<SEC-DOCUMENT>0000891092-11-004002.txt : 20110621
<SEC-HEADER>0000891092-11-004002.hdr.sgml : 20110621
<ACCEPTANCE-DATETIME>20110620173501
ACCESSION NUMBER:		0000891092-11-004002
CONFORMED SUBMISSION TYPE:	11-K
PUBLIC DOCUMENT COUNT:		5
CONFORMED PERIOD OF REPORT:	20101231
FILED AS OF DATE:		20110621
DATE AS OF CHANGE:		20110620

FILER:

	COMPANY DATA:	
		COMPANY CONFORMED NAME:			ALBANY INTERNATIONAL CORP /DE/
		CENTRAL INDEX KEY:			0000819793
		STANDARD INDUSTRIAL CLASSIFICATION:	BROADWOVEN FABRIC MILS, MAN MADE FIBER & SILK [2221]
		IRS NUMBER:				140462060
		STATE OF INCORPORATION:			DE
		FISCAL YEAR END:			0218

	FILING VALUES:
		FORM TYPE:		11-K
		SEC ACT:		1934 Act
		SEC FILE NUMBER:	001-10026
		FILM NUMBER:		11921746

	BUSINESS ADDRESS:	
		STREET 1:		1373 BROADWAY
		CITY:			ALBANY
		STATE:			NY
		ZIP:			12204
		BUSINESS PHONE:		5184452200

	MAIL ADDRESS:	
		STREET 1:		1373 BROADWAY
		CITY:			ALBANY
		STATE:			NY
		ZIP:			12204

	FORMER COMPANY:	
		FORMER CONFORMED NAME:	ALBINT INC
		DATE OF NAME CHANGE:	19870924
</SEC-HEADER>
<DOCUMENT>
<TYPE>11-K
<SEQUENCE>1
<FILENAME>e44067_11k.htm
<DESCRIPTION>ANNUAL REPORT
<TEXT>

<HTML>
<HEAD>
   <TITLE></TITLE>
</HEAD>

<BODY bgcolor="#ffffff" style="font-family: 'Arial';font-size: 10pt;">
 <!--$$/page=-->
<BR>
<P style="TEXT-ALIGN: center"><B><font size="3">UNITED STATES</font></B></P>
<P style="TEXT-ALIGN: center"><B><font size="3">SECURITIES AND EXCHANGE COMMISSION</font></B><font size="3"><br>

<B>Washington, D.C. 20549</B></font></P>
<P style="TEXT-ALIGN: center"><B><font size="3" face="Times New Roman, Times, serif">FORM 11-K</font></B></P>
<P style="TEXT-ALIGN: center"><font face="Times New Roman, Times, serif"><B>Annual Report Pursuant to Section 15(d) of the</B><BR>

<B>Securities Exchange Act of 1934</B></font></P>
<P style="TEXT-ALIGN: center"><font face="Times New Roman, Times, serif"><B>(</B><img src="image001.gif" width="11" height="18"> <B>) Annual report pursuant to Section 15(d) of the Securities</B><BR>

<B>Exchange Act of 1934 (No Fee Required)</B><BR>

<BR>

<B>For the fiscal year ended December 31, 2010</B><BR>

<BR>

<B>OR</B><BR>

<BR>

<B>(&nbsp; ) Transition report pursuant to Section 15(d) of the Securities</B><BR>

<B>Exchange Act of 1934 (No Fee Required)</B><BR>

<BR>

<B>For the transition period from &nbsp;&nbsp;&nbsp;&nbsp;to</B>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<BR>

<BR>

<B>Commission file number 1-10026</B></font></P>
<P style="TEXT-ALIGN: center"><font face="Times New Roman, Times, serif">A. Full title of the plan and the address of the plan, if different from that of the issuer<BR>

named below:<BR>

<BR>

<B><font size="3">Albany International Corp. Prosperity Plus</font></B><font size="3"><BR>

<B>Savings Plan</B></font><BR>

<BR>

B. Name of issuer of the securities held pursuant to the plan and the address of its<BR>

principal executive office:</font></P>
<P style="TEXT-ALIGN: center"><font face="Times New Roman, Times, serif"><B><font size="3">Albany International Corp.</font></B><br>

216 Airport Drive, Rochester, New Hampshire 03867</font></P>
<hr noshade align="center" width="100%" size="5">
<font face="Arial, Helvetica, sans-serif" size="2"><!-- *************************************************************************** -->
</font>
<div title="EE+ Page Break" style="FONT-SIZE: 1pt; PAGE-BREAK-AFTER: always; WIDTH: 100%; HEIGHT: 1px"></div>
<!-- -->
<b>Albany International Corp.</b><br>
  <b>Prosperity Plus Savings Plan</b>
  <br>
  <b>Index
  </b>
<hr noshade size="1">
<TABLE style="FONT-SIZE: 10pt; FONT-FAMILY: 'Arial'" cellSpacing=0 border=0 width="100%">

  <TR>

    <TD colspan="2"></TD>
    <TD></TD>
  </TR>







  <TR vAlign=bottom>

    <TD align=left colspan="2">&nbsp;</TD>
    <TD align=left width="10%">
      <div align="right"><B>Page(s)</B></div>
    </TD>
  </TR>
  <TR vAlign=bottom>
    <TD align=left colspan="2">&nbsp;</TD>
    <TD align=right width="10%">&nbsp;</TD>
  </TR>

  <TR vAlign=bottom>

    <TD align=left colspan="2"><B>Report of Independent Auditors</B></TD>
    <TD align=right width="10%">1</TD>
  </TR>
  <tr valign=bottom>
    <td align=left colspan="2">&nbsp;</td>
    <td align=right width="10%">&nbsp;</td>
  </tr>

  <TR vAlign=bottom>

    <TD align=left colspan="2"><B>Financial Statements</B></TD>
    <TD align=left width="10%">&nbsp;</TD>
  </TR>
  <tr valign=bottom>
    <td align=left colspan="2">&nbsp;</td>
    <td align=right width="10%">&nbsp;</td>
  </tr>

  <TR vAlign=bottom>

    <TD align=left colspan="2">Statements of Net Assets Available for Benefits</TD>
    <TD align=left width="10%">&nbsp;</TD>
  </TR>

  <TR vAlign=bottom>

    <TD align=left colspan="2">December 31, 2010 and 2009</TD>
    <TD align=right width="10%">2</TD>
  </TR>
  <tr valign=bottom>
    <td align=left colspan="2">&nbsp;</td>
    <td align=right width="10%">&nbsp;</td>
  </tr>

  <TR vAlign=bottom>

    <TD align=left colspan="2">Statements of Changes in Net Assets Available for Benefits</TD>
    <TD align=left width="10%">&nbsp;</TD>
  </TR>

  <TR vAlign=bottom>

    <TD align=left colspan="2">Years Ended December 31, 2010 and 2009</TD>
    <TD align=right width="10%">3</TD>
  </TR>
  <tr valign=bottom>
    <td align=left colspan="2">&nbsp;</td>
    <td align=right width="10%">&nbsp;</td>
  </tr>

  <TR vAlign=bottom>

    <TD align=left colspan="2">Notes to Financial Statements</TD>
    <TD align=left width="10%">
      <div align="right">4&#150;11</div>
    </TD>
  </TR>


  <tr valign=bottom>
    <td align=left colspan="2">&nbsp;</td>
    <td align=right width="10%">&nbsp;</td>
  </tr>

  <TR vAlign=bottom>

    <TD align=left colspan="2"><B>Supplemental Schedules*</B></TD>
    <TD align=left width="10%">&nbsp;</TD>
  </TR>
  <tr valign=bottom>
    <td align=left colspan="2">&nbsp;</td>
    <td align=right width="10%">&nbsp;</td>
  </tr>

  <TR vAlign=bottom>

    <TD align=left colspan="2">Schedule H, Line 4a - Schedule of Delinquent Participant Contributions</TD>
    <TD align=left width="10%">&nbsp;</TD>
  </TR>

  <TR vAlign=bottom>

    <TD align=left colspan="2">Year Ended December 31, 2010</TD>
    <TD align=right width="10%">12</TD>
  </TR>
  <tr valign=bottom>
    <td align=left colspan="2">&nbsp;</td>
    <td align=right width="10%">&nbsp;</td>
  </tr>

  <TR vAlign=bottom>

    <TD align=left colspan="2">Schedule H, Line 4i - Schedule of Assets (Held at End of Year)</TD>
    <TD align=left width="10%">&nbsp;</TD>
  </TR>

  <TR vAlign=bottom>

    <TD align=left colspan="2">December 31, 2010</TD>
    <TD align=right width="10%">13</TD>
  </TR>
  <TR vAlign=bottom>
    <TD align=left colspan="2">&nbsp;</TD>
    <TD align=right width="10%">&nbsp;</TD>
  </TR>
  <TR vAlign=bottom>
    <TD align=left valign="top">*&nbsp; &nbsp; </TD>
    <TD align=left valign="top">Other supplemental schedules required by 29 CFR 2520.103-800 of the Department of Labor Rules and Regulations for Reporting and Disclosure under the Retirement Income Security Act of 1974 (ERISA) have been omitted because they are not applicable. </TD>
    <TD align=right width="10%">&nbsp;</TD>
  </TR>


  <TR vAlign=bottom>
    <TD align=left colspan="2">&nbsp;</TD>
    <TD align=right width="10%">&nbsp;</TD>
  </TR>

  <TR vAlign=bottom>

    <TD align=left colspan="2">Signature</TD>
    <TD align=right width="10%">14</TD>
  </TR>
  <TR vAlign=bottom>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
  </TR>

  <TR vAlign=bottom>

    <TD align=left colspan="2">Exhibits</TD>
  </TR>
  <TR vAlign=bottom>
    <TD align=left colspan="2">&nbsp;</TD>
  </TR>

  <TR vAlign=bottom>

    <TD align=left colspan="2">23. Consent of Independent Registered Public Accounting Firm</TD>
  </TR>
</TABLE>
<BR>
<hr noshade align="center" width="100%" size="5">
<font face="Arial, Helvetica, sans-serif" size="2"><!-- *************************************************************************** -->
</font>
<div title="EE+ Page Break" style="FONT-SIZE: 1pt; PAGE-BREAK-AFTER: always; WIDTH: 100%; HEIGHT: 1px"></div>
<!-- -->
<font face="Arial, Helvetica, sans-serif" size="2"></font><BR>
<IMG src="a44067x3x1.jpg" border=0>
&nbsp;<BR>
<P style="TEXT-ALIGN: center"><B>Report of Independent Auditors</B></P>
<P style="TEXT-ALIGN: left">To the Participants, Administrator, and Compensation Committee of <br>
  Albany International Corp. Prosperity Plus Savings Plan</P>
<P style="TEXT-ALIGN: left">In our opinion, the accompanying statements of net
assets available for benefits and the related statements of changes in net
assets available for benefits present fairly, in all material respects, the net
assets available for benefits of Albany International Corp. Prosperity Plus
Savings Plan (the &#147;Plan&#148;) at December 31, 2010 and 2009, and the
changes in net assets available for benefits for the years then ended in
conformity with accounting principles generally accepted in the United States of
America. These financial statements are the responsibility of the Plan&#146;s
management. Our responsibility is to express an opinion on these financial
statements based on our audits. We conducted our audits of these statements in
accordance with the standards of the Public Company Accounting Oversight Board
(United States). 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, assessing
the accounting principles used and significant estimates made by management, and
evaluating the overall financial statement presentation. We believe that our
audits provide a reasonable basis for our opinion.</P>
<P style="TEXT-ALIGN: left">Our audits were conducted for the purpose of forming an opinion on the basic financial statements taken as a whole. The supplemental schedules of assets (held at end of year) and delinquent participant contributions are presented for the purpose of additional analysis and are not a required part of the basic financial statements but are 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. These supplemental schedules are the responsibility of the Plan's management. The supplemental schedules have been subjected to the auditing procedures applied in the audits of the basic financial statements and, in our opinion, are fairly stated in all material respects in relation to the basic financial statements taken as a whole.</P>
<P style="TEXT-ALIGN: left"><U>/s/ PricewaterhouseCoopers LLP</U><BR>
Albany, New York<BR>
June 20, 2011</P>
<P align=left><img src="image002.gif" width="659" height="49">
</P>
<hr noshade align="center" width="100%" size="5">
<font face="Arial, Helvetica, sans-serif" size="2"><!-- *************************************************************************** -->
</font>
<div title="EE+ Page Break" style="FONT-SIZE: 1pt; PAGE-BREAK-AFTER: always; WIDTH: 100%; HEIGHT: 1px"></div>
<!-- -->
<font face="Arial, Helvetica, sans-serif" size="2"><b>Albany International Corp.<br>
  Prosperity Plus Savings Plan<br>
  Statements of Net Assets Available for Benefits<br>
  December 31, 2010 and 2009</b></font>
<hr noshade size="1">

<TABLE style="FONT-SIZE: 10pt; FONT-FAMILY: 'Arial'" cellSpacing=0 border=0 cellpadding="0" width="100%">

  <TR>

    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
  </TR>










  <TR vAlign=bottom>

    <TD align=left><font size="2"></font></TD>
    <TD align=center colSpan=3><font face="Arial, Helvetica, sans-serif" size="2"><b>2010</b></font></TD>
    <TD align=center><font size="2"></font></TD>
    <TD align=center width="2%"><font size="2"></font></TD>
    <TD align=center colSpan=4><font face="Arial, Helvetica, sans-serif" size="2"><b>2009</b></font></TD>
  </TR>



  <TR vAlign=bottom>

    <TD align=left><font face="Arial, Helvetica, sans-serif" size="2"><B>Assets</B></font></TD>
    <TD align=right width="2%"><font size="2"></font></TD>
    <TD align=center colSpan=2><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=center colSpan=3><font size="2"></font></TD>
  </TR>

  <TR vAlign=bottom>

    <TD align=left><font face="Arial, Helvetica, sans-serif" size="2">Investments, at fair value</font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=center colSpan=2><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=center colSpan=3><font size="2"></font></TD>
  </TR>

  <TR vAlign=bottom>

    <TD style="TEXT-INDENT: 3px" align=left><font face="Arial, Helvetica, sans-serif" size="2">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Registered investment companies</font></TD>
    <TD align=left>
      <font face="Arial, Helvetica, sans-serif" size="2">$</font>
    </TD>
    <TD align=center colSpan=2 width="10%"><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">146,523,898</font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=left><font face="Arial, Helvetica, sans-serif" size="2">$</font></TD>
    <TD align=center colSpan=3 width="10%"><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">139,353,212</font></TD>
  </TR>

  <TR vAlign=bottom>

    <TD style="TEXT-INDENT: 3px" align=left><font face="Arial, Helvetica, sans-serif" size="2">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Albany International Class A common stock</font></TD>
    <TD align=left>
      <div align="left"></div>
    </TD>
    <TD align=center colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">37,636,048</font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=left><font size="2"></font></TD>
    <TD align=center colSpan=3><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">36,004,798</font></TD>
  </TR>

  <TR vAlign=bottom>

    <TD style="TEXT-INDENT: 3px" align=left><font face="Arial, Helvetica, sans-serif" size="2">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Common/collective trust</font></TD>
    <TD  align=left bgColor=#FFFFFF>
      <div align="left"></div>
    </TD>
    <TD  align=center bgColor=#FFFFFF colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">38,527,002</font></TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=left><font size="2"></font></TD>
    <TD  align=center colSpan=3><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">40,466,994</font></TD>
  </TR>
  <TR vAlign=bottom>
    <TD style="TEXT-INDENT: 14px" align=left><font size="2"></font></TD>
    <TD align=left bgColor=#FFFFFF>
      <hr size="1" align="left">
    </TD>
    <TD align=center bgColor=#FFFFFF colSpan=2>
      <hr size="1">
    </TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=left>
      <hr size="1">
    </TD>
    <TD align=center colSpan=3>
      <hr size="1">
    </TD>
  </TR>

  <TR vAlign=bottom>

    <TD style="TEXT-INDENT: 14px" align=left><font face="Arial, Helvetica, sans-serif" size="2">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Total investments at fair value</font></TD>
    <TD align=left bgColor=#FFFFFF>
      <div align="left"></div>
    </TD>
    <TD align=center bgColor=#FFFFFF colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">222,686,948</font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=left><font size="2"></font></TD>
    <TD align=center colSpan=3><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">215,825,004</font></TD>
  </TR>

  <TR>

    <TD colSpan=10><font size="2">&nbsp;</font></TD>
  </TR>

  <TR vAlign=bottom>

    <TD align=left><font face="Arial, Helvetica, sans-serif" size="2">Employer contribution receivable</font></TD>
    <TD align=left bgColor=#FFFFFF>
      <div align="left"></div>
    </TD>
    <TD align=center bgColor=#FFFFFF colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">1,898,869</font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=left><font size="2"></font></TD>
    <TD align=center colSpan=3><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">1,926,403</font></TD>
  </TR>

  <TR vAlign=bottom>

    <TD align=left><font face="Arial, Helvetica, sans-serif" size="2">Participant contribution receivable</font></TD>
    <TD align=left bgcolor="#FFFFFF">
      <div align="left"></div>
    </TD>
    <TD align=center colSpan=2 bgcolor="#FFFFFF"><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">-</font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=left><font size="2"></font></TD>
    <TD align=center colSpan=3><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">42,040</font></TD>
  </TR>

  <TR vAlign=bottom>

    <TD align=left><font face="Arial, Helvetica, sans-serif" size="2">Participant notes receivable</font></TD>
    <TD  align=left bgColor=#FFFFFF>
      <div align="left"></div>
    </TD>
    <TD  align=center bgColor=#FFFFFF colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">4,038,318</font></TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=right><font size="2"></font></TD>
    <TD align=left><font size="2"></font></TD>
    <TD  align=center colSpan=3><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">3,990,851</font></TD>
  </TR>
  <tr valign=bottom>
    <td style="TEXT-INDENT: 14px" align=left><font size="2"></font></td>
    <td align=left bgcolor=#FFFFFF>
      <hr size="1" align="left">
    </td>
    <td align=center bgcolor=#FFFFFF colspan=2>
      <hr size="1">
    </td>
    <td align=right><font size="2"></font></td>
    <td align=right><font size="2"></font></td>
    <td align=left>
      <hr size="1">
    </td>
    <td align=center colspan=3>
      <hr size="1">
    </td>
  </tr>

  <TR vAlign=bottom>

    <TD style="TEXT-INDENT: 14px" align=left><font face="Arial, Helvetica, sans-serif" size="2">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Net assets reflecting investments at fair value</font></TD>
    <TD align=left bgColor=#FFFFFF>
      <div align="left"></div>
    </TD>
    <TD align=center bgColor=#FFFFFF colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">228,624,135</font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=left><font size="2"></font></TD>
    <TD align=center colSpan=3><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">221,784,298</font></TD>
  </TR>

  <TR>

    <TD colSpan=10><font size="2">&nbsp;</font></TD>
  </TR>

  <TR vAlign=bottom>

    <TD align=left><font face="Arial, Helvetica, sans-serif" size="2">Adjustment from fair value to contract value for interest in</font></TD>
    <TD align=left>
      <div align="left"></div>
    </TD>
    <TD align=center colSpan=2><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=left><font size="2"></font></TD>
    <TD align=center colSpan=3><font size="2"></font></TD>
  </TR>

  <TR vAlign=bottom>

    <TD style="TEXT-INDENT: 1px" align=left><font face="Arial, Helvetica, sans-serif" size="2">&nbsp;collective trust relating to fully benefit-responsive</font></TD>
    <TD align=left>
      <div align="left"></div>
    </TD>
    <TD align=center colSpan=2><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=left><font size="2"></font></TD>
    <TD align=center colSpan=3><font size="2"></font></TD>
  </TR>

  <TR vAlign=bottom>

    <TD style="TEXT-INDENT: 1px" align=left><font face="Arial, Helvetica, sans-serif" size="2">&nbsp;investment contracts</font></TD>
    <TD  align=left>
      <div align="left"></div>
    </TD>
    <TD  align=center colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">(1,517,121</font></TD>
    <TD  align=right width="2%">
      <div align="left"><font style="WIDTH: 4pt; TEXT-ALIGN: left" face="Arial, Helvetica, sans-serif" size="2">)</font></div>
    </TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=left><font size="2"></font></TD>
    <TD  align=center colSpan=3><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">(874,822</font></TD>
    <TD  align=left width="2%">)</TD>
  </TR>
  <tr valign=bottom>
    <td style="TEXT-INDENT: 14px" align=left><font size="2"></font></td>
    <td align=left bgcolor=#FFFFFF>
      <hr size="1" align="left">
    </td>
    <td align=center bgcolor=#FFFFFF colspan=2>
      <hr size="1">
    </td>
    <td align=right><font size="2"></font></td>
    <td align=right><font size="2"></font></td>
    <td align=left>
      <hr size="1">
    </td>
    <td align=center colspan=3>
      <hr size="1">
    </td>
  </tr>

  <TR vAlign=bottom>

    <TD style="TEXT-INDENT: 14px" align=left><font face="Arial, Helvetica, sans-serif" size="2">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Total assets</font></TD>
    <TD  align=left>
      <div align="left"></div>
    </TD>
    <TD  align=center colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">227,107,014</font></TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=left><font size="2"></font></TD>
    <TD  align=center colSpan=3><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">220,909,476</font></TD>
  </TR>
  <tr valign=bottom>
    <td style="TEXT-INDENT: 14px" align=left><font size="2"></font></td>
    <td align=left bgcolor=#FFFFFF>
      <hr size="1" align="left">
    </td>
    <td align=center bgcolor=#FFFFFF colspan=2>
      <hr size="1">
    </td>
    <td align=right><font size="2"></font></td>
    <td align=right><font size="2"></font></td>
    <td align=left>
      <hr size="1">
    </td>
    <td align=center colspan=3>
      <hr size="1">
    </td>
  </tr>

  <TR>

    <TD colSpan=10><font size="2"></font></TD>
  </TR>

  <TR vAlign=bottom>

    <TD align=left><font face="Arial, Helvetica, sans-serif" size="2"><B>Liabilities</B></font></TD>
    <TD align=left>
      <div align="left"></div>
    </TD>
    <TD align=center colSpan=2><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=left><font size="2"></font></TD>
    <TD align=center colSpan=3><font size="2"></font></TD>
  </TR>

  <TR vAlign=bottom>

    <TD align=left><font face="Arial, Helvetica, sans-serif" size="2">Other liabilities</font></TD>
    <TD  align=left>
      <div align="left"></div>
    </TD>
    <TD  align=center colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">10,757</font></TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=left><font size="2"></font></TD>
    <TD  align=center colSpan=3><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">-</font></TD>
  </TR>
  <tr valign=bottom>
    <td style="TEXT-INDENT: 14px" align=left><font size="2"></font></td>
    <td align=left bgcolor=#FFFFFF>
      <hr size="1" align="left">
    </td>
    <td align=center bgcolor=#FFFFFF colspan=2>
      <hr size="1">
    </td>
    <td align=right><font size="2"></font></td>
    <td align=right><font size="2"></font></td>
    <td align=left>
      <hr size="1">
    </td>
    <td align=center colspan=3>
      <hr size="1">
    </td>
  </tr>

  <TR vAlign=bottom>

    <TD style="TEXT-INDENT: 14px" align=left><font face="Arial, Helvetica, sans-serif" size="2">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Total liabilities</font></TD>
    <TD  align=left>
      <div align="left"></div>
    </TD>
    <TD align=center colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">10,757</font></TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=left><font size="2"></font></TD>
    <TD  align=center colSpan=3><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">-</font></TD>
  </TR>
  <tr valign=bottom>
    <td style="TEXT-INDENT: 14px" align=left><font size="2"></font></td>
    <td align=left bgcolor=#FFFFFF>
      <hr size="1" align="left">
    </td>
    <td align=center bgcolor=#FFFFFF colspan=2>
      <hr size="1">
    </td>
    <td align=right><font size="2"></font></td>
    <td align=right><font size="2"></font></td>
    <td align=left>
      <hr size="1">
    </td>
    <td align=center colspan=3>
      <hr size="1">
    </td>
  </tr>

  <TR>

    <TD colSpan=10><font size="2"></font></TD>
  </TR>

  <TR vAlign=bottom>

    <TD style="TEXT-INDENT: 14px" align=left><font face="Arial, Helvetica, sans-serif" size="2">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Net assets available for benefits</font></TD>
    <TD  align=left>
      <div align="left"><font face="Arial, Helvetica, sans-serif" size="2">$</font></div>
    </TD>
    <TD  align=center colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">227,096,257</font></TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=left width="2%"><font face="Arial, Helvetica, sans-serif" size="2">$</font></TD>
    <TD  align=center colSpan=3><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">220,909,476</font></TD>
  </TR>
  <tr valign=bottom>
    <td style="TEXT-INDENT: 14px" align=left><font size="2"></font></td>
    <td align=left bgcolor=#FFFFFF>
      <hr size="2" align="left">
    </td>
    <td align=center bgcolor=#FFFFFF colspan=2>
      <hr size="2">
    </td>
    <td align=right><font size="2"></font></td>
    <td align=right><font size="2"></font></td>
    <td align=right bgcolor=#FFFFFF>
      <hr size="2" align="left">
    </td>
    <td align=center bgcolor=#FFFFFF colspan=3>
      <hr size="2">
    </td>
  </tr>
  <TR vAlign=bottom>
    <TD style="TEXT-INDENT: 14px" align=left><font size="2"></font></TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=center colSpan=2><font size="2"></font></TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=left><font size="2"></font></TD>
    <TD  align=center colSpan=3><font size="2"></font></TD>
  </TR>
</TABLE>
<BR>
<P style="TEXT-ALIGN: center">The accompanying notes are an integral part of these financial statements.</P>
<P style="TEXT-ALIGN: center">2</P>
<hr noshade align="center" width="100%" size="5">
<font face="Arial, Helvetica, sans-serif" size="2"><!-- *************************************************************************** -->
</font>
<div title="EE+ Page Break" style="FONT-SIZE: 1pt; PAGE-BREAK-AFTER: always; WIDTH: 100%; HEIGHT: 1px"></div>
<!-- -->
<font face="Arial, Helvetica, sans-serif" size="2"></font><br>
  <b>Albany International Corp.</b><br>
  <b>Prosperity Plus Savings Plan</b><br>
  <b>Statements of Changes in Net Assets Available for Benefits</b><br>
  <b>Years Ended December 31, 2010 and 2009</b>
<hr noshade size="1">
<BR>

<TABLE style="FONT-SIZE: 10pt; FONT-FAMILY: 'Arial'" cellSpacing=0 border=0 width="100%" cellpadding="0">

  <TR>

    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
  </TR>












  <TR vAlign=bottom>

    <TD align=left><font size="2"></font></TD>
    <TD align=center colSpan=3><font face="Arial, Helvetica, sans-serif" size="2"><B>2010</B></font></TD>
    <TD align=center><font size="2"></font></TD>
    <TD align=center><font size="2"></font></TD>
    <TD align=center><font size="2"></font></TD>
    <TD align=center colspan="2"><font face="Arial, Helvetica, sans-serif" size="2"><b>2009</b></font></TD>
    <TD align=center>&nbsp;</TD>
  </TR>



  <TR vAlign=bottom>

    <TD align=left><font face="Arial, Helvetica, sans-serif" size="2"><B>Additions/ (deductions)</B></font></TD>
    <TD align=right width="2%"><font size="2"></font></TD>
    <TD align=center colSpan=2><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=center colSpan=2><font size="2"></font></TD>
  </TR>

  <TR vAlign=bottom>

    <TD align=left><font face="Arial, Helvetica, sans-serif" size="2">Investment income</font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=center colSpan=2><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=center colSpan=2><font size="2"></font></TD>
  </TR>

  <TR vAlign=bottom>

    <TD style="TEXT-INDENT: 3px" align=left><font face="Arial, Helvetica, sans-serif" size="2">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Interest and dividend income from investments</font></TD>
    <TD align=left><font face="Arial, Helvetica, sans-serif" size="2">$</font></TD>
    <TD align=center colSpan=2 width="10%"><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">5,398,067</font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=right width="2%"><font size="2"></font></TD>
    <TD align=left width="2%"><font face="Arial, Helvetica, sans-serif" size="2">$</font></TD>
    <TD align=center colSpan=2 width="10%"><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">5,350,223</font></TD>
  </TR>

  <TR vAlign=bottom>

    <TD style="TEXT-INDENT: 3px" align=left><font face="Arial, Helvetica, sans-serif" size="2">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Net appreciation in fair value of investments</font></TD>
    <TD  align=left><font size="2"></font></TD>
    <TD  align=center colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">16,201,092</font></TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=left><font size="2"></font></TD>
    <TD  align=center colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">41,310,335</font></TD>
  </TR>
  <TR vAlign=bottom>
    <TD align=left><font size="2"></font></TD>
    <TD  align=left bgColor=#FFFFFF>
      <hr size="1">
    </TD>
    <TD  align=center bgColor=#FFFFFF colSpan=2>
      <hr size="1">
    </TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=left>
      <hr size="1">
    </TD>
    <TD  align=center colSpan=2>
      <hr size="1">
    </TD>
  </TR>

  <TR vAlign=bottom>

    <TD align=left><font size="2"></font></TD>
    <TD  align=left bgColor=#FFFFFF><font size="2"></font></TD>
    <TD  align=center bgColor=#FFFFFF colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">21,599,159</font></TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=left><font size="2"></font></TD>
    <TD  align=center colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">46,660,558</font></TD>
  </TR>
  <TR vAlign=bottom>
    <td align=left><font size="2"></font></td>
    <td  align=left bgcolor=#FFFFFF>
      <hr size="1">
    </td>
    <td  align=center bgcolor=#FFFFFF colspan=2>
      <hr size="1">
    </td>
    <td  align=right><font size="2"></font></td>
    <td  align=right><font size="2"></font></td>
    <td  align=left>
      <hr size="1">
    </td>
    <td  align=center colspan=2>
      <hr size="1">
    </td>
  </TR>

  <TR vAlign=bottom>

    <TD align=left><font face="Arial, Helvetica, sans-serif" size="2">Contributions</font></TD>
    <TD align=left bgColor=#FFFFFF><font size="2"></font></TD>
    <TD align=center bgColor=#FFFFFF colSpan=2><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=left><font size="2"></font></TD>
    <TD align=center colSpan=2><font size="2"></font></TD>
  </TR>

  <TR vAlign=bottom>

    <TD style="TEXT-INDENT: 3px" align=left><font face="Arial, Helvetica, sans-serif" size="2">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Employer</font></TD>
    <TD align=left bgColor=#FFFFFF><font size="2"></font></TD>
    <TD align=center bgColor=#FFFFFF colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">5,758,399</font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=left><font size="2"></font></TD>
    <TD align=center colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">5,454,653</font></TD>
  </TR>

  <TR vAlign=bottom>

    <TD style="TEXT-INDENT: 3px" align=left><font face="Arial, Helvetica, sans-serif" size="2">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Participant</font></TD>
    <TD align=left bgColor=#FFFFFF><font size="2"></font></TD>
    <TD align=center bgColor=#FFFFFF colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">7,964,268</font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=left><font size="2"></font></TD>
    <TD align=center colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">8,224,252</font></TD>
  </TR>

  <TR vAlign=bottom>

    <TD style="TEXT-INDENT: 3px" align=left><font face="Arial, Helvetica, sans-serif" size="2">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Interest income from participant loans</font></TD>
    <TD  align=left bgColor=#FFFFFF><font size="2"></font></TD>
    <TD  align=center bgColor=#FFFFFF colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">217,010</font></TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=left><font size="2"></font></TD>
    <TD  align=center colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">261,940</font></TD>
  </TR>
  <TR vAlign=bottom>
    <td align=left><font size="2"></font></td>
    <td  align=left bgcolor=#FFFFFF>
      <hr size="1">
    </td>
    <td  align=center bgcolor=#FFFFFF colspan=2>
      <hr size="1">
    </td>
    <td  align=right><font size="2"></font></td>
    <td  align=right><font size="2"></font></td>
    <td  align=left>
      <hr size="1">
    </td>
    <td  align=center colspan=2>
      <hr size="1">
    </td>
  </TR>

  <TR vAlign=bottom>

    <TD align=left><font size="2"></font></TD>
    <TD  align=left bgColor=#FFFFFF><font size="2"></font></TD>
    <TD  align=center bgColor=#FFFFFF colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">13,939,677</font></TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=left><font size="2"></font></TD>
    <TD  align=center colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">13,940,845</font></TD>
  </TR>
  <TR vAlign=bottom>
    <td align=left><font size="2"></font></td>
    <td  align=left bgcolor=#FFFFFF>
      <hr size="1">
    </td>
    <td  align=center bgcolor=#FFFFFF colspan=2>
      <hr size="1">
    </td>
    <td  align=right><font size="2"></font></td>
    <td  align=right><font size="2"></font></td>
    <td  align=left>
      <hr size="1">
    </td>
    <td  align=center colspan=2>
      <hr size="1">
    </td>
    <TD align=center width="2%">&nbsp;</TD>
  </TR>

  <TR vAlign=bottom>

    <TD align=left><font face="Arial, Helvetica, sans-serif" size="2">Payment of benefits</font></TD>
    <TD align=left bgColor=#FFFFFF><font size="2"></font></TD>
    <TD align=center bgColor=#FFFFFF colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">(29,338,341</font></TD>
    <TD align=left width="2%">
      <div align="left"><font style="WIDTH: 4pt; TEXT-ALIGN: left" face="Arial, Helvetica, sans-serif" size="2">)</font></div>
    </TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=left><font size="2"></font></TD>
    <TD align=center colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">(29,542,901</font></TD>
    <TD align=center width="2%">
      <div align="left">)</div>
    </TD>
  </TR>

  <TR vAlign=bottom>

    <TD align=left><font face="Arial, Helvetica, sans-serif" size="2">Other deductions, net</font></TD>
    <TD  align=left><font size="2"></font></TD>
    <TD  align=center colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">(13,714</font></TD>
    <TD  align=left>
      <div align="left"><font style="WIDTH: 4pt; TEXT-ALIGN: left" face="Arial, Helvetica, sans-serif" size="2">)</font></div>
    </TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=left><font size="2"></font></TD>
    <TD  align=center colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">(8,317</font></TD>
    <TD align=center>
      <div align="left">)</div>
    </TD>
  </TR>
  <TR vAlign=bottom>
    <td align=left><font size="2"></font></td>
    <td  align=left bgcolor=#FFFFFF>
      <hr size="1">
    </td>
    <td  align=center bgcolor=#FFFFFF colspan=2>
      <hr size="1">
    </td>
    <td  align=right><font size="2"></font></td>
    <td  align=right><font size="2"></font></td>
    <td  align=left>
      <hr size="1">
    </td>
    <td  align=center colspan=2>
      <hr size="1">
    </td>
    <TD align=center>&nbsp;</TD>
  </TR>

  <TR vAlign=bottom>

    <TD align=left><font size="2"></font></TD>
    <TD  align=left><font size="2"></font></TD>
    <TD  align=center colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">(29,352,055</font></TD>
    <TD  align=left>
      <div align="left"><font style="WIDTH: 4pt; TEXT-ALIGN: left" face="Arial, Helvetica, sans-serif" size="2">)</font></div>
    </TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=left><font size="2"></font></TD>
    <TD  align=center colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">(29,551,218</font></TD>
    <TD align=center>
      <div align="left">)</div>
    </TD>
  </TR>
  <TR vAlign=bottom>
    <td align=left><font size="2"></font></td>
    <td  align=left bgcolor=#FFFFFF>
      <hr size="1">
    </td>
    <td  align=center bgcolor=#FFFFFF colspan=2>
      <hr size="1">
    </td>
    <td  align=right><font size="2"></font></td>
    <td  align=right><font size="2"></font></td>
    <td  align=left>
      <hr size="1">
    </td>
    <td  align=center colspan=2>
      <hr size="1">
    </td>
  </TR>

  <TR vAlign=bottom>

    <TD style="TEXT-INDENT: 14px" align=left><font face="Arial, Helvetica, sans-serif" size="2">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Net increase</font></TD>
    <TD align=left><font size="2"></font></TD>
    <TD align=center colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">6,186,781</font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=left><font size="2"></font></TD>
    <TD align=center colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">31,050,185</font></TD>
  </TR>
  <TR vAlign=bottom>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=center colSpan=2>&nbsp;</TD>
    <TD align=right>&nbsp;</TD>
    <TD align=right>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=center colSpan=2>&nbsp;</TD>
  </TR>

  <TR vAlign=bottom>

    <TD align=left><font face="Arial, Helvetica, sans-serif" size="2"><B>Net assets available for benefits</B></font></TD>
    <TD align=left><font size="2"></font></TD>
    <TD align=center colSpan=2><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=right><font size="2"></font></TD>
    <TD align=left><font size="2"></font></TD>
    <TD align=center colSpan=2><font size="2"></font></TD>
  </TR>

  <TR vAlign=bottom>

    <TD align=left><font face="Arial, Helvetica, sans-serif" size="2">Beginning of year</font></TD>
    <TD  align=left><font size="2"></font></TD>
    <TD  align=center colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">220,909,476</font></TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=left><font size="2"></font></TD>
    <TD  align=center colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">189,859,291</font></TD>
  </TR>
  <TR vAlign=bottom>
    <td align=left><font size="2"></font></td>
    <td  align=left bgcolor=#FFFFFF>
      <hr size="1">
    </td>
    <td  align=center bgcolor=#FFFFFF colspan=2>
      <hr size="1">
    </td>
    <td  align=right><font size="2"></font></td>
    <td  align=right><font size="2"></font></td>
    <td  align=left>
      <hr size="1">
    </td>
    <td  align=center colspan=2>
      <hr size="1">
    </td>
  </TR>

  <TR vAlign=bottom>

    <TD align=left><font face="Arial, Helvetica, sans-serif" size="2">End of year</font></TD>
    <TD  align=right>
      <div align="left"><font face="Arial, Helvetica, sans-serif" size="2">$</font></div>
    </TD>
    <TD  align=center colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">227,096,257</font></TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=left><font face="Arial, Helvetica, sans-serif" size="2">$</font></TD>
    <TD  align=center colSpan=2><font style="WIDTH: 56pt; TEXT-ALIGN: right" face="Arial, Helvetica, sans-serif" size="2">220,909,476</font></TD>
  </TR>
  <TR vAlign=bottom>
    <TD align=left><font size="2"></font></TD>
    <TD  align=right>
      <hr size="2">
    </TD>
    <TD  align=center colSpan=2>
      <hr size="2">
    </TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=right><font size="2"></font></TD>
    <TD  align=left>
      <hr size="2">
    </TD>
    <TD  align=center colSpan=2>
      <hr size="2">
    </TD>
  </TR>
</TABLE>
<BR>


<BR>
<P style="TEXT-ALIGN: center">The accompanying notes are an integral part of these financial statements.</P>
<P style="TEXT-ALIGN: center" align="center">3</P>
<hr noshade align="center" width="100%" size="5">
<font face="Arial, Helvetica, sans-serif" size="2"><!-- *************************************************************************** -->
</font>
<div title="EE+ Page Break" style="FONT-SIZE: 1pt; PAGE-BREAK-AFTER: always; WIDTH: 100%; HEIGHT: 1px"></div>
<!-- -->
<font face="Arial, Helvetica, sans-serif" size="2"></font><BR>

<B>Albany International Corp.</B><BR>

<B>Prosperity Plus Savings Plan</B><BR>

<B>Notes to Financial Statements</B><BR>

<B>December 31, 2010 and 2009<br>
  </B>
<hr noshade size="1">
<B>
  </B>
<P style="TEXT-ALIGN: left"><B>1. </B><B>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Description of Plan</B></P>
<blockquote>
  <p>The following description of the Albany International Corp. (the &#147;Company&#148;) Prosperity Plus Savings Plan (the &#147;Plan&#148;) provides only general information. Participants should refer to the Plan agreement for a more complete description of the Plan&#146;s provisions.</p>
  <p><B>General<br>
    </B>The Plan is a defined contribution plan and is subject to the provisions of the Employee Retirement Income Security Act of 1974 (ERISA). The Plan covers all full time domestic employees of the Company and its subsidiaries who are 21 years of age or older. Eligible employees hired on or after January 1, 2009, automatically become Participants in the Plan for purposes of making Pre-Tax Participant Contributions, unless otherwise elected by the Participant.</p>
  <p><B>Contributions<br>
    </B>Employees may make voluntary contributions to the
Plan of 1% to 15% of eligible compensation, subject to certain limitations, on a
before-and/or after-tax basis as defined in the Plan. Participants may also
contribute amounts representing distributions from other qualified defined
benefit or defined contribution plans. Participants direct the investment of
their contributions into various investment options offered by the Plan. The
Plan currently offers 20 registered investment companies, a common/collective
trust, a brokerage option and Albany International Class A common stock. The
Company makes a matching contribution to the Plan in varying percentages up to
5% of the participant&#146;s eligible compensation (which may be in a
combination of both shares of Company Class A stock and cash). Employees may
convert any of the Albany International Class A common stock in their match and
profit sharing accounts into the other available investment fund options. During
2010 and 2009, the Company&#146;s matching contributions of $3,859,530 and
$3,843,687 included $3,702,542 (186,366 shares) and $3,675,671 (313,943 shares)
of Albany International Class A common stock, respectively.</p>
  <p><B>Profit-Sharing Contribution<br>
    </B>The Plan provides for a profit-sharing contribution.
Profit-sharing contributions are based upon a minimum 1% employee participation
in the Plan and are in addition to, and separate from, Company voluntary
matching contributions. In order to receive a profit-sharing contribution, an
employee must be an active contributing participant in the Plan during the final
quarter of the year for which the profit-sharing contribution is made, unless
the employee has been suspended from participation because of a hardship
withdrawal. If an employee is eligible, yet chooses to participate for less than
a full year, the profit-sharing contribution will be pro-rated. An employee who
retires during the year is also eligible to receive a profit sharing
contribution on a pro-rata basis. The amount of the profit sharing contribution
is based on a formula stated at the beginning of the year. The Company&#146;s
contribution for profit-sharing may be made in either cash or Albany
International Class A common stock (or both) following the end of the year.</p>
  <p>The profit sharing contributions were $1,898,869 and $1,610,966 for the years ended December 31, 2010 and 2009, respectively. Profit sharing contributions paid during the years ended December 31, 2010 and 2009 included $1,543,503 (76,654 shares) and $1,675,387 (175,718 shares), respectively, of Albany International Class A common stock.</p>
</blockquote>
<P style="TEXT-ALIGN: center" align="center">4</P>
<hr noshade align="center" width="100%" size="5">
<font face="Arial, Helvetica, sans-serif" size="2"><!-- *************************************************************************** -->
</font>
<div title="EE+ Page Break" style="FONT-SIZE: 1pt; PAGE-BREAK-AFTER: always; WIDTH: 100%; HEIGHT: 1px"></div>
<!-- -->
<font face="Arial, Helvetica, sans-serif" size="2"></font><BR>

<B>Albany International Corp.</B><BR>

<B>Prosperity Plus Savings Plan</B><BR>

<B>Notes to Financial Statements</B><BR>

<B>December 31, 2010 and 2009</B>
<hr size="1" noshade>
<blockquote>
  <p><B>Participant Accounts<br>
    </B>Each participant&#146;s account is credited with the participant&#146;s contribution and allocations of (a) the Company&#146;s contributions and (b) Plan earnings. Allocations are based on participant earnings or account balances, as defined. The benefit to which a participant is entitled is the benefit that can be provided from the participant&#146;s vested account.</p>
  <p><B>Vesting<br>
    </B>Participants are vested immediately in their and the Company&#146;s contributions plus actual earnings thereon.</p>
  <p><B>Pension Purchase Option<br>
    </B>Effective February 28, 2009, the Pension Purchase Option is no longer available to participants. The Plan, prior to February 28, 2009, had allowed retiring plan participants to purchase additional pension benefits by transferring existing Plan account balances to the Company&#146;s Pension Plus Plan.</p>
  <p><B>Payment of Benefits<br>
    </B>Upon termination of service, total disability, death or retirement, participants have the option to receive an amount equal to the value of their accounts in a lump sum payment or, in the case of total disability or retirement, monthly installments over a period not to exceed 15 years. Participants may also elect prior to retirement to withdraw up to 100% of their after-tax contributions and up to 100% of before-tax contributions if the Internal Revenue Service&#146;s criteria for &#147;financial hardship&#148; are met.</p>
  <p><B>Plan Termination<br>
    </B>The Company intends to continue the Plan indefinitely but reserves the right to modify, amend, suspend or terminate the Plan. In the event of plan termination, distributions would be allocated based on the value of the participant accounts.</p>
  <p><B>Administrative Costs<br>
    </B><b> </b>The Plan stipulates that all costs incurred in administering the Plan shall be borne by the Company or, if the Compensation Committee so determines, by the Plan. The Company paid Plan administrative expenses of $81,687 and $48,284 during 2010 and 2009, respectively.</p>
  </blockquote>
<P style="TEXT-ALIGN: left"><B>2. </B><b>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</b><B>Summary of Significant Accounting Policies</B></P>
<blockquote>
  <p><B>Use of Estimates<br>
    </B>The preparation of the financial statements in conformity with accounting principles generally accepted in the United States of America requires Plan management to make estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of changes in net assets during the reporting period. Actual results could differ from those estimates.</p>
  </blockquote>
<P style="TEXT-ALIGN: center">5</P>
<hr noshade align="center" width="100%" size="5">
<font face="Arial, Helvetica, sans-serif" size="2"><!-- *************************************************************************** -->
</font>
<div title="EE+ Page Break" style="FONT-SIZE: 1pt; PAGE-BREAK-AFTER: always; WIDTH: 100%; HEIGHT: 1px"></div>
<!-- -->
<font face="Arial, Helvetica, sans-serif" size="2"></font><BR>

<B>Albany International Corp.</B><BR>

<B>Prosperity Plus Savings Plan</B><BR>

<B>Notes to Financial Statements</B><BR>

<B>December 31, 2010 and 2009</B>
<hr size="1" noshade>
<blockquote>
  <p><B>Risks and Uncertainties<br>
  </B>The Plan provides for various investment options in any combination of stocks, bonds, mutual funds and other investment securities. Investment securities are exposed to various risks, such as interest rate, market and credit. Due to the level of risk associated with certain investment securities and the level of uncertainty related to changes in the value of investment securities, it is at least reasonably possible that changes in risks in the near term would materially affect participants&#146; account balances and the amounts reported in the statements of net assets available for benefits and the statement of changes in net assets available for benefits.</p>
  <p><B>Investment Valuation and Income Recognition<br>
  </B>The Plan&#146;s investments are stated at fair value. Accounting principles define fair value as the exchange price that would be received for an asset or paid to transfer a liability (an exit price) in the principal or most advantageous market for the asset or liability in an orderly transaction between market participants at the measurement date.</p>
  <p>Accounting principles establish a hierarchy for
inputs used in measuring fair value that maximizes the use of observable inputs
and minimizes the use of unobservable inputs by requiring that the most
observable inputs be used when available. The hierarchy is broken down into
three general levels: Level 1 inputs are quoted prices in active markets for
identical assets or liabilities; Level 2 inputs include data points that are
observable, such as quoted prices for similar assets or liabilities in active
markets, quoted prices for identical assets or similar assets or liabilities in
markets that are not active, and inputs (other than quoted prices) such as
interest rates and yield curves that are observable for the asset and liability,
either directly or indirectly; Level 3 inputs are unobservable data points for
the asset or liability, and include situations in which there is little, if any,
market activity for the asset or liability. The asset&#146;s or liability&#146;s
fair value measurement level within the fair value hierarchy is based on the
lowest level of any input that is significant to the fair value measurement.
Valuation techniques used need to maximize the use of observable inputs and
minimize the use of unobservable inputs.</p>
  <p>Investments in registered investment companies are valued using active markets at the latest quoted sales price on the last business day of the year, which represents the net asset value of shares held by the Plan at year end.</p>
  <p>Investment contracts held by a defined-contribution
plan are required to be reported at fair value. However, contract value is the
relevant measurement of fully benefit-responsive investment contracts because
contract value is the amount participants would receive if they were to initiate
permitted transactions under the terms of the plan. The Plan invests in
investment contracts through the Vanguard Retirement Savings Trust, a collective
trust. The statements of net assets available for benefits present the fair
value of the investment in the collective trust as well as the adjustment of the
investment in the collective trust from fair value to contract value relating to
the investment contracts. The statement of changes in net assets available for
benefits is prepared on a contract value basis. The investment in the
common/collective trust is recorded at net asset value (prior to adjustment to
contract value) of shares held by the Plan at year end. There are no penalties
or restrictions for withdrawing assets from the collective trust at any
time.</p>
  <p>The common stock of Albany International Corp. is valued using active markets at the latest quoted price on the last business day of the year.</p>
</blockquote>
<P style="TEXT-ALIGN: center">6</P>
<hr noshade align="center" width="100%" size="5">
<font face="Arial, Helvetica, sans-serif" size="2"><!-- *************************************************************************** -->
</font>
<div title="EE+ Page Break" style="FONT-SIZE: 1pt; PAGE-BREAK-AFTER: always; WIDTH: 100%; HEIGHT: 1px"></div>
<!-- -->
<font face="Arial, Helvetica, sans-serif" size="2"></font><BR>

<B>Albany International Corp.</B><BR>

<B>Prosperity Plus Savings Plan</B><BR>

<B>Notes to Financial Statements</B><BR>

<B>December 31, 2010 and 2009</B>
<hr size="1" noshade>
<blockquote>
  <p>These methods may produce a fair value calculation that may not be indicative of net realizable value or reflective of future fair values. Furthermore, while the Plan believes its valuation methods are appropriate and consistent with other market participants, the use of different methodologies or assumptions to determine the fair value of certain financial instruments could result in a different fair value measurement at the reporting date.</p>
  <p>Security transactions are recorded on a trade-date basis. Gains or losses on sales of securities are based on average cost.</p>
  <p>Dividend income is recorded on the ex-dividend date. Dividends declared by the Board of Directors of the Company on Albany International Corp. Class A common stock may be reinvested in the Plan or received as a cash distribution as elected by the participant. Total cash dividends received by participants were $605,501 and $543,297 for the years ended December 31, 2010 and 2009, respectively. Interest income is recorded as earned.</p>
  <p>The Plan presents in the statement of changes in net assets available for benefits the net appreciation in the fair value of its investments, which consists of realized gains and losses and unrealized appreciation/depreciation on those investments.</p>
  <p><B>Payment of Benefits</B><BR>

Benefit payments are recorded when paid.</p>
  <p><B>Recent Accounting Pronouncements<br>
  </B>In January 2010, the FASB issued guidance that requires reporting entities to make new disclosures about recurring or nonrecurring fair-value measurements, including significant transfers into and out of Level 1 and Level 2 fair-value measurements and information on purchases, sales, issuances, and settlements on a gross basis in the reconciliation of Level 3 fair-value measurements. The adoption of these provisions did not have a material effect on the financial statements.</p>
  <p>In September 2010, the FASB issued guidance that requires participant notes to be measured at their unpaid principal balance plus any accrued but unpaid interest and classified as notes receivable from participants. Previously, notes were measured at fair value and classified as investments. The adoption of this guidance did not have a material effect on the financial statements. As a result of the adoption of the new guidance, the Plan retrospectively classified participant notes as notes receivable from participants.</p>
  <p>In May 2011, the FASB issued guidance intended to improve the comparability of fair value measurements presented and disclosed in financial statements prepared in accordance with U.S. GAAP. The amendments are of two types: (i) those that clarify the Board&#146;s intent about the application of existing fair value measurement and disclosure requirements and (ii) those that change a particular principle or requirement for measuring fair value or for disclosing information about fair value measurements. The guidance is effective for the 2011 Plan year and is not expected to have a material impact on the Plan financial statements<I>.</I></p>
</blockquote>
<P style="TEXT-ALIGN: center">7</P>
<hr noshade align="center" width="100%" size="5">
<font face="Arial, Helvetica, sans-serif" size="2"><!-- *************************************************************************** -->
</font>
<div title="EE+ Page Break" style="FONT-SIZE: 1pt; PAGE-BREAK-AFTER: always; WIDTH: 100%; HEIGHT: 1px"></div>
<!-- -->
<font face="Arial, Helvetica, sans-serif" size="2"></font><BR>

<B>Albany International Corp.</B><BR>

<B>Prosperity Plus Savings Plan</B><BR>

<B>Notes to Financial Statements</B><BR>

<B>December 31, 2010 and 2009</B>
<hr size="1" noshade>
<P style="TEXT-ALIGN: left"><B>3. </B><b>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</b><B>Investments</B></P>
<blockquote>
  <p>The following table sets forth by level, within the fair value hierarchy, the Plan&#146;s investments at fair value as of December 31, 2010:</p>
</blockquote>
<TABLE style="FONT-SIZE: 10pt; FONT-FAMILY: 'Arial'" cellSpacing=0 border=0 width="100%" cellpadding="0">

  <TR>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
  </TR>

  <TR vAlign=bottom>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=center colSpan=2><B>Level 1</B></TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=center>
      <div align="center"><B>Level 2</B></div>
    </TD>
    <TD align=left width="2%">&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>
      <div align="center"><B>Level 3</B></div>
    </TD>
    <TD align=right width="2%">&nbsp;</TD>
    <TD align=center>&nbsp;</TD>
    <TD align=center>
      <div align="center"><B>Total</B></div>
    </TD>
  </TR>

  <TR>

    <TD colSpan=13>&nbsp;</TD>
  </TR>

  <TR vAlign=bottom>
    <TD align=left>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
    <TD align=left>Registered investment</TD>
    <TD align=right bgcolor="#FFFFFF">&nbsp;</TD>
    <TD align=center bgcolor="#FFFFFF" width="10%">&nbsp;</TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=center bgColor=#FFFFFF width="10%">&nbsp;</TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=left bgcolor="#FFFFFF">&nbsp;</TD>
    <TD align=left bgcolor="#FFFFFF" width="10%">&nbsp;</TD>
    <TD align=right>&nbsp;</TD>
    <TD align=center>&nbsp;</TD>
    <TD align=center width="10%">&nbsp;</TD>
  </TR>

  <TR vAlign=bottom>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;&nbsp;companies</TD>
    <TD align=right bgcolor="#FFFFFF">&nbsp;</TD>
    <TD align=center bgcolor="#FFFFFF">&nbsp;</TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=center bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=left bgcolor="#FFFFFF">&nbsp;</TD>
    <TD align=left bgcolor="#FFFFFF">&nbsp;</TD>
    <TD align=right>&nbsp;</TD>
    <TD align=center>&nbsp;</TD>
    <TD align=center>&nbsp;</TD>
  </TR>

  <TR vAlign=bottom>
    <TD style="TEXT-INDENT: 5px" align=left>&nbsp;</TD>
    <TD style="TEXT-INDENT: 5px" align=left>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Balanced funds</TD>
    <TD align=right bgcolor="#FFFFFF" width="2%">
      <div align="left">$</div>
    </TD>
    <TD align=center bgcolor="#FFFFFF"><FONT style="WIDTH: 56pt; TEXT-ALIGN: right">49,008,438</FONT></TD>
    <TD align=left bgColor=#FFFFFF width="2%">&nbsp;</TD>
    <TD align=left bgColor=#FFFFFF width="2%">
      <div align="left">$</div>
    </TD>
    <TD align=center bgColor=#FFFFFF>
      <div align="right"><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">-</FONT></div>
    </TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=left bgcolor="#FFFFFF" width="2%">
      <div align="left">$</div>
    </TD>
    <td align=center>
      <div align="right"><font style="WIDTH: 12pt; TEXT-ALIGN: right">-</font></div>
    </td>
    <TD align=right>&nbsp;</TD>
    <TD align=center width="2%">
      <div align="left"><font style="WIDTH: 12pt; TEXT-ALIGN: right">$</font></div>
    </TD>
    <TD align=center>
      <div align="right"><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">49,008,438</FONT></div>
    </TD>
  </TR>

  <TR vAlign=bottom>
    <TD style="TEXT-INDENT: 5px" align=left>&nbsp;</TD>
    <TD style="TEXT-INDENT: 5px" align=left>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Bond funds</TD>
    <TD align=right bgcolor="#FFFFFF">&nbsp;</TD>
    <TD align=center bgcolor="#FFFFFF"><FONT style="WIDTH: 56pt; TEXT-ALIGN: right">14,789,539</FONT></TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=center bgColor=#FFFFFF>
      <div align="right"><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">-</FONT></div>
    </TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=left bgcolor="#FFFFFF">&nbsp;</TD>
    <td align=center>
      <div align="right"><font style="WIDTH: 12pt; TEXT-ALIGN: right">-</font></div>
    </td>
    <TD align=right>&nbsp;</TD>
    <TD align=center>&nbsp;</TD>
    <TD align=center><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">14,789,539</FONT></TD>
  </TR>

  <TR vAlign=bottom>
    <TD style="TEXT-INDENT: 5px" align=left>&nbsp;</TD>
    <TD style="TEXT-INDENT: 5px" align=left>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Brokerage funds</TD>
    <TD align=right bgcolor="#FFFFFF">&nbsp;</TD>
    <TD align=center bgcolor="#FFFFFF"><FONT style="WIDTH: 56pt; TEXT-ALIGN: right">2,495,218</FONT></TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=center bgColor=#FFFFFF>
      <div align="right"><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">-</FONT></div>
    </TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=left bgcolor="#FFFFFF">&nbsp;</TD>
    <td align=center>
      <div align="right"><font style="WIDTH: 12pt; TEXT-ALIGN: right">-</font></div>
    </td>
    <TD align=right>&nbsp;</TD>
    <TD align=center>&nbsp;</TD>
    <TD align=center><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">2,495,218</FONT></TD>
  </TR>

  <TR vAlign=bottom>
    <TD style="TEXT-INDENT: 5px" align=left>&nbsp;</TD>
    <TD style="TEXT-INDENT: 5px" align=left>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Domestic stock funds</TD>
    <TD align=right bgcolor="#FFFFFF">&nbsp;</TD>
    <TD align=center bgcolor="#FFFFFF"><FONT style="WIDTH: 56pt; TEXT-ALIGN: right">71,238,608</FONT></TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=center bgColor=#FFFFFF>
      <div align="right"><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">-</FONT></div>
    </TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=left bgcolor="#FFFFFF">&nbsp;</TD>
    <td align=center>
      <div align="right"><font style="WIDTH: 12pt; TEXT-ALIGN: right">-</font></div>
    </td>
    <TD align=right>&nbsp;</TD>
    <TD align=center>&nbsp;</TD>
    <TD align=center><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">71,238,608</FONT></TD>
  </TR>

  <TR vAlign=bottom>
    <TD style="TEXT-INDENT: 5px" align=left>&nbsp;</TD>
    <TD style="TEXT-INDENT: 5px" align=left>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;International stock funds</TD>
    <TD align=right bgcolor="#FFFFFF">&nbsp;</TD>
    <TD align=center bgcolor="#FFFFFF"><FONT style="WIDTH: 56pt; TEXT-ALIGN: right">8,969,839</FONT></TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=center bgColor=#FFFFFF>
      <div align="right"><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">-</FONT></div>
    </TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=left bgcolor="#FFFFFF">&nbsp;</TD>
    <td align=center>
      <div align="right"><font style="WIDTH: 12pt; TEXT-ALIGN: right">-</font></div>
    </td>
    <TD align=right>&nbsp;</TD>
    <TD align=center>&nbsp;</TD>
    <TD align=center><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">8,969,839</FONT></TD>
  </TR>

  <TR vAlign=bottom>
    <TD style="TEXT-INDENT: 5px" align=left>&nbsp;</TD>
    <TD style="TEXT-INDENT: 5px" align=left>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Money market funds</TD>
    <TD align=right bgcolor="#FFFFFF">&nbsp;</TD>
    <TD align=center bgcolor="#FFFFFF"><FONT style="WIDTH: 56pt; TEXT-ALIGN: right">22,256</FONT></TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=center bgColor=#FFFFFF>
      <div align="right"><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">-</FONT></div>
    </TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=left bgcolor="#FFFFFF">&nbsp;</TD>
    <td align=center>
      <div align="right"><font style="WIDTH: 12pt; TEXT-ALIGN: right">-</font></div>
    </td>
    <TD align=right>&nbsp;</TD>
    <TD align=center>&nbsp;</TD>
    <TD align=center><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">22,256</FONT></TD>
  </TR>

  <TR vAlign=bottom>
    <TD align=left>&nbsp;</TD>
    <TD align=left>Albany International Class A</TD>
    <TD align=right bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=center bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=center bgColor=#FFFFFF>
      <div align="right"></div>
    </TD>
    <TD align=left bgcolor="#FFFFFF">&nbsp;</TD>
    <TD align=left bgcolor="#FFFFFF">&nbsp;</TD>
    <td align=center>
      <div align="right"></div>
    </td>
    <TD align=right>&nbsp;</TD>
    <TD align=center>&nbsp;</TD>
    <TD align=center>&nbsp;</TD>
  </TR>

  <TR vAlign=bottom>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;&nbsp;Common Stock</TD>
    <TD align=right bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=center bgColor=#FFFFFF><FONT style="WIDTH: 56pt; TEXT-ALIGN: right">37,636,048</FONT></TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=center bgcolor="#FFFFFF">
      <div align="right"><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">-</FONT></div>
    </TD>
    <TD align=left bgcolor="#FFFFFF">&nbsp;</TD>
    <TD align=left bgcolor="#FFFFFF">&nbsp;</TD>
    <td align=center>
      <div align="right"><font style="WIDTH: 12pt; TEXT-ALIGN: right">-</font></div>
    </td>
    <TD align=right>&nbsp;</TD>
    <TD align=center>&nbsp;</TD>
    <TD align=center><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">37,636,048</FONT></TD>
  </TR>

  <TR vAlign=bottom>
    <TD align=left>&nbsp;</TD>
    <TD align=left>Common/collective trust</TD>
    <TD  align=right bgColor=#FFFFFF>&nbsp;</TD>
    <TD  align=center bgColor=#FFFFFF><FONT style="WIDTH: 56pt; TEXT-ALIGN: right">-</FONT></TD>
    <TD  align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD  align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD  align=center bgColor=#FFFFFF>
      <div align="right"><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">38,527,002</FONT></div>
    </TD>
    <TD  align=left bgcolor="#FFFFFF">&nbsp;</TD>
    <TD  align=left bgcolor="#FFFFFF">&nbsp;</TD>
    <td  align=center>
      <div align="right"><font style="WIDTH: 12pt; TEXT-ALIGN: right">-</font></div>
    </td>
    <TD  align=right>&nbsp;</TD>
    <TD  align=center>&nbsp;</TD>
    <TD  align=center><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">38,527,002</FONT></TD>
  </TR>
  <TR vAlign=bottom>
    <TD style="TEXT-INDENT: 13px" align=left>&nbsp;</TD>
    <TD style="TEXT-INDENT: 13px" align=left>&nbsp;</TD>
    <TD  align=right bgColor=#FFFFFF>
      <hr size="1">
    </TD>
    <TD  align=center bgColor=#FFFFFF>
      <hr size="1">
    </TD>
    <TD  align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD  align=left bgColor=#FFFFFF>
      <hr size="1">
    </TD>
    <TD  align=center bgColor=#FFFFFF>
      <hr size="1">
    </TD>
    <TD  align=left bgcolor="#FFFFFF">&nbsp;</TD>
    <TD  align=left bgcolor="#FFFFFF">
      <hr size="1">
    </TD>
    <td  align=center>
      <hr size="1" align="right">
    </td>
    <TD  align=right>&nbsp;</TD>
    <TD  align=center>
      <hr size="1">
    </TD>
    <TD  align=center>
      <hr size="1">
    </TD>
  </TR>

  <TR vAlign=bottom>
    <TD style="TEXT-INDENT: 13px" align=left>&nbsp;</TD>
    <TD style="TEXT-INDENT: 13px" align=left>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Total investments</TD>
    <TD  align=right bgColor=#FFFFFF>
      <div align="left">$</div>
    </TD>
    <TD  align=center bgColor=#FFFFFF><FONT style="WIDTH: 56pt; TEXT-ALIGN: right">184,159,946</FONT></TD>
    <TD  align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD  align=left bgColor=#FFFFFF>
      <div align="left">$</div>
    </TD>
    <TD  align=center bgColor=#FFFFFF><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">38,527,002</FONT></TD>
    <TD  align=left bgcolor="#FFFFFF">&nbsp;</TD>
    <TD  align=left bgcolor="#FFFFFF">
      <div align="left">$</div>
    </TD>
    <td  align=center>
      <div align="right">- </div>
    </td>
    <TD  align=right>&nbsp;</TD>
    <TD  align=center>
      <div align="left">$</div>
    </TD>
    <TD  align=center>
      <div align="right">222,686,948</div>
    </TD>
  </TR>
  <TR vAlign=bottom>
    <TD style="TEXT-INDENT: 13px" align=left>&nbsp;</TD>
    <TD style="TEXT-INDENT: 13px" align=left>&nbsp;</TD>
    <TD  align=right bgColor=#FFFFFF>
      <hr size="2">
    </TD>
    <TD  align=center bgColor=#FFFFFF>
      <hr size="2">
    </TD>
    <TD  align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD  align=left bgColor=#FFFFFF>
      <hr size="2">
    </TD>
    <TD  align=center bgColor=#FFFFFF>
      <hr size="2">
    </TD>
    <TD  align=left bgcolor="#FFFFFF">&nbsp;</TD>
    <TD  align=left bgcolor="#FFFFFF">
      <hr size="2">
    </TD>
    <td  align=center>
      <hr size="2" align="right">
    </td>
    <TD  align=right>&nbsp;</TD>
    <TD  align=center>
      <hr size="2">
    </TD>
    <TD  align=center>
      <hr size="2">
    </TD>
  </TR>
</TABLE>

<blockquote>
  <p>The following table sets forth by level, within the fair value hierarchy, the Plan&#146;s investments at fair value as of December 31, 2009:</p>
</blockquote>
<TABLE style="FONT-SIZE: 10pt; FONT-FAMILY: 'Arial'" cellSpacing=0 border=0 width="100%" cellpadding="0">

  <TR>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
  </TR>

  <TR vAlign=bottom bgcolor="#FFFFFF">
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=center colSpan=2>
      <div align="center"><B>Level 1</B></div>
    </TD>
    <TD align=left>
      <div align="center"></div>
    </TD>
    <TD align=left>
      <div align="center"></div>
    </TD>
    <TD align=center>
      <div align="center"><B>Level 2</B></div>
    </TD>
    <TD align=left>
      <div align="center"></div>
    </TD>
    <TD align=left>
      <div align="center"></div>
    </TD>
    <TD align=left>
      <div align="center"><B>Level 3</B></div>
    </TD>
    <TD align=right>
      <div align="center"></div>
    </TD>
    <TD align=center>
      <div align="center"></div>
    </TD>
    <TD align=center>
      <div align="center"><B>Total</B></div>
    </TD>
  </TR>

  <TR bgcolor="#FFFFFF">

    <TD colSpan=13>&nbsp;</TD>
  </TR>

  <TR vAlign=bottom bgcolor="#FFFFFF">
    <TD align=left>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
    <TD align=left>Registered investment</TD>
    <TD align=right>&nbsp;</TD>
    <TD align=center width="10%">&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=center>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=right>&nbsp;</TD>
    <TD align=center>&nbsp;</TD>
    <TD align=center>&nbsp;</TD>
  </TR>

  <TR vAlign=bottom bgcolor="#FFFFFF">
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;&nbsp;companies</TD>
    <TD align=right>&nbsp;</TD>
    <TD align=center>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=center>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=right>&nbsp;</TD>
    <TD align=center>&nbsp;</TD>
    <TD align=center>&nbsp;</TD>
  </TR>

  <TR vAlign=bottom bgcolor="#FFFFFF">
    <TD style="TEXT-INDENT: 5px" align=left>&nbsp;</TD>
    <TD style="TEXT-INDENT: 5px" align=left>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Balanced funds</TD>
    <TD align=right width="2%">
      <div align="left">$</div>
    </TD>
    <TD align=center><FONT style="WIDTH: 56pt; TEXT-ALIGN: right">45,681,602</FONT></TD>
    <TD align=left width="2%">&nbsp;</TD>
    <TD align=left width="2%">$</TD>
    <TD align=center width="10%">
      <div align="right"><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">-</FONT></div>
    </TD>
    <TD align=left width="2%">&nbsp;</TD>
    <TD align=left width="2%">$</TD>
    <td align=center width="10%">
      <div align="right"><font style="WIDTH: 12pt; TEXT-ALIGN: right">-</font></div>
    </td>
    <TD align=right width="2%">&nbsp;</TD>
    <TD align=center width="2%">
      <div align="left"><font style="WIDTH: 12pt; TEXT-ALIGN: right">$</font></div>
    </TD>
    <TD align=center width="10%"><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">45,681,602</FONT></TD>
  </TR>

  <TR vAlign=bottom bgcolor="#FFFFFF">
    <TD style="TEXT-INDENT: 5px" align=left>&nbsp;</TD>
    <TD style="TEXT-INDENT: 5px" align=left>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Bond funds</TD>
    <TD align=right>&nbsp;</TD>
    <TD align=center><FONT style="WIDTH: 56pt; TEXT-ALIGN: right">13,365,634</FONT></TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=center>
      <div align="right"><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">-</FONT></div>
    </TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <td align=center>
      <div align="right"><font style="WIDTH: 12pt; TEXT-ALIGN: right">-</font></div>
    </td>
    <TD align=right>&nbsp;</TD>
    <TD align=center>
      <div align="left"></div>
    </TD>
    <TD align=center><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">13,365,634</FONT></TD>
  </TR>

  <TR vAlign=bottom bgcolor="#FFFFFF">
    <TD style="TEXT-INDENT: 5px" align=left>&nbsp;</TD>
    <TD style="TEXT-INDENT: 5px" align=left>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Brokerage funds</TD>
    <TD align=right>&nbsp;</TD>
    <TD align=center><FONT style="WIDTH: 56pt; TEXT-ALIGN: right">1,780,199</FONT></TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=center>
      <div align="right"><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">-</FONT></div>
    </TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <td align=center>
      <div align="right"><font style="WIDTH: 12pt; TEXT-ALIGN: right">-</font></div>
    </td>
    <TD align=right>&nbsp;</TD>
    <TD align=center>
      <div align="left"></div>
    </TD>
    <TD align=center><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">1,780,199</FONT></TD>
  </TR>

  <TR vAlign=bottom bgcolor="#FFFFFF">
    <TD style="TEXT-INDENT: 5px" align=left>&nbsp;</TD>
    <TD style="TEXT-INDENT: 5px" align=left>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Domestic stock funds</TD>
    <TD align=right>&nbsp;</TD>
    <TD align=center><FONT style="WIDTH: 56pt; TEXT-ALIGN: right">68,784,099</FONT></TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=center>
      <div align="right"><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">-</FONT></div>
    </TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <td align=center>
      <div align="right"><font style="WIDTH: 12pt; TEXT-ALIGN: right">-</font></div>
    </td>
    <TD align=right>&nbsp;</TD>
    <TD align=center>
      <div align="left"></div>
    </TD>
    <TD align=center><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">68,784,099</FONT></TD>
  </TR>

  <TR vAlign=bottom bgcolor="#FFFFFF">
    <TD style="TEXT-INDENT: 5px" align=left>&nbsp;</TD>
    <TD style="TEXT-INDENT: 5px" align=left>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;International stock funds</TD>
    <TD align=right>&nbsp;</TD>
    <TD align=center><FONT style="WIDTH: 56pt; TEXT-ALIGN: right">9,725,564</FONT></TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=center>
      <div align="right"><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">-</FONT></div>
    </TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <td align=center>
      <div align="right"><font style="WIDTH: 12pt; TEXT-ALIGN: right">-</font></div>
    </td>
    <TD align=right>&nbsp;</TD>
    <TD align=center>
      <div align="left"></div>
    </TD>
    <TD align=center><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">9,725,564</FONT></TD>
  </TR>

  <TR vAlign=bottom bgcolor="#FFFFFF">
    <TD style="TEXT-INDENT: 5px" align=left>&nbsp;</TD>
    <TD style="TEXT-INDENT: 5px" align=left>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Money market funds</TD>
    <TD align=right>&nbsp;</TD>
    <TD align=center><FONT style="WIDTH: 56pt; TEXT-ALIGN: right">16,114</FONT></TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=center>
      <div align="right"><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">-</FONT></div>
    </TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <td align=center>
      <div align="right"><font style="WIDTH: 12pt; TEXT-ALIGN: right">-</font></div>
    </td>
    <TD align=right>&nbsp;</TD>
    <TD align=center>
      <div align="left"></div>
    </TD>
    <TD align=center><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">16,114</FONT></TD>
  </TR>

  <TR vAlign=bottom bgcolor="#FFFFFF">
    <TD align=left>&nbsp;</TD>
    <TD align=left>Albany International Class A</TD>
    <TD align=right>&nbsp;</TD>
    <TD align=center>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=center>
      <div align="right"></div>
    </TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <td align=center>
      <div align="right"></div>
    </td>
    <TD align=right>&nbsp;</TD>
    <TD align=center>
      <div align="left"></div>
    </TD>
    <TD align=center>&nbsp;</TD>
  </TR>

  <TR vAlign=bottom bgcolor="#FFFFFF">
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;&nbsp;Common Stock</TD>
    <TD align=right>&nbsp;</TD>
    <TD align=center><FONT style="WIDTH: 56pt; TEXT-ALIGN: right">36,004,798</FONT></TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=center>
      <div align="right"><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">-</FONT></div>
    </TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <td align=center>
      <div align="right"><font style="WIDTH: 12pt; TEXT-ALIGN: right">-</font></div>
    </td>
    <TD align=right>&nbsp;</TD>
    <TD align=center>
      <div align="left"></div>
    </TD>
    <TD align=center><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">36,004,798</FONT></TD>
  </TR>

  <TR vAlign=bottom bgcolor="#FFFFFF">
    <TD align=left>&nbsp;</TD>
    <TD align=left>Common/collective trust</TD>
    <TD  align=right>&nbsp;</TD>
    <TD  align=center><FONT style="WIDTH: 56pt; TEXT-ALIGN: right">-</FONT></TD>
    <TD  align=left>&nbsp;</TD>
    <TD  align=left>&nbsp;</TD>
    <TD  align=center>
      <div align="right"><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">40,466,994</FONT></div>
    </TD>
    <TD  align=left>&nbsp;</TD>
    <TD  align=left>&nbsp;</TD>
    <td  align=center>
      <div align="right"><font style="WIDTH: 12pt; TEXT-ALIGN: right">-</font></div>
    </td>
    <TD  align=right>&nbsp;</TD>
    <TD  align=center>
      <div align="left"></div>
    </TD>
    <TD  align=center><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">40,466,994</FONT></TD>
  </TR>
  <TR vAlign=bottom bgcolor="#FFFFFF">
    <TD style="TEXT-INDENT: 13px" align=left>&nbsp;</TD>
    <TD style="TEXT-INDENT: 13px" align=left>&nbsp;</TD>
    <TD  align=right>
      <hr size="1">
    </TD>
    <TD  align=center>
      <hr size="1">
    </TD>
    <TD  align=left>&nbsp;</TD>
    <TD  align=left>
      <hr size="1">
    </TD>
    <TD  align=center>
      <hr size="1" align="right">
    </TD>
    <TD  align=left>&nbsp;</TD>
    <TD  align=left>
      <hr size="1">
    </TD>
    <TD  align=left>
      <hr size="1" align="right">
    </TD>
    <TD  align=right>&nbsp;</TD>
    <TD  align=center>
      <hr size="1">
    </TD>
    <TD  align=center>
      <hr size="1">
    </TD>
  </TR>

  <TR vAlign=bottom bgcolor="#FFFFFF">
    <TD style="TEXT-INDENT: 13px" align=left>&nbsp;</TD>
    <TD style="TEXT-INDENT: 13px" align=left>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Total investments</TD>
    <TD  align=right>
      <div align="left">$</div>
    </TD>
    <TD  align=center><FONT style="WIDTH: 56pt; TEXT-ALIGN: right">175,358,010</FONT></TD>
    <TD  align=left>&nbsp;</TD>
    <TD  align=left>$</TD>
    <TD  align=center><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">40,466,994</FONT></TD>
    <TD  align=left>&nbsp;</TD>
    <TD  align=left>$</TD>
    <TD  align=left>
      <div align="right">-</div>
    </TD>
    <TD  align=right>&nbsp; </TD>
    <TD  align=center>
      <div align="left">$</div>
    </TD>
    <TD  align=center>
      <div align="right">215,825,004</div>
    </TD>
  </TR>
  <TR vAlign=bottom bgcolor="#FFFFFF">
    <TD style="TEXT-INDENT: 13px" align=left>&nbsp;</TD>
    <TD style="TEXT-INDENT: 13px" align=left>&nbsp;</TD>
    <td  align=right>
      <hr size="2">
    </td>
    <td  align=center>
      <hr size="2">
    </td>
    <td  align=left>&nbsp;</td>
    <td  align=left>
      <hr size="2">
    </td>
    <td  align=center>
      <hr size="2">
    </td>
    <td  align=left>&nbsp;</td>
    <td  align=left>
      <hr size="2">
    </td>
    <td  align=center>
      <hr size="2" align="right">
    </td>
    <td  align=right>&nbsp;</td>
    <td  align=center>
      <hr size="2">
    </td>
    <td  align=center>
      <hr size="2">
    </td>
  </TR>
</TABLE>
<BR>
<P style="TEXT-ALIGN: center">8</P>
<hr noshade align="center" width="100%" size="5">
<font face="Arial, Helvetica, sans-serif" size="2"><!-- *************************************************************************** -->
</font>
<div title="EE+ Page Break" style="FONT-SIZE: 1pt; PAGE-BREAK-AFTER: always; WIDTH: 100%; HEIGHT: 1px"></div>
<!-- -->
<font face="Arial, Helvetica, sans-serif" size="2"></font><BR>

<B>Albany International Corp.</B><BR>

<B>Prosperity Plus Savings Plan</B><BR>

<B>Notes to Financial Statements</B><BR>

<B>December 31, 2010 and 2009<br>
  </B>
<hr size="1" noshade>
<blockquote>
  <p>The following investments represent 5% or more of net assets available for benefits at December 31:</p>
</blockquote>
<TABLE style="FONT-SIZE: 10pt; FONT-FAMILY: 'Arial'" cellSpacing=0 border=0 width="100%">

  <TR>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
  </TR>

  <TR vAlign=bottom>
    <TD align=left>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=center><B>2010</B></TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=center><B>2009</B></TD>
  </TR>

  <TR>

    <TD colSpan=7>&nbsp;</TD>
  </TR>

  <TR vAlign=bottom>
    <TD align=left>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
    <TD align=left width="68%">PIMCO Total Return Fund</TD>
    <TD align=left width="2%">$</TD>
    <TD align=center width="10%"><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">14,789,539</FONT></TD>
    <TD align=left width="2%">&nbsp;</TD>
    <TD align=left width="2%">$</TD>
    <TD align=center width="10%"><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">13,365,634</FONT></TD>
  </TR>

  <TR vAlign=bottom>
    <TD align=left>&nbsp;</TD>
    <TD align=left>Vanguard Institutional Index Fund</TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=center bgColor=#FFFFFF><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">31,010,698</FONT></TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=center><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">29,834,086</FONT></TD>
  </TR>

  <TR vAlign=bottom>
    <TD align=left>&nbsp;</TD>
    <TD align=left>Vanguard Mid-Cap Index Fund</TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=center bgColor=#FFFFFF><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">13,470,090</FONT></TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=center><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">11,419,444</FONT></TD>
  </TR>

  <TR vAlign=bottom>
    <TD align=left>&nbsp;</TD>
    <TD align=left>Vanguard Target Retirement 2015 Fund</TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=center bgColor=#FFFFFF><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">13,089,715</FONT></TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=center><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">15,755,292</FONT></TD>
  </TR>

  <TR vAlign=bottom>
    <TD align=left>&nbsp;</TD>
    <TD align=left>Vanguard Target Retirement 2025 Fund</TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=center bgColor=#FFFFFF><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">18,159,031</FONT></TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=center><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">16,298,420</FONT></TD>
  </TR>

  <TR vAlign=bottom>
    <TD align=left>&nbsp;</TD>
    <TD align=left>Albany International Class A Common Stock</TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=center bgColor=#FFFFFF><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">37,636,048</FONT></TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=center><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">36,004,798</FONT></TD>
  </TR>

  <TR vAlign=bottom>
    <TD align=left>&nbsp;</TD>
    <TD align=left>Eaton Vance Large Cap Value Fund</TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=center bgColor=#FFFFFF><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">17,562,973</FONT></TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=center><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">19,867,479</FONT></TD>
  </TR>

  <TR vAlign=bottom>
    <TD align=left>&nbsp;</TD>
    <TD align=left>Vanguard Retirement Savings Trust</TD>
    <TD align=left bgColor=#FFFFFF>&nbsp;</TD>
    <TD align=center bgColor=#FFFFFF><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">38,527,002</FONT></TD>
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=center><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">40,466,994</FONT></TD>
  </TR>
</TABLE>

<blockquote>
  <p>During 2010 and 2009, the Plan&#146;s investments (including gains and losses on investments bought and sold, as well as held during the year) appreciated in value as follows:</p>
</blockquote>
<TABLE style="FONT-SIZE: 10pt; FONT-FAMILY: 'Arial'" cellSpacing=0 border=0 width="100%">

  <TR>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
  </TR>

  <TR vAlign=bottom bgcolor="#FFFFFF">
    <TD align=left>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=center>&nbsp;</TD>
    <TD align=center><B>2010</B></TD>
    <TD align=center>&nbsp;</TD>
    <TD align=center>&nbsp;</TD>
    <TD align=center><B>2009</B></TD>
  </TR>

  <TR vAlign=bottom bgcolor="#FFFFFF">
    <TD align=left>&nbsp;</TD>
    <TD align=left width="68%">Albany International Class A Common Stock</TD>
    <TD align=center width="2%">
      <div align="left"><FONT style="WIDTH: 6pt; TEXT-ALIGN: right">$</FONT></div>
    </TD>
    <TD align=center width="10%"><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">2,229,064</FONT></TD>
    <TD align=center width="2%">&nbsp;</TD>
    <TD align=center width="2%">
      <div align="left"><FONT style="WIDTH: 6pt; TEXT-ALIGN: right">$</FONT></div>
    </TD>
    <TD align=center width="10%"><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">18,388,573</FONT></TD>
  </TR>

  <TR vAlign=bottom bgcolor="#FFFFFF">
    <TD align=left>&nbsp;</TD>
    <TD align=left>Registered investment companies</TD>
    <TD  align=center>
      <div align="left"></div>
    </TD>
    <TD  align=center><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">13,972,028</FONT></TD>
    <TD  align=center>&nbsp;</TD>
    <TD  align=center>
      <div align="left"></div>
    </TD>
    <TD  align=center><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">22,921,762</FONT></TD>
  </TR>
  <TR vAlign=bottom bgcolor="#FFFFFF">
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD  align=center>
      <hr size="1">
    </TD>
    <TD  align=center>
      <hr size="1">
    </TD>
    <TD  align=center>&nbsp;</TD>
    <TD  align=center>
      <hr size="1">
    </TD>
    <TD  align=center>
      <hr size="1">
    </TD>
  </TR>

  <TR vAlign=bottom bgcolor="#FFFFFF">
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD  align=center>
      <div align="left"><FONT style="WIDTH: 6pt; TEXT-ALIGN: right">$</FONT></div>
    </TD>
    <TD  align=center><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">16,201,092</FONT></TD>
    <TD  align=center>&nbsp;</TD>
    <TD  align=center>
      <div align="left"><FONT style="WIDTH: 6pt; TEXT-ALIGN: right">$</FONT></div>
    </TD>
    <TD  align=center><FONT style="WIDTH: 51pt; TEXT-ALIGN: right">41,310,335</FONT></TD>
  </TR>
  <TR vAlign=bottom bgcolor="#FFFFFF">
    <TD align=left>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD  align=center>
      <hr size="2">
    </TD>
    <TD  align=center>
      <hr size="2">
    </TD>
    <TD  align=center>&nbsp;</TD>
    <TD  align=center>
      <hr size="2">
    </TD>
    <TD  align=center>
      <hr size="2">
    </TD>
  </TR>
</TABLE>

<P style="TEXT-ALIGN: left" align="left"><b>4. </b><b>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</b><b></b><b>Notes Receivable from Participants</b> </P>
<blockquote>
  <p>Notes receivable from participants are valued at their unpaid balance plus any accrued but unpaid interest. </p>
  <p>Participants may borrow from their fund accounts a minimum of $1,000 and additional amounts in multiples of $500 up to a maximum equal to the lesser of $50,000, minus the participant&#146;s highest outstanding note balance over the last 12 months, or 50% of their account balance. Interest rates on notes are determined by the Compensation Committee from time to time with the rate remaining constant throughout the life of the note (rates range between 4.25% and 10.25% at December 31, 2010 and 2009). Notes are to be repaid through payroll deductions, although they may be repaid in a lump sum amount, generally over a period from 1 to 5 years except for notes for the purchase of a primary residence. Home purchase note repayments range from 5 to 20 years. </p>
</blockquote>
<P style="TEXT-ALIGN: left" align="left"><b>5. </b><b>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</b><b></b><b>Related Party Transactions</b> </P>
<blockquote>
  <p>The Plan invests in shares of mutual funds (including the Vanguard brokerage option) managed by an affiliate of Vanguard Fiduciary Trust Company (&#147;VFTC&#148;). VFTC acts as trustee for the investments held by the Plan. The Plan also invests in shares of the Plan Sponsor&#146;s Albany International Class A common stock. The Plan purchased $12,947,102 and $13,551,820 and sold $13,544,917 and $10,224,677 of Albany International Class A common stock during the years ended December 31, 2010 and 2009. Transactions in such investments qualify as party-in-interest transactions which are exempt from the prohibited transaction rules.</p>
</blockquote>
<P style="TEXT-ALIGN: center">9</P>
<hr noshade align="center" width="100%" size="5">
<font face="Arial, Helvetica, sans-serif" size="2"><!-- *************************************************************************** -->
</font>
<div title="EE+ Page Break" style="FONT-SIZE: 1pt; PAGE-BREAK-AFTER: always; WIDTH: 100%; HEIGHT: 1px"></div>
<!-- -->
<font face="Arial, Helvetica, sans-serif" size="2"></font><BR>

<B>Albany International Corp.</B><BR>

<B>Prosperity Plus Savings Plan</B><BR>

<B>Notes to Financial Statements</B><BR>

<B>December 31, 2010 and 2009</B>
<hr size="1" noshade>
<P style="TEXT-ALIGN: left"><b>6. </b><b>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</b><b></b><b></b><b>Tax Status</b> </P>
<blockquote>
  <p>The Internal Revenue Service has determined and informed the Company by a letter dated January 31, 2003, that the Plan is qualified and the trust established under the Plan is tax-exempt, under the appropriate sections of the Code. The Plan has been amended since receiving the determination letter. However, the Plan administrator believes that the Plan is currently designed and being operated in compliance with the applicable requirements of the Code. Therefore, the Plan administrator believes that the Plan was qualified and the related trust was tax-exempt as of the financial statement date. </p>
  <p>Accounting principles generally accepted in the United States of America require plan management to evaluate tax positions taken by the Plan and recognize a tax liability (or asset) if the organization has taken an uncertain position that more likely than not would not be sustained upon examination by the Internal Revenue Service. The plan administrator has analyzed the tax positions taken by the Plan, and has concluded that as of December 31, 2010 there are no uncertain positions taken or expected to be taken that would require recognition of a liability (or asset) or disclosure in the financial statements. The plan is subject to routine audits by taxing jurisdictions; however, there are currently no audits for any tax periods in progress. The plan administrator believes it is no longer subject to income tax examinations prior to 2010. </p>
</blockquote>
<P style="TEXT-ALIGN: left"><b>7. </b><b>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</b><b></b><b></b><b>Subsequent Events</b></P>
<blockquote>
  <p>Commencing on February 15, 2011, Company non-discretionary matching contributions have been contributed in cash as opposed to a combination of both shares of Company Class A stock and cash. </p>
  <p>Effective July 1, 2011, the Plan will cover all full time domestic employees of the Company and its subsidiaries, regardless of employee age. Prior to July 1, 2011, the plan covers only those  employees&nbsp; of 21 years of age or older. </p>
  <p>Management&nbsp;has evaluated the events and transactions that have occurred through the date the  financial statements were available to be issued and noted no items requiring adjustment of the  financial statements or additional disclosures.</p>
</blockquote>
<P style="TEXT-ALIGN: left"><b>8. </b><b>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</b><b></b><b></b><b>Reconciliation of Financial Statements to Form 5500</b> </P>
<blockquote>
  <p>Certain fully benefit-responsive contracts of the Plan, such as the common/ collective Vanguard  Retirement  Savings Trust, are recorded on the financial statements at contract value, but are  recorded on Form 5500 at fair value.</p>
  <p>In addition, notes receivable from participants that are in default continue to be treated on the financial statements as notes receivable, but are treated on Form 5500 as deemed distributions, which&nbsp;are considered taxable distributions from the Plan.</p>
</blockquote>
<P style="TEXT-ALIGN: center">10</P>
<hr noshade align="center" width="100%" size="5">
<font face="Arial, Helvetica, sans-serif" size="2"><!-- *************************************************************************** -->
</font>
<div title="EE+ Page Break" style="FONT-SIZE: 1pt; PAGE-BREAK-AFTER: always; WIDTH: 100%; HEIGHT: 1px"></div>
<!-- -->
<font face="Arial, Helvetica, sans-serif" size="2"></font><BR>

 <B>Albany International Corp.</B><BR>

<B>Prosperity Plus Savings Plan</B><BR>

<B>Notes to Financial Statements</B><BR>

<B>December 31, 2010 and 2009</B>
<hr size="1" noshade>
<blockquote>
  <p> The following is a reconciliation of net assets available for benefits from the financial statements to Form 5500 at December 31, 2010 and 2009:</p>
</blockquote>
<TABLE border=0 cellspacing=0 style="font-family: 'Arial';font-size: 10pt;" width=100% cellpadding="0">

  <TR>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
  </TR>

  <TR valign="bottom">
    <TD align=left >&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
    <TD align=left >&nbsp; </TD>
    <TD align=center colspan=3 ><font face="Arial, Helvetica, sans-serif" size="2"><b>2010</b></font></TD>
    <TD align=center ><font size="2"></font></TD>
    <TD align=center ><font size="2"></font></TD>
    <TD align=center colspan=2 ><font face="Arial, Helvetica, sans-serif" size="2"><b>2009</b></font></TD>
    <TD align=center ><font size="2"></font></TD>
  </TR>
  <TR valign="bottom">
    <TD align=left >&nbsp;</TD>
    <TD align=left >&nbsp;</TD>
    <TD align=left  width="2%">&nbsp;</TD>
    <TD align=center colspan=2  width="10%">&nbsp;</TD>
    <TD align=left  width="2%">&nbsp;</TD>
    <TD align=left  width="2%">&nbsp;</TD>
    <td align=left  width="2%">&nbsp;</td>
    <TD align=left  width="10%">&nbsp;</TD>
    <TD align=center  width="2%">&nbsp;</TD>
  </TR>

  <TR valign="bottom">
    <TD align=left ><font size="2"></font></TD>
    <TD align=left ><font face="Arial, Helvetica, sans-serif" size="2"> Net assets available for benefits per the financial statements</font></TD>
    <TD align=left  width="2%"> <font face="Arial, Helvetica, sans-serif" size="2">&#36;</font></TD>
    <TD align=center colspan=2  width="10%"> <font style="width: 56pt;text-align: right;" face="Arial, Helvetica, sans-serif" size="2">227,096,257</font></TD>
    <TD align=left  width="2%"><font size="2"></font></TD>
    <TD align=left  width="2%"><font size="2"></font></TD>
    <td align=left  width="2%"> <font face="Arial, Helvetica, sans-serif" size="2">&#36;</font></td>
    <TD align=left  width="10%"><font style="width: 56pt;text-align: right;" face="Arial, Helvetica, sans-serif" size="2">220,909,476</font></TD>
    <TD align=center  width="2%">&nbsp; </TD>
  </TR>

  <TR valign="bottom">
    <TD align=left ><font size="2"></font></TD>
    <TD align=left ><font face="Arial, Helvetica, sans-serif" size="2"> Adjustment from contract value to fair value for fully benefit-</font></TD>
    <TD align=right >&nbsp; </TD>
    <TD align=center colspan=2  width="10%">&nbsp; </TD>
    <TD align=right ><font size="2"></font></TD>
    <TD align=right ><font size="2"></font></TD>
    <td align=right >&nbsp; </td>
    <TD align=right  width="10%"><font size="2"></font></TD>
    <TD align=center >&nbsp; </TD>
  </TR>

  <TR valign="bottom">
    <TD align=left ><font size="2"></font></TD>
    <TD align=left ><font face="Arial, Helvetica, sans-serif" size="2"> &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;responsive investment contracts held by a common</font></TD>
    <TD bgcolor="#FFFFFF" align=right >&nbsp; </TD>
    <TD bgcolor="#FFFFFF" align=center colspan=2  width="10%">&nbsp; </TD>
    <TD align=right ><font size="2"></font></TD>
    <TD align=right ><font size="2"></font></TD>
    <td align=right >&nbsp; </td>
    <TD align=right  width="10%"><font size="2"></font></TD>
    <TD align=center >&nbsp; </TD>
  </TR>

  <TR valign="bottom">
    <TD align=left ><font size="2"></font></TD>
    <TD align=left ><font face="Arial, Helvetica, sans-serif" size="2"> &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;collective trust</font></TD>
    <TD bgcolor="#FFFFFF" align=right >&nbsp; </TD>
    <TD bgcolor="#FFFFFF" align=center colspan=2  width="10%"> <font style="width: 56pt;text-align: right;" face="Arial, Helvetica, sans-serif" size="2">1,517,121</font></TD>
    <TD align=right ><font size="2"></font></TD>
    <TD align=right ><font size="2"></font></TD>
    <td align=right >&nbsp; </td>
    <TD align=right  width="10%"><font style="width: 56pt;text-align: right;" face="Arial, Helvetica, sans-serif" size="2">874,822</font></TD>
    <TD align=center >&nbsp; </TD>
  </TR>

  <TR valign="bottom">
    <TD align=left ><font size="2"></font></TD>
    <TD align=left ><font face="Arial, Helvetica, sans-serif" size="2"> Deemed distributions</font></TD>
    <TD bgcolor="#FFFFFF" align=right >&nbsp; </TD>
    <TD bgcolor="#FFFFFF" align=center colspan=2  width="10%"> <font style="width: 56pt;text-align: right;" face="Arial, Helvetica, sans-serif" size="2">(21,931</font></TD>
    <TD align=right >
      <div align="left"><font style="width: 4pt;text-align: left;" face="Arial, Helvetica, sans-serif" size="2">)</font></div>
    </TD>
    <TD align=right ><font size="2"></font></TD>
    <td align=right >&nbsp; </td>
    <TD align=right  width="10%"><font style="width: 56pt;text-align: right;" face="Arial, Helvetica, sans-serif" size="2">(12,777</font></TD>
    <TD align=center  width="2%">
      <div align="left"><font style="width: 4pt;text-align: left;" face="Arial, Helvetica, sans-serif" size="2">)</font></div>
    </TD>
  </TR>
  <TR valign="bottom">
    <TD align=left >&nbsp;</TD>
    <TD align=left >&nbsp;</TD>
    <TD bgcolor="#FFFFFF" align=left >
      <hr size="1">
    </TD>
    <TD bgcolor="#FFFFFF" align=center colspan=2  width="10%">
      <hr size="1">
    </TD>
    <TD align=left >&nbsp;</TD>
    <TD align=left >&nbsp;</TD>
    <td align=left >
      <hr size="1">
    </td>
    <TD align=left  width="10%">
      <hr size="1">
    </TD>
    <TD align=center >&nbsp;</TD>
  </TR>

  <TR valign="bottom">
    <TD align=left ><font size="2"></font></TD>
    <TD align=left ><font face="Arial, Helvetica, sans-serif" size="2"> Net assets available for benefits per Form 5500</font></TD>
    <TD bgcolor="#FFFFFF" align=left > <font face="Arial, Helvetica, sans-serif" size="2">&#36;</font></TD>
    <TD bgcolor="#FFFFFF" align=center colspan=2  width="10%"> <font style="width: 56pt;text-align: right;" face="Arial, Helvetica, sans-serif" size="2">228,591,447</font></TD>
    <TD align=left ><font size="2"></font></TD>
    <TD align=left ><font size="2"></font></TD>
    <td align=left > <font face="Arial, Helvetica, sans-serif" size="2">&#36;</font></td>
    <TD align=left  width="10%"><font style="width: 56pt;text-align: right;" face="Arial, Helvetica, sans-serif" size="2">221,771,521</font></TD>
    <TD align=center >&nbsp; </TD>
  </TR>

</TABLE>

<blockquote>
  <p> The following is a reconciliation of the changes in net assets available for benefits from the financial statements to Form 5500 for the years ended December 31, 2010 and 2009:</p>
</blockquote>
<TABLE border=0 cellspacing=0 style="font-family: 'Arial';font-size: 10pt;" width=100% cellpadding="0">

  <TR>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
  </TR>

  <TR valign="bottom">
    <TD align=left >&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
    <TD align=left >&nbsp; </TD>
    <TD align=center colspan=3 > <font face="Arial, Helvetica, sans-serif" size="2"><B>2010</B></font></TD>
    <TD align=center colspan=6 > <font face="Arial, Helvetica, sans-serif" size="2"><B>2009</B></font></TD>
  </TR>

  <TR valign="bottom">
    <TD align=left >&nbsp;</TD>
    <TD align=left ><font face="Arial, Helvetica, sans-serif" size="2"> Net increase in assets per the financial statements</font></TD>
    <TD align=left  width="2%"> <font face="Arial, Helvetica, sans-serif" size="2">&#36;</font></TD>
    <TD align=right colspan=2  width="10%">
      <div align="right"><font style="width: 45pt;text-align: right;" face="Arial, Helvetica, sans-serif" size="2">6,186,781</font></div>
    </TD>
    <TD align=left  width="2%">
      <div align="left"></div>
    </TD>
    <TD align=left  width="2%">&nbsp;</TD>
    <td align=left  width="2%"><font face="Arial, Helvetica, sans-serif" size="2">&#36;</font></td>
    <TD align=right width="10%">
      <div align="right"><font style="width: 51pt;text-align: right;" face="Arial, Helvetica, sans-serif" size="2">31,050,185</font></div>
    </TD>
    <TD align=left colspan=2  width="2%">&nbsp; </TD>
  </TR>

  <TR valign="bottom">
    <TD align=left >&nbsp;</TD>
    <TD align=left ><font face="Arial, Helvetica, sans-serif" size="2"> Net appreciation in fair value of Common/collective trust</font></TD>
    <TD align=right >&nbsp; </TD>
    <TD align=right colspan=2 >
      <div align="right"><font style="width: 45pt;text-align: right;" face="Arial, Helvetica, sans-serif" size="2">642,299</font></div>
    </TD>
    <TD align=left >
      <div align="left"></div>
    </TD>
    <TD align=right >&nbsp;</TD>
    <td align=right >&nbsp;</td>
    <TD align=right >
      <div align="right"><font style="width: 51pt;text-align: right;" face="Arial, Helvetica, sans-serif" size="2">940,839</font></div>
    </TD>
    <TD align=left colspan=2 >&nbsp; </TD>
  </TR>

  <TR valign="bottom">
    <TD align=left >&nbsp;</TD>
    <TD align=left ><font face="Arial, Helvetica, sans-serif" size="2"> Deemed distributions</font></TD>
    <TD align=right >&nbsp; </TD>
    <TD align=right colspan=2 >
      <div align="right"><font style="width: 45pt;text-align: right;" face="Arial, Helvetica, sans-serif" size="2">(9,154</font></div>
    </TD>
    <TD align=left >
      <div align="left"><font style="width: 4pt;text-align: left;" face="Arial, Helvetica, sans-serif" size="2">)</font></div>
    </TD>
    <TD align=right >&nbsp;</TD>
    <td align=right >&nbsp;</td>
    <TD align=right >
      <div align="right"><font style="width: 51pt;text-align: right;" face="Arial, Helvetica, sans-serif" size="2">(12,777</font></div>
    </TD>
    <TD align=left colspan=2 >
      <div align="left"><font style="width: 4pt;text-align: left;" face="Arial, Helvetica, sans-serif" size="2">)</font></div>
    </TD>
  </TR>
  <TR valign="bottom">
    <TD align=left ><font size="2"></font></TD>
    <TD align=left ><font size="2"></font></TD>
    <TD align=left >
      <hr size="1">
    </TD>
    <TD align=center colspan=2 >
      <hr size="1">
    </TD>
    <TD align=left >
      <div align="left"></div>
    </TD>
    <TD align=left ><font size="2"></font></TD>
    <td align=left >
      <hr size="1">
    </td>
    <TD align=left >
      <hr size="1">
    </TD>
    <TD align=left colspan=2 >&nbsp;</TD>
  </TR>

  <TR valign="bottom">
    <TD align=left >&nbsp;</TD>
    <TD align=left ><font face="Arial, Helvetica, sans-serif" size="2"> Net increase in assets available for benefits per Form 5500</font></TD>
    <TD align=left > <font face="Arial, Helvetica, sans-serif" size="2">&#36;</font></TD>
    <TD align=right colspan=2 >
      <div align="right"><font style="width: 45pt;text-align: right;" face="Arial, Helvetica, sans-serif" size="2">6,819,926</font></div>
    </TD>
    <TD align=left >
      <div align="left"></div>
    </TD>
    <TD align=left >&nbsp;</TD>
    <td align=left ><font face="Arial, Helvetica, sans-serif" size="2">&#36;</font></td>
    <TD align=right >
      <div align="right"><font face="Arial, Helvetica, sans-serif" size="2">31,978,247</font></div>
    </TD>
    <TD align=left colspan=2 >&nbsp; </TD>
  </TR>

</TABLE>
<BR>



<P style="text-align: center;"> 11</P>
<hr noshade align="center" width="100%" size="5">
<font face="Arial, Helvetica, sans-serif" size="2"><!-- *************************************************************************** -->
</font>
<div title="EE+ Page Break" style="FONT-SIZE: 1pt; PAGE-BREAK-AFTER: always; WIDTH: 100%; HEIGHT: 1px"></div>
<!-- -->
<font face="Arial, Helvetica, sans-serif" size="2"></font><BR>
<P style="text-align: center;" align="center"> <B>Supplemental Schedules</B></P>


 <B>Albany International Corp.<br>
  </B> <B>Prosperity Plus Savings Plan<br>
  </B> <B>Schedule H, Line 4a &#150; Schedule of Delinquent Participant Contributions <br>
  Year Ended December 31, 2010<br>
  </B>
<hr size="1" noshade>
<TABLE border=0 cellspacing=0 style="font-family: 'Arial';font-size: 10pt;" width=100% cellpadding="0">

  <TR>

    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
  </TR>

  <TR valign="top">

    <TD align=center>&nbsp; </TD>
    <TD align=left >&nbsp; </TD>
    <TD align=left colspan=11 >
      <div align="center"><font size="1" face="Arial, Helvetica, sans-serif"><B>Total that Constitute Nonexempt Prohibited Transactions</B></font></div>
    </TD>
  </TR>
  <TR valign="top">
    <TD align=center>&nbsp;</TD>
    <TD align=left>&nbsp;</TD>
    <TD align=center colspan="11">
      <hr size="1" noshade>
    </TD>
  </TR>
  <TR valign="top">
    <TD align=center>
      <div align="center"><font size="1" face="Arial, Helvetica, sans-serif"><b>Check Box if</b><br>
       <B>Contributions<br>
      </B> <B>Include</B><br>
       <B>Participant Loan<br>
      </B> <B>Payments</B></font></div>
    </TD>
    <TD align=left>
      <div align="center"><font size="1" face="Arial, Helvetica, sans-serif"><B>Participant Contributions</B><br>
       <B>Transferred Late<br>
      </B> <B>to Plan</B></font></div>
    </TD>
    <TD align=center colspan="2">
      <div align="center">   <font size="1" face="Arial, Helvetica, sans-serif"><B>Contributions</B></font><font size="1"><br>
       <font face="Arial, Helvetica, sans-serif"><B>Not Corrected</B></font></font></div>
    </TD>
    <TD align=left style="TEXT-INDENT:1.000000px"><font size="1"></font></TD>
    <TD align=left style="TEXT-INDENT:1.000000px" colspan="2">
      <div align="center"></div>
      <div align="center"></div>
      <div align="center"></div>
      <div align="center"></div>
      <div align="center"></div>
      <div align="center"> <font size="1" face="Arial, Helvetica, sans-serif"><b>Contributions <br>

      Corrected <br>
      </b></font> <font size="1" face="Arial, Helvetica, sans-serif"><b>Outside </b></font><font size="1"><br>
      <font face="Arial, Helvetica, sans-serif"><b>VFCP</b></font></font></div>
    </TD>
    <TD align=center>
      <div align="center"></div>
      <div align="center"></div>
      <div align="center"></div>
      <div align="center"></div>
      <div align="center"></div>
    </TD>
    <TD align=center colspan="2">
      <div align="center"> <font size="1" face="Arial, Helvetica, sans-serif"><B>Contributions<br>
      Pending<br>
      </B></font>  <font size="1" face="Arial, Helvetica, sans-serif"><B>Corrections</B></font>  <font size="1" face="Arial, Helvetica, sans-serif"><B><br>
      in VFCP</B></font> </div>
    </TD>
    <TD align=center>
      <div align="center"></div>
      <div align="center"></div>
      <div align="center"></div>
      <div align="center"></div>
      <div align="center"></div>
    </TD>
    <TD align=center colspan="2">
      <div align="center"> <font size="1" face="Arial, Helvetica, sans-serif"><B>Total Fully<br>
      Corrected Under<br>
      </B></font> <font size="1" face="Arial, Helvetica, sans-serif"><B>VFCP and</B></font> <font size="1" face="Arial, Helvetica, sans-serif"><B><br>
      PTE 2002-51</B></font></div>
    </TD>
  </TR>









  <TR valign="top">

    <TD colspan=13>
      <div align="center"></div>
    </TD>
  </TR>

  <TR valign="top">

    <TD align=center>
      <div align="center"><font size="1" face="Arial, Helvetica, sans-serif"> x</font></div>
    </TD>
    <TD align=left style="TEXT-INDENT:2.000000px">
      <div align="center"><font size="1" face="Arial, Helvetica, sans-serif"> January 2, 2009 - &#36;78,158 </font></div>
    </TD>
    <TD align=center>
      <div align="left"><font size="1" face="Arial, Helvetica, sans-serif">&#36;</font></div>
    </TD>
    <TD align=center width="10%"> <font style="width: 4pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">-</font></TD>
    <TD align=left width="2%"><font size="1"></font></TD>
    <TD align=left width="2%">
      <div align="left"><font size="1" face="Arial, Helvetica, sans-serif">&#36;</font></div>
    </TD>
    <td align=center width="10%"> <font style="width: 12pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif"> -</font></td>
    <TD align=center width="2%"><font size="1"></font></TD>
    <TD align=center width="2%">
      <div align="left"><font style="width: 12pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">&#36;</font></div>
    </TD>
    <TD align=center width="10%"> <font style="width: 12pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">  -</font></TD>
    <TD align=center width="2%"><font size="1"></font></TD>
    <TD align=center width="2%">
      <div align="left"><font style="width: 12pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">&#36;</font></div>
    </TD>
    <TD align=center width="10%"> <font style="width: 37pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">78,238</font></TD>
  </TR>

  <TR valign="top">

    <TD align=center>
      <div align="center"><font size="1" face="Arial, Helvetica, sans-serif"> x</font></div>
    </TD>
    <TD align=center>
      <div align="center"><font size="1" face="Arial, Helvetica, sans-serif"> January 16, 2009 - &#36;80,764</font></div>
    </TD>
    <TD align=center>
      <div align="left"></div>
    </TD>
    <TD align=center> <font style="width: 4pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">-</font></TD>
    <TD align=left><font size="1"></font></TD>
    <TD align=left>
      <div align="left"></div>
    </TD>
    <td align=center> <font style="width: 12pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">-</font></td>
    <TD align=center><font size="1"></font></TD>
    <TD align=center>
      <div align="left"></div>
    </TD>
    <TD align=center> <font style="width: 12pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">-</font></TD>
    <TD align=center><font size="1"></font></TD>
    <TD align=center>
      <div align="left"></div>
    </TD>
    <TD align=center> <font style="width: 37pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">80,952</font></TD>
  </TR>

  <TR valign="top">

    <TD align=center>
      <div align="center"><font size="1" face="Arial, Helvetica, sans-serif"> x</font></div>
    </TD>
    <TD align=center>
      <div align="center"><font size="1" face="Arial, Helvetica, sans-serif"> January 23, 2009 - &#36;81,557</font></div>
    </TD>
    <TD align=center bgcolor="#FFFFFF">
      <div align="left"></div>
    </TD>
    <TD align=center bgcolor="#FFFFFF"> <font style="width: 4pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">-</font></TD>
    <TD bgcolor="#FFFFFF" align=left><font size="1"></font></TD>
    <TD bgcolor="#FFFFFF" align=left>
      <div align="left"></div>
    </TD>
    <td bgcolor="#FFFFFF" align=center> <font style="width: 12pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">-</font></td>
    <TD bgcolor="#FFFFFF" align=center><font size="1"></font></TD>
    <TD bgcolor="#FFFFFF" align=center>
      <div align="left"></div>
    </TD>
    <TD align=center> <font style="width: 12pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">-</font></TD>
    <TD align=center><font size="1"></font></TD>
    <TD align=center>
      <div align="left"></div>
    </TD>
    <TD align=center> <font style="width: 37pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">81,604</font></TD>
  </TR>

  <TR valign="top">

    <TD align=center>
      <div align="center"><font size="1" face="Arial, Helvetica, sans-serif"> x</font></div>
    </TD>
    <TD align=center>
      <div align="center"><font size="1" face="Arial, Helvetica, sans-serif"> January 30, 2009 - &#36;83,130</font></div>
    </TD>
    <TD align=center bgcolor="#FFFFFF">
      <div align="left"></div>
    </TD>
    <TD align=center bgcolor="#FFFFFF"> <font style="width: 4pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">-</font></TD>
    <TD bgcolor="#FFFFFF" align=left><font size="1"></font></TD>
    <TD bgcolor="#FFFFFF" align=left>
      <div align="left"></div>
    </TD>
    <td bgcolor="#FFFFFF" align=center> <font style="width: 12pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">-</font></td>
    <TD bgcolor="#FFFFFF" align=center><font size="1"></font></TD>
    <TD bgcolor="#FFFFFF" align=center>
      <div align="left"></div>
    </TD>
    <TD align=center> <font style="width: 12pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">-</font></TD>
    <TD align=center><font size="1"></font></TD>
    <TD align=center>
      <div align="left"></div>
    </TD>
    <TD align=center> <font style="width: 37pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">83,166</font></TD>
  </TR>

  <TR valign="top">

    <TD align=center>
      <div align="center"><font size="1" face="Arial, Helvetica, sans-serif"> x</font></div>
    </TD>
    <TD align=center>
      <div align="center"><font size="1" face="Arial, Helvetica, sans-serif"> April 3, 2009 - &#36;70,083</font></div>
    </TD>
    <TD align=center bgcolor="#FFFFFF">
      <div align="left"></div>
    </TD>
    <TD align=center bgcolor="#FFFFFF"> <font style="width: 4pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">-</font></TD>
    <TD bgcolor="#FFFFFF" align=left><font size="1"></font></TD>
    <TD bgcolor="#FFFFFF" align=left>
      <div align="left"></div>
    </TD>
    <td bgcolor="#FFFFFF" align=center> <font style="width: 12pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">-</font></td>
    <TD bgcolor="#FFFFFF" align=center><font size="1"></font></TD>
    <TD bgcolor="#FFFFFF" align=center>
      <div align="left"></div>
    </TD>
    <TD align=center> <font style="width: 12pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">-</font></TD>
    <TD align=center><font size="1"></font></TD>
    <TD align=center>
      <div align="left"></div>
    </TD>
    <TD align=center> <font style="width: 37pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">70,091</font></TD>
  </TR>

  <TR valign="top">

    <TD align=center>
      <div align="center"><font size="1" face="Arial, Helvetica, sans-serif"> x</font></div>
    </TD>
    <TD align=center>
      <div align="center"><font size="1" face="Arial, Helvetica, sans-serif"> April 15, 2009 - &#36;499,510</font></div>
    </TD>
    <TD align=center bgcolor="#FFFFFF">
      <div align="left"></div>
    </TD>
    <TD align=center bgcolor="#FFFFFF"> <font style="width: 4pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">-</font></TD>
    <TD bgcolor="#FFFFFF" align=left><font size="1"></font></TD>
    <TD bgcolor="#FFFFFF" align=left>
      <div align="left"></div>
    </TD>
    <td bgcolor="#FFFFFF" align=center> <font style="width: 12pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">-</font></td>
    <TD bgcolor="#FFFFFF" align=center><font size="1"></font></TD>
    <TD bgcolor="#FFFFFF" align=center>
      <div align="left"></div>
    </TD>
    <TD align=center> <font style="width: 12pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">-</font></TD>
    <TD align=center><font size="1"></font></TD>
    <TD align=center>
      <div align="left"></div>
    </TD>
    <TD align=center> <font style="width: 37pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">499,969</font></TD>
  </TR>

  <TR valign="top">

    <TD align=center>
      <div align="center"><font size="1" face="Arial, Helvetica, sans-serif"> x</font></div>
    </TD>
    <TD align=center>
      <div align="center"><font size="1" face="Arial, Helvetica, sans-serif"> April 17, 2009 - &#36;66,367</font></div>
    </TD>
    <TD bgcolor="#FFFFFF" align=center>
      <div align="left"></div>
    </TD>
    <TD bgcolor="#FFFFFF" align=center> <font style="width: 4pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">-</font></TD>
    <TD bgcolor="#FFFFFF" align=left><font size="1"></font></TD>
    <TD bgcolor="#FFFFFF" align=left>
      <div align="left"></div>
    </TD>
    <td bgcolor="#FFFFFF" align=center> <font style="width: 12pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">-</font></td>
    <TD bgcolor="#FFFFFF" align=center><font size="1"></font></TD>
    <TD bgcolor="#FFFFFF" align=center>
      <div align="left"></div>
    </TD>
    <TD align=center> <font style="width: 12pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">-</font></TD>
    <TD align=center><font size="1"></font></TD>
    <TD align=center>
      <div align="left"></div>
    </TD>
    <TD align=center> <font style="width: 37pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">66,375</font></TD>
  </TR>

  <TR valign="top">

    <TD align=center>
      <div align="center"><font size="1" face="Arial, Helvetica, sans-serif"> x</font></div>
    </TD>
    <TD align=center>
      <div align="center"><font size="1" face="Arial, Helvetica, sans-serif"> December 15, 2009 - &#36;434,588</font></div>
    </TD>
    <TD bgcolor="#FFFFFF" align=center>
      <div align="left"></div>
    </TD>
    <TD bgcolor="#FFFFFF" align=center> <font style="width: 4pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">-</font></TD>
    <TD bgcolor="#FFFFFF" align=left><font size="1"></font></TD>
    <TD bgcolor="#FFFFFF" align=left><font size="1"></font></TD>
    <td bgcolor="#FFFFFF" align=center> <font style="width: 12pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">-</font></td>
    <TD bgcolor="#FFFFFF" align=center><font size="1"></font></TD>
    <TD bgcolor="#FFFFFF" align=center>
      <div align="left"></div>
    </TD>
    <TD align=center> <font style="width: 12pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">-</font></TD>
    <TD align=center><font size="1"></font></TD>
    <TD align=center>
      <div align="left"></div>
    </TD>
    <TD align=center> <font style="width: 37pt;text-align: right;" size="1" face="Arial, Helvetica, sans-serif">434,636</font></TD>
  </TR>

</TABLE>
<BR>
<P style="text-align: left;"> The Company on January 12, 2009 remitted &#36;78,158; January 30, 2009 remitted &#36;81,557; February 4, 2009 remitted &#36;80,764; February 5, 2009 remitted &#36;83,130; April 7, 2009 remitted &#36;70,083; April 21, 2009 remitted &#36;66,367; April 24, 2009 remitted &#36;499,510; and December 17, 2009 remitted &#36;434,588. The Company remitted &#36;914 of lost earnings on August 19, 2010.<BR>

</P>

<P style="text-align: center;"> 12</P>
<hr noshade align="center" width="100%" size="5">
<font face="Arial, Helvetica, sans-serif" size="2"><!-- *************************************************************************** -->
</font>
<div title="EE+ Page Break" style="FONT-SIZE: 1pt; PAGE-BREAK-AFTER: always; WIDTH: 100%; HEIGHT: 1px"></div>
<!-- -->
<font face="Arial, Helvetica, sans-serif" size="2"></font><BR>

 <B>Albany International Corp.<br>
  </B> <B>Prosperity Plus Savings Plan<br>
  </B> <B>Schedule H, Line 4i - Schedule of Assets (Held at End of Year) <br>
  December 31, 2010<br>
  </B>
<hr size="1" noshade>
<P style="text-align: left;"><B>EIN 14-0462060</B></P>
<P style="text-align: left;"> <B>Attachment to Form 5500, Schedule H, Line 4(i) - "Schedule of Assets (Held at End of Year)"</B></P>


<TABLE border=0 cellspacing=0 style="font-family: 'Arial';font-size: 10pt;" width="100%" cellpadding="0">
  <TR valign="top">
    <TD nowrap>
      <div align="center"><font size="2" face="Arial, Helvetica, sans-serif"><b>(a)</b> </font></div>
    </TD>
    <TD>
      <div align="center"><font size="2" face="Arial, Helvetica, sans-serif"><b>(b)<br>
        <br>
      </b>  <b><br>
      Identity of Issue/Borrower,<br>
      </b> <b>Lessor or Similar Party</b></font></div>
    </TD>
    <td align=left>
      <div align="center"><font size="2" face="Arial, Helvetica, sans-serif"><b>(c)</b> <b><br>
      <br>
      Description of Investments including<br>
      </b> <b>Maturity Date, Rate of Interest,</b><br>
       <b>Collateral, Par, or Maturity Value</b></font></div>
    </td>
    <td align=center>
      <div align="center"></div>
    </td>
    <td align=center>
      <div align="center"><font size="2" face="Arial, Helvetica, sans-serif"><b>(d)<br>
      <br>
      <br>
      </b>  <b>Current<br>
      </b> <b>Value</b></font></div>
    </td>
  </TR>
  <TR>
    <TD nowrap valign=top>&nbsp;</TD>
    <TD>&nbsp;</TD>
    <td align=left valign="bottom">&nbsp;</td>
    <td align=center valign="bottom" width="2%">&nbsp;</td>
    <td align=center valign="bottom" width="10%">&nbsp;</td>
  </TR>

  <TR>

    <TD nowrap valign=top>
      <div align="center"><font size="2" face="Arial, Helvetica, sans-serif"> *</font></div>
    </TD>
    <TD><font size="2" face="Arial, Helvetica, sans-serif"> Aston TAMRO Small Cap     </font></TD>
    <td align=left valign="bottom"><font size="2" face="Arial, Helvetica, sans-serif"> Registered investment company</font></td>
    <td align=center valign="bottom" width="2%">
      <div align="left"><font size="2" face="Arial, Helvetica, sans-serif">$</font></div>
    </td>
    <td align=center valign="bottom" width="10%"> <font style="width: 56pt;text-align: right;" size="2" face="Arial, Helvetica, sans-serif">5,623,064</font></td>
  </TR>

  <TR>

    <TD nowrap valign=top>
      <div align="center"><font size="2" face="Arial, Helvetica, sans-serif"> *</font></div>
    </TD>
    <TD><font size="2" face="Arial, Helvetica, sans-serif"> Eaton Vance Lg Cap Val    </font></TD>
    <td align=left valign="bottom"><font size="2" face="Arial, Helvetica, sans-serif"> Registered investment company</font></td>
    <td align=center valign="bottom" width="2%"><font face="Arial, Helvetica, sans-serif"></font></td>
    <td align=center valign="bottom" width="10%"> <font style="width: 56pt;text-align: right;" size="2" face="Arial, Helvetica, sans-serif">17,562,973</font></td>
  </TR>

  <TR>

    <TD nowrap valign=top>
      <div align="center"><font size="2" face="Arial, Helvetica, sans-serif"> *</font></div>
    </TD>
    <TD><font size="2" face="Arial, Helvetica, sans-serif"> Julius Baer Intl Eq Fund II       </font></TD>
    <td align=left valign="bottom"><font size="2" face="Arial, Helvetica, sans-serif"> Registered investment company</font></td>
    <td align=center valign="bottom" width="2%"><font face="Arial, Helvetica, sans-serif"></font></td>
    <td align=center valign="bottom" width="10%"> <font style="width: 56pt;text-align: right;" size="2" face="Arial, Helvetica, sans-serif">8,969,839</font></td>
  </TR>

  <TR>
    <td nowrap valign=top>
      <div align="center"><font size="2" face="Arial, Helvetica, sans-serif"> *</font></div>
    </td>
    <TD><font size="2" face="Arial, Helvetica, sans-serif"> PIMCO Total Return Fund   </font></TD>
    <td align=left valign="bottom"><font size="2" face="Arial, Helvetica, sans-serif"> Registered investment company</font></td>
    <td align=center valign="bottom" width="2%"><font face="Arial, Helvetica, sans-serif"></font></td>
    <td align=center valign="bottom" width="10%"> <font style="width: 56pt;text-align: right;" size="2" face="Arial, Helvetica, sans-serif">14,789,539</font></td>
  </TR>

  <TR>
    <td nowrap valign=top>
      <div align="center"><font size="2" face="Arial, Helvetica, sans-serif"> *</font></div>
    </td>
    <TD><font size="2" face="Arial, Helvetica, sans-serif"> Royce Premier Fund        </font></TD>
    <td align=left valign="bottom"><font size="2" face="Arial, Helvetica, sans-serif"> Registered investment company</font></td>
    <td align=center valign="bottom" width="2%"><font face="Arial, Helvetica, sans-serif"></font></td>
    <td align=center valign="bottom" width="10%"> <font style="width: 56pt;text-align: right;" size="2" face="Arial, Helvetica, sans-serif">130</font></td>
  </TR>

  <TR>
    <td nowrap valign=top>
      <div align="center"><font size="2" face="Arial, Helvetica, sans-serif"> *</font></div>
    </td>
    <TD><font size="2" face="Arial, Helvetica, sans-serif"> Vanguard Inst Index Fund  </font></TD>
    <td align=left valign="bottom"><font size="2" face="Arial, Helvetica, sans-serif"> Registered investment company</font></td>
    <td align=center valign="bottom" width="2%"><font face="Arial, Helvetica, sans-serif"></font></td>
    <td align=center valign="bottom" width="10%"> <font style="width: 56pt;text-align: right;" size="2" face="Arial, Helvetica, sans-serif">31,010,698</font></td>
  </TR>

  <TR>
    <td nowrap valign=top>
      <div align="center"><font size="2" face="Arial, Helvetica, sans-serif"> *</font></div>
    </td>
    <TD><font size="2" face="Arial, Helvetica, sans-serif"> Vanguard Mid-Cap Index Fund       </font></TD>
    <td align=left valign="bottom"><font size="2" face="Arial, Helvetica, sans-serif"> Registered investment company</font></td>
    <td align=center valign="bottom" width="2%"><font face="Arial, Helvetica, sans-serif"></font></td>
    <td align=center valign="bottom" width="10%"> <font style="width: 56pt;text-align: right;" size="2" face="Arial, Helvetica, sans-serif">13,470,090</font></td>
  </TR>

  <TR>
    <td nowrap valign=top>
      <div align="center"><font size="2" face="Arial, Helvetica, sans-serif"> *</font></div>
    </td>
    <TD><font size="2" face="Arial, Helvetica, sans-serif"> Vanguard Morgan Growth Fund       </font></TD>
    <td align=left valign="bottom"><font size="2" face="Arial, Helvetica, sans-serif"> Registered investment company</font></td>
    <td align=center valign="bottom" width="2%"><font face="Arial, Helvetica, sans-serif"></font></td>
    <td align=center valign="bottom" width="10%"> <font style="width: 56pt;text-align: right;" size="2" face="Arial, Helvetica, sans-serif">3,571,653</font></td>
  </TR>

  <TR>
    <td nowrap valign=top>
      <div align="center"><font size="2" face="Arial, Helvetica, sans-serif"> *</font></div>
    </td>
    <TD><font size="2" face="Arial, Helvetica, sans-serif"> Vanguard Prime Money Mkt  </font></TD>
    <td align=left valign="bottom"><font size="2" face="Arial, Helvetica, sans-serif"> Registered investment company</font></td>
    <td align=center valign="bottom" width="2%"><font face="Arial, Helvetica, sans-serif"></font></td>
    <td align=center valign="bottom" width="10%"> <font style="width: 56pt;text-align: right;" size="2" face="Arial, Helvetica, sans-serif">22,256</font></td>
  </TR>

  <TR>
    <td nowrap valign=top>
      <div align="center"><font size="2" face="Arial, Helvetica, sans-serif"> *</font></div>
    </td>
    <TD><font size="2" face="Arial, Helvetica, sans-serif"> Vanguard Tgt Retirement 2005      </font></TD>
    <td align=left valign="bottom" bgcolor="#FFFFFF"><font size="2" face="Arial, Helvetica, sans-serif"> Registered investment company</font></td>
    <td align=center valign="bottom" width="2%"><font face="Arial, Helvetica, sans-serif"></font></td>
    <td align=center valign="bottom" width="10%"> <font style="width: 56pt;text-align: right;" size="2" face="Arial, Helvetica, sans-serif">938,647</font></td>
  </TR>

  <TR>
    <td nowrap valign=top>
      <div align="center"><font size="2" face="Arial, Helvetica, sans-serif"> *</font></div>
    </td>
    <TD><font size="2" face="Arial, Helvetica, sans-serif"> Vanguard Tgt Retirement 2010      </font></TD>
    <td bgcolor="#FFFFFF" align=left valign="bottom"><font size="2" face="Arial, Helvetica, sans-serif"> Registered investment company</font></td>
    <td align=center valign="bottom" width="2%"><font face="Arial, Helvetica, sans-serif"></font></td>
    <td align=center valign="bottom" width="10%"> <font style="width: 56pt;text-align: right;" size="2" face="Arial, Helvetica, sans-serif">2,700,839</font></td>
  </TR>

  <TR>
    <td nowrap valign=top>
      <div align="center"><font size="2" face="Arial, Helvetica, sans-serif"> *</font></div>
    </td>
    <TD><font size="2" face="Arial, Helvetica, sans-serif"> Vanguard Tgt Retirement 2015      </font></TD>
    <td bgcolor="#FFFFFF" align=left valign="bottom"><font size="2" face="Arial, Helvetica, sans-serif"> Registered investment company</font></td>
    <td align=center valign="bottom" width="2%"><font face="Arial, Helvetica, sans-serif"></font></td>
    <td align=center valign="bottom" width="10%"> <font style="width: 56pt;text-align: right;" size="2" face="Arial, Helvetica, sans-serif">13,089,715</font></td>
  </TR>

  <TR>
    <td nowrap valign=top>
      <div align="center"><font size="2" face="Arial, Helvetica, sans-serif"> *</font></div>
    </td>
    <TD><font size="2" face="Arial, Helvetica, sans-serif"> Vanguard Tgt Retirement 2020      </font></TD>
    <td bgcolor="#FFFFFF" align=left valign="bottom"><font size="2" face="Arial, Helvetica, sans-serif"> Registered investment company</font></td>
    <td align=center valign="bottom" width="2%"><font face="Arial, Helvetica, sans-serif"></font></td>
    <td align=center valign="bottom" width="10%"> <font style="width: 56pt;text-align: right;" size="2" face="Arial, Helvetica, sans-serif">915,195</font></td>
  </TR>

  <TR>
    <td nowrap valign=top>
      <div align="center"><font size="2" face="Arial, Helvetica, sans-serif"> *</font></div>
    </td>
    <TD><font size="2" face="Arial, Helvetica, sans-serif"> Vanguard Tgt Retirement 2025      </font></TD>
    <td bgcolor="#FFFFFF" align=left valign="bottom"><font size="2" face="Arial, Helvetica, sans-serif"> Registered investment company</font></td>
    <td align=center valign="bottom" width="2%"><font face="Arial, Helvetica, sans-serif"></font></td>
    <td align=center valign="bottom" width="10%"> <font style="width: 56pt;text-align: right;" size="2" face="Arial, Helvetica, sans-serif">18,159,031</font></td>
  </TR>

  <TR>
    <td nowrap valign=top>
      <div align="center"><font size="2" face="Arial, Helvetica, sans-serif"> *</font></div>
    </td>
    <TD><font size="2" face="Arial, Helvetica, sans-serif"> Vanguard Tgt Retirement 2030      </font></TD>
    <td bgcolor="#FFFFFF" align=left valign="bottom"><font size="2" face="Arial, Helvetica, sans-serif"> Registered investment company</font></td>
    <td align=center valign="bottom" width="2%"><font face="Arial, Helvetica, sans-serif"></font></td>
    <td align=center valign="bottom" width="10%"> <font style="width: 56pt;text-align: right;" size="2" face="Arial, Helvetica, sans-serif">817,129</font></td>
  </TR>

  <TR>
    <td nowrap valign=top>
      <div align="center"><font size="2" face="Arial, Helvetica, sans-serif"> *</font></div>
    </td>
    <TD><font size="2" face="Arial, Helvetica, sans-serif"> Vanguard Tgt Retirement 2035      </font></TD>
    <td align=left valign="bottom" bgcolor="#FFFFFF"><font size="2" face="Arial, Helvetica, sans-serif"> Registered investment company</font></td>
    <td align=center valign="bottom" width="2%"><font face="Arial, Helvetica, sans-serif"></font></td>
    <td align=center valign="bottom" width="10%"> <font style="width: 56pt;text-align: right;" size="2" face="Arial, Helvetica, sans-serif">7,016,059</font></td>
  </TR>

  <TR>
    <td nowrap valign=top>
      <div align="center"><font size="2" face="Arial, Helvetica, sans-serif"> *</font></div>
    </td>
    <TD><font size="2" face="Arial, Helvetica, sans-serif"> Vanguard Tgt Retirement 2040      </font></TD>
    <td align=left valign="bottom"><font size="2" face="Arial, Helvetica, sans-serif"> Registered investment company</font></td>
    <td align=center valign="bottom" width="2%"><font face="Arial, Helvetica, sans-serif"></font></td>
    <td align=center valign="bottom" width="10%"> <font style="width: 56pt;text-align: right;" size="2" face="Arial, Helvetica, sans-serif">713,722</font></td>
  </TR>

  <TR>
    <td nowrap valign=top>
      <div align="center"><font size="2" face="Arial, Helvetica, sans-serif"> *</font></div>
    </td>
    <TD><font size="2" face="Arial, Helvetica, sans-serif"> Vanguard Tgt Retirement 2045      </font></TD>
    <td align=left valign="bottom"><font size="2" face="Arial, Helvetica, sans-serif"> Registered investment company</font></td>
    <td align=center valign="bottom" width="2%"><font face="Arial, Helvetica, sans-serif"></font></td>
    <td align=center valign="bottom" width="10%"> <font style="width: 56pt;text-align: right;" size="2" face="Arial, Helvetica, sans-serif">2,915,413</font></td>
  </TR>

  <TR>
    <td nowrap valign=top>
      <div align="center"><font size="2" face="Arial, Helvetica, sans-serif"> *</font></div>
    </td>
    <TD><font size="2" face="Arial, Helvetica, sans-serif"> Vanguard Tgt Retirement 2050      </font></TD>
    <td align=left valign="bottom"><font size="2" face="Arial, Helvetica, sans-serif"> Registered investment company</font></td>
    <td align=center valign="bottom" width="2%"><font face="Arial, Helvetica, sans-serif"></font></td>
    <td align=center valign="bottom" width="10%"> <font style="width: 56pt;text-align: right;" size="2" face="Arial, Helvetica, sans-serif">235,601</font></td>
  </TR>

  <TR>
    <td nowrap valign=top>
      <div align="center"><font size="2" face="Arial, Helvetica, sans-serif"> *</font></div>
    </td>
    <TD><font size="2" face="Arial, Helvetica, sans-serif"> Vanguard Target Retirement Inc    </font></TD>
    <td align=left valign="bottom"><font size="2" face="Arial, Helvetica, sans-serif"> Registered investment company</font></td>
    <td align=center valign="bottom" width="2%"><font face="Arial, Helvetica, sans-serif"></font></td>
    <td align=center valign="bottom" width="10%"> <font style="width: 56pt;text-align: right;" size="2" face="Arial, Helvetica, sans-serif">1,507,087</font></td>
  </TR>

  <TR>
    <td nowrap valign=top>
      <div align="center"><font size="2" face="Arial, Helvetica, sans-serif"> *</font></div>
    </td>
    <TD><font size="2" face="Arial, Helvetica, sans-serif"> VGI Brokerage Option      </font></TD>
    <td align=left valign="bottom"><font size="2" face="Arial, Helvetica, sans-serif"> Vanguard brokerage option</font></td>
    <td align=center valign="bottom" width="2%"><font face="Arial, Helvetica, sans-serif"></font></td>
    <td align=center valign="bottom" width="10%"> <font style="width: 56pt;text-align: right;" size="2" face="Arial, Helvetica, sans-serif">2,495,218</font></td>
  </TR>

  <TR>

    <TD nowrap valign=top>
      <div align="center"><font size="2" face="Arial, Helvetica, sans-serif"> *    </font></div>
    </TD>
    <TD><font size="2" face="Arial, Helvetica, sans-serif"> Vanguard Retire Savings Trust     </font></TD>
    <td align=left valign="bottom"><font size="2" face="Arial, Helvetica, sans-serif"> Common/collective trust</font></td>
    <td align=center valign="bottom" width="2%"><font face="Arial, Helvetica, sans-serif"></font></td>
    <td align=center valign="bottom" width="10%"> <font style="width: 56pt;text-align: right;" size="2" face="Arial, Helvetica, sans-serif">38,527,002</font></td>
  </TR>
  <TR>
    <TD nowrap valign=top>
      <div align="center"><font face="Arial, Helvetica, sans-serif"></font></div>
    </TD>
    <TD><font face="Arial, Helvetica, sans-serif"></font></TD>
    <TD><font face="Arial, Helvetica, sans-serif"></font></TD>
    <td width="2%"><font face="Arial, Helvetica, sans-serif"></font></td>
    <td width="10%"><font face="Arial, Helvetica, sans-serif"></font></td>
  </TR>

  <TR>

    <TD nowrap valign=top>
      <div align="center"><font size="2" face="Arial, Helvetica, sans-serif"> *</font></div>
    </TD>
    <TD><font size="2" face="Arial, Helvetica, sans-serif"> Albany International Class A </font></TD>
    <td align=left valign="bottom"><font size="2" face="Arial, Helvetica, sans-serif"> Company stock fund</font></td>
    <td align=center valign="bottom" width="2%"><font face="Arial, Helvetica, sans-serif"></font></td>
    <td align=center valign="bottom" width="10%"> <font style="width: 56pt;text-align: right;" size="2" face="Arial, Helvetica, sans-serif">37,636,048</font></td>
  </TR>
  <TR>
    <TD nowrap valign=top>
      <div align="center"><font face="Arial, Helvetica, sans-serif"></font></div>
    </TD>
    <TD><font size="2" face="Arial, Helvetica, sans-serif">&nbsp;&nbsp;Common Stock </font></TD>
    <td align=left valign="bottom">&nbsp;</td>
    <td align=center valign="bottom" width="2%">&nbsp;</td>
    <td align=center valign="bottom" width="10%">&nbsp;</td>
  </TR>

  <TR>

    <TD nowrap valign=top>
      <div align="center"><font size="2" face="Arial, Helvetica, sans-serif"> *</font></div>
    </TD>
    <TD><font size="2" face="Arial, Helvetica, sans-serif"> Participant Loan Fund     </font></TD>
    <td align=left valign="bottom"><font size="2" face="Arial, Helvetica, sans-serif"> Participant loans (for a term not exceeding</font></td>
    <td align=center valign="bottom" width="2%"><font face="Arial, Helvetica, sans-serif"></font></td>
    <td align=center valign="bottom" width="10%">&nbsp; </td>
  </TR>
  <TR>
    <TD nowrap valign=top>
      <div align="center"><font face="Arial, Helvetica, sans-serif"></font></div>
    </TD>
    <TD><font face="Arial, Helvetica, sans-serif"></font></TD>
    <td align=left valign="bottom"><font size="2" face="Arial, Helvetica, sans-serif"> 20 years at interest rates ranging from</font></td>
    <td align=center valign="bottom" width="2%"><font face="Arial, Helvetica, sans-serif"></font></td>
    <td align=center valign="bottom" width="10%">&nbsp; </td>
  </TR>
  <TR>
    <TD nowrap valign=top>&nbsp;</TD>
    <TD>&nbsp;</TD>
    <td align=left valign="bottom"><font size="2" face="Arial, Helvetica, sans-serif"> 4.25% to 10.25%)</font></td>
    <td align=center valign="bottom" width="2%" ><font face="Arial, Helvetica, sans-serif"></font></td>
    <td align=center valign="bottom" width="10%" > <font style="width: 56pt;text-align: right;" size="2" face="Arial, Helvetica, sans-serif">4,038,318</font></td>
  </TR>
  <TR>
    <TD nowrap valign=top>&nbsp;</TD>
    <TD>&nbsp;</TD>
    <TD>&nbsp;</TD>
    <td align=center  valign="bottom" width="2%">
      <hr size="1" noshade>
    </td>
    <td align=center  valign="bottom" width="10%">
      <hr size="1" noshade>
    </td>
  </TR>
  <TR>
    <TD nowrap valign=top>
      <div align="center"><font face="Arial, Helvetica, sans-serif"></font></div>
    </TD>
    <TD><font size="2" face="Arial, Helvetica, sans-serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Total assets</font></TD>
    <TD><font face="Arial, Helvetica, sans-serif"></font></TD>
    <td align=center  valign="bottom" width="2%">
      <div align="left"><font size="2" face="Arial, Helvetica, sans-serif">$</font></div>
    </td>
    <td align=center  valign="bottom" width="10%"> <font style="width: 56pt;text-align: right;" size="2" face="Arial, Helvetica, sans-serif">226,725,266</font></td>
  </TR>
  <TR>
    <TD nowrap valign=top>&nbsp;</TD>
    <TD>&nbsp;</TD>
    <TD>&nbsp;</TD>
    <td align=center  valign="bottom" width="2%">
      <hr size="2" noshade>
    </td>
    <td align=center valign="bottom" width="10%">
      <hr size="2" noshade>
    </td>
  </TR>
  <TR>
    <TD nowrap valign=top>
      <div align="center"><font size="2" face="Arial, Helvetica, sans-serif">*</font></div>
    </TD>
    <TD>Party-in-interest</TD>
    <TD>&nbsp;</TD>
    <td align=center  valign="bottom" width="2%">&nbsp;</td>
    <td align=center  valign="bottom" width="10%">&nbsp;</td>
  </TR>

</TABLE>
<P style="text-align: center;">13</P>
<hr noshade align="center" width="100%" size="5">
<font face="Arial, Helvetica, sans-serif" size="2"><!-- *************************************************************************** -->
</font>
<div title="EE+ Page Break" style="FONT-SIZE: 1pt; PAGE-BREAK-AFTER: always; WIDTH: 100%; HEIGHT: 1px"></div>
<!-- -->
<font face="Arial, Helvetica, sans-serif" size="2"></font><BR>
<P style="text-align: center;"> <B>SIGNATURE</B></P>
<P style="text-align: left;"> 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.</P>
<TABLE border=0 cellspacing=0 style="font-family: 'Arial';font-size: 10pt;" cellpadding="0" width=100%>

  <TR>

    <TD></TD>
    <TD></TD>
  </TR>

  <TR valign="bottom">

    <TD align=left width="50%">&nbsp; </TD>
    <TD align=left> Albany International Corp. Prosperity</TD>
  </TR>

  <TR valign="bottom">

    <TD align=left>&nbsp; </TD>
    <TD align=left style="border-bottom:1px solid #000000;"> Plus Savings Plan</TD>
  </TR>


  <TR valign="bottom">

    <TD align=left>&nbsp; </TD>
    <TD align=left style="TEXT-INDENT:10.000000px">
      <div align="center">(Name of Plan)</div>
    </TD>
  </TR>

  <TR>

    <TD colspan=2>&nbsp; </TD>
  </TR>

  <TR>

    <TD colspan=2>&nbsp; </TD>
  </TR>

  <TR valign="bottom">

    <TD align=left > <u>Date: June 20, 2011</u></TD>
    <TD align=left style="border-bottom:1px solid #000000;"> /s/ David Pawlick</TD>
  </TR>

  <TR valign="bottom">

    <TD align=left>&nbsp; </TD>
    <TD align=left> David Pawlick</TD>
  </TR>

  <TR valign="bottom">

    <TD align=left>&nbsp; </TD>
    <TD align=left> VP - Controller</TD>
  </TR>

</TABLE>
<BR>
<P style="text-align: center;"> 14</P>
<hr noshade align="center" width="100%" size="5">

</BODY>

</HTML>

</TEXT>
</DOCUMENT>
<DOCUMENT>
<TYPE>GRAPHIC
<SEQUENCE>2
<FILENAME>a44067x3x1.jpg
<DESCRIPTION>GRAPHIC
<TEXT>
begin 644 a44067x3x1.jpg
M_]C_X``02D9)1@`!`0$`9`!D``#_[@`.061O8F4`9``````!_]L`0P`!`0$!
M`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!
M`0$!`0$!`0$!`0$!`0$!_]L`0P$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!
M`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!_\``$0@`
M5P":`P$B``(1`0,1`?_$`!\```$%`0$!`0$!```````````!`@,$!08'"`D*
M"__$`+40``(!`P,"!`,%!00$```!?0$"`P`$$042(3%!!A-180<B<10R@9&A
M""-"L<$54M'P)#-B<H()"A87&!D:)28G*"DJ-#4V-S@Y.D-$149'2$E*4U15
M5E=865IC9&5F9VAI:G-T=79W>'EZ@X2%AH>(B8J2DY25EI>8F9JBHZ2EIJ>H
MJ:JRL[2UMK>XN;K"P\3%QL?(R<K2T]35UM?8V=KAXN/DY>;GZ.GJ\?+S]/7V
M]_CY^O_$`!\!``,!`0$!`0$!`0$````````!`@,$!08'"`D*"__$`+41``(!
M`@0$`P0'!00$``$"=P`!`@,1!`4A,08205$'87$3(C*!"!1"D:&QP0DC,U+P
M%6)RT0H6)#3A)?$7&!D:)B<H*2HU-C<X.3I#1$5&1TA)2E-455976%E:8V1E
M9F=H:6IS='5V=WAY>H*#A(6&AXB)BI*3E)66EYB9FJ*CI*6FIZBIJK*SM+6V
MM[BYNL+#Q,7&Q\C)RM+3U-76U]C9VN+CY.7FY^CIZO+S]/7V]_CY^O_:``P#
M`0`"$0,1`#\`_OXHHHH`****`"BBB@`HHHH`****`"ODCQ#^VY\`_#&OZYX:
MU;6M?BU7P]K&IZ'J<</AK4IXH]0TF]GL+U(ID79-&ES;R*DJ?+(H#KP17UO7
M\7W[27Q+ELOVBOCY9CQOJ%L+3XT_%.V%LFN:A$EN(/'.NQ>0L:7`2-8MGEJB
M@*@4*H``%?S5])/Q8XK\*,GX8Q_"M/**E?-\SQV$Q:S?!U\935+#X6E6INC&
MAC,&X3YYRYG*4TU9**W/Z*^COX09/XNYOQ)E^;ULPHT\FR[!8RB\OJQI3E/$
MXJI1DJCEAL3>*C!62C&SZO8_IR_X;X_9S_Z#OB/_`,)75/\`XBO?OA/\8?!'
MQIT&_P#$G@2[OKS2]-U>71+J2_T^XTV5=0AL[*_=$AN0'>,6^H6S"5?E+,R#
ME#7\4W_"U)?^A]U+_P`'^H__`"37ZB?\$[?V@1HU_!H^I?%N_P!/T>]^*?A&
M2]L+WQ9J,.ES6UU-IEKJ$EW#/=BS$$]K$D-[).!');1*EPQBC&W\"\-?I;\8
MYIQ=EV7\<4^%J'#^*C6HUJ^"PU7*JM'$3BEAJDL9C\UKX:%&-1_O(2I\U16C
M"46[K]Q\2OHC9/PWPAF.<\.XO.ZN98)T*D:6,<L72J4/:)5X*CA\OHU'4<'[
MDN?EBU>2:/Z9J*\U_P"%R_"3_HIO@/\`\*O1/_DVO200P#*058`@@Y!!&00>
MX(Y!K^^LIXBX?S[VZR//,GSEX7V3Q*RG,\%F/U95_:>Q=?ZG7K>Q]M[*K[+V
MG+[3V=3DOR2M_!^*P&.P7)]=P6+PGM>;V?UK#5L/[3DY>?D]K"'/R\\.;EOR
M\T;VYE=:***]@Y`HHHH`****`"BBB@`HHHH`****`"BBB@`K^!S]J[_DZ/\`
M:3_[+[\8O_5B>(Z_OCK_`#M/V^?B5\.K[]MK]J^6'XF:7;B+X_\`Q3L)K:72
M/B`LEK>:9XOU73;^T?R?",L#-:WUI<6[26TTUM*8_,MIYH'CE?\`CWZ8/#N-
MS_AO@Y8&TJN%SS'N5*]).5.M@(IU$ZE:EI"5*,6DI7]HFW&RYO[U^@7B:E#B
M_CV$,)B<1&IPWELY5,/0KU_92IYFXPA.-"C5Y?:JK.47)Q_A2LI:N.57V;^R
M?_Q^?]SCX>_]&V]?F)X-^(WPW@?4/M'Q)TJX#+;;0-&\?/L*F?.?.\(IC=D8
MVYS@YQQG[;_9U^/WP?\`"UUOO?&:W8_X2?1;PBP\/>*G/EP20ED_TO0[,>:V
MT[!G9TW2+SC_`#7XLX%XF66XW"T<MG7J6I<O)7PB<KNG-V3Q.EKVU>MFS_23
MBC#8_,>',;#"Y7FM6K5BE"G#+,PDY.-1)V?U9+IK>UM>Q^[=?T(VO_'M;_\`
M7"'_`-%K7\GG_#:_P"_Z#GB#_P`)C4:_H1_9^_;+^"O[0>N)X*^'EUXEEURR
M\)GQ+-'K.@2:9;?V;93Z1I\^RX-S<*UP+C5K4K$0`T8E8/E`K?UA^SFX6X@X
M>K^,']L995P4<5A^!)T93J8>ISK#5.+E6TH5:ME#ZS2NY<OQ)*]I<O\`EE](
M_@+C2GEO#^:U>%\\I9?E4<\K9CC*N78FEA\'1J+*>6K7J5(1C"#=.2N]%9WM
M8^N:***_TZ/XS"BBB@`HHHH`****`"BBB@`HHHH`\[^+7Q7\`?`SX;>,OB[\
M4]?_`.$7^'GP_P!%N/$7B[Q#_96M:W_9.CVC(MQ>?V3X<T[5]<O_`"VD0?9]
M,TR]NGW?)`P!Q^97_#^/_@E'_P!'4G_PQO[2/_SGJ_13]H;X'>$_VEO@E\2O
M@+X[U#Q%I/@_XI^&+SPGXAU+PE=Z;8>)+/3KYXGEFT:\UC2=>TNWO5,*B.2]
MT?4(`"VZV<D$?AC_`,0Q7[!/_16OVN__``O?@W_\X.OA^*,3X@4,7AX\(9?P
M]C,$\-?%3SB>)A7CBO:S7+25#&X:+I>Q4'>4)/G<O>M[J_<?"W+?H^XW*<QJ
M>+W$'B'E&=0S'DRRCP=1RRK@:N5_5J#]KBGCLDS2HL5];>(C:%6G#V,:;]GS
M-RE]=?\`#^/_`()1_P#1U)_\,;^TC_\`.>K^7G]I+_@C=_P4A^.'[17Q\^-/
MPO\`V<O^$G^&?Q?^-/Q3^*'P[\2_\+>^`^B_\)#X%\?^.==\6>$=<_L;Q#\4
M-)U_2?[6T#5M/O\`^S-<TK3-8L/M'V74]/LKV*>VC_<S_B&*_8)_Z*U^UW_X
M7OP;_P#G!U_0IX4\.6/@_P`+>&O"6F2W4^F^%M`T;PYI\]\\,M]-8Z)IUMIE
MI+>26\%K!)=206L;W#P6UO"\Q=HX(D*QK\EB.#N)./J7U7Q&HX+*\/EU2.(R
MJ7"N)4*M:M6C.GBHXQYA_:L73A"%%T52A1ES2GS2FDDOUG`>,/AOX!8K^U/H
MY8S.N*,?Q%0JX#BJEXJ9=*MA<'@\%4H8C*ZF3KA^/"M15ZM>KC8XQXFMC(>S
MA05.G2?-.?\`GK:#_P`$*O\`@JE9-=&Y_9;\H2"()_Q>[]G-]VTR;O\`5_%U
M\8W#KC.>,X./;/A__P`$6?\`@IAH<I;5/V:_LH_M&SGS_P`+C^`,W[J)E,CX
MM_BI+]T`_+]XXX4\5_>Y17@XKZ-G`V,<W5S7BR+J<M_9X[)U;E2BK<V12Z15
M[WUN?30_:&>-,*"PZX8\+W!7U>2\6<WO2<GJN-DMW_+L?Q6?\.DO^"@W_1`1
M_P"'5^"G_P`\>OVW_P""=7[)?Q\^!?Q=U3Q3\6/`9\*:))\*M3\.VEZ/%/@K
M7!+KUSK_`(-N8K%K;PYXAUF\56L=-U.?[2\$=JK6RHUP))88IOV<HK[GPV\+
M>'_"YYV^'\9G.,>?T<%1QG]L8C!8CV4<!/%3HO#?4LOR_DE)XNHJCJ^V32AR
MJ#4G+\X\0?I>>)7B3PWC^%\\R3@?"8#,<+7P=>ME.6Y_0QD:6(=)U'2J8SB;
M'T(S_<Q47/#SBE*5XNZY2BBBOTH_E8****`"BBB@`KSC4_B;I,,]_IWAG1/%
M?Q"UNTT/Q)K5KIW@K13<:3J<_A+Q)'X1U[PO!\1]>N/#_P`(=+\<V/B)I]-?
MP5XF^(>@^)"VFZW<_P!G?8M"UBYL?1Z^5=0_XI3]K?X(>"/"_P#Q3?@S7_V?
M_P!LWQWKWA'0/^)/X8UOQQ-\;/V0=7F\9:OH&G?9M*U+Q7+JOQ`\>:G+XAO+
M2;5Y-0\;>+KUKPW/B369;T`@\%?M=^$/B#JWQA\!^%O`7Q`U+X[?`:#P"_Q1
M_9UM]3^#]S\4_"=W\1?AC\,OBEH&FZUJ-G\6+KX2:'/<:7\2I-!TJ^\0?%'2
M-#\<>(OAO\61\,M6\<^'O`]YXAN.J\*_M$Z=>ZSX*\+?%+X:_$?]G;QC\3-5
MUW0_AOX9^+\WPROF\<ZSX;\/1>*M6T+0_%GP:^)7Q<^'</BL>'TUK6](\"ZU
MXSTGQWXI\/\`@OXA>*/"?AG7/"WP^\8ZWHOGGP^\/O\`%+Q9^WYX&\6^+/B7
M_8-W\?/"_@;3&\.?%7XD>#-9\%^&KC]CC]E;Q%+8_#3Q#X1\4Z+KOPPDD\2>
M*O$?B26\^'^H>'+RX\0:WJ>LW,\VH7MQ/)>\!Q^+OCW^RQXC\*:AXICM/B3I
M.I?&GX,:/\7/%6B>$?'E\?BA^SU\6/'/PB\%_M&ZMX1\-:)\-?!B^+KKQQ\,
M]$^.3>"?"VF^$-*\&>+)D\,>&]2T]=!L-;4`]UE^)^B3ZFVB^'='\9>,-3D\
M*1^,]+F\.^$=;_X1'7]$EN-'@@_L3XK:W:Z+\'[W5;F/7+.^LM!/Q`AUO4-,
MBU+4;"PN;32=3EM;?P_\=-XZT_5Y[KPEXG\"ZSX?UE=!U_PIXOD\*7&MZ1J4
MNAZ)XDMXI[OP1XI\9^%[N.XT7Q%I-Y'+I7B/4$3[0UO.8;J">"/*NY9=-^+'
MP\\/Z=))8:#_`,*M^*4O]B63M:Z1YNC>)/@M9:/)_9L!CLO,TJRU+4;337\G
M=8VM_>V]J8HKJ=)/DWXY?$C_`(1+1OVD]#LIM2^T7_CS0M6\36>B0:W#XF\1
M^"/^%<_L[>&;[X0_#'Q!8>+OACH^C?M%?M(:GXBLO@7^S=;:K\7OAMK3?$'Q
M=<>/_!MSXMO?A9JG@[5P#Z*\(?'B'QQJ-M-H'PL^*K_#N_UW5M!TGXQ:AIW@
MO2O`FMOIFL2>'+76]$T74/'-O\6=5\&^)_$$4EIX)\<V7PRF\(>,]!DT[XD>
M&M;U+X3Z]X=\>ZMU_C3QWXH\+:C!8Z'\&/B7\2+:73;&^DUCP7JOP>L=.MKJ
M[\9^&/"]QHT\7Q$^+'@+5FU+2]$U_5?B-?2VVEW&D2>#/!/B>QTS5=1^(5WX
M,\">+N>\,^+-9^(?P4^%'COQ'X;L?"OB'QMI7P1\8Z]X3TO6Y?&&F^&-9\0Z
MMX,US5-!T[Q-/X6T>;Q'8Z#?7<]C:>(YO"?AJ74K>TCU>2P\+O*3IN!XB^-P
M\3V?B7PI\"+_`,,:_P#%2T\>7GPVTH>,[/Q7:^#(KOPOJ/@BV^,?CW3)M+TZ
M#_A9WACX#V'C.6Q\66OA7Q#H?AC5_C;X?F_9A\0?%;X6?$^]U.\\*@'777QR
M^&Z^&/`7BS1]7OO&-A\4]*\-Z_\`#>P\":!KWC+7O&/AWQ9J'A+2])\5Z=H7
MA_3K[4['P-:WGCWP:_BSXAZ[;Z1X`^'>E^(M/\0_$7Q/X3\.?:-6@X.+]I:V
MU&&/2O#'PK\:^,OBGI?BY/"_Q+^!'A?XA_LO7OQ=^"EG/HX\1V7B[XIZ7=_M
M#V/A;3/#^H>'=5\!>(++3_#?B[Q1XWET3XJ?#W5&\'QV>HZQ-H4_[,'PMT[X
M8?#JPT4?"RT^%^I>%([[X*>'K-]:LO%6LWOP(^`?C#QE\.OV;II_$=MJ^NO'
MHVM_":ST?XD6/A,W]J/#/B#XD>+IM6T#0O&NM^,;:2/PU\&-5^#ND_!+1_A+
M9Z5XIM/AWH=[\/O$\GQ&\9Z]I/B+Q!HOCOQ1X%U_XF?&36?&4'A7Q]K'Q!^,
M>IZCX5UGQKKT'BJ#3KOXO>/_`!;K.M^,?B=X<U.]U#7;X`^@-*UO2]:_M(:;
M=>=)H^JWFB:K;R0W%I>:=JEEY;R6MY97D5O=V_VBTN+/5--FDA6WU?0]1TK7
MM*EO-%U73;^ZU:\\\!^%[[0=1^)6MZIH'P\T'4O'OQ#N_%$[>`]%FLM1UNQT
MSPKX3^'OAS7_`(E>);A+.?QY\0[_`,*^!M"CN]:?1M(A\*^%;;PG\)K%_%&F
M_#>S\>^+?0Z`"BBB@`HHHH`****`"BBB@`KY5\7_`/)[W[//_9JO[9'_`*MS
M]A.OJJOC6\\1VWBW]N7X4+X>T?QKJ.D^!/V9_P!J_0_%'C-?AWX^MOAKI_B+
M7_C+^R'::5X6@^*=YX;M_AOJWBZXG^'_`(W$GA+1_%.H>)+./PKKD]]I=M!I
M]Q(@!T_@3P_\0_AWXQ_:O\3)X!OO$/\`PM3]H[P;XF\`6UGX@\*6%OJ'A@_L
MP?LS?"Z\\6ZW=WVLK<Z'X;T'QGX"\6VNOP1Z;JGC?^R]#N=4\,>"/%/VW0[7
M5^&N/"7PR^)_PA^(W[)_A"X\-^,].\<S^.]!_:/U30_"?C?6?A',/C1\1O']
MU^UKX>@\17/CZ?3O#OQ`\5:U>?%O0;;X9Z9\4O''C;X!^)O''@/6/&/@'4OA
MW:V5EK/.?#3_`(5G'^TW^U-X8^)W@2>#Q;XN_:<\'ZS\'M>^('P@\3VWAOQC
M$G[$O[.=U<#X4_$_Q+X0C\#>*]5TV?X1?$.;6-)\%>*]2UG1)_`>OOJUE92Z
M3*8_O^@#RK6/^2W_``\_[)5\9/\`U+O@37AO@'X?>`?&/[27Q&^.7P[O;%_#
M\,\GA+XD>(/#7B'4M33XO?'/X>%_AM_PCOBB]O/#T9?P;^R5I6@>)O"_A;P+
MX*^(NN_"&W^/GQC_`&@M0\;_``O\,_M%_"FX\63_`%)XE\'>$?&=M;V7C#PK
MX;\5V=I.;JTM/$NAZ9KMM:W)C:(W%O!JEK=10SF)WB,T:+(8V9"VUB#HZ1HV
MD>']-M-&T'2M-T32+"-HK'2M(L;73=-LXFD>5H[2QLHH;6WC:6221DAB13([
MN1N8D@'R/XBL_$U]^P_X8@\&^(_$'A;Q2GP?^$EYH>I^#-'^'VN?$*ZU#3[3
MP?J$/ASX5V7Q;U[PY\*H/C!XP^S'PE\(-8^)FH7'P_\`#WQ,UOPIK_C+0?%7
MAW3=1\,:QZQ\'/A%9^`[GQ7X\UC1]#T[XG?$^#P:OC2#PWJVN:YX4\(:#X$\
M.Q^'O`OPD^'%YXA@L+NP^&/P^M)=:OM+TW2O#_@GP[KOQ`\8_$[XK6OP]\$:
MY\4?$>AP=[I?PU^'.AZW)XET3P!X*T?Q'+)=RR^(-+\*Z%I^MR2W^_[=))JM
MI80W[R7OFR?:W:<M<^8_G%][9[6@#Y*^&L^B?LX>(O'GPO\`&$VC>#_A]XX^
M,'BSXF_!7Q?=68T3PSK.M_M%_$JT\3^.?AGXH\8WVNW&E7'QNUC]ISXI>,]0
M\$^')-(\%'QU\/OB#\/-`^'=G\2O&?@'XSZSHO3^!6\;?`;X/^*++XQ>-?`V
MJ^$/@?X-E_X1[XY>/?'I\,:AXN^'G@GPE]NG\=_M&WEWX-TSP?\`#7Q)HEG8
M26_Q'\:>&+_Q!X.\2G2M8^+%CX7^%VG:]'\(_!_T5+%%/%)!/''-#-&\4T,J
M+)%+%(I22.2-P4>-T)5T8%64E6!!(KR?PQ^S_P#`;P5XCOO&/@WX)?"/PEXN
MU.>VNM2\5>&/AMX-T'Q'J%U907%M9W-]KFE:+::G=SVEM=W5O;33W4DD$%S<
M11,D<TBL`<W\%?BAXC^)>K>,[B[N?"FL>$+#2OAQ>^&_$/@;1?%\O@NXUGQ+
MX7?6_%FA^$?BKXA%EX>^/?AS0WGT6>P^*7@#P[X9\/--K-YX+U;1M/\`&WA#
MQ3IUA]`444`%%%%`!1110`4444`%%%%`!7SQXN_9$_9/^('B/5?&/CS]F']G
MCQMXNUV=+K7/%7B[X*_#;Q)XCUFYC@BM8[C5=<UGPU>ZGJ,Z6T$%NDUW=32+
M!#%"K".-%4HH`O\`@/\`98_9B^%GB2V\8_#']G'X#?#CQ=907=K9^*O`?P@^
M'WA#Q):6U_`]K?6]MKGA[P]IVIP07MM(]O=PQ721W,#O#,KQL5/O%%%`!111
<0`4444`%%%%`!1110`4444`%%%%`!1110!__V3\_
`
end
</TEXT>
</DOCUMENT>
<DOCUMENT>
<TYPE>GRAPHIC
<SEQUENCE>3
<FILENAME>image001.gif
<DESCRIPTION>GRAPHIC
<TEXT>
begin 644 image001.gif
M1TE&.#=A"P`2`'<``"P`````"P`2`(<```#____=T;@8:<```J[D82`2[*#=
MTG7=TH3D8202[/`2[,P2[+C=TAN0S_K=;`,``J[=;"<2[,3=;*L2[,P2[-@2
MFHD````````````2[SP2FD,2[/`````5FQ@2FF(``JX``98``SX````2?[@`
M`````$```UX``00``"`2[1PZ`$-7`%Q.`$E/`$13`%=S`%QS`'EE`'0S`&U<
M`#)T`',2[6212TD2[8P3`/0```03`-03```2[:2133L2[8P``!`3%303%1@2
M[9B12TD2[=`3%1@2[>!!H?`3$]`2[?"2BXP2[=`3%1@``````!P``%(````!
M`%+QFIA:5(@2\"`2[_S]X`!00P$:O@\3$]`5``@```#]X`#]T``2[C"2BO$2
M[A`2[^SQ</+Q<)T!`%(```L``!(%!@X```!:2\02[A````,2]R20Z2`2[SP`
M-K<2[D2`DYX`-K<````2[IB##YD5``A!H>```$``````````````````````
M```````````````````````````````2[JSI%(<2[OP```$2[OP2]R3QXHX`
M```2[QCK7#(6\3A!H>```$````(2[U3-383-3802[P`2;CX6\M02[O`2@X,6
M\3@=4`@=7'@2[Q@2@SH6\3@2@TP6\Q@6\3@``E@2[^P=4`@6\Q@2[U`2@G``
M`E@2[S@````5FQ@2@H\``&`=4`A00P$:O@\2;($6\M05FQA!HC````$2\K@2
M?S@5G/@2\P0```,2?TD```!$"`&ZJ\T````2[\1$"`$2[_!!B]G]T`````,2
M[]CQEU(``!@```````#Q?VSQA%P%!WT``%02\WP2\HCQC-L%!WT``%02\WP2
M\[SQC.4``````"@````````2\"1:5+`2\[SQG!```````````````"@2\RQ:
M5(@```!:5(@%!WT```#7````````````````````````````````````````
M```````````````````````````````````(,P`#"!Q(L*#!@P,!`$`80"%#
DAP<A1ER(4&)#B!(58J28D*)%@0X_7A0)DN3(AQP-FBP8$``[
`
end
</TEXT>
</DOCUMENT>
<DOCUMENT>
<TYPE>GRAPHIC
<SEQUENCE>4
<FILENAME>image002.gif
<DESCRIPTION>GRAPHIC
<TEXT>
begin 644 image002.gif
M1TE&.#=ADP(Q`'<``"P`````DP(Q`(<```!J,2YO.#5Y1D-^3$J-85^2:&:A
M?7NFA(*TEY:YGIW(L[+-NKG7R,?<S\[AUM7FW-SKX^/PZNKU\?'Z^/C____-
M383-383-381$/_S-8?!$/Z?-383,'Z0```#-383-380````````2[5A$$_``
M``!!OB?-380```=$/68,!.3___#-5/1$/1'-5/3-383-8=3-380!``````$`
M``'-381$/!\```````$````2[MA$"OK,;S`1!,8```<,!#0````2[U3-380`
M``````````````````````````````#7%3V)..@````2[;S7/1<``%(````!
M"@CQFIA:\G`2\"`2[_Q!O1]!C_L2[P@```#:$7@``!D```$2[=02[=@2\T!$
M!%=!D`#Q</+Q<)T!"@@``I,``#$%">````!:2\21`B*1`9N1`=L``````@@!
M`6P```````"$!7`660#U0"````````````"$!7`660#U0"``````````````
M```2[J3Q=8$`````!Y")=^```!*)/XS772;U0"````````#Q:PT````2[L#Q
M:R4!!OZ)=^`2[\1ZDLX````2[O02[U3-383-3802[P!$%ZC-3801!,8```<,
M!#0````2[P@```````?-3801!,82[UQ$"*L````1!,8```<,!#0````2[U02
M[\1$"`$``````!<1!,82[\1&QR%$"`$2[UQ&QT,2=68=4#````$5FQ@2\K@2
M?S@5G/@2\P0```,2?TD```!$"`&ZJ\T````2[\1$"`$2[_!!B]G]T`````,2
M[]CQEU(``!@```````#Q?VSQA%P%".X``%02\WP2\HCQC-L%".X``%02\WP2
M\[SQC.4``````"@````````2\"1:\I@2\[SQG!```````````````"@2\RQ:
M\G````!:\G`%".X```#8````````````````````````````````````````
M```````````````````````````````````(_P`I"!Q(L*#!@P@3*ES(L*'#
MAQ`C2IQ(L:+%BQ@S:MS(L:/'CR!#BAQ)LJ3)DRA3JES)LJ7+ES!CRIQ)LZ;-
MFSASZMS)LZ?/GT"#"AU*M*C1HTB3*EW*M*G3IU"C2IU*M:K5JUA3"I#P@``%
M!`HH;.WZ->Q8KV#%<D5K%@+9M`+<LA4KMRS=MVWQ4B#@=H!=O@_\I@4L."SA
MOWT1!_Z*8&]B!(T/0W:\>++DR(D51'ZP6/->SGX]$P!-031ITYTW/Q!06C5K
MU*]=M_Z\>O;H"+$_X[;]8+=IWYN![V4@(3<!XL:1VU8NFGEDYQ0,0)=>?#;U
MW->M,S<0?7OWZ@JX9_\/__VU>.\&%E1G(%X]:_;1W5.`GWY]>_OQBTN@[W[_
M_:W\Z1<@@.V)-<$"!0IP8((+QF<@@@XJ"*$!9C5(X8/B53BAAAEB&)U9$D`(
M5XC<C2@BB">JE>)6"\S%HHLAPMBB70\]X``%$T!``0024/``CCKRZ".0._;X
M8XY%4G`CDA'TN*2.32I)9)1/4D#EE!-(R62654;`)99:0OGEEE+N:*63`D&)
MIIE7LKFFFF7">:.;<9Y99YMRIFGGCT-&R>>/?@H$J)&"[EEHH'T2FNB0B_YI
M:*-9_BB!D9%2,*F/E5[Z0*:4#JDIIYAZVJFDHUI:ZJ>>1K!CIJI"P.JJJ<+_
M*FFKK[H:JZVSRFHIK;>^NJF4$O!Z8["P#BOLKL4BJR.PK0IDK)G,0OOLLM..
M>>P$UV:;++;;:FOKDMY:JRN2N!)9+KF5H@N1`*IFY>Z[\,8K[[STUFOOO?CF
M"Q4"6>KK[[\`!RQP1PKT._#!"">L\,(,-^SPPQ`?M57$%%=L\<4T\8GQQAQW
M[+%&&G\L\L@DESQQR2BGK/+*++?L\LM2\0OSS#37/%7!-N>L\\[S`N`2`#X'
M##1,0Y<T=-$\)]W4R0L![31"07L4==,?/3TU24\/E+5`3B,-]41=7VV1V!MY
M'339&2$=]ME>*^WV12%3S35*:!M4=T51WPV2V'QK_YV0W@KEK1'@%/D\]=DA
M'3ZWWV\W?E+>1V\M.=N,JVUUUD5'3H'AAV<N^.:=+R[ZY)2;73KE!?6=.N-V
M$[3VVJW/K3GHG5O>=>5LS[YYX+LOSKGKEX/.]><'J3UZ\5J;7OOPMSON^.='
M]XZX],?[7OGUPO].O?6R<]\VZX;C[OWPNT\O.NO@?VTU\*ZO/GKXT&-??OKQ
MG^\^]-/CSWWOK9L_O]WF"^#Q%.>\QC6/?_]+'_\$1T`!(I"![5O@`Y.'/`K*
M+WS[0R#Z[$>[NAEO@WP[(/$22$(,+K"!&XQ@_4I8O1&VSW\F=%\$7SA##A:0
M9ZKK'O`RIT#BY6Z$$/2;#_^3%[W8D4^(+Y2<#%.8P[_-\&ID0^'Y3"C`(:[0
M@R(<H`(3Z$$=IM!^;>,A^@AW0Y@UT7\:'*($USA&^7%1A34LH>+FN,0VUE&#
M7]LB!Z$X023NCXI^W!X>>SC%-5XQC\*+XQ.A2,!"EM%M9]2B#L4H/0>R\(^^
MPV`5+VA(3DJQD'1,'1^K]\5/=C*1I3MB_E:92#LZ$'7UTYTCOYC!/=KQD4G;
MVA1S1T0+AE%[GH.A+TV7O>4Q;X>]9)XQ&;G#R]U.EWLTVQUA!T9B>JZ81R3?
M-6$83%1:DXJI?.`'CPE`SF%.A&'$I3KS1<;$-624/(FA2>3YDG:N\YY3L:?4
M'`+_3YL$$6N!E(D^\4E0ID"38@?%VO<*RM"@))0A"T7*0U4VT(9:]"&O^UL[
M_PE1HH4M<&2$W,LJ>M&2R@V-M$2D('D7$Q<JTHD!I:A)9]H1D=;PHUMLY!.+
M]SU=^E1Y<K,@^`[(1I?NTIP)/2-0`9A),38/=1T$IBI_";G?77-U5Z4=3;<:
MU%;.DGW)9"+BE#C+5W)2I=DD)5C):<-Q2E.4<&UA*<>WO?S)4).8E&3Y8+E3
MNG+UKW>\*4Q7FL9*,E%]</3B()4YV"YFL&]15&0,\1K0R,*O>WB][$XOB]+"
M>A&(A`2L:`,[1FB"UI5?72@E/:M3TBXRG66]7UQM><I0\+9U?F/]'V?OBEO"
M@C&0IRTJ24>+2[VAK9$Z56,#HYA<H;8VI2]%;E])V5/>GC)[0K6N6EUZR-MN
M-J?3M2%Q2QJZE_:1C2?\Z`JG>5A#]C.M@Y3N=F$7V6:^[IR:C%P.Y4M=0!95
MB,;[IQHS6<OQDM=RVDUO6+W+5IPJLZIE?2M;X2O,!DOXKEE$:WQCM]_P^A"I
M>CRG5H_IS!$S4[\&3C&'H5M!(]84NL/U+S\'V^(:5S.NP\5H2W*LXO'R$J..
MK5I$Q:OCB3*5QBY.\@EGR^,9LZ3)/8ZRE`LWY)%`><I8SK*6M\SE+GOYRV`.
&L_,"`@`[
`
end
</TEXT>
</DOCUMENT>
<DOCUMENT>
<TYPE>EX-23
<SEQUENCE>5
<FILENAME>e44067_ex23.htm
<DESCRIPTION>CONSENT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM
<TEXT>

<HTML>
<HEAD>
   <TITLE></TITLE>
</HEAD>

<BODY bgcolor="#ffffff" style="font-family: 'Arial';font-size: 10pt;">

<P style="text-align: center;"> <B>Exhibit 23</B><BR>
<BR>
<B>Consent of Independent Registered Public Accounting Firm</B></P>
<P style="text-align: left;"> We hereby consent to the incorporation by reference in the Registration Statement on Form S-8 (No. 333-76078) of Albany International Corp. of our report dated June 20, 2011 relating to the financial statements of Albany International Corp. Prosperity Plus Savings Plan, which appears in this Form 11-K. </P>
<table width="100%" border="0" cellspacing="0" cellpadding="0">
  <tr>
    <td width="50%"><font size="2">&nbsp;</font></td>
    <td width="50%"><font face="Arial, Helvetica, sans-serif" size="2"><u>/s/ PricewaterhouseCoopers LLP</u><br>

Albany, New York<br>

June 20, 2011</font></td>
  </tr>
</table>
<hr noshade align="center" width="100%" size="5">

</BODY>

</HTML>

</TEXT>
</DOCUMENT>
</SEC-DOCUMENT>
