Form 11-K
Table of Contents

 

 

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington D.C. 20549

 

 

FORM 11-K

 

 

(Mark One)

x ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

For the fiscal year ended December 31, 2009

OR

 

¨ TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

Commission file number 000-12477

 

 

AMGEN RETIREMENT AND SAVINGS PLAN

(Full title of the plan)

 

 

AMGEN INC.

(Name of issuer of the securities held)

 

 

 

One Amgen Center Drive,   91320-1799
Thousand Oaks, California  
(Address of principal executive offices)   (Zip Code)

 

 

 


Table of Contents

Amgen Retirement and Savings Plan

Financial Statements

and Supplemental Schedules

Years ended December 31, 2009 and 2008

Contents

 

Report of Independent Registered Public Accounting Firm

   1

Audited Financial Statements:

  

Statements of Net Assets Available for Benefits at December 31, 2009 and 2008

   2

Statements of Changes in Net Assets Available for Benefits for the years ended December  31, 2009 and 2008

   3

Notes to Financial Statements

   4

Supplemental Schedules:

  

Schedule of Assets (Held at End of Year)

   16

Schedule of Assets (Acquired and Disposed of Within Year)

   40

Signatures

   41

Exhibits

   42


Table of Contents

Report of Independent Registered Public Accounting Firm

Amgen Inc., as Named Fiduciary, and the Plan Participants

    of the Amgen Retirement and Savings Plan

We have audited the accompanying statements of net assets available for benefits of the Amgen Retirement and Savings Plan (the Plan) as of December 31, 2009 and 2008, and the related statements of changes in net assets available for benefits for the years then ended. These financial statements are the responsibility of the Plan’s management. Our responsibility is to express an opinion on these financial statements based on our audits.

We conducted our audits 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. We were not engaged to perform an audit of the Plan’s internal control over financial reporting. Our audits included consideration of internal control over financial reporting as a basis for designing audit procedures that are appropriate in the circumstances, but not for the purpose of expressing an opinion on the effectiveness of the Plan’s internal control over financial reporting. Accordingly, we express no such opinion. An audit also 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.

In our opinion, the financial statements referred to above present fairly, in all material respects, the net assets available for benefits of the Plan at December 31, 2009 and 2008, and the changes in its net assets available for benefits for the years then ended, in conformity with U.S. generally accepted accounting principles.

Our audits were performed for the purpose of forming an opinion on the financial statements taken as a whole. The accompanying supplemental schedules of assets (held at end of year) as of December 31, 2009 and assets (acquired and disposed of within year) for the year then ended are presented for purposes of additional analysis and are not a required part of the 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 our audits of the financial statements and, in our opinion, are fairly stated in all material respects in relation to the financial statements taken as a whole.

 

/s/ ERNST & YOUNG LLP

Los Angeles, California

June 23, 2010

 

1


Table of Contents

Amgen Retirement and Savings Plan

Statements of Net Assets Available for Benefits

 

     December 31,
     2009     2008

Assets

    

Investments at fair value

   $ 2,034,202,397      $ 1,519,345,106

Receivables – due from broker

     12,262,379        16,496,533
              

Total assets

     2,046,464,776        1,535,841,639

Liabilities

    

Derivative investments at fair value

     389,415        60,801,216

Other – principally due to broker

     26,233,913        40,288,931
              

Total liabilities

     26,623,328        101,090,147
              

Net assets reflecting investments at fair value

     2,019,841,448        1,434,751,492

Adjustment from fair value to contract value for interest in fully benefit-responsive investment contracts

     (3,744,082     3,791,063
              

Net assets available for benefits

   $ 2,016,097,366      $ 1,438,542,555
              

See accompanying notes.

 

2


Table of Contents

Amgen Retirement and Savings Plan

Statements of Changes in Net Assets Available for Benefits

 

     Years ended December 31,  
     2009     2008  

Additions (deductions) to net assets:

    

Employer contributions

   $ 147,003,121      $ 141,521,690   

Participant contributions

     126,536,394        120,903,404   

Rollover contributions

     7,437,455        5,487,770   

Interest and dividend income

     21,729,237        16,113,707   

Net realized/unrealized gains/(losses)

     376,331,466        (649,987,702

Transfer from Amgen Mountain View Inc. 401(k)

    

Retirement Plan

     —          481,592   

Benefits paid

     (101,482,862     (262,641,022
                

Net increase/(decrease)

     577,554,811        (628,120,561

Net assets available for benefits at beginning of year

     1,438,542,555        2,066,663,116   
                

Net assets available for benefits at end of year

   $ 2,016,097,366      $ 1,438,542,555   
                

See accompanying notes.

 

3


Table of Contents

Amgen Retirement and Savings Plan

Notes to Financial Statements

December 31, 2009

 

1. Description of the Plan

The following description of the Amgen Retirement and Savings Plan (the Plan) provides only general information. Participants should refer to the Plan document for a more complete description of the Plan’s provisions.

General

The Plan was established effective April 1, 1985 and was most recently amended and restated effective January 1, 2010. The Plan is a defined contribution plan covering substantially all domestic employees of Amgen Inc. (the Company or Amgen) and participating subsidiaries. The Plan, as amended, is intended to qualify under sections 401(a) and 401(k) of the Internal Revenue Code of 1986 (the Code) (see Note 5, Income Tax Status) and section 407(d)(3)(A) of the Employee Retirement Income Security Act of 1974 (ERISA).

Contributions

Subject to certain limitations (as defined in the Plan), participants may elect to contribute up to 30% of their eligible compensation in pre-tax elective contributions, Roth elective contributions, after-tax elective contributions or a combination of these types of contributions. A participant’s combined pre-tax elective contributions and Roth elective contributions (exclusive of catch-up contributions discussed below) are subject to Internal Revenue Service (IRS) and Plan limits and could not exceed a maximum of $16,500 in 2009 and $15,500 in 2008. Participant after-tax elective contributions are subject to IRS and Plan limitations and could not exceed a maximum of $8,000 in 2009 and $7,500 in 2008. Unless an employee has voluntarily enrolled in the Plan or has declined to participate in the Plan within the first 30 days of employment, all newly eligible participants are automatically enrolled in the Plan and contributions equal to 5% of their eligible compensation are withheld and contributed to the Plan as pre-tax elective contributions; such contributions are automatically increased by 1% per year until their contributions reach 10% of their eligible compensation. Participants may elect to adjust, cease or resume their contributions at any time.

Participants who are at least age 50 by the close of the Plan year may also make certain additional contributions, referred to as catch-up contributions, that are subject to IRS and Plan limitations and could not exceed $5,500 in 2009 and $5,000 in 2008. Catch-up contributions can be made as pre-tax elective contributions, Roth elective contributions or a combination of these types of contributions. Participants may also contribute pre-tax and after-tax amounts representing certain distributions from other defined benefit or defined contribution plans qualified in the United States or certain individual retirement accounts (IRAs), referred to as rollover contributions (as defined in the Plan).

Each pay period, the Company makes a non-elective contribution for all eligible participants, whether or not they have elected to make contributions to the Plan, equal to 5% of each participant’s eligible compensation (Core Contribution). In addition, the Company makes a contribution of 100% of up to 5% of eligible compensation contributed by the participant as pre-tax elective contributions or Roth elective contributions, including such contributions designated as catch-up contributions (Matching Contribution).

 

4


Table of Contents

Amgen Retirement and Savings Plan

Notes to Financial Statements (continued)

 

Also, the Company can, in its discretion, make a special non-elective contribution on behalf of each participant who is in his or her initial year of employment with the Company and who could not make the maximum participant contribution permitted under the Plan because in the same Plan year he or she previously made pre-tax salary deferrals under a prior unrelated employer’s qualified plan.

Participants select the investments in which their contributions, including Core Contributions and Matching Contributions (collectively, Company Contributions), are to be invested, electing among various alternatives, including Amgen Inc. common stock (Amgen stock). Effective October 1, 2008, participants may direct a maximum of 20% of contributions to be invested in Amgen stock; prior to October 1, 2008, participants could direct a maximum of 50% of contributions to be invested in Amgen stock. Participants may transfer amounts among the investment options at any time, subject to certain limitations. Notwithstanding the foregoing, if 20% or more (50% or more prior to October 1, 2008) of the value of a participant’s Plan account is invested in Amgen stock, no transfers from other investment options can be made to invest in Amgen stock.

The accounts of participants who had never made an investment election are allocated to investments under a qualified default investment alternative which is intended to be compliant with ERISA regulations. At any time participants may elect to alter the investments in their accounts made under a qualified default investment alternative.

Vesting

Participants are immediately vested with respect to their contributions, Company Contributions, and earnings and losses (hereafter referred to as “earnings”) thereon.

Participant Accounts

Each participant’s account is credited with the participant’s contributions and an allocation of (a) Company Contributions and (b) earnings. The benefit to which a participant is entitled is the benefit that can be provided from the participant’s account.

Plan Investments

Effective October 1, 2008, participants can invest in any of 14 different asset classes as well as Amgen stock or may actively manage their account under a self-directed brokerage arrangement under which a wider array of investment options are available. Each asset class has investments in mutual funds, collective trust funds and/or portfolios which are separately managed exclusively for the benefit of Plan participants and their beneficiaries (separately managed portfolios). Prior to October 1, 2008, participants could invest in mutual funds, Amgen stock and separately managed portfolios. The separately managed portfolios have underlying investments primarily in publicly traded common and preferred stocks of domestic and foreign entities, fixed income securities and/or collective trust funds.

 

5


Table of Contents

Amgen Retirement and Savings Plan

Notes to Financial Statements (continued)

 

Payments of Benefits

Upon termination of employment, including termination due to disability (as defined in the Plan) or retirement, but excluding termination due to death, participants may elect to receive an amount equal to the value of their account balance in (a) a single lump sum payment in cash, (b) a single sum distribution in full shares of Amgen stock (with any fractional shares paid in cash), (c) a single sum distribution paid in a combination of cash and full shares of Amgen stock, (d) cash installments (as defined in the Plan), or (e) a rollover distribution to an eligible retirement plan (as defined in the Plan). If a participant dies before receiving the value of his or her vested account balance, the participant’s beneficiary may elect to receive the distribution from among the alternatives described above, subject to certain Plan limitations.

Subsequent to termination of employment, participants may also elect to maintain their vested account balance in the Plan, provided that their account balance is greater than $1,000.

Certain restrictions apply to withdrawals from the Plan while a participant continues to be employed by the Company.

Participant Loans

Subject to certain restrictions, a participant can have outstanding up to two loans at any one time from his or her Plan account up to a combined maximum amount (as defined in the Plan) equal to the lesser of (a) 50% of their vested account balance or (b) $50,000 less certain adjustments, as applicable (as defined in the Plan). Loans made prior to July 1, 2003 bear interest at fixed rates based on the average borrowing rates of certain major banks. Loans made on or after July 1, 2003 bear interest at fixed rates based on the prime rate plus one percentage point as published in The Wall Street Journal determined as of the last day of the calendar quarter preceding origination or such other rate as may be required by law. Loans are generally payable in installments over periods ranging from one to five years, unless the loan is used to acquire a principal residence for which the term of the loan may be up to 20 years. Principal and interest payments are allocated to the participant’s account.

Plan Termination

Although it has not expressed any intent to do so, the Company has the right under the Plan to terminate the Plan subject to the provisions of ERISA. Upon termination, participants would receive distributions of their account balances.

Trustee

Effective October 1, 2008, Bank of America, N.A. (formerly Merrill Lynch Bank & Trust, Co., FSB) acts as the Plan’s trustee. Prior to October 1, 2008, Fidelity Management Trust Company acted as the Plan’s trustee.

 

6


Table of Contents

Amgen Retirement and Savings Plan

Notes to Financial Statements (continued)

 

2. Summary of Significant Accounting Policies

Basis of Accounting

The accompanying financial statements are prepared on the accrual basis of accounting.

Fair Value Measurement

The investments of the Plan are reported at fair value. Fair value is generally defined as the price that would be received to sell an asset or paid to transfer a liability (the exit price) in an orderly transaction between market participants at the measurement date (see Note 3, Fair Value Measurements). In 2009, the Plan adopted a new accounting standard that prospectively requires additional disaggregation when presenting the fair values of categories of Plan assets. The adoption of this new accounting standard did not have any impact on the Plan’s net assets. Also, in 2009, the Plan adopted a new accounting standard that provides additional guidance in estimating fair value when the market volume and level of activity for an investment has significantly decreased and in identifying circumstances that indicate a transaction may not be orderly. The adoption of this new accounting standard did not have a material impact on the Plan’s financial statements.

Investment Income and Losses

Dividend income is recognized on the ex-dividend date and interest income is recorded on an accrual basis. Unrealized gains and losses on investments are measured by the change in the difference between the fair value and cost of the securities held at the beginning (or date purchased if acquired during the Plan year) and the end of the year. Realized gains and losses from security transactions are recorded based on the weighted-average cost of securities sold.

Cash and Cash Equivalents

Cash and cash equivalents include cash and short-term interest-bearing investments with initial maturities of three months or less. Such amounts are recorded at carrying value, plus accrued interest.

Collective Trust Funds

Collective trust funds represent interests in pooled investment vehicles designed typically for collective investment of employee benefit trusts. The fair values of these investments are determined by reference to the net asset value per unit provided by the fund managers. The unit values are based on the fair value of the trusts’ underlying assets, which are principally equity and fixed income securities and short-term investments.

The investment strategies of the Plan’s collective trust funds vary based on the investment objectives of the asset class of which they are a part. Such investment strategies include investments in fixed income securities and investments in equity securities for growth and value objectives as well as to replicate market indexes and to invest in emerging markets. There are no material redemption restrictions on any of these investments.

 

7


Table of Contents

Amgen Retirement and Savings Plan

Notes to Financial Statements (continued)

 

Fully Benefit-Responsive Investment Contracts

The Plan holds units of collective trust funds that have investments in fully benefit-responsive investment contracts. In addition, the Plan directly invests in such contracts in the form of security-backed contracts, discussed below. Such contracts held directly or indirectly by a defined contribution plan are required to be reported at fair value. However, contract value is the relevant measurement attribute for that portion of the net assets available for benefits of a defined contribution plan attributable to fully benefit-responsive investment contracts because contract value is the amount participants would receive if they were to initiate qualified transactions related to these investments. The Statements of Net Assets Available for Benefits present these contracts at fair value with an adjustment to contract value. The Statements of Changes in Net Assets Available for Benefits are prepared on a contract value basis.

As of December 31, 2009 and 2008, the Plan had two security-backed contracts which are fully benefit-responsive investment contracts, sometimes referred to as wrapper contracts. These contracts were issued by financial services companies and are backed by the Plan’s ownership interest in a collective trust fund that invests in fixed income securities. The credit ratings of one contract issuer are “AA-” with a negative outlook by Standard & Poor’s (S&P), “A1” with a negative outlook by Moody’s Investor Services, Inc. (Moody’s), and “a+” with a negative outlook by A.M. Best Company. The credit ratings of the other issuer are “AA-” with a negative outlook by S&P, “Aa1” with a negative outlook by Moody’s and “AA-” with a stable outlook by Fitch, Inc. The issuers of the Plan’s security-backed contracts credit the Plan with stated rates of interest, and the issuers guarantee that all qualified participant withdrawals related to the contracts will be at contract value. The crediting rates provide for realized and unrealized gains and losses on the underlying assets to be amortized over the expected duration of the underlying investments through adjustments to the future interest crediting rates rather than being reflected immediately in the net assets of the Plan. The interest crediting rates of the security-backed contracts are primarily based on the current yield to maturity of the underlying investments plus or minus amortization of the difference between the contract value and fair value of the underlying investments over the duration of such investments. Accordingly, future crediting rates are impacted by changes in the yield to maturity of underlying investments, the duration of the assets underlying the contract and the difference between the contract value and fair value of the underlying investments. The crediting rates are reset quarterly and are reduced by fees paid to the contract issuers. In no event are the crediting rates less than 0%.

To the extent that the underlying investments of security-backed contracts have unrealized and/or realized losses, a positive adjustment is made to the adjustment from fair value to contract value in the Statements of Net Assets Available for Benefits. As a result, the future crediting rate may be lower over time than the then-current market rates. Conversely, if the underlying investments generate unrealized and/or realized gains, a negative adjustment is made to the adjustment from fair value to contract value, and the future crediting rate may be higher over time than the then-current market rates.

The security-backed contracts provide for withdrawals at other than contract value associated with certain events which are not in the ordinary course of Plan operations. These withdrawals are made at contract value modified by a market value adjustment as defined in the contract. Circumstances which may trigger a market value adjustment are generally defined as any event which, in the reasonable determination of the issuer, has or will have a material adverse effect on the issuer’s interest under the contract. Such events may include, but are not limited to: (i) material amendments to the Plan’s structure

 

8


Table of Contents

Amgen Retirement and Savings Plan

Notes to Financial Statements (continued)

 

or administration; (ii) changes in or the creation of competing investment options; (iii) complete or partial termination of the Plan; (iv) removal of a specifically identifiable group of employees from coverage under the Plan; (v) a change in law, regulation, ruling, administrative position, or accounting standard applicable to the Plan; or (vi) communication to Plan participants designed to influence a participant not to invest in the asset class that contains these contracts. The Company does not believe that the occurrence of any such event, which would limit the Plan’s ability to transact at contract value with participants, is probable.

These security-backed contracts are evergreen contracts with no maturity dates but do contain termination provisions. The issuer is obligated to pay the excess contract value when the fair value of the underlying investments equals zero. In addition, if the Plan defaults in its obligations under the security-backed contract and such default is not corrected within the time permitted by the contract, then the contract may be terminated by the issuer and the Plan will receive the fair value of the underlying investments as of the date of termination.

The yields earned by the Plan as of December 31, 2009 and 2008 were 2.9% and 3.7%, respectively, which represents the annualized earnings of all security-backed contracts divided by the fair value of all security-backed contracts in the Plan as of December 31, 2009 and 2008, respectively. The yield earned by the Plan with an adjustment to reflect the actual interest rate credited to participants as of December 31, 2009 and 2008 was 3.7% and 4.2%, respectively, which represents the annualized earnings credited to participants divided by the fair value of all security-backed contracts as of December 31, 2009 and 2008, respectively.

Other Investments

Common stock (including Amgen stock), preferred stock, mutual funds and U.S. treasury securities are valued using quoted market prices in active markets with no valuation adjustment. Common and preferred stocks traded in markets that are not considered active are valued using broker or dealer quotations. Debt securities other than U.S. treasury securities are valued using methodologies based on market observable inputs, including quoted prices of transactions of similar securities in active markets, quoted prices of recent transactions of identical or similar securities in markets that are not active, benchmark yields and issuer credit spreads. Participant loans are valued at carrying amount, which approximates fair value. Derivatives are primarily composed of futures contracts, credit default swaps, interest rate swaps and swaptions. Futures contracts are valued based on unadjusted settlement prices in active markets for identical assets or liabilities; credit default swaps, interest rate swaps and swaptions are valued using valuation models for which all significant inputs are observable either directly or indirectly to estimate fair value.

Due from/to Brokers

Purchases and sales of investments are recorded on a trade-date basis. Due from brokers and due to brokers arise from unsettled sale and purchase transactions as of December 31, 2009 and 2008.

Use of Estimates

The preparation of financial statements in conformity with U.S. generally accepted accounting principles requires management to make estimates and assumptions that affect the amounts reported in the financial statements and accompanying notes. Actual results could differ from those estimates.

 

9


Table of Contents

Amgen Retirement and Savings Plan

Notes to Financial Statements (continued)

 

Subsequent Events

Subsequent events were evaluated through the date of issuance of the financial statements in this Form 11-K.

Recent Accounting Pronouncements

In 2010, the Plan will adopt a new accounting standard which requires additional disclosure about the amounts of and reasons for significant transfers in and out of Level 1 and Level 2 fair value measurements (see Note 3, Fair Value Measurements). This standard also clarifies existing disclosure requirements related to the level of disaggregation of fair value measurements for each class of assets and liabilities and disclosures about inputs and valuation techniques used to measure fair value for Level 2 and Level 3 measurements. In addition, effective for 2011, this standard will require additional disclosure and the presentation of disaggregated information about activity in Level 3 fair value measurements on a gross basis, rather than as one net amount. As this new accounting standard only requires enhanced disclosure, the adoption of this standard will not impact the Plan’s net assets available for benefits or changes to net assets available for benefits.

 

3. Fair Value Measurements

The Plan uses various valuation approaches in determining the fair value of investment assets and liabilities within a hierarchy that maximizes the use of observable inputs and minimizes the use of unobservable inputs by requiring that observable inputs be used when available. Observable inputs are inputs that market participants would use in pricing the asset or liability based on market data obtained from independent sources. Unobservable inputs are inputs that reflect assumptions about the inputs that market participants would use in pricing the asset or liability and are developed based on the best information available in the circumstances. The fair value hierarchy is broken down into three levels based on the source of inputs as follows:

Level 1 – Valuations based on unadjusted quoted prices in active markets for identical assets or liabilities that the Plan has the ability to access;

Level 2 – Valuations for which all significant inputs are observable, either directly or indirectly, other than level 1 inputs;

Level 3 – Valuations based on inputs that are unobservable and significant to the overall fair value measurement.

The availability of observable inputs can vary among the various types of investment assets and liabilities. To the extent that the valuation is based on models or inputs that are less observable or unobservable in the market, the determination of fair value requires more judgment. In certain cases, the inputs used to measure fair value may fall into different levels of the fair value hierarchy. In such cases, for financial statement disclosure purposes, the level in the fair value hierarchy within which the fair value measurement is categorized is based on the lowest level input that is significant to the overall fair value measurement.

 

10


Table of Contents

Amgen Retirement and Savings Plan

Notes to Financial Statements (continued)

 

The following fair value hierarchy table presents information about each major category of the Plan’s investment assets and liabilities measured at fair value:

 

     Fair value measurements at December 31, 2009 using
     Quoted prices
in active
markets  for
identical
assets/liabilities
(Level 1)
   Significant
other
observable
inputs
(Level 2)
   Significant
unobservable
inputs
(Level 3)
   Total

Assets:

           

Amgen stock

   $ 146,061,982    $ —      $ —      $ 146,061,982

Cash and cash equivalents

     35,862,688      —        —        35,862,688

Common and preferred stocks:

           

Growth

     353,751,058      2,904,921      —        356,655,979

Value

     271,739,149      —        —        271,739,149

Other

     39,916,055      —        —        39,916,055

Debt securities issued by the U.S. Treasury and other U.S. government agencies

     16,813,537      24,674,652      —        41,488,189

Corporate debt securities

     —        24,945,461      —        24,945,461

Other debt securities

     —        8,792,806      —        8,792,806

Mutual funds:

           

Fixed income

     50,534,357      —        —        50,534,357

Value

     132,761,979      —        —        132,761,979

Other

     52,035,159      —        —        52,035,159

Collective trust funds:

           

Fixed income

     —        269,272,488      —        269,272,488

Growth

     —        24,377,843      —        24,377,843

Index

     —        417,134,838      —        417,134,838

Value

     —        36,686,143      —        36,686,143

Emerging markets

     —        90,343,861      —        90,343,861

Other

     —        1,725,256      —        1,725,256

Loans to participants

     —        —        33,088,940      33,088,940

Derivatives

     11,520      160,798      —        172,318

Other

     —        606,906      —        606,906
                           
   $ 1,099,487,484    $ 901,625,973    $ 33,088,940    $ 2,034,202,397
                           

Liabilities:

           

Derivatives

   $ 27,463    $ 361,952    $ —      $ 389,415
                           
   $ 27,463    $ 361,952    $ —      $ 389,415
                           

 

11


Table of Contents

Amgen Retirement and Savings Plan

Notes to Financial Statements (continued)

 

     Fair value measurements at December 31, 2008 using
     Quoted prices
in active
markets for
identical
assets/liabilities
(Level 1)
   Significant
other
observable
inputs
(Level 2)
   Significant
unobservable
inputs
(Level 3)
   Total

Assets:

           

Amgen stock

   $ 154,332,717    $ —      $ —      $ 154,332,717

Cash and cash equivalents

     36,305,703      8,697,284      —        45,002,987

Common and preferred stocks

     448,604,507      3,262,382      —        451,866,889

Debt securities

     —        69,958,949      —        69,958,949

Mutual funds

     123,758,036      —        —        123,758,036

Collective trust funds

     —        584,986,415      —        584,986,415

Loans to participants

     —        —        30,056,685      30,056,685

Derivatives

     59,336,003      39,487      —        59,375,490

Other

     6,938      —        —        6,938
                           
   $ 822,343,904    $ 666,944,517    $ 30,056,685    $ 1,519,345,106
                           

Liabilities:

           

Derivatives

   $ 59,393,735    $ 1,407,481    $ —      $ 60,801,216
                           
   $ 59,393,735    $ 1,407,481    $ —      $ 60,801,216
                           

The table below sets forth a summary of changes in the fair value of the Plan’s Level 3 investment assets for the years ended December 31, 2009 and 2008:

 

     Level 3 Assets – Loans to Participants  
     Year Ended December 31,  
     2009    2008  

Balance at the beginning of the year

   $ 30,056,685    $ 30,803,169   

Issuances, repayments and settlements, net

     3,032,255      (746,484
               

Balance at the end of the year

   $ 33,088,940    $ 30,056,685   
               

 

12


Table of Contents

Amgen Retirement and Savings Plan

Notes to Financial Statements (continued)

 

4. Investments

The fair values of individual investments that represent 5% or more of the Plan’s net assets as of December 31, 2009 and 2008 are as follows:

 

     December 31,
     2009    2008

Blackrock Equity Index Fund F – Collective trust fund (formerly Barclay’s Global Investment Equity Index Fund – Collective trust fund)

   $  317,966,339     $  220,942,854

Amgen stock

     146,061,982       154,332,717

Dodge & Cox International Fund

     132,761,979       *

Wells Fargo Fixed Income Fund D – Collective trust fund

     115,291,348       *

Wells Fargo Stable Return Fund G – Collective trust fund

     101,139,377       83,795,423

 

* Investment balance was less than 5% of the Plan’s net assets.

During 2009 and 2008, the Plan’s investments (including gains and losses on investments bought and sold, as well as held during the year) appreciated/(depreciated) in fair value as follows:

 

     Years Ended December 31,  
     2009     2008  

Amgen stock

   $ (2,886,135   $ 31,496,921   

Common and preferred stocks

     160,930,191        (196,264,784

Fixed income securities

     5,448,633        (6,598,081

Mutual funds

     58,353,945        (409,693,469

Collective trust funds

     152,712,132        (67,419,463

Other

     1,772,700        (1,508,826
                
   $ 376,331,466      $ (649,987,702
                

 

5. Income Tax Status

The Plan received a determination letter from the IRS dated March 27, 2008, stating that the Plan is qualified, in form, under Section 401(a) of the Code and, therefore, the related trust is exempt from taxation. Subsequent to this determination by the IRS, the Plan was amended. Subsequent amendments have been structured and are intended to maintain the Plan’s tax qualified status. Once qualified, the Plan is required to operate in conformity with the Code to maintain its qualification. The Company believes the Plan is currently being operated in compliance with the applicable requirements of the Code and, therefore, believes that the Plan is qualified and the related trust is tax exempt.

 

6. Services Provided by the Company

During 2009 and 2008, the Company has paid trustee fees and certain other administrative costs on behalf of the Plan.

 

13


Table of Contents

Amgen Retirement and Savings Plan

Notes to Financial Statements (continued)

 

7. Assets Transferred from Amgen Mountain View Inc. 401(k) Retirement Plan

In connection with its acquisition of Avidia, Inc. in September 2006, the Company assumed sponsorship of the Avidia 401(k) Plan, which was subsequently renamed the Amgen Mountain View Inc. 401(k) Retirement Plan (the Avidia Plan). Each participant in the Avidia Plan on July 31, 2008 became a participant in the Plan, and on August 1, 2008, the Company merged the Avidia Plan into the Plan and assets totaling $481,592 held by the Avidia Plan were transferred to the Plan.

 

8. Reconciliation of Financial Statements to Form 5500

The reconciliation of net assets available for benefits per the financial statements to Form 5500 as of December 31, 2009 and 2008 consists of the following:

 

     December 31,  
     2009     2008  

Net assets available for benefits per the financial statements

   $ 2,016,097,366      $ 1,438,542,555   

Adjustment from fair value to contract value for fully benefit-responsive investment contracts

     3,744,082        (3,791,063

Amounts allocated to withdrawing participants

     (359,818     (358,293

Deemed loans

     (199,795     (194,652
                

Net assets per the Form 5500

   $ 2,019,281,835      $ 1,434,198,547   
                

For the year ended December 31, 2009, the following is a reconciliation of the net investment income per the financial statements to the Form 5500:

 

     Year Ended
December  31,
2009

Interest and dividend income

   $ 21,729,237

Net realized/unrealized gains

     376,331,466
      

Total net investment income per the financial statements

     398,060,703

Adjustment from fair value to contract value for fully benefit-responsive investment contracts:

  

Less prior year adjustment

     3,791,063

Add current year adjustment

     3,744,082
      

Total net investment income per the Form 5500

   $ 405,595,848
      

 

14


Table of Contents

Amgen Retirement and Savings Plan

Notes to Financial Statements (continued)

 

For the year ended December 31, 2009, the following is a reconciliation of distributions to participants per the financial statements to the Form 5500:

 

     Year Ended
December  31,
2009
 

Total distributions per the financial statements

   $ 101,482,862   

Less prior year amounts allocated to withdrawing participants

     (358,293

Add current year amounts allocated to withdrawing participants

     359,818   

Less prior year deemed loan balance

     (194,652

Add current year deemed loan balance

     199,795   
        

Total distributions per the Form 5500

   $ 101,489,530   
        

 

15


Table of Contents

Supplemental Schedule

Amgen Retirement and Savings Plan

EIN: 95-3540776 Plan: #001

Schedule H, line 4i - Schedule of Assets (Held at End of Year)

December 31, 2009

 

Identity of Issue

  

Description of Investment

  

Current Value

Amgen stock*

  

Employer Securities 2,581,969 shares

      $146,061,982

Capital Preservation Asset Class:

        

Northern Trust Global Investments Collective Daily Short Term Investment Fund*

  

Common Collective Trust 14,299,184 units

   $    14,299,184   

Wells Fargo Stable Return Fund G

  

Common Collective Trust 2,175,190 units

   101,139,377   

Wells Fargo Fixed Income Fund D

  

Common Collective Trust 10,470,719 units

   115,291,348   

Monumental Life Insurance Company

  

Wrapper Contract

   47,390   

JP Morgan Chase & Company

  

Wrapper Contract

   —     
          

Total Capital Preservation Asset Class

         230,777,299

Emerging Markets Equity Class:

        

JP Morgan Emerging Markets Equity Focus Fund

  

Common Collective Trust 1,851,483 units

   84,927,530   

Northern Trust Global Investments Collective Daily MSCI Emerging Markets Fund - Non Lending*

  

Common Collective Trust 39,309 units

   5,416,331   
          

Total Emerging Markets Equity Class

         90,343,861

Fixed Income Asset Class:

        

Northern Trust Global Investments Collective Daily Aggregate Bond Index Fund - Non Lending*

  

Common Collective Trust 286,102 units

   30,283,000   

Western Asset Management Company

  

Cash and Short Term Investments

   18,203,333   

US Treasury 2.375% Due 09/30/2014

  

Government Bonds 5,010,000 units

   4,967,715   

Fannie Mae Single Family Mortgage 5.0%

  

Government Mortgage Backed Securities 3,700,000 units

   3,796,547   

Northern Trust Global Investments Collective Daily Aggregate Bond Index Fund - Lending*

  

Common Collective Trust 8,890 units

   3,586,110   

US Treasury Sec 4.5% Due 08/15/2039

  

Government Bonds 3,198,000 units

   3,125,545   

US Treasury Bonds 4.375% Due 11/15/2039

  

Government Bonds 2,056,000 units

   1,967,978   

Fannie Mae 30 Year Pass-Through 6% 30 Years

  

Government Mortgage Backed Securities 1,800,000 units

   1,906,311   

US Treasury Notes 2.125% Due 11/30/2014

  

Government Bonds 1,660,000 units

   1,620,707   

Fannie Mae 15 Year Pass-Through 5.5%

  

Government Mortgage Backed Securities 1,500,000 units

   1,586,249   

Fannie Mae Single Family Mortgage 4.5% 30 Years

  

Government Mortgage Backed Securities 1,500,000 units

   1,497,187   

Fannie Mae 6.25% Due 2/1/2011

  

Government Bonds 1,420,000 units

   1,491,808   

US Treasury Inflation Indexed Bonds 2.375% Due 1/15/2027

  

Index Linked Government Bonds 1,230,000 units

   1,387,487   

Federal National Mortgage Association 5.25% Due 8/1/2012

  

Government Bonds 1,160,000 units

   1,237,870   

Fannie Mae 15 Year Pass-Through 5.0%

  

Government Mortgage Backed Securities 900,000 units

   940,499   

CDX North America High Yield 7.625% Due 6/29/2012

  

Corporate Bonds 870,000 units

   867,825   

Federal Home Loan Mortgage Corporation Pool 5.5% Due 1/1/2038

  

Government Mortgage Backed Securities 799,846 units

   838,796   

Ginnie Mae Single Family Mortgages 5.0% Due 1/1/2038

  

Government Mortgage Backed Securities 800,000 units

   822,625   

 

16


Table of Contents

Schedule H, line 4i - Schedule of Assets (Held at End of Year) (continued)

 

Identity of Issue

  

Description of Investment

  

Current Value

Ginnie Mae II Jumbos 5% 30 Years

  

Government Mortgage Backed Securities 800,000 units

   822,129   

US Treasury Bonds 2.5% Due 1/15/2029

  

Index Linked Government Bonds 720,000 units

   777,546   

Fannie Mae Notes 4.625% Due 5/1/2013

  

Government Bonds 730,000 units

   767,982   

Federal Home Loan Mortgage Corporation Pool 5.5% Due 11/1/2037

  

Government Mortgage Backed Securities 727,365 units

   763,354   

Fannie Mae Pool 6.0% Due 7/1/2037

  

Government Mortgage Backed Securities 707,086 units

   750,063   

Ginnie Mae Passthrough 6.5% 30 Years

  

Government Mortgage Backed Securities 700,000 units

   744,188   

Fannie Mae Capital Debt Zero Coupon Due 10/09/2019

  

Government Bonds 1,130,000 units

   613,590   

Ginnie Mae Variable Rate 1.37875% Due 11/20/2059

  

Collateralized Mortgage Obligations 580,147 units

   580,037   

Russian Federation Variable Rate 7.5%

  

Government Bonds 493,500 units

   557,606   

Fannie Mae Pool 5.0% Due 6/1/2035

  

Government Mortgage Backed Securities 513,648 units

   528,763   

Anadarko Petroleum Corporation 6.45% Due 9/15/2036

  

Corporate Bonds 500,000 units

   522,185   

Federal Home Loan Mortgage Corporation Adjustable Rate Due 5/1/2037

  

Government Mortgage Backed Securities 454,424 units

   481,125   

Energy Future 11.25% Due 11/01/2017

  

Corporate Bonds 640,452 units

   453,120   

Wachovia Corporation 5.75% Due 2/1/2018

  

Corporate Bonds 420,000 units

   438,299   

AT&T Inc. 5.6% Due 5/15/2018

  

Corporate Bonds 410,000 units

   429,663   

Federal Home Loan Mortgage Corporation Pool 5.891% Due 8/1/2037

  

Government Mortgage Backed Securities 402,194 units

   426,985   

Ginnie Mae Pass through 6.0%

  

Government Mortgage Backed Securities 400,000 units

   422,625   

US Treasury Notes 3.625% Due 08/15/2019

  

Government Bonds 420,000 units

   412,913   

Fannie Mae Single Family Mortgage 4.5% 15 Years

  

Government Mortgage Backed Securities 400,000 units

   411,375   

US Treasury Notes Dated 11/15/2009 3.375% Due 11/15/2019

  

Government Bonds 420,000 units

   403,990   

US Treasury Bonds 4.25% Due 05/15/2039

  

Government Bonds 420,000 units

   394,013   

LB-UBS Commercial Mortgage Trust Due 9/15/2030

  

Commercial Mortgage-Backed Securities 400,000 units

   387,602   

US Treasury Notes 1% Due 08/31/2011

  

Government Bonds 374,000 units

   374,190   

Comcast Corporation New 6.5% Due 1/15/2017

  

Corporate Bonds 330,000 units

   365,331   

Williams Companies Inc. 7.5% Due 1/15/2031

  

Corporate Bonds 330,000 units

   355,982   

Fannie Mae Pool 5.5% Due 11/1/2036

  

Government Mortgage Backed Securities 328,794 units

   344,805   

Conoco Inc. 6.95% Due 4/15/2029

  

Corporate Bonds 300,000 units

   340,064   

Federal Home Loan Mortgage Corporation Pool 5.697% Due 4/1/2037

  

Government Mortgage Backed Securities 317,072 units

   335,717   

Freeport-McMoran Copper & Gold Inc. 8.375% Due 4/1/2017

  

Corporate Bonds 305,000 units

   333,975   

Energy Transfer Properties 6.7% Due 7/1/2018

  

Corporate Bonds 310,000 units

   331,917   

JP Morgan Chase & Company 5.15% Due 10/1/2015

  

Corporate Bonds 310,000 units

   321,019   

Telefonica Emisiones SAU 6.221% Due 7/3/2017

  

Corporate Bonds 290,000 units

   319,641   

 

17


Table of Contents

Schedule H, line 4i - Schedule of Assets (Held at End of Year) (continued)

 

Identity of Issue

  

Description of Investment

  

Current Value

US Treasury Notes 2.375% Due 08/31/2014

  

Government Bonds 320,000 units

   317,650   

Credit Suisse Commercial Mortgage Trust 5.467% Due 9/15/2039

  

Commercial Mortgage-Backed Securities 360,000 units

   308,348   

Pepsico Inc. 7.9% Due 11/1/2018

  

Corporate Bonds 250,000 units

   306,814   

Citigroup Inc. 8.5% Due 5/22/2019

  

Corporate Bonds 260,000 units

   300,236   

Federal Home Loan Mortgage Corporation Gold Single Family 4.5% 30 Years

  

Government Mortgage Backed Securities 300,000 units

   299,250   

General Electric Capital Corporation 5.625% Due 5/1/2018

  

Corporate Bonds 290,000 units

   297,175   

General Electric Capital Corporation 6% Due 08/07/2019

  

Corporate Bonds 280,000 units

   290,646   

Diageo Capital PLC 7.375% Due 1/15/2014

  

Corporate Bonds 250,000 units

   289,203   

Wachovia Corporation 5.625% Due 10/15/2016

  

Corporate Bonds 280,000 units

   286,298   

JP Morgan Chase & Company 6.125% Due 6/27/2017

  

Corporate Bonds 260,000 units

   274,813   

Wachovia Bank, National Association 6.0% Due 11/15/2017

  

Corporate Bonds 260,000 units

   272,153   

Merrill Lynch & Company Inc. 6.875% Due 4/25/2018*

  

Corporate Bonds 250,000 units

   269,360   

Transocean Inc. 5.25% Due 3/15/2013

  

Corporate Bonds 250,000 units

   267,910   

CVS Caremark Corporation 6.6% Due 3/15/2019

  

Corporate Bonds 240,000 units

   262,629   

Enterprise Products Operating, LP 9.75% Due 1/31/2014

  

Corporate Bonds 220,000 units

   262,565   

Bank America Corporation Series Dated 09/25/2002 4.875% Due 09/15/2012*

  

Corporate Bonds 250,000 units

   261,961   

Verizon Communications Inc. 5.5% Due 2/15/2018

  

Corporate Bonds 250,000 units

   260,893   

Resolution FDG Corporation Federal Book Entry Prin Strips Generic Principle Payment 10/15/2019

  

Government Bonds 400,000 units

   256,667   

HSBC Financial Corporation 4.625% Due 9/15/2010

  

Corporate Bonds 250,000 units

   256,206   

American Express Credit 5.125% Due 08/25/2014

  

Corporate Bonds 240,000 units

   252,896   

Morgan Stanley Capital Due 4/15/2017

  

Commercial Mortgage-Backed Securities 300,000 units

   252,791   

Citigroup Inc. 4.125% Due 2/22/2010

  

Corporate Bonds 250,000 units

   250,909   

Fannie Mae Pool 5.5% Due 5/1/2037

  

Government Mortgage Backed Securities 237,835 units

   249,231   

Auto Receivables Trust 2006-2 Class A-3 5.33% Due 4/15/2014

  

Asset Backed Securities 242,750 units

   243,559   

Occidental Petroleum Corporation 7.0% Due 11/1/2013

  

Corporate Bonds 210,000 units

   241,286   

Pemex Project FDG Master Trust Bond 6.625% Due 6/15/2035

  

Government Bonds 250,000 units

   238,038   

Bear Stearns Structured Products Inc. Due 3/25/2037

  

Collateralized Mortgage Obligations 271,880 units

   237,938   

Dr Pepper Snapple Group Inc. 6.82% Due 5/01/2018

  

Corporate Bonds 210,000 units

   235,582   

Caterpillar Financial Services Corporation 6.2% Due 9/30/2013

  

Corporate Bonds 210,000 units

   234,012   

 

18


Table of Contents

Schedule H, line 4i - Schedule of Assets (Held at End of Year) (continued)

 

Identity of Issue

  

Description of Investment

  

Current Value

Credit Agricole SA 8.375% Floating Rate Due 8/15/2029

  

Corporate Bonds 220,000 units

   233,200   

Bayview Commercial Asset Trust Variable Rate Due 11/25/2035

  

Commercial Mortgage-Backed Securities 368,973 units

   232,424   

Residential Accredit Loan Inc. Mortgage Due 12/26/2034

  

Collateralized Mortgage Obligations 344,059 units

   231,696   

BB&T Corporation 3.85% Due 7/27/2012

  

Corporate Bonds 220,000 units

   227,712   

John Deere Capital Corporation 4.9% Due 9/9/2013

  

Corporate Bonds 210,000 units

   225,742   

WaMu Mortgage Passthrough Due 11/25/2036

  

Collateralized Mortgage Obligations 297,123 units

   218,584   

Structured Asset Securities Corporation Mortgage Loan Trust Variable Rate 4/25/2031

  

Asset Backed Securities 351,722 units

   218,529   

Structured Assets Investments II Grantor Trust Mortgage Passthrough Due 9/25/2047

  

Collateralized Mortgage Obligations 414,195 units

   218,516   

Morgan Stanley Global Medium Term Notes 6.625% Due 4/1/2018

  

Corporate Bonds 200,000 units

   216,234   

Kinder Morgan Energy Partners 6.95% Due 1/15/2038

  

Corporate Bonds 200,000 units

   213,153   

Baker Hughes Inc. 7.578% Due 11/15/2018

  

Corporate Bonds 170,000 units

   202,926   

Wells Fargo Mortgage Backed Securities Due 5/25/2036

  

Collateralized Mortgage Obligations 228,971 units

   200,583   

Fannie Mae Pool 5.5% Due 2/1/2036

  

Government Mortgage Backed Securities 190,738 units

   200,027   

Ginnie Mae II Jumbos 4.5% 30 Years

  

Government Mortgage Backed Securities 200,000 units

   199,813   

Fannie Mae Pool 5.5% Due 12/1/2037

  

Government Mortgage Backed Securities 184,968 units

   193,831   

Alternative Loan Trust Floating Rate Due 7/25/2036

  

Collateralized Mortgage Obligations 432,641 units

   193,164   

Indymac MBS Inc. Passthrough Due 12/31/2040

  

Collateralized Mortgage Obligations 346,351 units

   192,357   

British Telecommunications PLC 9.125% Due 12/15/2030

  

Corporate Bonds 150,000 units

   191,132   

Devon Energy Corporation 7.95% Due 4/15/2032

  

Corporate Bonds 150,000 units

   190,689   

Pfizer Inc. Note 6.2% Due 3/15/2019

  

Corporate Bonds 170,000 units

   188,976   

WaMu Mortgage Securities Corporation Variable Rate Due 12/25/2044

  

Collateralized Mortgage Obligations 303,351 units

   187,688   

Firstenergy Corporation 3.75% Due 11/15/2031

  

Corporate Bonds 170,000 units

   184,263   

US Treasury Notes 4% Due 8/15/2018

  

Government Bonds 180,000 units

   183,839   

Cwalt Inc. Alternative Loan Trust Due 8/25/2035

  

Collateralized Mortgage Obligations 405,426 units

   179,096   

Master Specialized Loan Trust Due 5/25/2037

  

Asset Backed Securities 301,459 units

   177,703   

Merrill Lynch First Franklin Mortgage Loan Trust Due 10/25/2037*

  

Asset Backed Securities 288,578 units

   175,241   

Deutsche Telekom International 5.75% Due 3/23/2016

  

Corporate Bonds 165,000 units

   175,206   

Ginnie Mae Due 2/25/2031

  

Government Mortgage Backed Securities 287,624 units

   173,577   

Alternative Loan Trust Mortgage Due 8/25/2046

  

Collateralized Mortgage Obligations 348,104 units

   173,173   

 

19


Table of Contents

Schedule H, line 4i - Schedule of Assets (Held at End of Year) (continued)

 

Identity of Issue

  

Description of Investment

  

Current Value

Master Adjustable Rate Mortgage Trust Mortgage Passthrough Due 5/25/2047

  

Collateralized Mortgage Obligations 364,498 units

   172,375   

RAAC Trust Series 2007 Mortgage Pass-Throughs Class A Variable Rate Due 2/25/2046

  

Collateralized Mortgage Obligations 341,441 units

   170,695   

Barclays Bank PLC Series 5.2% Due 7/10/2014

  

Corporate Bonds 160,000 units

   169,601   

American International Group Inc. 8.25% Due 8/15/2018

  

Corporate Bonds 180,000 units

   168,993   

Oncor Electric Delivery Company 6.8% Due 9/1/2018

  

Corporate Bonds 150,000 units

   166,617   

AES Corporation 8.0% Due 10/15/2017

  

Corporate Bonds 160,000 units

   164,200   

Duke Energy Corporation 5.625% Due 11/30/2012

  

Corporate Bonds 150,000 units

   163,756   

Harborview Mortgage Loan Trust Mortgage Passthrough Due 11/25/2047

  

Collateralized Mortgage Obligations 285,240 units

   163,223   

American Home Mortgage Assets Trust Due 9/25/2046

  

Collateralized Mortgage Obligations 336,870 units

   162,685   

Ford Motor Company 12.0% Due 5/15/2015

  

Corporate Bonds 140,000 units

   162,348   

Glaxosmithkline Capital Inc. 5.65% Due 5/15/2018

  

Corporate Bonds 150,000 units

   161,789   

Altria Group Inc. 8.5% Due 11/10/2013

  

Corporate Bonds 140,000 units

   161,788   

Countrywide Financial Corporation 5.8% Due 6/7/2012

  

Corporate Bonds 150,000 units

   159,227   

Morgan Stanley Notes 5.625% Due 1/9/2012

  

Corporate Bonds 150,000 units

   158,298   

American Home Mortgage Investment Trust Floating Rate Due 3/25/2047

  

Collateralized Mortgage Obligations 353,919 units

   158,248   

Pacific Gas & Electric Company 6.05% Due 3/1/2034

  

Corporate Bonds 150,000 units

   156,605   

General Electric Capital Corporation Variable Rate Due 11/15/2067

  

Corporate Bonds 180,000 units

   156,150   

Wellpoint Inc. 5.875% Due 6/15/2017

  

Corporate Bonds 150,000 units

   154,538   

Royal KPN NV 8.375% Due 10/1/2030

  

Corporate Bonds 120,000 units

   150,357   

Hertz Vehicle Financing LLC 5.29% Due 3/25/2016

  

Asset Backed Securities 150,000 units

   149,661   

US Treasury Notes 3.25% Due 12/31/2016

  

Government Bonds 150,000 units

   148,734   

UnitedHealth Group Inc. 4.875% Due 2/15/2013

  

Corporate Bonds 140,000 units

   146,477   

Telecom Italia Capital 5.25% Due 10/1/2015

  

Corporate Bonds 140,000 units

   146,377   

Fortune Brands Inc. 5.125% Due 01/15/2011

  

Corporate Bonds 140,000 units

   144,395   

Time Warner Cable Inc. 7.3% Due 7/1/2038

  

Corporate Bonds 130,000 units

   144,120   

TNK-BP Finance SA 7.875% Due 3/13/2018

  

Corporate Bonds 140,000 units

   143,850   

Master Specialized Loan Trust Variable Rate Due 1/25/2036

  

Asset Backed Securities 227,377 units

   143,508   

Citigroup Inc. 6.01% Due 1/15/2015

  

Corporate Bonds 140,000 units

   142,954   

Vale Overseas Ltd. 6.875% Due 11/21/2036

  

Corporate Bonds 140,000 units

   139,883   

Nordea Bank AG 3.7% Due 11/13/2014

  

Corporate Bonds 140,000 units

   139,730   

Royal Bank of Scotland 6.4% Due 10/21/2019

  

Corporate Bonds 140,000 units

   139,551   

Federal Home Loan Bank 1% Due 12/28/2011

  

Government Bonds 140,000 units

   139,412   

Truman Capital Mortgage Loan Trust Floating Rate Due 3/25/2036

  

Asset Backed Securities 269,371 units

   138,088   

Federal Home Loan Mortgage Corporation Pool 5.5% Due 11/1/2035

  

Government Mortgage Backed Securities 131,011 units

   137,739   

 

20


Table of Contents

Schedule H, line 4i - Schedule of Assets (Held at End of Year) (continued)

 

Identity of Issue

  

Description of Investment

  

Current Value

Verizon Communications Inc. 6.4% Due 2/15/2038

  

Corporate Bonds 130,000 units

   135,903   

Teachers Insurance 6.85% Due 12/16/2039

  

Corporate Bonds 130,000 units

   134,386   

Bayview Commercial Asset Trust Variable Rate Due 1/25/2036

  

Collateralized Mortgage Obligations 209,620 units

   131,912   

Cwalt Inc. Alternative Loan Trust Due 10/25/2036

  

Collateralized Mortgage Obligations 267,633 units

   130,838   

BP Capital Markets PLC 5.25% Due 11/07/2013

  

Corporate Bonds 120,000 units

   130,707   

Lehman XS Trust Series Variable Rate Due 5/25/2036

  

Collateralized Mortgage Obligations 199,140 units

   130,556   

Dominion Resources Inc. 5.7% Due 9/17/2012

  

Corporate Bonds 120,000 units

   129,673   

Reynolds American Inc. 6.75% Due 6/15/2017

  

Corporate Bonds 125,000 units

   129,451   

Cl 1A-1B Floating Rate Due 7/25/2047

  

Collateralized Mortgage Obligations 427,974 units

   126,830   

Daimlerchrysler North American Holding Corporation 5.875% Due 3/15/2011

  

Corporate Bonds 120,000 units

   125,469   

GMAC LLC

  

Corporate Bonds 139,000 units

   125,100   

XTO Energy Inc. 7.5% Due 4/15/2012

  

Corporate Bonds 110,000 units

   122,654   

Goldman Sachs Group Inc. 4.5% Due 6/15/2010

  

Corporate Bonds 120,000 units

   122,163   

GS Mortgage Securities Corporation Variable Rate Due 3/25/2035

  

Collateralized Mortgage Obligations 168,763 units

   122,155   

Indymac Index Mortgage Loan Trust Due 8/25/2037

  

Collateralized Mortgage Obligations 230,418 units

   119,886   

Citigroup Inc. 6.875% Due 3/5/2038

  

Corporate Bonds 120,000 units

   119,762   

Federal Home Loan Mortgage Corporation 1.375% Due 1/19/2013

  

Government Bonds 120,000 units

   117,922   

Icici Bank 6.375% Due 4/30/2022

  

Corporate Bonds 130,000 units

   115,900   

Thornburg Mortgage Securities Trust 6.201% Due 9/25/2037

  

Collateralized Mortgage Obligations 144,820 units

   115,729   

Federal Agricultural Mortgage Corporation 3.875% Due 8/19/2011

  

Government Bonds 110,000 units

   114,953   

HSBC Bank PLC 6.299% Due 5/17/2017

  

Corporate Bonds 120,000 units

   111,420   

Thornburg Mortgage Securities Trust Mortgage Passthrough Due 9/25/2037

  

Collateralized Mortgage Obligations 138,144 units

   110,348   

US Treasury Bonds 6.375% Due 8/15/2027

  

Government Bonds 90,000 units

   109,913   

Roche Holdings Inc. 6% Due 3/1/2019

  

Corporate Bonds 100,000 units

   109,885   

Rio Tinto Finance USA Ltd. 6.5% Due 7/15/2018

  

Corporate Bonds 100,000 units

   109,848   

XTO Energy Inc. 5.5% Due 6/15/2018

  

Corporate Bonds 100,000 units

   106,667   

CVS Caremark Corporation 6.943% Due 01/10/2030

  

Corporate Bonds 105,686 units

   106,241   

Ginnie Mae Jumbo Mortgages 6.0% 30 Years

  

Government Mortgage Backed Securities 100,000 units

   105,906   

Province of Ontario, Canada 4.0% Due 10/7/2019

  

Municipal/Provincial Bonds 110,000 units

   105,330   

Federal Home Loan Mortgage Corporation Gold Pool 5.5%

  

Government Mortgage Backed Securities 100,000 units

   104,750   

Amerada Hess Corporation 7.3% Due 8/15/2031

  

Corporate Bonds 90,000 units

   102,275   

Vedanta Resources PLC 8.75% Due 1/15/2014

  

Corporate Bonds 100,000 units

   102,250   

Commonwealth Bank of Australia 3.75% Due 10/15/2014

  

Corporate Bonds 100,000 units

   100,243   

Cash Goldman Sachs

  

Other 100,000 units

   100,000   

 

21


Table of Contents

Schedule H, line 4i - Schedule of Assets (Held at End of Year) (continued)

 

Identity of Issue

  

Description of Investment

  

Current Value

Bank of America Mortgage Inc. 2005-6 Class A-4 5.179576% Due 09/10/2047*

  

Commercial Mortgage-Backed Securities 100,000 units

   98,208   

WaMu Mortgage Passthrough Floating Rate Due 5/25/2047

  

Collateralized Mortgage Obligations 403,721 units

   97,665   

Rabobank Nederland NV Variable Rate Perpetual due 12/29/2049-06/30/2019

  

Corporate Bonds 80,000 units

   97,540   

Merrill Lynch Motgage 2005-Cip1 Mortgage Passthrough Class A-4 5.047% 07/12/2015*

  

Commercial Mortgage-Backed Securities 100,000 units

   97,187   

GMAC Commercial Mortgage Securities 5.238% Due 11/10/2045

  

Commercial Mortgage-Backed Securities 100,000 units

   96,967   

Bank of America Corporation Floating Rate Due 12/29/2049*

  

Corporate Bonds 100,000 units

   96,274   

Royal KPN NV 8.0% Due 10/1/2010

  

Corporate Bonds 90,000 units

   94,500   

Bear Stearns Companies Inc. 7.25% Due 2/1/2018

  

Corporate Bonds 80,000 units

   91,828   

Travelers Companies Inc. 6.25% Due 3/15/2067

  

Corporate Bonds 100,000 units

   91,099   

Citigroup Inc. 6.125% Due 11/21/2017

  

Corporate Bonds 90,000 units

   90,718   

Suntrust Capital VII 6.1% Due 12/15/2036

  

Corporate Bonds 130,000 units

   90,547   

American Express Company Floating Rate Due 9/1/2016

  

Corporate Bonds 100,000 units

   89,500   

Apache Corporation 6.0% Due 9/15/2013

  

Corporate Bonds 80,000 units

   88,522   

American Express Company 7.0% Due 3/19/2018

  

Corporate Bonds 80,000 units

   88,102   

Time Warner Cable Inc. 6.75% Due 7/1/2018

  

Corporate Bonds 80,000 units

   87,885   

Dominion Resources Inc. 8.875% Due 1/15/2019

  

Corporate Bonds 70,000 units

   87,235   

Conoco Funding Company 6.35% Due 10/15/2011

  

Corporate Bonds 80,000 units

   87,037   

Wells Fargo Capital 5.95% Due 12/15/2086

  

Corporate Bonds 100,000 units

   87,000   

Boeing Company Series 6 Due 03/15/2019

  

Corporate Bonds 80,000 units

   86,813   

Time Warner Cable Inc. 8.75% Due 2/14/2019

  

Corporate Bonds 70,000 units

   85,314   

Apache Corporation 6.0% Due 1/15/2037

  

Corporate Bonds 80,000 units

   85,124   

California State 7.3% Due 10/1/2039 Taxable

  

Municipal/Provincial Bonds 90,000 units

   85,057   

BB&T Corporation 6.5 Due 08/1/2011

  

Corporate Bonds 80,000 units

   84,968   

Anheuser-Busch InBev Worldwide Inc. 5.375% Due 11/15/2014

  

Corporate Bonds 80,000 units

   84,700   

Cleveland Electric Illuminating Company 5.65% Due 12/15/2013

  

Corporate Bonds 80,000 units

   84,639   

Alcoa Inc. 6.0% Due 7/15/2013

  

Corporate Bonds 80,000 units

   84,275   

Delta Airlines Inc. 6.821% Due 8/10/2022

  

Corporate Bonds 87,535 units

   83,596   

Nelnet Student Loan Trust Floating Rate Due 4/25/2024

  

Asset Backed Securities 80,000 units

   83,520   

Wyeth 5.95% Due 4/1/2037

  

Corporate Bonds 80,000 units

   83,422   

Credit Suisse First Boston Mortgage Securities Corporation Variable Rate Due 11/25/2031

  

Collateralized Mortgage Obligations 92,009 units

   82,828   

Fannie Mae Pool 5.5% Due 6/1/2036

  

Government Mortgage Backed Securities 77,362 units

   81,310   

Tennessee Valley Authority Global Power Bond 2009 Series C 5.25% Due 09/15/2039

  

Government Bonds 80,000 units

   79,268   

US Treasury Bonds 1.75% Due 1/15/2028

  

Index Linked Government Bonds 80,000 units

   79,157   

Cwalt Inc. Floating Rate Due 8/25/2035

  

Collateralized Mortgage Obligations 153,303 units

   77,098   

Kaupthing Bank 7.625% Due 12/31/2040

  

Corporate Bonds 310,000 units

   76,725   

 

22


Table of Contents

Schedule H, line 4i - Schedule of Assets (Held at End of Year) (continued)

 

Identity of Issue

  

Description of Investment

  

Current Value

Wells Fargo Mortgage Backed Securities Due 5/25/2033

  

Collateralized Mortgage Obligations 77,661 units

   76,571   

Petrobras International Finance Company 6.125% Due 10/6/2016

  

Corporate Bonds 70,000 units

   75,075   

Kinder Morgan Energy Partners 6.0% Due 2/1/2017

  

Corporate Bonds 70,000 units

   73,494   

Time Warner Cable 6.75% Due 06/15/2039

  

Corporate Bonds 70,000 units

   73,311   

Time Warner Entertainment Company 8.375% Due 7/15/2033

  

Corporate Bonds 60,000 units

   71,726   

Fannie Mae Due 4/18/2036

  

Government Bonds 70,000 units

   71,632   

Toyota Motor Credit Corporation Medium Term Notes Book Tranche # Tr 00727 Variable Rate Due 04/07/2010

  

Corporate Bonds 70,000 units

   69,998   

MASTR Adjustable Rate Mortgages Trust Due 11/25/2035

  

Collateralized Mortgage Obligations 122,802 units

   68,975   

HCA Inc. 9.625% Due 11/15/2016

  

Corporate Bonds 63,112 units

   68,319   

Structured Assets Mortgage Investments II Inc. Mortgage Passthrough Due 8/25/2036

  

Collateralized Mortgage Obligations 136,517 units

   66,019   

US Treasury Inflation Indexed Bonds 2.0% Due 1/15/2026

  

Index Linked Government Bonds 60,000 units

   65,629   

Bear Stearns Alternative Trust Floating Rate Due 11/25/2034

  

Collateralized Mortgage Obligations 76,339 units

   64,368   

RBSGC Mortgage Loan Trust Mortgage Passthrough Due 1/25/2037

  

Collateralized Mortgage Obligations 130,727 units

   64,305   

Wells Fargo Capital Due 12/29/2049

  

Corporate Bonds 60,000 units

   64,200   

Citigroup Inc. 6.375% Due 08/12/2014

  

Corporate Bonds 60,000 units

   62,814   

Terwin Mortgage Trust 2006 Variable Rate Due 10/25/2037

  

Asset Backed Securities 62,265 units

   62,294   

Realogy Corporation 12.375% Due 4/15/2015

  

Corporate Bonds 80,000 units

   62,200   

America Movil SAB de CV 5.625% Due 11/15/2017

  

Corporate Bonds 60,000 units

   62,120   

Anheuser-Busch InBev Worldwide Inc. 5.375% Due 1/15/2020

  

Corporate Bonds 60,000 units

   61,216   

Countrywide Financial Corporation 6.25% Due 5/15/2016

  

Corporate Bonds 60,000 units

   61,030   

Boeing Capital Corporation 4.7% Due 10/27/2019

  

Corporate Bonds 60,000 units

   58,536   

Shinsei Finance (Cayman) Limited Variable Rate Due 7/20/2016

  

Corporate Bonds 100,000 units

   58,250   

Resona Preferred Global Securities Cayman Ltd. Due 12/29/2049

  

Corporate Bonds 70,000 units

   57,255   

Bear Stearns Alternative Trust 5.283% Due 5/25/2035

  

Collateralized Mortgage Obligations 99,561 units

   56,385   

Global Network Technology 7.375% Due 9/1/2012

  

Corporate Bonds 50,000 units

   56,361   

Securitized Asset Backed Receivables LLC

  

Asset Backed Securities 125,383 units

   55,387   

Class I-A1 Variable Rate 06/25/2037

  

Asset Backed Securities 95,874 units

   55,059   

Goldman Sachs Capital Floating Rate Due 12/29/2049

  

Corporate Bonds 70,000 units

   54,250   

Goldman Sachs Group Inc. 6.15% Due 4/1/2018

  

Corporate Bonds 50,000 units

   53,525   

 

23


Table of Contents

Schedule H, line 4i - Schedule of Assets (Held at End of Year) (continued)

 

Identity of Issue

  

Description of Investment

  

Current Value

Cwheq Revolving Home Equity Loan Trust Series 20 Due 11-15-2036

  

Asset Backed Securities 84,288 units

   51,038   

Citigroup Inc. 5.5% Due 10/15/2014

  

Corporate Bonds 50,000 units

   50,627   

AIFUL Corporation 6.0% Due 12/12/2011

  

Corporate Bonds 70,000 units

   49,700   

FMC Finance III SA 6.875% Due 7/15/2017

  

Corporate Bonds 50,000 units

   49,625   

Gsamp Trust Floating Rate Due 2/25/2037

  

Asset Backed Securities 100,000 units

   46,365   

Telecom Italia Capital 6.999% Due 6/4/2018

  

Corporate Bonds 40,000 units

   44,012   

Petrobras International Finance Company 5.75% Due 1/20/2020

  

Corporate Bonds 42,000 units

   42,726   

Allstate Life Insurance Corporation 5.375% Due 4/30/2013

  

Corporate Bonds 40,000 units

   42,699   

TXU Corporation 5.55% Due 11/15/2014

  

Corporate Bonds 60,000 units

   42,552   

Wells Fargo & Company 5.3% Due 8/26/2011

  

Corporate Bonds 40,000 units

   42,363   

BP Capital Markets PLC 3.875% Due 03/10/2015

  

Corporate Bonds 40,000 units

   41,097   

Verizon Communications Inc. 8.95% Due 3/1/2039

  

Corporate Bonds 30,000 units

   40,592   

NRG Energy Inc. 7.375% Due 2/1/2016

  

Corporate Bonds 40,000 units

   40,050   

Interest Rate Swap 3M LIBOR 3.25%

  

Derivatives 720,000 units

   39,900   

Commonwealth Bank of Australia 5.0% Due 10/15/2019

  

Corporate Bonds 40,000 units

   39,713   

Interest Rate Swap 3M LIBOR 3.25%

  

Derivatives 710,000 units

   39,346   

Interest Rate Swap 3M LIBOR 3.6%

  

Derivatives 710,000 units

   39,346   

Echostar DBS Corporation 7.75% Due 5/31/2015

  

Corporate Bonds 35,000 units

   36,663   

Time Warner Cable Inc. 8.25% Due 4/1/2019

  

Corporate Bonds 30,000 units

   35,733   

Chesapeake Energy Corporation 7.25% Due 12/15/2018

  

Corporate Bonds 35,000 units

   35,263   

OPTI Canada Inc. 7.875% Due 12/15/2014

  

Corporate Bonds 40,000 units

   32,800   

TXU Corporation 6.55% Due 11/15/2034

  

Corporate Bonds 70,000 units

   32,453   

Pacific Gas & Electric Company 5.625% Due 11/30/2017

  

Corporate Bonds 30,000 units

   32,030   

Interest Rate Swap 3M LIBOR 3.25%

  

Derivatives 800,000 units

   31,555   

American Express Company 6.15% Due 8/28/2017

  

Corporate Bonds 30,000 units

   31,353   

Northwest Airlines Passthrough Trust 7.575% Due 3/1/2019

  

Asset Backed Securities 34,502 units

   31,052   

Community Health Systems Inc. 8.875% Due 7/15/2015

  

Corporate Bonds 30,000 units

   31,050   

Humana Inc. 7.214% Due 6/15/2018

  

Corporate Bonds 30,000 units

   30,682   

Indymac Inda Mortgage Loan Trust Due 11/25/2037

  

Collateralized Mortgage Obligations 44,112 units

   30,605   

Windstream Corporation 8.625% Due 8/1/2016

  

Corporate Bonds 30,000 units

   30,525   

AES Corporation 7.75% Due 10/15/2015

  

Corporate Bonds 30,000 units

   30,450   

Boeing Company Sr 4.875% Due 02/15/2020

  

Corporate Bonds 30,000 units

   30,081   

Verizon Communications Inc. 6.1% Due 4/15/2018

  

Corporate Bonds 25,000 units

   27,173   

Dynegy Holdings Inc. 7.75% Due 6/1/2019

  

Corporate Bonds 30,000 units

   26,025   

GMAC Inc. Perpetual Preferred Series G

  

Preferred Stock 39 units

   25,706   

Kinder Morgan Energy Partners 7.125% Due 3/15/2012

  

Corporate Bonds 20,000 units

   21,809   

Morgan Stanley 6.6% Due 4/1/2012

  

Corporate Bonds 20,000 units

   21,760   

 

24


Table of Contents

Schedule H, line 4i - Schedule of Assets (Held at End of Year) (continued)

 

Identity of Issue

  

Description of Investment

  

Current Value

Enterprise Products Operating, LP 6.3% Due 9/15/2017

  

Corporate Bonds 20,000 units

   21,530   

Wisconsin Power & Light Company 6.375% Due 8/15/2037

  

Corporate Bonds 20,000 units

   21,311   

GMAC LLC

  

Corporate Bonds 22,000 units

   21,230   

Kinder Morgan Energy Partners 5.95% Due 2/15/2018

  

Corporate Bonds 20,000 units

   21,184   

Glitnir Banki HF Medium Term In Default 6.375% Due 9/25/2012

  

Corporate Bonds 100,000 units

   21,000   

General Motors Corporation 8.375% Due 7/15/2033

  

Corporate Bonds 70,000 units

   18,900   

Citigroup Inc. 5.875% Due 5/29/2037

  

Corporate Bonds 20,000 units

   17,624   

US Treasury Inflation Indexed Bonds 3.875% Due 4/15/2029

  

Index Linked Government Bonds 10,000 units

   16,921   

American International Group Inc. 5.85% Due 1/16/2018

  

Corporate Bonds 20,000 units

   16,411   

Lehman XS Trust Series .45938% Due 8/25/2046

  

Asset Backed Securities 16,987 units

   15,246   

Cwalt Inc. Countrywide Alternative Loan Trust 7/25/2035

  

Collateralized Mortgage Obligations 26,073 units

   14,102   

GMAC Inc. 8.0% Due 12/31/2018

  

Corporate Bonds 15,000 units

   13,200   

Wamco OTC Receivable From Lehman

  

Other 12,149 units

   12,148   

Amerada Hess Corporation 7.875% Due 10/1/2029

  

Corporate Bonds 10,000 units

   11,994   

XTO Energy Inc. 6.25% Due 8/1/2017

  

Corporate Bonds 10,000 units

   11,323   

Wal-Mart Stores Inc. 6.2% Due 4/15/2038

  

Corporate Bonds 10,000 units

   11,028   

Kroger Company 6.15% Due 1/15/2020

  

Corporate Bonds 10,000 units

   10,702   

News America Inc. 6.65% Due 1/15/2037

  

Corporate Bonds 10,000 units

   10,563   

Bear Stearns Asset Backed Securities Trust Adjustable Rate Due 12/25/2033

  

Asset Backed Securities 12,558 units

   10,542   

AT&T Inc. 6.4% Due 5/15/2038

  

Corporate Bonds 10,000 units

   10,277   

TI Acquisitions Inc. 10.5% Due 1/15/2015

  

Corporate Bonds 10,000 units

   9,563   

Citigroup Inc. 6.125% Due 8/25/2036

  

Corporate Bonds 10,000 units

   8,576   

Western Asset Management Company

  

Cash and Short Term Investments

   8,537   

OPTI Canada Inc. 8.25% Due 12/15/2014

  

Corporate Bonds 10,000 units

   8,238   

BAC Capital Trust 5.63% Due 3/15/2043

  

Corporate Bonds 10,000 units

   6,900   

Federal Home Loan Mortgage Corporation Floating Rate

  

Preferred Stock 6,125 units

   6,431   

Lehman Brothers Holdings Inc. 6.2% Due 9/26/2014

  

Corporate Bonds 30,000 units

   5,850   

NRG Energy Inc. 7.25% Due 2/1/2014

  

Corporate Bonds 5,000 units

   5,063   

Fannie Mae

  

Preferred Stock 4,550 units

   5,005   

Ace Securities Corporation Series 2006-ASL1 Class A Due 2/25/2036

  

Asset Backed Securities 26,077 units

   4,776   

Interest Rate Swap Constant Maturity Mortgage/Constant Maturity Swap 10 year

  

Derivatives 3,100,000 units

   2,873   

Interest Rate Swap Constant Maturity Mortgage/Constant Maturity Swap 10 year

  

Derivatives 2,000,000 units

   2,835   

Residential Asset Mortgage Products Inc. Floating Rate Due 3/25/2033

  

Asset Backed Securities 3,172 units

   2,011   

 

25


Table of Contents

Schedule H, line 4i - Schedule of Assets (Held at End of Year) (continued)

 

Identity of Issue

  

Description of Investment

  

Current Value

Credit Default Swap Basket Investment Grade High Volatility Series 10

  

Derivatives 93,333 units

   1,648   

Credit Default Swap Basket Investment Grade High Volatility Series 10

  

Derivatives 93,333 units

   1,648   

Credit Default Swap Basket Investment Grade High Volatility Series 10

  

Derivatives 93,333 units

   1,648   

General Motors Corporation

  

Convertible Equity 200 units

   1,124   

Fannie Mae

  

Preferred Stock 200 units

   270   

Lehman Brothers Holdings Inc. 6.5% Due 7/19/2017

  

Corporate Bonds 180,000 units

   54   

Lehman Brothers Holdings Inc. 6.75% Due 12/28/2017

  

Corporate Bonds 130,000 units

   39   

Lehman Brothers Holdings Inc. 5.857%

  

Corporate Bonds 10,000 units

   3   

Future September 2010

  

Derivatives 22 units

   —     

Future 5 year Treasury Note March 2010

  

Derivatives 45 units

   —     

Future 2 year Treasury Note March 2010

  

Derivatives 2 units

   —     
          

Total Fixed Income Asset Class

         125,081,255

High Yield Asset Class:

        

Northern Trust Global Investments Collective Daily Short Term Investment Fund*

  

Common Collective Trust 3,349,506 units

   3,349,506   

Blackrock High Yield Bond Fund*

  

Mutual fund 5,474,719 shares

   38,377,783   
          

Total High Yield Asset Class

         41,727,289

Inflation Protection Asset Class:

        

Northern Trust Global Investments Collective Daily Tips Index Fund - Non Lending*

  

Common Collective Trust 12,156 units

   1,323,962   

Vanguard Inflation Protected Fund

  

Mutual fund 493,167 shares

   12,156,574   
          

Total Inflation Protection Asset Class

         13,480,536

International Growth Asset Class:

        

Northern Trust Global Investments Collective Daily EAFE Index Fund*

  

Common Collective Trust 29,098 units

   5,702,082   

BHP Billiton PLC

  

Common Stock 109,070 shares

   3,513,826   

Nestle SA

  

Common Stock 59,220 shares

   2,875,786   

Novartis AG

  

Common Stock 48,705 shares

   2,661,990   

Unilever NV

  

Common Stock 76,530 shares

   2,497,982   

Rio Tinto

  

Common Stock 40,713 shares

   2,228,769   

Goldcorp Inc.

  

Common Stock 55,790 shares

   2,194,779   

British American Tobacco

  

Common Stock 67,321 shares

   2,192,204   

Mitsubishi Corporation

  

Common Stock 87,700 shares

   2,171,422   

Telefonica SA

  

Common Stock 74,450 shares

   2,085,071   

Standard Chartered

  

Common Stock 78,555 shares

   1,997,959   

Samsung Electronic

  

Common Stock 5,745 shares

   1,987,770   

Anheuser-Busch International Beverage NV

  

Common Stock 35,297 shares

   1,843,129   

Galp Energia

  

Common Stock 106,030 shares

   1,837,689   

Industrial & Commercial Bank of China

  

Common Stock 2,184,000 shares

   1,813,886   

Sun Hung Kai Properties

  

Common Stock 120,000 shares

   1,799,834   

Teva Pharmaceuticals Industries Ltd.

  

Common Stock 31,325 shares

   1,759,839   

Banco Bradesco SA

  

Preferred Stock 80,600 shares

   1,682,557   

Bayer AG

  

Common Stock 20,735 shares

   1,664,784   

 

26


Table of Contents

Schedule H, line 4i - Schedule of Assets (Held at End of Year) (continued)

 

Identity of Issue

  

Description of Investment

  

Current Value

ABB Ltd.

  

Common Stock 85,170 shares

   1,642,844   

HDFC Bank Ltd.

  

Common Stock 12,400 shares

   1,612,992   

Xstrata PLC

  

Common Stock 86,460 shares

   1,565,139   

Canadian National Railways

  

Common Stock 26,820 shares

   1,466,933   

BASF SE

  

Common Stock 21,620 shares

   1,348,099   

Roche Holdings AG

  

Common Stock 7,830 shares

   1,331,573   

Rakuten Inc.

  

Common Stock 1,726 shares

   1,310,792   

Tele2 AB Series B

  

Common Stock 83,670 shares

   1,291,359   

Tesco Corporation

  

Common Stock 185,100 shares

   1,279,329   

Holcim

  

Common Stock 16,270 shares

   1,266,975   

JFE Holdings Inc.

  

Common Stock 32,000 shares

   1,254,632   

DnB NOR ASA

  

Common Stock 112,850 shares

   1,225,824   

China Overseas Land & Investment Ltd.

  

Common Stock 564,000 shares

   1,192,873   

Technip

  

Common Stock 16,730 shares

   1,185,766   

Chunghwa Telecom Company Ltd.

  

Common Stock 62,013 shares

   1,151,581   

Philips Electronics

  

Common Stock 38,350 shares

   1,137,869   

Toshiba Corporation

  

Common Stock 207,000 shares

   1,136,226   

Commonwealth Bank Of Australia

  

Common Stock 22,850 shares

   1,127,176   

Swatch Group

  

Common Stock 4,430 shares

   1,122,338   

Wilmar International Ltd.

  

Common Stock 244,000 shares

   1,117,504   

Nissan Motor Company Ltd.

  

Common Stock 124,700 shares

   1,084,988   

Banco Santander

  

Common Stock 64,770 shares

   1,073,327   

Genting Singapore PLC

  

Common Stock 1,132,000 shares

   1,048,185   

Infosys Technologies Ltd.

  

Common Stock 18,495 shares

   1,022,219   

AMEC

  

Common Stock 78,645 shares

   1,005,839   

Denso Corporation

  

Common Stock 33,500 shares

   1,000,376   

Telenor ASA

  

Common Stock 69,600 shares

   976,506   

Asahi Glass Company

  

Common Stock 102,000 shares

   961,985   

ASML Holdings

  

Common Stock 27,760 shares

   955,888   

Vedanta Resources PLC

  

Common Stock 22,320 shares

   941,094   

Larsen & Toubro Ltd.

  

Common Stock 25,540 shares

   936,041   

Astrazeneca

  

Common Stock 19,770 shares

   929,194   

DDS Group Holdings

  

Common Stock 84,000 shares

   921,400   

BP

  

Common Stock 94,095 shares

   911,696   

Prudential

  

Common Stock 86,770 shares

   896,771   

Daimlerchrysler

  

Common Stock 16,210 shares

   865,869   

Seadrill Ltd.

  

Common Stock 32,900 shares

   842,889   

Bombardier Inc. Class B

  

Common Stock 174,400 shares

   798,512   

McKinley International

  

Cash and Short Term Investments

   763,705   

Canon Inc.

  

Common Stock 17,300 shares

   726,602   

Honda Motor Company

  

Common Stock 21,400 shares

   714,904   

Cyrela Brazil Realty SA Empreendimentos

  

Common Stock 50,600 shares

   707,535   

Check Point Software Technologies

  

Common Stock 19,360 shares

   655,917   

Swire Pacific

  

Common Stock 48,500 shares

   587,951   

Electrolux AB Series B

  

Common Stock 22,520 shares

   528,298   

Redecard SA

  

Common Stock 31,000 shares

   514,829   

Atlas Copco AB Series A

  

Common Stock 34,250 shares

   505,108   

Trina Solar Ltd.

  

Common Stock 8,980 shares

   484,651   

Shire PLC

  

Common Stock 21,740 shares

   424,793   

FLSmidth & Company A/S Series B

  

Common Stock 5,780 shares

   409,016   

 

27


Table of Contents

Schedule H, line 4i - Schedule of Assets (Held at End of Year) (continued)

 

Identity of Issue

  

Description of Investment

  

Current Value

Aixtron AG

  

Common Stock 11,710 shares

   394,822   

Taiyo Yuden Company Ltd.

  

Common Stock 26,000 shares

   333,466   

Perfect World Company Ltd. Class B

  

Common Stock 8,070 shares

   318,281   

SBM Offshore NV

  

Common Stock 15,240 shares

   301,199   

China Railway Group Ltd.

  

Common Stock 353,000 shares

   274,969   

Stora Enso Oyj Series R

  

Common Stock 38,960 shares

   272,782   
          

Total International Growth Asset Class

         96,370,789

International Value Asset Class:

        

Northern Trust Global Investments Collective Daily EAFE Index Fund*

  

Common Collective Trust 75,092 units

   14,714,780   

Dodge & Cox International Fund

  

Mutual fund 4,168,351 shares

   132,761,979   
          

Total International Value Asset Class

         147,476,759

Large Cap Growth Asset Class:

        

Northern Trust Global Investments Collective Daily Russell 1000 Growth Index Fund - Non Lending*

  

Common Collective Trust 73,121 units

   9,832,225   

Apple Inc.

  

Common Stock 43,567 shares

   9,186,537   

Google Inc. Class A

  

Common Stock 13,289 shares

   8,238,913   

Cisco Systems Inc.

  

Common Stock 304,300 shares

   7,284,941   

Microsoft Corporation

  

Common Stock 223,766 shares

   6,822,624   

Amazon.com Inc.

  

Common Stock 40,668 shares

   5,470,659   

Broadcom Corporation Class A

  

Common Stock 160,709 shares

   5,054,298   

Northern Trust Global Investments Collective Daily Short Term Investment Fund*

  

Common Collective Trust 5,036,168 units

   5,036,168   

Goldman Sachs Group Inc.

  

Common Stock 29,246 shares

   4,937,894   

Visa Inc. Class A

  

Common Stock 55,947 shares

   4,893,123   

3M Company

  

Common Stock 57,809 shares

   4,779,069   

EMC Corporation

  

Common Stock 271,906 shares

   4,750,197   

Blackrock Inc.*

  

Common Stock 19,880 shares

   4,616,136   

Oracle Corporation

  

Common Stock 178,388 shares

   4,377,641   

Hewlett Packard Company

  

Common Stock 81,344 shares

   4,190,029   

Freeport-McMoran Copper & Gold Inc.

  

Common Stock 47,147 shares

   3,785,433   

Ebay Inc.

  

Common Stock 156,934 shares

   3,694,227   

Franklin Resources Inc.

  

Common Stock 34,972 shares

   3,684,300   

Southwestern Energy

  

Common Stock 75,223 shares

   3,625,749   

Starbucks Corporation

  

Common Stock 145,689 shares

   3,359,589   

Nordstrom Inc.

  

Common Stock 87,344 shares

   3,282,388   

International Business Machines Corporation

  

Common Stock 24,155 shares

   3,161,890   

priceline.com Inc.

  

Common Stock 13,978 shares

   3,054,193   

Cameron International Corporation

  

Common Stock 72,940 shares

   3,048,892   

Marvell Technology Group

  

Common Stock 145,308 shares

   3,015,141   

Cognizant Technology Solutions Corporation Class A

  

Common Stock 65,013 shares

   2,945,089   

Philip Morris International Inc.

  

Common Stock 59,530 shares

   2,868,751   

Express Scripts Inc.

  

Common Stock 32,545 shares

   2,813,516   

Qualcomm Inc.

  

Common Stock 57,815 shares

   2,674,522   

Comcast Corporation Class A

  

Common Stock 151,360 shares

   2,551,930   

Gilead Sciences Inc.

  

Common Stock 55,440 shares

   2,399,444   

 

28


Table of Contents

Schedule H, line 4i - Schedule of Assets (Held at End of Year) (continued)

 

Identity of Issue

  

Description of Investment

  

Current Value

JP Morgan Chase & Company

  

Common Stock 54,121 shares

   2,255,222   

McDonalds Corporation

  

Common Stock 35,900 shares

   2,241,596   

Bristol-Myers Squibb Company

  

Common Stock 84,600 shares

   2,136,150   

Deere & Company

  

Common Stock 38,965 shares

   2,107,617   

Lincare Holdings Inc.

  

Common Stock 55,480 shares

   2,059,418   

Alpha Natural Resources Inc.

  

Common Stock 47,390 shares

   2,055,778   

BMC Software Inc.

  

Common Stock 49,480 shares

   1,984,148   

Texas Instruments Inc.

  

Common Stock 75,490 shares

   1,967,269   

Merck & Company Inc.

  

Common Stock 52,676 shares

   1,924,781   

CNA Financial Corporation

  

Common Stock 79,330 shares

   1,903,920   

Raytheon Company

  

Common Stock 36,940 shares

   1,903,149   

Kimberly-Clark Corporation

  

Common Stock 29,800 shares

   1,898,558   

Colgate-Palmolive Company

  

Common Stock 22,540 shares

   1,851,661   

McKesson Corporation

  

Common Stock 29,510 shares

   1,844,375   

Scotts Miracle-Gro Company Class A

  

Common Stock 46,620 shares

   1,832,632   

C H Robinson Worldwide Inc.

  

Common Stock 31,130 shares

   1,828,265   

Flowserve Corporation

  

Common Stock 18,930 shares

   1,789,453   

PepsiCo Inc.

  

Common Stock 28,460 shares

   1,730,368   

Urban Outfitters Inc.

  

Common Stock 49,394 shares

   1,728,296   

Joy Global Inc.

  

Common Stock 33,370 shares

   1,721,558   

Tiffany & Company

  

Common Stock 39,142 shares

   1,683,106   

Walgreen Company

  

Common Stock 45,660 shares

   1,676,635   

Mylan Inc.

  

Common Stock 90,912 shares

   1,675,508   

Owens-Illinois Inc.

  

Common Stock 50,770 shares

   1,668,810   

Allergan Inc.

  

Common Stock 26,066 shares

   1,642,419   

Polo Ralph Lauren Corporation Class A

  

Common Stock 20,110 shares

   1,628,508   

Medco Health Solutions Inc.

  

Common Stock 25,201 shares

   1,610,596   

Life Technologies Corporation

  

Common Stock 30,090 shares

   1,571,601   

Wal-Mart Stores Inc.

  

Common Stock 28,660 shares

   1,531,877   

Occidental Petroleum Corporation

  

Common Stock 18,790 shares

   1,528,567   

Masco Corporation

  

Common Stock 105,890 shares

   1,462,341   

Intel Corporation

  

Common Stock 68,480 shares

   1,396,992   

Alcon Inc.

  

Common Stock 8,360 shares

   1,373,966   

American Tower Corporation Class A

  

Common Stock 31,680 shares

   1,368,893   

Transocean Ltd.

  

Common Stock 16,070 shares

   1,330,596   

Praxair Inc.

  

Common Stock 16,310 shares

   1,309,856   

Cummins Inc.

  

Common Stock 28,210 shares

   1,293,711   

Salesforce.com Inc.

  

Common Stock 17,196 shares

   1,268,549   

International Game Tech

  

Common Stock 65,834 shares

   1,235,704   

FMC Technologies Inc.

  

Common Stock 21,137 shares

   1,222,564   

Guess?, Inc.

  

Common Stock 28,794 shares

   1,217,986   

Adobe Systems Inc.

  

Common Stock 33,030 shares

   1,214,843   

Anadarko Petroleum Corporation

  

Common Stock 19,175 shares

   1,196,904   

Range Resources Corporation

  

Common Stock 22,918 shares

   1,142,462   

Teva Pharmaceuticals Industries Ltd.

  

Common Stock 20,040 shares

   1,125,847   

United Technologies Corporation

  

Common Stock 15,970 shares

   1,108,478   

Cree Inc.

  

Common Stock 18,428 shares

   1,038,786   

Brocade Communications Systems Inc.

  

Common Stock 133,377 shares

   1,017,667   

Medtronic Inc.

  

Common Stock 23,110 shares

   1,016,378   

Celgene Corporation

  

Common Stock 18,240 shares

   1,015,603   

 

29


Table of Contents

Schedule H, line 4i - Schedule of Assets (Held at End of Year) (continued)

 

Identity of Issue

  

Description of Investment

  

Current Value

Danaher Corporation

  

Common Stock 13,240 shares

   995,648   

Precision Castparts Corporation

  

Common Stock 8,950 shares

   987,633   

EOG Resources Inc.

  

Common Stock 10,100 shares

   982,730   

Expeditors International of Washington Inc.

  

Common Stock 27,660 shares

   960,632   

Abbott Laboratories

  

Common Stock 17,580 shares

   949,144   

AES Corporation

  

Common Stock 71,060 shares

   945,809   

Expedia Inc.

  

Common Stock 36,320 shares

   933,787   

Discovery Communications Inc.

  

Common Stock 30,254 shares

   927,890   

Time Warner Inc.

  

Common Stock 31,350 shares

   913,539   

IntercontinentalExchange, Inc.

  

Common Stock 7,990 shares

   897,277   

General Mills Inc.

  

Common Stock 12,560 shares

   889,374   

Baxter International Inc.

  

Common Stock 14,280 shares

   837,950   

CSX Corporation

  

Common Stock 17,280 shares

   837,907   

Juniper Networks Inc.

  

Common Stock 31,130 shares

   830,237   

Check Point Software Technologies

  

Common Stock 24,500 shares

   830,060   

Carnival Corporation

  

Common Stock 24,490 shares

   776,088   

Lowes Companies Inc.

  

Common Stock 32,310 shares

   755,731   

Target Corporation

  

Common Stock 15,330 shares

   741,512   

Citrix Systems, Inc.

  

Common Stock 17,170 shares

   714,444   

ABB Ltd.

  

Common Stock 37,190 shares

   710,329   

FMC Corporation

  

Common Stock 12,370 shares

   689,751   

DIRECTV Class A

  

Common Stock 20,360 shares

   679,006   

Church & Dwight Inc.

  

Common Stock 11,120 shares

   672,204   

Avon Products Inc.

  

Common Stock 21,010 shares

   661,815   

Shire PLC

  

Common Stock 11,020 shares

   646,874   

Nike Inc. Class B

  

Common Stock 9,690 shares

   640,218   

Cliffs Natural Resources Inc.

  

Common Stock 13,601 shares

   626,870   

Walt Disney Company

  

Common Stock 19,390 shares

   625,328   

Walter Energy Inc.

  

Common Stock 8,236 shares

   620,253   

Ametek Inc.

  

Common Stock 15,650 shares

   598,456   

Netapp Inc.

  

Common Stock 16,040 shares

   551,616   

Kohl’s Corporation

  

Common Stock 10,220 shares

   551,165   

Research In Motion Ltd.

  

Common Stock 7,970 shares

   538,294   

Best Buy Inc.

  

Common Stock 13,160 shares

   519,294   

DreamWorks Animation SKG, Inc. Class A

  

Common Stock 12,970 shares

   518,152   

St. Jude Medical, Inc.

  

Common Stock 13,670 shares

   502,783   

Nvidia Corporation

  

Common Stock 26,800 shares

   500,624   

Alexion Pharmaceuticals Inc.

  

Common Stock 9,850 shares

   480,877   

Coach Inc.

  

Common Stock 12,960 shares

   473,429   

Wells Fargo & Company

  

Common Stock 15,175 shares

   409,573   

Qiagen NV

  

Common Stock 18,110 shares

   404,215   

UnitedHealth Group Inc.

  

Common Stock 11,150 shares

   339,852   

Gap Inc.

  

Common Stock 15,310 shares

   320,745   
          

Total Large Cap Growth Asset Class

         248,764,590

Large Cap Index Asset Class:

        

Northern Trust Global Investments Collective Daily S&P 500 Equity Index Fund*

  

Common Collective Trust 8,116 units

   26,182,714   

Blackrock Equity Index Fund F*

  

Common Collective Trust 18,148,764 units

   317,966,339   
          

Total Large Cap Index Asset Class

         344,149,053

 

30


Table of Contents

Schedule H, line 4i - Schedule of Assets (Held at End of Year) (continued)

 

Identity of Issue

  

Description of Investment

  

Current Value

Large Cap Value Asset Class:

        

Northern Trust Global Investment Collective Daily Russell 1000 Value Index Fund - Non Lending*

  

Common Collective Trust 32,633 units

   4,475,197   

JP Morgan Chase & Company

  

Common Stock 61,492 shares

   2,562,371   

Northern Trust Global Investments Collective Daily Short Term Investment Fund*

  

Common Collective Trust 2,396,123 units

   2,396,123   

Total SA

  

Common Stock 34,494 shares

   2,208,996   

Hewlett Packard Company

  

Common Stock 37,821 shares

   1,948,160   

Pfizer Inc.

  

Common Stock 104,072 shares

   1,893,070   

Hess Corporation

  

Common Stock 28,783 shares

   1,741,372   

Bank Of America Corporation*

  

Common Stock 113,588 shares

   1,710,635   

DIRECTV Class A

  

Common Stock 50,648 shares

   1,689,111   

Ameriprise Financial Inc.

  

Common Stock 43,253 shares

   1,679,081   

Exxon Mobil Corporation

  

Common Stock 24,512 shares

   1,671,473   

Wells Fargo & Company

  

Common Stock 61,334 shares

   1,655,405   

Merck & Co. Inc.

  

Common Stock 44,220 shares

   1,615,799   

Northrop Grumman Corporation

  

Common Stock 26,278 shares

   1,467,626   

State Street Corporation

  

Common Stock 33,135 shares

   1,442,698   

Comcast Corporation Class A

  

Common Stock 83,647 shares

   1,410,288   

PNC Financial Services Group

  

Common Stock 26,666 shares

   1,407,698   

General Electric Company

  

Common Stock 92,526 shares

   1,399,918   

Travelers Companies Inc.

  

Common Stock 28,076 shares

   1,399,869   

UnitedHealth Group Inc.

  

Common Stock 44,009 shares

   1,341,394   

Owens-Illinois Inc.

  

Common Stock 39,306 shares

   1,291,988   

EQT Corporation

  

Common Stock 29,228 shares

   1,283,694   

Bank of New York Mellon Corporation

  

Common Stock 44,904 shares

   1,255,965   

Smith International Inc.

  

Common Stock 44,931 shares

   1,220,775   

EOG Resources Inc.

  

Common Stock 12,414 shares

   1,207,882   

Covidien PLC

  

Common Stock 25,190 shares

   1,206,349   

Medtronic Inc.

  

Common Stock 27,240 shares

   1,198,015   

Conagra Foods Inc.

  

Common Stock 51,441 shares

   1,185,715   

Vodafone Group PLC

  

Common Stock 50,752 shares

   1,171,864   

AT&T Inc.

  

Common Stock 40,602 shares

   1,138,074   

Public Service Enterprise Group Inc.

  

Common Stock 33,900 shares

   1,127,175   

Foster Wheeler Ltd.

  

Common Stock 37,590 shares

   1,106,650   

Siemens AG

  

Common Stock 12,061 shares

   1,105,994   

Johnson & Johnson

  

Common Stock 17,153 shares

   1,104,825   

Berkshire Hathaway Inc. Class B

  

Common Stock 336 shares

   1,104,096   

Oracle Corporation

  

Common Stock 44,779 shares

   1,098,877   

PepsiCo Inc.

  

Common Stock 18,065 shares

   1,098,352   

Weyerhaeuser Company

  

Common Stock 24,280 shares

   1,047,439   

US Bancorp

  

Common Stock 46,378 shares

   1,043,969   

American Electric Power Company Inc.

  

Common Stock 29,834 shares

   1,037,925   

Consol Energy Inc.

  

Common Stock 20,688 shares

   1,030,262   

Allegheny Energy Inc.

  

Common Stock 43,404 shares

   1,019,126   

Anadarko Petroleum Corporation

  

Common Stock 16,105 shares

   1,005,274   

Valero Energy Corporation

  

Common Stock 59,098 shares

   989,892   

Legg Mason Inc.

  

Common Stock 32,702 shares

   986,292   

Centurytel Inc.

  

Common Stock 26,978 shares

   976,873   

 

31


Table of Contents

Schedule H, line 4i - Schedule of Assets (Held at End of Year) (continued)

 

Identity of Issue

  

Description of Investment

  

Current Value

Boston Scientific Corporation

  

Common Stock 108,118 shares

   973,062   

ABB Ltd.

  

Common Stock 49,508 shares

   945,603   

XTO Energy Inc.

  

Common Stock 20,255 shares

   942,465   

Cisco Systems Inc.

  

Common Stock 39,282 shares

   940,411   

Arcelormittal Luxembourg N Y

  

Common Stock 20,524 shares

   938,973   

International Business Machines Corporation

  

Common Stock 7,167 shares

   938,160   

CVS Caremark Corporation

  

Common Stock 29,088 shares

   936,924   

Honeywell International Inc.

  

Common Stock 23,896 shares

   936,723   

H & R Block Inc.

  

Common Stock 40,959 shares

   926,493   

Nike Inc. Class B

  

Common Stock 13,723 shares

   906,679   

Discover Financial Services

  

Common Stock 61,617 shares

   906,386   

Wal-Mart Stores Inc.

  

Common Stock 16,691 shares

   892,134   

Time Warner Inc.

  

Common Stock 30,203 shares

   880,115   

Gap Inc.

  

Common Stock 41,038 shares

   859,746   

Estee Lauder Companies Inc. Class A

  

Common Stock 17,527 shares

   847,606   

Ebay Inc.

  

Common Stock 35,898 shares

   845,039   

Applied Materials Inc.

  

Common Stock 60,440 shares

   842,534   

Bristol-Myers Squibb Company

  

Common Stock 33,002 shares

   833,301   

Goodyear Tire & Rubber Company

  

Common Stock 58,464 shares

   824,342   

Microsoft Corporation

  

Common Stock 23,827 shares

   726,485   

Harman International Industries Inc.

  

Common Stock 19,059 shares

   672,402   

Molson Coors Brewing Company Class B

  

Common Stock 14,201 shares

   641,317   

Praxair Inc.

  

Common Stock 7,845 shares

   630,032   

Fifth Third Bancorp

  

Common Stock 62,945 shares

   613,714   

Dr Pepper Snapple Group Inc.

  

Common Stock 20,405 shares

   577,462   

AOL Inc.

  

Common Stock 16,170 shares

   376,438   

Pulte Homes Inc.

  

Common Stock 14,816 shares

   148,160   
          

Total Large Cap Value Asset Class

         87,662,332

Participant Loans*

  

Interest rates 4.25% - 11%

      33,088,940

Participant Self-Directed Accounts

  

Various Investments

      75,332,158

Real Estate Investment Trust (REIT) Asset Class:

        

Northern Trust Global Investments Collective Daily Short Term Investment Fund*

  

Common Collective Trust 1,725,256 units

   1,725,256   

Vanguard Specialized Portfolios REIT Index Fund Institutional Class

  

Mutual fund 3,576,866 shares

   35,053,286   
          

Total Real Estate Investment Trust (REIT) Asset Class

      36,778,542

Small-Mid Cap Growth Asset Class:

        

Affiliated Managers Group Inc.

  

Common Stock 6,997 shares

   471,247   

Alexion Pharmaceuticals Inc.

  

Common Stock 5,561 shares

   271,487   

Alliance Data Systems Corporation

  

Common Stock 12,183 shares

   786,900   

American Superconductor Corporation

  

Common Stock 19,836 shares

   811,292   

Amylin Pharmaceuticals Inc.

  

Common Stock 15,156 shares

   215,064   

Ansys Inc.

  

Common Stock 10,456 shares

   454,418   

Arena Resources Inc.

  

Common Stock 8,683 shares

   374,411   

Athenahealth Inc.

  

Common Stock 4,592 shares

   207,742   

Auxilium Pharmaceuticals Inc.

  

Common Stock 5,100 shares

   152,898   

 

32


Table of Contents

Schedule H, line 4i - Schedule of Assets (Held at End of Year) (continued)

 

Identity of Issue

  

Description of Investment

  

Current Value

Beckman Coulter Inc.

  

Common Stock 5,664 shares

   370,652   

Biomarin Pharmaceutical Inc.

  

Common Stock 11,104 shares

   208,866   

Blackboard Inc.

  

Common Stock 10,620 shares

   482,042   

Blue Coat Systems Inc.

  

Common Stock 11,069 shares

   315,909   

Bucyrus International Inc. Class A

  

Common Stock 6,484 shares

   365,503   

Catalyst Health Solutions Inc.

  

Common Stock 6,784 shares

   247,412   

Cerner Corporation

  

Common Stock 3,070 shares

   253,091   

Chipotle Mexican Grill Inc.

  

Common Stock 4,497 shares

   396,456   

Northern Trust Global Investments Collective Daily Short Term Investment Fund*

  

Common Collective Trust 1,773,313 units

   1,773,313   

Commvault Systems Inc.

  

Common Stock 13,666 shares

   323,748   

Comstock Resources Inc.

  

Common Stock 6,172 shares

   250,398   

Conceptus Inc.

  

Common Stock 22,981 shares

   431,124   

Concho Resources Inc.

  

Common Stock 4,835 shares

   217,092   

Cyberonics Inc.

  

Common Stock 6,778 shares

   138,542   

Cymer Inc.

  

Common Stock 14,610 shares

   560,732   

Dealertrack Holdings Inc.

  

Common Stock 25,727 shares

   483,410   

Dendreon Corporation

  

Common Stock 9,152 shares

   240,515   

DeVry Inc.

  

Common Stock 9,077 shares

   514,938   

Dolby Laboratories Inc. Class A

  

Common Stock 8,829 shares

   421,408   

F5 Networks Inc.

  

Common Stock 7,851 shares

   415,946   

Fuel System Solutions Inc.

  

Common Stock 3,652 shares

   150,608   

GSI Commerce Inc.

  

Common Stock 12,966 shares

   329,207   

Green Mountain Coffee Roasters

  

Common Stock 11,998 shares

   977,477   

Greenhill & Company Inc.

  

Common Stock 3,607 shares

   289,426   

Guess?, Inc.

  

Common Stock 8,360 shares

   353,628   

Gymboree Corporation

  

Common Stock 12,697 shares

   552,193   

Home Inns & Hotels Management Inc.

  

Common Stock 6,880 shares

   243,208   

Hub Group Inc. Class A

  

Common Stock 10,759 shares

   288,664   

Human Genome Sciences Inc.

  

Common Stock 6,818 shares

   208,631   

Inverness Medical Innovations Inc.

  

Common Stock 8,539 shares

   354,454   

Lincare Holdings Inc.

  

Common Stock 6,670 shares

   247,590   

Lubrizol Corporation

  

Common Stock 6,495 shares

   473,810   

MSCI Inc. Class A

  

Common Stock 46,255 shares

   1,470,909   

Massey Energy Company

  

Common Stock 7,715 shares

   324,107   

Monster Worldwide Inc.

  

Common Stock 20,613 shares

   358,666   

Netlogic Microsystems Inc.

  

Common Stock 11,731 shares

   542,676   

Northern Trust Global Investment Russell 2000 Growth Index Fund - Non Lending*

  

Common Collective Trust 17,273 units

   2,034,056   

Nuance Communications Inc.

  

Common Stock 19,182 shares

   298,088   

OSI Pharmaceuticals Inc.

  

Common Stock 5,364 shares

   166,445   

Onyx Pharmaceuticals Inc.

  

Common Stock 6,786 shares

   199,101   

Perrigo Company

  

Common Stock 5,323 shares

   212,068   

Polaris Industries Inc.

  

Common Stock 6,834 shares

   298,167   

Polycom Inc.

  

Common Stock 47,236 shares

   1,179,483   

priceline.com Inc.

  

Common Stock 3,680 shares

   804,080   

Rackspace Hosting Inc.

  

Common Stock 17,667 shares

   368,357   

Robert Half International Inc.

  

Common Stock 16,600 shares

   443,718   

Roper Industries Inc.

  

Common Stock 21,558 shares

   1,128,992   

Rovi Corporation

  

Common Stock 11,580 shares

   369,055   

Rowan Companies Inc.

  

Common Stock 15,483 shares

   350,535   

 

33


Table of Contents

Schedule H, line 4i - Schedule of Assets (Held at End of Year) (continued)

 

Identity of Issue

  

Description of Investment

   Current Value

SAIC Inc.

  

Common Stock 20,587 shares

   389,918   

SEI Investments Company

  

Common Stock 20,956 shares

   367,149   

Solarwinds Inc.

  

Common Stock 14,990 shares

   344,920   

Solutia Inc.

  

Common Stock 56,385 shares

   716,090   

Strayer Education Inc.

  

Common Stock 1,442 shares

   306,411   

Successfactors Inc.

  

Common Stock 31,414 shares

   520,844   

Sykes Enterprises Inc.

  

Common Stock 21,725 shares

   553,336   

Terex Corporation

  

Common Stock 49,802 shares

   986,578   

Thoratec Corporation

  

Common Stock 10,490 shares

   282,391   

Ticketmaster Entertainment Inc.

  

Common Stock 23,337 shares

   285,178   

Tiffany & Company

  

Common Stock 11,137 shares

   478,891   

Tivo Inc.

  

Common Stock 23,683 shares

   241,093   

Transdigm Group Inc.

  

Common Stock 26,211 shares

   1,244,760   

United Therapeutics Corporation

  

Common Stock 4,602 shares

   242,295   

Urban Outfitters Inc.

  

Common Stock 13,402 shares

   468,936   

VCA Antech Inc.

  

Common Stock 30,216 shares

   752,983   

Vanceinfo Technologies Inc.

  

Common Stock 12,693 shares

   243,833   

Varian Semiconductor Equipment Associates Inc.

  

Common Stock 7,418 shares

   266,158   

Warnaco Group Inc.

  

Common Stock 10,720 shares

   452,277   

Vistaprint

  

Common Stock 6,074 shares

   344,153   
          

Total Small-Mid Cap Growth Asset Class

         36,662,149

Small-Mid Cap Index Asset Class:

        

Northern Trust Global Investments Collective Daily Small Cap Equity Fund*

  

Common Collective Trust 25,344 units

   6,072,543   

Blackrock Extended Equity Market Fund F*

  

Common Collective Trust 2,999,249 units

   66,913,242   
          

Total Small-Mid Cap Index Asset Class

         72,985,785

Small-Mid Cap Value Asset Class:

        

Northern Trust Global Investment Russell 2000 Value Index Fund - Non Lending*

  

Common Collective Trust 106,080 units

   12,836,753   

CA Inc.

  

Common Stock 147,700 shares

   3,317,341   

Northern Trust Global Investments Collective Daily Short Term Investment Fund*

  

Common Collective Trust 2,263,290 units

   2,263,290   

Hanover Insurance Group Inc.

  

Common Stock 66,250 shares

   2,943,487   

Elizabeth Arden Inc.

  

Common Stock 197,100 shares

   2,846,123   

Griffon Corporation

  

Common Stock 228,100 shares

   2,787,381   

MDC Partners Inc. Class A

  

Common Stock 319,300 shares

   2,662,961   

Circor International Inc.

  

Common Stock 102,400 shares

   2,578,431   

Valassis Communications Inc.

  

Common Stock 139,600 shares

   2,549,096   

Reinsurance Group of America Inc.

  

Common Stock 49,050 shares

   2,337,233   

Coherent Inc.

  

Common Stock 75,200 shares

   2,235,696   

Fifth Third Bancorp

  

Common Stock 228,500 shares

   2,227,875   

Safeway Inc.

  

Common Stock 104,400 shares

   2,222,676   

Keycorp

  

Common Stock 386,200 shares

   2,143,410   

Tyco Electronics Ltd.

  

Common Stock 87,300 shares

   2,143,215   

Wausau Paper Corporation

  

Common Stock 181,583 shares

   2,106,363   

Arrow Electronics Inc.

  

Common Stock 67,950 shares

   2,012,000   

Caseys General Stores Inc.

  

Common Stock 62,950 shares

   2,009,364   

Avnet Inc.

  

Common Stock 65,350 shares

   1,970,956   

 

34


Table of Contents

Schedule H, line 4i - Schedule of Assets (Held at End of Year) (continued)

 

Identity of Issue

  

Description of Investment

  

Current Value

Omnicare Inc.

  

Common Stock 79,900 shares

   1,931,982   

Stancorp Financial Group Inc.

  

Common Stock 47,200 shares

   1,888,944   

St. Mary Land & Exploration Company

  

Common Stock 53,600 shares

   1,835,264   

Con-Way Inc.

  

Common Stock 50,700 shares

   1,769,937   

King Pharmaceuticals Inc.

  

Common Stock 143,400 shares

   1,759,518   

Meadowbrook Insurance Group Inc.

  

Common Stock 227,900 shares

   1,686,460   

Manpower Inc.

  

Common Stock 30,600 shares

   1,670,148   

Rent A Center Inc.

  

Common Stock 94,100 shares

   1,667,452   

Gardner Denver Inc.

  

Common Stock 38,700 shares

   1,646,685   

Texas Capital Bancshares Inc.

  

Common Stock 116,100 shares

   1,620,756   

Tower Group Inc.

  

Common Stock 68,300 shares

   1,598,903   

Lorillard Inc.

  

Common Stock 19,700 shares

   1,580,531   

Regions Financial Corporation

  

Common Stock 294,200 shares

   1,556,318   

Acergy SA

  

Common Stock 99,700 shares

   1,556,317   

Belden Inc.

  

Common Stock 70,950 shares

   1,555,224   

Reliance Steel & Aluminum Company

  

Common Stock 35,950 shares

   1,553,759   

People’s United Financial Inc.

  

Common Stock 88,500 shares

   1,477,950   

Comerica Inc.

  

Common Stock 48,900 shares

   1,445,973   

Wisconsin Energy

  

Common Stock 28,900 shares

   1,440,087   

Bill Barrett Corporation

  

Common Stock 45,500 shares

   1,415,505   

Sun Trust Banks Inc.

  

Common Stock 69,500 shares

   1,410,155   

Interpublic Group Companies Inc.

  

Common Stock 190,000 shares

   1,402,200   

Limited Brands

  

Common Stock 72,800 shares

   1,400,672   

Genworth Financial Inc. Class A

  

Common Stock 123,400 shares

   1,400,590   

Portland General Electric Company

  

Common Stock 67,200 shares

   1,371,552   

XL Capital Ltd.

  

Common Stock 74,700 shares

   1,369,251   

Brocade Communications Systems Inc.

  

Common Stock 177,950 shares

   1,357,759   

Edison International

  

Common Stock 39,000 shares

   1,356,420   

Del Monte Foods Company

  

Common Stock 119,500 shares

   1,355,130   

Assurant Inc.

  

Common Stock 45,500 shares

   1,341,340   

Denbury Resources Inc.

  

Common Stock 89,700 shares

   1,327,560   

Great Plains Energy Inc.

  

Common Stock 67,700 shares

   1,312,703   

Lincoln Electric Holdings Inc.

  

Common Stock 24,150 shares

   1,291,059   

Conseco Inc.

  

Common Stock 257,700 shares

   1,288,500   

Hormel Foods Corporation

  

Common Stock 33,500 shares

   1,288,075   

CNA Financial Corporation

  

Common Stock 53,500 shares

   1,284,000   

Airtran Holdings Inc.

  

Common Stock 245,600 shares

   1,282,032   

Embraer-Empresa Brasileira de Aeronautica SA

  

Common Stock 55,300 shares

   1,222,683   

MI Developments Inc.

  

Common Stock 99,100 shares

   1,216,948   

CDC Software Corporation

  

Common Stock 124,200 shares

   1,199,772   

PPG Industries Inc.

  

Common Stock 20,300 shares

   1,188,362   

Western Alliance Bancorporation

  

Common Stock 309,700 shares

   1,170,666   

FBR Capital Markets Corporation

  

Common Stock 188,100 shares

   1,162,458   

PHH Corporation

  

Common Stock 71,600 shares

   1,153,476   

Alliance One International Inc.

  

Common Stock 228,300 shares

   1,114,104   

Intrepid Potash Inc.

  

Common Stock 38,000 shares

   1,108,460   

Magna International Inc. Class A

  

Common Stock 21,200 shares

   1,072,296   

National Semiconductor Corporation

  

Common Stock 68,900 shares

   1,058,304   

Middleby Corporation

  

Common Stock 21,500 shares

   1,053,930   

Jones Apparel Group Inc.

  

Common Stock 65,200 shares

   1,047,112   

 

35


Table of Contents

Schedule H, line 4i - Schedule of Assets (Held at End of Year) (continued)

 

Identity of Issue

  

Description of Investment

  

Current Value

ICU Medical Inc.

  

Common Stock 28,600 shares

   1,042,184   

Goodyear Tire & Rubber Company

  

Common Stock 73,200 shares

   1,032,120   

Westar Energy Inc.

  

Common Stock 47,500 shares

   1,031,700   

Capital One Financial Corporation

  

Common Stock 26,900 shares

   1,031,346   

Cobalt International Energy Inc.

  

Common Stock 72,200 shares

   999,248   

Cornell Companies Inc.

  

Common Stock 44,000 shares

   998,800   

Time Warner Cable Inc.

  

Common Stock 23,600 shares

   976,804   

Timken Company

  

Common Stock 40,750 shares

   966,183   

Willis Group Holdings PLC

  

Common Stock 36,550 shares

   964,189   

Delphi Financial Group Inc. Class A

  

Common Stock 42,700 shares

   955,199   

Allied World Assurance

  

Common Stock 20,650 shares

   951,346   

Lincare Holdings Inc.

  

Common Stock 25,300 shares

   939,136   

Digi International Inc.

  

Common Stock 100,600 shares

   917,472   

Princeton Review Inc.

  

Common Stock 217,300 shares

   882,238   

Sun Microsystems Inc.

  

Common Stock 93,400 shares

   875,158   

RPM International Inc.

  

Common Stock 42,000 shares

   853,860   

Validus Holding Ltd.

  

Common Stock 31,500 shares

   848,610   

Chiquita Brands International Inc.

  

Common Stock 47,000 shares

   847,880   

Royal Gold Inc.

  

Common Stock 18,000 shares

   847,800   

Forest Oil Corporation

  

Common Stock 38,000 shares

   845,500   

Portland General Electric Company

  

Common Stock 40,300 shares

   822,523   

Max Cap Group Ltd.

  

Common Stock 36,700 shares

   818,410   

Approach Resources Inc.

  

Common Stock 103,800 shares

   801,336   

First Financial Bancorp Ohio

  

Common Stock 54,300 shares

   790,608   

Temple-Inland Inc.

  

Common Stock 36,650 shares

   773,682   

ON Semiconductor Corporation

  

Common Stock 86,800 shares

   764,708   

UGI Corporation

  

Common Stock 30,600 shares

   740,214   

Novell Inc.

  

Common Stock 173,900 shares

   721,685   

Psychiatric Solutions Inc.

  

Common Stock 33,800 shares

   714,532   

Aspen Insurance Holdings

  

Common Stock 27,900 shares

   710,055   

Paccar Inc.

  

Common Stock 19,500 shares

   707,265   

Petroquest Energy Inc.

  

Common Stock 114,700 shares

   703,111   

Mirant Corporation

  

Common Stock 45,900 shares

   700,893   

General Cable Corporation

  

Common Stock 23,550 shares

   692,841   

Robeco

  

Cash and Short Term Investments

   692,570   

Starwood Property Trust Inc.

  

Common Stock 36,600 shares

   691,374   

PG& E Corporation

  

Common Stock 15,200 shares

   678,680   

Stone Energy Corporation

  

Common Stock 37,400 shares

   675,070   

Kinetic Concepts Inc.

  

Common Stock 17,800 shares

   670,170   

Pantry Inc.

  

Common Stock 48,900 shares

   664,551   

Holly Corporation

  

Common Stock 25,800 shares

   661,254   

Iconix Brand Group Inc.

  

Common Stock 52,200 shares

   660,330   

HCC Insurance Holdings Inc.

  

Common Stock 23,600 shares

   660,092   

Home Bancshares Inc.

  

Common Stock 27,000 shares

   649,890   

Harsco Corporation

  

Common Stock 20,000 shares

   644,600   

Granite Construction Inc.

  

Common Stock 19,100 shares

   642,906   

Lakeland Industries Inc.

  

Common Stock 80,300 shares

   642,400   

Northwest Bancshares Inc.

  

Common Stock 56,500 shares

   639,580   

Nelnet Inc. Class A

  

Common Stock 36,900 shares

   635,787   

Highwoods Properties Inc.

  

Common Stock 18,800 shares

   626,980   

 

36


Table of Contents

Schedule H, line 4i - Schedule of Assets (Held at End of Year) (continued)

 

Identity of Issue

  

Description of Investment

  

Current Value

Digital River Inc.

  

Common Stock 22,900 shares

   618,071   

Gibraltar Industries Inc.

  

Common Stock 39,200 shares

   616,616   

Exactech Inc.

  

Common Stock 35,600 shares

   616,236   

Wesco International Inc.

  

Common Stock 22,800 shares

   615,828   

Packaging Corporation of America

  

Common Stock 26,450 shares

   608,615   

PNC Financial Services Group

  

Common Stock 11,491 shares

   606,610   

Teleflex Inc.

  

Common Stock 11,200 shares

   603,568   

Lions Gate Entertainment Corporation

  

Common Stock 103,600 shares

   601,916   

Chimera Investment Corporation

  

Common Stock 153,000 shares

   593,640   

Geo Group Inc.

  

Common Stock 26,900 shares

   588,572   

Perrigo Company

  

Common Stock 14,700 shares

   585,648   

SCBT Financial Corporation

  

Common Stock 20,600 shares

   570,414   

Great American Group Inc.

  

Common Stock 153,850 shares

   569,245   

Regis Corporation

  

Common Stock 36,500 shares

   568,305   

Stealthgas Inc.

  

Common Stock 89,600 shares

   558,208   

Ciber Inc.

  

Common Stock 160,900 shares

   555,105   

Assisted Living Concepts Inc. Class A

  

Common Stock 20,900 shares

   551,133   

Allstate Corporation

  

Common Stock 17,900 shares

   537,716   

Liberty Global Inc. Series A

  

Common Stock 24,400 shares

   534,604   

Old National Bancorp

  

Common Stock 42,200 shares

   524,546   

Beacon Roofing Supply Inc.

  

Common Stock 32,600 shares

   521,600   

WSFS Financial Corporation

  

Common Stock 20,300 shares

   520,289   

MB Financial Inc.

  

Common Stock 26,200 shares

   516,664   

Berkshire Hills Bancorp, Inc.

  

Common Stock 24,900 shares

   514,932   

LECG Corporation

  

Common Stock 171,425 shares

   512,561   

Super Valu Inc.

  

Common Stock 39,800 shares

   505,858   

Werner Enterprises Inc.

  

Common Stock 25,500 shares

   504,645   

Celadon Group Inc.

  

Common Stock 46,500 shares

   504,525   

RTI International Metals Inc.

  

Common Stock 19,500 shares

   490,815   

Allied World Assurance

  

Common Stock 10,600 shares

   488,342   

Tyco International Ltd.

  

Common Stock 13,500 shares

   481,680   

Endo Pharmaceuticals Holdings Inc.

  

Common Stock 23,200 shares

   475,832   

Texas Capital Bancshares Inc.

  

Common Stock 33,600 shares

   469,056   

Seabright Insurance Holdings Inc.

  

Common Stock 40,800 shares

   468,792   

Fresh Del Monte Produce Inc.

  

Common Stock 21,200 shares

   468,520   

Healthtronics Inc.

  

Common Stock 174,900 shares

   461,736   

Techwell, Inc.

  

Common Stock 34,500 shares

   455,400   

Vectren Corporation

  

Common Stock 18,300 shares

   451,644   

Hillenbrand Inc.

  

Common Stock 23,700 shares

   446,508   

Double-Take Software

  

Common Stock 43,300 shares

   432,567   

Yamana Gold Inc.

  

Common Stock 37,600 shares

   427,888   

Renasant Corporation

  

Common Stock 31,300 shares

   425,680   

Encore Bancshares Inc.

  

Common Stock 53,292 shares

   423,671   

Casual Male Retail Group Inc.

  

Common Stock 177,660 shares

   413,948   

Hatteras Financial Corporation

  

Common Stock 14,500 shares

   405,420   

Viewpoint Financial Group

  

Common Stock 28,000 shares

   403,480   

El Paso Electric Company

  

Common Stock 19,800 shares

   401,544   

Hexcel Corporation

  

Common Stock 30,500 shares

   395,890   

Americas Car-Mart Inc.

  

Common Stock 15,000 shares

   394,950   

Omnivision Technologies Inc.

  

Common Stock 27,100 shares

   393,763   

 

37


Table of Contents

Schedule H, line 4i - Schedule of Assets (Held at End of Year) (continued)

 

Identity of Issue

  

Description of Investment

  

Current Value

BE Aerospace Inc.

  

Common Stock 16,700 shares

   392,450   

Mantech International Corporation Class A

  

Common Stock 8,000 shares

   386,240   

American Campus Communities Inc.

  

Common Stock 13,100 shares

   368,110   

CIT Group Inc.

  

Common Stock 13,300 shares

   367,213   

Radware Ltd.

  

Common Stock 23,900 shares

   361,368   

Symantec Corporation

  

Common Stock 20,100 shares

   359,589   

Great Plains Energy Inc.

  

Common Stock 18,300 shares

   354,837   

Jack In The Box Inc.

  

Common Stock 18,000 shares

   354,060   

BJ Services Company

  

Common Stock 18,800 shares

   349,680   

Lifepoint Hospitals Inc.

  

Common Stock 10,700 shares

   347,857   

Lifetime Brands Inc.

  

Common Stock 48,100 shares

   343,915   

Foot Locker Inc.

  

Common Stock 30,800 shares

   343,112   

Black & Decker Inc.

  

Common Stock 5,200 shares

   337,116   

Celanese Corporation Series A

  

Common Stock 10,500 shares

   337,050   

Ares Capital Corporation

  

Common Stock 27,000 shares

   336,150   

New Frontier Media Inc.

  

Common Stock 175,200 shares

   331,128   

Zimmer Holdings Inc.

  

Common Stock 5,600 shares

   331,016   

Home Federal Bancorp Inc.

  

Common Stock 24,800 shares

   330,088   

Zoran Corporation

  

Common Stock 29,400 shares

   324,870   

Colbs Mckinnon Corporation NY

  

Common Stock 23,200 shares

   316,912   

Cantel Medical Corporation

  

Common Stock 15,600 shares

   314,808   

PMA Capital Corporation Class A

  

Common Stock 48,900 shares

   308,070   

Centerstate Banks Inc.

  

Common Stock 30,500 shares

   307,745   

Geomet Inc.

  

Common Stock 207,010 shares

   302,235   

Brown Shoe Company Inc.

  

Common Stock 28,900 shares

   285,243   

Essa Bancorp Inc.

  

Common Stock 24,200 shares

   283,140   

Schweitzer-Mauduit International Inc.

  

Common Stock 4,000 shares

   281,400   

Bancorp Rhode Island Inc.

  

Common Stock 10,823 shares

   277,935   

Novamed Inc.

  

Common Stock 70,200 shares

   272,376   

MFA Financial Inc.

  

Common Stock 36,100 shares

   265,335   

Union First Market Bankshares Corporation

  

Common Stock 21,400 shares

   265,146   

Kennedy-Wilson Holdings Inc.

  

Common Stock 29,500 shares

   264,025   

KBW Inc.

  

Common Stock 9,300 shares

   254,448   

Thomas Weisel Partners Canada Inc.

  

Common Stock 66,500 shares

   251,370   

Washington Real Estate Investment Trust

  

Common Stock 9,100 shares

   250,705   

United Financial Bancorp Inc.

  

Common Stock 19,100 shares

   250,401   

Aegean Marine Petroleum Network Inc.

  

Common Stock 8,490 shares

   233,305   

Black Hills Corporation

  

Common Stock 8,500 shares

   226,355   

Northwest Bancshares Inc.

  

Common Stock 19,800 shares

   224,136   

Plantronics Inc.

  

Common Stock 8,100 shares

   210,438   

Arkansas Best Corporation

  

Common Stock 7,000 shares

   206,010   

Lincoln Educational Services Corporation

  

Common Stock 9,500 shares

   205,865   

Inverness Medical Innovations Inc.

  

Common Stock 4,900 shares

   203,399   

Safeguard Scientifics Inc.

  

Common Stock 18,800 shares

   193,828   

Mistras Group Inc.

  

Common Stock 12,200 shares

   183,732   

Weight Watchers International Inc.

  

Common Stock 6,300 shares

   183,708   

Hyatt Hotels Corporation Class A

  

Common Stock 6,000 shares

   178,860   

Healthcare Services Group Inc.

  

Common Stock 8,100 shares

   173,826   

Boots & Coots Inc.

  

Common Stock 98,100 shares

   161,865   

Titan Machy Inc.

  

Common Stock 14,000 shares

   161,560   

 

38


Table of Contents

Schedule H, line 4i - Schedule of Assets (Held at End of Year) (continued)

 

Identity of Issue

  

Description of Investment

  

Current Value

Ness Technologies Inc.

  

Common Stock 29,700 shares

   145,530   

Somanetics Corporation

  

Common Stock 7,900 shares

   138,645   

Actuate Corporation

  

Common Stock 27,300 shares

   116,844   

Globe Specialty Metals Inc.

  

Common Stock 12,200 shares

   114,680   

Glatfelter

  

Common Stock 9,300 shares

   112,995   

Qlogic Corporation

  

Common Stock 5,800 shares

   109,446   

Rand Logistics Inc.

  

Common Stock 21,000 shares

   68,250   

Hackett Group Inc.

  

Common Stock 24,300 shares

   67,554   

Landec Corporation

  

Common Stock 7,400 shares

   46,176   
          

Total Small-Mid Cap Value Asset Class

           206,740,749

Other:

        

CMA Money Fund

  

Cash and Short Term Investments

        718,329
            
         $ 2,034,202,397
            

 

* Indicates party-in-interest.

 

39


Table of Contents

Supplemental Schedule

Amgen Retirement and Savings Plan

EIN: 95-3540776 Plan: #001

Schedule H, line 4i - Schedule of Assets (Acquired and Disposed of Within Year)

Year Ended December 31, 2009

 

Identity of Issue

  

Description of Investment

  

Proceeds of
Dispositions

Alumina Ltd.

  

Common Stock 474,720 shares

   $    701,108

Carnival PLC

  

Common Stock 26,600 shares

   828,715

Cenovus Energy Inc. 6.75% Due 11/15/2039

  

Corporate Bonds 90,000 units

   97,130

Centrica PLC

  

Common Stock 210,900 shares

   773,590

CRH PLC

  

Common Stock 28,680 shares

   699,463

FANUC Ltd.

  

Common Stock 18,500 shares

   1,560,486

General Electric Capital Corporation 2.2% Due 6/8/2012

  

Corporate Bonds 90,000 units

   91,281

Huaneng Power International, Inc.

  

Common Stock 368,000 shares

   247,451

Impala Platinum Holdings Ltd.

  

Common Stock 32,320 shares

   720,503

JP Morgan Chase & Company 2.125% Due 12/26/2012

  

Corporate Bonds 60,000 units

   61,070

JP Morgan Chase & Company 4.65% Due 6/1/2014

  

Corporate Bonds 330,000 units

   330,977

KeyBank National Association 5.5% Due 9/17/2012

  

Corporate Bonds 20,000 units

   20,526

Kubota Corporation

  

Common Stock 106,000 shares

   836,559

Li & Fung Ltd.

  

Common Stock 384,000 shares

   1,417,635

Lihir Gold Ltd.

  

Common Stock 219,300 shares

   552,088

National Bank of Greece SA

  

Common Stock 36,000 shares

   949,462

Nikon Corporation

  

Common Stock 41,000 shares

   729,780

Nokia Corporation

  

Common Stock 68,000 shares

   890,729

PT Astra International Tbk.

  

Common Stock 169,500 shares

   557,153

Petroleo Brasileiro SA Petrobras

  

Preferred Stock 106,700 shares

   2,026,786

DIRECTV Holdings LLC / DIRECTV Financing Co., Inc. 4.75% Due 10/1/2014

  

Corporate Bonds 80,000 units

   81,518

Singapore Telecommunications Ltd.

  

Common Stock 398,000 shares

   869,651

Smith International, Inc. 9.75% Due 3/15/2019

  

Corporate Bonds 200,000 units

   212,244

PT Telekomunikasi Indonesia Tbk. Series B

  

Common Stock 1,065,500 shares

   931,622

Tullow Oil PLC

  

Common Stock 41,670 shares

   798,500

TuranAlem Finance BV 8.25% 1/22/2037

  

Corporate Bonds 240,000 units

   39,050

 

40


Table of Contents

SIGNATURES

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.

 

        Amgen Retirement and Savings Plan
        (Name of Plan)

Date:

 

June 23, 2010

    By:  

/S/ MICHAEL A. KELLY

        Michael A. Kelly
        Acting Chief Financial Officer
        Amgen Inc.

 

41


Table of Contents

AMGEN RETIREMENT AND SAVINGS PLAN

INDEX TO EXHIBIT

 

Consent of Independent Registered Public Accounting Firm    Exhibit 23.1

 

42