þ | ANNUAL REPORT PURSUANT TO SECTION 15 (d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
o | TRANSITION REPORT PURSUANT TO SECTION 15 (d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
A. | Full title of the plan and the address of the plan, if different from that of the issuer named below: |
B. | Name of issuer of the securities held pursuant to the plan and the address of its principal executive office: |
Page(s) | ||||
1 | ||||
2 | ||||
Financial Statements |
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3 | ||||
4 | ||||
5 - 15 | ||||
Supplemental Information |
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16 - 73 |
/s/ Crowe Horwath LLP | ||||
1
2
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 | ||||
3
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 | ||||
4
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 employees 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 Companys 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 participants 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 participants 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 participants account is credited with the participants contributions and an allocation of the Companys 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 participants 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 Baxters 1996 spin-off of Allegiance Corporation (Allegiance), which were subsequently converted into common shares of Cardinal Health Inc. (Cardinal) upon Cardinals 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 Baxters 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
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 Plans 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 Plans 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 Plans 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. |
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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 Plans 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
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
8
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
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 Plans management about the assumptions market participants would use in pricing the asset or liability. |
10
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
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 | $ | | ||||||||
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 | ||||
12
6. | Investments | |
Investments representing five percent or more of the Plans 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. |
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
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 funds 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
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 Plans 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 Plans fully benefit-responsive contracts; interest rate wrapper contracts of Aegon Institutional Markets, issuer of the Plans 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
Baxter International Inc. and Subsidiaries
|
||
Incentive Investment Plan |
Schedule H, Line 4i Schedule of Assets (Held at End of Year) |
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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 | |||||||||
Kohls Corp | Common Stock | | 2,533,043 | |||||||||
Kohls 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 | |||||||||
Macys 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
|
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Incentive Investment Plan |
Schedule H, Line 4i Schedule of Assets (Held at End of Year) |
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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 |
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* |
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
BAXTER INTERNATIONAL INC. AND SUBSIDIARIES INCENTIVE INVESTMENT PLAN |
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Date: June 25, 2010 | By: | /s/ Robert M. Davis | ||
Robert M. Davis | ||||
Member of the Administrative Committee | ||||