investment 887 Key Energy Group Inc Self Directed Equity Investment 901 Lockheed Martin Corp Self Directed Equity Investment 905 ASPEON INC Self Directed Equity Investment 913 Sandisk Corp Inc Self Directed Equity Investment 918 Vertel Corp Self Directed Equity Investment 920 Pepsico Inc Self Directed Equity Investment 932 Furniture Brands Intl Self Directed Equity Investment 948 SEEBEYOND TECHNOLOGY CORP Self Directed Equity Investment 997 DIGITAL LIGHTWAVE INC Self Directed Equity Investment 1,009 ISOMET CORP Self Directed Equity Investment 1,079 Legato Systems Inc Self Directed Equity Investment 1,111 Lowes Companies Inc Self Directed Equity Investment 1,115 I SHARES TR DJ US INT Self Directed Equity Investment 1,126 ECHELON CORPORATION Self Directed Equity Investment 1,139 Verticalnet Inc Self Directed Equity Investment 1,141 Internet Cap Group Inc Self Directed Equity Investment 1,165 Lsi Logic Corp Self Directed Equity Investment 1,194 Automatic Data Proc Self Directed Equity Investment 1,195 Inktomi Corp Self Directed Equity Investment 1,224 RATEXCHANGE CORP Self Directed Equity Investment 1,229 PFSWEB INC Self Directed Equity Investment 1,230 Royal Dutch Pete Nlg 1.25 Self Directed Equity Investment 1,252 COMMERCE ONE INC Self Directed Equity Investment 1,261 JMAR TECHS Self Directed Equity Investment 1,279 ATLANTIC TECHNLGY VENTRS Self Directed Equity Investment 1,282 BRIO TECHNOLOGY INC Self Directed Equity Investment 1,294 Clear Channel Communications Self Directed Equity Investment 1,298 Act Manufacturing Inc Self Directed Equity Investment 1,314 Red Hat Inc Self Directed Equity Investment 1,386 Pmc Sierra Inc. Self Directed Equity Investment 1,416 At Home Corp Self Directed Equity Investment 1,454 KOPIN CORP Self Directed Equity Investment 1,483 TWEETER HOME ENTERTAINMENT GROUP Self Directed Equity Investment 1,486 Conexant Sys Inc Self Directed Equity Investment 1,510 I SHARES T DJ US HLTHCR Self Directed Equity Investment 1,577 AMR Corp Self Directed Equity Investment 1,599 AKAMAI TECHNOLOGIES INC Self Directed Equity Investment 1,600 CYMER INC Self Directed Equity Investment 1,605 K Mart Corp Self Directed Equity Investment 1,646 BANK OF AMERICA CORP Self Directed Equity Investment 1,665 E Trade Group Inc Self Directed Equity Investment 1,666 AXS-ONE INC Self Directed Equity Investment 1,677
(Continued) -14- 15 KFORCE.COM, INC. 401(K) RETIREMENT SAVINGS PLAN FORM 5500, SCHEDULE H, PART IV, LINE 4I ASSETS HELD FOR INVESTMENT PURPOSES AS OF DECEMBER 31, 2000 - -------------------------------------------------------------------------------
IDENTITY OF PARTY INVOLVED DESCRIPTION OF ASSET CURRENT VALUE ASYST TECH INC Self Directed Equity Investment 1,722 SBC Communications Inc Self Directed Equity Investment 1,805 SYCAMORE NETWORKS INC Self Directed Equity Investment 1,817 Cypress Semiconductor Self Directed Equity Investment 1,826 MRV Communications Inc Self Directed Equity Investment 1,829 Lucent Technologies Inc Self Directed Equity Investment 1,836 CORVIS CORP DELAWARE Self Directed Equity Investment 1,847 Barnes & Noble Inc Self Directed Equity Investment 1,865 Celgene Corp Self Directed Equity Investment 1,911 American Home Products Self Directed Equity Investment 1,948 Natl. Semiconductor Self Directed Equity Investment 1,948 GATEWAY INC Self Directed Equity Investment 2,041 Rite Aid Corporation Self Directed Equity Investment 2,050 Veeco Instruments Inc Self Directed Equity Investment 2,076 Key Production Inc Self Directed Equity Investment 2,086 L-3 Communications Holding Self Directed Equity Investment 2,100 Kemet Corp Self Directed Equity Investment 2,108 Cabletron Systems Inc Self Directed Equity Investment 2,108 GENAISSANCE PHARMCEUTCLS Self Directed Equity Investment 2,137 Ciena Corp Self Directed Equity Investment 2,168 Chiron Corp Self Directed Equity Investment 2,194 Coca Cola Com Self Directed Equity Investment 2,392 UNIVERSAL DISPLAY CORP Self Directed Equity Investment 2,413 Network Appliance Inc Self Directed Equity Investment 2,421 BEA SYSTEMS INC Self Directed Equity Investment 2,506 Broadvision Inc Self Directed Equity Investment 2,548 Storage Technology Corp Self Directed Equity Investment 2,588 Morgan Stanley Dean Witter Self Directed Equity Investment 2,680 American Intl Group Inc Self Directed Equity Investment 2,684 ARIBA INC Self Directed Equity Investment 2,791 AVAYA INC DELAWARE Self Directed Equity Investment 2,835 STRATOS LIGHTWAVE INC Self Directed Equity Investment 2,879 LIGHTPATH TECH Self Directed Equity Investment 2,895 Standard & Poors Dep Rcpts Self Directed Equity Investment 2,931 Rational Software Self Directed Equity Investment 2,939 COSTCO WHOLESALE CORP Self Directed Equity Investment 2,957 PHARMACIA CORP Self Directed Equity Investment 2,993 Gap Inc Delaware Self Directed Equity Investment 2,993 Amazon Com Inc Self Directed Equity Investment 3,007 ENGAGE INC Self Directed Equity Investment 3,054 Qwest Comm Intl Inc Self Directed Equity Investment 3,253 Royal Caribbean Cruises Self Directed Equity Investment 3,339 EARTHLINK INC Self Directed Equity Investment 3,390 Sprint Corp Self Directed Equity Investment 3,408 Safeguard Scientific Self Directed Equity Investment 3,417
(Continued) -15- 16 KFORCE.COM, INC. 401(K) RETIREMENT SAVINGS PLAN FORM 5500, SCHEDULE H, PART IV, LINE 4I ASSETS HELD FOR INVESTMENT PURPOSES AS OF DECEMBER 31, 2000 - -------------------------------------------------------------------------------
IDENTITY OF PARTY INVOLVED DESCRIPTION OF ASSET CURRENT VALUE BROCADE COMMUNICATIONS SYS Self Directed Equity Investment 3,432 BIOMARIN PHARMACEUTICALS Self Directed Equity Investment 3,443 ARIBA INC Self Directed Equity Investment 3,468 ADVANCED DIGITAL INFO CORP Self Directed Equity Investment 3,479 American Express Company Self Directed Equity Investment 3,487 Goldman Sachs Group Inc Self Directed Equity Investment 3,540 Solectron Corp Self Directed Equity Investment 3,714 Service Corp Intl Self Directed Equity Investment 3,789 CITIGROUP INC Self Directed Equity Investment 3,790 Jabil Circuit Inc Self Directed Equity Investment 3,790 COMPUDYNE CRP Self Directed Equity Investment 3,818 Genome Therapeutics MD Self Directed Equity Investment 3,836 Corning Inc Self Directed Equity Investment 3,914 PROXIM INC Self Directed Equity Investment 3,922 Hewlett Packard Co Self Directed Equity Investment 3,998 Vitesse Semiconductor Corp Self Directed Equity Investment 4,170 RF MICRO DEVICES INC Self Directed Equity Investment 4,199 Radisys Corp Self Directed Equity Investment 4,252 APPLERA CRP-CELERA GEN G Self Directed Equity Investment 4,282 Bjs Wholesale Club Inc Self Directed Equity Investment 4,296 ALLAIRE CORP Self Directed Equity Investment 4,351 Du Pont Self Directed Equity Investment 4,374 Novellus Sys Inc Self Directed Equity Investment 4,478 NAVISITE INC Self Directed Equity Investment 4,637 HALL KINION & ASSOCS Self Directed Equity Investment 4,688 Nasdaq-100 Trustsm I Self Directed Equity Investment 4,716 Intl Paper Co Self Directed Equity Investment 4,786 Broadcom Corp Self Directed Equity Investment 5,030 Caterpillar Inc Self Directed Equity Investment 5,042 SONUS NETWORKS INC Self Directed Equity Investment 5,121 METLIFE INC Self Directed Equity Investment 5,187 JUNIPER NETWORKS INC Self Directed Equity Investment 5,213 Yahoo Inc Self Directed Equity Investment 5,228 Roberthalf Intl Inc Self Directed Equity Investment 5,438 CHECKFREE CORP Self Directed Equity Investment 5,533 Avery Dennison Corp Self Directed Equity Investment 5,551 JOHN HANCOCK FINANCIAL SVCS Self Directed Equity Investment 5,560 MARIMBA INC Self Directed Equity Investment 5,760 XM SATELLITE RADIO HLDGS A Self Directed Equity Investment 5,786 Staples Inc Self Directed Equity Investment 5,889 CAPITAL AUTOMOTIVE REIT Self Directed Equity Investment 5,953 Cvs Corp Delaware Self Directed Equity Investment 6,098 Abercrombie & Fitch Co Self Directed Equity Investment 6,183 SIRIUS SATELLITE RADIO Self Directed Equity Investment 6,212 Cmgi Inc Corp Self Directed Equity Investment 6,212
(Continued) -16- 17 KFORCE.COM, INC. 401(K) RETIREMENT SAVINGS PLAN FORM 5500, SCHEDULE H, PART IV, LINE 4I ASSETS HELD FOR INVESTMENT PURPOSES AS OF DECEMBER 31, 2000 - -------------------------------------------------------------------------------
IDENTITY OF PARTY INVOLVED DESCRIPTION OF ASSET CURRENT VALUE Westell Tech A Self Directed Equity Investment 6,390 MPHASE TECHS INC N J Self Directed Equity Investment 6,455 St Jude Medical Inc Self Directed Equity Investment 6,476 Xilinx Inc Self Directed Equity Investment 6,593 Biogen Inc Mass Self Directed Equity Investment 6,768 Jefferson Pilot Corp Self Directed Equity Investment 6,921 Polymedica Inds Inc Self Directed Equity Investment 7,157 Gillette Co Self Directed Equity Investment 7,282 Altera Corp Self Directed Equity Investment 7,684 S1 CORP Self Directed Equity Investment 7,762 AGILENT TECHNOLOGIES INC Self Directed Equity Investment 8,377 General Mills Self Directed Equity Investment 8,596 Baxter International Inc Self Directed Equity Investment 9,075 Lilly Eli Co Self Directed Equity Investment 9,328 Philip Morris Cos Inc Self Directed Equity Investment 9,403 Sears Roebuck Self Directed Equity Investment 9,639 APPLIED MICRO CIRCUITS Self Directed Equity Investment 9,667 OPENTV CORP Self Directed Equity Investment 9,795 Lions Gate Entertainment Corp Self Directed Equity Investment 10,105 Office Depot Inc Self Directed Equity Investment 10,250 Safeway Inc Self Directed Equity Investment 10,608 3com Corp Self Directed Equity Investment 10,785 BMC Software Inc Self Directed Equity Investment 10,993 TMP Worldwide Inc Self Directed Equity Investment 11,314 Bank Of N Y Co Inc Self Directed Equity Investment 11,676 S C I Sys Inc Self Directed Equity Investment 11,807 Andrew Corp Self Directed Equity Investment 12,000 Household Intl Inc Self Directed Equity Investment 12,176 Cigna Corp Self Directed Equity Investment 12,269 Waste Management Inc Self Directed Equity Investment 12,432 Amgen Inc Self Directed Equity Investment 12,455 JDS Uniphase Corp Self Directed Equity Investment 12,528 Schering Plough Corp Self Directed Equity Investment 13,434 Tellabs Inc Self Directed Equity Investment 13,460 Abbott Labs Self Directed Equity Investment 13,901 Microsoft Corp Self Directed Equity Investment 14,796 Rambus Inc Self Directed Equity Investment 15,239 Texas Instruments Self Directed Equity Investment 15,478 Intel Corp Self Directed Equity Investment 15,519 Advanced Micro D Inc Self Directed Equity Investment 15,855 Cmgi Inc Corp Self Directed Equity Investment 15,934 Tyco Intl Ltd. Self Directed Equity Investment 16,227 PERCEPTRON INC Self Directed Equity Investment 16,514 Bristol Myers Squibb Co Self Directed Equity Investment 16,719 Oracle Corp Self Directed Equity Investment 17,239
(Continued) -17- 18 KFORCE.COM, INC. 401(K) RETIREMENT SAVINGS PLAN FORM 5500, SCHEDULE H, PART IV, LINE 4I ASSETS HELD FOR INVESTMENT PURPOSES AS OF DECEMBER 31, 2000 - -------------------------------------------------------------------------------
IDENTITY OF PARTY INVOLVED DESCRIPTION OF ASSET CURRENT VALUE Citrix Systems Inc Self Directed Equity Investment 18,023 CYBER CARE INC Self Directed Equity Investment 18,224 McKesson HBOC INC Self Directed Equity Investment 18,246 Nextel Communications Self Directed Equity Investment 18,372 Exxon/Mobil Self Directed Equity Investment 18,904 Office Depot Inc Self Directed Equity Investment 19,025 Global Crossing Ltd. Self Directed Equity Investment 19,350 Level 3 Cmncatns Self Directed Equity Investment 19,542 Dell Computer Corp Self Directed Equity Investment 20,081 Allstate Corp Del Self Directed Equity Investment 20,837 AURA SYSTEMS INC Self Directed Equity Investment 21,535 Motorola Inc Self Directed Equity Investment 22,100 UNITED PARCEL SERVICE Self Directed Equity Investment 22,141 Merck & Co Inc Self Directed Equity Investment 22,605 Johnson & Johnson Self Directed Equity Investment 22,903 State Street Corp Self Directed Equity Investment 23,224 Qualcomm Inc Self Directed Equity Investment 23,999 Univision Communications Self Directed Equity Investment 24,314 Veritas Software Self Directed Equity Investment 24,591 Chevron Corp Self Directed Equity Investment 26,454 PALM INC Self Directed Equity Investment 26,504 Ac Neilsen Corp Self Directed Equity Investment 28,413 Cisco Systems Inc Self Directed Equity Investment 28,486 Viacom Inc Self Directed Equity Investment 28,496 Sun Microsystems Inc Self Directed Equity Investment 30,220 UNUMPROVIDENT CORP Self Directed Equity Investment 30,719 ML&Co Inc Self Directed Equity Investment 30,866 Compaq Computer Corp Self Directed Equity Investment 31,916 Applied Material Inc Self Directed Equity Investment 32,135 Fannie Mae (USA) Self Directed Equity Investment 32,415 Enron Corp Oregon Self Directed Equity Investment 33,123 Southwest Airlines Co Self Directed Equity Investment 33,297 AT&T Corp Self Directed Equity Investment 37,187 VERIZON COMMUNICATIONS COM Self Directed Equity Investment 38,764 NORTEL NETWORKS CORP Self Directed Equity Investment 40,676 WORLDCOM GROUP Self Directed Equity Investment 42,188 Wal Mart Stores Inc Self Directed Equity Investment 44,138 Intl Business Mach Self Directed Equity Investment 51,545 Lucent Technologies Inc Self Directed Equity Investment 52,757 Berkshire Hathaway Self Directed Equity Investment 57,947 Walt Disney Company Self Directed Equity Investment 60,085 Home Depot Inc Self Directed Equity Investment 65,921 Labor Ready Inc Self Directed Equity Investment 67,935 Intel Corp Self Directed Equity Investment 68,361 Oracle Corp Self Directed Equity Investment 75,822
(Continued) -18- 19 KFORCE.COM, INC. 401(K) RETIREMENT SAVINGS PLAN FORM 5500, SCHEDULE H, PART IV, LINE 4I ASSETS HELD FOR INVESTMENT PURPOSES AS OF DECEMBER 31, 2000 - -------------------------------------------------------------------------------
IDENTITY OF PARTY INVOLVED DESCRIPTION OF ASSET CURRENT VALUE Microsoft Corp Self Directed Equity Investment 94,696 AOL TIME WARNER INC Self Directed Equity Investment 99,009 Pfizer Inc Self Directed Equity Investment 99,717 Eastern Amn N Gas Sprcprpst Self Directed Equity Investment 142,571 E M C Corporation Mass Self Directed Equity Investment 148,460 Sun Microsystems Inc Self Directed Equity Investment 154,996 Cisco Systems Inc Self Directed Equity Investment 196,567 General Electric Self Directed Equity Investment 222,195 kforce.com, Inc. Self Directed Equity Investment 383,357 TERRA NETWORKS Self Directed Foreign Equity Investment 221 Vitro Socdad Anma Spnadr Self Directed Foreign Equity Investment 538 Ericsn Lm Tel Self Directed Foreign Equity Investment 1,036 Glaxo Wellcome Sponsored Self Directed Foreign Equity Investment 2,966 Taiwan S Manufacturing Self Directed Foreign Equity Investment 3,066 Elan Corp Plc Self Directed Foreign Equity Investment 3,672 Sony Corp Self Directed Foreign Equity Investment 10,943 Axa-Uap American Self Directed Foreign Equity Investment 12,349 Nokia Corp Self Directed Foreign Equity Investment 13,501 BP Amoco Plc Sponsored Self Directed Foreign Equity Investment 22,074 VODAFONE GRP PLC Self Directed Foreign Equity Investment 22,112 Nokia Corp Self Directed Foreign Equity Investment 34,271 LAZARD HIGH YIELD Fund Self Directed Mutual Fund Investment 2,625 Merrill Lynch Global Value Fund* Self Directed Mutual Fund Investment 687 Merrill Lynch Intl Index Fund* Self Directed Mutual Fund Investment 3,964 Merrill Lynch Global Tech Fund * Self Directed Mutual Fund Investment 13,536 Merrill Lynch S & P 500 Index* Self Directed Mutual Fund Investment 28,323 Merrill Lynch Eurofund* Self Directed Mutual Fund Investment 40,404 MORGAN STANLEY HIGH TECH 35 INDEX Self Directed Mutual Fund Investment 1,882 ALLIANCE HEALTH CARE Self Directed Mutual Fund Investment 364 Aim Europe Growth Fund Self Directed Mutual Fund Investment 718 Seligman Communications & Information Fund Inc Self Directed Mutual Fund Investment 1,011 AIM GLOBAL FINANCIAL SERVICES Self Directed Mutual Fund Investment 1,050 Oppenheimer Global Fund Self Directed Mutual Fund Investment 1,432 Aim Constellation Fund Self Directed Mutual Fund Investment 1,723 Aim Blue Chip Fund Self Directed Mutual Fund Investment 1,819 Munder Micro-Cap Equity Self Directed Mutual Fund Investment 1,897 OPPENHEIMER INTERNATIONAL Self Directed Mutual Fund Investment 2,148 Aim Global Telecomm Fund Self Directed Mutual Fund Investment 2,157 FIDELITY ADVANCED TECHNOLOGY Self Directed Mutual Fund Investment 2,175 Mfs Total Return Fund Self Directed Mutual Fund Investment 2,487 Aim Weingarten Fund Self Directed Mutual Fund Investment 2,678 Aim Value Fund Self Directed Mutual Fund Investment 3,486 Alger Capital Appreciation Self Directed Mutual Fund Investment 3,691
(Continued) -19- 20 KFORCE.COM, INC. 401(K) RETIREMENT SAVINGS PLAN FORM 5500, SCHEDULE H, PART IV, LINE 4I ASSETS HELD FOR INVESTMENT PURPOSES AS OF DECEMBER 31, 2000 - -------------------------------------------------------------------------------
IDENTITY OF PARTY INVOLVED DESCRIPTION OF ASSET CURRENT VALUE Oppenheimer Main Street Self Directed Mutual Fund Investment 5,355 Morgan Stanley American Value Self Directed Mutual Fund Investment 5,649 Oppenheimer Quest Balanced Fund Self Directed Mutual Fund Investment 5,788 FRANKLIN MUTUAL SHARES Self Directed Mutual Fund Investment 6,221 BLACKROCK GBL SCIENTIFIC TEC Self Directed Mutual Fund Investment 7,001 OPPENHEIMER MID CAP FUND Self Directed Mutual Fund Investment 7,659 FIDELITY ADVISOR SER VII OVERSEAS PORT Self Directed Mutual Fund Investment 8,005 PHOENIX-ENGEMANN GROWTH FUND Self Directed Mutual Fund Investment 8,059 Munder Netnet Fund Self Directed Mutual Fund Investment 10,414 Mfs Utilities Fund Self Directed Mutual Fund Investment 12,057 Oppenheimer Intl Growth Fund Self Directed Mutual Fund Investment 12,403 DREYFUS PREMIER Self Directed Mutual Fund Investment 12,867 Oppenheimer Capital Self Directed Mutual Fund Investment 15,986 PHOENIX-SENECA MID CAP Self Directed Mutual Fund Investment 16,475 Alliance Technology Fund Self Directed Mutual Fund Investment 16,534 JUNDT OPPORTUNITY FUND Self Directed Mutual Fund Investment 16,548 JOHN HANCOCK MID CAP GROWTH FUND Self Directed Mutual Fund Investment 16,816 Hancock Spcl Emerging Growth Fund Self Directed Mutual Fund Investment 17,303 THE MANAGERS Self Directed Mutual Fund Investment 17,555 Aim Charter Fund Self Directed Mutual Fund Investment 18,062 Alger Midcap Growth Fund Self Directed Mutual Fund Investment 19,283 MFS Capital Opp Fund Self Directed Mutual Fund Investment 20,338 State Street Aurora Fund Self Directed Mutual Fund Investment 21,102 DREYFUS PREMIER SMALL CAP Self Directed Mutual Fund Investment 23,259 Conseco Balanced Fund Self Directed Mutual Fund Investment 26,819 Federated Intl Small Co Fund Self Directed Mutual Fund Investment 29,994 THE MANAGERS CAPITAL Self Directed Mutual Fund Investment 34,113 Pimco Innovation Fund Self Directed Mutual Fund Investment 78,767 Oppenheimer Enterprise Fund Self Directed Mutual Fund Investment 83,637 Oppenheimer Global Growth & Income Fund Self Directed Mutual Fund Investment 96,024 Alliance Premier Growth Fund Self Directed Mutual Fund Investment 106,548 Am Cap Emerging Growth Fund, Inc Self Directed Mutual Fund Investment 123,468 Fidelity Adv Equity Growth Fund Self Directed Mutual Fund Investment 179,960 CMA Money Fund Self Directed Money Market Fund 1,660,509 ----------- $66,635,438 ===========
*Party-in-interest (Concluded) -20- 21 SIGNATURE Pursuant to the requirements of the Securities Exchange Act of 1934, the trustees (or other persons who administer the employee benefit plan) have duly caused this annual report to be signed on its behalf by the undersigned hereunto duly authorized. kforce.com, Inc. 401(k) Retirement Savings Plan (Registrant) June 29, 2000 /s/ William L. Sanders - ----------------- ----------------------------------------------- (Date) William L. Sanders Plan Administrator and Chief Financial Officer -21- 22 EXHIBIT INDEX
Number Exhibit Page - ------ ------- ---- 23 Independent Auditors' Consent 1
-22-
EX-23 2 g70295ex23.txt INDEPENDENT AUDITORS' CONSENT 1 EXHIBIT 23 INDEPENDENT AUDITORS' CONSENT We consent to the incorporation by reference in Registration Statement No. 333-50543 of kforce.com, Inc., formerly known as Romac International, Inc., on Form S-8 of our report dated May 31, 2001, appearing in the Annual Report on Form 11-K of the kforce.com, Inc. 401(k) Retirement Savings Plan for the year ended December 31, 2000. DELOITTE & TOUCHE LLP June 29, 2001
-----END PRIVACY-ENHANCED MESSAGE-----