e11vk
 
 
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
Form 11-K
     
þ   ANNUAL REPORT PURSUANT TO SECTION 15 (d) OF THE SECURITIES EXCHANGE ACT OF 1934
For the year ended December 31, 2009
OR
     
o   TRANSITION REPORT PURSUANT TO SECTION 15 (d) OF THE SECURITIES EXCHANGE ACT OF 1934
For the transition period from                      to                     
Commission file number 1-4448
A.   Full title of the plan and the address of the plan, if different from that of the issuer named below:
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
B.   Name of issuer of the securities held pursuant to the plan and the address of its principal executive office:
Baxter International Inc.
One Baxter Parkway
Deerfield, IL 60015
(847) 948-2000
 
 

 


 

Baxter International Inc.
and Subsidiaries
Incentive Investment Plan
Financial Statements and Supplemental Schedule
December 31, 2009 and 2008

 


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Index
December 31, 2009 and 2008
 
         
    Page(s)
 
       
    1  
 
       
    2  
 
       
Financial Statements
       
 
       
    3  
 
       
    4  
 
       
    5 - 15  
 
       
Supplemental Information
       
 
       
    16 - 73  

 


 

Report of Independent Registered Public Accounting Firm
To the Participants and Administrative Committee of
the Baxter International Inc. and Subsidiaries Incentive Investment Plan
Deerfield, Illinois
We have audited the accompanying statement of net assets available for benefits of the Baxter International Inc. and Subsidiaries Incentive Investment Plan (Plan) as of December 31, 2009, and the related statement of changes in net assets available for benefits for the year 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 audit.
We conducted our audit in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements. An audit also includes assessing the accounting principles used and significant estimates made by management, as well as evaluating the overall financial statement presentation. We believe that our audit provides a reasonable basis for our opinion.
In our opinion, the financial statements referred to above present fairly, in all material respects, the net assets available for benefits of the Plan as of December 31, 2009, and the changes in net assets available for benefits for the year then ended in conformity with U.S. generally accepted accounting principles.
Our audit was conducted for the purpose of forming an opinion on the basic financial statements taken as a whole. The supplemental Schedule H, line 4i — Schedule of Assets (Held at End of Year) is presented for the purpose of additional analysis and is not a required part of the basic financial statements but is supplementary information required by the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. The supplemental schedule is the responsibility of the Plan’s management. The supplemental schedule has been subjected to the auditing procedures applied in the audit of the basic 2009 financial statements and, in our opinion, is fairly stated in all material respects in relation to the basic 2009 financial statements taken as a whole.
     
/s/ Crowe Horwath LLP    
 
Oak Brook, Illinois
June 25, 2010

1


 

Prior Auditor’s Report of Independent Registered Public Accounting Firm
To the Participants and Administrative Committee of
the Baxter International Inc. and Subsidiaries Incentive Investment Plan
In our opinion, the accompanying statement of net assets available for benefits and the related statement of changes in net assets available for benefits present fairly, in all material respects, the net assets available for benefits of the Baxter International Inc. and Subsidiaries Incentive Investment Plan (the Plan) at December 31, 2008, and the changes in net assets available for benefits for the year then ended in conformity with accounting principles generally accepted in the United States of America. These financial statements are the responsibility of the Plan’s management. Our responsibility is to express an opinion on these financial statements based on our audit. We conducted our audit of these statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audit provides a reasonable basis for our opinion.
/s/ PricewaterhouseCoopers LLP
June 26, 2009

2


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Statements of Net Assets Available for Benefits
December 31, 2009 and 2008
 
                 
    2009     2008  
 
Assets
               
Investments
               
Cash and cash equivalents
  $ 47,549,498     $ 66,961,790  
Common stock (including securities on loan of $29,596,347 in 2009 and $18,399,870 in 2008)
    437,851,778       340,479,494  
U.S. government and government agency issues (including securities on loan of $8,557,513 in 2009 and $1,290,325 in 2008)
    14,705,865       14,829,298  
Corporate and other obligations (including securities on loan of $5,281,686 in 2009 and $2,432,308 in 2008)
    38,839,798       39,195,637  
Commingled funds
    306,140,112       212,980,228  
Registered investment companies
    121,035,667       59,457,424  
Participant loans
    35,784,824       31,325,947  
Synthetic guaranteed investment contracts (including securities on loan of $175,467,810 in 2009 and $82,975,181 in 2008)
    660,399,728       659,502,094  
Collateral held on loaned securities
    220,811,947       99,545,271  
 
Total investments at fair value
    1,883,119,217       1,524,277,183  
 
Receivables
               
Sponsor contributions
    13,239,234       9,752,268  
Accrued interest and dividends
    1,798,050       1,962,089  
Due from brokers for securities sold
    614,243       39,577  
 
 
    15,651,527       11,753,934  
 
Total assets
    1,898,770,744       1,536,031,117  
 
Liabilities
               
Accounts payable
    2,219,225       2,203,915  
Due to brokers for securities purchased
    1,535,362       689,464  
Collateral to be paid on loaned securities
    224,368,108       107,838,014  
 
Total liabilities
    228,122,695       110,731,393  
 
Net assets available for benefits, reflecting investments at fair value
    1,670,648,049       1,425,299,724  
Adjustment from fair value to contract value for fully benefit-responsive investment contracts
    (5,199,119 )     (26,014,601 )
 
Net assets available for benefits
  $ 1,665,448,930     $ 1,399,285,123  
 
The accompanying notes are an integral part of these financial statements.

3


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Statements of Changes in Net Assets Available for Benefits
For the Years Ended December 31, 2009 and 2008
 
                 
    2009     2008  
 
Additions (reductions) to net assets attributed to
               
Investment income (loss)
               
Net appreciation (depreciation) in fair value of investments
  $ 181,972,026     $ (339,546,642 )
Interest
    26,343,333       37,416,536  
Dividends
    9,259,422       9,723,969  
Participant loan interest
    2,099,189       2,353,627  
 
Net investment income (loss)
    219,673,970       (290,052,510 )
 
Contributions
               
Sponsor
    53,011,931       45,653,065  
Participant
    85,388,652       80,374,823  
 
 
    138,400,583       126,027,888  
 
Net additions (reductions)
    358,074,553       (164,024,622 )
 
Deductions from net assets attributed to
               
Benefits paid
    87,120,929       110,153,382  
Plan expenses
    4,789,817       4,832,134  
 
Total deductions
    91,910,746       114,985,516  
 
Net increase (decrease)
    266,163,807       (279,010,138 )
Net assets available for benefits
               
Beginning of year
    1,399,285,123       1,678,295,261  
 
End of year
  $ 1,665,448,930     $ 1,399,285,123  
 
The accompanying notes are an integral part of these financial statements.

4


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Notes to Financial Statements
December 31, 2009 and 2008
 
1.   General Description of the Plan
 
    The following description of the Baxter International Inc. and Subsidiaries Incentive Investment Plan (the Plan) is provided for general information purposes only. Participants should refer to the Plan document and summary plan description for more complete information. The Plan is subject to the provisions of the Employee Retirement Income Security Act of 1974 (ERISA).
 
    The Plan allows tax deferred contributions in compliance with Section 401(k) of the Internal Revenue Code. Eligible participants may make pre-tax contributions of up to 50% of their eligible annual compensation within certain limitations. Newly hired employees are deemed to have elected to contribute 3% of compensation (increased by 1% per year to a total of 6%) unless they make a contrary election. The Plan sponsor, Baxter International Inc. (Baxter or the Company), matches participant contributions up to a maximum of 3.5% of the employee’s compensation. Participant contributions and Plan sponsor matching contributions are fully vested and nonforfeitable at all times. The Company also contributes an additional non-matching 3% of compensation for employees that are not eligible to participate in the Company’s U.S. qualified defined benefit pension plan, which includes all new employees hired on or after January 1, 2007, and employees who had less than five years of service on January 1, 2007 and who elected to cease earning additional service in the pension plan and participate in the higher level of Company contributions in the Plan. The additional non-matching contribution becomes fully vested after three years of service. Forfeitures of nonvested accounts are used to reduce future employer contributions.
 
    Participants may borrow up to the lesser of $50,000 or 50% of their vested account balance. The loans are secured by the balance in the participant’s account and bear interest at variable rates as outlined in the Plan agreement.
 
    Participants or their beneficiaries may elect lump-sum benefit payments, or benefits may be paid in installments. Shares of Baxter common stock may also be distributed in kind at the participant’s election. Subject to certain provisions specified in the Plan agreement, employed participants may withdraw their pre-tax contributions, matching contributions made prior to 2008, vested non-matching contributions and related earnings in cases of financial hardship and in certain other circumstances.
 
    Each participant’s account is credited with the participant’s contributions and an allocation of the Company’s contributions and Plan earnings, and is charged with his or her withdrawals and an allocation of Plan-related expenses. Allocations are based on participant earnings or account balances, as defined in the Plan document. The net income of the Plan is posted to the participant’s accounts on a daily basis. Each participant directs the investment of his or her account to any of the investment options available under the Plan.
 
    Upon enrollment in the Plan, a participant may direct contributions to any of 18 investment options: Stable Income Fund, Baxter Common Stock Fund, Composite Fund, General Equity Fund, S&P 500 Flagship Fund, International EAFE Equity Index Fund, Small Cap Fund, ten different Target Retirement Funds and the Self-Managed Fund. However, non-matching contributions may not be invested in the Baxter Common Stock Fund. In addition, certain participants may maintain shares received in connection with Baxter’s 1996 spin-off of Allegiance Corporation (Allegiance), which were subsequently converted into common shares of Cardinal Health Inc. (Cardinal) upon Cardinal’s acquisition of Allegiance in 1999. These shares are maintained in the Cardinal Health Common Stock Fund. Additionally, certain participants maintain shares in Edwards Lifesciences Corporation. These shares were placed into the Edwards Lifesciences Common Stock Fund in connection with Baxter’s 2000 spin-off of its cardiovascular business. Participants are not able to make contributions to the Cardinal Health Common Stock Fund or the Edwards Lifesciences Common Stock Fund, but may make transfers out of these funds at any time.

5


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Notes to Financial Statements
December 31, 2009 and 2008
 
2.   Summary of Significant Accounting Policies
 
    Basis of Accounting
The accompanying financial statements of the Plan have been prepared on the accrual basis of accounting. Accordingly, investment income is recognized when earned and expenses are recognized when incurred.
 
    Issued But Not Yet Effective Accounting Standard
In January 2010, the Financial Accounting Standards Board (FASB) issued a new accounting standard to improve disclosures with respect to fair value measurements, primarily related to the levels within the fair value hierarchy. An entity will be required to disclose significant transfers in and out of Levels 1 and 2 of the fair value hierarchy, and separately present information related to purchases, sales, issuances and settlements in the reconciliation of fair value measurements classified as Level 3. This standard will be effective for reporting periods beginning after December 15, 2009, except for the disclosures related to purchases, sales, issuances and settlements for Level 3 fair value measurements, which are effective for reporting periods beginning after December 15, 2010. The disclosures required by this standard will be included in the notes to the Plan’s financial statements effective January 1, 2010, except for the disclosures related to Level 3 fair value measurements, which will be included in the notes to the Plan’s financial statements effective January 1, 2011.
 
    New Accounting Standard
In April 2009, the FASB issued a new accounting standard related to estimating fair value when the volume and level of activity for an investment has significantly decreased. This standard also requires enhanced disclosures regarding the major security types of equity and debt securities and was effective for the Plan reporting period ending December 31, 2009. The Plan’s adoption of this standard did not have an impact on the net assets available for benefits. Refer to Note 5 for disclosures related to this standard.
 
    In September 2009, the FASB issued a new accounting standard related to the valuation of investments in certain entities that calculate net asset value per share. This standard provides a practical expedient for measuring the fair values of Plan investments in entities that calculate a net asset value per share (such as commingled investments). This standard also requires enhanced disclosures regarding the attributes of certain investments, including the nature of any restrictions and the investment objectives, and was effective for the Plan reporting period ending December 31, 2009. The Plan’s adoption of this standard did not have an impact on the net assets available for benefits. Refer to valuation of investments and collateral below for disclosures related to this standard.
 
    Valuation of Investments and Collateral
The fair value of Plan investments and collateral is determined as follows:
     
Cash and cash equivalents
  These largely consist of a short-term investment fund and a money market fund, the fair value of which is based on the net asset value. The investment objectives for these funds are to provide safety for principal, daily liquidity and a competitive yield by investing in high quality instruments.
 
   
Common stock
  Value based on closing prices on the valuation date in an active market on national and international securities exchanges.
 
   
U.S. government and government agency issues
  Value based on reputable pricing vendors that typically use pricing matrices or models.

6


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Notes to Financial Statements
December 31, 2009 and 2008
 
     
Corporate and other obligations
  Value based on reputable pricing vendors that typically use pricing matrices or models.
 
   
Commingled funds
  Value based on net asset values reported by the fund managers as of the financial statement dates and recent transaction prices. The investment objectives of these funds are to track the performances of the S&P 500 (S&P 500 Flagship Fund); Europe, Australasia and the Far East (EAFE) (International EAFE Equity Index Fund); or Russell 2000 (Small Cap Fund) indexes. The underlying investments vary, with some holding diversified portfolios of domestic stocks and government and government agency bonds, and others holding collective investment funds. Each fund provides for daily redemptions by the Plan at reported net asset values per share, with no advance notice requirement. Refer to Note 6 for amounts invested in each of these funds.
 
   
Registered investment companies
  Value based upon the last reported sale price from a national security exchange on the valuation date.
 
   
Participant loans
  Value based on outstanding principal balance plus accrued interest, which approximates fair value.
 
   
Synthetic guaranteed investment contracts
  Value based on the fair value of the underlying securities in the contract on the valuation date plus the fair value of wrapper contracts, which is calculated using a replacement cost approach. See below for more information.
 
   
Collateral held on loaned securities
  Value based upon the net asset value per unit of the short-term investment fund (Quality D Short-Term Investment Fund) where the collateral is invested. This fund primarily invests in cash and cash equivalents and asset-backed securities, and is utilized for the investment of cash collateral generated by the securities lending program in which the Plan and Trustee participate. At December 31, 2009, the maturity dates of these securities were less than 90 days. Refer to Note 7 for more information on the securities lending program.
 
   
Collateral to be paid on loaned securities
  Value based on the fair value of the underlying securities loaned on the valuation date, plus an incremental margin.
    Income Recognition
Plan investment return includes dividend and interest income, gains and losses on sales of investments and unrealized appreciation or depreciation of investments. Purchases and sales of investments are recorded on a trade date basis. Dividends are recorded on the ex-dividend date.

7


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Notes to Financial Statements
December 31, 2009 and 2008
 
The financial statements reflect the net appreciation or depreciation in the fair value of the Plan’s investments. This net appreciation or depreciation consists of realized gains and losses calculated as the difference between proceeds from a sales transaction and cost determined on a moving average basis, and unrealized gains and losses calculated as the change in the fair value between beginning of the year (or purchase date if later) and the end of the year.
Synthetic Guaranteed Investment Contracts
The Plan holds synthetic guaranteed investment contracts (GICs) as part of the Stable Income Fund. The synthetic GICs provide for a fixed return on principal over a specified time through fully benefit-responsive contracts issued by Aegon Institutional Markets and Bank of America N.A. The portfolio of assets, overall of investment grade, underlying the synthetic GICs primarily includes cash and cash equivalents, U.S. government and government agency issues, corporate and other obligations, and registered investment companies.
The fair value of the synthetic GICs equals the total of the fair value of the underlying assets plus the fair value of the wrapper contracts. The fair value of the wrapper contracts is computed using a replacement cost approach that incorporates a comparison of the current fee rate on similar wrapper contracts to the fee being paid by the Plan. Using this approach, the fair values of the wrapper contracts were $1,668,018 and $1,478,751 at December 31, 2009 and 2008, respectively.
While Plan investments are presented at fair value in the Statements of Net Assets Available for Benefits, any material difference between the fair value of the Plan’s direct and indirect interests in fully benefit-responsive investment contracts and their contract value is presented as an adjustment line in the Statements of Net Assets Available for Benefits, because contract value is the relevant measurement attribute for that portion of the Plan’s net assets available for benefits. Contract value represents contributions, plus earnings, less participant withdrawals and administrative expenses. The wrapper contracts used by the Plan are fully benefit-responsive because the wrapper contract issuers are contractually obligated to make up any shortfall in the event that the underlying asset portfolio has been liquidated and is inadequate to cover participant withdrawals and transfers at contract value. There are currently no reserves against contract values for credit risk of the contract issuers or any other risk. The contract value for the synthetic GICs was $655,200,609 and $633,487,493 at December 31, 2009 and 2008, respectively.
The crediting interest rate, which is reset quarterly, can never fall below zero. The crediting rate formula smoothes the impact of interest rate changes on participant returns by amortizing any difference between market value and book value over a period of years equal to the duration of the portfolio benchmark. The average yield on the synthetic GICs was approximately 4.2% and (0.18)% at December 31, 2009 and 2008, respectively. The average interest rate credited to participants on the synthetic GICs was approximately 4.1% and 4.82%, respectively, for the years ended December 31, 2009 and 2008. The credit ratings for Aegon Institutional Markets were AA- and AA at December 31, 2009 and December 31, 2008, respectively, and the credit ratings for Bank of America N.A. were A+ and AA- at December 31, 2009 and December 31, 2008, respectively.
Events that lead to market value withdrawals that exceed 20 percent of the contract value would limit the ability of the Plan to transact at contract value with participants. These events include restructurings, early retirement plans, divestitures, bankruptcies, or legal, tax or regulatory changes. The Plan sponsor believes that the occurrence of any such event is remote.
The wrapper providers can only terminate at a value different than contract value under an event of default (that was not remedied) such as failure to follow the terms of the contract. If a wrapper provider would like to exit the contract for another reason, the Plan can maintain the contract through an extended termination process designed to ensure continued benefit-responsive treatment for withdrawals.

8


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Notes to Financial Statements
December 31, 2009 and 2008
 
Payment of Benefits
Benefits are recorded when paid.
Use of Estimates
The preparation of financial statements in conformity with generally accepted accounting principles in the United States requires management to make estimates and assumptions that affect the amounts reported in the financial statements and related notes to the financial statements. Changes in such estimates may affect amounts reported in future periods.
Other
Due from or due to brokers for securities sold or purchased, respectively, represent the net cash value of security trades initiated but not yet settled at each respective year-end.
Risks and Uncertainties
The Plan provides for various investment options which invest in any combination of registered investment companies, U.S. government and government agency issues, corporate and other obligations, common stock, commingled funds, synthetic guaranteed investment contracts and short-term investments. Investment securities are exposed to various risks, such as interest rate, market, liquidity and credit risks. Due to the level of risk associated with certain investment securities and the level of uncertainty related to changes in the value of investment securities, it is at least reasonably possible that changes in risks in the near term could materially affect participants’ account balances and the amounts reported in the Statements of Net Assets Available for Benefits and the Statements of Changes in Net Assets Available for Benefits. Individual participants’ accounts bear the risk of loss resulting from fluctuations in investment values.
Investments underlying the Plan’s synthetic GICs include securities with contractual cash flows, such as asset-backed securities, collateralized mortgage obligations and commercial mortgage-backed securities, including securities backed by subprime mortgage loans. The value, liquidity and related income of these securities are sensitive to changes in economic conditions, including real estate values, delinquencies and/or defaults and may be adversely affected by shifts in the market’s perception of the issuers and changes in interest rates.
3.   Eligibility Requirements
 
    Employees become eligible to participate in the Plan as of the first day of the month following the completion of thirty days of employment. Eligible employees are those who meet the following requirements:
  A.   U.S. employees of Baxter or its subsidiaries which have adopted the Plan;
 
  B.   U.S. employees not covered by a collective bargaining agreement unless the agreement provides for coverage under the Plan; and
 
  C.   U.S. employees who are not leased employees.
4.   Administration of the Plan
 
    State Street Bank and Trust Company (the Trustee) serves as trustee and ING Institutional Plan Services, LLC serves as recordkeeper for the Plan.
 
    The Administrative Committee administers the Plan. The Investment Committee has authority, responsibility and control over the management of the assets of the Plan. Members of both committees are appointed by the Board of Directors of Baxter and are employees of Baxter.

9


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Notes to Financial Statements
December 31, 2009 and 2008
 
    Substantially all investment manager, trustee and administrative fees incurred in the administration of the Plan were paid from the assets of the Plan.
 
5.   Fair Value Measurements
 
    The fair value hierarchy under the accounting standard for fair value measurements consists of the following three levels:
    Level 1 — Quoted prices in active markets that the Plan has the ability to access for identical assets or liabilities;
 
    Level 2 — Quoted prices for similar instruments in active markets, quoted prices for identical or similar instruments in markets that are not active, and model-based valuations in which all significant inputs are observable in the market; and
 
    Level 3 — Valuations using significant inputs that are unobservable in the market and include the use of judgment by the Plan’s management about the assumptions market participants would use in pricing the asset or liability.

10


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Notes to Financial Statements
December 31, 2009 and 2008
 
The following table summarizes the bases used to measure the Plan’s financial instruments and liabilities that are carried at fair value on a recurring basis.
                                 
            Basis of Fair Value Measurement  
            Quoted Prices     Significant        
            in Active     Other     Significant  
    Balance at     Markets for     Observable     Unobservable  
    December 31,     Identical Assets     Inputs     Inputs  
    2009     (Level 1)     (Level 2)     (Level 3)  
 
Assets
                               
Cash and cash equivalents
  $ 47,549,498     $     $ 47,549,498     $  
Common stock:
                               
Healthcare
    221,596,118       221,596,118              
Information technology
    53,234,217       53,234,217              
Financial services
    43,116,528       43,116,528              
Consumer products
    34,181,956       34,181,956              
Industrial services and materials
    29,168,425       29,168,425              
Energy
    28,961,600       28,961,600              
Other
    27,592,934       27,592,934              
 
Total common stock
    437,851,778       437,851,778              
 
U.S. government and government agency issues
    14,705,865             14,705,865        
Corporate and other obligations
    38,839,798             38,839,798        
Commingled funds
    306,140,112             306,140,112        
Registered investment companies:
                               
Target retirement funds
    107,452,761       107,452,761              
Self-managed funds
    13,582,906       13,582,906              
 
Total registered investment companies
    121,035,667       121,035,667              
 
Participant loans
    35,784,824                   35,784,824  
Synthetic guaranteed investment contracts:
                               
Corporate and other obligations
    300,237,199             300,237,199        
U.S. government and government agency issues
    285,792,869             285,792,869        
Cash and cash equivalents
    41,828,642             41,828,642        
Registered investment companies
    30,483,586       30,483,586              
Wrapper contracts
    1,668,018                   1,668,018  
Other
    389,414             389,414        
 
Total synthetic guaranteed investment contracts
    660,399,728       30,483,586       628,248,124       1,668,018  
 
Collateral held on loaned securities
    220,811,947             200,811,947        
 
Total assets
  $ 1,883,119,217     $ 589,371,031     $ 1,256,295,344     $ 37,452,842  
 
 
                               
Liability
                               
Collateral to be paid on loaned securities
  $ 224,368,108     $ 30,459,249     $ 193,908,859     $  
 

11


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Notes to Financial Statements
December 31, 2009 and 2008
 
The following table summarizes the bases used to measure the Plan’s financial instruments and liabilities that are carried at fair value on a recurring basis.
                                 
            Basis of Fair Value Measurement  
            Quoted Prices     Significant        
            in Active     Other     Significant  
    Balance at     Markets for     Observable     Unobservable  
    December 31,     Identical Assets     Inputs     Inputs  
    2008     (Level 1)     (Level 2)     (Level 3)  
 
Assets
                               
Cash and cash equivalents
  $ 66,961,790     $     $ 66,961,790     $  
Common stock
    340,479,494       340,479,494              
U.S. government and government agency issues
    14,829,298             14,829,298        
Corporate and other obligations
    39,195,637             39,195,637        
Commingled funds
    212,980,228             212,980,228        
Registered investment companies
    59,457,424       59,457,424              
Participant loans
    31,325,947                   31,325,947  
Synthetic guaranteed investment contracts
    659,502,094       42,757,944       615,265,399       1,478,751  
Collateral held on loaned securities
    99,545,271             99,545,271        
 
Total assets
  $ 1,524,277,183     $ 442,694,862     $ 1,048,777,623     $ 32,804,698  
 
 
                               
Liability
                               
Collateral to be paid on loaned securities
  $ 107,838,014     $ 18,467,870     $ 89,370,144     $  
 
The following table sets forth a summary of changes in the fair values of the Plan’s level 3 financial instruments.
                 
    Participant     Wrapper  
    Loans     Contracts  
 
Balance at December 31, 2007
  $ 29,686,366     $  
Unrealized gains
          1,478,751  
Purchases, sales, issuances and settlements (net)
    1,639,581        
 
Balance at December 31, 2008
  $ 31,325,947     $ 1,478,751  
 
Unrealized gains
          189,267  
Purchases, sales, issuances and settlements (net)
    4,458,877        
 
Balance at December 31, 2009
  $ 35,784,824     $ 1,668,018  
 
See Valuation of Investments and Collateral in Note 2 above for a discussion of the methodologies used to determine the fair values of the Plan’s investments and collateral. These methods may produce a fair value calculation that may not be indicative of net realizable value or reflective of future fair values. Furthermore, while the Plan believes its valuation methods are appropriate and consistent with other market participants, the use of different methodologies or assumptions to determine the fair value of certain financial instruments could result in a different fair value measurement at the reporting date.

12


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Notes to Financial Statements
December 31, 2009 and 2008
 
6.   Investments
 
    Investments representing five percent or more of the Plan’s net assets available for benefits at December 31, 2009 and 2008 are summarized as follows:
                 
    2009     2008  
 
Baxter common stock, 2,933,075 shares and 2,994,818 shares at December 31, 2009 and 2008, respectively
  $ 172,112,858     $ 160,492,320  
State Street Global Advisors (SSgA) S&P 500 Flagship Fund
    152,285,488       112,007,447  
SSgA International EAFE Equity Index Fund
    93,424,087       *  
State Street Bank Short-Term Investment Fund
    *       79,735,100  
State Street Bank Quality D Short-Term Investment Fund (Collateral held on loaned securities)
    220,811,947       99,545,271  
 
               
*     Does not meet 5% threshold.
               
Investments as of December 31, 2009 and 2008 are segregated into various investment fund options as follows:
                 
    2009     2008  
 
Cash (available for investment)
  $ 6,719,155     $ 5,596,164  
Stable Income Fund
    682,022,055       701,010,677  
Baxter Common Stock Fund
    174,258,550       163,038,527  
Composite Fund
    141,894,896       105,989,479  
General Equity Fund
    148,831,025       108,085,903  
Cardinal Health Common Stock Fund
    4,809,280       5,410,042  
SSgA S&P 500 Flagship Fund
    152,285,488       112,188,634  
SSgA International EAFE Equity Index Fund
    93,468,012       59,492,812  
Edwards Lifesciences Common Stock Fund
    13,974,606       9,747,177  
SSgA Small Cap Fund
    60,430,537       41,479,969  
Self-Managed Fund
    40,376,081       31,764,148  
Target Retirement Funds
    107,452,761       49,602,433  
Participant loans
    35,784,824       31,325,947  
Collateral held on loaned securities
    220,811,947       99,545,271  
 
Total investments at fair value
    1,883,119,217       1,524,277,183  
Adjustment from fair value to contract value for Stable Income Fund
    (5,199,119 )     (26,014,601 )
 
Total investments
  $ 1,877,920,098     $ 1,498,262,582  
 

13


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Notes to Financial Statements
December 31, 2009 and 2008
 
    Net appreciation (depreciation) in fair value for each significant class of investment, which includes realized and unrealized gains and losses, is as follows:
                 
    2009     2008  
 
Baxter common stock
  $ 16,645,083     $ (13,221,835 )
Other common stock
    65,810,071       (137,322,856 )
U.S. government and government agency issues
    100,929       361,524  
Corporate and other obligations
    7,563,830       (11,579,043 )
Commingled funds
    66,494,910       (142,670,970 )
Registered investment companies
    20,620,621       (26,820,719 )
Collateral held on loaned securities
    4,736,582       (8,292,743 )
 
 
  $ 181,972,026     $ (339,546,642 )
 
7.   Securities Lending Transactions
 
    The Plan participates in a securities lending program with the Trustee. The program allows the Trustee to loan securities, which are assets of the Plan, to approved brokers (the Borrowers).
 
    The Trustee requires the Borrowers, pursuant to a security loan agreement, to deliver collateral to secure each loan in an amount that is at least equal to the fair value of the securities loaned. The Plan bears the risk of loss with respect to any unfavorable change in fair value of the invested cash collateral. However, the Borrower bears the risk of loss related to the decrease in the fair value of the non-cash collateral and, therefore, would have to deliver additional securities to maintain the required collateral. In the event of default by the Borrower, the Trustee shall indemnify the Plan by purchasing replacement securities equal to the number of unreturned loaned securities or, if replacement securities are not able to be purchased, the Trustee shall credit the Plan for the market value of the unreturned securities. In each case, the Trustee would apply the proceeds from the collateral for such a loan to make the Plan whole.
 
    The fair value of the investment of cash collateral received pursuant to securities lending transactions is reflected on the Statements of Net Assets Available for Benefits as an asset and the obligation to return the amount received is reflected as a liability.
 
    As of December 31, 2009 and 2008, the Plan had securities on loan with a fair market value of $218,903,356 and $105,097,684, respectively, with cash collateral received of $224,368,108 and $107,838,014, respectively. Cash collateral was invested in a short-term commingled investment fund as of December 31, 2009 and 2008. While as of December 31, 2009 and December 31, 2008 this fund was transacting on a dollar-for-dollar basis, the net asset value of the fund’s underlying securities was $0.9842 and $0.9231, respectively, per unit. As a result of this increase, an unrealized gain of $4,736,582 is reflected in the 2009 Statement of Changes in Net Assets Available for Benefits compared with an unrealized loss of $8,292,743 reported in 2008. As of December 31, 2009 and 2008, the cash collateral received is reflected at its fair value of $220,811,947 and $99,545,271, respectively, in the 2009 and 2008 Statements of Net Assets Available for Benefits.
 
    Non-cash collateral of $6,239,380 received for securities on loan at December 31, 2009 consisted of U.S. government and government agency issues held by the Trustee on behalf of the Plan. The Plan did not hold any non-cash collateral at December 31, 2008. Non-cash collateral is not included with the collateral balance on the 2009 Statement of Net Assets Available for Benefits because it may not be sold or repledged. A portion of the income generated upon investment of cash collateral is remitted to the Borrowers, and the remainder is allocated between the Plan and the Trustee in its capacity as a security agent. Securities lending income allocated to the Plan amounted to $36,172 and $1,225,085 for 2009 and 2008, respectively. Securities lending income is classified as interest income in the Statements of Changes in Net Assets Available for Benefits.

14


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Notes to Financial Statements
December 31, 2009 and 2008
 
8.   Plan Termination
 
    Although it has not expressed any intent to do so, the Plan sponsor has the right under the Plan to reduce, suspend or discontinue its contributions at any time and to terminate the Plan subject to the provisions of the ERISA. In the event the Plan terminates, the interest of each participating employee in the Plan shall become fully vested and such termination of the Plan would not reduce the interest of any participating employee or their beneficiaries accrued under the Plan up to the date of such termination.
 
9.   Tax Status of the Plan
 
    The Internal Revenue Service has determined and informed the Plan sponsor by a letter dated July 19, 2006 that the Plan is designed in accordance with applicable sections of the Internal Revenue Code (the IRC). The Plan has been amended since the date of the determination letter. The Plan sponsor believes that the Plan is currently designed and being operated in compliance with the applicable requirements of the IRC. Therefore, no provision for income taxes has been included in the Plan’s financial statements.
 
10.   Related Parties
 
    Parties-in-interest are defined under Department of Labor regulations as any fiduciary of the Plan, any party rendering service to the Plan, the employer, and certain others.
 
    At December 31, 2009 and 2008, the Plan held units of participation in certain commingled funds, shares of common stock, units of registered investment companies, and short-term investment funds of State Street Bank and Trust Company, the Plan trustee; shares of common stock and bonds of Baxter, the Plan sponsor; loans with participants; units of registered investment companies managed by Pacific Investment Management Company, an investment manager for the Plan; units of registered investment companies managed by Loomis Sayles, an investment manager for the Plan; shares of common stock, bonds, and interest rate wrapper contracts of Bank of America, issuer of the Plan’s fully benefit-responsive contracts; interest rate wrapper contracts of Aegon Institutional Markets, issuer of the Plan’s fully benefit-responsive contracts; and units of registered investment companies in various affiliates of ING Institutional Plan Services, LLC, the recordkeeper. These transactions are allowable party-in-interest transactions under ERISA and the regulations promulgated thereunder.
 
    Fees paid by the Plan for investment management, recordkeeping and consulting services, also qualify as party-in-interest transactions and are included in Plan-related expenses in the accompanying financial statements. The Company pays certain expenses for the administration of the Plan. These transactions are exempt from the party-in interest transaction prohibitions of ERISA.

15


 

SUPPLEMENTAL SCHEDULE

 


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
Identity of Issue   Description of Investment   Cost (1)     Current Value  
Cash and Cash Equivalents:
                   
 
                       
*
  SSgA Money Market Fund   Short-Term Investment Fund           8,262,647  
*
  State Street Bank & Trust Co   Short-Term Investment Fund           39,286,851  
 
                     
 
                       
 
 
Cash and cash equivalents
              $ 47,549,498  
 
                     
 
                       
** Common Stock:
                   
 
                       
 
  3COM Corp   Common Stock           1,500  
 
  3Dicon Corp   Common Stock           30  
 
  3M Company N/C from 604059105   Common Stock           29,010  
 
  3Par Inc Com   Common Stock           11,850  
 
  8x8 Inc New N/C from 64111f108   Common Stock           1,500  
 
  A Power Energy Generation System Ltd Com   Common Stock           18,290  
 
  ABB Ltd Sponsored Adr   Common Stock           18,182  
 
  Abbott Laboratories   Common Stock           70,196  
 
  Abbott Labs   Common Stock           1,227,891  
 
  Access Pharmaceuticals Inc Com   Common Stock           26,139  
 
  Ace Limited   Common Stock           214,298  
 
  Acorda Therapeutics Inc Cdt   Common Stock           2,520  
 
  Activision Blizzard Inc Com   Common Stock           14,443  
 
  Adaptive Broadband Corp   Common Stock           9  
 
  Adc Telecommunicatns Inc Com New   Common Stock           882  
 
  Adeona Pharmaceuticals Inc Com   Common Stock           1,260  
 
  Adept Technology Inc Com New   Common Stock           1,646  
 
  Adobe Sys Inc   Common Stock           5,076  
 
  Adolor Corp   Common Stock           730  
 
  Advanced Micro Devices Inc   Common Stock           18,392  
 
  Advansource Biomaterials Corp Com   Common Stock           140  
 
  Advanta Corp Cl B   Common Stock           85  
 
  Advantage Oil & Gas Ltd Com Npv   Common Stock           1,630  
 
  Adventrx Pharmaceuticals Inc   Common Stock           5,180  
 
  Aes Corp   Common Stock           1,045,002  
 
  Aetna Inc   Common Stock           830,661  
 
  Affymetrix Inc   Common Stock           5,840  
 
  Aflac Inc   Common Stock           6,968  
 
  Agilysys Inc Com   Common Stock           470  
 
  Agnico Eagle Mines Ltd   Common Stock           73,863  
 
  Air Prods + Chems Inc   Common Stock           2,941,651  
 
  AK Steel Hldg Corp   Common Stock           4,270  
 
  AK Stl Hldg Corp   Common Stock           422,227  
 
  Akamai Technologies Inc   Common Stock           1,419  
 
  Aksys Ltd   Common Stock           1  
 
  Alcatel Lucent Spon Adr   Common Stock           19,160  
 
  Alcoa Inc   Common Stock           20,861  
 
  Alcon Inc   Common Stock           7,540,605  
 
  Alexco Resource Corp Com I   Common Stock           11,280  
 
  ALJ Regl Hldgs Inc Com   Common Stock           290  

16


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Alkermes Inc   Common Stock           4,705  
 
  Allegheny Tech Inc   Common Stock           4,522  
 
  Alliance Pharmaceutical Corp Com New   Common Stock           23  
 
  Alliance Resource Partners LP Unit Ltd Partner Int   Common Stock           14,126  
 
  Allied Irish Banks Plc Adr   Common Stock           695  
 
  Allos Therapeutics Inc   Common Stock           16,450  
 
  Allscripts Healthcare Solutions Inc Com   Common Stock           14,464  
 
  Almaden Minerals Ltd   Common Stock           5,250  
 
  Alnylam Pharmaceuticals Inc   Common Stock           1,762  
 
  Alon USA Energy Inc Com   Common Stock           3,762  
 
  Alpha Nat Res Inc   Common Stock           4,685  
 
  Altair Nanotech Inc Com   Common Stock           880  
 
  Altria Group Inc   Common Stock           570,671  
 
  Altria Group Inc   Common Stock           67,979  
 
  Aluminum Corp China Ltd Spon Adr Repstg H Shs   Common Stock           463  
 
  Alvarion Ltd N/C From M20385106   Common Stock           1,870  
 
  Amazon.Com Inc   Common Stock           984,322  
 
  Amazon.Com Inc   Common Stock           8,744  
 
  Ambac Finl Group Inc Frmly Ambac Inc   Common Stock           4,187  
 
  Amdocs Ltd Ord   Common Stock           5,706  
 
  American Cap Agy Corp Com   Common Stock           2,654  
 
  American Cap Ltd Com   Common Stock           8,738  
 
  American Elec Pwr Co   Common Stock           17,395  
 
  American Express Co   Common Stock           7,077  
 
  American Intl Group Inc   Common Stock           54,354  
 
  American Lithium Minerals Inc Com   Common Stock           17,850  
 
  American Oriental Bioengineering Inc   Common Stock           3,260  
 
  AMerigas Partners L P Uts Rpstg Com Ltd   Common Stock           7,079  
 
  Ameriprise Finl Inc   Common Stock           621,855  
 
  Amgen Inc   Common Stock           64,603  
 
  Amr Corp Del   Common Stock           36,331  
 
  Amrep Corp New Frmly Old   Common Stock           548  
 
  Amylin Pharm Inc   Common Stock           7,592  
 
  Anadarko Pete Corp   Common Stock           3,121  
 
  Andrea Electronics Corp Frmly Andrea Radio Corp   Common Stock           47  
 
  Annaly Mortgage Management Inc   Common Stock           29,337  
 
  Antigenics Inc Del   Common Stock           80  
 
  AOL Inc   Common Stock           119,284  
 
  AOL Inc Com   Common Stock           1,024  
 
  Apache Corp   Common Stock           601,899  
 
  Apache Corp   Common Stock           11,260  
 
  Apollo Group Inc   Common Stock           1,162,116  
 
  Apollo Group Inc   Common Stock           3,635  
 
  Apollo Invt Corp Com Sh Ben Int   Common Stock           18,995  
 
  Apple Computer Inc   Common Stock           1,322,765  
 
  Apple Inc   Common Stock           8,524,653  
 
  Applied Materials Inc   Common Stock           7,109  
 
  Applied Micro Circuits Corp Com New   Common Stock           134  
 
  Aqua America Inc   Common Stock           1,915  

17


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Aradigm Corp Com New   Common Stock           501  
 
  Arcelormittal Sa Luxembour   Common Stock           257,860  
 
  Arch Coal Inc   Common Stock           2,284  
 
  Archer Daniels Midland   Common Stock           23,369  
 
  Archer Daniels Midland Co   Common Stock           897,841  
 
  Arena Pharmaceuticals Inc   Common Stock           7,313  
 
  Ariad Pharmaceutical Inc   Common Stock           10,385  
 
  Artificial Life Inc   Common Stock           950  
 
  Asianinfo Hldgs Inc   Common Stock           3,045  
 
  Assurant Inc   Common Stock           2,955  
 
  Assured Guaranty Ltd Shs   Common Stock           29,051  
 
  Astrazeneca Plc- Spons Adr   Common Stock           2,112  
 
  AT&T Inc Com   Common Stock           62,052  
 
  AT&T Inc   Common Stock           2,771,671  
 
  ATP Oil & Gas Corp   Common Stock           219,360  
 
  Atsi Communications Inc Com New   Common Stock           50  
 
  Atwood Oceanics Inc   Common Stock           3,585  
 
  Audiocodes Ltd   Common Stock           506  
 
  Aurizon Mines Ltd   Common Stock           9,000  
 
  Autodesk Inc   Common Stock           788  
 
  Automatic Data Processing Inc   Common Stock           22,744  
 
  Avanir Pharmaceuticals Cl A New   Common Stock           361  
 
  Avi Biopharma Inc   Common Stock           438  
 
  Avis Budget Group Inc Common   Common Stock           656  
 
  Backweb Technologies Ltd   Common Stock           132  
 
  Baidu Com Inc Spon Adr Restg Ord Shs Cl A   Common Stock           63,741  
 
  Baker Hughes Inc   Common Stock           1,156,796  
 
  Banco Santander Sa Adr   Common Stock           5,031  
 
  Bank Fla Corp Naples Com   Common Stock           34,901  
 
  Bank New York Mellon Corp   Common Stock           5,630  
*
  Bank of America Corp   Common Stock           628,979  
*
  Bank of America Corp   Common Stock           1,155,594  
*
  Bank of America Corp   Common Stock           836,912  
*
  Bank of America Corp   Common Stock           1,005,188  
 
  Bard C R Inc   Common Stock           62,320  
 
  Barnes and Noble Inc   Common Stock           954  
*
  Baxter Intl Inc   Common Stock           171,740,440  
*
  Baxter Intl Inc   Common Stock           372,418  
 
  Bayer Ag Sponsored Adr   Common Stock           20,736  
 
  BB&T Corp   Common Stock           529,324  
 
  Beacon Pwr Corp Com   Common Stock           8,910  
 
  Beazer Homes USA Inc   Common Stock           7,260  
 
  Benchmark Electrs Inc Com   Common Stock           2,269  
 
  Berkshire Hathaway Inc Del CL A   Common Stock           297,600  
 
  Berkshire Hathaway Inc Del CL B   Common Stock           256,308  
 
  Berkshire Hathaway Inc Del   Common Stock           980,912  
 
  Best Buy Inc   Common Stock           21,049  
 
  BHP Billiton Ltd Spon Adr   Common Stock           107,212  
 
  Bio Key Intl Inc   Common Stock           1,185  

18


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Bioelectronics Corp   Common Stock           12,188  
 
  Biogen Idec Inc   Common Stock           26,750  
 
  Biomedical Technology Solutions Hldgs Inc Com   Common Stock           43  
 
  Biomerica Inc   Common Stock           5,740  
 
  Bionovo Inc   Common Stock           3,951  
 
  Biosante Pharmaceuticals Inc Com New   Common Stock           194  
 
  Bizauctions Inc Com   Common Stock           250  
 
  Black Box Corp   Common Stock           1,417  
 
  Black Hills Corp   Common Stock           2,929  
 
  Blackrock Divid Achievers Tm Tr Com   Common Stock           9,420  
 
  Blackrock Energy & Res Tr Com   Common Stock           12,815  
 
  Blackrock Intl Growth & Income Tr Com   Common Stock           11,560  
 
  Blackstone Group LP Com Unit Repstg   Common Stock           47,157  
 
  Blackstone Group LP   Common Stock           2,213,255  
 
  Blavod Extreme Spirits Ord   Common Stock           178  
 
  Block (H&R) Inc   Common Stock           10,661  
 
  Blockbuster Inc Cl A   Common Stock           101  
 
  Boeing Co   Common Stock           37,512  
 
  Bombardier Inc Class B   Common Stock           9,157  
 
  Boston Scientific   Common Stock           3,600  
 
  Boston Scientific Corp   Common Stock           1,035,001  
 
  BP Amoco Plc Spon Adr   Common Stock           52,164  
 
  Breitburn Energy Partners LP Com Unit Ltd   Common Stock           10,590  
 
  Brigham Expl Co   Common Stock           27,100  
 
  Bristol Myers Squibb   Common Stock           35,487  
 
  Broadcom Corp   Common Stock           876,977  
 
  Broadcom Corp Cl A   Common Stock           18,253  
 
  Broadridge Financial Solutions LLC   Common Stock           1,692  
 
  Brookfield Asset Mgmt Inc Com Voting Shs Cl A   Common Stock           72,085  
 
  Brookfield Homes Corp   Common Stock           16  
 
  Brookfield Infrastructure Partners LP Partnership   Common Stock           2,126  
 
  BT Group Plc Adr   Common Stock           3,691  
 
  Buffalo Wild Wings Inc   Common Stock           12,766  
 
  Bunge Limited   Common Stock           915,190  
 
  Burger King Hldgs Inc Com   Common Stock           4,705  
 
  Burlington Northern Santa Fe Corp   Common Stock           6,429  
 
  CSX Corp   Common Stock           2,904  
 
  Cadence Pharmaceuticals Inc Com   Common Stock           150,562  
 
  Calamp Corp N/C From 129900106   Common Stock           110,132  
 
  Calavo Growers Inc   Common Stock           8,500  
 
  Calpine Corp Com New   Common Stock           14,850  
 
  Cameco Corp   Common Stock           1,609  
 
  Cameron Intl Corp   Common Stock           1,797,977  
 
  Cameron Intl Corp Com   Common Stock           3,260  
 
  Canadian Natural Resources Ltd   Common Stock           7,195  
 
  Canadian Solar Inc Com   Common Stock           432  
 
  Cano Petroleum Inc   Common Stock           1,960  
 
  Capitalsource Inc   Common Stock           9,664  
 
  Capitol Bancorp Ltd   Common Stock           1,459  

19


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Capstead Mtg Corp Com No Par   Common Stock           13,650  
 
  Capstone Turbine Corp   Common Stock           9,472  
 
  Cardiac Science Corp   Common Stock           67  
 
  Cardinal Health Inc   Common Stock           4,730,221  
 
  Cardinal Health Inc   Common Stock           139,567  
 
  Carefusion Corp Com   Common Stock           61,625  
 
  Caribou Coffee Inc Com   Common Stock           772  
 
  Carmax Inc   Common Stock           4,850  
 
  Carnival Corp   Common Stock           551,510  
 
  Carnival Corp Paired Ctf 1 Com Carnival Corp   Common Stock           9,507  
 
  Castle Brands Inc Com   Common Stock           136  
 
  Caterpillar Inc   Common Stock           338,118  
 
  Caterpillar Inc   Common Stock           99,882  
 
  CBIZ Inc Com   Common Stock           9,240  
 
  CBS Corp New   Common Stock           614,069  
 
  CDC Corporation Shs A   Common Stock           11,150  
 
  Celgene Corp   Common Stock           1,321,384  
 
  Celgene Corp   Common Stock           34,466  
 
  Cell Therapeutics Inc Com No Par   Common Stock           52,161  
 
  Cellcom Israel Ltd Shs   Common Stock           11,062  
 
  Cemex S A Spons Adr New Rep Ord   Common Stock           14,330  
 
  Cenovus Energy Inc Com Npv   Common Stock           13,860  
 
  Central Fd Cda Cl A   Common Stock           24,804  
 
  Centurytel Inc   Common Stock           3,186  
 
  Ceragon Networks Ltd Reg Shs   Common Stock           1,761  
 
  Cereplast Inc Com   Common Stock           2,400  
 
  Cerus Corp   Common Stock           2,587  
 
  Champion Enterprises Inc Com   Common Stock           2,860  
 
  Charter Comm Inc Del Cl A   Common Stock           1,816  
 
  Cheniere Energy Inc New   Common Stock           7,260  
 
  Chesapeake Energy Corporation Oklahoma   Common Stock           433,132  
 
  Chevron Corp   Common Stock           593,810  
 
  Chevron Corp New   Common Stock           47,184  
 
  China Automotive Sys Inc   Common Stock           1,497  
 
  China Biologic Prods Inc   Common Stock           80,332  
 
  China Biotics Inc Com   Common Stock           15,470  
 
  China Direct Inc Com New   Common Stock           131  
 
  China Fin Online Co Ltd Sponsored Adr   Common Stock           7,950  
 
  China Fire & Sec Group Inc   Common Stock           2,706  
 
  China Life Ins Co Ltd Spon Adr Repstg H Shs   Common Stock           7,335  
 
  China Mobile Ltd Spons Adr   Common Stock           4,643  
 
  China Precision Stl Inc   Common Stock           4,100  
 
  China Pwr Equip Inc Com   Common Stock           32,400  
 
  China Sunergy Co Ltd Sponsored Adr   Common Stock           185  
 
  China Yuchai International Ltd   Common Stock           44,220  
 
  Chipotle Mexican Grill Inc   Common Stock           9,521  
 
  Church & Dwight Inc   Common Stock           6,114  
 
  Churchill Downs Inc   Common Stock           3,784  
 
  Ciena Corp Com New Delaware   Common Stock           22  

20


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Cimarex Energy Co   Common Stock           691,389  
 
  Cintas Corp   Common Stock           2,086  
 
  Circuit City Stores Inc   Common Stock           6  
 
  Cisco Sys Inc   Common Stock           2,113,947  
 
  Cisco Sys Inc   Common Stock           173,493  
 
  Citadel Broadcasting Corp   Common Stock           2  
 
  Citigroup Inc   Common Stock           1,155,698  
 
  Citigroup Inc   Common Stock           270,509  
 
  Citizens Republic Bancorp Inc   Common Stock           821  
 
  City Bank Lynnwood Wash   Common Stock           348  
 
  CME Group Inc   Common Stock           1,391,897  
 
  CME Group Inc   Common Stock           34,319  
 
  Cninsure Inc Ads Each Repr 20 Ord Shs   Common Stock           10,040  
 
  Coca Cola Co   Common Stock           839,807  
 
  Coca Cola Co   Common Stock           28,333  
 
  Coeur D Alene Mines Corp Com Stk   Common Stock           9,933  
 
  Cogent Inc   Common Stock           520  
 
  Cognizant Technology Solutions Inc   Common Stock           18,132  
 
  Coinstar Inc   Common Stock           27,780  
 
  Coldwater Creek Inc   Common Stock           892  
 
  Colfax Corp Com   Common Stock           9,632  
 
  Collective Brands Inc   Common Stock           33,017  
 
  Colonial Bancgroup   Common Stock           20  
 
  Columbia Laboratories Inc   Common Stock           648  
 
  Comcast Corp New   Common Stock           1,162,007  
 
  Comcast Corp New   Common Stock           1,220,358  
 
  Comcast Corp New Cl A   Common Stock           4,215  
 
  Commtouch Software Limited Shs New   Common Stock           1,510  
 
  Compass Minerals Intl Inc   Common Stock           7,600  
 
  Conexant Sys Inc Com New   Common Stock           603  
 
  ConocoPhillips   Common Stock           2,605,758  
 
  ConocoPhillips   Common Stock           1,065,533  
 
  ConocoPhillips   Common Stock           33,264  
 
  Consol Energy Inc   Common Stock           1,268  
 
  Consolidated Edison Hldg Co Inc   Common Stock           27,258  
 
  Constellation Brands Inc   Common Stock           333,941  
 
  Constellation Energy Group   Common Stock           1,442  
 
  Constellation Energy Partners LLC Com Unit   Common Stock           15,320  
 
  Cooper Industries Plc   Common Stock           1,880,488  
 
  Copernic Inc Com New   Common Stock           27  
 
  Corning Inc   Common Stock           591,919  
 
  Corning Inc   Common Stock           17,181  
 
  Corporate Executive Brd Co   Common Stock           1,278  
 
  Cortex Pharmaceuticals Inc   Common Stock           1,040  
 
  Costco Wholesale Corp   Common Stock           33,716  
 
  Costco Whsl Corp New   Common Stock           2,018,549  
 
  Covidien Plc   Common Stock           1,221,752  
 
  Covidien Plc Shs   Common Stock           1,054  
 
  Cowen Group Inc New Cl A   Common Stock           947  

21


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Credit Suisse Group   Common Stock           831,240  
 
  Cree Inc   Common Stock           11,274  
 
  Crocs Inc Com   Common Stock           5,434  
 
  Cross Timbers Royalty Trust   Common Stock           506  
 
  Cryolife Inc   Common Stock           26,527  
 
  Cryptologic Limited Shs   Common Stock           736  
 
  CVR Energy Inc Com   Common Stock           2,744  
 
  CVS Corp Del   Common Stock           111,400  
 
  Cytori Therapeutics Inc Com   Common Stock           6,100  
 
  Cytrx Corp   Common Stock           7,840  
 
  D R Horton Inc   Common Stock           265,488  
 
  DaimlerChrysler Ag Ord   Common Stock           1,426  
 
  Danaher Corp   Common Stock           2,253,092  
 
  Danaher Corp   Common Stock           752  
 
  Datalink Corp   Common Stock           909  
 
  Daystar Technologies Inc   Common Stock           41  
 
  Dean Foods Co New   Common Stock           276,495  
 
  Deckers Outdoor   Common Stock           15,258  
 
  Deere & Co   Common Stock           24,878  
 
  Delek Us Hldgs Inc   Common Stock           6,810  
 
  Dell Inc   Common Stock           1,174,298  
 
  Dell Inc N/C From 247025109   Common Stock           2,369  
 
  Dendreon Corp   Common Stock           70,273  
 
  Denison Mines Corp Com   Common Stock           6,350  
 
  Deutsche Bank Ag   Common Stock           953,597  
 
  Devon Energy Corporation N   Common Stock           1,911,444  
 
  Devon Energy Corporation N   Common Stock           1,417,230  
 
  Devry Inc   Common Stock           2,841  
 
  Diamond Offshore Drilling Inc   Common Stock           1,476  
 
  Diana Shipping Inc   Common Stock           28,448  
 
  Digi Intl Inc   Common Stock           593  
 
  Digital Angel Corp New Com New   Common Stock           342  
 
  Digital Lightwave Inc   Common Stock           213  
 
  Discover Finl Svcs   Common Stock           4,634  
 
  Discovery Lab Inc   Common Stock           365  
 
  Disney Walt Co Del (Holding Company)   Common Stock           68,518  
 
  Dolby Laboratories Inc Cl A   Common Stock           7,160  
 
  Dominion Resources Inc Va New   Common Stock           11,806  
 
  Doral Finl Corp Com New   Common Stock           182  
 
  Dow Chemical Co   Common Stock           58,081  
 
  Downey Finl Corp   Common Stock           60  
 
  Drdgold Ltd Sponsored Adr Repstg 10 Shs   Common Stock           684  
 
  Drugstore.Com Inc   Common Stock           2,318  
 
  Dryships Inc   Common Stock           31,726  
 
  Du Pont E I De Nemours & Co   Common Stock           54,110  
 
  Du Pont E I De Nemours & Co   Common Stock           1,491,556  
 
  Duke Energy Corp New Com   Common Stock           105,965  
 
  Duke Realty Corp   Common Stock           2,457  
 
  Dynamic Materials Corp   Common Stock           702  

22


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Dynegy Inc Del Cl A   Common Stock           226  
 
  E Trade Group Inc.   Common Stock           20,460  
 
  Eagle Bulk Shipping Inc   Common Stock           2,007  
 
  Eagle Rock Energy Partners L P Unit Ltd Partn.   Common Stock           17,635  
 
  Eastman Kodak Co   Common Stock           11,394  
 
  EBay Inc   Common Stock           86,449  
 
  Eclipsys Corp   Common Stock           1,519  
 
  Ecolocap Solutions Inc Com   Common Stock           301  
 
  Ecosystem Corp Com New   Common Stock           39  
 
  Edge Pete Corp   Common Stock           2  
 
  Edwards Lifesciences Corp   Common Stock           13,739,485  
 
  Edwards Lifesciences Corp   Common Stock           3,300  
 
  El Paso Corp   Common Stock           1,235,428  
 
  El Paso Corp   Common Stock           295  
 
  Elan Corp Plc Adr   Common Stock           11,866  
 
  Eldorado Gold Corp New (Canada)   Common Stock           14,170  
 
  Electronic Arts Inc   Common Stock           6,213  
 
  Electronic Game Card Inc   Common Stock           37,120  
 
  Electronics For Imaging Inc   Common Stock           12,970  
 
  EMC Corp   Common Stock           2,304,450  
 
  EMC Corp Mass   Common Stock           14,937  
 
  Emcore Corp   Common Stock           6,206  
 
  Emergent Biosolutions Inc Com   Common Stock           4,077  
 
  Emerson Electric Co   Common Stock           6,849  
 
  Emulex Corp Com New   Common Stock           1,254  
 
  Enbridge Energy Partners LP   Common Stock           2,685  
 
  Enbridge Inc   Common Stock           2,311  
 
  Encana Corp   Common Stock           17,826  
 
  Energy Conversion Devices Inc   Common Stock           12,790  
 
  Energy Transfer Partners LP Ut   Common Stock           59,628  
 
  Energysolutions Inc Depositary Sh   Common Stock           849  
 
  Enerplus Res Fd Tr Unit Ser G New   Common Stock           3,538  
 
  Ensco International Spon A   Common Stock           280,404  
 
  Enterprise Gp Hldgs LP Unit   Common Stock           3,118  
 
  Enterprise Products Pptns LP   Common Stock           92,203  
 
  Entravision Communications Corp Cl A   Common Stock           510  
 
  Entremed Inc   Common Stock           332  
 
  Enzon Pharmaceuticals Inc   Common Stock           6,318  
 
  Epix Pharmaceuticals Inc Com New   Common Stock           48  
 
  EQT Corp   Common Stock           1,024,927  
 
  European Goldfields Com Stk Npv   Common Stock           1,647  
 
  EV3 Inc   Common Stock           60,030  
 
  Evergreen Solar Inc   Common Stock           2,099  
 
  Evermedia Group Inc Com   Common Stock           3,200  
 
  Exelixis Inc   Common Stock           14,290  
 
  Exelon Corp   Common Stock           1,353,066  
 
  Exelon Corp   Common Stock           51,907  
 
  Exeter Resource Corp   Common Stock           28,400  
 
  Expedia Inc Del Com   Common Stock           1,621  

23


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Extra Space Storage Inc   Common Stock           2,439  
 
  Exxon Mobil Corp   Common Stock           90,718  
 
  Facet Biotech Corp Com   Common Stock           70  
 
  Family Dollar Stores Inc   Common Stock           1,404  
 
  Fastenal Co   Common Stock           3,123  
 
  Federal Natl Mtg Assn   Common Stock           38,864  
 
  FedEx Corp   Common Stock           1,320,276  
 
  FedEx Corp   Common Stock           12,518  
 
  Fieldpoint Petroleum Corp   Common Stock           234  
 
  Finisar Corp Com New   Common Stock           2,230  
 
  First American Corp   Common Stock           1,656  
 
  First Marblehead Corp   Common Stock           852  
 
  First Regl Bancorp Inc Calif   Common Stock           7,220  
 
  First Solar Inc Com   Common Stock           8,801  
 
  Firstenergy Corp   Common Stock           1,191  
 
  Flagstar Bancorp Inc   Common Stock           336  
 
  Flextronics International   Common Stock           1,034,369  
 
  Flextronics International   Common Stock           10,965  
 
  Flir Sys Inc   Common Stock           19,769  
 
  Fluor Corp New   Common Stock           1,139  
 
  Focus Media Hldg Ltd Sponsored Adr   Common Stock           9,669  
 
  Food Technology Svc Inc   Common Stock           865  
 
  Forbes Medi Tech Inc New Com   Common Stock           2  
 
  Ford Mtr Co Del   Common Stock           629,880  
 
  Ford Mtr Co Del Com   Common Stock           118,350  
 
  Fortress Invt Group Llc Del Cl A Delaware   Common Stock           1,113  
 
  Fortune Brands Inc   Common Stock           2,808  
 
  Forward Inds II   Common Stock           210  
 
  Foster Wheeler Ag Com   Common Stock           14,720  
 
  FPL Group Inc   Common Stock           14,029  
 
  Franklin Res Inc   Common Stock           2,586,082  
 
  Franklin Res Inc   Common Stock           5,525  
 
  Freddie Mac   Common Stock           25,652  
 
  Freeport Mcmoran Copper   Common Stock           2,492,927  
 
  Freeport Mcmoran Copper & Gold Inc.   Common Stock           184,390  
 
  Freeseas Inc Com   Common Stock           6,800  
 
  Fresenius Kabi Pharmaceuticals Hldg Inc Rt   Common Stock           1,500  
 
  Fronteer Dev Group Inc (Canada)   Common Stock           7,860  
 
  Frontier Finl Corp Wash Com New   Common Stock           351  
 
  Frontier Oil Corp   Common Stock           9,632  
 
  Fuel Sys Solutions Inc Com   Common Stock           5,155  
 
  Fuel Tech Inc Com   Common Stock           637  
 
  Fundtech Ltd   Common Stock           2,000  
 
  Gafisa S A Sponsored Adr   Common Stock           6,472  
 
  Gamestop Corp New Cl A   Common Stock           3,291  
 
  Gaming Partners Intl Corp   Common Stock           1,403  
 
  Garmin Ltd   Common Stock           282,319  
 
  Garmin Ltd Reg Shs   Common Stock           4,395  
 
  Geeknet Inc Com N/C   Common Stock           2,654  

24


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  General Dynamics Corp   Common Stock           3,409  
 
  General Elec Co   Common Stock           1,333,015  
 
  General Electric Co   Common Stock           331,142  
 
  General Growth Pptys Inc   Common Stock           11,560  
 
  General Mills Inc   Common Stock           63,729  
 
  General Steel Hldgs Inc   Common Stock           3,969  
 
  Generex Biotechnology Corp   Common Stock           6,360  
 
  Genetic Technologies Ltd Spons Adr   Common Stock           12  
 
  Genoptix Inc Com   Common Stock           17,765  
 
  Genzyme Corp   Common Stock           1,172,786  
 
  Geopharma Inc   Common Stock           437  
 
  Geron Corp   Common Stock           1,110  
 
  Giant Interactive Group Inc Adr   Common Stock           1,435  
 
  Gigamedia Ltd   Common Stock           11,772  
 
  Gilead Sciences Inc   Common Stock           3,954,374  
 
  Gilead Sciences Inc   Common Stock           73,170  
 
  Gladstone Cap Corp   Common Stock           3,896  
 
  Glaxosmithkline Plc Sponsored Adr   Common Stock           6,338  
 
  GMX Res Inc   Common Stock           2,748  
 
  Goldcorp Inc New   Common Stock           47,998  
 
  Golden Queen Mining Com Stk Npv   Common Stock           1,374  
 
  Golden Star Res Ltd Cda Com   Common Stock           437  
 
  Goldman Sachs Group Inc   Common Stock           7,527,070  
 
  Goldman Sachs Group Inc   Common Stock           1,919,958  
 
  Goldman Sachs Group Inc   Common Stock           36,710  
 
  Google Inc   Common Stock           8,634,815  
 
  Google Inc Cl A   Common Stock           118,416  
 
  Gran Tierra Energy Inc Com   Common Stock           573  
 
  Grand Pacaraima Gold Corp   Common Stock           1  
 
  Great Wolf Resorts Inc   Common Stock           237  
 
  Green Earth Technologies Inc   Common Stock           9,125  
 
  Greenhunter Energy Inc Com   Common Stock           1,150  
 
  GSI Technology Inc   Common Stock           2,240  
 
  GTC Biotherapeutics Inc Com New   Common Stock           1,483  
 
  Guess? Inc   Common Stock           1,523  
 
  H & Q Healthcare Fd Sh Ben Int   Common Stock           6,523  
 
  Halliburton Co Holding Co   Common Stock           15,802  
 
  Halozyme Therapeutics Inc   Common Stock           115,416  
 
  Hancock Holding Co   Common Stock           43,810  
 
  Hansen Natural Corp   Common Stock           2,842  
 
  Harley Davidson Inc Wisc   Common Stock           2,520  
 
  Hartford Finl Svcs Group Inc   Common Stock           3,146  
 
  Hasbro Inc   Common Stock           25,548  
 
  HCP Inc Com   Common Stock           11,598  
 
  Headwaters Inc   Common Stock           8,150  
 
  Healthwarehouse.Com Com N/C   Common Stock           45  
 
  Helicos Biosciences Corp   Common Stock           2,060  
 
  Helix Energy Solutions Group Inc   Common Stock           294  
 
  Hellenic Telecomm Org Adr Reprstg 1/2 Ord Shs   Common Stock           644  

25


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Henry Jack & Associates Inc   Common Stock           4,304  
 
  Hercules Offshore Inc Com   Common Stock           502  
 
  Hess Corp   Common Stock           1,609,260  
 
  Hess Corp Com   Common Stock           2,803  
 
  Hewlett Packard Co   Common Stock           4,549,958  
 
  Hewlett-Packard Co De   Common Stock           69,609  
 
  Hollis-Eden Pharma Inc   Common Stock           37  
 
  Holly Corp Par $0.01   Common Stock           3,845  
 
  Hologic Inc   Common Stock           2,320  
 
  Home Depot Inc   Common Stock           503,477  
 
  Home Depot Inc   Common Stock           172,035  
 
  Home Inns & Hotels Mgmt Inc Sponsored Adr   Common Stock           22,978  
 
  Home Solutions Amer Inc   Common Stock           2  
 
  Honda Motors Ltd Adr New   Common Stock           2,644  
 
  Honeywell International Inc   Common Stock           24,114  
 
  Hospira Inc   Common Stock           15,504  
 
  Hot Topic Inc   Common Stock           3,175  
 
  Hovnanian Enterprise Inc Cl A   Common Stock           11,520  
 
  HSBC Holdings Plc Spons Adr   Common Stock           34,689  
 
  HSN Inc Del Com   Common Stock           242  
 
  Huaneng Power Intl Inc - Adr   Common Stock           12,510  
 
  Hugoton Rty Tr Tex Unit Ben Int   Common Stock           113  
 
  Human Genome Sciences Inc   Common Stock           19,265  
 
  Huntington Bancshares Inc Com   Common Stock           5,475  
 
  Huntsman Corp   Common Stock           260,117  
 
  Hydrogenics Corporation New Com Npv   Common Stock           670  
 
  IAC / Interactivecrp Com Par $.001   Common Stock           635  
 
  Iamgold Corp   Common Stock           5,161  
 
  Icad Inc   Common Stock           9,751  
 
  Icon Plc Corp Adr Reprstg 1 Ord Shr   Common Stock           9,561  
 
  Idearc Inc Com Delaware   Common Stock           21  
 
  Igo Inc Com N/C   Common Stock           62  
 
  Illinois Tool Wks Inc   Common Stock           3,383,443  
 
  Illinois Tool Works   Common Stock           1,512  
 
  Illumina Inc   Common Stock           18,408  
 
  Imaging3 Inc Com   Common Stock           93,323  
 
  Imation Corp   Common Stock           872  
 
  Immunomedics Inc   Common Stock           9,630  
 
  Ncyte Genomics Inc   Common Stock           50,059  
 
  Indevus Pharmaceuticals Inc Escrow   Common Stock            
 
  India Fd Inc   Common Stock           15,350  
 
  India Globalization Cap Inc   Common Stock           37,398  
 
  Indymac Bancorp Inc   Common Stock           17  
 
  Nergy LP   Common Stock           7,136  
 
  Infinera Corp   Common Stock           22,947  
 
  Infosys Technologies Limited Adr   Common Stock           2,764  
 
  Ingersoll Rand Plc   Common Stock           671,470  
 
  Ingersoll Rand Plc   Common Stock           1,148,567  
 
  Innodata Corp   Common Stock           914  

26


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Inplay Technologies Inc Com   Common Stock           1  
 
  Insmed Inc Com New   Common Stock           1,913  
 
  Integrated Device Tech Inc   Common Stock           1,488  
 
  Intel Corp   Common Stock           5,014,756  
 
  Intel Corp   Common Stock           128,226  
 
  Intercontinentalexch Intl   Common Stock           5,390  
 
  International Coal Group Inc New   Common Stock           3,860  
 
  International Game Technology   Common Stock           1,314  
 
  Internet Cap Group Inc Com New   Common Stock           499  
 
  Interoil Corp   Common Stock           4,609  
 
  Interval Leisure Group Inc Com   Common Stock           150  
 
  Intl Business Mach   Common Stock           25,559  
 
  Intl Fuel Tech Inc New   Common Stock           900  
 
  Intl Speedway Cl A   Common Stock           1,138  
 
  Intuit   Common Stock           1,305,770  
 
  Intuitive Surgical Inc Com New   Common Stock           3,034  
 
  Inventiv Health Inc Com   Common Stock           1,617  
 
  Invesco Ltd   Common Stock           1,310,028  
 
  Invo Bioscience Inc Com   Common Stock           450  
 
  Iowa Telecommunication Svcs Inc   Common Stock           2,293  
 
  Ipg Photonics Corp Com   Common Stock           11,443  
 
  Irvine Sensors Corp Com Par $     Common Stock           42  
 
  Ivanhoe Energy Com   Common Stock           2,288  
 
  JC Penney Inc   Common Stock           594,664  
 
  J P Morgan Chase & Co   Common Stock           46,882  
 
  JA Solar Hldgs Co Ltd Sponsored Adr   Common Stock           6,452  
 
  Jabil Circuit Inc   Common Stock           19,500  
 
  Jakks Pacific Inc   Common Stock           1,212  
 
  JDS Uniphase Corp Com Par $0.001   Common Stock           17,012  
 
  Jensen Portfolio, Inc.   Common stock           64,581  
 
  Jetblue Awys Corp   Common Stock           9,946  
 
  John Bean Technologies Corp Com   Common Stock           367  
 
  Johnson & Johnson   Common Stock           127,893  
 
  Johnson Ctls Inc   Common Stock           2,047,101  
 
  Johnson Ctls Inc   Common Stock           4,086  
 
  Jones Lang LaSalle Inc   Common Stock           551  
 
  Joy Global Inc   Common Stock           3,868  
 
  JP Morgan Chase & Co   Common Stock           6,305,281  
 
  JP Morgan Chase & Co   Common Stock           1,260,850  
 
  Juniper Networks Inc   Common Stock           4,534  
 
  K V Pharmaceutical Co Cl A   Common Stock           9,175  
 
  KB Home Com N/C   Common Stock           6,205  
 
  Keegan Res Inc   Common Stock           12,640  
 
  Kellogg Company   Common Stock           4,050  
 
  Keryx Biopharmaceuticals Inc   Common Stock           2,750  
 
  Keycorp New   Common Stock           5,550  
 
  KHD Humboldt Wedag Intl Ltd Com   Common Stock           5,158  
 
  Kimberly Clark Corp   Common Stock           12,742  
 
  Kinder Morgan Energy Partners LP   Common Stock           148,582  

27


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Kinder Morgan Mgmt Llc Shs   Common Stock           5,027  
 
  King Pharmaceuticals Inc   Common Stock           3,632  
 
  Kinross Gold Corp New Com No Par   Common Stock           33,120  
 
  Kla Tencor Corp   Common Stock           1,255,030  
 
  Knightsbridge Tank Com Usd0.01   Common Stock           12,862  
 
  Kobex Minerals Inc Com   Common Stock           395  
 
  Kohl’s Corp   Common Stock           2,533,043  
 
  Kohl’s Corp   Common Stock           53,930  
 
  Kraft Foods Inc Cl A   Common Stock           22,323  
 
  Krispy Kreme Doughnuts Inc   Common Stock           3,245  
 
  Kronos Worldwide Inc   Common Stock           34  
 
  L-3 Communications Hldgs Inc   Common Stock           42,762  
 
  Labopharm Inc Com Npv   Common Stock           811  
 
  Laboratory Corp Of America Hldgs New   Common Stock           22,452  
 
  Ladish Company Inc New   Common Stock           903  
 
  Lam Resh Corp   Common Stock           519,541  
 
  Las Vegas Sands Corp   Common Stock           22,410  
 
  Law Enforcement Associates Corp   Common Stock           384  
 
  LDK Solar Co Ltd Sponsored Adr   Common Stock           7,353  
 
  Legacy Resvs LP Unit Limited Partnership Int   Common Stock           1,967  
 
  Legg Mason   Common Stock           18,729  
 
  Lehman Bros Hldgs Corp   Common Stock           185  
 
  Lennox Intl Inc   Common Stock           9,760  
 
  Level 3 Communications Inc   Common Stock           1,209  
 
  Liberator Med Hldgs Inc   Common Stock           36,923  
 
  Life Technologies Corp Com   Common Stock           82,925  
 
  Lifeline Biotechnologies Inc Com Par   Common Stock           1,720  
 
  Lilly Eli & Co   Common Stock           2,143  
 
  Limited Brands Inc   Common Stock           416,646  
 
  Lincoln Electric Holdings   Common Stock           19,192  
 
  Linear Technology Corp   Common Stock           3,169  
 
  Linn Energy LLC Unit Repstg Ltd Liability Co   Common Stock           83,640  
 
  Linux Gold Corp   Common Stock           65  
 
  Lowes Companies   Common Stock           29,916  
 
  Lowes Cos Inc   Common Stock           677,667  
 
  LSI Logic Corp   Common Stock           1,593  
 
  Lundin Mng Corp   Common Stock           345  
 
  M T R Gaming Group Inc   Common Stock           1,300  
 
  Macy’s Inc   Common Stock           519,968  
 
  Madeco SA Adr Each Repr 100 Shs   Common Stock           1,538  
 
  Maguire Pptys Inc   Common Stock           15,160  
 
  Mahanagar Tel Nigam Ltd Spon Adr   Common Stock           608  
 
  Mandalay Media Inc Com   Common Stock           10  
 
  Manhattan Pharmaceuticals Inc Com New   Common Stock           188  
 
  Manitowoc Inc   Common Stock           1,894  
 
  Marathon Oil Corp   Common Stock           22,556  
 
  Markel Corp Hldg Co   Common Stock           27,540  
 
  Marsh & Mclennan Cos Inc   Common Stock           1,172,443  
 
  Masco Corp   Common Stock           323,639  

28


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Massey Energy Co   Common Stock           8,402  
 
  Massmutual Partn Invs   Common Stock           24,400  
 
  Mastercard Inc Cl A   Common Stock           28,190  
 
  McDonalds Corp   Common Stock           481,588  
 
  McDonalds Corp   Common Stock           78,524  
 
  McMoran Exploration Co   Common Stock           1,604  
 
  Medasorb Technologies Corp Com   Common Stock           1,425  
 
  Medclean Technologies Inc Com   Common Stock           1,500  
 
  Medco Health Solutions Inc   Common Stock           954,255  
 
  Medtronic Inc   Common Stock           9,227  
 
  Melco Pbl Entmnt Ltd Adr   Common Stock           3,293  
 
  Merck & Co Inc New Com   Common Stock           90,867  
 
  Merck & Co Inc New   Common Stock           2,248,397  
 
  Meridian Resource Corp   Common Stock           172  
 
  Metalico Inc   Common Stock           2,893  
 
  Metlife Inc   Common Stock           283,135  
 
  Metlife Inc Com   Common Stock           177,104  
 
  MFRI Inc   Common Stock           1,088  
 
  MGIC Invst Corp Wis Com   Common Stock           7,235  
 
  MGM Mirage   Common Stock           638  
 
  MGP Ingredients Inc   Common Stock           1,148  
 
  Microsoft Corp   Common Stock           2,469,220  
 
  Microsoft Corp   Common Stock           1,326,565  
 
  Microsoft Corp   Common Stock           59,917  
 
  Microvision Inc Wash   Common Stock           84,005  
 
  Miller Herman Inc   Common Stock           1,599  
 
  Mindray Med Intl Ltd Sponsored Adr Repstg Cl A   Common Stock           2,307  
 
  Mindspeed Technologiesinc Com New   Common Stock           28  
 
  Minefinders Ltd Corp   Common Stock           10,300  
 
  Mitcham Inds Inc   Common Stock           383  
 
  MKS Instruments Inc   Common Stock           1,740  
 
  Monsanto Co New   Common Stock           1,063  
 
  Morgan Stanley   Common Stock           831,244  
 
  Morgan Stanley   Common Stock           998,078  
 
  Morgan Stanley Dean Witter & Co   Common Stock           39,960  
 
  Morningstar Inc   Common Stock           6,284  
 
  Motorola Inc   Common Stock           858,638  
 
  Motorola Inc   Common Stock           54,535  
 
  Motors Liq Co Com   Common Stock           1,601  
 
  Multiband Corp Com New   Common Stock           400  
 
  MVC Cap Inc   Common Stock           506  
 
  Myriad Genetics Inc   Common Stock           574  
 
  Nalco Hldg Co   Common Stock           5,740  
 
  Nanogen Inc   Common Stock           60  
 
  Nanosphere Inc   Common Stock           483  
 
  National Oilwell Varco Inc   Common Stock           8,633  
 
  Nationwide Health Pptys Inc   Common Stock           2,760  
 
  Navios Maritime Holdings Inc Com   Common Stock           5,613  
 
  Navios Maritime Partners Lp Unit Ltd Partnership   Common Stock           7,422  

29


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Neopharm Inc   Common Stock           580  
 
  Nestle SA Sponsored Adr Repstg Reg Sh Vtg   Common Stock           97  
 
  Netapp Inc Com   Common Stock           2,749  
 
  Netflix Com Inc Com   Common Stock           19,832  
 
  Netgear Inc   Common Stock           4,338  
 
  Neutral Tandem Inc Com   Common Stock           22,750  
 
  Newcastle Invt Corp   Common Stock           1,045  
 
  Newell Rubbermaid Inc   Common Stock           10,998  
 
  Newmont Mng Corp   Common Stock           1,132,105  
 
  Newmont Mng Corp Hldg Co   Common Stock           4,731  
 
  News Corp   Common Stock           1,968,278  
 
  Nexen Inc   Common Stock           570,267  
 
  Nexmed Inc Com   Common Stock           4,275  
 
  Noble Energy Inc   Common Stock           485,925  
 
  Nokia Corp   Common Stock           830,997  
 
  Nokia Corp Adr   Common Stock           7,068  
 
  Nordstrom Inc   Common Stock           13,153  
 
  Norsk Hydro A S Sponsored Adr   Common Stock           4,216  
 
  Nortel Networks Corp New Com   Common Stock           1  
 
  Northern Dynasty Minerals Ltd   Common Stock           3,304  
 
  Northgate Expl Ltd   Common Stock           10,333  
 
  Northrop Grumman Corp   Common Stock           933,315  
 
  Nova Biosource Fuels Inc Com   Common Stock           1  
 
  Novamed Eyecare Inc   Common Stock           1,164  
 
  Novartis Ag   Common Stock           1,076,433  
 
  Novartis Ag Adr   Common Stock           30,061  
 
  Novatel Wireless Inc   Common Stock           9,564  
 
  Novavax Inc   Common Stock           4,655  
 
  Novelos Therapeutics Inc   Common Stock           2,519  
 
  NPS Pharmaceuticals Inc   Common Stock           3,740  
 
  NRG Energy Inc Com New   Common Stock           9,066  
 
  Nucor Corp   Common Stock           62,978  
 
  Nutracea Com New   Common Stock           504  
 
  Nutri Sys Inc New Com   Common Stock           3,273  
 
  Nve Corp New   Common Stock           8,256  
 
  Nvidia Corp   Common Stock           36,426  
 
  NVR Inc   Common Stock           597,351  
 
  NYSE Euronext   Common Stock           6,289  
 
  Occidental Pete Corp   Common Stock           2,566,060  
 
  Ocean Power Technologies   Common Stock           9,010  
 
  Oceanfreight Inc   Common Stock           16,141  
 
  Oclaro Inc Com Isin   Common Stock           673  
 
  Office Depot Inc   Common Stock           290,833  
 
  Oilsands Quest Inc Com   Common Stock           1,547  
 
  Olympic Steel Inc   Common Stock           32,580  
 
  Omega Navigation Enterprises Inc   Common Stock           1,560  
 
  On2.Com Inc   Common Stock           18,544  
 
  Oncogenex Pharmaceuticals Inc Com   Common Stock           22,659  
 
  Oncolytics Biotech Inc   Common Stock           266,481  

30


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Oncothyreon Inc Com   Common Stock           9,147  
 
  Oneok Partners L P Unit Limited Partnership   Common Stock           228  
 
  Onyx Pharmaceuticals Inc   Common Stock           24,499  
 
  Open Jt Stk Co Vimpel Comms Spons Adr   Common Stock           30,555  
 
  Opexa Therapeutics Inc   Common Stock           570  
 
  Opnext Inc   Common Stock           950  
 
  Oracle Corp   Common Stock           618,776  
 
  Oracle Corp   Common Stock           73,148  
 
  Orchid Cellmark Inc   Common Stock           137  
 
  O'Reilly Automotive Inc   Common Stock           10,979  
 
  Otelco Inc Income Dep Secs Ids   Common Stock           1,887  
 
  Owens Ill Inc Com New   Common Stock           3,287  
 
  Oxigene Inc   Common Stock           2,280  
 
  PF Changs China Bistro Inc   Common Stock           1,327  
 
  Pacer Intl Inc Tenn Com   Common Stock           7,909  
 
  Pacific Ethanol Inc   Common Stock           142  
 
  Pacific Rim Mining Corp Com New   Common Stock           5,400  
 
  Palatin Technologies Inc   Common Stock           185  
 
  Palm Inc New Com   Common Stock           133,499  
 
  Panacos Pharmaceuticals Inc   Common Stock           4  
 
  Patterson-Uti Energy Inc   Common Stock           1,535  
 
  Paychex Inc   Common Stock           4,583  
 
  PDI Inc   Common Stock           482  
 
  PDL Biopharma Inc Com   Common Stock           151  
 
  Peabody Energy Corp   Common Stock           45,210  
 
  Pengrowth Energy Tr Unit New   Common Stock           2,318  
 
  Penn West Energy Tr Tr Unit   Common Stock           419  
 
  Pepsico Inc   Common Stock           1,028,059  
 
  Pepsico Inc   Common Stock           26,655  
 
  Perrigo Co   Common Stock           24,169  
 
  Pet Drx Corp Wt Exp   Common Stock           15  
 
  Petrochina Co Ltd Spon Adr   Common Stock           1,428  
 
  Petrohawk Energy Corp   Common Stock           93,561  
 
  Petroleo Brasileiro Sa Petrobras Spons Adr   Common Stock           133,504  
 
  Petsmart Inc   Common Stock           1,868  
 
  Pfizer Inc   Common Stock           2,644,043  
 
  Pfizer Inc   Common Stock           1,564,842  
 
  Pfizer Inc   Common Stock           101,897  
 
  Pharmos Corp Com Par $.03   Common Stock           2  
 
  Philip Morris Intl Inc Com   Common Stock           62,614  
 
  Pilgrims Pride Corp   Common Stock           85,848  
 
  Pioneer Drilling Co   Common Stock           790  
 
  Pitney Bowes Inc   Common Stock           15,932  
 
  Plum Creek Timber Co Inc   Common Stock           11,328  
 
  PMC-Sierra Inc   Common Stock           6,062  
 
  PMI Group Inc   Common Stock           11,403  
 
  PNC Finl Svcs Group   Common Stock           33,685  
 
  Point Blank Solutions Inc   Common Stock           42  
 
  Polymedix Inc Com   Common Stock           13,690  

31


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Polymet Mining Corp   Common Stock           58,939  
 
  Pop3 Media Corp   Common Stock           5  
 
  Positiveid Corp Com   Common Stock           11,550  
 
  Potash Corp Sask Inc   Common Stock           175,088  
 
  Power 3 Med Prods Inc   Common Stock           536  
 
  PPG Industries   Common Stock           23,416  
 
  Precision Castparts Corp   Common Stock           12,359  
 
  Premier Exhibitions Inc   Common Stock           43,500  
 
  Pricesmart Inc   Common Stock           3,677  
 
  Pride Intl Inc Del   Common Stock           3,191  
 
  Procter & Gamble Co   Common Stock           109,938  
 
  Progress Energy Inc   Common Stock           20,505  
 
  Prologis Trust   Common Stock           276  
 
  Prospect Energy Corp   Common Stock           1,181  
 
  Provident Energy Tr   Common Stock           4,220  
 
  Proxim Wireless Corp Com   Common Stock           780  
 
  Psivida Corp Com   Common Stock           7,180  
 
  PT Telekomunikasi Indonesia Adr   Common Stock           3,995  
 
  Pulte Homes Inc   Common Stock           257,094  
 
  Pulte Homes Inc   Common Stock           50,000  
 
  Qualcomm Inc   Common Stock           3,805,813  
 
  Qualcomm Inc   Common Stock           1,244,208  
 
  Qualcomm Inc   Common Stock           16,191  
 
  Quality Systems   Common Stock           9,106  
 
  Quantum Fuel Sys Technologies Worldwide Inc   Common Stock           8,880  
 
  Quest Diagnostics Inc   Common Stock           21,133  
 
  Questar Corp Com   Common Stock           6,236  
 
  Questcor Phar Inc   Common Stock           40,375  
 
  Radian Group Inc   Common Stock           5,894  
 
  Rait Financial Trust   Common Stock           655  
 
  Rambus Inc   Common Stock           24,400  
 
  Randgold Res Ltd   Common Stock           10,051  
 
  Redwood Trust Inc   Common Stock           4,338  
 
  Regions Finl Corp   Common Stock           6,610  
 
  Regions Finl Corp New   Common Stock           227,935  
 
  Relm Wireless Corp   Common Stock           3,140  
 
  Repligen Corp   Common Stock           1,439  
 
  Repros Therapeutics Inc Com   Common Stock           797  
 
  Research In Motion Ltd   Common Stock           115,156  
 
  Resource Cap Corp Com   Common Stock           1,476  
 
  Rexahn Pharmaceuticals Inc   Common Stock           2,040  
 
  RF Micro Devices Inc   Common Stock           954  
 
  RIO Tinto Plc Sponsored Adr   Common Stock           3,015  
 
  Rite Aid Corp   Common Stock           29,392  
 
  Robbins & Myers Inc   Common Stock           34,880  
 
  Rockwell Automation Inc   Common Stock           18,792  
 
  Rockwell Medical Tech Inc   Common Stock           1,946  
 
  Rosetta Res Inc Com   Common Stock           996  
 
  Rosetta Stone Inc Com   Common Stock           1,795  

32


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Royal Bk Scotland Group Plc Sponsored Adr   Common Stock           470  
 
  Royal Gold Inc   Common Stock           10,271  
 
  RRI Energy Inc   Common Stock           198,528  
 
  RTI Biologics Inc Com   Common Stock           960  
 
  Rubicon Minerals Corp   Common Stock           87,135  
 
  RXI Pharmaceuticals Corp Com   Common Stock           6,870  
 
  S1 Corp   Common Stock           202  
 
  Saba Software Inc Com New   Common Stock           518  
 
  Samson Oil & Gas Ltd Sponsored Adr   Common Stock           240  
 
  Sandisk Corp   Common Stock           69,576  
 
  Sanmina-Sci Corp Com New   Common Stock           2,206  
 
  Santarus Inc   Common Stock           9,240  
 
  Satyam Computer Svcs Ltd Amern Depository   Common Stock           129  
 
  Savient Pharmaceuticals Inc   Common Stock           13,610  
 
  Schlumberger Ltd   Common Stock           4,502,156  
 
  Schlumberger Ltd   Common Stock           733,732  
 
  Schlumberger Ltd   Common Stock           103,233  
 
  Schwab Charles Corp   Common Stock           1,151,937  
 
  Seagate Technology Holdings Cayman Islands   Common Stock           3,885  
 
  Sears Hldgs Corp   Common Stock           9,931  
 
  Select Comfort Corp   Common Stock           978  
 
  Senior Hsg Pptys Tr   Common Stock           5,468  
 
  Sequenom Inc Com New   Common Stock           4,968  
 
  Shanda Games Ltd Sponsored Adr Repstg Cl A   Common Stock           3,057  
 
  Shanda Interactive Entertainment Spon Adr Ea   Common Stock           2,631  
 
  Ship Finance International Limited   Common Stock           9,251  
 
  Sigma Designs   Common Stock           13,910  
 
  Silicon Image Inc   Common Stock           774  
 
  Silicon Motion Technology Corp Spons Adr   Common Stock           8,525  
 
  Silver Wheaton Corp Com   Common Stock           18,400  
 
  Silvercorp Metals Inc Com Npv   Common Stock           19,800  
 
  Simulations Plus Inc   Common Stock           552  
 
  Sino-Global Shipping Amer Ltd Com   Common Stock           1,655  
 
  Sinovac Biotech Ltd Shs   Common Stock           3,165  
 
  Sirius Xm Radio Inc Com   Common Stock           58,228  
 
  Skyworks Solutions Inc Com   Common Stock           497  
 
  SLM Corp Com N/C From 90390u102   Common Stock           4,508  
 
  Smith & Wesson Hldg Corp   Common Stock           2,045  
 
  Smith Intl Inc   Common Stock           1,109,579  
 
  Smithfield Foods Inc   Common Stock           285,384  
 
  Smurfit Stone Container Corp   Common Stock           275  
 
  Sociedad Quimica Minera De Chile S A Spons   Common Stock           187,850  
 
  Socket Mobile Inc Com New   Common Stock           155  
 
  Solarfun Pwr Hldgs Co Ltd Sponsored Adr   Common Stock           144,512  
 
  Sonosite Inc   Common Stock           2,363  
 
  Sonus Networks Inc   Common Stock           844  
 
  Sothebys Hldgs Inc Delaware   Common Stock           1,419  
 
  Sourcefire Inc   Common Stock           15,108  
 
  South Finl Group Inc   Common Stock           645  

33


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Southern Co   Common Stock           79,968  
 
  Southern Copper Corp Del Com   Common Stock           44,005  
 
  Southwest Airlines Co   Common Stock           8,579  
 
  Southwest Airls Co   Common Stock           909,831  
 
  Spectra Energy Corp Com   Common Stock           12,767  
 
  Spectranetics Corp   Common Stock           16,147  
 
  Spectrum Pharmaceuticals Inc   Common Stock           1,332  
 
  Spirit Aerosystems Hldgs Inc Cl A   Common Stock           1,490  
 
  Spongetech Delivery Sys Inc Com   Common Stock           750  
 
  Sprint Corp   Common Stock           19,307  
 
  Sprint Nextel Corp   Common Stock           1,218,186  
 
  SPX Corp   Common Stock           584,157  
 
  St Jude Medical Inc   Common Stock           21,001  
 
  Standard Pkg Corp   Common Stock           4,764  
 
  Star Bulk Carriers Corp Shs   Common Stock           713  
 
  Starbucks Corp   Common Stock           12,660  
*
  State Street Corporation   Common Stock           1,654  
*
  State Street Corporation   Common Stock           981,616  
 
  Statoil Asa Spon Adr   Common Stock           2,491  
 
  Steak N Shake Co Com New   Common Stock           16,530  
 
  Steel Dynamics Inc   Common Stock           219,024  
 
  Steel Dynamics Inc   Common Stock           17,807  
 
  Stein Mart Inc   Common Stock           5,330  
 
  Stem Cell Innovations Inc Com   Common Stock           50  
 
  Stemcells Inc N/C From 232923102   Common Stock           2,268  
 
  Sterlite Inds India Ltd Ads   Common Stock           1,312  
 
  Stryker Corp   Common Stock           9,819  
 
  Sulphco Inc Com   Common Stock           5,524  
 
  Sun Microsystems Inc Com New   Common Stock           6,784  
 
  Suncor Energy Inc New   Common Stock           1,916,852  
 
  Sunesis Pharmaceuticals Inc Com   Common Stock           1,980  
 
  Suntech Pwr Hldgs Co Ltd Adr   Common Stock           8,265  
 
  Suntrust Banks Inc   Common Stock           4,520  
 
  Supervalu Inc   Common Stock           598,234  
 
  Surewest Communications   Common Stock           543  
 
  Symantec Corp   Common Stock           960,569  
 
  Symantec Corp   Common Stock           1,195,847  
 
  Synaptics Inc   Common Stock           2,161  
 
  Syneron Medical Ltd Ord Shs   Common Stock           1,045  
 
  Sysco Corp   Common Stock           11,632  
 
  Taiwan Semiconductor Manufacturing Ads   Common Stock           4,599  
 
  Talbots Inc   Common Stock           891  
 
  Talisman Energy Inc Com   Common Stock           3,728  
 
  Target Corp   Common Stock           2,651,182  
 
  Target Corp   Common Stock           62  
 
  Targeted Genetics Corp Com New   Common Stock           6  
 
  Taseko Mines Ltd   Common Stock           64,300  
 
  Taser International Inc   Common Stock           10,512  
 
  Tata Mtrs Ltd Sponsored Adr   Common Stock           17,243  

34


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Teck Cominco Ltd Cl B Sub Vtg   Common Stock           3,497  
 
  Teekay Tankers Ltd Cl A   Common Stock           1,024  
 
  Tellabs Inc   Common Stock           6,248  
 
  Tenet Healthcare Corp   Common Stock           2,695  
 
  Teradyne Inc   Common Stock           1,073  
 
  Terex Corp New   Common Stock           10,995  
 
  Terra Inds Inc   Common Stock           8,404  
 
  Terra Nitrogen Co L P Com Unit   Common Stock           10,899  
 
  Tesoro Pete Corp   Common Stock           434  
 
  Teva Pharmaceutical Inds L   Common Stock           2,972,036  
 
  Teva Pharmaceutical Inds Ltd Adr   Common Stock           19,382  
 
  Texas Instrs Inc   Common Stock           1,489,432  
 
  Textron Inc   Common Stock           275,276  
 
  Theragenics Corp   Common Stock           2,144  
 
  Thompson Creek Metals Co IncCom   Common Stock           11,720  
 
  Threshold Pharmaceuticals Inc Com New   Common Stock           90  
 
  Tianyin Pharmaceutical Co Inc   Common Stock           6,300  
 
  Ticketmaster Entmt Inc Com   Common Stock           147  
 
  Time Warner Cable Inc   Common Stock           1,493,849  
 
  Time Warner Cable Inc Com   Common Stock           5,050  
 
  Time Warner Inc   Common Stock           1,530,039  
 
  Time Warner Inc   Common Stock           878,836  
 
  Time Warner Inc New Com New   Common Stock           14,308  
 
  Titanium Metals Corp Com New   Common Stock           6,260  
 
  Tongjitang Chinese Medicines Co Sponsored Adr   Common Stock           3,800  
 
  Toro Co   Common Stock           10,749  
 
  Tousa Inc   Common Stock           32  
 
  Toyota Mtrs Corp Spon Adr   Common Stock           16,832  
 
  Transcanada Corp   Common Stock           6,874  
 
  Transmeridian Expl Inc   Common Stock           1  
 
  Transocean Ltd Zug Namen -Akt   Common Stock           26,191  
 
  Transwitch Corp Com New   Common Stock           2,100  
 
  Travelers Cos Inc   Common Stock           527,539  
 
  Travelers Cos Inc Com   Common Stock           1,147  
 
  Tree Com Inc Com   Common Stock           18  
 
  Tri Isthmus Group Inc Com   Common Stock           6  
 
  Triangle Cap Corp   Common Stock           2,962  
 
  Trimedyne Inc   Common Stock           4,400  
 
  Trinity Inds Inc Del Frmly Texas   Common Stock           891  
 
  Tronox Inc Com Cl B   Common Stock           15  
 
  Trueblue Inc Com   Common Stock           1,481  
 
  Turkcell Iletisim Hizmetleri AS Spon Adr New   Common Stock           953  
 
  Turkish Invt Fd Inc   Common Stock           24,066  
 
  Tyco Electronics Ltd Com Chf2.60   Common Stock           540  
 
  Tyco Electronics Ltd Switz   Common Stock           1,502,660  
 
  Tyco International Ltd Shs   Common Stock           11,592  
 
  Tyson Foods Inc Cl A   Common Stock           2,454  
 
  U S Awys Group Inc Com   Common Stock           2,420  
 
  U S Gold Corp   Common Stock           744  

35


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Ultra Petroleum Corp   Common Stock           5,983  
 
  Umpqua Holdings Corp   Common Stock           2,012  
 
  Under Armour Inc Cl A   Common Stock           14,453  
 
  Unilever N V   Common Stock           840,775  
 
  United Amern Healthcare Corp   Common Stock           5,170  
 
  United Finl Bancorp Inc Md Com   Common Stock           1,325  
 
  United Parcel Svc Inc Cl B   Common Stock           9,360  
 
  United States Steel Corp   Common Stock           85,281  
 
  United Technologies Corp   Common Stock           6,941  
 
  Unitedhealth Group Inc   Common Stock           1,036,793  
 
  Unitedhealth Group Inc   Common Stock           16,855  
 
  Universal Display Corp   Common Stock           2,843  
 
  Unum Group   Common Stock           270,226  
 
  Uranerz Energy Corp Com   Common Stock           585  
 
  Uranium One Inc   Common Stock           331  
 
  Us Bancorp Del   Common Stock           821,335  
 
  Us Bancorp Del Com New   Common Stock           5,020  
 
  Us Global Investors Inc CL A   Common Stock           6,155  
 
  Usec Inc   Common Stock           1,155  
 
  Usg Corp Com New   Common Stock           20,373  
 
  Vale SA Adr   Common Stock           20,321  
 
  Vale SA   Common Stock           2,399,782  
 
  Valero Energy Corp   Common Stock           1,008,674  
 
  Valero Energy Corp   Common Stock           1,101,425  
 
  Valero Energy Corp   Common Stock           48,743  
 
  Varian Semiconductor Equip Assoc Inc   Common Stock           1,650  
 
  Vasco Data Security Intl   Common Stock           220  
 
  Vaso Active Pharmaceuticals Inc Cl A   Common Stock           60  
 
  Verasun Energy Corp Com   Common Stock           2  
 
  Verenium Corp Com New   Common Stock           185  
 
  Verifone Hldgs Inc Com   Common Stock           1,638  
 
  Verisign Inc   Common Stock           242  
 
  Verizon Communications   Common Stock           112,266  
 
  Vertex Pharmaceutcls Inc   Common Stock           39,422  
 
  Vertex Pharmaceuticals Inc   Common Stock           584,721  
 
  Via Networks Inc   Common Stock           539  
 
  Via Pharmaceuticals Inc   Common Stock           3  
 
  Viacom Inc New   Common Stock           173,446  
 
  Viral Genetics Inc Del   Common Stock           490  
 
  Viropharma Inc   Common Stock           839  
 
  Visa Inc   Common Stock           726,453  
 
  Visa Inc Com Cl A   Common Stock           54,663  
 
  Visionchina Media Inc Sponsored Adr   Common Stock           10,920  
 
  Vivus Inc   Common Stock           4,600  
 
  Vmware Inc CL A Com   Common Stock           7,205  
 
  Vodafone Group Plc New   Common Stock           632,444  
 
  Vodafone Group Plc New Sponsored Adr New   Common Stock           23,090  
 
  Vulcan Materials Co   Common Stock           1,843  
 
  Wal-Mart Stores Inc   Common Stock           1,189,183  

36


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Wal-Mart Stores Inc   Common Stock           70,101  
 
  Walgreen Company   Common Stock           127,589  
 
  Warner Chilcott Plc Com Class A Usd0.01   Common Stock           4,470  
 
  Washington Mutual Inc   Common Stock           17,659  
 
  Washington Post Co   Common Stock           1,062,809  
 
  Washington Real Estate Invt Tr Maryland   Common Stock           9,938  
 
  Waste Management Inc of Delware   Common Stock           29,700  
 
  Waytronx Inc Com   Common Stock           43  
 
  Weingarten Rlty Invs Sh Ben Int   Common Stock           9,921  
 
  Wellcare Health Plans Inc   Common Stock           1,838  
 
  Wells Fargo & Co New   Common Stock           29,924  
 
  Wells Fargo & Co   Common Stock           80,065  
 
  Wells Fargo & Co   Common Stock           1,513,228  
 
  Wendys Arbys Group Inc Com   Common Stock           4,104  
 
  Wesco International Inc   Common Stock           810  
 
  Westell Technologies Inc Cl A   Common Stock           1,200  
 
  Western Cap Res Inc Com   Common Stock           1  
 
  Western Digital Corp   Common Stock           777,085  
 
  Western Digital Corp   Common Stock           33,111  
 
  Western Union Co Com   Common Stock           1,884  
 
  Westfield Finl Inc New Com   Common Stock           1,650  
 
  Whole Foods Mkt Inc   Common Stock           138,222  
 
  Willbros Group Inc Del Com   Common Stock           2,698  
 
  Williams Cos Inc   Common Stock           4,295  
 
  Wimm Bill Dann Foods Ojsc Spons Adr   Common Stock           2,382  
 
  Windstream Corp Com   Common Stock           32,969  
 
  Wintrust Financial Corp   Common Stock           30,789  
 
  Wms Inds Inc   Common Stock           3,998  
 
  Women First Healthcare Inc   Common Stock           1  
 
  Wuxi Pharmatech Cayman Inc Sponsored   Common Stock           6,382  
 
  Wyndham Worldwide Corp Com   Common Stock           2,109  
 
  Wynn Resorts Ltd   Common Stock           8,735  
 
  Xenacare Hldgs Inc Com   Common Stock           450  
 
  Xilinx Inc   Common Stock           10,651  
 
  Xinyuan Real Estate Co Ltd Sponsored Adr   Common Stock           671  
 
  XL Capital Ltd   Common Stock           732,255  
 
  Xoma Ltd   Common Stock           14,817  
 
  XTO Energy Inc   Common Stock           40,312  
 
  Yahoo Inc   Common Stock           44,920  
 
  Yamana Gold Inc   Common Stock           20,635  
 
  Yingli Green Energy Hldg Co Ltd Adr   Common Stock           290,904  
 
  YTB Intl Inc Cl A   Common Stock           120  
 
  Yum! Brands Inc   Common Stock           60,688  
 
  Zagg Inc   Common Stock           1,686  
 
  Zale Corp New   Common Stock           2,720  
 
  Zap Com New   Common Stock           1,662  
 
  Zimmer Holdings Inc   Common Stock           59  
 
  Zion Oil & Gas Inc Com Issue   Common Stock           4,404  

37


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Zoltek Cos Inc    Common Stock           17,100  
 
                     
 
                       
 
 
Common Stock
              $ 437,851,778  
 
                     
 
                       
** U.S Government and Government Agency Issues:
                   
 
                       
 
  Fed Hm Ln Pc Pool A37176   5.0% 01 SEP 2035           769,923  
 
  Fed Hm Ln Pc Pool A46049   5.0% 01 JUL 2035           682,026  
 
  Fed Hm Ln Pc Pool C48827   6.0% 01 MAR 2031           21,764  
 
  Fed Hm Ln Pc Pool G12334   5.0% 01 SEP 2021           433,381  
 
  Federal Home Ln Mtg corp   5.0% 15 JAN 2030           210,887  
 
  Federal Home Ln Mtg Corp   5.0% 15 DEC 2023           32,964  
 
  Federal Home Ln Mtg Corp   5.0% 15 MAR 2019           155,891  
 
  Federal Home Ln Mtg Corp   5.0% 15 SEP 2018           62,504  
 
  FNMA Pool 256398   6.0% 01 SEP 2021           89,476  
 
  FNMA Pool 323887   6.0% 01 DEC 2013           60,693  
 
  FNMA Pool 581043   6.0% 01 MAY 2016           27,884  
 
  FNMA Pool 615005   6.0% 01 DEC 2016           52,545  
 
  FNMA Pool 694448   5.5% 01 APR 2033           558,434  
 
  FNMA Pool 725690   6.0% 01 AUG 2034           402,544  
 
  FNMA Pool 745418   5.5% 01 APR 2036           261,687  
 
  FNMA Pool 748115   6.0% 01 OCT 2033           122,814  
 
  FNMA Pool 815316   5.5% 01 MAY 2035           657,021  
 
  FNMA Pool 822979   5.5% 01 APR 2035           664,247  
 
  FNMA Pool 885504   6.0% 01 JUN 2021           227,494  
 
  FNMA Pool 888102   5.5% 01 MAY 2036           40,081  
 
  FNMA Pool 902793   6.5% 01 NOV 2036           524,093  
 
  Mexico Utd Mex St   8.0% 17 DEC 2015           107,848  
 
  United States Treas Notes   2.125% 30 APR 2010           1,223,465  
 
  United States Treas Notes   1.125% 15 DEC 2011           4,206,771  
 
  United States Treas Notes   0.875% 28 FEB 2011           2,219,193  
 
  US Treasury   1.375% 15 SEP 2012           890,235  
 
                     
 
                       
 
 
U.S. Government and Government Agency Issues
              $ 14,705,865  
 
                     
 
                       
** Corporate and Other Obligations:                    
 
                       
 
  Abu Dhabi Natl Energy   7.25% 01 AUG 2018           322,431  
 
  Aes Corp   8.0% 15 OCT 2017           172,424  
 
  Aes Corp   7.75% 15 OCT 2015           150,471  
 
  Agilent Technologies   6.5% 01 NOV 2017           486,336  
 
  Albertsons Inc   6.625% 01 JUN 2028           18,809  
 
  Albertsons Inc   7.5% 15 FEB 2011           262,744  
 
  Altria Group Inc   9.95% 10 NOV 2038           450,899  
 
  Altria Group Inc   9.25% 06 AUG 2019           66,242  
 
  American Tower Corp   4.625% 01 APR 2015           143,948  
 
  Anheuser Busch Cos Inc   6.5% 01 MAY 2042           131,996  
 
  Anheuser Busch Cos Inc   4.95% 15 JAN 2014           20,391  
 
  Anheuser Busch Inbev   4.125% 15 JAN 2015           546,902  
 
  Apache Corp   6.0% 15 JAN 2037           21,032  

38


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  AT&T Corp   6.5% 15 MAR 2029           19,676  
 
  AT&T Inc Sr Nt   6.3750% 15 FEB 2056           2,669  
 
  BA Cr Card Tr   1.0% 15 JAN 2016           68,147  
 
  BA Cr Card Tr   1.0% 15 JUN 2014           86,893  
*
  Banc Amer Coml Mtg Tr   1.0% 10 APR 2049           127,758  
*
  Bank Corp Amer   4.75% 15 AUG 2013           215,955  
 
  Bank One Issuance   4.77% 16 FEB 2016           103,938  
 
  Barclays Bank Plc   5.2% 10 JUL 2014           209,525  
 
  Barclays Bank Plc   5.0% 22 SEP 2016           201,975  
 
  Bear Stearns Coml Mtg Secs Tr   1.0% 11 JUN 2040           157,211  
 
  Bell Canada   6.1% 16 MAR 2035           152,242  
 
  Bell CDA   6.55% 01 MAY 2029           72,959  
 
  Bell CDA   7.3% 23 FEB 2032           99,304  
 
  Bemis Company   5.56% 01 AUG 2019           56,805  
 
  Boston Scientific Corp   4.5% 15 JAN 2015           153,502  
 
  Bottling Group LLC   5.125% 15 JAN 0219           154,053  
 
  Cameron Intl Corp   6.375% 15 JUL 2018           11,596  
 
  Cameron Intl Corp   7.0% 15 JUL 2038           40,822  
 
  Canadian Pacific RR Co   7.25% 15 MAY 2019           95,478  
 
  Capital One Multi Asset Exe   1.0% 15 JUL 2020           99,418  
 
  Caterpillar Financial   5.45% 15 APR 2018           15,441  
 
  CD   5.322% 11 DEC 2049           471,704  
 
  CD Mtg Tr   5.617% 15 OCT 2048           362,477  
 
  Cellco Part/Veri Wireless   8.5% 15 NOV 2018           42,906  
 
  Cellco Part/Veri Wireless   5.55% 01 FEB 2014           300,328  
 
  Chesapeake Energy Corp   6.5% 15 AUG 2017           14,528  
 
  Chesapeake Energy Corp   7.625% 15 JUL 2013           289,874  
 
  Chevron Phillips Chemical   7.0% 15 JUN 2014           182,645  
 
  Cigna Corp   8.5% 01 MAY 2019           5,615  
 
  Cit Equip Coll   6.59% 22 DEC 2014           339,802  
 
  Citibank Cr Card   6.3% 20 JUN 2014           653,027  
 
  Citigroup Coml Mtg Tr   5.431% 15 OCT 2049           45,889  
 
  Citigroup Inc   5.0% 15 SEP 2014           404,924  
 
  Citizens Communications   7.875% 15 JAN 2027           263,683  
 
  Colorado Intst Gas Co   5.95% 15 MAR 2015           21,797  
 
  Colorado Intst Gas Co   6.8% 15 NOV 2015           16,368  
 
  Columbia/HCA Healthcare   7.58% 15 SEP025           8,796  
 
  Columbia/HCA Healthcare   7.69% 15 JN 2025           40,725  
 
  Columbia/HCA Healthcare   7.5% 15 DEC 2023           22,577  
 
  Comcast Corp New   5.65% 15 JUN 2035           114,552  
 
  Comcast Corp New   6.45% 15 MAR 2037           96,807  
 
  Comcast Corp New   6.95% 15 AUG 2037           471,796  
 
  Comcast Corp New   6.4% 15 MAY 2038           193,231  
 
  Comm Mtg Tr   1.0% 10 DEC 2049           44,814  
 
  Commercial Mtg Tr   5.736% 10 DEC 2049           201,778  
 
  ConocoPhillips   4.75% 01 FEB 2014           382,013  
 
  Corning Inc   6.85% 01 MAR 2029           14,807  
 
  Corning Inc   7.25% 15 AUG 2036           60,421  
 
  Covidien Intl Fin   6.0% 15 OCT 2017           247,830  

39


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Credit Suisse   6.0% 15 FEB 2018           310,234  
 
  CSC Holdings Inc   7.875% 15 FEB 2018           158,551  
 
  CSC Holdings Inc   8.5% 15 APR 2014           131,570  
 
  Delta Airlines Inc   1.0% 10 FEB 2024           231,335  
 
  Deutscche Telkom Int   4.875% 08 JUL 2014           233,189  
 
  Discover Card   1.0% 16 OCT 2014           271,464  
 
  Duke Energy   6.25% 15 JAN 2012           32,055  
 
  Embarq Corp   7.995% 01 JUN 2036           839,874  
 
  Enel Fin Intl   6.25% 15 SEP 2017           361,848  
 
  Enron Cap Res L P Pfd Ser A   9% MIP           15  
 
  Eqt Corp   8.125% 01 JUN 0219           95,918  
 
  Equifax Inc   7.0% 01 JUL 2037           150,620  
 
  Erac Finc Co   6.375% 15 OCT 2017           603,951  
 
  Erac Finc Co   7.0% 15 OCT 2037           9,674  
 
  Eurofima   11.0% 05 FEB 2010           89,488  
 
  Express Scripts   7.25% 15 JUN 2019           33,687  
 
  Florida Gas Transmission Co   7.9% 15 MAY 2019           52,054  
 
  Ford Mtr Co   7.25% 25 OCT 2011           324,381  
 
  GCCFC 2006 GG7   1.0% 10 JUL 2038           112,636  
 
  General Electric   3.75% 14 NOV 2014           419,302  
 
  General Mtrs Accep Corp   6.875% 28 AUG 2012           178,918  
 
  Georgia Pac Corp   7.375% 01 DEC 2025           113,261  
 
  Georgia Pac Corp   7.25% 01 JUN 2028           170,040  
 
  Georgia Pac Corp   7.75% 15 NOV 2029           180,553  
 
  Georgia Pac Corp   8.875% 15 MAY 2031           5,238  
 
  Georgia Pac Corp   8.0% 15 JAN 2024           10,081  
 
  GMAC LLC   6.875% 28 AUG 2012           70,704  
 
  GMAC LLC   7.25% 02 MAR 2011           27,396  
 
  GMAC LLC   6.625% 15 MAY 2012           116,226  
 
  GMAC LLC   6.875% 15 SEP 2011           54,516  
 
  GMAC LLC   6.0% 15 DEC 2011           186,930  
 
  Goldman Sachs Group Inc   6.125% 15 FEB 2033           29,775  
 
  Goldman Sachs Group Inc   4.75% 15 JUL 2013           31,020  
 
  Goldman Sachs Group Inc   5.125% 15 JAN 2015           290,774  
 
  Goldman Sachs Group Inc   5.625% 15 JAN 2017           317,970  
 
  Goldman Sachs Group Inc   6.75% 01 OCT 2037           401,272  
 
  Goldman Sachs Group Inc   5.95% 18 JAN 2018           182,636  
 
  Goldman Sachs Group Inc   6.15% 01 APR 2018           111,089  
 
  Greenwich Capital Comm   5.444% 10 MAR 2039           720,409  
 
  Hasbro Inc   6.3% 15 SEP 2017           99,360  
 
  Hasbro Inc   6.125% 15 MAY 2014           64,562  
 
  HCA Inc   6.5% 15 FEB 2016           272,281  
 
  Hertz   4.26% 25 MAR 2014           295,470  
 
  Hess Corp   7.0% 15 FEB 014           83,394  
 
  Hewlett Packard   4.75% 02 JUN 2014           274,399  
 
  Home Depot   5.4% 01 MAR 2016           25,866  
 
  Home Depot   5.87% 16 DEC 2036           459,819  
 
  Hospira Inc   6.05% 30 MAR 2017           175,846  
 
  Incitec Pivot Fin LLC   6.0% 10 DEC 2019           97,787  

40


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Ingersoll Rand Global   6.875% 15 AUG 2018           191,703  
 
  International Paper   7.975% 15 JUN 2018           256,485  
 
  JC Penny Corporation   6.375% 15 OCT 2036           140,420  
 
  JC Penny Corporation   6.875% 15 OCT 2015           104,267  
 
  JP Morgan Chase Coml Mtg Secs   1.0% 15 APR 2045           114,286  
 
  JP Morgan Chase Coml Mtg Secs   5.44% 12 JUN 2047           107,624  
 
  JP Morgan Chase Coml Mtg Secs   5.42% 15 JAN 2049           1,158,845  
 
  JP Morgan Chase Coml Mtg Secs   1.0% 12 FEB 2049           56,210  
 
  JP Morgan Chase Coml Mtg Secs   1.0% 15 JUN 2049           107,585  
 
  Kraft Foods   6.5% 01 NOV 2031           64,531  
 
  Kraft Foods   6.5 11 AUG 2017           246,647  
 
  Kreditanst Fur Wie   10.75% 01 FEB 2010           9,497  
 
  LB UBS Coml Mtg   1.0% 15 MAR 2039           352,486  
 
  Lilly Eli & Co   4.2% 06 MAR 2014           274,729  
 
  Macys Retail Holdings   5.35% 15 MAR 2012           146,351  
 
  Marathon Oil   6.5% 15 FEB 2014           185,851  
 
  MBNA Cr Card Master Nt   1.0% 16 AUG 2021           214,566  
 
  McDonalds Corp   5.0% 01 FEB 2019           61,979  
 
  McKesson Corp   6.15% 15 FEB 2018           109,324  
 
  Merril Lynch & Co   6.4% 28 AUG 2017           369,230  
 
  Merril Lynch & Co   5.45% 05 FEB 2013           20,800  
 
  Merril Lynch & Co   6.875% 25 APR 2018           69,215  
 
  Merril Lynch & Co   5.0% 15 JAN 2015           427,187  
 
  Merril Lynch & Co   6.05% 16 MAY 2016           14,958  
 
  Merril Lynch & Co   6.11% 29 JAN 2037           154,896  
 
  Merrill Lynch Mtg Invs Inc   1.0% 25 FEB 2035           212,050  
 
  ML CFC Coml Mgt   5.172% 12 DEC 2049           152,880  
 
  ML CFC Coml Mtg Tr   1.0% 12 MAR 2051           20,099  
 
  Morgan Stanley Group Inc   5.45% 09 JAN 2017           139,847  
 
  Morgan Stanley Group Inc   5.55% 27 APR 2017           248,173  
 
  Morgan Stanley Group Inc   5.375% 15 OCT 2015           168,496  
 
  Morgan Stanley Group Inc   4.75% 01 APR 2014           641,128  
 
  Morgan Stanley Cap I   5.569% 15 DEC 2044           60,609  
 
  Nabors Inds Inc   6.15% 15 FEB 2018           15,408  
 
  Nabors Inds Inc   9.25% 15 JAN 2019           557,998  
 
  Newmont Mng Corp   5.875% 01 APR 2035           107,751  
 
  News Amer Inc   6.15% 01 MAR 2037           280,231  
 
  Nextel Communications   7.375% 01 AUG 2015           52,863  
 
  Nextel Communications   6.875% 31 OCT 2013           158,180  
 
  Nextel Communications   5.95% 15 MAR 2014           198,411  
 
  Nisource Finance Corp   6.125% 01 MAR 2022           141,208  
 
  Norfolk Southern Corp   5.75% 15 JAN 2016           289,146  
 
  Northstar Rlty Fin Corp   Pfd Ser B 8.25%           4,785  
 
  Oneok Partners LLP   8.625% 01 MAR 2019           262,393  
 
  Oracle Corp   5.0% 08 JUL 2019           392,410  
 
  Owens Corning   7.0% 01 DEC 2036           92,175  
 
  Petrobras Intl Fin Co   5.875% 01 MAR 2018           742,489  
 
  Petroplus Fin Ltd   6.75% 01 MAY 2014           69,676  
 
  Petroplus Fin Ltd   7.0% 01 MAY 2017           66,711  

41


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Quest Diagnostics Inc   4.75% 30 JAN 220           110,088  
 
  Qwest Corp   6.5% 01 JUN 2017           695,252  
 
  Reed Elsevier Cap Inc   7.75% 15 JAN 2014           315,063  
 
  Reynolds American Inc   7.25% 15 JUN 2037           298,594  
 
  Rio Tinto Fin   6.5% 15 JUL 2018           358,264  
 
  Royal Bk Scotland Group Plc Sponsored Adr   Preferred Stock           4,946  
 
  Rpm International   6.125% 15 OCT 2019           143,183  
 
  Simon Property Group   6.75% 15 MAY 2014           121,121  
 
  Smith Intl   8.625% 15 MAR 2014           239,984  
 
  Southern Nat Gas   7.35% 15 FEB 2031           145,670  
 
  Sprint Cap Corp   6.875% 15 NOV 2028           538,108  
 
  Standard Chartered Bank   6.4% 26 SEP 2017           122,643  
 
  Tailsman Energy Inc   5.85% 01 FEB 2037           61,378  
 
  Tailsman Energy Inc   6.25% 01 FEB 2038           148,415  
 
  Tailsman Energy Inc   7.75% 01 JUN 2019           34,821  
 
  Teck Corporation   9.75% 15 MAY 2014           232,615  
 
  Telecom Italia Cap   5.25% 15 NOV 2013           20,790  
 
  Telecom Italia Cap   6.375% 15 NOV 2033           164,674  
 
  Telecom Italia Cap   6.0% 30 SEP 2034           56,078  
 
  Telefonica   4.949% 15 JAN 2015           237,702  
 
  Telus Corp   4.95% 15 MAR 2017           281,967  
 
  Tennessee Gas Pipeline Co   7.0% 15 OCT 2028           57,940  
 
  Time Warner Inc   6.625% 15 MAY 2029           376,140  
 
  Time Warner Inc   5.85% 01 MAY 2017           93,456  
 
  Time Warner Inc   6.55% 01 MAY 2037           151,064  
 
  Tyco International   4.125% 15 OCT 2014           146,491  
 
  United Parcel Service   3.875% 01 APR 2014           231,038  
 
  United Sts Steel Corp   6.65% 01 JUN 2037           234,550  
 
  UnitedHealth Group   6.0% 15 FEB 2018           275,638  
 
  USG Corp   1.0% 15 JAN 2018           330,839  
 
  Vaelero Energy   6.625% 15 JUN 2037           565,696  
 
  Vale Overseas Ltd   6.875% 21 NOV 2036           167,873  
 
  Verizon Communications Inc   8.75% 01 NOV 2018           327,123  
 
  Vodafone Group Plc   6.15% 27 FEB 2037           339,753  
 
  WAMU 2005 AR3   1.0% 25 MAR 2035           102,032  
 
  Waster Management Inc   6.375% 11 MAR 2015           120,471  
 
  Wellpoint Inc   6.0% 15 FEB 2014           289,392  
 
  Wells Fargo Mtg Bkd Secs   1.0% 25 OCT 2035           426,042  
 
  Western Un Co   5.93% 01 OCT 2016           266,530  
 
  Willis North America Inc   7.0% 29 SEP 2019           36,229  
 
  Xerox Corp   6.4% 15 MAR 2016           170,212  
 
                     
 
                       
 
 
Corporate and Other Obligations
              $ 38,839,798  
 
                     

42


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
** Synthetic Guaranteed Investment Contracts:                    
 
                       
 
  Cash & Cash Equivalents                    
 
                       
 
  Barclays Capital Repo   US Dollar Cash Collateral           9,878,816  
 
  JP Morgan Term Repo   US Dollar Cash Collateral           13,302,168  
 
  Lehman Bankruptcy   Cash Collateral           (31,420 )
*
  State Street Bank & Trust Co   Short Term Investment Fund           547,688  
*
  State Street Bank & Trust Co.   Short Term Investment Fund           1,779,534  
*
  State Street Bank & Trust Co.   Short Term Investment Fund           2,367,078  
*
  State Street Bank & Trust Co   Short Term Investment Fund           14,743,077  
*
  State Street Bank & Trust Co   Short Term Investment Fund           180,677  
 
  Swap Cash Collateral   US Dollar Cash Collateral           (489,050 )
 
  Swap Cash Collateral   US Dollar Cash Collateral           (449,926 )
 
                     
 
                       
 
                    41,828,642  
 
                     
 
                       
 
  U.S. Government and Government Agency Issues                    
 
                       
 
  California St   7.55% 01 APR 2039           620,840  
 
  Canada Govt   3.75% 01 JUN 2019           3,820,176  
 
  Erie Ctny NY   6.0% 01 JUN 2028           206,480  
 
  Fannie Mae   5.375% 12 JUN 2017           2,873,869  
 
  Fannie Mae   5.375% 12 JUN 2017           3,204,635  
 
  Fannie Mae   4.272% 16 NOV 2026           6,041,465  
 
  Fed Hm Ln Pc Pool 1N1417   1.0% 01 FEB 2037           450,216  
 
  Fed Hm Ln Pc Pool 1Q0669   1.0% 01 NOV 2037           325,377  
 
  Fed Hm Ln Pc Pool A34902   5.5% 01 MAY 2035           1,717,955  
 
  Fed Hm Ln Pc Pool A46675   4.5% 01 AUG 2035           462,462  
 
  Fed Hm Ln Pc Pool A47055   4.5% 01 SEP 2035           596,656  
 
  Fed Hm Ln Pc Pool B16497   1.0% 15 DEC 2029           372,327  
 
  Fed Hm Ln Pc Pool E01343   5.0% 01 ARP2018           574,234  
 
  Fed Hm Ln Pc Pool E01377   4.5% 01 MAY 2018           1,112,018  
 
  Fed Hm Ln Pc Pool G01843   6.0% 01 JUN 2035           1,875,918  
 
  Fed Hm Ln Pc Pool G01953   4.5% 01 OCT 2035           669,282  
 
  Fed Hm Ln Pc Pool G03205   5.5% 01 JLU 2035           356,450  
 
  Fed Hm Ln Pc Pool G12743   5.5% 01 AUG 2022           685,052  
 
  Fed Hm Ln Pc Pool G18268   5.0% 01 AUG 2023           2,781,799  
 
  Fed Hm Ln Pc Pool M80844   3.5% 01 SEP 2010           43,997  
 
  Fed Hm Ln Pc Pool M90966   4.0% 01 JAN 2010           113,213  
 
  Fed Hm Ln Pool 1J1214   5.5% 01 SEP 2019           44,069  
 
  Fed Hm Ln Pool E96852   4.5% 01 JUN 2013           246,389  
 
  Fed Hm Ln Pool G11441   4.0% 01 AUG 2013           155,966  
 
  Fed Hm Ln Pool G12021   4.0% 01 MAY 2014           399,176  
 
  Fed Hm Ln Pool G12022   4.5% 01 NOV 2013           93,062  
 
  Fed Hm Ln Pool G12024   4.5% 01 AUG 2018           777,657  
 
  Fed Hm Ln Pool G13235   4.5% 01 AUG 2020           998,823  
 
  Fed Hm Ln Pool M80817   4.0% 01 MAY 2010           352,698  

43


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Fed Hm Ln Pool M80845   4.5% 01 SEP 2010           174,362  
 
  Fed Republic Of Brazil   8.25% 20 JAN 2034           487,314  
 
  Fed Republic Of Brazil   6.0% 17 JAN 2017           813,388  
 
  Federal Home Ln Mtg   5.0% 15 JUL 2025           234,718  
 
  Federal Home Ln Mtg   5.0% 15 SEP 2027           694,020  
 
  Federal Home Ln Mtg   5.0% 15 DEC 2027           1,305,761  
 
  Federal Home Ln Mtg   1.0% 15 FEB 2019           340,509  
 
  Federal Home Ln Mtg Corp   6.0% 15 FEB 2011           1,830  
 
  Federal Home Ln Mtg Corp   4.125% 21 DEC 2012           1,565,519  
 
  Federal Natl Mtg Assn   5.503% 25 SEP 2011           451,471  
 
  Federal Natl Mtg Assn   4.0% 01 DEC 2099           4,720,861  
 
  Federal Natl Mtg Assn   1.0% 25 MAY 2030           2,262,763  
 
  Federal Natl Mtg Assn   3.25% 09 APR 2013           1,532,818  
 
  Federal Natl Mtg Assn   5.375% 15 NOV 2011           2,056,042  
 
  Federal Natl Mtg Assn   5.703% 25 MAY 2011           253,812  
 
  Federal Natl Mtg Assn   5.139% 25 DEC 2011           248,549  
 
  Federal Natl Mtg Assn   4.768% 25 APR 2012           252,156  
 
  Federal Natl Mtg Assn   2.625% 20 NOV 2014           6,956,873  
 
  FICO Strip Cpn   0.01% 08 AUG 2015           347,511  
 
  Financing Corp   10.7% 06 OCT 2017           332,927  
 
  Financing Corp   9.8% 06 APR 2018           473,614  
 
  Financing Corp   0.01% 27 DEC 2018           212,763  
 
  Financing Corp   0.01% 07 MAR 2019           225,797  
 
  Financing Corp   0.01% 06 OCT 2015           156,307  
 
  Financing Corp   0.01% 03 FEB 2017           2,076,688  
 
  Financing Corp   0.01% 26 SEP 2014           602,411  
 
  Financing Corp   0.01% 26 SEP 2019           261,045  
 
  Financing Corp   0.1% 11 MAY 2013           714,997  
 
  Financing Corp   0.01% 27 DEC 2012           1,672,074  
 
  Financing Corp   0.01% 06 JUN 2013           809,008  
 
  Financing Corp   0.01% 30 NOV 2017           2,081,415  
 
  FNMA Pool 125420   5.5% 01 MAY 2011           4,343  
 
  FNMA Pool 254088   5.5% 01 DEC 2016           87,941  
 
  FNMA Pool 254140   5.5% 01 JAN 2017           262,004  
 
  FNMA Pool 254693   5.5% 01 APR 2033           743,105  
 
  FNMA Pool 254722   5.5% 01 MAY 2018           656,273  
 
  FNMA Pool 254763   4.0% 01 MAY 2010           140,442  
 
  FNMA Pool 254836   4.0% 01 JUL 2010           189,298  
 
  FNMA Pool 255276   4.0% 01 JUN 2011           190,039  
 
  FNMA Pool 255364   6.0% 01 SEP 2034           628,538  
 
  FNMA Pool 255765   5.0% 01 JUL 2020           199,512  
 
  FNMA Pool 256101   5.5% 01 FEB 2036           2,262,112  
 
  FNMA Pool 256269   5.5% 01 JUN 2036           1,885,612  
 
  FNMA Pool 256270   4.5% 01 FEB 2039           164,011  
 
  FNMA Pool 323348   8.5% 01 JUN 2012           2,342  
 
  FNMA Pool 343347   5.5% 01 APR 2011           47,895  
 
  FNMA Pool 357585   4.5% 01 MAY 2011           214,039  
 
  FNMA Pool 386255   3.530% 01 JUL 2010           497,519  
 
  FNMA Pool 456654   5.5% 01 FEB 2014           52,448  

44


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  FNMA Pool 545696   6.0% 01 JUN 2022           494,343  
 
  FNMA Pool 545904   5.5% 01 SEPT 2017           471,211  
 
  FNMA Pool 555541   1.0% 01 APR 2033           93,271  
 
  FNMA Pool 623505   6.0% 01 DEC 2011           125,209  
 
  FNMA Pool 722999   5.0% 01 JUL 2018           1,336,937  
 
  FNMA Pool 725027   5.0% 01 NOV 2033           380,487  
 
  FNMA Pool 725222   5.5% 01 FEB 2034           895,284  
 
  FNMA Pool 725423   5.5% 01 MAY 2034           644,429  
 
  FNMA Pool 725424   5.5% 01 APR 2034           330,049  
 
  FNMA Pool 725690   6.0% 01 AUG 2034           239,432  
 
  FNMA Pool 725946   5.5% 01 NOV 2034           862,576  
 
  FNMA Pool 735224   5.5% 01 FEB 2035           1,639,954  
 
  FNMA Pool 735654   1.0% 01 OCT 2044           136,190  
 
  FNMA Pool 743132   5.0% 01 OCT 2018           1,245,557  
 
  FNMA Pool 745275   5.0% 01 FEB 2036           2,985,356  
 
  FNMA Pool 745327   6.0% 01 MAR 2036           483,411  
 
  FNMA Pool 745569   4.0% 01 NOV 2013           275,834  
 
  FNMA Pool 745571   4.0% 01 JAN 2019           1,467,977  
 
  FNMA Pool 756363   1.0% 01 DEC 2033           293,798  
 
  FNMA Pool 759866   5.5% 01 FEB 2034           351,580  
 
  FNMA Pool 831540   6.0% 01 JUN 2036           1,472,868  
 
  FNMA Pool 837220   4.5% 01 AUG 2020           4,074,120  
 
  FNMA Pool 841068   5.5% 01 AUG 2035           561,021  
 
  FNMA Pool 844444   5.0% 01 DEC 2035           2,125,923  
 
  FNMA Pool 848647   5.5% 01 JAN 2036           1,431,292  
 
  FNMA Pool 871117   5.5% 01 DEC 2036           2,039,728  
 
  FNMA Pool 871288   6.0% 01 MAY 2036           836,457  
 
  FNMA Pool 880611   5.5% 01 MAR 2036           993,479  
 
  FNMA Pool 880611   5.5% 01 MAR 2036           2,233,104  
 
  FNMA Pool 880626   5.5% 01 APR 2036           4,066,358  
 
  FNMA Pool 881655   1.0% 01 MAR 2036           263,255  
 
  FNMA Pool 887049   6.0% 01 AUG 2036           258,534  
 
  FNMA Pool 888021   6.0% 01 DEC 2036           350,677  
 
  FNMA Pool 888521   1.0% 01 MAR 2034           511,388  
 
  FNMA Pool 888789   5.0% 01 JUL 2036           409,979  
 
  FNMA Pool 889004   5.073% 01 AUG 2037           962,553  
 
  FNMA Pool 889040   5.0% 01 JUN 2037           1,030,803  
 
  FNMA Pool 893537   5.5% 01 SEP 2021           40,545  
 
  FNMA Pool 902397   1.0% 01 NOV 2036           339,815  
 
  FNMA Pool 918353   6.0% 01 MAY 2037           2,304,997  
 
  FNMA Pool 920602   6.5% 01 NOV 2037           3,308,706  
 
  FNMA Pool 922328   5.5% 01 FEB 2022           44,424  
 
  FNMA Pool 928373   4.5% 01 MAR 2036           743,434  
 
  FNMA Pool 931745   5.0% 01 AUG 2024           7,174,268  
 
  FNMA Pool 947052   6.0% 01 SEP 2038           5,811,715  
 
  FNMA Pool 965616   6.0% 01 DEC 2037           33,521  
 
  FNMA Pool 966476   6.0% 01 01 2038           276,208  
 
  FNMA Pool 988457   5.5% 01 OCT 2023           832,923  
 
  FNMA Pool 995051   6.0% 01 MAR 2037           3,252,700  

45


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  FNMA Pool AD0245   5.0% 01 AUG 2038           5,803,609  
 
  FNMA Pool AD0248   5.5% 01 NOV 2037           975,655  
 
  FNMA TBA JAN 30   5.0% 01 DEC 2099           (14,050,724 )
 
  FNMA TBA JAN 30   5.5% 01 DEC 2099           (1,023,796 )
 
  FNMA TBA JAN 30   6.0% 01 DEC 2099           (10,328,136 )
 
  FNMA TBA JAN 30 Single Fam   6.5% 01 DEC 2099           6,101,601  
 
  Freddie Mac   6.0% 01 JUN 2036           53,199  
 
  GNMA I TBA JAN 30   6.5% 01 DEC 2099           (519,922 )
 
  GNMA I TBA JAN 30 Single Fam   5.5% 01 DEC 2099           1,178,244  
 
  GNMA I TBA JAN 30 Single Fam   6.0% 01 DEC 2099           387,534  
 
  GNMA Pool 677228   6.0% 15 AUG 2038           630,805  
 
  GNMA Pool 688098   6.0% 15 NOV 2038           55,981  
 
  GNMA Pool 782469   6.0% 15 NOV 2038           689,019  
 
  Government Natl Mtg Assn   3.022% 16 JAN 2019           645,698  
 
  Government Natl Mtg Assn   4.241% 16 JUL 2029           112,451  
 
  Government Natl Mtg Assn   4.201% 16 AUG 2026           323,602  
 
  Government Natl Mtg Assn   2.712% 16 FEB 2020           264,622  
 
  Government Natl Mtg Assn   3.206% 16 APR 2018           106,382  
 
  Government Natl Mtg Assn   3.11% 16 JAN 2019           170,444  
 
  Government Natl Mtg Assn   2.946% 16 MAR 2019           194,905  
 
  Government Natl Mtg Assn   3.084% 16 APR 2022           255,714  
 
  Italy Rep   5.375% 12 JUN 2017           511,770  
 
  Michigan Tob Settlement   7.309% 01 JUN 2034           758,076  
 
  Ontario Prov CDA   4.15% 16 JUN 2014           1,240,224  
 
  Ontario Prov CDA   4.5% 03 FEB 2015           1,239,408  
 
  Peru Rep   9.875% 06 FEB 2015           544,411  
 
  Peru Rep   8.375% 03 MAY 2016           236,211  
 
  Quebec Prov CDA   4.60% 26 MAY 2016           1,231,972  
 
  Republic Of Croatia   6.75% 05 NOV 2019           416,128  
 
  Republic Of Lithuania   6.75% 15 JAN 2015           393,348  
 
  Republic Of Poland   6.375% 15 JUL 2019           329,798  
 
  Resolution FDG PBE CPN Strips   0.01% 15 APR 2015           716,423  
 
  Resolution FDG PBE CPN Strips   0.01% 15 JAN 2014           332,358  
 
  Resolution FDG PBE CPN Strips   0.01% 15 JAN 2017           1,451,057  
 
  Resolution FDG PBE CPN Strips   0.01% 15 JUL 2017           518,700  
 
  Russian Fedn   1.0% 31 MAR 2030           506,726  
 
  Small Business Admin   7.19% 01 DEC 2019           292,770  
 
  Small Business Admin   5.68% 01 JUN 2028           1,100,167  
 
  Small Business Admin   7.06% 01 NOV 2019           162,452  
 
  Tobacco Settlement Fin Auth   7.467% 01 JUN 2047           429,697  
 
  Tobacco Settlement Fin Iowa   6.5% 01 JUN 2023           78,368  
 
  United Mexican Sts   5.625% 15 JAN 2017           489,442  
 
  United States N/B   1.125% 30 JUN 2011           11,028,687  
 
  United States Treas Bds   8.875% 15 AUG 2017           1,019,954  
 
  United States Treas Bds   8.875% 15 AUG 2017           5,733,075  
 
  United States Treas Bds   9.125% 15 MAY 2018           686,504  
 
  United States Treas Bds   8.5% 15 FEB 2020           271,087  
 
  United States Treas Bds   7.875% 15 FEB 2021           2,234,867  
 
  United States Treas Bds   8.125% 15 MAY 2021           669,006  

46


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  United States Treas Bds   8.0% 15 NOV 2021           399,569  
 
  United States Treas Bds   7.625% 15 NOV 2022           1,565,633  
 
  United States Treas Nts   1.125% 15 JAN 2012           1,499,976  
 
  United States Treas Nts   2.375% 31 AUG 2014           5,718,704  
 
  United States Treas Nts   4.0% 15 AUG 2018           3,895,950  
 
  United States Treas Nts   1.125% 15 JAN 2012           4,788,197  
 
  United States Treas Nts   3.0% 31 AUG 2016           1,250,571  
 
  United States Treas Nts   4.875% 31 JUL 2011           1,350,355  
 
  United States Treas Nts   2.75% 15 FEB 2019           2,958,024  
 
  United States Treas Nts   3.0% 15 JUL 2012           1,593,056  
 
  United States Treas Nts   3.625% 31 DEC 2012           2,632,205  
 
  United States Treas Nts   3.75% 15 NOV 2018           5,822,374  
 
  United States Treas Nts   1.75% 15 NOV 2011           3,001,037  
 
  United States Treas Nts   1.75% 31 JAN 2014           8,894,865  
 
  United States Treas Nts   2.375% 31 AUG 2014           8,359,599  
 
  United States Treas Nts   4.875% 31 MAY 2011           8,995,623  
 
  United States Treas Nts   3.5% 15 FEB 2018           10,792,109  
 
  US Treasury   4.25% 15 MAY 2039           660,658  
 
  US Treasury   2.5% 31 MAR 2013           4,359,467  
 
  US Treasury   0.875% 30 APR 2011           14,250,263  
 
  US Treasury   1.0% 31 AUG 2011           10,294,845  
 
  US Treasury N/B   2.375% 30 SEP 2014           96,986  
 
  US Treasury N/B   3.25% 31 DEC 2016           2,036,680  
 
  WI Treasury N/B   1.125% 15 DEC 2012           4,191,390  
 
  WI Treasury N/B   2.75% 30 NOV 2016           2,165,798  
 
  WI Treasury Sec   0.875% 31 MAY 2011           10,512,625  
 
                     
 
                       
 
                    285,792,869  
 
                     
 
                       
 
  Corporate and Other Obligations                    
 
                       
 
  317U175B7 IRO USD Swaption   JUN10 5Y 5.0 PUT           (1,790 )
 
  317U186B4 IRO USD Swaption   AUG10 5Y 5.5 PUT           (5,055 )
 
  317U219B5 IRO USD Swaption   AUG10 10Y 6.0 PUT           (12,606 )
 
  317U299B8 IRO USD Swaption   APR10 4.25 PUT           (39,386 )
 
  317U324B7 Swaption BOA 10Y   APR10 3.25 CALL           (3,685 )
 
  317U326B5 Swaption DUB 10Y   APR10 3.25 CALL           (8,950 )
 
  317U366B6 IRO USD Swaption   APR10 5.0 PUT           (23,885 )
 
  317U374B6 IRO USD Swaption   JUL12 10.0 PUT           (9,393 )
 
  317U392B4 IRO USD 10Y   FEB10 4 PUT           (19,659 )
 
  317U393B3 IRO USD 10Y   FEB10 3.25 CALL           (367 )
 
  317U395B1 IRO USD 7Y   FEB10 3.5 PUT           (64,431 )
 
  317U428B2 IRO USD 10Y   JUL12 10.0 PUT           (447 )
 
  Ace Ina Hldg Inc   5.7% 15 FEB 2017           316,604  
 
  Ace Ina Hldg Inc   5.6% 15 MAY 2015           194,178  
 
  Aep Tex Cent Transition   4.98% 01 JUL 2015           310,916  
 
  American Gen Fin Corp   4.875% 15 JUL 2012           152,327  
 
  Aetna Inc   6.0% 15 JUN 2016           128,361  
 
  Agilent Technologies Inc   6.5% 01 NOV 2017           522,711  

47


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Alcoa Inc   6.75% 15 JUL 2018           124,716  
 
  Allied Waste   7.25% 15 MAR 2015           214,644  
 
  Allied Waste   7.125% 15 MAT 2016           145,835  
 
  Allied World Assurn   7.5% 01 AUG 2016           172,336  
 
  Allstate Corp   6.125% 15 MAY 2067           306,341  
 
  Allstate Life Gbl Fdg   6.375% 30 APR 2013           558,592  
 
  Altria Group Inc   9.7% 10 NOV 2018           755,685  
 
  Altria Group Inc   9.7% 10 NOV 2018           1,154,686  
 
  Amer Express Credit   5.125% 25 AUG 2014           401,956  
 
  Ameren Corporation   8.875% 15 MAY 2014           230,711  
 
  American Express Bk   5.55% 17 OCT 2012           418,404  
 
  American Express Bk   1.0% 12 JUN 2012           664,245  
 
  American Express Centurion   5.55% 17 OCT 2012           862,958  
 
  American Express Co   5.5% 12 SEP 2016           354,749  
 
  American Express Co   6.15% 28 AUG 2017           557,108  
 
  American Express Co   7.25% 20 MAY 2014           270,397  
 
  American Express Co   8.125% 20 MAY 2019           417,279  
 
  American Express Corp   1.0% 04 OCT 2010           292,665  
 
  American Express Cr Corp   1.0% 02 DEC 2010           292,342  
 
  American Express Cr Corp   7.3% 20 AUG 2013           500,167  
 
  American Gen Fin Corp   4.875% 15 MAY 2010           868,114  
 
  American Honda Fin Corp   4.625% 02 APR 2013           552,722  
 
  American Honda Fin Corp   7.625% 01 OCT 2018           229,243  
 
  American Transmission   5.25% 15 JAN 2022           173,849  
 
  Americredit Automobile   3.43% 06 JUL 2011           76,149  
 
  Americredit Automobile Receiv   4.47% 12 JAN 2012           52,934  
 
  Americredit Prime Automobile   5.35% 09 SEP 2013           105,316  
 
  Ameriprise Finl Inc   5.65% 15 NOV 2015           92,819  
 
  Amgen Inc   4.85% 18 NOV 2014           642,333  
 
  Amgen Inc   6.4% 01 FEB 2039           134,155  
 
  Amvescap Plc   5.375% 15 DEC 2014           148,655  
 
  Anadarko Pete Corp   5.95% 15 SEP 2016           81,467  
 
  Anadrako Pete Corp   8.7% 15 MAR 2019           358,919  
 
  Anheuser Busch Cos   6.45% 01 SEP 2037           832,624  
 
  Anheuser Busch Inbev   5.375% 15 NOV 2014           1,190,905  
 
  Apache Corp   5.25% 15 APR 2013           209,642  
 
  Arcelor Mittal USA Inc   6.5% 15 APR 2014           208,784  
 
  Arcelormittal   6.125% 01 JUN 2018           373,419  
 
  Assurant Inc   5.625% 15 FEB 2014           205,587  
 
  AT&T Corp   7.3% 15 NOV 2011           484,631  
 
  AT&T Inc   4.85% 15 FEB 2014           1,419,613  
 
  AT&T Wireless   7.875% 01 MAR 2011           189,156  
 
  Autozone Inc   5.75% 15 JAN 2015           540,982  
 
  Avalonbay Cmntys Inc   5.5% 15 JAN 2012           169,626  
 
  BA Cr Card Tr   1.0% 16 DEC 2013           997,345  
 
  BA Cr Card Tr   1.0% 15 SEP 2012           550,282  
 
  Baker Hughes Inc   6.5% 15 NOV 2013           193,210  
*
  Banc Amer Coml Mtg   5.334% 10 SEP 2045           667,573  
*
  Banc Amer Coml Mtg   5.492% 10 FEB 2051           528,099  

48


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
*
  Bank Amer Corp   5.42% 15 MAR 2017           289,646  
*
  Bank Amer Corp   5.49% 15 MAR 2019           831,707  
*
  Bank Amer Corp   7.375% 15 MAY 2014           338,509  
*
  Bank Amer Corp   5.75% 01 DEC 2017           1,101,752  
*
  Bank Amer Corp   4.5% 01 AUG 2010           654,057  
*
  Bank Amer Fdg Corp   1.000% 25 MAY 2035           278,241  
*
  Bank Amer Fdg Corp   5.65% 01 MAY 2018           928,802  
 
  Bank New York Inc   4.95% 01 NOV 2012           379,222  
 
  Bank New York Inc   4.5% 01 APR 2013           573,257  
*
  Bank of America Corp   7.375% 15 MAY 2014           144,282  
 
  Barclays Bank   5.2% 10 JUL 2014           679,100  
 
  Barclays Bank Plc   6.75% 22 MAY 2019           169,106  
 
  Barclays Bank Plc   5.0% 22 SEP 2016           319,819  
 
  Bayview Finl Secs   1.0% 28 DEC 2035           145,586  
 
  Bayview Finl Secs   5.208% 28 APR 2039           317,784  
 
  Bear Stearns Alt A   1.0% 25 FEB 2036           234,871  
 
  Bear Stearns Alt A   1.0% 25 MAY 2036           86,783  
 
  Bear Stearns Alt A   1.0% 25 JAN 2047           138,611  
 
  Bear Stearns Arm Tr   1.000% 25 AUG 2033           188,279  
 
  Bear Stearns Coml Mtg   1.0% 11 JUN 2040           902,400  
 
  Bear Stearns Coml Mtg   4.24% 13 AUG 2039           364,456  
 
  Bear Stearns Coml Mtg   4.484% 11 JUN 2041           244,822  
 
  Bear Stearns Coml Mtg   1.0% 11 SEP 2038           225,583  
 
  Bear Stearns Coml Mtg   5.5 18% 11 SEP 2041           126,884  
 
  Bear Stearns Coml Mtg   5.533% 12 OCT 2041           200,787  
 
  Bear Stearns Coml Mtg Secs   1.0% 11 SEP 2038           253,266  
 
  Bear Stearns Cos Inc   5.3% 30 OCT 2015           827,598  
 
  Bear Stearns Cos Inc   5.35% 01 FEB 2012           540,438  
 
  Bear Stearns Cos Inc   5.55% 22 JAN 2017           327,760  
 
  Bear Stearns Tr   5.54% 11 SEP 2041           652,539  
 
  Berkshire Hathaway   5.4% 15 MAY 2018           592,708  
 
  Berkshire Hathaway Fin Corp   4.2% 15 DEC 2010           278,467  
 
  BHP Fin USA Ltd   7.25% 01 MAR 2016           266,421  
 
  BK Cap Mkts Plc   3.875% 10 MAR 2015           1,014,963  
 
  Boeing Co   5.125% 15 FEB 2013           475,679  
 
  Boeing Co   6.0% 15 MAR 2019           366,183  
 
  Boston Pptys Ltd Partnership   6.25% 15 JAN 2013           312,721  
 
  Boston Pptys Ltd Partnership   5.0% 01 JUN 2015           166,039  
 
  Boston Pptys Ltd Partnership   5.625% 15 APR 2015           130,887  
 
  Boston Scientific   4.5% 15 JAN 2015           416,541  
 
  Bottling Group LLC   6.95% 15 MAR 2014           517,689  
 
  Bottling Group LLC   6.95% 15 MAR 2014           343,250  
 
  British Telecommunications   1.0% 15 DEC 2010           654,912  
 
  British Telecommunications   1.0% 15 DEC 2010           151,940  
 
  Bunge Ltd Fin Corp   5.875% 15 MAY 2013           117,085  
 
  Bunge Ltd Fin Corp   8.5% 15 JUN 2019           279,851  
 
  Burlington Northern   7.0% 01 FEB 2014           327,462  
 
  Burlington Rs Fin   6.5% 01 DEC 2011           224,802  
 
  California St   5.0% 01 NOV 2037           440,889  

49


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Campbell Soup Co   6.75% 15 FEB 2011           307,002  
 
  Canadian Nat Res Ltd   5.15% 01 FEB 2013           98,894  
 
  Canadian Pac Ry Co   6.5% 15 MAY 2018           64,473  
 
  Capital Auto Receivables   5.42% 15 DEC 2014           601,137  
 
  Capital One Auto Fin Tr   5.13% 16 APR 2012           287,409  
 
  Capital One Bank   8.8% 15 JUL 2019           589,452  
 
  Capital One Multi Asset   5.05% 15 FEB 2016           761,032  
 
  Capital One Multi Asset   1.0% 15 MAR 2017           543,044  
 
  Carolina Power & Lt Co   6.5% 15 JUL 2012           686,316  
 
  Carolina Pwr & Lt Co   6.5% 15 JUL 2012           144,770  
 
  Caterpillar Financial   7.05% 01 OCT 2018           319,097  
 
  Caterpillar Financial   6.125% 17 FEB 2014           316,989  
 
  Caterpillar Financial   6.125% 17 FEB 2014           765,147  
 
  Caterpillar Financial   7.15% 15 FEB 2019           486,356  
 
  CCCIT 2009   2.25% 23 DEC 2014           475,286  
 
  CCCIT 2009 A5   2.25% 23 DEC 2014           484,985  
 
  CDP Financial   3.0% 25 NOV 2014           691,969  
 
  Cellco Part/Veri Wireless   5.55% 01 FEB 2014           647,522  
 
  Centerpoint Energy   5.09% 01 AUG 2014           1,419,334  
 
  Centerpoint Energy   5.17% 01 AUG 2019           376,900  
 
  CHAIT 2009 A8   1.0% 17 SEP 2012           1,272,046  
 
  Chase Issuance   1.0% 16 JUN 2014           1,252,564  
 
  Chesapeake Energy   7.5% 15 JUN 2014           59,860  
 
  Chesapeake Energy   9.5% 15 FEB 2015           348,876  
 
  Cincinnati Finl Corp   6.125% 01 NOV 2034           41,447  
 
  Cisco Sys Inc   5.25% 22 FEB 2011           338,695  
 
  Cisco Systems Inc   2.9% 17 NOV 2014           1,493,767  
 
  Citibank Cr Card Issuance   5.35% 07 FEB 2020           492,286  
 
  Citibank Cr Card Issuance   6.3% 20 JUN 2014           1,014,855  
 
  Citibank Cr Card Issuance   1.0% 09 JAN 2012           293,357  
 
  Citifinancial Mtg Secs   3.36% 25 JAN 2033           81,314  
 
  Citigroup Coml Mtg   5.431% 15 OCT 2049           208,908  
 
  Citigroup Inc   6.625% 15 JUN 2032           88,944  
 
  Citigroup Inc   6.0% 31 OCT 2033           424,998  
 
  Citigroup Inc   5.85% 11 DEC 2034           241,625  
 
  Citigroup Inc   6.125% 25 AUG 2036           289,391  
 
  Citigroup Inc   5.5% 15 FEB 2017           509,084  
 
  Citigroup Inc   8.125% 15 JUL 2039           275,983  
 
  Citigroup Inc   6.125% 21 NOV 2017           2,563,342  
 
  Citigroup Inc   5.5% 11 APR 2013           202,812  
 
  Citigroup Inc   5.3% 17 OCT 2012           1,054,592  
 
  Citigroup Inc   6.5% 18 JAN 2011           639,259  
 
  Citigroup Inc   4.625% 03 AUG 2010           124,749  
 
  Citigroup Inc   6.5% 19 AUG 2013           291,722  
 
  Citigroup Inc   1.0% 05 MAY 2011           2,404,648  
 
  Citigroup Inc   5.85% 02 JUL 2013           1,077,350  
 
  Citigroup Inc   5.5% 11 APR 2013           517,171  
 
  Citigroup Mtg   1.0% 25 MAY 2035           316,814  
 
  Citigroup Mtg   1.0% 25 MAR 2036           347,189  

50


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Citigroup Mtg Ln Tr   1.0% 25 MAY 2037           32,573  
 
  Citigroup Mtg Ln Tr   1.0% 25 AUG 2035           356,845  
 
  Citigroup Residential Mtg Tr   1.0% 25 JUN 2037           47,427  
 
  City Natl Corp   5.125% 15 FEB 2013           240,213  
 
  Cleveland Elec   5.7% 01 APR 2017           398,321  
 
  Clorox Co   5.95% 15 OCT 2017           499,533  
 
  CNH Equip Tr   5.4% 17 OCT 2011           109,412  
 
  CNH Equip Tr   5.42% 17 MAR 2014           361,139  
 
  Coca Cola Co   5.35% 15 NOV 2017           347,699  
 
  Comcast Corp   4.95% 15 JUN 2016           356,593  
 
  Comcast Corp   4.95% 15 JUN 2016           647,894  
 
  Comcast Corp   5.85% 15 NOV 2015           1,010,282  
 
  Comcast Corp   6.3% 15NOV 2017           503,020  
 
  Comm 2001 J2   5.447% 16 JUL 2034           352,707  
 
  Comm Mtg Tr   1.0% 10 DEC 2049           651,954  
 
  Comm Mtg Tr   1.0% 10 DEC 2049           660,824  
 
  Commercial Mtg Asset Tr   1.0% 17 NOV 2032           263,232  
 
  Commercial Mtg Asset Tr   1.0% 17 NOV 2032           35,460  
 
  Commercial Mtg Ttr   5.736% 10 DEC 2049           173,645  
 
  Commercial Net Lease   6.15% 15 DEC 2015           172,674  
 
  Conagra Inc   7.875% 15 SEP 2010           11,263  
 
  Conoco Fdg Co   6.35% 15 OCT 2011           276,675  
 
  ConocoPhillips   5.75% 01 FEB 2019           727,992  
 
  ConocoPhillips Australia Fdg   5.5% 15 APR 2013           504,530  
 
  Consolidated Edison Co NY   5.3% 01 DEC 2016           814,854  
 
  Consumers Energy   5.375% 15 APR 2013           325,569  
 
  Corning Inc   6.2% 15 MAR 2016           176,470  
 
  Countrywide Alternative Ln Tr   1.000% 25 JUN 2037           1,334  
 
  Countrywide Finl Corp   6.25% 15 MAY 2016           72,627  
 
  Countrywide Finl Corp   5.8% 07 JUN 2012           140,166  
 
  Countrywide Home Loans Inc   4.0% 22 MAR 2011           263,716  
 
  Coventry Health Care Inc   6.125% 15 JAN 2015           28,029  
 
  Coventry Health Care Inc   5.95% 15 MAR 2017           75,388  
 
  Coventry Health Care Inc   6.3% 15 AUG 2014           248,737  
 
  Cox Communications   5.45% 15 DEC 2014           1,021,693  
 
  CPL Transition   5.96% 15 JUL 2015           344,725  
 
  Credit Suisee USA   5.5% 16 AUG 2011           722,208  
 
  Credit Suisee NY   6.0% 15 FEB 2018           445,189  
 
  Credit Suisse Coml Mtg   5.3 11% 15 DEC 2039           277,422  
 
  Credit Suisse Coml Mtg   5.467% 15 SEP 2039           636,702  
 
  Credit Suisse First Boston   5.5% 15 AUG 2013           148,759  
 
  Credit Suisse First Boston   1.0% 15 JAN 2037           309,052  
 
  Credit Suisse First Boston   1.0% 15 FEB 2038           287,977  
 
  Credit Suisse First Boston   1.0% 15 FEB 2039           619,045  
 
  Credit Suisse First Boston Mtg   6.38% 18 DEC 2035           690,748  
 
  Credit Suisse First Boston Mtg   1.0% 25 JAN 2036           4,298  
 
  CSMC 2006 C3 A3   1.0% 15 JUN 2038           487,515  
 
  CSX Corp   6.15% 01 MAY 2037           133,784  
 
  CWABS Inc   4.615% 25 FEB 2035           316,780  

51


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Cwalt Alternative Ln Tr   1.0% 25 JUL 2021           397,792  
 
  Cwalt Inc   1.0% 25 DEC 2035           86,974  
 
  Cweq Home Equity Ln Tr   1.0% 25 JUN 2035           37,099  
 
  DaimlerChrysler Auto   4.71% 10 SEP 2012           251,102  
 
  DB Master Fin LLC   6.75% 05 NOV 2019           94,304  
 
  Deere John Cap Corp   5.25% 01 OCT 2012           369,700  
 
  Delhaize Group   6.5% 15 JUN 2017           286,807  
 
  Dell Inc   5.625% 15 APR 2014           234,428  
 
  Delta Air Lines   7.75% 17 DEC 2019           758,224  
 
  Detroit Edison   6.19% 01 MAR 2013           438,489  
 
  Deutsche Bank   5.375% 12 OCT 2012           728,580  
 
  Deutsche Telekom   8.5% 15 JUN 2010           404,318  
 
  Devon Energy   5.625% 15 JAN 2014           707,947  
 
  Diaego Cap Plc   7.375% 15 JAN 2014           475,221  
 
  Diageo Cap   7.375% 15 JAN 2014           752,434  
 
  Diaggeo Cap Plc   7.375% 15 JAN 2014           350,759  
 
  Directv Holding Fing   4.75% 01 OCT 2014           144,567  
 
  Discover Card   1.0% 16 OCT 2014           570,897  
 
  Discover Financial   10.25% 15 JUL 2019           686,256  
 
  Discovery Communications   5.625% 15 AUG 2019           222,182  
 
  Disney Walt Co   5.5% 15 MAR 2019           293,428  
 
  DLJ Coml Mtg Corp   7.18% 10 NOV 2033           499,036  
 
  Dominion Re Sinc Del   5.7% 17 SEP 2012           465,056  
 
  Donnelley RR & Sons   4.95% 01 APR 2014           88,056  
 
  Donnelley RR & Sons   5.5% 15 MAY 2015           326,720  
 
  Dow Chem Co   8.55% 15 MAY 2019           857,757  
 
  Dr Pepper Snapple Group   2.35% 21 DEC 2012           279,056  
 
  Du Pont   5.875% 15 JAN 2014           220,411  
 
  Du Pont E I   5.0% 15 JAN 2013           288,057  
 
  Duke Cap Corp   8.0% 01 OCT 2019           400,642  
 
  Duke Cap LLC   5.668% 15 AUG 2014           714,644  
 
  Duke Energy   5.1% 15 APR 2018           505,925  
 
  Duke Energy Corp   5.65% 15 JUN 2013           734,453  
 
  Duke Energy Corp   5.65% 15 JUN 2013           577,070  
 
  Duke Energy Field Svcs LLC   7.875% 16 AUG 2010           81,349  
 
  Dule Weks Realty   6.95% 15 MAR 2011           16,863  
 
  Echostar Dbs Corp   7.75% 31 MAY 2015           368,842  
 
  Edison Mission Energy   7.0% 15 MAY 2017           84,997  
 
  El Paso Corp   7.75% 15 JUN 2010           395,343  
 
  El Paso Corp   8.25% 15 FEB 2016           344,560  
 
  Electronic Data Syst Corp   6.0% 01 AUG 2013           508,170  
 
  Embarq Corp   7.995% 01 JUN 2036           668,109  
 
  Embarq Corp   7.082% 01 JUN 2016           405,146  
 
  Encana Corp   6.5% 15 MAY 2019           465,009  
 
  Enel Finance Intl   3.875% 07 OCT 2014           509,856  
 
  Energy Transfer Partners   6.0% 01 JUL 2013           705,894  
 
  Energy Transfer Partners LP   6.7% 01 JUL 2018           248,199  
 
  Energy Transfer Partners LP   7.5% 01 JUL 2038           248,631  
 
  Entergy Gulf   5.51% 01 OCT 2013           173,186  

52


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Enterprise Prods   5.6% 15 OCT 2014           135,396  
 
  Enterprise Prods   5.6% 15 OCT 2014           499,925  
 
  EQT Corp   8.125% 01 JUN 2019           237,315  
 
  EQT Corp   8.125% 01 JUN 2019           152,560  
 
  Equifax Inc   7.0% 01 JUL 2037           235,616  
 
  ERP Oper Ltd Partnership   5.25% 15 SEP 2014           412,832  
 
  European Investment Bank   5.125% 30 MAY 2017           337,341  
 
  Express Scripts Inc   6.25% 15 JUN 2014           101,387  
 
  Federal Rlty Invt   5.65% 01 JUN 2016           263,979  
 
  Federal Rlty Invt   6.0% 15 JUL 2012           127,574  
 
  Federal Rlty Invt Tr   5.4% 01 DEC 2013           639,565  
 
  First Energy Corp   6.45% 15 NOV 2011           10,488  
 
  First Nationwide Trust   1.0% 25 AUG 2032           36,776  
 
  First Un Natl Bk   6.663% 12 JAN 2043           262,527  
 
  Ford Cr Auto   5.4% 15 AUG 2011           386,763  
 
  Ford Cr Auto Tr   5.8% 15 FEB 2013           103,025  
 
  Fortune Brands Inc   4.875% 01 DEC 2013           171,839  
 
  Fortune Brands Inc   5.375% 15 JAN 2016           170,372  
 
  Four Times Square Tr   7.795% 15 APR 2015           324,143  
 
  FPL Group Cap Inc   5.625% 01 SEP 2011           624,260  
 
  FPL Group Inc   1.0% 09 NOV 2012           751,856  
 
  France Telecom Sa   8.5% 01 MAR 2031           494,635  
 
  Freeport Mcmoran   8.375% 01 APR 2017           406,988  
 
  Gaz Capital Sa   6.212% 22 NOV 2016           605,640  
 
  GCCFC 2006 GG7   1.0% 10 JUL 2038           780,303  
 
  GE Coml Mtg Corp   3.915% 10 NOV 2038           242,099  
 
  General Mills Inc   5.65% 10 SEP 2012           351,138  
 
  General Dynamics Corp   5.25% 01 FEB 2014           877,917  
 
  General Elec Cap   5.875% 14 JAN 2038           2,232,321  
 
  General Elec Cap Corp   6.15% 07 AUG 2037           1,108,373  
 
  General Elec Cap Corp   5.875% 14 JAN 2038           543,364  
 
  General Elec Cap Corp   4.875% 04 MAR 2015           1,839,054  
 
  General Elec Cap Corp   5.875% 14 JAN 2038           67,921  
 
  General Elec Cap Corp   4.8% 01 MAY 2013           1,262,638  
 
  General Elec Cap Corp   5.875% 14 JAN 2038           1,326,714  
 
  General Mills   5.65% 10 SEP 2012           973,609  
 
  Genworth Finl Inc   6.5 15% 22 MAY 2018           308,793  
 
  Georgia Pwr Co   6.0% 01 NOV 2013           320,723  
 
  Glaxosmithkline Cap   6.375% 15 MAY 2038           270,904  
 
  Goldman Sachs Group   5.7% 01 SEP 2012           762,777  
 
  Goldman Sachs Group   6.75% 01 OCT 2037           527,823  
 
  Goldman Sachs Group   6.15% 01 APR 2018           1,444,937  
 
  Goldman Sachs Group   5.625% 15 JAN 2017           189,809  
 
  Goldman Sachs Group   6.75% 01 OCT 2037           261,398  
 
  Goldman Sachs Group Inc   6.75% 01 OCT 2037           603,226  
 
  Goldman Sachs Group Inc   6.25% 01 SEP 2017           944,036  
 
  Goldman Sachs Group Inc   7.5% 15 FEB 2019           456,987  
 
  Goldman Sachs Group Inc   4.75% 15 JUL 2013           649,811  
 
  Goodrich Corp   4.875% 01 MAR 2020           744,954  

53


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Greenewich Cap Coml   4.883% 10 JUN 2036           381,250  
 
  Greenwich Cap Coml Fdg   4.022% 05 JAN 2036           95,578  
 
  Greenwich Capital Comm Fund   5.444% 10 MAR 2039           976,541  
 
  Greenwich Capital Fnd   5.444% 10 MAR 2039           401,851  
 
  GS Mtg Secs   1.0% 03 MAY 2018           755,556  
 
  GS Mtg Secs   1.0% 03 MAY 2018           489,370  
 
  GS Mtg Secs Corp   1.0% 25 DEC 2035           205,606  
 
  GS Mtg Secs Corp   1.0% 06 MAR 2020           133,448  
 
  GS Mtg Secs Corp II   4.751% 10 JUL 2039           710,223  
 
  GS Mtg Secs TR   5.479% 10 NOV 2039           1,293,933  
 
  GSMS 2004 GG2   1.0% 10 AUG 2038           350,822  
 
  Guardian Life Insurance   7.375% 30 SEP 2039           195,072  
 
  Hanover Ins Group   7.625% 15 OCT 2025           122,140  
 
  Harley Davidson Motorcycle   5.52% 15 NOV 2013           246,485  
 
  Hasbro Inc   6.125% 15 MAY 2014           287,525  
 
  Health Care Ppty Invs Inc   5.95% 15 SEP 2011           338,057  
 
  Healthcare Rlty   8.125% 01 MAY 2011           297,982  
 
  Healthcare Rlty   5.125% 01 APR 2014           226,501  
 
  Healthcare Rlty Tr Inc   5.125% 01 APR 2014           167,045  
 
  Heinz HJ Fin   6.0% 15 MAR 2012           346,234  
 
  Hess Corp   7.0% 15 FEB 2014           214,582  
 
  Home Dept Inc   5.875% 16 DEC 2036           472,059  
 
  Home Equity Asset Tr   1.0% 25 JUL 2035           135,185  
 
  Hospira Inc   5.55% 30 MAR 2012           1,016,461  
 
  Household Fin Corp   7.0% 15 MAY 2012           164,850  
 
  Hrpt Pptys Tr   1.0% 16 MAR 2011           125,358  
 
  HSBC Fin Corp   6.75% 15 MAY 2011           852,830  
 
  HSBC Hldgs Plc   6.8% 01 JUN 2038           371,526  
 
  HSI Asset Securitization Corp   1.0% 25 JAN 2036           53,818  
 
  Humana Inc   7.2% 15 JUN 2018           190,065  
 
  Huntington Natl Bk   4.375% 15 JAN 2010           244,551  
 
  Husky Energy   7.25% 15 DEC 2019           559,495  
 
  Hyundai Receivables Tr   5.25% 15 MAY 2013           318,448  
 
  Indymac Mbs Inc   1.0% 25 MAY 2036           129,842  
 
  International Paper   5.3% 01 APR 2015           302,498  
 
  International Paper   7.95% 15 JUN 2018           236,912  
 
  Intl Bk Recon & Develop   9.25% 15 JUL 2017           164,877  
 
  Intl Lease Fin Corp   5.75% 15 JUN 2011           89,868  
 
  Intl Lease Fin Corp   5.4% 15 FEB 2012           510,306  
 
  Jefferies Group Inc   7.75% 15 MAR 2012           71,939  
 
  Jefferies Group Inc   6.25% 15 JAN 2036           272,805  
 
  Johnson & Johnson   5.55% 15 AUG 2017           339,838  
 
  JP Morgan Chase   6.75% 01 FEB 2011           252,779  
 
  JP Morgan Chase & Co   5.75% 02 JAN 2013           542,429  
 
  JP Morgan Chase & Co   6.0% 15 JAN 2018           872,706  
 
  JP Morgan Chase Bank   6.0% 01 OCT 2017           523,613  
 
  JP Morgan Chase Coml Mtg   4.184% 12 JAN 2037           502,664  
 
  JP Morgan Chase Coml Mtg   4.625% 15 MAR 2046           258,366  
 
  JP Morgan Chase Coml Mtg   6.26% 15 MAR 2033           668,210  

54


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  JP Morgan Chase Coml Mtg   1.0% 15 APR 2045           1,147,819  
 
  JP Morgan Chase Coml Mtg   1.0% 12 FEB 2049           363,725  
 
  JP Morgan Chase Coml Mtg   1.0% 12 DEC 2044           221,398  
 
  JP Morgan Chase Coml Mtg   1.0% 12 JUN 2043           654,180  
 
  JP Morgan Chase Coml Mtg   5.552% 12 MAY 2045           488,093  
 
  JP Morgan Chase Coml Mtg   5.429% 12 DEC 2043           586,713  
 
  JP Morgan Chase Coml Mtg   1.0% 15 JUN 2049           753,825  
 
  JP Morgan Chase Coml Mtg   4.302% 15 JAN 2038           422,752  
 
  JP Morgan Chase Coml Mtg   5.198% 15 DEC 2044           418,774  
 
  JP Morgan Chase Coml Mtg   5.437% 12 DEC 2044           547,251  
 
  JP Morgan Chase & Co   5.125% 15 SEP 2014           717,007  
 
  JP Morgan Chase & Co   4.75% 01 MAY 2013           366,504  
 
  Kellogg Co   5.125% 03 DEC 2012           705,895  
 
  Kinder Morgan Energy   6.85% 15 FEB 2020           672,690  
 
  Kinder Morgan Energy Partners   5.0% 15 DEC 2013           729,042  
 
  Kraft Foods Inc   7.0% 11 AUG 2037           406,258  
 
  Kraft Foods Inc   6.5% 11 AUG 2017           265,323  
 
  Kraft Foods Inc   6.75% 19 FEB 2014           719,275  
 
  Kraft Foods Inc   6.0% 11 FEB 2013           125,871  
 
  Kraft Foods Inc   6.125% 01 FEB 2018           879,379  
 
  Kreditanstalt Fur   4.875% 17 JAN 2017           292,594  
 
  Kreditanstalt Fur Wiederaufbau   3.5% 10 MAR 2014           1,889,708  
 
  Kroger Co   6.4% 15 AUG 2017           122,878  
 
  Kroger Co   6.75% 15 APR 2012           411,290  
 
  Kroger Co   6.2% 15 JUN 2012           282,369  
 
  Kroger Co   6.4% 15 AUG 2017           154,933  
 
  L 3 Communications   6.375% 15 OCT 2015           196,354  
 
  Lafarge Sa   6.15% 15 JUL 2011           170,217  
 
  LB UBS   5.372% 15 SEP 2039           666,650  
 
  LB UBS Coml Mtg   5.3% 15 NOV 2038           646,411  
 
  LB UBS Coml Mtg   4.647% 15 JUL 2030           835,129  
 
  LB UBS Coml Mtg   5.424% 15 FEB 2040           336,148  
 
  LB UBS Coml Mtg Mtg   6.365% 15 DEC 2028           398,346  
 
  LB UBS Coml Mtg Tr   1.0% 15 APR 2041           321,401  
 
  LB UBS Coml Mtg Tr   1.0% 15 JUN 2029           180,287  
 
  LB UBS Coml Mtg Tr   1.0% 15 JU 2038           652,765  
 
  Liberty Ppty Ltd   5.5% 15 DEC 2016           63,206  
 
  Liberty Ppty Ltd   6.625% 01 OCT 2017           37,941  
 
  Lilly Eli & Co   4.2% 06 MAR 2014           836,187  
 
  Limited Inc   5.25% 01 NOV 2014           302,037  
 
  Limited Inc   6.9% 15 JUL 2017           42,983  
 
  Lincoln Natl Corp   8.75% 01 JUL 2019           113,993  
 
  Lincoln Natl Corp   1.0% 12 MAR 2020           263,660  
 
  Lincoln Natl Corp   6.25% 15 FEB 2020           231,336  
 
  LSI Open Position Net Asset   0.01% 31 DEC 2060           16,695  
 
  Lubrizol Corp   8.875% 01 FEB 2019           328,335  
 
  M & I Marshall & Ilsley Bk   6.375% 01 SEP 2011           300,047  
 
  M&T Bank Corp   5.375% 24 MAY 2012           224,376  
 
  Mack Cali Rlty   5.125% 15 JAN 2015           186,969  

55


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Mack Cali Rlty   5.05% 15 APR 2010           137,756  
 
  Mack Cali Rlty   5.25% 15 JAN 2012           200,224  
 
  Macys Retail Hldgs   5.35% 15 MAR 2012           799,108  
 
  Manufacturers & Traders   1.0% 28 DEC 2020           217,541  
 
  Marathon Oil Corp   6.5% 15 FEB 2014           210,978  
 
  Marathon Oil Corp   7.5% 15 FEB 2019           558,777  
 
  Masco Corp   1.0% 12 MAR 2010           150,987  
 
  Masco Corp   6.125% 03 OCT 2016           410,112  
 
  Mass Mutual Global   3.625% 16 JUL 2012           219,129  
 
  Mass Mutual Life Ins   8.875% 01 JUN 2039           389,867  
 
  Master Asset Backed Secs   1.0% 25 AUG 2036           326,381  
 
  MBNA Corp   6.125% 01 MAR 2013           103,766  
 
  MBNA Corp ST Mtn   7.5% 15 MAR 2012           379,144  
 
  MBNA Cr Card Master Nt   1.0% 16 AUG 2021           486,630  
 
  MBNA Cr Card Master Nt   4.45% 15 AUG 2016           544,839  
 
  McGraw Hill   6.55% 15 NOV 2037           177,748  
 
  McKesson Corp   6.5% 15 FEB 2014           259,666  
 
  Medco Health Solutions   6.125% 15 MAR 2013           701,093  
 
  Medco Health Solutions   7.25% 15 AUG 2013           92,363  
 
  Merril Lynch Mtg   1.0% 25 AUG 2036           200,126  
 
  Merril Lynch Mtg   1.0% 12 NOV 2037           329,195  
 
  Merril Lynch Mtg Tr   5.403% 12 JUL 2034           207,687  
 
  Merril Lynch Mtg Tr   1.0% 12 NOV 2037           197,364  
 
  Merrill Lynch & Co   6.875% 25 APR 2018           1,264,611  
 
  Merrill Lynch & Co Inc   5.45% 05 FEB 2013           1,039,519  
 
  Merrill Lynch & Co Inc   6.875% 25 APR 2018           790,382  
 
  Merrill Lynch & Co Inc   6.050% 16 MAY 2016           498,385  
 
  Met Life Global Funding   5.125% 10 JUN 2014           310,536  
 
  Metlife Inc   6.75% 01 JUN 2016           334,072  
 
  Metlife Inc   7.717% 15 FEB 2019           135,629  
 
  Metlife Inc   5.0% 15 JUN 2015           977,308  
 
  Mid St Tr IV   8.33% 01 APR 2030           444,088  
 
  MidAmerican Fdg LLV   6.75% 01 MAR 2011           459,710  
 
  MidAmerican Energy   6.5% 15 SEP 2037           410,214  
 
  ML CFC Coml Mtg   1.0% 12 FEB 2039           2,589,392  
 
  ML CFC Coml Mtg   5.7% 12 SEP 2049           614,213  
 
  ML CFC Coml Mtg   1.0% 12 JUN 2046           364,882  
 
  Mohawk Inds Inc   1.0% 15 JAN 2016           374,686  
 
  Morgan Stanley   5.95% 28 DEC 2017           701,152  
 
  Morgan Stanley   5.25% 02 NOV 2012           322,602  
 
  Morgan Stanley   5.45% 09 JAN 2017           430,033  
 
  Morgan Stanley   5.3% 01 MAR 2013           381,438  
 
  Morgan Stanley   5.75% 18 OCT 2016           334,897  
 
  Morgan Stanley Cap I   1.0% 11 JUN 2042           500,496  
 
  Morgan Stanley Cap I   5.569% 15 DEC 2044           295,913  
 
  Morgan Stanley Cap I   4.89% 12 JUN 2047           1,187,857  
 
  Morgan Stanley Cap I   4.989% 13 AUG 2042           994,116  
 
  Morgan Stanley Cap I   1.0% 12 AUG 2041           661,087  
 
  Morgan Stanley Cap I   4.809% 14 JAN 2042           49,848  

56


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Morgan Stanley Cap I   5.090%12 OCT 2052           325,606  
 
  Morgan Stanley Cap I   5.325% 15 DEC 2043           243,673  
 
  Morgan Stanley Cap I TR   1.0% 11 JUN 2042           396,619  
 
  Morgan Stanley Cap I TR   5.569% 15 DEC 2044           491,855  
 
  Morgan Stanley Dean Witter Cap   1.0% 03 SEP 2015           594,142  
 
  Morgan Stanley Group   6.25% 28 AUG 2017           102,073  
 
  Morgan Stanley Group   6.625% 01 APR 2018           1,374,738  
 
  Morgan Stanley Group   1.0% 15 OCT 2015           1,284,136  
 
  Morgan Stanley Group   6.75% 15 APR 2011           476,689  
 
  Morgan Stanley Group   5.75% 18 OCT 2016           309,526  
 
  Morgan Stanley Group Inc   5.3% 01 MAR 2013           685,557  
 
  Motorola Inc   7.625% 15 NOV 2010           26,347  
 
  Nabors Inds Inc   9.25% 15 JAN 2019           431,242  
 
  National Grid Plc   6.3% 01 AUG 2016           531,868  
 
  Nationwide Health Pptys Inc   6.5% 15 JUL 2011           320,350  
 
  Natl City Bank   6.25% 15 MAR 2011           285,992  
 
  Natl City Bk   1.0% 18 JUN 2010           292,984  
 
  Nevada Pwr Co   6.75% 01 JUL 2037           172,116  
 
  Nevada Pwr Co   6.5% 01 AUG 2018           262,027  
 
  New York Life Global   5.25% 16 OCT 2012           398,603  
 
  New York Life Global   4.65% 09 MAY 2013           693,472  
 
  News Amer Hldgs   7.7% 30 OCT 2025           398,414  
 
  News Amer Hldgs   6.65% 15 NOV 2037           1,415,449  
 
  News Amer Hldgs Inc   9.25% 01 FEB 2013           233,945  
 
  News Amer Inc   6.4% 15 DEC 2035           85,370  
 
  News America Inc   7.85% 01 MAR 2039           491,968  
 
  Niagara Mohawk Pwr Corp   3.553% 01 OCT 2014           365,665  
 
  Nisource Fin Corp   7.875% 15 NOV 2010           205,080  
 
  Nisource Fin Corp   6.8% 15 JAN 2019           387,030  
 
  Nisource Fin Corp   5.25% 15 SEP 2011           336,713  
 
  Nisource Finance Corp   6.125% 01 MAR 2022           364,343  
 
  Nissan Auto Receivables   5.05% 17 NOV 2014           283,637  
 
  Noble Energy Inc   8.25% 01 MAR 2019           406,053  
 
  Nomura Asset Accep Corp   1.0% 25 FEB 2035           157,789  
 
  Norfolk Southn Corp   6.75% 15 FEB 2011           149,845  
 
  Norfolk Southn Corp   5.75% 01 APR 2018           201,757  
 
  Northern Trust   4.625% 01 MAY 2014           333,531  
 
  Northrop Gruman Corp   7.125% 15 FEB 2011           160,486  
 
  Nucor Corp   5.0% 01 DEC 2012           373,641  
 
  Oracle Corp   4.95% 15 APR 2013           225,656  
 
  Oracle Corp   4.95% 15 APR 2013           341,108  
 
  Oracle Corp   4.95% 15 APR 2013           164,781  
 
  Oracle Corp   5.0% 15 JAN 2011           172,912  
 
  Owens Brockway Glass   6.75% 01 DEC 2014           300,032  
 
  Owens Corning   6.5% 01 DEC 2016           209,344  
 
  Pacific Bell   6.625% 15 OCT 2034           363,431  
 
  Pacific Gas & Elec   4.2% 01 MAR 2011           277,565  
 
  Pacific Gas & Elec   5.625% 30 NOV 2017           574,365  
 
  Pacific Gas & Elec   8.25% 15 OCT 2018           179,146  

57


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Packaging Corp Amer   5.75% 01 AUG 2013           36,688  
 
  Peco Energy Transitiion   6.52% 31 DEC 2010           421,055  
 
  Penny JC Inc   7.95% 01 APR 2017           251,115  
 
  Pepisco Onc   4.65% 15 FEB 2013           344,775  
 
  Petorbras Intl Fin Co   5.75% 20 JAN 2020           820,882  
 
  Petra Cre Cdo   1.0% 25 FEB 2047           2,445  
 
  Petro Cda   9.25% 15 OCT 2021           583,080  
 
  Petrobras Intl Fin Co   5.75% 20 JAN 2020           597,005  
 
  Pfizer Inc   7.2% 15 MAR 2039           304,770  
 
  Pfizer Inc   5.35% 15 MAR 2015           374,140  
 
  PG&E Receovery Fdg   4.14% 25 SEP 2012           483,402  
 
  PG&E Receovery Fdg   5.03% 25 MAR 2014           96,840  
 
  Philip Morris Intl   5.65% 16 MAY 2018           678,844  
 
  Pitney Bowes Inc   5.25% 15 JAN 2037           289,253  
 
  Plains All Amer Pipeline   5.75% 15 JAN 2020           420,897  
 
  PNC Funding Corp   5.4% 10 JUN 2014           533,486  
 
  PPG Inds Inc   5.75% 15 MAR 2013           308,071  
 
  Praxair Inc   4.625% 30 MAR 2015           551,339  
 
  Praxair Inc   6.375% 01 APR 2012           456,787  
 
  Premcor Refng Group Inc   7.5% 15 UN 2015           150,491  
 
  President & Fellows Harvard   5.0% 15 JAN 2014           914,011  
 
  Principal Financial Group   7.875% 15 MAY 2014           307,664  
 
  Proctor & Gamble   4.7% 15 FEB 2019           343,435  
 
  Progress Energy Inc   7.1% 01 MAR 2011           99,384  
 
  Prologis   5.5% 01 APR 2012           787,205  
 
  Prologis   6.625% 15 MAY 2018           454,526  
 
  Protcer & Gamble Profit   9.36% 01 JAN 2021           313,202  
 
  Prudential Finl Inc   5.15% 15 JAN 2013           205,788  
 
  Prudential Finl Inc   5.1% 14 DEC 2011           224,596  
 
  Prudential Finl Inc   6.625% 01 DEC 2037           110,287  
 
  Prudential Finl Inc   4.75% 17 SEP 2015           550,454  
 
  PSE&G Transition Fdg   6.45% 15 MAR 2013           494,699  
 
  PSE&G Transition Fdg   6.61% 15 JUN 2015           357,922  
 
  Public Svs Co   7.875% 01 OCT 2012           168,340  
 
  Quest Diagnostic Inc   4.75% 30 JAN 2020           286,710  
 
  Qwest Corp   8.875% 15 MAR 2012           136,690  
 
  Qwest Corp   7.5% 01 OCT 2014           314,961  
 
  RAAC   1.0% 25 AUG 2036           10,812  
 
  Range Resources Corp   8.0% 15 MAY 2019           209,314  
 
  Raytheon Co   6.4% 15 DEC 2018           250,144  
 
  Reed Elsevier Cap   7.75% 15 JAN 2014           734,971  
 
  Reed Elsevier Cap Inc   8.625% 15 JAN 2019           184,469  
 
  Reed Elsevier Cap Inc   8.625% 15 JAN 2019           737,876  
 
  Regency Ctrs LP   5.25% 01 AUG 2015           57,126  
 
  Regency Ctrs LP   5.875% 15 JUN 2017           131,244  
 
  Regions Finl Corp   6.375% 15 MAY 2012           298,093  
 
  Reliant Energy   5.63% 15 SEP 2015           236,699  
 
  Renaissance Home Equity Ln   1.0% 25 NOV 2034           276,884  
 
  Republic Svcs Inc   6.75% 15 AUG 2011           350,812  

58


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Residentiial Asset Sec Mtg   1.0% 25 MAY 2033           7,803  
 
  Reynolds Amern Inc   7.625% 01 JUN 2016           319,891  
 
  Reynolds Amern Inc   7.25% 01 JUN 2012           112,900  
 
  Rio Tinto Fin USA   5.875% 15 JUL 2013           343,007  
 
  Rio Tinto Fin USA Ltd   6.5% 15 JUL 2018           419,025  
 
  Roche Hldgs Inc   7.0% 01 MAR 2039           443,762  
 
  Rohm & Hass Co   5.6% 15 MAR 2013           237,432  
 
  Royal Bk of Scotland   1.0% 23 APR 2012           1,384,216  
 
  Royal Bk Scotland   2.625% 11 MAY 2012           773,841  
 
  Royal Bk Scotland   1.45% 20 OCT 2011           1,166,214  
 
  Royal Bk Scotland   5.0% 01 OCT 2014           311,188  
 
  Royal Bk Scotland Group   5.0% 01 OCT 2014           518,647  
 
  Rpm International Inc   6.125% 15 OCT 2019           373,937  
 
  RSB Bondco LLC   5.47% 01 OCT 2014           1,235,481  
 
  RSHB Cap SA   7.75% 29 MAY 2018           780,417  
 
  Salomon Brost Mtg Secs   1.0% 25 JAN 2033           212,274  
 
  Saxon Asset Secs   1.0% 25 AUG 2032           1,949  
 
  Seariver Maritime Finl   .01% 01 SEP 2012           1,012,423  
 
  Sempra Energy   6.5% 01 JUN 2016           387,177  
 
  Sempra Energy   6.5% 01 JUN 2016           312,924  
 
  Sierra Pac Power   6.75% 01 JUL 2037           88,098  
 
  Simon Ppty Group   5.3% 30 MAY 2013           666,078  
 
  Simon Ppty Group   5.625% 15 AUG 2014           255,877  
 
  Simon Ppty Group   5.0% 01 MAR 2012           242,635  
 
  Simon Ppty Group   5.75% 01 MAY 2012           282,560  
 
  Simon Ppty Group   5.0% 01 MAR 2012           347,776  
 
  SLH Open Position Net Asset   0.01% 31 DEC 2060           2,980  
 
  SLM Corp   5.0% 01 OCT 2013           89,979  
 
  SLM Corp   8.45% 15 JUN 2018           386,057  
 
  SLM Corp   5.125% 27 AUG 2012           165,050  
 
  SLM Corp   5.375% 15 JAN 2013           378,295  
 
  Southern CA Edison   5.75% 15 MAR 2014           470,457  
 
  Southern CA Edison Co   5.75% 15 MAR 2014           735,428  
 
  Southern Co   1.0% 21 OCT 2011           598,248  
 
  Southern Co   5.3% 15 JAN 2014           140,426  
 
  Southwest Airlines   5.25% 01 OCT 2014           183,277  
 
  Southwest Airlines   5.75% 15 DEC 2016           145,001  
 
  Southwestern Elec Pwr   5.875% 01 MAR 2018           779,296  
 
  Sovereign Bankcorp Inc   1.0% 01 SEP 2010           474,367  
 
  Sovereign Bk   5.125% 15 MAR 2013           345,436  
 
  Sprint Cap Corp   6.875% 15 NOV 2028           187,001  
 
  Sprint Nextel Corp   6.0% 01 DEC 2016           401,633  
 
  Staples Inc   9.75% 15 JAN 0214           327,736  
 
  Starwood Hotels & Resorts   1.0% 01 MAY 2012           268,002  
 
  Statiolhydro ASA   2.9% 15 OCT 2014           365,271  
 
  Steel Capital   9.75% 29 JUL 2013           137,961  
 
  Suncor Energy   6.1% 01 JUN 2018           781,902  
 
  SWU0067M9 IRS USD   3.45% 05 AUG 2011           2,840,017  
 
  SWU0067M9 IRS USD   1.0% 05 AUG 2011           (2,738,682 )

59


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  SWU0071M3 IRS USD   3.45% 05 AUG 2011           2,130,013  
 
  SWU0071M3 IRS USD   1.0% 05 AUG 2011           (2,054,011 )
 
  SWU0540L8 IRS USD   4.0% 16 DEC 2014           102,583  
 
  SWU0540L8 IRS USD   1.0% 16 DEC 2014           (97,810 )
 
  SWU0609K8 IRS USD   3.45% 05 AUG 2011           6,390,038  
 
  SWU0609K8 IRS USD   1.0% 05 AUG 2011           (6,162,034 )
 
  SWU0715J2 IRS USD   3.0% 04 FEB 2011           4,209,301  
 
  SWU0715J2 IRS USD   1.0% 04 FEB 2011           (4,108,022 )
 
  SWU0849L5IRS USD   3.6% 07 JUL 2011           1,828,259  
 
  SWU0849L6 IRS USD   1.0% 07 JUL 2011           (1,760,581 )
 
  Talisman Energy Inc   5.85% 01 FEB 2037           46,726  
 
  Talisman Energy Inc   6.25% 01 FEB 2038           230,113  
 
  Talisman Energy Inc   7.75% 01 JUN 2019           143,586  
 
  Teachers Incur & Annuity   6.85% 16 DEC 2039           369,051  
 
  Teck Industries Ltd   10.75% 15 MAY 2019           134,415  
 
  Telcom Italia   4.95% 30 SEP 2014           319,340  
 
  Telecom Italia Cap   4.95% 30 SEP 2014           729,921  
 
  Telecom Italia Cap   5.25% 15 NOV 2013           308,627  
 
  Telecom Italia Cap   5.25% 01 OCT 2015           260,776  
 
  Telecom Italia Cap   7.721% 04 JUN 2038           174,548  
 
  Telecom Italia Capital   6.175% 18 JUN 2014           344,551  
 
  Telefonica Emisiones   5.984% 20 JUN 2011           724,140  
 
  Telefonica Emisiones   7.045% 20 JUN 2036           145,196  
 
  Telefonica Emisiones   5.984% 20 JUN 2011           336,208  
 
  Telefonica Sa   4.949% 15 JAN 2015           716,189  
 
  Thermo Fisher Scientific   3.25% 18 NOV 2014           210,965  
 
  Thomson Reuters Corp   5.95% 15 JUL 2013           733,455  
 
  Tiaa Global Mkts   5.125% 10 OCT 2012           310,921  
 
  Tiaa Seasoned Coml Mtg   1.0% 15 AUG 2039           212,975  
 
  Time Warner Cable   7.5% 01 APR 2014           383,162  
 
  Time Warner Cable Inc   7.3% 01 JUL 2038           650,604  
 
  Time Warner Cable Inc   6.2% 01 JUL 2013           714,476  
 
  Time Warner Cable Inc   5.85% 01 MAY 2017           184,980  
 
  Time Warner Cable Inc   6.75% 01 JUL 2018           656,523  
 
  Time Warner Inc   9.125% 15 JAN 2013           453,969  
 
  Time Warner Inc   6.625% 15 MAY 2029           1,330,926  
 
  Time Warner Inc   6.5% 15 NOV 2036           132,766  
 
  Time Warner Inc   5.875% 15 NOV 2016           1,372,628  
 
  Tobacco Settlement Fing Corp   5.875% 15 MAY 2039           269,134  
 
  Toll Bros Fin Corp   6.875% 15 NOV 2012           10,245  
 
  Transcapitalinvest Ltd   8.7% 07 AUG 2018           448,327  
 
  Transocean Inc   6.0% 15 MAR 2018           318,291  
 
  Travelers Cos   5.75% 15 DEC 2017           383,677  
 
  Travelers Cos   6.25% 15 JUN 2037           206,790  
 
  TXU Australia Hldgs Pty   6.15% 15 NOV 2013           255,195  
 
  TXU Elec Delivery   5.29% 15 MAY 2018           169,523  
 
  Tyco International   4.125% 15 OCT 2014           339,946  
 
  Tyco Intl Finance   8.5% 15 JAN 2019           189,008  
 
  Tyco Intl Group   6.0% 15 NOV 2013           192,851  

60


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  UBS Ag Stamford   5.875% 20 DEC 2017           502,593  
 
  UBS Age Stamford   5.75% 25 APR 2018           497,858  
 
  UFJ Fin Aruba   6.75% 15 JUL 2013           168,791  
 
  Union Bk Calif   5.95% 11 MAY 2016           281,734  
 
  Union Elec Co   6.7% 01 FEB 2019           43,195  
 
  Union Pac Corp   5.45% 31 JAN 2013           478,894  
 
  Union Pac Corp   5.75% 15 NOV 2017           717,233  
 
  Union Pac Corp   3.625% 01 JUN 2010           133,648  
 
  Union Planters Corp   7.75% 01 MAR 2011           205,192  
 
  United Health Group   5.375% 15 MAR 2016           251,650  
 
  United Health Group Inc   6.0% 15 FEB 2018           303,098  
 
  United Health Group Inc   6.875% 15 FEB 2038           101,092  
 
  United Health Group Inc   5.25% 15 MAR 2011           380,068  
 
  United Parcel Service   3.875% 01 APR 2014           299,785  
 
  United States Cellular   6.7% 15 DEC 2033           389,574  
 
  United Sts Stl Corp   5.65% 01 JUN 2013           225,787  
 
  United Technologies Corp   5.375% 15 DEC 2017           307,482  
 
  United Technologies Corp   4.875% 01 MAY 2015           223,626  
 
  USA Waste Svcs Inc   7.0% 15 JUL 2028           63,206  
 
  Vale Overseas Ltd   6.25% 23 JAN 2017           306,082  
 
  Vale Overseas Ltd   6.25% 23 JAN 2017           627,468  
 
  Valero Energy Corp   9.375% 15 MAR 2019           779,445  
 
  Valero Energy Corp   6.875% 15 APR 2012           336,410  
 
  Valero Energy Corp   9.375% 15 MAR 2019           343,189  
 
  Veolia Environment   6.0% 01 JUN 2018           242,710  
 
  Veolia Environment   5.25% 03 JUN 2013           506,872  
 
  Verizon Communications   6.35% 01 APR 2019           809,302  
 
  Verizon Communications   6.35% 01 APR 2019           426,233  
 
  Verizon Communications Inc   5.25% 15 APR 2013           200,329  
 
  Verizon Global Fdg   6.875% 15 JUN 2012           427,737  
 
  Verizon Global Fdg Corp   4.9% 15 SEP 2015           181,677  
 
  Verizon New Jersey   5.875% 17 JAN 2012           208,422  
 
  Viacom Inc   6.875% 30 APR 2036           893,694  
 
  Virginia Elec & Pwr   5.95% 15 SEP 2017           370,972  
 
  Virginia Elec & Pwr   5.1% 30 NOV 2012           316,903  
 
  Virginia Elec & Pwr Co   5.1% 30 NOV 2012           707,750  
 
  Virginia Elec & Pwr Co   5.4% 30 APR 2018           164,031  
 
  Vodafone Airtouch Plc   7.75% 15 FEB 2010           354,806  
 
  Vodafone Group Plc   5.5% 15 JUN 2011           288,838  
 
  Vodafone Group Plc New   5.35% 27 FEB 2012           662,662  
 
  Volkswagen Auto Ln   4.5% 20 JUL 2012           235,564  
 
  Vulcan Mats Co   5.6% 30 NOV 2012           332,885  
 
  Wachovia Bk Coml Mtg   1.0% 15 JUL 2045           642,283  
 
  Wachovia Bk Coml Mtg   5.509% 15 APR 2047           580,814  
 
  Wachovia Bk Coml Mtg   1.0% 15 JUN 2049           586,979  
 
  Wachovia Bk Natl   4.875% 01 FEB 2015           584,367  
 
  Wachovia Bk Natl Assn   4.8% 01 NOV 2014           399,956  
 
  Wachovia Bk Natl Assn   1.0% 15 MAR 2016           263,278  
 
  Wachovia Corp   5.3% 15 OCT 2011           519,137  

61


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Wachovia Corp   5.3% 15 OCT 2011           706,026  
 
  Wachovia Corp   5.5% 01 MAY 2013           348,088  
 
  Wachovia Corp   5.5% 01 MAY 2013           613,050  
 
  Wachovia Corp   4.875% 15 FEB 2014           109,421  
 
  Wachovia Corp   5.35% 15 MAR 2011           305,964  
 
  Walt Disney Co   5.7% 15 JUL 2011           1,011,211  
 
  Wamu Mtg Pass Thru   1.0% 25 OCT 2045           18,303  
 
  Waste Management Inc   6.375% 11 MAR 2015           233,031  
 
  Waste Mgmt Inc   7.375% 15 MAY 2029           54,498  
 
  Waste Mgmt Inc   7.375% 01 AUG 2010           101,318  
 
  Waste Mgmt Inc   7.375% 11 MAR 2019           344,237  
 
  Weatherford Intl Ltd   5.15% 15 MAR 2013           133,158  
 
  Weatherford Intl Ltd   6.0% 15 MAR 2018           54,170  
 
  Wellpoint Inc   6.0% 15 FEB 2014           758,429  
 
  Wellpoint Inc   5.875% 16 JUN 2017           35,268  
 
  Wellpoint Inc   7.0% 15 FEB 2019           92,983  
 
  Wells Fargo & Co   4.95% 16 OCT 2013           307,118  
 
  Wells Fargo & Co   5.625% 11 DEC 2017           366,255  
 
  Wells Fargo Bank   6.45% 01 FEB 2011           289,217  
 
  Wells Fargo Bank   4.75% 09 FEB 2015           498,680  
 
  Williams Cos Inc   7.875% 01 SEP 2021           299,547  
 
  Willis North America Inc   6.2% 28 MAR 2017           305,428  
 
  Willis North America Inc   7.0% 29 SEP 2019           184,251  
 
  Willis North Maerica Inc   7.0% 29 SEP 2019           79,676  
 
  World Svgs Bk   1.0% 22 MAR 2011           1,170,120  
 
  Wpp Fin UK   5.875% 15 JUN 2014           176,764  
 
  Wyeth   5.5% 01 FEB 2014           240,828  
 
  Wyeth   5.5% 01 FEB 2014           245,091  
 
  Wyndham Worldwide Corp   6.0% 01 DEC 2016           373,589  
 
  Xerox Corp   6.4% 15 MAR 2016           301,553  
 
  Xerox Corp   4.25% 15 FEB 2015           752,744  
 
  Xerox Corp   7.625% 15 JUN 2013           59,857  
 
  Xerox Corp   8.25% 15 MAY 2014           347,821  
 
  Xerox Corp   5.5% 15 MAY 2012           129,209  
 
  Xerox Corp   5.65% 15 MAY 2013           183,445  
 
  Xerox Corp   8.25% 15 MAY 2014           246,839  
 
  XL Cap Ltd   5.25% 15 SEP 2014           320,887  
 
  XTO Energy Inc   4.9% 01 FEB 2014           730,516  
 
  Yum! Brands Inc   6.875% 15 NOV 2037           100,399  
 
  Zions Bancorp   5.5% 16 NOV 2015           89,894  
 
                     
 
                       
 
                    300,626,613  
 
                     
 
                       
    Registered Investment Companies                    
 
                       
*
  Pimco Fds Invt Mgmt   Short Term Portfolio Instl CL           13,913,192  
*
  Pimco Fds Invt Mgmt   US Govt Sector Port Instl           3,654,880  
*
  Pimco Fds Invt Mgmt   Private Acct Portfolio           6,713,529  
*
  Pimco Fds Invt Mgmt   Emerging Mkts Portfolio           557,342  

62


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
*
  Pimco Fds Invt Mgmt   Intl Portfolio Instl CL           5,644,643  
 
                     
 
                       
 
                    30,483,586  
 
                     
 
                       
 
  Benefit Responsive Interest Rate Wrapper Contracts                    
 
                       
*
  Aegon Institutional Markets   Open Ended Maturity           830,506  
*
  Bank of America NT & SA   Open Ended Maturity           837,512  
 
                     
 
                       
 
                    1,668,018  
 
                     
 
                       
 
 
Synthetic Guaranteed Investment Contracts (contract value equals $655,200,609)
            $ 660,399,728  
 
                     
 
                       
Commingled Investments:
                   
 
                       
*
  SSgA Daily EAFE Fund   Commingled Investments           93,424,087  
*
  SSgA S&P 500 Flagship Fund   Commingled Investments           152,285,488  
*
  SSgA US Small Cap Index Futures FD CMT4   Commingled Investments           60,430,537  
 
                     
 
                       
 
 
Commingled Investments
              $ 306,140,112  
 
                     
 
                       
Registered Investment Companies:
                   
 
                       
 
  Aberdeen Asia Pacific Income Fd Inc   Registered Investment Company           19,114  
 
  Absolute Strategies Institutional   Registered Investment Company           10,919  
 
  Acadian Emerging Markets Port Instl   Registered Investment Company           6,338  
 
  Aegis Value Fund Inc   Registered Investment Company           6,928  
 
  Aim European Growth Investors   Registered Investment Company           712  
 
  Alliancebernstein Greater China 97-ADV   Registered Investment Company           41,161  
 
  Allianz CCM Mid-Cap L D   Registered Investment Company           3,620  
 
  Allianz NFJ Large Cap Value Instl   Registered Investment Company           209  
 
  Alpine Global Premier Pptys FD Com Shs of Ben   Registered Investment Company           6,232  
 
  Alpine International Real Estate Equity Y   Registered Investment Company           6,357  
 
  Alpine Total Dynamic Divid Fd Com Sh Ben Int   Registered Investment Company           53,520  
 
  Amer Century Target Maturities Tr 2010   Registered Investment Company           17,827  
 
  Amer Century Target Maturities Tr 2020   Registered Investment Company           11,398  
 
  American Capital Income Builder Cl F   Registered Investment Company           29,936  
 
  American Capital Income Builder CL R2   Registered Investment Company           14,154  
 
  American Capital World Gr & Inc R2   Registered Investment Company           10,669  
 
  American Capital World Grth & Inc A   Registered Investment Company           8,030  
 
  American Capital World Grwth & Inc F1   Registered Investment Company           17,762  
 
  American Capital World Grwth & Inc R5   Registered Investment Company           13,098  
 
  American Century Equity Income   Registered Investment Company           29,146  
 
  American Century Inflation Adj Treas   Registered Investment Company           52,886  
 
  American Europacific Growth Class A   Registered Investment Company           20,440  
 
  American Europacific Growth Class F   Registered Investment Company           75,018  
 
  American Fundamental Investors CL F   Registered Investment Company           13,394  
 
  American Growth Fund Of America CL R5   Registered Investment Company           9,632  
 
  American Growth Fund Of America Class F   Registered Investment Company           14,858  

63


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  American High-Income Class F   Registered Investment Company           21,230  
 
  American Income Fund Of America Class F   Registered Investment Company           26,149  
 
  American Investment Co. Of America R5   Registered Investment Company           12,744  
 
  American Investment Co Of America CL A   Registered Investment Company           13,103  
 
  American New Perspective Class A   Registered Investment Company           16,825  
 
  American New Perspective R2   Registered Investment Company           5,972  
 
  American New World Fund Class A   Registered Investment Company           7,860  
 
  American New World Fund R2   Registered Investment Company           22,481  
 
  American Smallcap World Class F1   Registered Investment Company           8,636  
 
  American Washington Mutual Invest R5   Registered Investment Company           9,437  
 
  Ariel Appreciation   Registered Investment Company           15,262  
 
  Ariel Growth Class A   Registered Investment Company           18,099  
 
  Arrow Dwa Balanced Fund Class C   Registered Investment Company           12,729  
 
  Artio International Equity Fund II CL A   Registered Investment Company           2,012  
 
  Artisan Internat'l   Registered Investment Company           85,443  
 
  Artisan Intl Value Fund   Registered Investment Company           12,830  
 
  Barclays Bk Plc Ipath Etns Lkd Msci India   Registered Investment Company           13,517  
 
  Barclays Bk Plc Ipath Index Lkd Secs   Registered Investment Company           4,141  
 
  Barclays Bk Plc Ipath Index Lkd Secs   Registered Investment Company           11,241  
 
  Baron Asset   Registered Investment Company           8,334  
 
  Baron Partners Fund   Registered Investment Company           39,834  
 
  Blackrock Internat'l Opport Class C   Registered Investment Company           17,133  
 
  Blackrock Latin America FD CL C   Registered Investment Company           9,322  
 
  Bldrs Emerging Mkts 50 Adr Index Fd   Registered Investment Company           13,239  
 
  Boulder Growth & Income FD Inc   Registered Investment Company           11,500  
 
  Brandywine Blue   Registered Investment Company           17,649  
 
  Bridgeway Aggressive Investor 1   Registered Investment Company           588  
 
  Bridgeway Aggressive Investor 2   Registered Investment Company           114,819  
 
  Bridgeway Small Cap Growth Cl N   Registered Investment Company           14,558  
 
  Brown Capital Mgmt Small Company Inst.   Registered Investment Company           3,883  
 
  Buffalo Balanced Fund   Registered Investment Company           78,676  
 
  Buffalo Mid Cap Fund   Registered Investment Company           4,947  
 
  Buffalo Small Cap Growth   Registered Investment Company           21,511  
 
  Calamos Conv & High Income Fd Com Shs   Registered Investment Company           4,617  
 
  Calamos Global Dynamic Income FD   Registered Investment Company           7,860  
 
  Calamos Growth Class A   Registered Investment Company           49,658  
 
  Calamos Growth Fund Class C   Registered Investment Company           61,486  
 
  California Invst Tr S & P Mid Cap   Registered Investment Company           8,461  
 
  Calvert Social Invst Managed Growth Cl A   Registered Investment Company           29,148  
 
  China Fd Inc   Registered Investment Company           7,309  
 
  Clipper   Registered Investment Company           27,767  
 
  Cohen & Steers Asia Pacific Realty CL A   Registered Investment Company           3,933  
 
  Columbia Acorn Class Z N/C   Registered Investment Company           20,961  
 
  Columbia Greater China FD CL Z   Registered Investment Company           20,343  
 
  Columbia High Yield Opportunity Z   Registered Investment Company           21,689  
 
  Columbia Marsico 21st Century Cl Z   Registered Investment Company           15,153  
 
  Columbia Marsico Intl Opp Prim Z   Registered Investment Company           4,028  
 
  Columbia Mid Cap Value Primary Z   Registered Investment Company           2,677  
 
  Columbia Real Estate Equity Cl Z   Registered Investment Company           38,826  

64


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Columbia Value And Restructuring Cl Z   Registered Investment Company           61,874  
 
  CRM Mid Cap Value Investor Shares   Registered Investment Company           25,761  
 
  CRM Mid-Cap Value Fd-Institutional   Registered Investment Company           6,741  
 
  Direxion Daily Technology Bear 3x Shs   Registered Investment Company           10,707  
 
  Direxion Latin America Bull 2x Inv   Registered Investment Company           1  
 
  Direxion Shs Etf Tr Daily Finl Bear 3x SHS   Registered Investment Company           6,801  
 
  Direxion Shs Etf Tr Small Cap Bear 3X SHS   Registered Investment Company           2,958  
 
  Dodge & Cox Balance   Registered Investment Company           13,554  
 
  Dodge & Cox Global Stock Fund   Registered Investment Company           22,856  
 
  Dodge & Cox Income   Registered Investment Company           84,628  
 
  Dodge & Cox Internatl Stock Fund   Registered Investment Company           130,487  
 
  Dodge & Cox Stock   Registered Investment Company           156,150  
 
  Dreyfus Inter-Term Inc CL I   Registered Investment Company           3,974  
 
  Dreyfus Midcap Value Fund   Registered Investment Company           8,748  
 
  Dreyfus Premier Greater China CL A   Registered Investment Company           11,407  
 
  Dreyfus Premier Greater China CL R   Registered Investment Company           22,956  
 
  Driehaus Internatl Discovery   Registered Investment Company           6,352  
 
  Eaton Vance Ltd Duration Income FD   Registered Investment Company           7,450  
 
  Eaton Vance Tax Managed Global Diversified Eq.   Registered Investment Company           12,330  
 
  Eaton Vance Worldwide Health Sciences Class A   Registered Investment Company           1,682  
 
  Fairholme Fund   Registered Investment Company           98,226  
 
  Fam Value   Registered Investment Company           51,883  
 
  FBR Small Cap Class A N/C   Registered Investment Company           4,618  
 
  Federated Prudent Bear Fund Class A   Registered Investment Company           1,655  
 
  Federated Prudent Global Inc   Registered Investment Company           38,227  
 
  Fidelity Advisor Fl Rate High Inc CL I   Registered Investment Company           7,153  
 
  Fidelity Canada   Registered Investment Company           14,026  
 
  Fidelity Capital Appreciation   Registered Investment Company           18,898  
 
  Fidelity Capital & Income   Registered Investment Company           44,954  
 
  Fidelity China Region   Registered Investment Company           29,520  
 
  Fidelity Contrafund   Registered Investment Company           123,291  
 
  Fidelity Diversified International   Registered Investment Company           104,129  
 
  Fidelity Dividend Growth   Registered Investment Company           31,410  
 
  Fidelity Emerging Markets   Registered Investment Company           34,774  
 
  Fidelity Europe Capital Appreciation   Registered Investment Company           8,312  
 
  Fidelity Four-In-One Index   Registered Investment Company           8,973  
 
  Fidelity Freedom 2025   Registered Investment Company           5,619  
 
  Fidelity GNMA Fund   Registered Investment Company           14,283  
 
  Fidelity High Income   Registered Investment Company           28,390  
 
  Fidelity Internat'l Real Estate Fund   Registered Investment Company           11,885  
 
  Fidelity Int'l Discovery   Registered Investment Company           51,728  
 
  Fidelity Intl Small Cap Opp Fund   Registered Investment Company           7,640  
 
  Fidelity Large Capital Stock   Registered Investment Company           25,817  
 
  Fidelity Latin America   Registered Investment Company           40,704  
 
  Fidelity Leveraged Company Stock   Registered Investment Company           23,416  
 
  Fidelity Low Priced Stock   Registered Investment Company           23,503  
 
  Fidelity Mid Cap Growth   Registered Investment Company           7,728  
 
  Fidelity Mid Cap Stock   Registered Investment Company           36,859  
 
  Fidelity New Markets Income   Registered Investment Company           15,173  

65


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Fidelity Real Estate Investment   Registered Investment Company           20,265  
 
  Fidelity Select Automotive   Registered Investment Company           4,092  
 
  Fidelity Select Brokerage & Invs Mgt   Registered Investment Company           6,303  
 
  Fidelity Select Chemicals   Registered Investment Company           5,700  
 
  Fidelity Select Energy Service   Registered Investment Company           6,566  
 
  Fidelity Select Natural Resources   Registered Investment Company           19,728  
 
  Fidelity Select Technology   Registered Investment Company           2,157  
 
  Fidelity Small Cap Stock   Registered Investment Company           17,898  
 
  Fidelity Small Cap Value   Registered Investment Company           2,556  
 
  Fidelity Southeast Asia   Registered Investment Company           13,805  
 
  Fidelity Strategic Income   Registered Investment Company           13,412  
 
  Fidelity Strategic Real Return   Registered Investment Company           5,386  
 
  Fidelity Us Bond Index   Registered Investment Company           7,602  
 
  Fidelity Value   Registered Investment Company             4,933  
 
  Fidelity Worldwide   Registered Investment Company           11,186  
 
  First Eagle Global Class A   Registered Investment Company           37,145  
 
  First Eagle Global Class C   Registered Investment Company           7,145  
 
  Irst Tr Exchange Traded Fd Dow Jones Internet   Registered Investment Company           10,052  
 
  FMI Large Cap Fund   Registered Investment Company           5,167  
 
  Forward Global Emerg Markets Instl CL   Registered Investment Company           1,526  
 
  Forward Internationl Equity Fund   Registered Investment Company           35,899  
 
  Franklin Real Estate Securities Class C   Registered Investment Company           31,200  
 
  Fundamental Investors   Registered Investment Company           34,728  
 
  Fundx Aggressive Upgrader Fund   Registered Investment Company           6,828  
 
  Fundx Etf Upgrader Fund   Registered Investment Company           1,464  
 
  Fundx Upgrader Fund   Registered Investment Company           32,077  
 
  Gabelli Asset Fund   Registered Investment Company           1,405  
 
  Gabelli Equity Income Fund   Registered Investment Company           64,774  
 
  Gabelli Utilities Fund Class C   Registered Investment Company           8,029  
 
  Gamco Growth Fund   Registered Investment Company           9,140  
 
  Gamco Westwood Equity Fd Aaa   Registered Investment Company           87,144  
 
  Goldman Sachs Asset Alloc Growth Strat C   Registered Investment Company           12,733  
 
  Greenspring Fund   Registered Investment Company           16,359  
 
  Growth Fund of America   Registered Investment Company           42,643  
 
  Grubb & Ellis Aga Internatl Realty A   Registered Investment Company           2,538  
 
  Guinness Atkinson China & Hong Kong   Registered Investment Company           4,272  
 
  Hancock Horizon Burkenroad Fund Cl D   Registered Investment Company           40,809  
 
  Hancock John Pfd Equity Income Fd Sh Ben Int   Registered Investment Company           3,420  
 
  Harbor Bond Inst.   Registered Investment Company           149,368  
 
  Harbor International   Registered Investment Company           98,677  
 
  Harbor International Investor Shares   Registered Investment Company           38,600  
 
  Heartland Value   Registered Investment Company           17,358  
 
  Hennessy Cornerstone Value   Registered Investment Company           1,024  
 
  Hodges Fund   Registered Investment Company           6,172  
 
  Hussman Strategic Growth   Registered Investment Company           38,496  
 
  Hussman Strategic Total Return   Registered Investment Company           30,828  
 
  Icon Energy   Registered Investment Company           14,418  
 
  Icon Healthcare   Registered Investment Company           7,341  
 
  Icon Materials   Registered Investment Company           6,538  

66


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
*
  ING Prime Rate Tr Sh Ben Int   Registered Investment Company           5,756  
 
  Ishares Barclays 1-3 Year Treasury Bd Fd   Registered Investment Company           10,086  
 
  Ishares Barclays U S Aggregate Bd Fd   Registered Investment Company           19,798  
 
  Ishares Comex Gold Trust Ishares Etf   Registered Investment Company           429  
 
  Ishares Iboxx $ Investop Inv. Grade Corp Bd Fund   Registered Investment Company           31,306  
 
  Ishares Inc Mcsi Bric Index Fd   Registered Investment Company           17,802  
 
  Ishares Inc Msci Australia Index Fund   Registered Investment Company           11,420  
 
  Ishares Inc Msci Brazil Free Index Fu Nd   Registered Investment Company           74,307  
 
  Ishares Inc Msci Hong Kong Index Fd   Registered Investment Company           8,613  
 
  Ishares Inc Msci Malaysia Free Index Fd   Registered Investment Company           9,133  
 
  Ishares Inc Msci Singapore Index Fd   Registered Investment Company           38,918  
 
  Ishares Inc Msci South Korea Index Fd   Registered Investment Company           4,764  
 
  Ishares Inc Msci Spain Index Fd   Registered Investment Company           4,804  
 
  Ishares Inc Msci Switzerland Index Fd   Registered Investment Company           4,452  
 
  Ishares Inc Msci Taiwan Index Fd   Registered Investment Company           9,728  
 
  Ishares S&P Gsci Commodity Indexed Tr   Registered Investment Company           6,364  
 
  Ishares S&P Gsti Software Index Fund   Registered Investment Company           9,374  
 
  Ishares S&P N. American Nat. Res. Sector Index   Registered Investment Company           6,862  
 
  Ishares Silver Tr Ishares   Registered Investment Company           38,040  
 
  Ishares Tr Cohen & Steers Realty Majors Index   Registered Investment Company           33,554  
 
  Ishares Tr Dow Jones Select Divid Index   Registered Investment Company           13,173  
 
  Ishares Tr Dow Jones U S Aerospace & Def Ind.   Registered Investment Company           20,384  
 
  Ishares Tr Dow Jones U S Basic Mat. Sec. Ind.   Registered Investment Company           8,387  
 
  Ishares Tr Dow Jones U S Con. Goods Sec. Ind.   Registered Investment Company           11,106  
 
  Ishares Tr Dow Jones U S Energy Sector Ind.   Registered Investment Company           13,296  
 
  Ishares Tr Dow Jones U S Finl Svcs Comp. Ind.   Registered Investment Company           10,742  
 
  Ishares Tr Dow Jones U S Healthcare Sec. Ind.   Registered Investment Company           6,382  
 
  Ishares Tr Dow Jones US Medical Devices Ind.   Registered Investment Company           10,596  
 
  Ishares Tr Dow Jones US Oil & Gas Expl Ind.   Registered Investment Company           28,848  
 
  Ishares Tr Dow Jones US Techn. Sector Ind.   Registered Investment Company           28,770  
 
  Ishares Tr Ftse Nareit Mtg Plus Capped Ind.   Registered Investment Company           5,691  
 
  Ishares Tr Ftse Xinhua Hk China 25 Ind.   Registered Investment Company           10,565  
 
  Ishares Tr Msci Eafe Index Fd   Registered Investment Company           16,584  
 
  Ishares Tr Msci Emerging Mkts Index Fd   Registered Investment Company           76,989  
 
  Ishares Tr Nasdaq Biotechnology Index Fd   Registered Investment Company           8,183  
 
  Ishares Tr Russell 1000 Growth Index Fd   Registered Investment Company           32,471  
 
  Ishares Tr Russell 1000 Index Fd   Registered Investment Company           26,057  
 
  Ishares Tr Russell 1000 Value Index Fd   Registered Investment Company           30,442  
 
  Ishares Tr Russell Midcap Index Fd   Registered Investment Company           2,310  
 
  Ishares Tr S&P 500 Index Fd   Registered Investment Company           49,677  
 
  Ishares Tr S&P 500/ Value Index Fd   Registered Investment Company           15,651  
 
  Ishares Tr S&P Global Infrastructure Index   Registered Investment Company           10,679  
 
  Ishares Tr S&P Latin Amer 40 Index Fd   Registered Investment Company           75,342  
 
  Ishares Tr S&P Micap 400/Growth Index Fund   Registered Investment Company           7,771  
 
  Ishares Tr S&P Midcap 400 Index Fd   Registered Investment Company           30,774  
 
  Ishares Tr S&P Midcap 400/Value Index Fd   Registered Investment Company           54,167  
 
  Ishares Tr S&P U S Pfd Stk Index Fd   Registered Investment Company           29,360  
 
  Ishares Tr U S Treas Inflation Protected Secs Fd   Registered Investment Company           143,313  
 
  Ishares Trust S&P Smallcap 600 Index Fd   Registered Investment Company           23,256  

67


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Ivy Asset Strategy CL Y   Registered Investment Company           18,372  
 
  Ivy Global Nat Resources CL Y   Registered Investment Company           1,177  
 
  Ivy Global Natural Resources Class C   Registered Investment Company           26,888  
 
  Janus Balanced   Registered Investment Company           19,879  
 
  Janus Enterprise   Registered Investment Company           1,894  
 
  Janus Mercury   Registered Investment Company           8,892  
 
  Janus Orion Fund   Registered Investment Company           19,175  
 
  Janus Overseas   Registered Investment Company           66,164  
 
  Janus Triton Fund Class T Shares   Registered Investment Company           28,458  
 
  John Hancock Patriot Prem Divid FD II   Registered Investment Company           14,940  
 
  JP Morgan Mid Cap Value Instl   Registered Investment Company           20,516  
 
  JP Morgan Market Neutral-Institl   Registered Investment Company           10,634  
 
  JP Morgan Small Cap Equity Fnd Select CL   Registered Investment Company           14,163  
 
  Kinetics Paradigm Fund   Registered Investment Company           744  
 
  Kinetics Small Cap Opportunities   Registered Investment Company           18,559  
 
  Korea Equity Fd Inc   Registered Investment Company           1,858  
 
  Korea Fd Inc Com New   Registered Investment Company           2,524  
 
  Laudus International Marketmasters Inv Cl   Registered Investment Company           21,500  
 
  Legg Mason Wa Sh Duration Muni Inc C   Registered Investment Company           29,941  
 
  Liberty All Star Equity Fd Sbi   Registered Investment Company           95  
 
  Lodgian Inc Com Par $.01   Registered Investment Company           116,328  
*
  Loomis Sayles Bond Retail Shares   Registered Investment Company           2,236  
*
  Loomis Sayles Global Bond Retail   Registered Investment Company           5,752  
 
  Lord Abbett Short Duration Income CL A   Registered Investment Company           33,406  
 
  Mainstay Icap Select Equity Fd Cl I   Registered Investment Company           7,449  
 
  Managers Fremont Micro-Cap Fund N/C   Registered Investment Company           33,042  
 
  Managers Intermediat Duration Government   Registered Investment Company           20,206  
 
  Manning & Napier Equity Series   Registered Investment Company           43,067  
 
  Manning & Napier Pro Blend Max Term Ser   Registered Investment Company           805  
 
  Market Vectors Etf Tr Agribusiness Etf   Registered Investment Company           13,137  
 
  Market Vectors Etf Tr Nuclear Energy Etf   Registered Investment Company           11,538  
 
  Marshall Mid Cap Value Cl Y   Registered Investment Company           4,259  
 
  Marsico 21st Century Fund   Registered Investment Company           97,146  
 
  Marsico Focus   Registered Investment Company           16,331  
 
  Marsico Growth And Income   Registered Investment Company           80,586  
 
  Marsico Internat'l Opportunities   Registered Investment Company           28,311  
 
  Masters Select Equity   Registered Investment Company           53,489  
 
  Matrix Advisors Value   Registered Investment Company           17,541  
 
  Matthews Asia Dividend Fund   Registered Investment Company           25,221  
 
  Matthews Dragon Century China   Registered Investment Company           10,622  
 
  Matthews India Fund   Registered Investment Company           16,451  
 
  Matthews Pacific Tiger   Registered Investment Company           62,634  
 
  Meridian Fund   Registered Investment Company           75,327  
 
  Meridian Value Fund   Registered Investment Company           5,286  
 
  Metropolitan West Tot Return Bond CL M   Registered Investment Company           145,339  
 
  Morgan Stanley China A Share Fund Inc   Registered Investment Company           3,070  
 
  Nasdaq Prem Income & Growth Fd Inc   Registered Investment Company           7,205  
 
  Needham Growth Fund   Registered Investment Company           1,025  
 
  Neuberger Berman Genesis Trust Class   Registered Investment Company           2,907  

68


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Neuberger Berman Int'l Trust Class   Registered Investment Company           9,687  
 
  Neuberger Berman Partners Investor   Registered Investment Company           13,469  
 
  Neuberger Berman Real Estate Trust Cl   Registered Investment Company           12,205  
 
  Neuberger Berman Regency Trust Class   Registered Investment Company           520  
 
  New Alternatives Fd   Registered Investment Company           18,489  
 
  Nfj Divid Int & Prem Strategy Fd Com Shs   Registered Investment Company           5,900  
 
  Nuveen Insd Mun Oppty Fd Inc Com   Registered Investment Company           12,096  
 
  Nuveen Multi Currency Short Term Govt Inc. Fd   Registered Investment Company           9,890  
 
  Nuveen Mun Value Fd   Registered Investment Company           9,690  
 
  Nuveen Quality Pfd Income Fd 2   Registered Investment Company           112,391  
 
  Oakmark Equity & Income Fd   Registered Investment Company           195,042  
 
  Oakmark Fund   Registered Investment Company           62,883  
 
  Oakmark Internat'l   Registered Investment Company           4,044  
 
  Oakmark Internat'l Small Cap   Registered Investment Company           6,356  
 
  Oakmark Select   Registered Investment Company           926  
 
  Oil Svc Holdrs Tr Oil Svc Holders Depositary   Registered Investment Company           83,216  
 
  Permanent Portfolio Family Of Fds   Registered Investment Company           94,329  
 
  Perritt Microcap Opportunities   Registered Investment Company           3,237  
*
  Pimco All Asset Inst Class   Registered Investment Company           107,375  
*
  Pimco Commodity Real Return Inst   Registered Investment Company           99,757  
*
  Pimco Real Return Class D   Registered Investment Company           136,400  
*
  Pimco Short Term Institutional   Registered Investment Company           36,330  
*
  Pimco Stocks Plus Short Strategy CL A   Registered Investment Company           11,753  
*
  Pimco Total Return Class A   Registered Investment Company           22,248  
*
  Pimco Total Return Class D   Registered Investment Company           231,013  
*
  Pimco Unconstrained Bond Fund Cl D   Registered Investment Company           96,524  
 
  Powershares Db Comm. Ind. Tracking Fd   Registered Investment Company           2,019  
 
  Powershares Db Multi Sector Commodity Tr   Registered Investment Company           6,145  
 
  Powershares Exch. Dynamic Sector Port   Registered Investment Company           3,125  
 
  Powershares Exch. Finl Pfd Portfolio   Registered Investment Company           19,584  
 
  Powershares Exch.Golden Dragon China Portf.   Registered Investment Company           5,849  
 
  Powershares Qqq Tr Unit Ser 1   Registered Investment Company           88,622  
 
  Powerwave Technologies Inc.   Registered Investment Company           630  
 
  Proshares Tr Ii Proshares Ultrashort Euro   Registered Investment Company           14,960  
 
  Proshares Tr Ultra Qqq Proshares   Registered Investment Company           20,818  
 
  Proshares Tr Ultra Short 100 Fd   Registered Investment Company           38,080  
 
  Proshares Tr Ultra Short 500 Fd   Registered Investment Company           91,481  
 
  Proshares Ultra Finls Proshares   Registered Investment Company           23,825  
 
  Proshares Ultra Gas Proshares   Registered Investment Company           34,530  
 
  Proshares Ultra S&P 500 Proshares   Registered Investment Company           19,236  
 
  Proshares Ultra Short 30 Fd   Registered Investment Company           147  
 
  Proshares Ultra Short Finls Proshares   Registered Investment Company           6,324  
 
  Proshares Ultra Short Real Estate Proshares   Registered Investment Company           7,950  
 
  Putnam High Income Conv & Bd Fd S B I   Registered Investment Company           18,025  
 
  Rainier Small Mid Cap Equity   Registered Investment Company           5,546  
 
  Reaves Util Income Fd Com Sh Ben Int   Registered Investment Company           9,313  
 
  Royce Low Priced Stock Fund   Registered Investment Company           186,271  
 
  Royce Microcap   Registered Investment Company           73,584  
 
  Royce Opportunity Fund   Registered Investment Company           16,706  

69


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Royce Pa Mutual   Registered Investment Company           131,009  
 
  Royce Premier Series   Registered Investment Company           40,050  
 
  Royce Special Equity   Registered Investment Company           16,771  
 
  Royce Total Return Fund   Registered Investment Company           25,206  
 
  Royce Value Plus Service Class   Registered Investment Company           4,265  
 
  Rydex Energy Investor Class   Registered Investment Company           1,980  
 
  Rydex Energy Svcs Investor Class   Registered Investment Company           1,751  
 
  Rydex Sector Rotation Class H   Registered Investment Company           2,162  
 
  Rydex Sgi Managed Futures Strat Cl H   Registered Investment Company           3,556  
 
  S & P500 Covered Call Fd Inc   Registered Investment Company           5,142  
 
  S & P500 Depository Receipt   Registered Investment Company           105,810  
 
  Schroder Emerging Market Equity Adv Cl   Registered Investment Company           28,417  
 
  Schwab Fundamental Emg Mkts Index Instl   Registered Investment Company           5,282  
 
  Scout International Fund   Registered Investment Company           882  
 
  Sector Spdr Tr Shs Ben Int Consumer Services   Registered Investment Company           23,094  
 
  Sector Spdr Tr Shs Ben Int Financial   Registered Investment Company           12,658  
 
  Sector Spdr Tr Shs Ben Int Utilities   Registered Investment Company           12,281  
 
  Select Energy   Registered Investment Company           9,807  
 
  Select Medical Delivery   Registered Investment Company           40,056  
 
  Select Natural Gas   Registered Investment Company           2,182  
 
  Selected American Shares   Registered Investment Company           71,059  
 
  Skyline Special Equities N/C   Registered Investment Company           5,924  
 
  Sound Shore Fd Inc   Registered Investment Company           3,057  
 
  Spartan 500 Index Fid Advantage Class   Registered Investment Company           82,236  
 
  Spartan Market Index   Registered Investment Company           27,398  
 
  Spartan Total Market Index   Registered Investment Company           34,039  
 
  Spdr Gold Tr Gold Shs   Registered Investment Company           236,726  
 
  Spdr Index Shs Fds Dj Wilshire Glob Real Estate   Registered Investment Company           19,278  
 
  Spdr Index Shs Fds Dj Wilshire Intl Real Estate   Registered Investment Company           12,333  
 
  Spdr Ser Tr Dj Wilshire Large Growth Etf   Registered Investment Company           4,926  
 
  Spdr Ser Tr Dj Wilshire Mid Cap Growth Etf   Registered Investment Company           5,922  
 
  Spdr Ser Tr Dj Wilshire Reit Etf   Registered Investment Company           25,722  
 
  Spdr Ser Tr Kbw Ins Etf   Registered Investment Company           4,266  
 
  Spdr Ser Tr S&P Pharmaceuticals Etf   Registered Investment Company           5,864  
 
  Spdr Ser Tr S&P Semiconductor Etf   Registered Investment Company           4,760  
*
  SSgA Emerging Markets   Registered Investment Company           47,848  
*
  SSgA International Stock Selection   Registered Investment Company           6,695  
*
  SSgA Life Solutions Growth Fund   Registered Investment Company           9,519  
 
  T Rowe Price Cap Appreciation   Registered Investment Company           149,096  
 
  T Rowe Price Corporate Income   Registered Investment Company           92,746  
 
  T Rowe Price Emerg Euro & Mediterranean   Registered Investment Company           45,905  
 
  T Rowe Price Emerging Mkts Stock   Registered Investment Company           70,422  
 
  T Rowe Price Equity Income   Registered Investment Company           11,620  
 
  T Rowe Price Growth Stock   Registered Investment Company           33,499  
 
  T Rowe Price Growth Stock Advisor Cl   Registered Investment Company           2,333  
 
  T Rowe Price Health Sciences   Registered Investment Company           22,032  
 
  T Rowe Price International Bond   Registered Investment Company           4  
 
  T Rowe Price Intl Discovery Fund   Registered Investment Company           64,075  
 
  T Rowe Price Int'l Emerging Market Bond   Registered Investment Company           6,180  

70


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  T Rowe Price Int'l Japan   Registered Investment Company           1,662  
 
  T Rowe Price Latin America Fund   Registered Investment Company           19,061  
 
  T Rowe Price Media & Telecommunications   Registered Investment Company           2,208  
 
  T Rowe Price Mid Cap Growth   Registered Investment Company           9,443  
 
  T Rowe Price Mid Cap Value   Registered Investment Company           48,385  
 
  T Rowe Price New Asia   Registered Investment Company           22,942  
 
  T Rowe Price New Era   Registered Investment Company           14,518  
 
  T Rowe Price New Horizons Fd Inc   Registered Investment Company           7  
 
  T Rowe Price Ret 2040 Fd   Registered Investment Company           3,931  
 
  T Rowe Price Ret. 2030 Fd   Registered Investment company           5,106  
 
  T Rowe Price Retirement 2025 Fd   Registered Investment Company           3,552  
 
  T Rowe Price Rtmt 2015 Advisor Class   Registered Investment Company           18,691  
 
  T Rowe Price Rtmt 2025 Fund Adv Shrs   Registered Investment Company           19,071  
 
  T Rowe Price Rtmt Fund 2040 Adv Shrs   Registered Investment Company           3,978  
 
  T Rowe Price Small Cap Value Fund   Registered Investment Company           804  
 
  Target Moderate Allocation Cl C N/C   Registered Investment Company           14,296  
 
  Target Retirement 2010 Fd   Registered Investment Company           6,911,221  
 
  Target Retirement 2015 Fd   Registered Investment Company           10,681,827  
 
  Target Retirement 2020 Fd   Registered Investment Company           13,313,127  
 
  Target Retirement 2025 Fd   Registered Investment Company           13,300,565  
 
  Target Retirement 2030 Fd   Registered Investment Company           14,539,872  
 
  Target Retirement 2035 Fd   Registered Investment Company           13,987,316  
 
  Target Retirement 2040 Fd   Registered Investment Company           10,592,917  
 
  Target Retirement 2045 Fd   Registered Investment Company           9,488,669  
 
  Target Retirement 2050 Fd   Registered Investment Company           7,789,096  
 
  Target Retirement Income Fd   Registered Investment Company           6,848,151  
 
  TCW Total Return Bond Class I   Registered Investment Company           45,787  
 
  Templeton Developing Markets Advisor Cl   Registered Investment Company           21,919  
 
  Templeton Emerging Mrtks Small Cap A   Registered Investment Company           5,179  
 
  The Contrarian Fund N/C   Registered Investment Company           17,314  
 
  The Delafield Fund   Registered Investment Company           2,121  
 
  The Osterweis Fund   Registered Investment Company           16,004  
 
  The Osterweis Strategic Income Fd   Registered Investment Company           13,280  
 
  Third Ave Small Cap Value Fd   Registered Investment Company           17,907  
 
  Third Avenue Intl Value   Registered Investment Company           861  
 
  Third Avenue Real Estate Value   Registered Investment Company           6,021  
 
  Third Avenue Value   Registered Investment Company           56,360  
 
  Thompson Plumb Growth Fund   Registered Investment Company           234  
 
  Timothy Plan Conserv Growth Cl C   Registered Investment Company           17,063  
 
  Timothy Plan Fixed Income Class C   Registered Investment Company           3,688  
 
  Timothy Plan Strateg Ic Growth Cl C   Registered Investment Company           8,866  
 
  Tocqueville Fund   Registered Investment Company           16,008  
 
  Tocqueville Gold Fund   Registered Investment Company           127,593  
 
  Touchstone Small Cap Value Opport Cl Z   Registered Investment Company           7,317  
 
  Tweedy Brown Global Value Fund   Registered Investment Company           79,686  
 
  Undiscovered Mgrs Behavior Value Instl   Registered Investment Company           11,501  
 
  United Sts Nat Gas Fd Lp Unit   Registered Investment Company           131,040  
 
  United Sts Oil Fd Lp Units   Registered Investment Company           196,400  
 
  US Global Region East European   Registered Investment Company           11,681  

71


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  US Global Resources   Registered Investment Company           11,695  
 
  US World Precious Minerals   Registered Investment Company           869  
 
  Value Line Small Cap Growth   Registered Investment Company           20,798  
 
  Van Eck Global Hard Assets Class C   Registered Investment Company           8,535  
 
  Van Kampen Amern Cap Sr Income Tr   Registered Investment Company           10,539  
 
  Van Kampen Equity And Income Class C   Registered Investment Company           15,409  
 
  Vangaurd Mid Cap Value Index Fd   Registered Investment Company           4,879  
 
  Vanguard Balanced Index   Registered Investment Company           5,579  
 
  Vanguard Capital Value   Registered Investment Company           25,675  
 
  Vanguard Developed Mrkts Index Inv   Registered Investment Company           14,841  
 
  Vanguard Diversified Equity Fd Inv Cl Shs   Registered Investment Company           81,895  
 
  Vanguard Emerging Mkts Vipers   Registered Investment Company           32,800  
 
  Vanguard Equity Income   Registered Investment Company           7,921  
 
  Vanguard Extended Market Index Trust   Registered Investment Company           3,245  
 
  Vanguard Fixed Inc High Yield Corp   Registered Investment Company           4,775  
 
  Vanguard Global Equity   Registered Investment Company           35,785  
 
  Vanguard GNMA   Registered Investment Company           1,287  
 
  Vanguard Growth Index   Registered Investment Company           5,657  
 
  Vanguard Index Fds Mid-Cap Grow. Ind. Viper   Registered Investment Company           4,849  
 
  Vanguard Index Fds Vanguard Growth Vipers   Registered Investment Company           7,959  
 
  Vanguard Index Trust S&P 500 Port   Registered Investment Company           224,062  
 
  Vanguard Index Trust Small Cap Growth   Registered Investment Company           40,293  
 
  Vanguard Inflation Protected Secs   Registered Investment Company           33,598  
 
  Vanguard Intermed Trm Invst Gr Invest   Registered Investment Company           87,453  
 
  Vanguard Internatl Value Portfolio   Registered Investment Company           1,852  
 
  Vanguard Inter-Term Bond Index Port   Registered Investment Company           61,972  
 
  Vanguard Intl Equityeuropean   Registered Investment Company           71,238  
 
  Vanguard Intl Equitypacific   Registered Investment Company           58,085  
 
  Vanguard Long Term US Treasury   Registered Investment Company           11,831  
 
  Vanguard Mid Cap Index   Registered Investment Company           133,481  
 
  Vanguard Mid-Cap Growth Fund   Registered Investment Company           5,532  
 
  Vanguard Muni Bond Intermediate Tm Port   Registered Investment Company           1,191  
 
  Vanguard Sector Index Fds Consumer Staples   Registered Investment Company           1,348  
 
  Vanguard Sector Index Fds Energy   Registered Investment Company           20,009  
 
  Vanguard Sector Index Fds Information Tech   Registered Investment Company           10,974  
 
  Vanguard Short Term Bond Index   Registered Investment Company           155,430  
 
  Vanguard Small Cap Stock Index Trust   Registered Investment Company           54,909  
 
  Vanguard Specialized Energy Port   Registered Investment Company           166,406  
 
  Vanguard Specialized Reit Index Fund   Registered Investment Company           73,485  
 
  Vanguard Strategic Equity   Registered Investment Company           8,281  
 
  Vanguard Target Ret 2025 Fd Investor Cl   Registered Investment Company           171,896  
 
  Vanguard Target Ret 2035 Fd Investor Cl   Registered Investment Company           103,080  
 
  Vanguard Target Retirement 2040 Fd   Registered Investment Company           3,932  
 
  Vanguard Total Intl Stock Index Fund   Registered Investment Company           30,446  
 
  Vanguard Total Stock Market   Registered Investment Company           16,550  
 
  Vanguard Utilities Income   Registered Investment Company           31,763  
 
  Vanguard Value Index   Registered Investment Company           9,255  
 
  Vanguard Wellington Fund   Registered Investment Company           54,898  
 
  Vanguard Whitehall Fds High Div. Yield Etf Shs   Registered Investment Company           23,940  

72


 

     
Baxter International Inc. and Subsidiaries
   
Incentive Investment Plan
   
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 36-0781620 and Plan Number 023
  Schedule I
December 31, 2009
   
                         
 
  Vanguard Windsor Ii   Registered Investment Company           64,240  
 
  Vanguard Windsor Ii Admiral   Registered Investment Company           112,789  
 
  Wasatch Micro-Cap Value Fund   Registered Investment Company           151,186  
 
  Wasatch Small Cap Value   Registered Investment Company           25,725  
 
  Weitz Partners Value   Registered Investment Company           29,951  
 
  Wells Fargo Asia Pacific Fd- Investor   Registered Investment Company           12,667  
 
  Wells Fargo C&B Mid Cap Value Fd Cl D N/C   Registered Investment Company           113  
 
  Western Asset Claymore Inf. Securities & Inc. Fd   Registered Investment Company           8,093  
 
  Western Asset Inflation Mgmt Fd Inc Com   Registered Investment Company           7,565  
 
  William Blair Int'l Growth Fund   Registered Investment Company           4,781  
 
  William Blair Small Cap Growth Class N   Registered Investment Company           22,668  
 
  Wisdomtree Tr Chinese Yuan Fd   Registered Investment Company           3,783  
 
  Wisdomtree Tr Defa High Yielding Equity Fd   Registered Investment Company           6,526  
 
  Yacktman Fund   Registered Investment Company           30,107  
 
                     
 
                       
 
 
Registered Investment Companies
              $ 121,035,667  
 
                     
 
                       
*    Participant Loans   Interest rates range from 4.25% to 10.59%   $ 35,784,824  
 
                     
 
                       
Collateral Held On Loaned Securities
                   
*
 
Quality D Short-Term Investment Fund
  Short-Term Investment Fund           $ 220,811,947  
 
                     
 
                       
 
 
Total Investments
              $ 1,883,119,217  
 
                     
 
*   Party-in-interest
 
**   These investments include securities that were loaned to brokers under the securities lending program with the Trustee.
 
(1)   Cost information not required for participant-directed investments.

73


 

SIGNATURE
Pursuant to the requirements of the Securities and Exchange Act of 1934, the Plan Administrator has duly caused this annual report to be signed on its behalf by the undersigned thereunto duly authorized.
         
  BAXTER INTERNATIONAL INC. AND SUBSIDIARIES
INCENTIVE INVESTMENT PLAN
 
 
Date: June 25, 2010  By:   /s/ Robert M. Davis    
    Robert M. Davis   
    Member of the Administrative Committee