UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington D.C. 20549 FORM 11-K [ X ] ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 For the fiscal year ended December 31, 2003 ----------------- OR [ ] TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 For the transition period from ___________to ______________ Commission file number 1-16167 -------- A. Full title of the plan and the address of the plan, if different from that of issuer named below: MONSANTO SAVINGS AND INVESTMENT PLAN 800 North Lindbergh Boulevard St. Louis, Missouri 63167 B. Name of issuer of the securities held pursuant to the plan and the address of its principal executive office: MONSANTO COMPANY 800 North Lindbergh Boulevard St. Louis, Missouri 63167 MONSANTO SAVINGS AND INVESTMENT PLAN FINANCIAL STATEMENTS AND SUPPLEMENTAL SCHEDULES FOR THE PLAN YEAR ENDED DEC. 31, 2003 AND REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM MONSANTO SAVINGS AND INVESTMENT PLAN FINANCIAL STATEMENTS AND SUPPLEMENTAL SCHEDULES TABLE OF CONTENTS PAGE Report of Independent Registered Public Accounting Firm 1 Financial Statements: Statements of Net Assets Available for Benefits as of Dec. 31, 2003 and 2002 2 Statement of Changes in Net Assets Available for Benefits for the Plan Year Ended Dec. 31, 2003 3 Notes to Financial Statements 4 Supplemental Schedules: 1. Assets Held for Investment as of Dec. 31, 2003 10 2. Schedule of Assets Held for Investment Acquired and Disposed of Within the Plan Year Ended Dec. 31, 2003 34 3. Schedule of Reportable Transactions for the Plan Year Ended Dec. 31, 2003 88 Supplemental Schedule 4 is omitted because of the absence of the conditions under which it is required. Signature 93 Exhibit Index 94 REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM Monsanto Company Employee Benefits Plan Committee We have audited the accompanying statements of net assets available for benefits of the Monsanto Savings and Investment Plan (the "Plan") as of Dec. 31, 2003 and 2002, and the related statement of changes in net assets available for benefits for the year ended Dec. 31, 2003. These financial statements are the responsibility of the Plan's management. Our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits in accordance with standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements. An audit also includes assessing the accounting principles used and significant estimates made by management, as well as evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion. In our opinion, such financial statements present fairly, in all material respects, the net assets available for benefits of the Plan as of Dec. 31, 2003 and 2002, and the changes in net assets available for benefits for the year ended Dec. 31, 2003, in conformity with accounting principles generally accepted in the United States of America. Our audits were conducted for the purpose of forming an opinion on the basic financial statements taken as a whole. The supplemental schedules listed in the Table of Contents are presented for the purpose of additional analysis and are not a required part of the basic financial statements, but are supplementary information required by the Department of Labor's Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. The supplemental information by fund in the statements of net assets available for benefits and the statement of changes in net assets available for benefits is presented for the purpose of additional analysis rather than to present the net assets available for benefits and changes in net assets available for benefits of the individual funds. The supplemental schedules and supplemental information are the responsibility of the Plan's management. Such supplemental schedules and supplemental information have been subjected to the auditing procedures applied in our audits of the basic financial statements and, in our opinion, are fairly stated in all material respects when considered in relation to the basic financial statements taken as a whole. /s/ DELOITTE & TOUCHE LLP St. Louis, Missouri May 27, 2004 MONSANTO SAVINGS AND INVESTMENT PLAN STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS AS OF DEC. 31, 2003 AND 2002 (DOLLARS IN THOUSANDS) --------------------------------------------------------------------------------------------------------------------------- 2003 2002 ---------------- ---------------- Contributions receivable: Employee $ 1,318 $ 1,192 Employer 469 430 Investment receivables 3,478 1,366 Investments: Cash and temporary investments 31,330 27,196 Mellon Daily Liquidity Stock Index Fund* 93,635 64,909 Capital Guardian International Equity Fund 48,917 32,628 Debt securities including U.S. Government securities 43,206 33,616 Common stock--Pfizer Corporation* 378,237 -- Common stock--Pharmacia Corporation* -- 381,849 Common stock--Monsanto Company* 230,675 153,770 Common stock--Solutia Inc. 263 3,169 Common and preferred stock--other 316,229 245,261 Investment contracts 440,213 441,310 Loans to participants 16,761 15,407 ---------- ---------- Total investments 1,599,466 1,399,115 ---------- ---------- TOTAL ASSETS 1,604,731 1,402,103 ---------- ---------- ESOP debt 23,125 30,347 Other liabilities 3,677 1,458 ---------- ---------- TOTAL LIABILITIES 26,802 31,805 ---------- ---------- NET ASSETS AVAILABLE FOR BENEFITS $1,577,929 $1,370,298 ========== ==========* Individual investment securities which represent five percent or more of net assets available for benefits. The above statements should be read in conjunction with the accompanying Notes to Financial Statements. 2 MONSANTO SAVINGS AND INVESTMENT PLAN STATEMENT OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS YEAR ENDED DEC. 31, 2003 (DOLLARS IN THOUSANDS) ------------------------------------------------------------------------------------------------------------------------- 2003 Contributions: Employer $ 5,999 Employee 48,803 ---------- 54,802 Investment Income (Loss): Interest 29,507 Dividends--Pfizer Corporation 8,935 Dividends--Monsanto Company 4,019 Dividends--other 5,469 Net change in fair value of investments: Common stock--Pfizer Corporation 60,667 Common stock--Monsanto Company 83,878 Common and preferred stock--other 94,532 Debt securities 1,902 Interest income on loans to participants 895 Interest expense on ESOP debt (1,631) Rollovers and transfers in/(out)--net Rollovers from other plans 6,109 Administrative expenses (4,107) Withdrawals (137,346) ---------- NET INCREASE IN NET ASSETS AVAILABLE FOR BENEFITS 207,631 NET ASSETS AVAILABLE FOR BENEFITS, BEGINNING OF YEAR 1,370,298 ---------- NET ASSETS AVAILABLE FOR BENEFITS, END OF YEAR $1,577,929 ========== The above statement should be read in conjunction with the accompanying Notes to Financial Statements. 3 MONSANTO SAVINGS AND INVESTMENT PLAN NOTES TO FINANCIAL STATEMENTS YEAR ENDED DEC. 31, 2003 ---------------------------------------------------------------------------- 1. INFORMATION REGARDING THE PLAN GENERAL ------- The following description of the Monsanto Savings and Investment Plan (the "Plan" or the "SIP") provides only general information. Participants should refer to the Plan document for a more complete description of the Plan's provisions. The Plan was established as of June 11, 2001, as a successor to a portion of the Pharmacia Corporation Savings and Investment Plan ("Pharmacia Plan") for the benefit of certain employees and former employees ("Transferred Participants") of Monsanto Company ("Monsanto" or the "Company"). Effective July 1, 2001, the assets of the Pharmacia Plan that were allocated to the accounts of the Transferred Participants were transferred to the trust established under the Plan. Also effective July 1, 2001, a portion of the unallocated assets and liabilities (primarily debt) of the leveraged employee stock ownership plan ("ESOP") component of the Pharmacia Plan were transferred to the Plan. Effective July 1, 2001, through June 30, 2002, the assets of the trust established under the Plan were collectively invested with the assets of the Pharmacia Plan in the Pharmacia Corporation and Monsanto Company Defined Contribution and Employee Stock Ownership Master Trust (the "Master Trust"). Within the Master Trust, each participating plan was entitled to an interest in the Master Trust's net assets and net earnings. As of June 30, 2002, the Plan's proportionate interests in the total net assets of the Master Trust was approximately 51 percent. Effective as of July 1, 2002: (i) assets and liabilities from the Master Trust representing the Pharmacia Plan's interest and obligations in and under the Master Trust were transferred to the Pharmacia Savings Plan Master Trust and the Pharmacia Savings Plan ESOP Trust for Pharmacia Common Stock; and (ii) Monsanto and the trustee of the Plan entered into the Monsanto Company Defined Contribution and Employee Stock Ownership Master Trust Agreement which continued the trust established pursuant to the Plan and also continued a trust to hold assets under the Plan. All assets in the Master Trust are held for the Plan. ADMINISTRATION -------------- Monsanto is the sponsor of the Plan. The Monsanto Employee Benefits Plans Committee is responsible for administering plan operations in accordance with the Employee Retirement Income Security Act of 1974 ("ERISA") and Plan documents. The Monsanto Pension and Savings Funds Investment Committee is responsible for monitoring Plan investments. The trustee of the Plan is The Northern Trust Company. PARTICIPANT ACCOUNTS -------------------- The Plan is a contributory defined contribution profit sharing plan with individual accounts for each participant. Employees who have attained age 18 are generally eligible to participate in the Plan as soon as administratively possible. The cost of Plan administration is borne partially by Plan participants and partially by Monsanto, as Plan sponsor. Each participant's account is credited with the participant's contributions, Company contributions and Plan earnings/(losses). Participants' accounts are valued on a daily basis. The benefit to which a participant is entitled is the benefit that can be provided from the participant's vested account balance. CONTRIBUTIONS AND VESTING ------------------------- The Plan provides for voluntary employee contributions generally ranging from one percent to 25 percent of an employee's eligible pay. Employees have an option to make before-tax contributions or after-tax contributions. Subject to Internal Revenue Service ("IRS") discrimination tests, contributions may be all before-tax, all after-tax, or a combination of both. Generally, employee contributions to the Plan may be invested in one percent increments and 4 allocated in any combination to the following investment fund types: a fixed income fund, a balanced fund consisting of both fixed income and equity securities, a growth and income equity fund, an international equity fund, a growth equity fund, a U.S. equity index fund, and asset allocation funds consisting of varying pre-set mixes of the aforementioned investment fund types. Prior to Aug. 14, 2002, contributions could also be invested in the Pharmacia (Employee) Common Stock Fund, which invested in Pharmacia Corporation common stock. Beginning Aug. 14, 2002, contributions could be invested in the Monsanto (Employee) Common Stock Fund, which invests in Monsanto common stock. See below for further discussion regarding the spinoff of Monsanto by Pharmacia Corporation ("Pharmacia") and the conversion of shares of Pharmacia common stock to shares of Monsanto common stock. In addition, the Plan includes four asset allocation funds which allow participants varying degrees of risk and return, including (in order of risk tolerance - least to greatest) the Conservative Portfolio Fund, the Moderate Portfolio Fund, the Moderately Aggressive Portfolio Fund, and the Aggressive Portfolio Fund. Investments in the U.S. Equity Index Fund, the Balanced Fund, the Growth and Income Equity Fund, the Growth Equity Fund, the Fixed Income Fund and the International Equity Fund are used in predetermined mixes to form the asset allocation funds. As a result of the spinoff in 1997 of Solutia Inc. ("Solutia"), a former subsidiary of the former Monsanto Company, certain Transferred Participants' accounts received common stock of Solutia. This stock is maintained in the Solutia Non-Employer Stock Fund, and no contributions, either employee or employer, subsequent to the spinoff can be made to this fund. On Aug. 13, 2002, Pharmacia completed a spinoff of Monsanto by distributing its entire ownership interest via a tax-free dividend of shares of Monsanto common stock to Pharmacia's shareowners. The shares of Monsanto common stock received in respect of participants' accounts were deposited in the Monsanto Common Stock Fund. Shares of Pharmacia common stock then held in participants' accounts were transferred to the Pharmacia Non-Employer Stock Fund, and no contributions, either employee or employer, subsequent to the spinoff may be made to this fund. The Pharmacia common stock continued to be held in the Pharmacia Non-Employer Stock Fund until April 16, 2003, at which time the shares were exchanged for shares of common stock of Pfizer Inc. ("Pfizer") as a result of the acquisition of Pharmacia by Pfizer. The ratio was 1.4 shares of Pfizer stock for one share of Pharmacia stock. As a result of this acquisition, all of the shares of common stock of Pharmacia held in the Pharmacia Non-Employer Stock Fund were exchanged for shares of common stock of Pfizer, and the Pharmacia Non-Employer Stock Fund was replaced by the Pfizer Non-Employer Stock Fund. This Pfizer stock is currently maintained in the Pfizer Non-Employer Stock Fund, and no contributions, either employee or employer, can be made to this fund. Until Dec. 30, 2005, Plan participants may continue holding portions of their accounts in the Pfizer Non-Employer Stock Fund or may reallocate all or any part of such holdings to the Monsanto (Employee) Stock Fund or the other investment funds (excluding the Monsanto (Employer) and Solutia Stock Funds) and/or pre-mixed portfolios offered under the Plan. The Pfizer Non-Employer Stock Fund shall be discontinued effective as of the close of business on Dec. 30, 2005. Any amounts remaining invested in the Pfizer Non-Employer Stock Fund as of the close of business on Dec. 30, 2005, will automatically be transferred to the Plan's default investment choice, which is currently the Moderate Portfolio. The change in fair value of Pharmacia stock held in the Pharmacia Non-Employer Stock Fund during the year ended Dec. 31, 2003, is included in "Net change in fair value of investments: Common Stock--Pfizer Corporation" in the Statement of Changes in Net Assets Available for Benefits. Effective for paychecks received after Sept. 1, 2002, the Monsanto SIP was amended to allow eligible participants to make a before-tax catch-up contribution election. Participants may be eligible to make a catch-up contribution if they are at least age 50 on or before December 31 of the calendar year and either currently contributing at least seven percent of their eligible pay per pay period to the SIP or had reached the IRS annual limit on before-tax contributions ($12,000 in 2003). For 2003, they could have elected a before-tax catch-up contribution of up to $2,000. The catch-up contributions are not eligible for Company matching contributions and are subject to the same rules as other before-tax contributions. The annual catch-up contribution limit may increase in future years in accordance with limits prescribed by the IRS. The before-tax option allows participants to elect to make before-tax contributions from gross pay before most income taxes are deducted. The participants generally cannot withdraw before-tax contributions without income tax penalties until age 59 1/2, retirement, disability, death or termination of employment. After-tax contributions are made from participants' pay after income taxes are deducted. Withdrawal of after-tax employee contributions can be made with no penalty. Participants may change the amounts of their contributions and transfer their contributions among the investment options. 5 LEVERAGED ESOP -------------- Employee contributions to the Plan, up to a maximum of seven percent of eligible pay, generally are matched 60 percent by Monsanto. The Plan also has a discretionary match employer contribution feature. In December 2003, Monsanto made a discretionary performance contribution of an additional 37.5 percent on the first 10 percent of eligible pay. Company contributions and related earnings are invested solely in Monsanto common stock. In part, this is accomplished through an ESOP feature that was added to the Pharmacia Plan in October 1991 and has been subsequently retained. Generally, Company contributions vest and become non-forfeitable at the rate of 20 percent per year of service, such that Company contributions are 100 percent vested after five years of service. A participant who has less than five years of participation in the Plan or predecessor plan cannot withdraw Company matching contributions that are not vested or that were received in the last 24 months, and cannot diversify any Company matching contributions into the other investment options in the Plan. Upon completion of five years of participation in the Plan, all Company matched amounts may be withdrawn from the Plan or diversified into the other investment options (excluding the Pfizer and Solutia Stock Funds) in the Plan. Company contributions immediately vest upon a change of control of the Company. In 1991, the ESOP component of the Pharmacia Plan issued $100 million in amortizing notes and $100 million in amortizing debentures, both guaranteed by Pharmacia, and borrowed $50 million from Pharmacia. In January 1992, the proceeds from the borrowings were used to purchase approximately 18.5 million shares of common stock from Pharmacia at the average price of $13.40 per share. In 1996 and 1997, the ESOP component of the Pharmacia Plan borrowed an additional $3.7 million and $4.3 million, respectively, from Pharmacia to make payments on existing ESOP borrowings. The Pharmacia Plan's ESOP debt was restructured effective as of July 1, 2001, in connection with the establishment and transfer of assets and liabilities to the Plan. The Plan's ESOP component received a transfer from the Pharmacia Plan's ESOP of 3,029,255 unallocated shares of Pharmacia common stock. Immediately following the debt restructuring and transfer, the Plan's ESOP debt consisted of two promissory notes (the "Notes") to Monsanto: (i) one note payable in the principal amount of $2.2 million, bearing interest at the rate of seven percent per annum, and having a maturity date of Dec. 15, 2021 (the "7.00% Note"), and (ii) the other note payable in the principal amount of $40.6 million, bearing interest at the rate of 5.71 percent per annum, and providing for semi-annual amortization of principal and a final maturity date of Dec. 15, 2006 (the "5.71% Note"). Following the spinoff of Monsanto from Pharmacia on Aug. 13, 2002, the unallocated Pharmacia shares held by the Plan's ESOP component were gradually converted to shares of Monsanto common stock through open market transactions and through the exchange of Pharmacia stock for Monsanto stock with certain Pharmacia employee benefit plans at market rates. These Pharmacia shares are now fully converted. The unallocated shares of Pharmacia common stock, which were converted to Monsanto shares as described above, held by the Plan's ESOP component are released for allocation to participant accounts in accordance with the terms of the Plan as interest and principal on the Notes are paid. In 2003, approximately 1,367,000 equivalent shares of Monsanto stock were released for allocation to participant accounts. As of Dec. 31, 2003, approximately 3,900,000 shares of Monsanto stock remained unallocated with an approximate market value of $113 million. The Plan obtains funds to repay the ESOP borrowings primarily through Company contributions and dividends paid on Monsanto common stock purchased with ESOP borrowings. As of Dec. 31, 2003, the 5.71% Note had an outstanding principal balance of $23 million and the 7.00% Note (due in 2021) had an outstanding principal balance of $83 thousand. Interest on the Notes is payable semiannually on June 15 and December 15. In 2003, employer contributions included $1.6 million in cash to meet the interest payments on the Notes. Scheduled maturities on the 5.71% Note are $7,917 in 2004, $7,760 in 2005 and $7,366 in 2006 (all in thousands). PARTICIPANT LOANS ----------------- Most Plan participants can obtain loans from their accounts. A participant with a Plan account balance of over $2,000 may borrow up to the legal limit of 50 percent of the total vested account balance (including the value of the employer-contributed portion of the Monsanto Common Stock Fund account), but not more than $50,000 minus the excess of the participant's highest outstanding loan balance during the last 12 months or 100 percent of his or her employee account value. The minimum loan is $1,000, and the maximum number of outstanding loans at any one time is two. 6 2. SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES The accompanying financial statements of the Plan have been prepared on the accrual basis of accounting. In accordance with the American Institute of Certified Public Accountants Audit and Accounting Guide, Audits of Employee Benefit Plans, benefits payable to persons who have withdrawn from participation in a defined contribution plan should be disclosed in the footnotes to the financial statements rather than be recorded as a liability of the plan. As of Dec. 31, 2003, there were no such benefits payable. The preparation of financial statements in conformity with accounting principles generally accepted in the United States of America requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities, disclosure of contingent liabilities at the date of the financial statements and reported amounts of increases and decreases during the reporting period. Actual results could differ from those estimates. Fixed income fund investments in guaranteed investment contracts, issued by insurance companies, are valued at contract value plus accrued interest because these investments have fully benefit-responsive features. Investments other than guaranteed investment contracts are stated at fair values, which are generally determined by quoted market prices. The value of outstanding participant loans is determined based on the outstanding principal balance as of the last day of the period, which approximates fair value. Purchases and sales of securities are recorded on a trade-date basis. Dividend income is recorded on the ex-dividend date. Realized gains and losses from security transactions are reported on the average cost method. In the statement of changes in net assets available for benefits, the Plan presents the net appreciation (depreciation) in the fair value of its investments, which consists of the realized gains and losses and the unrealized appreciation (depreciation) on these investments. The Plan pays certain outside service provider expenses (e.g. recordkeeping and trustee fees) incurred in the operation of the Plan. Investment manager fees are paid by the Plan and are included in Administrative Expenses. Certain other expenses are paid by Monsanto. The Plan provides for various investment options in any combination of stocks, mutual funds, common/collective trusts, and other investment securities. Investment securities are exposed to various risks, such as interest rate, market and credit risk. Due to the level of risk associated with certain investment securities and the level of uncertainty related to changes in the value of investment securities, it is possible that changes in risks in the near term would materially affect participants' account balances and the amounts reported in the statement of net assets available for benefits and the statement of changes in net assets available for benefits. 3. GUARANTEED INVESTMENT CONTRACTS The Fixed Income Fund invests in synthetic guaranteed investment contracts. Synthetic guaranteed investment contracts are comprised of two components: an underlying portfolio of fixed income securities and a benefit responsive contract. Benefit responsive contracts are issued by financial services companies to allow participants' account balances to reflect the contract value of the underlying fixed income investments (principal plus interest) rather than the market value of those investments. Upon proper notification to the financial service provider, the benefit responsive agreement may be terminated. A single uniform contract (the "Global Wrap Benefit Responsive Contract") was in place on Dec. 31, 2003 and 2002, with Commonwealth General Corporation, J.P. Morgan Chase Bank and State Street Bank. The following summarizes the contract value of the synthetic guaranteed investment contracts as of Dec. 31, 2003 and 2002. 7 AS OF DEC. 31, GUARANTEED INVESTMENT CONTRACTS -------------------------- (DOLLARS IN THOUSANDS) 2003 2002 Commonwealth General Corporation $176,085 $176,524 J.P. Morgan Chase Bank 132,064 132,393 State Street Bank 132,064 132,393 -------- -------- Total $440,213 $441,310 ======== ======== The rate of return for the synthetic guaranteed investment contracts generally fluctuates with the return on the underlying assets. The 12-month average yield for such contracts, net of all applicable administrative and investment fees, was 5.69 percent for the period from Jan. 1, 2003, to Dec. 31, 2003, and 5.85 percent for the period from Jan. 1, 2002, to Dec. 31, 2002. Participant accounts are credited with an interest rate which is determined quarterly by the issuers of the benefit responsive contracts based on the investments in the underlying fixed income portfolio. The annual interest rates as of Dec. 31, 2003 and 2002, were 5.87 percent and 6.41 percent, respectively. The Plan values these synthetic guaranteed investment contracts at contract value plus accrued interest. The total estimated fair value of the synthetic guaranteed investment contracts was $461 million and $468 million as of Dec. 31, 2003 and 2002, respectively. The above-mentioned synthetic guaranteed investment contracts, Mellon Daily Liquidity Stock Index Fund, Pfizer common stock (for 2003), Pharmacia common stock (for 2002), and Monsanto common stock represent the only investments of the Plan which are individually greater than five percent of the Plan's ending assets. 4. NONPARTICIPANT-DIRECTED INVESTMENTS Except as noted below, all other funds in the Plan are participant-directed. The Plan's ESOP debt and related principal and interest payments are also nonparticipant-directed. Information about the net assets and the significant components of the changes in net assets relating to the nonparticipant-directed investment amounts in the Plan (as of Dec. 31, 2003 and 2002, and for the period Jan. 1, 2003, to Dec. 31, 2003) is outlined in the table below. (DOLLARS IN THOUSANDS) NET ASSETS: AS OF DEC. 31, 2003 AS OF DEC. 31, 2002 Cash and temporary investments $ 1,205 $ 1,333 Common stock--Monsanto Company 203,868 144,286 -------- -------- Total Assets 205,073 145,619 Accrued expenses 10 -- ESOP debt 23,125 30,347 -------- -------- Total Liabilities 23,135 30,347 -------- -------- Net Assets $181,938 $115,272 ======== ======== 8 (DOLLARS IN THOUSANDS) YEAR ENDED CHANGES IN NET ASSETS: DEC. 31, 2003 Contributions $ 5,999 Interest income 22 Dividends 3,675 Net appreciation 68,265 Interest expense on ESOP debt (1,631) Administrative expense (695) Withdrawals and transfers (8,969) ------- Changes in Net Assets $66,666 ======= 5. INFORMATION REGARDING TAX STATUS On Oct. 17, 2003, the IRS issued Monsanto a favorable determination letter that the Plan is qualified for federal income tax purposes in compliance with section 401(a) of the Internal Revenue Code. 6. PRIORITIES UPON TERMINATION OF THE PLAN If the Plan is terminated, all participants' account balances will be fully vested, and all participants would then be entitled to a full distribution of their account balances as more fully described and set forth in the Plan document. 7. PARTY-IN-INTEREST INVESTMENTS AND TRANSACTIONS There were no nonexempt prohibited transactions with parties-in-interest during the period from Jan. 1, 2003, to Dec. 31, 2003. 8. SUBSEQUENT EVENTS As of Jan. 2, 2004, employee contributions to the Plan could be invested in one percent increments and allocated to four new investment fund types: a treasury inflation-protected securities (TIPs) fund, a value equity fund, a small cap growth equity fund and a small cap value equity fund. As of Jan. 2, 2004, certain limitations were imposed on investment transfers. If participants transfer amounts out of the small cap growth equity fund, the small cap value equity fund, the international equity fund, or the Monsanto (Employee) Common Stock Fund, they will not be permitted to transfer any amounts into such fund until at least 30 calendar days after the date of their last transfer out of the fund. ***** 9 MONSANTO SAVINGS AND INVESTMENT PLAN SUPPLEMENTAL SCHEDULE 1 ---------------------------------------------------------------------------- ASSETS HELD FOR INVESTMENT AS OF DEC. 31, 2003 10 5500 SUPPLEMENTAL SCHEDULES 31 DEC 03 Schedule of Assets Held for Investment Purposes Security Description / Asset ID Shares/Par Value Historical Cost Current Value --------------------------------------------------------------------------------------------------------------------------------- Non-Interest Bearing Cash - USD --------------------------------------------------------------------------------------------------------------------------------- USD - United States dollar -339,077.600 -339,077.600 -339,077.600 --------------------------------------------------------------------------------------------------------------------------------- TOTAL - ALL CURRENCIES -339,077.60 -339,077.60 --------------------------------------------------------------------------------------------------------------------------------- TOTAL NON-INTEREST BEARING CASH - USD -339,077.60 -339,077.60 Receivable Income - USD --------------------------------------------------------------------------------------------------------------------------------- UNITED STATES - USD INCOME FROM SECURITIES LENDING ACTIVITIES 5.000 0.000 0.000 --------------------------------------------------------------------------------------------------------------------------------- TOTAL UNITED STATES - USD 0.00 0.00 --------------------------------------------------------------------------------------------------------------------------------- TOTAL RECEIVABLE INCOME - USD 0.00 0.00 Receivables - Other - USD --------------------------------------------------------------------------------------------------------------------------------- Pending trade purchases: United States dollar 0.000 -3,215,770.490 -3,215,770.490 Pending trade sales: United States dollar 0.000 2,601,258.010 2,601,258.010 --------------------------------------------------------------------------------------------------------------------------------- TOTAL - ALL CURRENCIES -614,512.48 -614,512.48 --------------------------------------------------------------------------------------------------------------------------------- TOTAL RECEIVABLES - OTHER - USD -614,512.48 -614,512.48 U.S. Government Securities --------------------------------------------------------------------------------------------------------------------------------- UNITED STATES - USD FHLMC GOLD E00228 6.5 07-01-2008 CUSIP: 31294JHD3 168,632.300 165,259.660 179,156.810 FHLMC GOLD E01140 6 05-01-2017 CUSIP: 31294KHR9 782,488.590 808,530.800 821,113.790 FHLMC GOLD E78398 6.5 07-01-2014 CUSIP: 3128GDKK5 504,918.190 516,554.970 534,954.760 FHLMC GOLD GROUP E00400 7.5 10-01-2010 CUSIP: 31294JNR5 53,802.660 54,786.230 57,405.230 FHLMC GOLD G10449 7 02-01-2011 CUSIP: 31283JQA2 264,453.170 270,754.590 282,108.330 FHLMC GOLD G11206 6 01-01-2015 CUSIP: 31283KKT4 308,566.050 317,533.750 324,087.850 FHLMC GROUP #E00379 7.5 MTG PARTN CTF DUE 06-01-2010 REG CUSIP: 31294JM47 54,337.510 55,330.870 57,975.900 FHLMC GROUP #E00386 7.5 MTG PARTN CTF DUE 08-01-2010 REG CUSIP: 31294JNB0 67,898.020 69,139.290 72,444.400 FHLMC GROUP #E20179 7.5 MTG PARTN CTF DUE 06-01-2010 REG CUSIP: 31335KFU5 13,965.080 14,220.360 14,906.400 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 11 5500 SUPPLEMENTAL SCHEDULES 31 DEC 03 Schedule of Assets Held for Investment Purposes Security Description / Asset ID Shares/Par Value Historical Cost Current Value --------------------------------------------------------------------------------------------------------------------------------- U.S. Government Securities --------------------------------------------------------------------------------------------------------------------------------- UNITED STATES - USD FHLMC MULTICLASS SER T-41 CL 2A 7 07-25-2032 CUSIP: 31392MEM0 756,524.930 785,840.270 815,628.440 FHLMC POOL # G1-1184 5.5 09-01-2016 BEO CUSIP: 31283KJ58 1,391,234.050 1,429,275.610 1,442,610.930 FHLMC POOL # G11288 6.5 06-01-2017 BEO CUSIP: 31283KND6 1,072,412.380 1,122,179.030 1,136,006.430 FHLMC POOL # G11431 6 02-01-2018 BEO CUSIP: 31283KSU3 724,060.750 748,724.070 759,737.400 FHLMC POOL # G11452 6.5 04-01-2018 BEO CUSIP: 31283KTH1 1,265,620.480 1,331,867.820 1,343,937.080 FNMA POOL # 190791 6 DUE 02-01-2009 REG CUSIP: 31368H2Y8 234,382.090 235,590.620 246,797.540 FNMA POOL # 224484 7.5 DUE 06-01-2011 REG CUSIP: 31369YJ55 219,741.480 227,596.420 234,157.840 FNMA POOL # 313224 7 DUE 12-01-2011 REG CUSIP: 31374F4H9 248,851.150 256,549.980 265,890.490 FNMA POOL # 313543 6.983 DUE 06-01-2007 REG CUSIP: 31374GHU4 227,594.370 229,096.840 248,314.110 FNMA POOL # 323165 6 DUE 06-01-2013 REG CUSIP: 31374S6A4 37,804.740 39,488.230 39,744.580 FNMA POOL # 383308 6.26 DUE 03-01-2011 REG CUSIP: 31377PYD0 160,251.530 160,624.700 177,169.280 FNMA POOL # 535755 6.298 DUE 03-01-2011 REG CUSIP: 31384WE48 707,979.000 730,988.310 780,519.940 FNMA POOL # 545090 6 DUE 07-01-2016 REG CUSIP: 31385HRK0 663,849.620 695,901.110 697,058.700 FNMA POOL # 545962 5.5 DUE 12-01-2013 REG CUSIP: 31385JQP6 913,890.380 947,233.090 951,507.940 FNMA POOL # 555299 7 11-01-2017 BEO CUSIP: 31385W3G2 1,794,725.490 1,908,578.400 1,919,720.940 FNMA POOL #50927 6.5 GTD MTG PASS THRU CTF DUE 11-01-2008 CUSIP: 313615SQ0 153,255.740 153,483.970 161,321.590 FNMA POOL #50973 6.0 GTD MTG PASS THRU CTF DUE 01-01-2009 CUSIP: 313615T63 309,393.820 305,892.700 325,782.720 FNMA PREASSIGN 00619 7 06-25-2042 CUSIP: 31392DF49 304,485.500 320,708.870 328,559.040 FNMA PREASSIGN 00837 7.5 04-25-2029 CUSIP: 31358S4W8 335,595.810 344,301.490 366,428.680 FNMA REMIC SER 2002-57 CL AB 5.5 DUE 12-31-2040 BEO CUSIP: 31392D3E0 292,275.970 295,472.730 293,791.710 FNMA REMIC SER 2003-W17 CL PT1 10.26127 08-25-2032 CUSIP: 31393UAN3 747,704.110 856,588.520 856,588.520 FNMA SERIES 2001-W3 CLASS-A 7 09-25-2041 CUSIP: 3139216F0 417,281.440 453,402.360 450,272.960 FNMA 2001-T10 CL A1 PASS THRU 7 12-25-2031 CUSIP: 3139216A1 361,182.780 376,837.770 389,738.970 SMALL BUS ADMIN GTD DEV PARTN CTF DEB SER 1997-20 I 6.9/ CUSIP: 83162CHT3 172,537.370 176,219.320 189,948.810 SMALL BUSINESS ADMIN GTD DEV PARTN CTF DEB SER 1997-20 F CUSIP: 83162CHN6 144,710.650 150,051.570 160,545.470 SMALL BUSINESS ADMIN GTD DEV PARTN CTF DEB SER 2003-20 B CUSIP: 83162CMU4 393,390.580 392,038.300 393,217.880 SMALL BUSINESS ADMIN GTD DEV PARTN CTF 6.1 DUE 07-01-2018 CUSIP: 83162CJJ3 299,284.110 299,284.110 321,899.810 UNITED STATES TREAS NTS BD INFLATION INDEXED 3 DUE 07-1 CUSIP: 912828AF7 90,000.000 94,539.180 100,955.420 US TREAS NTS DTD 02/15/1995 7.5 DUE 02-15-2005 REG CUSIP: 912827S86 590,000.000 641,016.270 630,723.570 US TREAS NTS DTD 05/15/2002 4.375 DUE 05-15-2007 REG CUSIP: 912828AC4 2,000,000.000 2,107,187.500 2,117,890.000 US TREAS NTS DTD 08/31/2003 2 DUE 08-31-2005 REG CUSIP: 912828BJ8 2,000,000.000 2,013,281.250 2,012,890.000 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 12 5500 SUPPLEMENTAL SCHEDULES 31 DEC 03 Schedule of Assets Held for Investment Purposes Security Description / Asset ID Shares/Par Value Historical Cost Current Value --------------------------------------------------------------------------------------------------------------------------------- U.S. Government Securities --------------------------------------------------------------------------------------------------------------------------------- UNITED STATES - USD US TREAS NTS INFLATION-INDEXED NT 3.5 DUE 01-15-2011 CUSIP: 9128276R8 245,000.000 252,399.590 292,658.320 US TREAS NTS NT 1.25 DUE 05-31-2005 REG CUSIP: 912828BB5 3,450,000.000 3,444,949.220 3,440,836.800 US TREAS NTS 4.875 DUE 02-15-2012 REG CUSIP: 9128277L0 830,000.000 894,519.540 879,021.460 US TREAS NTS 5.625 DUE 02-15-2006 REG CUSIP: 912827W81 1,800,000.000 1,955,531.250 1,939,851.000 --------------------------------------------------------------------------------------------------------------------------------- TOTAL UNITED STATES - USD 28,649,350.53 29,055,877.84 --------------------------------------------------------------------------------------------------------------------------------- TOTAL U.S. GOVERNMENT SECURITIES 28,649,350.53 29,055,877.84 Corporate Debt Instruments - Preferred --------------------------------------------------------------------------------------------------------------------------------- UNITED STATES - USD AMERN HOME PRODS CORP NT 6.95 DUE 03-15-2011 BEO CUSIP: 026609AM9 270,000.000 269,527.500 304,929.090 BANKAMERICA CAP II SER 2 8 BD DUE 12-15-2026/06 BEO CUSIP: 066048AA7 300,000.000 316,629.000 343,729.200 BURL NORTHN SANTA FE RY CO PASS THRU TR SER 2000-1 8.251 D CUSIP: 12189PAG7 368,881.530 368,881.530 463,861.150 CIT GROUP INC NEW SR NT 5.75 DUE 09-25-2007 CUSIP: 125581AC2 175,000.000 174,902.380 188,824.300 CITICORP CAP I 7.933 DUE 02-15-2027/02-15-2 CUSIP: 17303PAA0 300,000.000 313,161.000 345,787.200 HEWLETT PACKARD CO GLOBAL NT 5.5 DUE 07-01-2007/06-30-2 CUSIP: 428236AF0 400,000.000 399,200.000 432,320.400 SCHERING PLOUGH CORP SR NT 5.3 DUE 12-01-2013/11-26-2 CUSIP: 806605AE1 125,000.000 124,538.750 127,181.130 UN PAC RR CO PASS THRU TR PASS THRU CTF SER 1999-A 7.6 DUE CUSIP: 907833AH0 854,466.290 854,466.290 1,016,737.980 WYETH WYE 5.50 02/01/2014 5.5 DUE 02-01-2014/12-16-2 CUSIP: 983024AE0 400,000.000 399,216.000 404,566.000 --------------------------------------------------------------------------------------------------------------------------------- TOTAL UNITED STATES - USD 3,220,522.45 3,627,936.45 --------------------------------------------------------------------------------------------------------------------------------- TOTAL CORPORATE DEBT INSTRUMENTS - PREFERRED 3,220,522.45 3,627,936.45 Corporate Debt Instruments - Other --------------------------------------------------------------------------------------------------------------------------------- UNITED STATES - USD AMERADA HESS CORP NT DTD 08/15/2001 6.65DUE 08-15-2011/08- CUSIP: 023551AH7 125,000.000 134,339.000 135,468.500 AMERADA HESS CORP NT 7.875 DUE 10-01-2029 BEO CUSIP: 023551AF1 125,000.000 137,645.700 137,147.380 AOL TIME WARNER INC DEB DTD 04/08/2002 7.7 DUE 05-01-2032 CUSIP: 00184AAG0 644,000.000 670,074.220 751,616.260 AT&T CORP USD SR NT DUE 11-15-2031/11-14-2 CUSIP: 001957BD0 595,000.000 520,752.000 695,294.990 AT&T CORP 8.05 USD SR NT DUE 11-15-2011/11-14-2 CUSIP: 001957BC2 375,000.000 353,218.420 431,617.500 BK 1 CAP III 8.75 BDS 01/09/30 USD 8.75 DUE 09-01-2030/08- CUSIP: 06423KAA9 250,000.000 292,780.500 328,495.250 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 13 5500 SUPPLEMENTAL SCHEDULES 31 DEC 03 Schedule of Assets Held for Investment Purposes Security Description / Asset ID Shares/Par Value Historical Cost Current Value --------------------------------------------------------------------------------------------------------------------------------- Corporate Debt Instruments - Other --------------------------------------------------------------------------------------------------------------------------------- UNITED STATES - USD BSTN PPTYS LTD PARTNERSHIP SR NT 5.625 DUE 04-15-2015/04- CUSIP: 10112RAF1 250,000.000 250,748.000 249,837.500 BSTN PPTYS LTD PARTNERSHIP SR NT 6.25 DUE 01-15-2013/01- CUSIP: 10112RAB0 175,000.000 175,613.500 187,782.530 CIGNA CORP SR NT 7 DUE 01-15-2011/01-14-2 CUSIP: 125509BF5 315,000.000 313,651.800 352,266.710 COMCAST CORP NEW NT 5.3 DUE 01-15-2014/01-14-2 CUSIP: 20030NAE1 400,000.000 390,964.000 398,671.600 DILLARD DEPT STORES INC 7.75 DEBDUE 05-15-2027 BEO CUSIP: 254063AW0 370,000.000 265,223.400 370,000.000 EOP OPER LTD PARTNERSHIP EOP OPER LP 5.875 DUE 01-15-20 CUSIP: 268766BY7 350,000.000 348,642.000 365,382.150 FORD MTR CR CO FORD MTR CR CO 7.25 DUE 10-25-2011 BEO CUSIP: 345397TY9 695,000.000 691,419.620 753,771.980 FORD MTR CR CO NT 7.375 DUE 10-28-2009 BEO CUSIP: 345397SM6 200,000.000 213,626.000 219,632.200 GEN MTR ACCEPT CORP 8.875 BD DUE 6-1-2010 REG (OPT CUSIP: 370424FV0 740,000.000 876,655.800 866,101.920 HLTH NET INC SR NT 8.375 DUE 04-15-2011 BEO CUSIP: 42222GAC2 300,000.000 298,932.000 360,471.300 MAY DEPT STORES CO 7.875 DEB DUE 08-15-2036/16 CUSIP: 577778BD4 520,000.000 559,239.200 592,607.600 MAY DEPT STORES CO 8.5 DUE 06-01-2019 BEO CUSIP: 577778BM4 185,000.000 192,031.850 232,670.060 PG&E NATL ENERGY GROUP INC SR NT 10.375 DUE 05-16-2011/05- CUSIP: 69334TAC2 390,000.000 385,643.320 273,000.000 PVTPL OVERSEAS PVT INV CRP U S GVT GTD SER 1996 503-D TR CUSIP: 690353CJ4 411,110.210 411,110.210 443,464.580 RAYTHEON CO NT 8.3 DUE 03-01-2010 BEO CUSIP: 755111BH3 260,000.000 284,427.000 311,976.080 RAYTHEON CO 6.75 DUE 08-15-2007 REG CUSIP: 755111AE1 490,000.000 494,473.700 542,884.230 SAFECO CORP NT 6.875 DUE 07-15-2007 REG CUSIP: 786429AK6 100,000.000 100,572.240 110,954.600 SAFECO CORP SR NT 7.25 DUE 09-01-2012 BEO CUSIP: 786429AN0 200,000.000 230,916.000 229,762.400 ST PAUL COS INC SR NT 8.125 DUE 04-15-2010/04-17-2 CUSIP: 792860AD0 275,000.000 296,881.750 328,881.030 TIME WARNER ENTMT CO L P SR SUB DEB 8.375 DUE 07-15-20 CUSIP: 88731EAJ9 100,000.000 112,013.000 126,979.200 TIME WARNER ENTMT CO L P 8.375 DUE 03-15-2023 REG CUSIP: 88731EAF7 295,000.000 308,932.480 365,538.930 UNUM CORP NT 6.75 DUE 12-15-2028 BEO CUSIP: 903192AA0 175,000.000 125,000.000 166,662.830 UNUMPROVIDENT CORP SR NT 7.625 DUE 03-01-2011 BEO CUSIP: 91529YAC0 175,000.000 175,876.020 192,785.250 --------------------------------------------------------------------------------------------------------------------------------- TOTAL UNITED STATES - USD 9,611,402.73 10,521,724.56 --------------------------------------------------------------------------------------------------------------------------------- TOTAL CORPORATE DEBT INSTRUMENTS - OTHER 9,611,402.73 10,521,724.56 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 14 5500 SUPPLEMENTAL SCHEDULES 31 DEC 03 Schedule of Assets Held for Investment Purposes Security Description / Asset ID Shares/Par Value Historical Cost Current Value --------------------------------------------------------------------------------------------------------------------------------- Corporate Stock - Preferred --------------------------------------------------------------------------------------------------------------------------------- UNITED STATES - USD ADR NEWS CORP LTD SPONSORED ADR REPSTG PFD LTD CUSIP: 652487802 72,400.960 1,621,179.610 2,190,129.040 --------------------------------------------------------------------------------------------------------------------------------- TOTAL UNITED STATES - USD 1,621,179.61 2,190,129.04 --------------------------------------------------------------------------------------------------------------------------------- TOTAL CORPORATE STOCK - PREFERRED 1,621,179.61 2,190,129.04 Corporate Stock - Common --------------------------------------------------------------------------------------------------------------------------------- UNITED STATES - USD #REORG/ 24/7 REAL MEDIA INC REV SPLIT EFF 2/26/04 CUSIP: 901314104 21,800.000 33,673.860 29,212.000 #REORG/ADVANCE PCS CASH & STK MERGER TO CAREMARK RX INC SE CUSIP: 00790K109 800.000 20,270.710 42,128.000 #REORG/EXTD STAY AMER INC CASH MERGER EFF 5/11/04 CUSIP: 30224P101 3,000.000 42,806.500 43,440.000 #REORG/FLEETBOSTON FINL CORP STK MERGER TO BK OF AMER CORP CUSIP: 339030108 12,300.000 395,146.360 536,895.000 #REORG/HUGHES ELECTRONICS NAME CHANGE TODIRECTV GROUP INC CUSIP: 444418107 10,701.810 202,351.430 177,114.960 #REORG/I-STAT CORP CASH MERGER EFF 1/28/04 CUSIP: 450312103 1,700.000 20,410.370 26,010.000 #REORG/NEW FOCUS INC STK MERGER TO BOOKHAM TECH SEC # CUSIP: 644383101 3,500.000 16,468.930 17,570.000 #REORG/THERASENSE INC CASH MERGER EFF 4-5-05 CUSIP: 883381105 3,050.000 45,281.200 61,915.000 ABBOTT LAB COM CUSIP: 002824100 26,200.000 1,027,878.510 1,220,920.000 ACCENTURE LTD BERMUDA CLS A COM CUSIP: G1150G111 12,900.000 265,665.680 339,528.000 ADMINISTAFF INC COM CUSIP: 007094105 3,250.000 33,304.060 56,485.000 ADOLOR CORP COM CUSIP: 00724X102 780.000 9,368.810 15,615.600 ADR AKZO NOBEL N V SPONSORED ADR CUSIP: 010199305 54,400.000 1,789,984.050 2,078,080.000 ADR ASTRAZENECA PLC SPONSORED ADR UK CUSIP: 046353108 7,700.000 284,979.440 372,526.000 ADR BOOKHAM TECH PLC SPONSORED CUSIP: 09856Q108 6,000.000 13,051.200 15,000.000 ADR FLAMEL TECHNOLOGIES SA SPONSORED ADR CUSIP: 338488109 2,900.000 63,416.530 77,691.000 ADR HONDA MOTOR CO. LTD AMER DEPOSITARY SHARES REPRESENTIN CUSIP: 438128308 1,500.000 29,537.850 33,750.000 ADR INTERCONTINENTAL HOTELS GROUP PLC SPONSORED ADR CUSIP: 458573102 74,152.000 418,305.730 709,634.640 ADR MATSUSHITA ELEC INDL LTD ADR CUSIP: 576879209 91,000.000 1,058,551.280 1,268,540.000 ADR NOKIA CORP SPONSORED ADR CUSIP: 654902204 53,875.000 1,118,702.790 915,875.000 ADR NOVARTIS AG SPONSORED ADR ISIN #US66987V1098 CUSIP: 66987V109 8,900.000 382,336.290 408,421.000 ADR NV EUR0.02(NY REG) CUSIP: N07059111 8,600.000 171,444.430 172,430.000 ADR RIO TINTO PLC CUSIP: 767204100 11,100.000 625,076.830 1,235,541.000 ADR ROCHE HLDG LTD SPONSORED ADR ISIN #US771195104 CUSIP: 771195104 4,500.000 376,518.400 453,911.400 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 15 5500 SUPPLEMENTAL SCHEDULES 31 DEC 03 Schedule of Assets Held for Investment Purposes Security Description / Asset ID Shares/Par Value Historical Cost Current Value --------------------------------------------------------------------------------------------------------------------------------- Corporate Stock - Common --------------------------------------------------------------------------------------------------------------------------------- UNITED STATES - USD ADR SAP AKTIENGESELLSCHAFT SPONSORED ADR CUSIP: 803054204 24,100.000 741,172.930 1,001,596.000 ADR SCOTTISH PWR PLC SPONSORED ADR FINALINSTALMENT CUSIP: 81013T705 17,700.000 404,818.830 481,086.000 ADR SONY CORP AMER DEPY RCPT FOR DOLLAR-VALIDATED C CUSIP: 835699307 54,500.000 1,987,305.140 1,889,515.000 ADR SYNGENTA AG SPONSORED ADR CUSIP: 87160A100 35,100.000 410,230.420 473,148.000 ADR TAIWAN SEMICONDUCTOR MFG CO LTD SPONSORED ADR CUSIP: 874039100 98,276.000 855,418.860 1,006,346.240 ADR TEVA PHARMACEUTICAL INDS LTD ADR ISIN #US8816242098 CUSIP: 881624209 22,300.000 1,095,330.560 1,264,633.000 ADR TOTAL SA CUSIP: 89151E109 7,100.000 484,124.830 656,821.000 ADR UNILEVER N V NY SHS NEW CUSIP: 904784709 27,000.000 1,507,892.250 1,752,300.000 ADR VODAFONE GROUP PLC NEW SPONSORED ADR CUSIP: 92857W100 35,175.000 711,776.670 880,782.000 ADTRAN INC COM CUSIP: 00738A106 900.000 30,601.020 27,900.000 ADVANCED ENERGY INDS INC COM CUSIP: 007973100 2,400.000 50,795.840 62,520.000 AETNA INC CUSIP: 00817Y108 500.000 23,623.860 33,790.000 AFFILIATED COMPUTER SVCS INC CL A COM CUSIP: 008190100 900.000 37,251.130 49,014.000 AFFILIATED MANAGERS GROUP INC COM STK CUSIP: 008252108 1,130.000 74,279.110 78,636.700 AFLAC INC COM CUSIP: 001055102 4,500.000 149,230.490 162,810.000 AGERE SYS INC CL A CUSIP: 00845V100 5,500.000 19,393.320 16,775.000 AGILENT TECHNOLOGIES INC COM CUSIP: 00846U101 22,100.000 473,833.740 646,204.000 AIR PROD & CHEM INC COM CUSIP: 009158106 14,200.000 620,593.520 750,186.000 ALCOA INC COM STK CUSIP: 013817101 43,700.000 972,411.550 1,660,600.000 ALCON INC CUSIP: H01301102 15,600.000 833,668.290 944,424.000 ALLERGAN INC COM CUSIP: 018490102 4,900.000 324,021.700 376,369.000 ALLIANCE DATA SYS CORP COM CUSIP: 018581108 3,450.000 47,626.710 95,496.000 ALLIANCE GAMING CORP COM NEW NEW CUSIP: 01859P609 2,900.000 42,999.840 71,485.000 ALLIANT TECHSYSTEMS INC COM CUSIP: 018804104 500.000 28,726.370 28,880.000 ALLSTATE CORP COM CUSIP: 020002101 0.000 0.000 0.000 ALLTEL CORP COM CUSIP: 020039103 13,200.000 664,721.400 614,856.000 ALTERA CORP COM CUSIP: 021441100 17,600.000 226,218.070 399,520.000 AMDOCS ORD GBP0.01 CUSIP: G02602103 1,400.000 18,847.940 31,472.000 AMER ELEC PWR CO INC COM CUSIP: 025537101 31,800.000 984,235.370 970,218.000 AMER EXPRESS CO COM CUSIP: 025816109 44,400.000 1,942,047.350 2,141,412.000 AMERADA HESS CORP COM CUSIP: 023551104 20,900.000 1,231,125.840 1,111,253.000 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 16 5500 SUPPLEMENTAL SCHEDULES 31 DEC 03 Schedule of Assets Held for Investment Purposes Security Description / Asset ID Shares/Par Value Historical Cost Current Value --------------------------------------------------------------------------------------------------------------------------------- Corporate Stock - Common --------------------------------------------------------------------------------------------------------------------------------- UNITED STATES - USD AMERISOURCEBERGEN CORP COM CUSIP: 03073E105 500.000 31,461.910 28,075.000 AMERN INTL GROUP INC COM CUSIP: 026874107 51,762.000 3,581,645.040 3,430,785.360 AMERN STD COS INC DEL COM CUSIP: 029712106 200.000 15,195.300 20,140.000 AMGEN INC COM CUSIP: 031162100 75,600.000 4,106,728.000 4,672,080.000 AMSURG CORP COM CUSIP: 03232P405 1,370.000 34,708.850 51,909.300 ANALOG DEVICES INC COM CUSIP: 032654105 6,200.000 218,829.750 283,030.000 ANGIOTECH PHARMACEUTICALS INC COM CUSIP: 034918102 2,070.000 92,701.960 95,220.000 ANHEUSER BUSCH COS INC COM CUSIP: 035229103 34,900.000 1,674,187.000 1,838,532.000 ANTHEM INC COM CUSIP: 03674B104 500.000 32,753.960 37,500.000 APACHE CORP COM CUSIP: 037411105 200.000 12,990.460 16,220.000 APOLLO GROUP INC CL A CUSIP: 037604105 4,900.000 329,583.570 333,200.000 APPLIED FILMS CORP COM CUSIP: 038197109 2,060.000 43,235.970 68,021.200 APPLIED MATERIALS INC COM CUSIP: 038222105 70,300.000 1,204,308.620 1,578,235.000 AQUANTIVE INC COM CUSIP: 03839G105 5,500.000 50,922.530 56,375.000 ARAMARK CORP CL B CUSIP: 038521100 1,000.000 22,180.820 27,420.000 ARCHER-DANIELS-MIDLAND CO COM CUSIP: 039483102 39,500.000 571,007.920 601,190.000 ASPEN INS HOLDINGS LTD CUSIP: G05384105 200.000 4,500.000 4,962.000 ASYST TECHNOLOGIES INC COM CUSIP: 04648X107 2,500.000 23,120.750 43,375.000 AT&T CORP COM NEW CUSIP: 001957505 117,900.000 2,536,816.750 2,393,370.000 AT&T WIRELESS SVCS INC COM CUSIP: 00209A106 244,000.000 1,604,233.040 1,949,560.000 ATHEROGENICS INC COM CUSIP: 047439104 860.000 5,659.510 12,857.000 AUG TECH CORP COM STK ISIN#US05106U1051 CUSIP: 05106U105 1,900.000 18,244.460 35,245.000 AVAYA INC COM CUSIP: 053499109 52,200.000 365,254.740 675,468.000 AVOCENT CORP COM CUSIP: 053893103 1,070.000 33,192.110 39,076.400 AVON PROD INC COM CUSIP: 054303102 23,800.000 1,381,927.940 1,606,262.000 AXCELIS TECHNOLOGIES INC COM STK ISIN# US0545401095 CUSIP: 054540109 6,500.000 30,881.650 66,430.000 BAKER HUGHES INC COM CUSIP: 057224107 51,600.000 1,433,261.320 1,659,456.000 BANK ONE CORP COM CUSIP: 06423A103 53,000.000 1,797,933.160 2,416,270.000 BAXTER INTL INC COM CUSIP: 071813109 32,500.000 801,916.560 991,900.000 BCE INC COM STK CUSIP: 05534B109 37,200.000 676,009.270 831,792.000 BEASLEY BROADCAST GROUP INC CL A CUSIP: 074014101 3,050.000 39,163.540 50,111.500 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 17 5500 SUPPLEMENTAL SCHEDULES 31 DEC 03 Schedule of Assets Held for Investment Purposes Security Description / Asset ID Shares/Par Value Historical Cost Current Value --------------------------------------------------------------------------------------------------------------------------------- Corporate Stock - Common --------------------------------------------------------------------------------------------------------------------------------- UNITED STATES - USD BECTON DICKINSON & CO COM CUSIP: 075887109 16,000.000 476,264.270 658,240.000 BED BATH BEYOND INC COM CUSIP: 075896100 35,400.000 1,307,200.540 1,534,590.000 BIOGEN IDEC INC COM STK CUSIP: 09062X103 800.000 30,016.460 29,424.000 BISYS GROUP INC COM CUSIP: 055472104 1,500.000 25,775.220 22,320.000 BJ SVCS CO COM CUSIP: 055482103 20,475.000 685,557.090 735,052.500 BJS WHSL CLUB INC COM STK CUSIP: 05548J106 650.000 12,137.020 14,924.000 BK AMER CORP COM CUSIP: 060505104 14,611.000 957,503.180 1,175,162.730 BK HAW CORP COM CUSIP: 062540109 500.000 17,410.090 21,100.000 BK OF THE OZARKS INC COM CUSIP: 063904106 1,880.000 22,523.910 42,318.800 BLACK & DECKER CORP COM CUSIP: 091797100 19,200.000 825,593.070 946,944.000 BMC SOFTWARE INC COM STK CUSIP: 055921100 23,100.000 317,551.470 430,815.000 BOEING CO COM CUSIP: 097023105 12,300.000 388,917.960 518,322.000 BRIGHAM EXPL CO COM CUSIP: 109178103 4,700.000 29,230.620 37,736.300 BRISTOL MYERS SQUIBB CO COM CUSIP: 110122108 60,200.000 1,610,485.980 1,721,720.000 BROADCOM CORP CL A CUSIP: 111320107 16,500.000 459,409.150 562,485.000 BSTN SCIENTIFIC CORP COM CUSIP: 101137107 20,400.000 665,144.300 749,904.000 C D W CORP COM CUSIP: 12512N105 800.000 43,933.490 46,208.000 CA MICRO DEVICES CORP CUSIP: 130439102 3,000.000 11,292.400 27,390.000 CAP 1 FNCL COM CUSIP: 14040H105 29,200.000 954,277.550 1,789,668.000 CARDINAL HLTH INC CUSIP: 14149Y108 23,400.000 1,395,143.170 1,431,144.000 CAREER ED CORP COM CUSIP: 141665109 1,250.000 24,851.740 50,087.500 CAREMARK RX INC COM CUSIP: 141705103 9,200.000 218,646.210 233,036.000 CARMAX INC COM CUSIP: 143130102 8,800.000 268,461.000 272,184.000 CATERPILLAR INC COM CUSIP: 149123101 4,100.000 211,079.870 340,382.000 CENT FGHT LINES INC NEV COM CUSIP: 153491105 1,300.000 20,048.860 23,075.000 CENT PAC FINL CORP COM CUSIP: 154760102 2,900.000 82,543.080 87,116.000 CHARLES RIV ASSOCS INC COM CUSIP: 159852102 2,160.000 68,952.910 69,098.400 CHARTER 1 FINCL INC COM CUSIP: 160903100 30,955.000 954,184.450 1,069,495.250 CHEESECAKE FACTORY INC COM CUSIP: 163072101 1,610.000 61,024.240 70,888.300 CHEVRONTEXACO CORP COM CUSIP: 166764100 26,100.000 2,038,336.700 2,254,779.000 CHGO MERCANTILE EXCHANGE HLDGS INC CL A CUSIP: 167760107 550.000 37,265.910 39,798.000 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 18 5500 SUPPLEMENTAL SCHEDULES 31 DEC 03 Schedule of Assets Held for Investment Purposes Security Description / Asset ID Shares/Par Value Historical Cost Current Value --------------------------------------------------------------------------------------------------------------------------------- Corporate Stock - Common --------------------------------------------------------------------------------------------------------------------------------- UNITED STATES - USD CHORDIANT SOFTWARE INC COM STK ISIN#US1704041078 CUSIP: 170404107 5,000.000 22,099.690 27,250.000 CHUBB CORP COM CUSIP: 171232101 28,500.000 1,786,186.580 1,940,850.000 CIGNA CORP COM CUSIP: 125509109 17,300.000 832,547.290 994,750.000 CIMA LABS INC COM CUSIP: 171796105 970.000 24,258.110 31,641.400 CINTAS CORP COM CUSIP: 172908105 900.000 36,688.460 45,117.000 CISCO SYS INC COM CUSIP: 17275R102 253,100.000 5,483,568.540 6,147,799.000 CIT GROUP INC NEW COM CUSIP: 125581108 46,200.000 1,007,040.930 1,660,890.000 CITIGROUP INC COM CUSIP: 172967101 115,033.000 4,539,868.990 5,583,701.820 CITRIX SYS INC COM CUSIP: 177376100 1,700.000 40,304.920 36,057.000 CLEAR CHANNEL COMMUNICATIONS INC COM CUSIP: 184502102 32,600.000 1,262,269.450 1,526,658.000 CLOROX CO COM CUSIP: 189054109 23,800.000 1,053,838.480 1,155,728.000 COCA COLA CO COM CUSIP: 191216100 26,500.000 1,135,009.530 1,344,875.000 COLGATE-PALMOLIVE CO COM CUSIP: 194162103 6,575.000 370,275.120 329,078.750 COLUMBIA BKG SYS INC COM CUSIP: 197236102 2,120.000 29,138.180 45,919.200 COMCAST CORP NEW CL A CUSIP: 20030N101 57,857.000 1,408,361.120 1,901,759.590 COMCAST CORP NEW CL A SPL CUSIP: 20030N200 68,400.000 1,807,589.450 2,139,552.000 COMERICA INC COM CUSIP: 200340107 16,700.000 770,460.150 936,202.000 COML CAP BANCORP INC COM CUSIP: 20162L105 3,700.000 29,619.700 79,217.000 COMPUTER SCI CORP COM CUSIP: 205363104 25,900.000 881,608.890 1,145,557.000 COMPUWARE CORP COM CUSIP: 205638109 110,300.000 776,610.040 666,212.000 COMSTOCK RES INC COM NEW CUSIP: 205768203 2,950.000 33,636.290 56,935.000 CONCORD CAMERA CORP COM CUSIP: 206156101 4,350.000 29,088.000 40,237.500 CONOCOPHILLIPS COM CUSIP: 20825C104 24,400.000 1,264,521.420 1,599,908.000 COOPER COS INC COM NEW CUSIP: 216648402 1,260.000 39,513.670 59,383.800 CORIO INC COM CUSIP: 218875102 3,900.000 9,476.080 10,686.000 CORNING INC COM CUSIP: 219350105 20,600.000 33,489.890 214,858.000 COST PLUS INC CAL COM CUSIP: 221485105 770.000 20,329.170 31,570.000 COSTCO WHSL CORP NEW COM CUSIP: 22160K105 9,100.000 324,983.610 338,338.000 COVANCE INC COM CUSIP: 222816100 2,400.000 57,469.290 64,320.000 COVENANT TRANS INC NEV CL A CUSIP: 22284P105 1,870.000 32,125.690 35,548.700 COX RADIO INC CL A CUSIP: 224051102 1,000.000 25,647.730 25,230.000 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 19 5500 SUPPLEMENTAL SCHEDULES 31 DEC 03 Schedule of Assets Held for Investment Purposes Security Description / Asset ID Shares/Par Value Historical Cost Current Value --------------------------------------------------------------------------------------------------------------------------------- Corporate Stock - Common --------------------------------------------------------------------------------------------------------------------------------- UNITED STATES - USD CRAY INC COM CUSIP: 225223106 5,500.000 45,793.490 54,615.000 CULP INC COM CUSIP: 230215105 3,250.000 24,785.280 35,425.000 CUMULUS MEDIA INC CL A DEL CUSIP: 231082108 3,750.000 64,468.150 82,500.000 CYPRESS SEMICONDUCTOR CORP COM CUSIP: 232806109 2,500.000 24,063.350 53,400.000 DANAHER CORP COM CUSIP: 235851102 2,650.000 173,971.130 243,137.500 DEAN FOODS CO NEW COM CUSIP: 242370104 1,300.000 33,677.400 42,731.000 DELL INC COM STK CUSIP: 24702R101 140,800.000 4,183,957.180 4,781,568.000 DELPHI CORP COM CUSIP: 247126105 90,500.000 1,182,030.760 924,005.000 DIGITAL THEATER SYS INC OC-COM COM STK CUSIP: 25389G102 2,220.000 48,975.210 54,811.800 DILLARDS INC CL A COM CUSIP: 254067101 14,400.000 546,300.000 237,024.000 DIRECT GEN CORP COM STK CUSIP: 25456W204 3,210.000 71,029.690 106,251.000 DOLLAR TREE STORES INC COM CUSIP: 256747106 500.000 15,011.060 15,030.000 DOMINION RES INC VA NEW COM CUSIP: 25746U109 7,700.000 412,778.280 491,491.000 DONNELLEY R R & SONS CO COM CUSIP: 257867101 33,000.000 1,024,347.720 994,950.000 DOT HILL SYS CORP COM CUSIP: 25848T109 6,750.000 75,253.310 102,262.500 DOW CHEM CO COM CUSIP: 260543103 82,554.000 2,461,219.430 3,431,769.780 DST SYS INC COM CUSIP: 233326107 1,100.000 40,606.420 45,936.000 DU PONT E I DE NEMOURS & CO COM STK CUSIP: 263534109 16,000.000 618,945.860 734,240.000 DUKE ENERGY CORP COM STK CUSIP: 264399106 49,800.000 897,013.300 1,018,410.000 E W BANCORP INC COM CUSIP: 27579R104 1,120.000 38,792.910 60,121.600 EASTMAN KODAK CO COM CUSIP: 277461109 24,500.000 979,213.220 628,915.000 EATON CORP COM CUSIP: 278058102 5,400.000 432,704.410 583,092.000 EBAY INC COM CUSIP: 278642103 41,775.000 2,183,394.600 2,698,247.250 ED LENDING GROUP INC COM CUSIP: 28140A109 1,900.000 19,000.000 25,441.000 EDO CORP COM CUSIP: 281347104 700.000 17,286.780 17,255.000 ELECTR ARTS COM CUSIP: 285512109 56,100.000 2,454,174.900 2,680,458.000 ELECTR DATA SYS CORP NEW COM CUSIP: 285661104 83,300.000 1,654,836.520 2,044,182.000 ELI LILLY & CO COM CUSIP: 532457108 5,000.000 341,273.940 351,650.000 EMC CORP COM CUSIP: 268648102 127,700.000 1,635,276.230 1,649,884.000 EMERSON ELEC CO COM CUSIP: 291011104 8,900.000 468,803.850 576,275.000 EMULEX CORP COM NEW CUSIP: 292475209 800.000 15,578.270 21,344.000 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 20 5500 SUPPLEMENTAL SCHEDULES 31 DEC 03 Schedule of Assets Held for Investment Purposes Security Description / Asset ID Shares/Par Value Historical Cost Current Value --------------------------------------------------------------------------------------------------------------------------------- Corporate Stock - Common --------------------------------------------------------------------------------------------------------------------------------- UNITED STATES - USD ENGELHARD CORP COM CUSIP: 292845104 21,000.000 362,891.060 628,950.000 ENTERCOM COMMUNICATIONS CORP CL A CUSIP: 293639100 500.000 24,069.060 26,480.000 EVERGREEN RES INC COM NO PAR CUSIP: 299900308 2,650.000 54,914.050 86,151.500 EXELON CORP COM CUSIP: 30161N101 8,600.000 393,633.300 570,696.000 EXPEDITORS INTL WASH INC COM CUSIP: 302130109 1,000.000 34,476.690 37,660.000 EXTREME NETWORKS INC COM CUSIP: 30226D106 5,500.000 51,090.440 39,655.000 EXXON MOBIL CORP COM CUSIP: 30231G102 41,716.000 1,521,128.430 1,710,356.000 F P L GROUP INC COM CUSIP: 302571104 9,000.000 554,535.160 588,780.000 FAIRCHILD SEMICONDUCTOR INTL INC COM CUSIP: 303726103 2,500.000 39,860.440 62,425.000 FASTENAL CO COM CUSIP: 311900104 600.000 21,331.610 29,964.000 FEDEX CORP COM CUSIP: 31428X106 20,400.000 754,785.690 1,377,000.000 FIRST DATA CORP COM CUSIP: 319963104 22,800.000 770,791.860 936,852.000 FIRSTENERGY CORP COM CUSIP: 337932107 16,600.000 542,837.420 584,320.000 FLUOR CORP NEW COM CUSIP: 343412102 22,900.000 687,312.640 907,756.000 FMC TECHNOLOGIES INC COM CUSIP: 30249U101 1,180.000 23,489.080 27,494.000 FNMA COM STK CUSIP: 313586109 16,175.000 1,185,281.440 1,214,095.500 FORD MTR CO DEL COM PAR $0.01 CUSIP: 345370860 10,433.000 153,740.450 166,928.000 FOREST LAB INC COM CUSIP: 345838106 4,100.000 215,566.590 253,380.000 FRKLN BK CORP DEL COM CUSIP: 352451108 1,800.000 26,100.000 34,200.000 FRKLN RES INC COM CUSIP: 354613101 3,600.000 166,701.250 187,416.000 G & K SVCS INC CL A CUSIP: 361268105 1,060.000 33,650.540 38,955.000 GAMESTOP CORP CL A CUSIP: 36466R101 2,120.000 30,835.400 32,669.200 GANNETT INC COM CUSIP: 364730101 1,300.000 96,516.710 115,908.000 GAP INC COM CUSIP: 364760108 36,000.000 443,557.830 835,560.000 GARTNER GROUP INC NEW CL A COM CUSIP: 366651107 3,550.000 34,695.210 40,150.500 GEN COMMUNICATION INC CL A CUSIP: 369385109 5,500.000 54,273.210 47,850.000 GEN ELEC CO COM CUSIP: 369604103 229,300.000 7,685,222.150 7,103,714.000 GEN MILLS INC COM CUSIP: 370334104 19,900.000 880,697.820 901,470.000 GEN-PROBE INC NEW COM CUSIP: 36866T103 2,750.000 33,004.530 100,292.500 GENENTECH INC COM STK CUSIP: 368710406 11,000.000 676,552.390 1,029,270.000 GENERAL MOTORS CORP COMMON STOCK CUSIP: 370442105 20,100.000 873,404.640 1,073,340.000 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 21 5500 SUPPLEMENTAL SCHEDULES 31 DEC 03 Schedule of Assets Held for Investment Purposes Security Description / Asset ID Shares/Par Value Historical Cost Current Value --------------------------------------------------------------------------------------------------------------------------------- Corporate Stock - Common --------------------------------------------------------------------------------------------------------------------------------- UNITED STATES - USD GENUINE PARTS CO COM CUSIP: 372460105 35,000.000 998,805.100 1,162,000.000 GENUS INC COM STK CUSIP: 372461103 3,000.000 16,807.020 18,000.000 GILEAD SCI INC COM CUSIP: 375558103 27,400.000 1,492,175.790 1,593,036.000 GILLETTE CO COM CUSIP: 375766102 19,500.000 594,926.210 716,235.000 GLOBAL IMAGING SYS INC COM CUSIP: 37934A100 1,270.000 23,706.170 40,322.500 GOLDEN W. FNCL CORP COM CUSIP: 381317106 17,900.000 752,911.540 1,847,101.000 GOLDMAN SACHS GROUP INC COM CUSIP: 38141G104 33,700.000 2,883,142.840 3,327,201.000 GOODRICH CORPORATION CUSIP: 382388106 1,500.000 41,547.360 44,535.000 GREY WOLF INC COM CUSIP: 397888108 23,600.000 85,545.890 88,264.000 GUITAR CTR INC COM CUSIP: 402040109 1,790.000 35,476.740 58,318.200 GYMBOREE CORP COM CUSIP: 403777105 4,600.000 68,393.200 79,258.000 HARLEY DAVIDSON INC COM CUSIP: 412822108 9,225.000 451,592.430 438,464.250 HARMAN INTL INDS INC NEW COM STK USD0.01 CUSIP: 413086109 1,000.000 64,366.350 73,980.000 HARRIS & HARRIS GROUP INC COM CUSIP: 413833104 2,300.000 18,400.000 26,519.000 HARSCO CORP COM CUSIP: 415864107 800.000 33,966.960 35,056.000 HCA INC COM CUSIP: 404119109 72,200.000 2,493,802.570 3,101,712.000 HEWLETT PACKARD CO COM CUSIP: 428236103 131,525.000 2,310,970.540 3,021,129.250 HIBBETT SPORTING GOODS INC COM CUSIP: 428565105 3,810.000 55,245.770 113,538.000 HILTON HOTELS CORP COM CUSIP: 432848109 1,800.000 23,442.890 30,834.000 HOME DEPOT INC COM CUSIP: 437076102 25,000.000 846,364.310 887,250.000 HONEYWELL INTL INC COM STK CUSIP: 438516106 32,500.000 965,810.700 1,086,475.000 IMAX CORP COM CUSIP: 45245E109 2,650.000 24,180.460 20,961.500 IMPAC MED SYS INC COM CUSIP: 45255A104 1,400.000 24,418.810 35,784.000 INAMED CORP COM CUSIP: 453235103 915.000 43,334.160 43,974.900 INGERSOLL-RAND CO CL A CUSIP: G4776G101 1,800.000 120,666.750 122,184.000 INTEGRATED ALARM SVCS GROUP INC COM CUSIP: 45890M109 2,950.000 27,131.000 25,075.000 INTEL CORP COM CUSIP: 458140100 239,400.000 5,430,783.300 7,708,680.000 INTERACTIVECORP COM STK CUSIP: 45840Q101 9,400.000 330,689.310 318,942.000 INTERSIL CORP CUSIP: 46069S109 1,400.000 37,551.820 34,790.000 INTL BUSINESS MACHS CORP COM CUSIP: 459200101 6,700.000 541,949.810 620,956.000 INTL PAPER CO COM CUSIP: 460146103 37,017.000 1,350,734.520 1,595,802.870 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 22 5500 SUPPLEMENTAL SCHEDULES 31 DEC 03 Schedule of Assets Held for Investment Purposes Security Description / Asset ID Shares/Par Value Historical Cost Current Value --------------------------------------------------------------------------------------------------------------------------------- Corporate Stock - Common --------------------------------------------------------------------------------------------------------------------------------- UNITED STATES - USD INTUIT COM CUSIP: 461202103 19,400.000 874,784.440 1,026,454.000 INVT TECH GROUP INC NEW COM CUSIP: 46145F105 2,850.000 52,857.510 46,027.500 IPAYMENT INC COM STK CUSIP: 46262E105 1,550.000 29,369.680 52,700.000 ISTA PHARMACEUTICALS INC COM NEW CUSIP: 45031X204 1,860.000 17,670.000 17,260.800 J P MORGAN CHASE & CO COM CUSIP: 46625H100 60,860.000 1,810,357.840 2,235,387.800 JABIL CIRCUIT INC COM CUSIP: 466313103 1,500.000 35,275.170 42,450.000 JARDEN CORP COM CUSIP: 471109108 3,990.000 71,858.380 109,086.600 JOHNSON & JOHNSON COM CUSIP: 478160104 10,575.000 548,273.730 546,304.500 JONES LANG LASALLE INC COM STK CUSIP: 48020Q107 1,500.000 31,605.630 31,095.000 JOS A BK CLOTHIERS INC COM CUSIP: 480838101 770.000 30,612.120 26,711.300 JUNIPER NETWORKS INC COM CUSIP: 48203R104 9,400.000 175,005.640 175,592.000 K.V PHARMACEUTICAL CL A CUSIP: 482740206 2,600.000 36,645.410 66,300.000 KCS ENERGY INC CUSIP: 482434206 1,900.000 15,200.000 20,045.000 KELLOGG CO COM CUSIP: 487836108 13,800.000 468,873.390 525,504.000 KELLWOOD CO COM CUSIP: 488044108 1,260.000 45,627.450 51,660.000 KERR MCGEE CORP COM CUSIP: 492386107 23,100.000 1,120,508.270 1,073,919.000 KEY ENERGY SVCS INC CUSIP: 492914106 6,800.000 67,610.170 70,108.000 KEYCORP NEW COM CUSIP: 493267108 34,700.000 924,876.260 1,017,404.000 KIMBERLY-CLARK CORP COM CUSIP: 494368103 9,500.000 475,994.030 561,355.000 KINDRED HEALTHCARE INC COM STK CUSIP: 494580103 970.000 47,325.740 50,420.600 KLA-TENCOR CORP CUSIP: 482480100 8,800.000 428,283.030 516,296.000 KNIGHT TRADING GROUP INC CL A COM CUSIP: 499063105 3,800.000 24,825.800 55,632.000 KNIGHT-RIDDER INC COM STK CUSIP: 499040103 6,700.000 452,477.270 518,379.000 KOHLS CORP COM CUSIP: 500255104 10,700.000 544,620.390 480,858.000 KRAFT FOODS INC CL A CUSIP: 50075N104 16,400.000 488,133.960 528,408.000 KYPHON INC COM CUSIP: 501577100 1,850.000 44,370.790 45,935.500 L-3 COMMUNICATIONS HLDG CORP COM CUSIP: 502424104 700.000 30,761.130 35,952.000 LAB CORP AMER HLDGS COM NEW CUSIP: 50540R409 15,700.000 550,885.930 580,115.000 LABOR READY INC COM NEW CUSIP: 505401208 4,150.000 27,925.450 54,365.000 LAMAR ADVERTISING CO CL A COM CUSIP: 512815101 600.000 23,685.190 22,392.000 LANDSTAR SYS INC COM CUSIP: 515098101 990.000 32,154.410 37,659.600 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 23 5500 SUPPLEMENTAL SCHEDULES 31 DEC 03 Schedule of Assets Held for Investment Purposes Security Description / Asset ID Shares/Par Value Historical Cost Current Value --------------------------------------------------------------------------------------------------------------------------------- Corporate Stock - Common --------------------------------------------------------------------------------------------------------------------------------- UNITED STATES - USD LAUDER ESTEE COS INC CL A CUSIP: 518439104 1,200.000 41,738.660 47,112.000 LCC INTL INC CL A CUSIP: 501810105 8,700.000 44,161.630 46,649.400 LEHMAN BROS HLDGS INC COM CUSIP: 524908100 1,200.000 92,316.360 92,664.000 LIN TV CORP CL A CUSIP: 532774106 2,500.000 55,613.400 64,525.000 LINENS N THINGS INC COM CUSIP: 535679104 800.000 19,942.090 24,064.000 LOEWS CORP COM CUSIP: 540424108 29,200.000 1,337,895.830 1,443,940.000 LOWES COS INC COM CUSIP: 548661107 61,800.000 2,903,600.350 3,423,102.000 LTD BRANDS CUSIP: 532716107 36,420.000 524,514.440 656,652.600 LUBRIZOL CORP COM CUSIP: 549271104 8,500.000 312,902.630 276,420.000 LUFKIN INDS INC COM CUSIP: 549764108 900.000 22,871.700 25,911.000 M & T BK CORP COM CUSIP: 55261F104 600.000 56,832.990 58,980.000 MACATAWA BK CORP COM CUSIP: 554225102 1,300.000 19,152.940 36,803.000 MACROMEDIA INC COM CUSIP: 556100105 4,650.000 80,697.770 82,956.000 MANTECH INTL CORP CL A CUSIP: 564563104 1,330.000 20,866.720 33,183.500 MARRIOTT INTL INC NEW COM STK CL A CUSIP: 571903202 3,700.000 147,295.660 170,940.000 MARSH & MCLENNAN CO'S INC COM CUSIP: 571748102 22,700.000 1,203,564.910 1,087,103.000 MARVEL ENTERPRISES INC COM STK CUSIP: 57383M108 3,400.000 56,902.020 98,974.000 MARVELL TECH GROUP MARVELL TECH GROUP INC CUSIP: G5876H105 7,000.000 271,343.350 265,510.000 MASCO CORP COM CUSIP: 574599106 33,500.000 621,728.010 918,235.000 MATTEL INC COM CUSIP: 577081102 500.000 9,304.480 9,635.000 MAXIM INTEGRATED PRODS INC COM CUSIP: 57772K101 29,900.000 1,211,959.860 1,489,020.000 MAY DEPT STORES CO COM CUSIP: 577778103 58,000.000 1,457,925.570 1,686,060.000 MBIA INC COM CUSIP: 55262C100 7,400.000 371,993.990 438,302.000 MBNA CORP COM CUSIP: 55262L100 81,700.000 1,476,633.330 2,030,245.000 MC DONALDS CORP COM CUSIP: 580135101 112,125.000 2,277,290.420 2,784,063.750 MEDIMMUNE INC COM CUSIP: 584699102 8,400.000 271,496.600 213,360.000 MEDTRONIC INC COM CUSIP: 585055106 69,300.000 3,143,110.290 3,368,673.000 MELLON FINL CORP COM CUSIP: 58551A108 28,500.000 745,035.390 915,135.000 MERCANTILE BK CORP COM CUSIP: 587376104 1,020.000 33,925.200 37,230.000 MERCK & CO INC COM CUSIP: 589331107 15,600.000 677,023.600 720,720.000 MERCURY INTERACTIVE CORP COM CUSIP: 589405109 900.000 36,765.750 43,776.000 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 24 5500 SUPPLEMENTAL SCHEDULES 31 DEC 03 Schedule of Assets Held for Investment Purposes Security Description / Asset ID Shares/Par Value Historical Cost Current Value --------------------------------------------------------------------------------------------------------------------------------- Corporate Stock - Common --------------------------------------------------------------------------------------------------------------------------------- UNITED STATES - USD MERRILL LYNCH & CO INC COM CUSIP: 590188108 41,525.000 2,182,424.110 2,435,441.250 METAL MGMT INC COM NEW STK NEW CUSIP: 591097209 3,880.000 82,297.550 143,288.400 METTLER-TOLEDO INTL INC COM CUSIP: 592688105 1,430.000 54,905.560 60,360.300 MGI PHARMA INC COM CUSIP: 552880106 500.000 20,322.290 20,575.000 MGIC INVT CORP WIS COM CUSIP: 552848103 8,700.000 355,566.990 495,378.000 MICROCHIP TECH INC COM CUSIP: 595017104 8,000.000 220,053.020 266,880.000 MICROSOFT CORP COM CUSIP: 594918104 263,200.000 7,516,783.170 7,248,528.000 MICROSTRATEGY INC CL A NEW CUSIP: 594972408 780.000 30,884.840 40,934.400 MOLEX INC CL A CUSIP: 608554200 800.000 21,510.500 23,488.000 MOLINA HEALTHCARE INC COM CUSIP: 60855R100 1,700.000 38,041.740 42,891.000 MONRO MUFFLER BRAKE INC COM CUSIP: 610236101 1,860.000 13,296.460 37,218.600 MONSANTO CO NEW COM CUSIP: 61166W101 8,015,114.000 81,264,607.380 230,674,980.920 MORGAN STANLEY CUSIP: 617446448 46,700.000 2,272,253.980 2,702,529.000 MOTOROLA INC COM CUSIP: 620076109 85,300.000 731,167.700 1,200,171.000 MTC TECHNOLOGIES INC COM CUSIP: 55377A106 2,400.000 43,105.150 77,328.000 MYKROLIS CORP COM CUSIP: 62852P103 5,020.000 52,951.590 80,721.600 NABORS INDUSTRIES COM USD0.10 CUSIP: G6359F103 1,100.000 37,610.370 45,650.000 NAVIGATORS GROUP INC COM CUSIP: 638904102 1,110.000 28,836.360 34,265.700 NCR CORP COM CUSIP: 62886E108 25,100.000 678,351.330 973,880.000 NEKTAR THERAPEUTICS COM CUSIP: 640268108 2,450.000 32,552.950 33,344.500 NELNET INC CL A CUSIP: 64031N108 3,200.000 69,682.500 71,680.000 NEUROCRINE BIOSCIENCES INC COM CUSIP: 64125C109 300.000 15,854.710 16,362.000 NEXSTAR BROADCASTING GROUP INC CL A CUSIP: 65336K103 1,500.000 21,000.000 20,565.000 NIKE INC CL B CUSIP: 654106103 13,500.000 711,159.400 924,210.000 NOBLE CORPORATION COM CUSIP: G65422100 14,300.000 494,241.860 511,654.000 NORDSTROM INC COM CUSIP: 655664100 25,600.000 589,229.540 878,080.000 NOVA CHEMICALS CORP COM CUSIP: 66977W109 19,500.000 489,462.770 525,525.000 NOVELL INC COM CUSIP: 670006105 30,800.000 238,112.940 324,016.000 NPS PHARMACEUTICALS INC COM CUSIP: 62936P103 1,720.000 37,871.820 52,872.800 NS GROUP INC COM CUSIP: 628916108 2,900.000 24,030.940 28,130.000 NVE CORP COM NEW CUSIP: 629445206 500.000 20,244.570 25,650.000 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 25 5500 SUPPLEMENTAL SCHEDULES 31 DEC 03 Schedule of Assets Held for Investment Purposes Security Description / Asset ID Shares/Par Value Historical Cost Current Value --------------------------------------------------------------------------------------------------------------------------------- Corporate Stock - Common --------------------------------------------------------------------------------------------------------------------------------- UNITED STATES - USD OCCIDENTAL PETE CORP COM CUSIP: 674599105 65,100.000 1,773,551.170 2,749,824.000 ODYSSEY HEALTHCARE INC COM CUSIP: 67611V101 4,050.000 51,263.240 118,503.000 ON SEMICONDUCTOR CORP COM CUSIP: 682189105 12,500.000 60,335.490 80,625.000 ONLINE RES CORP COM CUSIP: 68273G101 3,200.000 19,595.620 21,148.800 ONYX PHARMACEUTICALS INC DEL COM CUSIP: 683399109 2,000.000 30,216.490 56,460.000 ORACLE CORP COM CUSIP: 68389X105 148,000.000 1,815,685.290 1,953,600.000 OSI PHARMACEUTICALS INC COM CUSIP: 671040103 1,150.000 17,426.300 37,041.500 OVERLAND STORAGE INC COM CUSIP: 690310107 4,030.000 80,622.870 75,764.000 OVERNITE CORP COM CUSIP: 690322102 2,560.000 49,481.250 58,240.000 O2 MICRO INTL O2 MICRO INTL LTD COM STK CUSIP: G6797E106 1,270.000 13,290.190 28,448.000 PACKAGING CORP AMER COM ISIN US6951561090 CUSIP: 695156109 22,300.000 475,295.350 487,478.000 PATTERSON-UTI ENERGY INC COM CUSIP: 703481101 400.000 11,089.780 13,168.000 PEETS COFFEE & TEA INC COM CUSIP: 705560100 1,700.000 26,735.320 29,597.000 PENFORD CORP COM CUSIP: 707051108 2,900.000 42,586.200 39,817.000 PENWEST PHARMACEUTICALS CO COM CUSIP: 709754105 2,490.000 55,898.530 43,027.200 PEOPLESOFT INC COM CUSIP: 712713106 12,200.000 251,653.760 278,160.000 PEPSICO INC COM CUSIP: 713448108 46,050.000 2,082,500.780 2,146,851.000 PERFORMANCE FOOD GROUP CO COM CUSIP: 713755106 2,800.000 93,311.630 101,276.000 PFIZER INC COM STK $.11 1/9 PAR CUSIP: 717081103 10,705,833.000 210,843,991.760 378,237,079.890 PITNEY BOWES INC COM CUSIP: 724479100 30,600.000 1,022,432.940 1,242,972.000 PROCTER & GAMBLE CO COM CUSIP: 742718109 30,200.000 2,684,581.960 3,016,376.000 PROGENICS PHARMACEUTICALS INC COM CUSIP: 743187106 760.000 11,338.860 14,333.600 PROGRESSIVE CORP OH COM CUSIP: 743315103 20,300.000 1,132,201.540 1,696,877.000 PROSPERITY BANCSHARES INC COM CUSIP: 743606105 930.000 15,569.430 20,943.600 PRUDENTIAL FINL INC COM CUSIP: 744320102 25,900.000 902,042.730 1,081,843.000 QUALCOMM INC COM CUSIP: 747525103 1,900.000 102,841.920 102,467.000 RADIO 1 INC CL D NON VTG CUSIP: 75040P405 2,500.000 41,677.680 48,250.000 RADWARE LTD COM STK CUSIP: M81873107 4,450.000 72,718.330 121,262.500 RED HAT INC COM CUSIP: 756577102 3,550.000 28,878.180 66,633.500 REDWOOD TR INC COM CUSIP: 758075402 2,710.000 85,510.920 137,803.500 REGIS CORP MINN COM CUSIP: 758932107 2,400.000 80,275.350 94,848.000 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 26 5500 SUPPLEMENTAL SCHEDULES 31 DEC 03 Schedule of Assets Held for Investment Purposes Security Description / Asset ID Shares/Par Value Historical Cost Current Value --------------------------------------------------------------------------------------------------------------------------------- Corporate Stock - Common --------------------------------------------------------------------------------------------------------------------------------- UNITED STATES - USD RENAL CARE GROUP INC COM CUSIP: 759930100 1,780.000 56,992.850 73,336.000 ROHM & HAAS CO COM CUSIP: 775371107 24,600.000 845,555.250 1,050,666.000 ROPER INDS INC NEW COM CUSIP: 776696106 1,750.000 75,203.100 86,205.000 RUDOPLH TECHNOLOGIES INC COM CUSIP: 781270103 1,220.000 28,371.430 29,938.800 SAFECO CORP COM CUSIP: 786429100 4,200.000 145,618.220 163,506.000 SBC COMMUNICATIONS INC COM CUSIP: 78387G103 33,951.000 1,031,636.720 885,102.570 SCHERING-PLOUGH CORP COM CUSIP: 806605101 112,200.000 2,883,918.530 1,951,158.000 SCHLUMBERGER LTD COM STK CUSIP: 806857108 16,300.000 982,108.210 891,936.000 SCHNITZER STL INDS INC CL A CUSIP: 806882106 1,600.000 30,336.980 96,800.000 SCRIPPS E.W INC NEW CL A COM CUSIP: 811054204 6,500.000 504,796.100 611,910.000 SELECT COMFORT CORP OC-CAP STK CUSIP: 81616X103 4,440.000 47,675.180 109,934.400 SEMTECH CORP CUSIP: 816850101 2,400.000 34,838.160 54,552.000 SENSYTECH INC COM CUSIP: 81726S101 1,620.000 12,960.000 22,680.000 SIERRA WIRELESS INC COM STK CUSIP: 826516106 3,610.000 64,236.210 55,521.800 SINA CORPORATION COM STK USD0.133 CUSIP: G81477104 1,440.000 16,447.390 48,600.000 SLM CORP COM CUSIP: 78442P106 18,800.000 708,803.300 708,384.000 SMITH INTL INC COM CUSIP: 832110100 700.000 24,184.770 29,064.000 SOHU COM INC COM CUSIP: 83408W103 1,370.000 22,508.640 41,113.700 SOLUTIA INC COM STK CUSIP: 834376105 720,395.000 14,015,475.920 262,944.180 SOUTHWESTN ENERGY CO COM CUSIP: 845467109 2,350.000 27,867.240 56,165.000 SPANISH BROADCASTING SYS INC CL A COM STK CUSIP: 846425882 6,100.000 59,933.390 64,050.000 SPX CORP COM CUSIP: 784635104 800.000 42,836.550 47,048.000 ST JUDE MED INC COM CUSIP: 790849103 12,375.000 726,378.740 759,206.250 ST PAUL TRAVELERS CORP CUSIP: 792860108 31,300.000 1,192,640.200 1,241,045.000 ST STR CORP COM CUSIP: 857477103 10,100.000 491,971.360 526,008.000 STARBUCKS CORP COM CUSIP: 855244109 36,100.000 941,497.310 1,193,466.000 STARWOOD HOTELS & RESORTS WORLDWIDE INC PAIRED CTF 1 B SH CUSIP: 85590A203 15,200.000 432,949.650 546,744.000 STORAGE TECH CORP COM (NEW) CUSIP: 862111200 20,100.000 326,954.120 517,575.000 STRATASYS INC COM CUSIP: 862685104 1,830.000 31,332.900 49,885.800 STRYKER CORP COM CUSIP: 863667101 6,800.000 513,419.890 578,068.000 SUNGARD DATA SYS INC COM CUSIP: 867363103 800.000 18,611.060 22,168.000 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 27 5500 SUPPLEMENTAL SCHEDULES 31 DEC 03 Schedule of Assets Held for Investment Purposes Security Description / Asset ID Shares/Par Value Historical Cost Current Value --------------------------------------------------------------------------------------------------------------------------------- Corporate Stock - Common --------------------------------------------------------------------------------------------------------------------------------- UNITED STATES - USD SUPERCONDUCTOR TECHNOLOGIES INC COM CUSIP: 867931107 6,700.000 35,961.630 37,386.000 SUPPORT SOFT INC CUSIP: 868587106 2,900.000 26,289.170 38,135.000 SYMANTEC CORP COM CUSIP: 871503108 29,600.000 680,150.480 1,025,640.000 SYSCO CORP COM CUSIP: 871829107 7,700.000 254,328.470 286,671.000 TANOX INC COM STK CUSIP: 87588Q109 710.000 6,173.690 10,543.500 TARGET CORP COM CUSIP: 87612E106 28,400.000 1,082,405.450 1,090,560.000 TETRA TECHNOLOGIES INC DEL COM CUSIP: 88162F105 1,960.000 17,906.580 47,510.400 THERMO ELECTRON CORP COM CUSIP: 883556102 33,000.000 526,774.930 831,600.000 THERMOGENESIS CORP COM NEW CUSIP: 883623209 4,200.000 22,419.600 21,756.000 TIFFANY & CO COM CUSIP: 886547108 18,400.000 428,449.890 831,680.000 TIME WARNER INC NEW COM CUSIP: 887317105 112,700.000 1,489,601.410 2,027,473.000 TJX COS INC COM NEW CUSIP: 872540109 30,800.000 656,699.960 679,140.000 TORCHMARK CORP COM CUSIP: 891027104 21,000.000 787,896.180 956,340.000 TREX INC COM CUSIP: 89531P105 2,280.000 78,368.350 86,594.400 TRIAD GTY INC CUSIP: 895925105 930.000 39,897.760 46,825.500 TRIBUNE CO COM CUSIP: 896047107 3,300.000 156,090.420 170,280.000 TRIDENT MICROSYSTEMS INC COM CUSIP: 895919108 4,060.000 46,464.840 70,725.200 TX INSTRS INC COM CUSIP: 882508104 57,200.000 1,413,450.090 1,680,536.000 TXU CORP COM CUSIP: 873168108 14,700.000 592,792.570 348,684.000 UCBH HLDGS INC COM CUSIP: 90262T308 1,780.000 36,971.710 69,366.600 ULTRA PETE CORP COM NPV CUSIP: 903914109 5,600.000 50,091.530 137,872.000 UN PAC CORP COM CUSIP: 907818108 19,300.000 1,060,423.990 1,340,964.000 UNITED PARCEL SVC INC CL B CUSIP: 911312106 4,300.000 279,403.640 320,565.000 UNITEDHEALTH GROUP INC COM CUSIP: 91324P102 34,900.000 1,078,587.440 2,030,482.000 UNIVISION COMMUNICATIONS INC CL A CUSIP: 914906102 14,300.000 447,340.850 567,567.000 UNOCAL CORP COM CUSIP: 915289102 45,100.000 1,575,421.340 1,661,033.000 UNOVA INC COM CUSIP: 91529B106 2,100.000 45,854.960 48,195.000 UNUMPROVIDENT CORP COM CUSIP: 91529Y106 40,300.000 943,988.030 635,531.000 US BANCORP CUSIP: 902973304 48,073.000 961,734.830 1,431,613.940 UTD NAT FOODS INC COM CUSIP: 911163103 2,850.000 60,359.680 102,343.500 UTD PANAM FINL CORP COM CUSIP: 911301109 5,970.000 82,163.220 99,758.700 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 28 5500 SUPPLEMENTAL SCHEDULES 31 DEC 03 Schedule of Assets Held for Investment Purposes Security Description / Asset ID Shares/Par Value Historical Cost Current Value --------------------------------------------------------------------------------------------------------------------------------- Corporate Stock - Common --------------------------------------------------------------------------------------------------------------------------------- UNITED STATES - USD UTD TECHNOLOGIES CORP COM CUSIP: 913017109 10,300.000 808,859.350 976,131.000 UTD THERAPEUTICS CORP DEL COM STK CUSIP: 91307C102 2,520.000 51,915.060 57,834.000 UTI WORLDWIDE INC ORD NPV CUSIP: G87210103 880.000 21,220.500 33,378.400 V F CORP COM CUSIP: 918204108 14,800.000 442,865.830 639,952.000 VALSPAR CORP COM CUSIP: 920355104 400.000 18,749.070 19,768.000 VANS INC COM CUSIP: 921930103 2,350.000 12,733.290 26,813.500 VARIAN MED SYS INC COM ISIN #US9222091057 CUSIP: 92220P105 300.000 15,743.570 20,730.000 VCA ANTECH INC COM STK CUSIP: 918194101 4,400.000 50,058.440 136,312.000 VERITAS SOFTWARE CORP COM CUSIP: 923436109 36,600.000 1,195,650.560 1,360,056.000 VERIZON COMMUNICATIONS COM CUSIP: 92343V104 20,572.000 809,765.100 721,665.760 VIACOM COM CL B CUSIP: 925524308 111,747.000 4,894,955.050 4,959,331.860 VICURON PHARMACEUTICALS INC COM CUSIP: 926471103 2,550.000 36,156.260 47,557.500 VISTACARE INC CL A COM CUSIP: 92839Y109 1,020.000 17,082.940 35,853.000 VITRAN INC COM CUSIP: 92850E107 2,500.000 34,375.000 35,375.000 W MARINE INC CUSIP: 954235107 3,510.000 59,251.760 97,613.100 WACHOVIA CORP 2ND NEW COM CUSIP: 929903102 32,100.000 1,009,452.830 1,495,539.000 WAL-MART STORES INC COM CUSIP: 931142103 89,200.000 4,747,620.270 4,732,060.000 WALGREEN CO COM CUSIP: 931422109 40,600.000 1,341,606.060 1,477,028.000 WEATHERFORD INTL LTD CUSIP: G95089101 8,300.000 337,457.600 298,800.000 WELLPOINT HLTH NETWORKS INC CL A (NEW) DELAW EFF 8-4-97 CUSIP: 94973H108 8,500.000 456,635.370 824,415.000 WELLS FARGO & CO NEW COM STK CUSIP: 949746101 41,500.000 1,942,801.180 2,443,935.000 WESTN SIERRA BANCORP COM CUSIP: 959522103 980.000 30,369.370 46,060.000 WESTWOOD 1 INC COM CUSIP: 961815107 21,600.000 676,936.680 738,936.000 WHIRLPOOL CORP COM CUSIP: 963320106 12,300.000 649,831.140 893,595.000 WHITING PETE CORP NEW COM STK CUSIP: 966387102 1,800.000 27,900.000 33,120.000 WHOLE FOODS MKT INC COM CUSIP: 966837106 5,400.000 290,726.510 362,502.000 WILLIAMS SONOMA INC COM CUSIP: 969904101 1,300.000 34,170.650 45,201.000 WILLIS GROUP HOLDINGS COM CUSIP: G96655108 1,000.000 28,877.950 34,070.000 WILSON GREATBATCH TECHNOLOGIES INC COM CUSIP: 972232102 1,500.000 42,902.590 63,405.000 WINTRUST FINL CORP COM CUSIP: 97650W108 1,710.000 53,362.250 77,121.000 WRIGHT MED GROUP INC COM CUSIP: 98235T107 2,300.000 48,314.540 70,012.000 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 29 5500 SUPPLEMENTAL SCHEDULES 31 DEC 03 Schedule of Assets Held for Investment Purposes Security Description / Asset ID Shares/Par Value Historical Cost Current Value --------------------------------------------------------------------------------------------------------------------------------- Corporate Stock - Common --------------------------------------------------------------------------------------------------------------------------------- UNITED STATES - USD WRIGLEY WM JR CO CAP CUSIP: 982526105 1,200.000 64,904.670 67,452.000 WYETH COM CUSIP: 983024100 61,775.000 2,402,443.520 2,622,348.750 XEROX CORP COM CUSIP: 984121103 195,000.000 1,967,099.700 2,691,000.000 XL CAP LTD SHS A CUSIP: G98255105 18,900.000 1,450,904.410 1,465,695.000 XTO ENERGY INC COM CUSIP: 98385X106 1,000.000 18,252.110 28,300.000 YAHOO INC COM CUSIP: 984332106 74,300.000 2,804,116.750 3,356,131.000 ZENITH NATL INS CORP COM CUSIP: 989390109 1,560.000 43,728.330 50,778.000 ZIMMER HLDGS INC COM CUSIP: 98956P102 5,000.000 278,338.430 352,000.000 ZIONS BANCORP COM CUSIP: 989701107 500.000 31,019.890 30,665.000 ZOLL MED CORP COM CUSIP: 989922109 940.000 30,903.980 33,351.200 1ST ST BANCORPORATION COM CUSIP: 336453105 850.000 23,625.750 29,537.500 3M CO COM CUSIP: 88579Y101 11,200.000 720,522.130 952,336.000 4 KIDS ENTMT INC COM CUSIP: 350865101 1,190.000 26,775.000 30,963.800 99 CENTS ONLY STORES COM CUSIP: 65440K106 1,390.000 41,506.800 37,849.700 --------------------------------------------------------------------------------------------------------------------------------- TOTAL UNITED STATES - USD 573,235,032.48 920,505,895.26 --------------------------------------------------------------------------------------------------------------------------------- TOTAL CORPORATE STOCK - COMMON 573,235,032.48 920,505,895.26 Participant Loans --------------------------------------------------------------------------------------------------------------------------------- UNITED STATES - USD MONSANTO PARTICIPANT LOANS CUSIP: 999899602 16,761,089.400 16,761,089.400 16,761,089.400 --------------------------------------------------------------------------------------------------------------------------------- TOTAL UNITED STATES - USD 16,761,089.40 16,761,089.40 --------------------------------------------------------------------------------------------------------------------------------- TOTAL PARTICIPANT LOANS 16,761,089.40 16,761,089.40 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 30 5500 SUPPLEMENTAL SCHEDULES 31 DEC 03 Schedule of Assets Held for Investment Purposes Security Description / Asset ID Shares/Par Value Historical Cost Current Value --------------------------------------------------------------------------------------------------------------------------------- Value of Interest in Common/Collective Trusts --------------------------------------------------------------------------------------------------------------------------------- UNITED STATES - USD COLTV STIF CUSIP: 195997KR1 18,538,352.280 18,538,352.280 18,538,352.280 MFB NTGI-QM COLTV DAILY RUSSELL 1000 VALUE EQTY INDEX F CUSIP: 658991369 0.000 0.000 0.060 MFO CAP GUARDIAN INTL NON-US EQTY (FUND 003-05) CUSIP: 1399977Q7 3,751,316.500 43,302,567.370 48,917,167.160 MFO MELLON BNK EB DAILY LIQUIDITY INDEX FD CUSIP: 585992795 395,306.750 91,637,310.990 93,634,728.640 --------------------------------------------------------------------------------------------------------------------------------- TOTAL UNITED STATES - USD 153,478,230.64 161,090,248.14 --------------------------------------------------------------------------------------------------------------------------------- TOTAL VALUE OF INTEREST IN COMMON/COLLECTIVE TRUSTS 153,478,230.64 161,090,248.14 Value of Interest in Registered Investment Companies --------------------------------------------------------------------------------------------------------------------------------- UNITED STATES - USD MFB NTGI-QM COLTV DAILY RUSSELL 2000 VALUE EQTY INDEX F CUSIP: 658991393 0.000 0.000 0.030 MFB NTGI-QM COLTV DIALY TIPS FD-LENDING CUSIP: 658991666 0.000 0.000 0.010 MFO FFTW FDS INC U S SHORT-TERM PORTFOLIO CUSIP: 30242R105 1,356,522.990 12,800,969.740 12,792,011.800 --------------------------------------------------------------------------------------------------------------------------------- TOTAL UNITED STATES - USD 12,800,969.74 12,792,011.84 --------------------------------------------------------------------------------------------------------------------------------- TOTAL VALUE OF INTEREST IN REGISTERED INVESTMENT COM 12,800,969.74 12,792,011.84 Other --------------------------------------------------------------------------------------------------------------------------------- UNITED STATES - USD AGREE RLTY CORP COM CUSIP: 008492100 1,440.000 35,352.210 40,723.200 EQTY INNS INC COM CUSIP: 294703103 5,000.000 40,066.200 45,250.000 EQTY OFFICE PPTYS TR REIT CUSIP: 294741103 56,400.000 1,517,163.850 1,615,860.000 EQTY RESDNTL EFF 5/15/02 CUSIP: 29476L107 34,100.000 794,232.050 1,006,291.000 GIC AEGON GLOBAL WRAP CNTRCT CDA00004TR RATE CUSIP: 999500FC0 440,213,113.170 440,213,113.170 440,213,113.170 --------------------------------------------------------------------------------------------------------------------------------- TOTAL UNITED STATES - USD 442,599,927.48 442,921,237.37 --------------------------------------------------------------------------------------------------------------------------------- TOTAL OTHER 442,599,927.48 442,921,237.37 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 31 5500 SUPPLEMENTAL SCHEDULES 31 DEC 03 Schedule of Assets Held for Investment Purposes Security Description / Asset ID Shares/Par Value Historical Cost Current Value --------------------------------------------------------------------------------------------------------------------------------- Other Liabilities --------------------------------------------------------------------------------------------------------------------------------- UNITED STATES - USD LIAB RE: MONSANTO COMPANY INTERNAL LOAN -82,638.820 -82,638.820 -82,638.820 LIAB RE: MONSANTO COMPANY LOAN DUE -23,042,628.000 -23,042,628.000 -23,042,628.000 --------------------------------------------------------------------------------------------------------------------------------- TOTAL UNITED STATES - USD -23,125,266.82 -23,125,266.82 --------------------------------------------------------------------------------------------------------------------------------- TOTAL OTHER LIABILITIES -23,125,266.82 -23,125,266.82 Payable Other --------------------------------------------------------------------------------------------------------------------------------- UNITED STATES - USD &&&INVESTMENT MANAGEMENT EXPENSE ACCRUAL CUSIP: 999899537 10.000 0.000 0.000 FEE FOR SECURITIES LENDING ACTIVITY FOR CUSIP: 999766066 5.000 0.000 0.000 RECORDKEEPING EXPENSE ACCRUAL CUSIP: 999899529 14.000 0.000 0.000 TRUSTEE/CUSTODY EXPENSE ACCRUAL CUSIP: 999899511 14.000 0.000 0.000 --------------------------------------------------------------------------------------------------------------------------------- TOTAL UNITED STATES - USD 0.00 0.00 --------------------------------------------------------------------------------------------------------------------------------- TOTAL PAYABLE OTHER 0.00 0.00 --------------------------------------------------------------------------------------------------------------------------------- TOTAL 1,217,898,848.16 1,575,387,293.00 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 32 MONSANTO SAVINGS AND INVESTMENT PLAN SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES DEC. 31, 2003 --------------------------------------------------------------------------------------------------------------------- (DOLLARS IN THOUSANDS) CURRENT Identity of issuer, borrower, lessor or similar party COST VALUE See attached detail $ 1,217,899 $ 1,575,387 Reconciling items: ----------------- Pending Trade Sales listed on Detail (2,601) (2,601) Pending Trade Purchases listed on Detail 3,216 3,216 Negative cash reclassified to other liabilities 339 339 ESOP loan balance* 23,125 23,125 ----------- ----------- Subtotal $ 1,241,978 $ 1,599,466 =========== =========== * Represents party-in-interest to the plan 33 MONSANTO SAVINGS AND INVESTMENT PLAN SUPPLEMENTAL SCHEDULE 2 ---------------------------------------------------------------------------- SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DEC. 31, 2003 34 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- C00184A105 ###REORG/AOL TIME WARNER INC.(00184A105) AS THERE WAS A NAME CHNGINTO TIME WARN Acquisitions 60,800.00 -669,363.54 Dispositions -55,300.00 777,375.18 Free Delivery -60,800.00 C090597105 ###REORG/BIOGEN INCPER A 1.15 STOCK MERGERTO BIOGEN IDEC SEC#2005597 EFF 11/13/0 Acquisitions 1,100.00 -44,952.76 Dispositions -1,100.00 36,633.17 C524651106 ###REORG/LEGATO SYSTEMS STOCK MERGER TO EMC CORP SEC#2-289812 EFF 10/20/03 Acquisitions 12,500.00 -74,250.00 Dispositions -12,500.00 104,432.59 C830018107 ###REORG/6 CONTINENT EXCH INTERCONTINENTALHOTEL 2002557 MITCHELLS#2002287 4/15/0 Acquisitions 18,100.00 -141,858.75 Dispositions -87,500.00 111,422.50 C247025109 #REORG DELL COMPUTER / A 1 N/C TO DELL INC 2003647 EFF 7/18/03 Acquisitions 18,500.00 -514,443.29 Dispositions -43,000.00 1,266,637.64 Free Delivery -81,500.00 C901314104 #REORG/ 24/7 REAL MEDIA INC REV SPLIT EFF 2/26/04 Acquisitions 26,700.00 -41,242.75 Dispositions -4,900.00 6,618.17 C00790K109 #REORG/ADVANCE PCS CASH & STK MERGER TO CAREMARK RX INC SEC #2109231 EFF 3/25/04 Acquisitions 300.00 -8,614.38 Dispositions -2,000.00 88,548.36 CG07644100 #REORG/BK OF BERMUDA LTD CASH MERGER EFF2/18/04 Acquisitions 2,000.00 -78,541.16 Dispositions -2,000.00 88,324.77 C095811105 #REORG/BLUE RHINO INC CASH MERGER EFF 4/20/04 Acquisitions 800.00 -8,476.72 Dispositions -2,600.00 31,963.50 C206197105 #REORG/CONCORD EFS INC STK MERGER TO 1STDATA CORP SEC #2321292 EFF 2/26/04 Acquisitions 600.00 -9,708.84 Dispositions -2,500.00 28,151.99 C29664R106 #REORG/ESPERION THERAPEUTICS CASH MERGEREFF 2/10/04 Acquisitions 3,500.00 -56,000.00 Dispositions -3,500.00 79,875.21 C339030108 #REORG/FLEETBOSTON FINL CORP STK MERGER TO BK OF AMER CORP #2028343 3/31/04 Dispositions -47,500.00 1,445,918.51 Free Delivery -18,400.00 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 35 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Free Receipt 18,400.00 C37957V106 #REORG/GLOBESPAN VIRATA INC STK MERGER TO CONEXANT SYSTEMS 2196547 EFF 2/27/04 Acquisitions 5,300.00 -32,780.52 Dispositions -12,900.00 70,955.65 C370442832 #REORG/GM CORP PLAN OF REORG TO HUGHES ELECTRONICS CU444418107 NEWS SEC2-006040 Acquisitions 13,000.00 -202,351.43 Free Delivery -13,000.00 C441815107 #REORG/HOUSEHOLD INTERNATIONAL PER A 2.675 PER 1 PLAN OF MERGER EFF 3/28/03 Acquisitions 11,900.00 -339,388.00 Dispositions -25,500.00 681,561.90 Free Delivery -11,900.00 Free Receipt 11,900.00 C444418107 #REORG/HUGHES ELECTRONICS NAME CHANGE TODIRECTV GROUP INC #2007308 EFF 3/17/04 Free Delivery -10,701.60 Free Receipt 21,403.41 C450312103 #REORG/I-STAT CORP CASH MERGER EFF 1/28/04 Acquisitions 2,000.00 -24,012.20 Dispositions -300.00 3,740.82 C449370105 #REORG/IDEC PHARMACEUTICALS NAME CHANGE TO BIOGEN IDEC SEC#2005997 EFF 11/12/03 Acquisitions 2,100.00 -73,849.04 Dispositions -1,500.00 51,523.44 Free Delivery -1,500.00 C461858102 #REORG/INVIVO CORP CASH MERGER EFF 1/27/04 Acquisitions 1,000.00 -19,531.45 Dispositions -1,500.00 30,366.12 C41014S106 #REORG/JOHN HANCOCK FINL SERVICES INC STK MERGER MANULIFE #2527917 4/28/04 Acquisitions 22,700.00 -654,179.32 Dispositions -32,500.00 1,061,345.82 Free Delivery -8,600.00 Free Receipt 8,600.00 C60668M108 #REORG/MITCHELLS & BUTLERS PLC SPONS ADRPLAN OF REORG TO MITCHELLS&BUTLERS Dispositions -74,152.75 251,313.69 Free Receipt 74,152.75 C67072M103 #REORG/NUVELO INC REV SPLIT TO NUVELO INC SEC #2006888 EFF 2/20/04 Acquisitions 8,300.00 -20,335.00 Dispositions -8,300.00 26,103.03 C671802106 #REORG/OAK TECH CASH & STK MERGER TO ZORAN CORP SEC # 2950671 EFF 8/12/03 Acquisitions 4,300.00 -17,326.42 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 36 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Dispositions -4,300.00 12,527.06 C71713U102 #REORG/PHARMACIA CORP STOCK MERGER TO PFIZER INC SEC # 2712656 4/16/03 Acquisitions 2,900.00 -118,248.95 Dispositions -288,746.00 12,216,978.62 Free Delivery -8,917,581.00 Free Receipt 68,281.00 C739419109 #REORG/PRACTICEWORKS INC CASH MERGER EFF10/08/03 Acquisitions 400.00 -7,657.20 Dispositions -400.00 8,563.59 C852559103 #REORG/STAKE TECHNOLOGY LTD NAME CHANGEDTO SUNOPTA INC SEC #2005403 EFF 10/31/03 Acquisitions 4,650.00 -17,656.52 Dispositions -4,650.00 27,875.97 C883381105 #REORG/THERASENSE INC CASH MERGER EFF 4-5-05 Acquisitions 4,200.00 -62,354.44 Dispositions -1,150.00 19,063.10 C89420G109 #REORG/TRAVELERS PPTYS COS CORP CL A STKMERGER ST PAUL COMPINIES 2783300 4/2/04 Acquisitions 11,900.00 -190,995.00 Dispositions -61,553.00 1,011,382.16 C902984103 #REORG/USA INTERACTIVE N/C TO INTERACTIVE CORP 2003395 EFF 6-23-03 Acquisitions 2,000.00 -75,860.32 Free Delivery -2,000.00 C985509108 #REORG/YELLOW CORP NAME CHANGE TO YELLOWROADWAY CORP SEC#2-005895 EFF 12/12/03 Acquisitions 2,000.00 -49,478.20 Dispositions -2,000.00 49,553.87 C002824100 ABBOTT LAB COM Acquisitions 15,700.00 -613,575.15 Dispositions -30,100.00 1,261,890.98 Free Delivery -10,600.00 Free Receipt 10,600.00 CG1150G111 ACCENTURE LTD BERMUDA CLS A COM Acquisitions 17,925.00 -369,778.76 Dispositions -8,625.00 169,721.26 Free Delivery -12,900.00 Free Receipt 12,900.00 C00437P107 ACCREDITED HOME LENDERS HLDG CO COM STK Acquisitions 4,900.00 -49,963.35 Dispositions -4,900.00 94,262.55 CG0070K103 ACE LTD ORD STK USD0.0416 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 37 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Acquisitions 3,900.00 -133,741.53 Dispositions -32,000.00 1,044,694.16 C004934105 ACTEL CORP COM Acquisitions 200.00 -3,842.00 Dispositions -1,300.00 26,676.95 C007094105 ADMINISTAFF INC COM Acquisitions 4,500.00 -46,113.31 Dispositions -1,250.00 16,523.19 C00724X102 ADOLOR CORP COM Acquisitions 1,000.00 -12,011.30 Dispositions -220.00 3,448.02 C046353108 ADR ASTRAZENECA PLC SPONSORED ADR UK Acquisitions 11,200.00 -413,130.65 Dispositions -3,500.00 167,783.13 C055622104 ADR BP P L C SPONSORED ADR Acquisitions 7,500.00 -308,743.19 Dispositions -12,600.00 530,107.08 Free Delivery -4,500.00 Free Receipt 4,500.00 C12328X107 ADR BUSINESS OBJECTS S A SPONSORED ADR Acquisitions 600.00 -9,260.28 Dispositions -3,300.00 70,082.44 C338488109 ADR FLAMEL TECHNOLOGIES SA SPONSORED ADR Acquisitions 5,230.00 -106,665.29 Dispositions -2,330.00 80,284.69 C458573102 ADR INTERCONTINENTAL HOTELS GROUP PLC SPONSORED ADR Dispositions -0.75 1.92 Free Receipt 74,152.75 C576879209 ADR MATSUSHITA ELEC INDL LTD ADR Acquisitions 21,300.00 -175,463.22 Dispositions -6,300.00 80,881.90 C652487802 ADR NEWS CORP LTD SPONSORED ADR REPSTG PFD LTD Acquisitions 3,300.00 -94,275.73 Dispositions -14,996.00 412,704.63 Free Delivery -1,197.30 Free Receipt 2,394.26 C654902204 ADR NOKIA CORP SPONSORED ADR Acquisitions 85,450.00 -1,401,701.88 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 38 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Dispositions -204,875.00 3,256,322.13 Free Delivery -40,400.00 Free Receipt 40,400.00 CN07059111 ADR NV EUR0.02(NY REG) Acquisitions 9,000.00 -174,835.71 Dispositions -15,500.00 268,019.13 C767204100 ADR RIO TINTO PLC Acquisitions 5,800.00 -454,758.07 Dispositions -8,200.00 809,939.64 C803054204 ADR SAP AKTIENGESELLSCHAFT SPONSORED ADR Acquisitions 43,000.00 -1,319,845.06 Dispositions -20,200.00 723,461.39 C861012102 ADR STMICROELECTRONICS N V SHS-N Y REGISTRY Acquisitions 10,000.00 -215,590.43 Dispositions -20,900.00 556,311.09 C881624209 ADR TEVA PHARMACEUTICAL INDS LTD ADR ISIN #US8816242098 Acquisitions 32,325.00 -1,660,100.17 Dispositions -15,025.00 865,625.96 Free Delivery -8,300.00 Free Receipt 8,300.00 C89151E109 ADR TOTAL SA Acquisitions 1,500.00 -112,278.13 Dispositions -1,400.00 103,348.61 C904784709 ADR UNILEVER N V NY SHS NEW Acquisitions 18,500.00 -1,063,335.89 Dispositions -1,000.00 63,441.02 C92857W100 ADR VODAFONE GROUP PLC NEW SPONSORED ADR Acquisitions 83,500.00 -1,652,480.03 Dispositions -48,325.00 991,897.43 C007973100 ADVANCED ENERGY INDS INC COM Acquisitions 3,300.00 -69,824.03 Dispositions -900.00 22,421.94 C00817Y108 AETNA INC Acquisitions 7,100.00 -424,707.39 Dispositions -7,700.00 460,763.12 Free Delivery -6,400.00 Free Receipt 6,400.00 C008190100 AFFILIATED COMPUTER SVCS INC CL A COM NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 39 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Acquisitions 700.00 -31,672.62 Dispositions -1,250.00 63,308.96 C001084102 AGCO CORP COM Acquisitions 1,700.00 -32,018.24 Dispositions -4,750.00 86,076.12 C00845V100 AGERE SYS INC CL A Acquisitions 7,300.00 -25,815.06 Dispositions -1,800.00 5,470.73 C008492100 AGREE RLTY CORP COM Acquisitions 1,700.00 -41,735.25 Dispositions -260.00 6,822.08 C009158106 AIR PROD & CHEM INC COM Acquisitions 12,300.00 -540,859.33 Dispositions -3,300.00 139,680.87 Free Delivery -4,600.00 Free Receipt 4,600.00 C013817101 ALCOA INC COM STK Acquisitions 2,300.00 -45,284.70 Dispositions -20,500.00 542,474.59 Free Delivery -11,500.00 Free Receipt 11,500.00 CH01301102 ALCON INC Acquisitions 18,200.00 -965,124.82 Dispositions -2,600.00 143,994.25 Free Delivery -2,600.00 Free Receipt 2,600.00 C018490102 ALLERGAN INC COM Acquisitions 7,100.00 -475,773.53 Dispositions -2,200.00 174,738.13 C01859P609 ALLIANCE GAMING CORP COM NEW NEW Acquisitions 2,590.00 -39,660.90 Dispositions -4,100.00 90,088.86 C018804104 ALLIANT TECHSYSTEMS INC COM Acquisitions 300.00 -15,978.80 Dispositions -2,120.00 107,458.09 C020002101 ALLSTATE CORP COM Acquisitions 22,800.00 -802,773.23 Dispositions -28,300.00 1,133,005.76 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 40 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Free Delivery -4,800.00 Free Receipt 4,800.00 C020039103 ALLTEL CORP COM Acquisitions 8,700.00 -441,503.40 Free Delivery -3,900.00 Free Receipt 3,900.00 C02144G107 ALTEON INC COM Acquisitions 4,100.00 -21,914.69 Dispositions -4,100.00 22,672.21 C021441100 ALTERA CORP COM Acquisitions 6,600.00 -96,424.96 Dispositions -13,000.00 271,804.49 CG02602103 AMDOCS ORD GBP0.01 Acquisitions 3,600.00 -48,466.14 Dispositions -2,200.00 48,279.58 C025816109 AMER EXPRESS CO COM Acquisitions 32,400.00 -1,464,604.77 Dispositions -5,000.00 213,535.55 C03073E105 AMERISOURCEBERGEN CORP COM Acquisitions 325.00 -18,489.64 Dispositions -8,125.00 461,868.13 Free Delivery -3,200.00 Free Receipt 3,200.00 C026874107 AMERN INTL GROUP INC COM Acquisitions 12,200.00 -719,488.98 Dispositions -34,800.00 2,016,227.11 C02886P109 AMERN PHARMACEUTICALS PARTNERS INC COM Acquisitions 1,750.00 -32,034.63 Dispositions -1,750.00 38,711.64 C029712106 AMERN STD COS INC DEL COM Acquisitions 400.00 -30,390.60 Dispositions -900.00 66,354.39 C031162100 AMGEN INC COM Acquisitions 30,900.00 -1,901,172.86 Dispositions -23,100.00 1,393,403.00 Free Delivery -7,600.00 Free Receipt 7,600.00 C031538101 AMIS HLDGS INC COM NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 41 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Acquisitions 2,000.00 -40,010.00 Dispositions -2,000.00 36,048.70 C03232P405 AMSURG CORP COM Acquisitions 1,000.00 -22,696.90 Dispositions -630.00 22,458.90 C032511107 ANADARKO PETRO CORP COM Acquisitions 500.00 -23,121.18 Dispositions -2,300.00 102,609.06 C032654105 ANALOG DEVICES INC COM Acquisitions 9,100.00 -321,185.60 Dispositions -2,900.00 133,572.80 C034918102 ANGIOTECH PHARMACEUTICALS INC COM Acquisitions 2,200.00 -98,453.72 Dispositions -130.00 5,517.07 C035229103 ANHEUSER BUSCH COS INC COM Acquisitions 32,900.00 -1,658,896.28 Dispositions -25,400.00 1,298,048.11 Free Delivery -6,800.00 Free Receipt 6,800.00 C03674B104 ANTHEM INC COM Acquisitions 300.00 -22,548.64 Dispositions -1,000.00 73,768.48 C00184AAG0 AOL TIME WARNER INC DEB DTD 04/08/2002 7.7 DUE 05-01-2032 BEO Acquisitions 194,000.00 -214,236.82 Dispositions -50,000.00 51,623.00 C037411105 APACHE CORP COM Acquisitions 1,000.00 -64,952.32 Dispositions -7,740.00 450,534.61 C038197109 APPLIED FILMS CORP COM Acquisitions 4,800.00 -100,744.02 Dispositions -2,740.00 78,960.55 C038222105 APPLIED MATERIALS INC COM Acquisitions 51,700.00 -865,791.54 Dispositions -28,700.00 528,685.57 C03839G105 AQUANTIVE INC COM Acquisitions 8,150.00 -75,315.27 Dispositions -2,650.00 29,017.02 C038521100 ARAMARK CORP CL B NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 42 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Acquisitions 300.00 -6,578.94 Dispositions -1,900.00 48,827.24 C040157109 ARGONAUT GROUP INC COM STK USD0.10 Acquisitions 1,900.00 -30,507.60 Dispositions -1,900.00 27,508.21 C04289L107 ART TECH GROUP INC OC-COM ISIN US04289L107 Acquisitions 6,300.00 -15,155.28 Dispositions -6,300.00 10,892.18 C042923102 ARTISAN COMPONENTS INC COM Acquisitions 2,000.00 -39,058.15 Dispositions -2,000.00 43,092.46 CG05384105 ASPEN INS HOLDINGS LTD Acquisitions 300.00 -6,750.00 Dispositions -100.00 2,345.95 C045327103 ASPEN TECH INC COM Acquisitions 5,100.00 -14,596.58 Dispositions -8,500.00 31,731.99 C046220109 ASTA FDG INC COM Acquisitions 900.00 -21,198.60 Dispositions -900.00 24,934.88 C04648X107 ASYST TECHNOLOGIES INC COM Acquisitions 8,300.00 -55,472.14 Dispositions -5,800.00 49,797.56 C047439104 ATHEROGENICS INC COM Acquisitions 500.00 -3,308.36 Dispositions -2,640.00 28,471.00 C05106U105 AUG TECH CORP COM STK ISIN#US05106U1051 Acquisitions 2,800.00 -26,886.57 Dispositions -900.00 16,581.53 C053015103 AUTO DATA PROCESSING INC COM Acquisitions 12,575.00 -448,945.37 Dispositions -23,375.00 858,331.06 Free Delivery -9,900.00 Free Receipt 9,900.00 C053332102 AUTOZONE INC COM Acquisitions 1,900.00 -140,207.94 Dispositions -5,100.00 463,453.43 Free Delivery -4,900.00 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 43 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Free Receipt 4,900.00 C053893103 AVOCENT CORP COM Acquisitions 1,500.00 -46,531.00 Dispositions -430.00 15,841.45 C054303102 AVON PROD INC COM Acquisitions 16,300.00 -980,222.14 Dispositions -3,100.00 164,204.43 C054923107 AXCAN PHARMA INC COM STK Acquisitions 770.00 -8,700.46 Dispositions -6,000.00 86,446.26 C054540109 AXCELIS TECHNOLOGIES INC COM STK ISIN# US0545401095 Acquisitions 13,065.00 -61,971.30 Dispositions -6,565.00 62,952.72 CG0692U109 AXIS CAP HLDGS LTD Acquisitions 400.00 -8,800.00 Dispositions -400.00 10,186.20 C057224107 BAKER HUGHES INC COM Acquisitions 25,600.00 -777,141.34 Dispositions -1,700.00 51,758.50 C064057102 BANK N.Y. CO INC COM Acquisitions 25,000.00 -627,260.31 Dispositions -49,800.00 1,481,423.44 Free Delivery -21,700.00 Free Receipt 21,700.00 C06423A103 BANK ONE CORP COM Acquisitions 1,300.00 -45,483.09 Dispositions -13,600.00 508,986.75 C06652B103 BANKUNITED FINL CORP CL A Acquisitions 2,200.00 -34,090.09 Dispositions -2,200.00 44,413.75 C068306109 BARR PHARMACEUTICALS INC COM Acquisitions 500.00 -33,522.25 Dispositions -500.00 39,224.03 C071813109 BAXTER INTL INC COM Acquisitions 32,900.00 -786,059.53 Dispositions -22,400.00 600,713.53 Free Delivery -6,800.00 Free Receipt 6,800.00 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 44 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- C05534B109 BCE INC COM STK Acquisitions 25,300.00 -482,169.45 Free Delivery -18,100.00 Free Receipt 18,100.00 C073325102 BEA SYS INC COM Acquisitions 21,400.00 -253,997.49 Dispositions -23,800.00 293,691.60 Free Delivery -16,600.00 Free Receipt 16,600.00 C074014101 BEASLEY BROADCAST GROUP INC CL A Acquisitions 3,790.00 -48,441.40 Dispositions -740.00 10,095.65 C075896100 BED BATH BEYOND INC COM Acquisitions 23,600.00 -937,111.93 Dispositions -14,000.00 530,709.51 Free Delivery -3,100.00 Free Receipt 3,100.00 C079860102 BELLSOUTH CORP COM STK Acquisitions 7,800.00 -220,740.00 Dispositions -16,700.00 423,985.53 Free Delivery -7,800.00 Free Receipt 7,800.00 C086516101 BEST BUY INC COM STK Acquisitions 6,000.00 -310,701.18 Dispositions -6,000.00 324,371.11 C09062X103 BIOGEN IDEC INC COM STK Dispositions -700.00 25,776.26 Free Receipt 1,500.00 C090613100 BIOMET INC COM Acquisitions 2,500.00 -71,955.58 Dispositions -2,500.00 79,881.61 C09067J109 BIOVAIL CORP COM Acquisitions 2,700.00 -98,839.40 Dispositions -2,700.00 98,319.24 C055472104 BISYS GROUP INC COM Acquisitions 4,400.00 -81,781.01 Dispositions -7,200.00 101,293.95 Free Delivery -3,600.00 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 45 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Free Receipt 3,600.00 C055482103 BJ SVCS CO COM Acquisitions 16,575.00 -566,676.46 Dispositions -11,400.00 394,196.34 Free Delivery -13,000.00 Free Receipt 13,000.00 C05548J106 BJS WHSL CLUB INC COM STK Acquisitions 2,500.00 -46,680.85 Dispositions -1,850.00 45,005.53 C060505104 BK AMER CORP COM Acquisitions 9,800.00 -727,129.63 Dispositions -6,600.00 513,926.35 Free Delivery -6,674.00 Free Receipt 6,674.00 C062540109 BK HAW CORP COM Acquisitions 900.00 -31,338.17 Dispositions -400.00 15,517.73 C06423KAA9 BK 1 CAP III 8.75 BDS 01/09/30 USD 8.75 DUE 09-01-2030/08-31-2030 BEO Acquisitions 125,000.00 -168,136.75 Dispositions -135,000.00 174,792.60 C097023105 BOEING CO COM Acquisitions 23,100.00 -743,308.51 Dispositions -26,300.00 906,283.26 C109178103 BRIGHAM EXPL CO COM Acquisitions 9,400.00 -58,461.23 Dispositions -4,700.00 35,926.57 C110122108 BRISTOL MYERS SQUIBB CO COM Acquisitions 30,600.00 -758,243.63 Dispositions -15,900.00 411,692.87 Free Delivery -19,700.00 Free Receipt 19,700.00 C111320107 BROADCOM CORP CL A Acquisitions 16,500.00 -459,409.15 Dispositions -6,100.00 156,257.18 C101137107 BSTN SCIENTIFIC CORP COM Acquisitions 52,775.00 -2,625,324.44 Dispositions -53,375.00 2,634,570.07 C119848109 BUFFALO WILD WINGS INC COM STK NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 46 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Acquisitions 600.00 -10,200.00 Dispositions -600.00 14,182.36 C12189T104 BURL NORTHN SANTA FE CORP COM Acquisitions 15,200.00 -404,593.60 Dispositions -32,600.00 865,766.68 Free Delivery -15,200.00 Free Receipt 15,200.00 C12512N105 C D W CORP COM Acquisitions 1,100.00 -60,029.45 Dispositions -300.00 17,863.14 C130439102 CA MICRO DEVICES CORP Acquisitions 7,000.00 -26,348.93 Dispositions -4,000.00 31,531.19 C14040H105 CAP 1 FNCL COM Acquisitions 7,200.00 -207,516.24 Dispositions -4,600.00 142,614.79 C14055X102 CAPITALSOURCE INC COM Acquisitions 600.00 -8,700.00 Dispositions -600.00 10,279.15 C14149Y108 CARDINAL HLTH INC Acquisitions 23,125.00 -1,358,345.34 Dispositions -22,115.00 1,251,456.74 Free Delivery -5,600.00 Free Receipt 5,600.00 C141705103 CAREMARK RX INC COM Acquisitions 11,300.00 -259,886.64 Dispositions -36,900.00 628,032.66 C143130102 CARMAX INC COM Acquisitions 11,500.00 -350,829.72 Dispositions -2,700.00 87,753.34 C146229109 CARTER INC FORMERLY CARTER HLDGS INC TO COM COM Acquisitions 25.00 -475.00 Dispositions -25.00 622.66 C149123101 CATERPILLAR INC COM Acquisitions 9,900.00 -506,317.46 Dispositions -24,700.00 1,550,987.99 Free Delivery -4,300.00 Free Receipt 4,300.00 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 47 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- C159852102 CHARLES RIV ASSOCS INC COM Acquisitions 2,800.00 -89,383.40 Dispositions -640.00 20,142.33 C160903100 CHARTER 1 FINCL INC COM Acquisitions 26,500.00 -818,849.86 Dispositions -7,850.00 244,192.84 Free Delivery -9,100.00 Free Receipt 9,100.00 C163072101 CHEESECAKE FACTORY INC COM Acquisitions 2,170.00 -81,985.59 Dispositions -2,060.00 73,316.30 C166764100 CHEVRONTEXACO CORP COM Acquisitions 4,500.00 -289,373.42 Dispositions -11,800.00 848,449.70 Free Delivery -5,900.00 Free Receipt 5,900.00 C167760107 CHGO MERCANTILE EXCHANGE HLDGS INC CL A Acquisitions 600.00 -40,626.33 Dispositions -50.00 3,418.84 C168615102 CHICOS FAS INC COM Acquisitions 4,100.00 -93,621.84 Dispositions -4,100.00 128,783.16 Free Delivery -4,100.00 Free Receipt 4,100.00 C170388102 CHOICEPOINT INC COM Acquisitions 2,000.00 -68,875.41 Dispositions -2,000.00 72,738.80 C170404107 CHORDIANT SOFTWARE INC COM STK ISIN#US1704041078 Acquisitions 5,900.00 -26,077.64 Dispositions -900.00 3,662.82 C171232101 CHUBB CORP COM Acquisitions 21,600.00 -1,260,235.48 Dispositions -11,400.00 684,786.22 Free Delivery -8,300.00 Free Receipt 8,300.00 C171796105 CIMA LABS INC COM Acquisitions 1,500.00 -42,942.00 Dispositions -1,730.00 54,189.57 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 48 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- C172908105 CINTAS CORP COM Acquisitions 1,600.00 -65,223.93 Dispositions -700.00 32,486.46 C17275R102 CISCO SYS INC COM Acquisitions 100,200.00 -1,772,511.82 Dispositions -66,800.00 1,074,498.69 Free Delivery -35,600.00 Free Receipt 35,600.00 C17288Q109 CITADEL SEC SOFTWARE INC COM Acquisitions 7,100.00 -25,178.75 Dispositions -7,100.00 18,909.89 C172967101 CITIGROUP INC COM Acquisitions 55,600.00 -2,284,478.75 Dispositions -68,000.00 2,714,026.80 Free Delivery -12,800.00 Free Receipt 12,800.00 C177376100 CITRIX SYS INC COM Acquisitions 6,100.00 -134,850.69 Dispositions -4,400.00 101,604.42 Free Delivery -3,400.00 Free Receipt 3,400.00 C184502102 CLEAR CHANNEL COMMUNICATIONS INC COM Acquisitions 29,000.00 -1,110,593.80 Dispositions -3,500.00 144,800.07 C189054109 CLOROX CO COM Acquisitions 27,600.00 -1,222,098.40 Dispositions -3,800.00 174,133.81 C191216100 COCA COLA CO COM Acquisitions 27,000.00 -1,157,390.73 Dispositions -21,000.00 905,263.14 C191219104 COCA COLA ENTERPRISES INC COM Acquisitions 700.00 -14,255.48 Dispositions -9,100.00 171,382.53 C192446102 COGNIZANT TECH SOLUTIONS CORP CL A Acquisitions 700.00 -44,659.20 Dispositions -2,100.00 41,127.41 C19244C109 COGNOS INC COM Acquisitions 6,700.00 -179,201.97 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 49 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Dispositions -11,100.00 330,601.36 Free Delivery -8,000.00 Free Receipt 8,000.00 C19259P300 COINSTAR INC COM Acquisitions 2,100.00 -37,366.94 Dispositions -2,100.00 30,260.93 C194162103 COLGATE-PALMOLIVE CO COM Acquisitions 15,200.00 -867,755.31 Dispositions -26,225.00 1,395,828.26 C197236102 COLUMBIA BKG SYS INC COM Acquisitions 375.00 -6,881.25 Dispositions -1,180.00 22,518.76 C501049100 COM KROLL INC DEL Acquisitions 1,000.00 -24,012.25 Dispositions -4,500.00 90,685.80 C20030N200 COMCAST CORP NEW CL A SPL Acquisitions 24,100.00 -667,071.47 Dispositions -38,700.00 1,153,215.05 Free Delivery -26,400.00 Free Receipt 26,400.00 C200340107 COMERICA INC COM Acquisitions 7,300.00 -326,761.18 Dispositions -3,600.00 169,080.47 Free Delivery -6,000.00 Free Receipt 6,000.00 C20162L105 COML CAP BANCORP INC COM Acquisitions 2,500.00 -38,537.69 Dispositions -2,550.00 46,897.89 C204912109 COMPUTER ASSOC INTL INC COM Acquisitions 28,100.00 -410,648.21 Dispositions -28,100.00 713,872.58 Free Delivery -2,600.00 Free Receipt 2,600.00 C204925101 COMPUTER NETWORK TECH CORP COM Acquisitions 700.00 -4,492.39 Dispositions -4,000.00 28,216.14 C205363104 COMPUTER SCI CORP COM Acquisitions 6,100.00 -190,754.81 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 50 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Dispositions -1,700.00 66,829.87 C205768203 COMSTOCK RES INC COM NEW Acquisitions 2,615.00 -36,115.84 Dispositions -4,035.00 55,095.02 C206016107 CONCEPTUS INC COM Acquisitions 1,500.00 -16,214.01 Dispositions -2,300.00 29,848.42 C206156101 CONCORD CAMERA CORP COM Acquisitions 9,400.00 -58,790.08 Dispositions -5,050.00 51,546.13 C216648402 COOPER COS INC COM NEW Acquisitions 800.00 -27,850.55 Dispositions -1,340.00 44,746.66 C221485105 COST PLUS INC CAL COM Acquisitions 200.00 -5,306.38 Dispositions -1,180.00 49,123.41 C22160K105 COSTCO WHSL CORP NEW COM Acquisitions 9,100.00 -324,983.61 Dispositions -9,900.00 292,628.84 C222816100 COVANCE INC COM Acquisitions 3,400.00 -81,414.83 Dispositions -1,000.00 24,966.82 C22284P105 COVENANT TRANS INC NEV CL A Acquisitions 2,340.00 -40,236.59 Dispositions -470.00 8,311.99 C224051102 COX RADIO INC CL A Acquisitions 1,300.00 -28,488.42 Dispositions -2,600.00 60,383.84 C225223106 CRAY INC COM Acquisitions 8,915.00 -73,908.26 Dispositions -3,415.00 38,239.28 C22757R109 CROSS TIMBERS RTY TR TR UNIT Dispositions -25.90 512.13 Free Receipt 25.90 C22943D105 CTI MOLECULAR IMAGING INC COM Acquisitions 3,000.00 -58,715.04 Dispositions -3,000.00 51,773.21 C230215105 CULP INC COM NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 51 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Acquisitions 3,800.00 -28,979.71 Dispositions -550.00 5,538.24 C231082108 CUMULUS MEDIA INC CL A DEL Acquisitions 1,000.00 -14,799.50 Dispositions -1,750.00 32,696.10 C126667104 CV THERAPEUTICS INC COM Acquisitions 1,750.00 -39,589.05 Dispositions -1,750.00 41,402.74 C232572107 CYMER INC COM Acquisitions 2,000.00 -54,339.54 Dispositions -3,000.00 97,932.21 C232806109 CYPRESS SEMICONDUCTOR CORP COM Acquisitions 7,100.00 -68,178.83 Dispositions -4,600.00 91,173.67 C232861104 D & K HEALTHCARE RES INC COM Acquisitions 2,300.00 -23,153.18 Dispositions -2,300.00 25,037.41 C235851102 DANAHER CORP COM Acquisitions 1,725.00 -120,288.18 Dispositions -11,175.00 826,596.92 Free Delivery -11,000.00 Free Receipt 11,000.00 C237194105 DARDEN RESTAURANTS INC COM Acquisitions 16,300.00 -337,259.78 Dispositions -27,500.00 525,843.56 Free Delivery -9,800.00 Free Receipt 9,800.00 C242370104 DEAN FOODS CO NEW COM Acquisitions 900.00 -28,574.24 Dispositions -2,400.00 79,244.41 C244199105 DEERE & CO COM Acquisitions 12,300.00 -582,953.36 Dispositions -12,300.00 658,013.13 Free Delivery -2,300.00 Free Receipt 2,300.00 C25389G102 DIGITAL THEATER SYS INC OC-COM COM STK Acquisitions 3,000.00 -66,057.28 Dispositions -780.00 19,959.56 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 52 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- C25456W204 DIRECT GEN CORP COM STK Acquisitions 4,200.00 -92,936.04 Dispositions -990.00 30,052.88 C256747106 DOLLAR TREE STORES INC COM Acquisitions 700.00 -20,373.20 Dispositions -2,300.00 45,478.22 C25746U109 DOMINION RES INC VA NEW COM Acquisitions 3,600.00 -203,580.00 Free Delivery -3,600.00 Free Receipt 3,600.00 C25848T109 DOT HILL SYS CORP COM Acquisitions 9,645.00 -107,334.01 Dispositions -2,895.00 44,792.93 C260543103 DOW CHEM CO COM Acquisitions 1,200.00 -32,688.00 Dispositions -29,700.00 905,003.00 Free Delivery -15,454.00 Free Receipt 15,454.00 C262037104 DRIL-QUIP INC COM Acquisitions 1,200.00 -18,406.20 Dispositions -1,200.00 19,902.27 C233326107 DST SYS INC COM Acquisitions 1,700.00 -62,755.37 Dispositions -600.00 22,656.93 C263534109 DU PONT E I DE NEMOURS & CO COM STK Acquisitions 18,600.00 -717,148.63 Dispositions -2,600.00 109,633.48 C278058102 EATON CORP COM Acquisitions 2,500.00 -197,225.00 Dispositions -600.00 47,815.43 Free Delivery -2,500.00 Free Receipt 2,500.00 C278642103 EBAY INC COM Acquisitions 34,775.00 -2,482,558.47 Dispositions -5,900.00 349,111.93 C278762109 ECHOSTAR COMMUNICATIONS CORP NEW CL A Acquisitions 4,400.00 -123,004.22 Dispositions -4,400.00 142,431.87 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 53 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- C281347104 EDO CORP COM Acquisitions 700.00 -17,286.78 Dispositions -4,720.00 80,028.25 C285512109 ELECTR ARTS COM Acquisitions 35,850.00 -2,514,986.14 Dispositions -1,550.00 111,607.90 C286045109 ELECTRONICS BOUTIQUE HLDGS CORP COM Acquisitions 5,000.00 -96,374.98 Dispositions -5,000.00 130,122.94 C532457108 ELI LILLY & CO COM Acquisitions 7,500.00 -502,500.99 Dispositions -2,500.00 173,560.54 C28660G106 ELIZABETH ARDEN INC COM Acquisitions 700.00 -7,840.00 Dispositions -2,700.00 29,672.17 C268648102 EMC CORP COM Acquisitions 138,800.00 -1,777,845.62 Dispositions -11,100.00 146,820.84 C29084Q100 EMCOR GROUP INC COM Acquisitions 1,150.00 -56,826.61 Dispositions -2,050.00 89,476.93 C291011104 EMERSON ELEC CO COM Acquisitions 6,700.00 -346,774.52 Dispositions -2,500.00 127,808.26 Free Delivery -4,100.00 Free Receipt 4,100.00 C292475209 EMULEX CORP COM NEW Acquisitions 1,000.00 -23,456.04 Dispositions -1,900.00 49,229.33 C293637104 ENTERASYS NETWORKS INC COM Acquisitions 13,000.00 -42,121.95 Dispositions -13,000.00 52,232.52 C293639100 ENTERCOM COMMUNICATIONS CORP CL A Acquisitions 400.00 -18,764.19 Dispositions -2,500.00 123,001.70 C26875P101 EOG RESOURCES INC COM Acquisitions 300.00 -11,530.22 Dispositions -2,000.00 82,434.78 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 54 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- C294703103 EQTY INNS INC COM Acquisitions 2,830.00 -22,732.42 Dispositions -1,110.00 9,203.25 C294724109 EQTY MARKETING INC COM Acquisitions 200.00 -2,895.83 Dispositions -200.00 2,927.86 C299900308 EVERGREEN RES INC COM NO PAR Acquisitions 750.00 -32,885.77 Dispositions -1,170.00 34,730.05 C30161N101 EXELON CORP COM Dispositions -6,300.00 334,594.88 Free Delivery -4,000.00 Free Receipt 4,000.00 C302130109 EXPEDITORS INTL WASH INC COM Acquisitions 1,800.00 -62,058.05 Dispositions -800.00 30,090.98 C30226D106 EXTREME NETWORKS INC COM Acquisitions 6,600.00 -61,256.00 Dispositions -1,100.00 10,053.52 C30231G102 EXXON MOBIL CORP COM Acquisitions 15,700.00 -552,308.73 Free Delivery -31,400.00 Free Receipt 15,700.00 C30231G102 EXXON MOBIL CORP COM Acquisitions 19,400.00 -704,201.31 Dispositions -11,300.00 386,930.84 Free Receipt 15,700.00 C302571104 F P L GROUP INC COM Acquisitions 7,600.00 -467,622.21 Dispositions -2,400.00 160,552.21 Free Delivery -3,300.00 Free Receipt 3,300.00 C303726103 FAIRCHILD SEMICONDUCTOR INTL INC COM Acquisitions 3,635.00 -64,384.99 Dispositions -4,635.00 103,281.58 C307000109 FAMILY DLR STORES INC COM Acquisitions 6,300.00 -262,436.58 Dispositions -6,300.00 219,132.61 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 55 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- C311900104 FASTENAL CO COM Acquisitions 2,000.00 -71,098.14 Dispositions -1,400.00 62,797.05 C31428X106 FEDEX CORP COM Acquisitions 10,400.00 -766,041.77 Dispositions -21,200.00 1,420,990.89 C31410H101 FEDT DEPT STORES INC DEL COM Acquisitions 14,100.00 -396,389.62 Dispositions -14,100.00 632,654.76 C319963104 FIRST DATA CORP COM Acquisitions 44,900.00 -1,736,912.76 Dispositions -58,600.00 2,211,587.86 Free Delivery -18,500.00 Free Receipt 18,500.00 C337932107 FIRSTENERGY CORP COM Acquisitions 14,700.00 -470,314.02 Dispositions -5,800.00 199,717.01 Free Delivery -6,700.00 Free Receipt 6,700.00 C337738108 FISERV INC COM Acquisitions 400.00 -13,347.48 Dispositions -2,200.00 81,058.18 C313586109 FNMA COM STK Acquisitions 17,500.00 -1,218,596.14 Dispositions -37,825.00 2,576,127.32 Free Delivery -16,400.00 Free Receipt 16,400.00 C345838106 FOREST LAB INC COM Acquisitions 25,200.00 -1,279,285.08 Dispositions -30,300.00 1,518,000.26 Free Delivery -15,400.00 Free Receipt 15,400.00 C346375108 FORMFACTOR INC COM STK Acquisitions 1,481.00 -20,734.00 Dispositions -1,481.00 26,821.15 C346563109 FORRESTER RESH INC COM Acquisitions 1,700.00 -28,708.41 Dispositions -1,700.00 23,714.56 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 56 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- C349882100 FOSSIL INC COM Acquisitions 3,000.00 -56,090.72 Dispositions -3,000.00 79,780.27 C358438109 FRIEDMANS INC CLASS'A'COM STK USD0.01 Acquisitions 5,800.00 -84,233.05 Dispositions -5,800.00 60,799.37 C354613101 FRKLN RES INC COM Acquisitions 4,500.00 -207,136.00 Dispositions -1,800.00 73,198.08 C361268105 G & K SVCS INC CL A Acquisitions 1,500.00 -47,618.68 Dispositions -440.00 14,951.28 C36466R101 GAMESTOP CORP CL A Acquisitions 3,000.00 -43,635.00 Dispositions -880.00 15,049.29 C366651107 GARTNER GROUP INC NEW CL A COM Acquisitions 5,000.00 -48,866.50 Dispositions -1,450.00 18,069.64 C369385109 GEN COMMUNICATION INC CL A Acquisitions 7,350.00 -72,453.16 Dispositions -1,850.00 16,534.77 C369604103 GEN ELEC CO COM Acquisitions 158,600.00 -4,604,396.79 Dispositions -61,400.00 1,706,420.38 Free Delivery -41,000.00 Free Receipt 41,000.00 C369604AY9 GEN ELEC CO NT 5 DUE 02-01-2013 BEO Acquisitions 225,000.00 -224,158.50 Dispositions -225,000.00 227,945.25 CY2692M103 GEN MARITIME CORP COM Acquisitions 2,200.00 -19,340.14 Dispositions -2,200.00 23,100.89 C370334104 GEN MILLS INC COM Acquisitions 13,100.00 -607,767.40 Dispositions -2,400.00 106,506.87 Free Delivery -8,100.00 Free Receipt 8,100.00 C36866T103 GEN-PROBE INC NEW COM NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 57 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Acquisitions 2,000.00 -48,006.58 Dispositions -1,170.00 34,599.45 C368710406 GENENTECH INC COM STK Acquisitions 9,800.00 -665,729.18 Dispositions -6,700.00 465,430.70 C370442105 GENERAL MOTORS CORP COMMON STOCK Acquisitions 12,400.00 -488,436.00 Dispositions -6,500.00 210,000.21 Free Delivery -12,400.00 Free Receipt 12,400.00 C371532102 GENESCO INC COM Acquisitions 1,700.00 -22,746.72 Dispositions -1,700.00 25,567.30 C372461103 GENUS INC COM STK Acquisitions 3,500.00 -19,608.19 Dispositions -500.00 3,297.24 C372917104 GENZYME CORP COM Acquisitions 1,200.00 -48,920.48 Dispositions -2,400.00 92,723.92 Free Delivery -1,100.00 Free Receipt 1,100.00 C999500FC0 GIC AEGON GLOBAL WRAP CNTRCT CDA00004TR RATE: 5.95% (BLEND**INC Acquisitions 30,903,593.24 -30,903,593.24 Dispositions -32,000,000.00 32,000,000.00 C375558103 GILEAD SCI INC COM Acquisitions 32,850.00 -1,787,658.39 Dispositions -6,250.00 350,227.77 C375766102 GILLETTE CO COM Acquisitions 18,600.00 -575,728.38 Dispositions -23,900.00 747,358.35 Free Delivery -17,200.00 Free Receipt 17,200.00 C377316104 GLATFELTER Acquisitions 800.00 -10,912.03 Dispositions -3,670.00 53,753.04 C37934A100 GLOBAL IMAGING SYS INC COM Acquisitions 3,500.00 -65,331.97 Dispositions -2,230.00 56,698.08 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 58 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- C381317106 GOLDEN W. FNCL CORP COM Acquisitions 400.00 -34,817.70 Dispositions -6,800.00 572,830.95 C38141G104 GOLDMAN SACHS GROUP INC COM Acquisitions 28,000.00 -2,363,315.73 Dispositions -10,000.00 876,965.59 Free Delivery -8,000.00 Free Receipt 8,000.00 C382388106 GOODRICH CORPORATION Acquisitions 1,700.00 -47,018.02 Dispositions -200.00 5,294.75 C397888108 GREY WOLF INC COM Acquisitions 14,300.00 -57,413.96 Dispositions -7,500.00 26,455.74 C401698105 GUIDANT CORP COM STK Acquisitions 2,800.00 -114,755.56 Dispositions -2,800.00 123,398.78 C401829106 GUILFORD PHARMACEUTICALS INC COM Acquisitions 4,500.00 -23,125.50 Dispositions -4,500.00 31,075.79 C402040109 GUITAR CTR INC COM Acquisitions 4,000.00 -79,277.62 Dispositions -2,210.00 65,892.68 C403777105 GYMBOREE CORP COM Acquisitions 2,745.00 -41,382.06 Dispositions -1,645.00 28,116.86 C412822108 HARLEY DAVIDSON INC COM Acquisitions 12,500.00 -588,105.34 Dispositions -29,975.00 1,272,679.06 C416515104 HARTFORD FINL SVCS GROUP INC COM Acquisitions 800.00 -37,198.69 Dispositions -25,100.00 1,126,326.80 C404119109 HCA INC COM Acquisitions 52,100.00 -1,809,601.17 Dispositions -13,900.00 557,210.64 Free Delivery -6,500.00 Free Receipt 6,500.00 C422819102 HEIDRICK & STRUGGLES INTL INC COM ISIN #954228191023 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 59 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Acquisitions 1,400.00 -18,200.00 Dispositions -1,400.00 28,236.39 C423074103 HEINZ H J CO COM Acquisitions 11,600.00 -391,732.00 Dispositions -24,800.00 755,907.12 Free Delivery -11,600.00 Free Receipt 11,600.00 C427866108 HERSHEY FOODS CORP COM Acquisitions 500.00 -32,523.95 Dispositions -1,000.00 73,478.78 C428236103 HEWLETT PACKARD CO COM Acquisitions 35,000.00 -684,254.14 Dispositions -72,325.00 1,431,348.93 C432848109 HILTON HOTELS CORP COM Acquisitions 1,600.00 -22,321.60 Dispositions -4,200.00 62,981.96 C437076102 HOME DEPOT INC COM Acquisitions 36,500.00 -1,226,748.32 Dispositions -72,200.00 1,745,986.54 Free Delivery -3,400.00 Free Receipt 3,400.00 C438516106 HONEYWELL INTL INC COM STK Acquisitions 24,500.00 -632,753.61 Dispositions -3,300.00 93,058.61 Free Delivery -9,900.00 Free Receipt 9,900.00 C44914M104 HYPERION SOLUTIONS CORP COM Acquisitions 1,750.00 -60,068.95 Dispositions -1,750.00 59,231.43 C449295104 ICOS CORP COM Acquisitions 500.00 -10,341.82 Dispositions -2,750.00 99,600.10 C44936D108 ID BIOMEDICAL CORP COM Acquisitions 300.00 -3,171.36 Dispositions -300.00 3,615.46 C452308109 ILL TOOL WKS INC COM Dispositions -7,800.00 518,877.64 Free Delivery -6,400.00 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 60 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Free Receipt 6,400.00 C45245E109 IMAX CORP COM Acquisitions 3,100.00 -28,286.57 Dispositions -450.00 3,590.33 C45255A104 IMPAC MED SYS INC COM Acquisitions 1,400.00 -27,034.00 Dispositions -1,800.00 40,900.31 C453235103 INAMED CORP COM Acquisitions 850.00 -60,383.66 Dispositions -240.00 19,568.87 C999665037 INCOME FROM SECURITIES LENDING ACTIVITIES Free Delivery -2.00 Free Receipt 1.00 C457733103 INSPIRE PHARMACEUTICALS INC COM Acquisitions 300.00 -2,718.24 Dispositions -1,600.00 21,581.22 C45890M109 INTEGRATED ALARM SVCS GROUP INC COM Acquisitions 4,200.00 -38,664.32 Dispositions -1,250.00 10,139.98 C458140100 INTEL CORP COM Acquisitions 153,600.00 -3,366,036.00 Dispositions -44,300.00 1,032,155.91 Free Delivery -55,800.00 Free Receipt 55,800.00 C45840Q101 INTERACTIVECORP COM STK Acquisitions 19,800.00 -692,992.46 Dispositions -12,400.00 416,105.17 Free Delivery -2,700.00 Free Receipt 4,700.00 C46069S109 INTERSIL CORP Acquisitions 10,400.00 -262,282.92 Dispositions -10,600.00 261,894.52 Free Delivery -4,200.00 Free Receipt 4,200.00 C46114Y101 INTERVIDEO INC COM Acquisitions 700.00 -9,800.00 Dispositions -700.00 14,258.32 C459200101 INTL BUSINESS MACHS CORP COM NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 61 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Acquisitions 11,775.00 -992,417.26 Dispositions -14,875.00 1,242,568.52 Free Delivery -4,600.00 Free Receipt 4,600.00 C459506101 INTL FLAVORS & FRAGRANCES INC COM Acquisitions 5,100.00 -183,855.00 Dispositions -10,900.00 357,667.68 Free Delivery -5,100.00 Free Receipt 5,100.00 C460146103 INTL PAPER CO COM Acquisitions 24,500.00 -904,273.20 Dispositions -33,500.00 1,207,014.42 Free Delivery -13,100.00 Free Receipt 13,100.00 C461202103 INTUIT COM Acquisitions 29,800.00 -1,271,953.67 Dispositions -11,300.00 482,352.44 C461915100 INVESTORS FINL SVCS CORP DEL COM Acquisitions 400.00 -11,280.00 Dispositions -1,100.00 29,224.07 C46145F105 INVT TECH GROUP INC NEW COM Acquisitions 4,000.00 -74,185.98 Dispositions -1,150.00 20,976.50 C46261V108 IPASS INC COM Acquisitions 400.00 -5,600.00 Dispositions -400.00 7,222.50 C46262E105 IPAYMENT INC COM STK Acquisitions 2,000.00 -37,896.36 Dispositions -450.00 11,047.78 C45031X204 ISTA PHARMACEUTICALS INC COM NEW Acquisitions 2,190.00 -20,805.00 Dispositions -330.00 2,761.97 C465741106 ITRON INC Acquisitions 5,100.00 -90,038.65 Dispositions -5,100.00 101,207.37 C46600W106 IXYS CORP DEL COM Acquisitions 1,800.00 -10,521.23 Dispositions -1,800.00 12,838.51 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 62 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- C466189107 J JILL GROUP INC COM Acquisitions 3,265.00 -45,316.66 Dispositions -3,265.00 41,084.19 C46625H100 J P MORGAN CHASE & CO COM Acquisitions 39,400.00 -1,034,554.79 Dispositions -39,100.00 1,126,731.07 Free Delivery -19,750.00 Free Receipt 19,750.00 C466313103 JABIL CIRCUIT INC COM Acquisitions 8,200.00 -166,604.66 Dispositions -16,300.00 409,501.77 Free Delivery -12,800.00 Free Receipt 12,800.00 C47012E106 JAKKS PAC INC COM Acquisitions 600.00 -7,710.00 Dispositions -1,900.00 26,795.39 C471109108 JARDEN CORP COM Acquisitions 3,900.00 -105,356.27 Dispositions -1,240.00 43,461.11 C46612J101 JDS UNIPHASE CORP COM ISIN US46612J1016 Acquisitions 25,200.00 -81,133.92 Dispositions -25,200.00 87,535.61 C478160104 JOHNSON & JOHNSON COM Acquisitions 25,175.00 -1,301,607.30 Dispositions -96,500.00 4,891,196.73 Free Delivery -8,200.00 Free Receipt 8,200.00 C480838101 JOS A BK CLOTHIERS INC COM Acquisitions 900.00 -35,780.40 Dispositions -130.00 4,864.97 C48203R104 JUNIPER NETWORKS INC COM Acquisitions 24,600.00 -301,877.22 Dispositions -15,200.00 160,793.92 C487836108 KELLOGG CO COM Acquisitions 11,700.00 -393,079.88 Dispositions -8,800.00 305,361.95 Free Delivery -9,500.00 Free Receipt 9,500.00 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 63 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- C488044108 KELLWOOD CO COM Acquisitions 1,560.00 -56,431.27 Dispositions -300.00 11,245.48 C492386107 KERR MCGEE CORP COM Acquisitions 16,600.00 -700,791.22 Free Delivery -7,100.00 Free Receipt 7,100.00 C492914106 KEY ENERGY SVCS INC Acquisitions 8,500.00 -84,540.45 Dispositions -1,700.00 16,398.22 C493267108 KEYCORP NEW COM Acquisitions 34,700.00 -924,876.26 Dispositions -22,500.00 599,658.66 C493596100 KEYSTONE PPTY TR COM Acquisitions 300.00 -5,037.68 Dispositions -1,300.00 25,325.34 C494368103 KIMBERLY-CLARK CORP COM Acquisitions 16,400.00 -796,380.39 Dispositions -13,700.00 683,807.94 Free Delivery -6,000.00 Free Receipt 6,000.00 C494580103 KINDRED HEALTHCARE INC COM STK Acquisitions 1,200.00 -58,547.31 Dispositions -230.00 11,417.60 C482480100 KLA-TENCOR CORP Acquisitions 5,500.00 -279,593.91 Dispositions -3,900.00 208,345.96 C499063105 KNIGHT TRADING GROUP INC CL A COM Acquisitions 11,000.00 -71,864.16 Dispositions -7,200.00 83,381.63 C499064103 KNIGHT TRANSN INC COM Acquisitions 2,000.00 -47,012.00 Dispositions -4,000.00 109,447.94 C500255104 KOHLS CORP COM Acquisitions 30,300.00 -1,578,202.88 Dispositions -90,000.00 4,797,060.09 Free Delivery -5,700.00 Free Receipt 5,700.00 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 64 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- C50075N104 KRAFT FOODS INC CL A Acquisitions 26,800.00 -795,071.71 Dispositions -10,400.00 340,677.10 C501577100 KYPHON INC COM Acquisitions 2,900.00 -60,299.68 Dispositions -5,110.00 79,483.38 C502424104 L-3 COMMUNICATIONS HLDG CORP COM Acquisitions 1,800.00 -79,134.17 Dispositions -1,100.00 50,406.63 C505401208 LABOR READY INC COM NEW Acquisitions 3,260.00 -21,764.35 Dispositions -4,110.00 26,497.40 C512815101 LAMAR ADVERTISING CO CL A COM Acquisitions 400.00 -12,497.44 Dispositions -1,600.00 54,144.72 C515098101 LANDSTAR SYS INC COM Acquisitions 700.00 -45,470.88 Dispositions -330.00 13,735.83 C518415104 LATTICE SEMICONDUCTOR CORP COM Acquisitions 7,000.00 -51,051.70 Dispositions -13,000.00 109,302.00 C518439104 LAUDER ESTEE COS INC CL A Acquisitions 1,800.00 -62,607.99 Dispositions -600.00 22,197.95 C501810105 LCC INTL INC CL A Acquisitions 9,900.00 -50,440.29 Dispositions -1,200.00 5,963.71 C524908100 LEHMAN BROS HLDGS INC COM Acquisitions 3,300.00 -216,344.25 Dispositions -13,500.00 865,950.56 C52886P104 LEXAR MEDIA INC COM Acquisitions 11,600.00 -54,671.06 Dispositions -11,600.00 63,995.64 C529771107 LEXMARK INTL INC NEW CL A Acquisitions 2,200.00 -154,745.93 Dispositions -2,200.00 147,033.19 C530718105 LIBERTY MEDIA CORP NEW COM SER A Acquisitions 27,200.00 -316,135.76 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 65 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Dispositions -96,169.00 975,254.35 Free Delivery -61,169.00 Free Receipt 61,169.00 C53219L109 LIFEPOINT HOSPS INC COM ISIN US53219L1098 Acquisitions 3,020.00 -71,500.14 Dispositions -4,560.00 109,476.61 C532774106 LIN TV CORP CL A Acquisitions 3,475.00 -76,933.21 Dispositions -975.00 22,354.94 C535679104 LINENS N THINGS INC COM Acquisitions 1,950.00 -44,123.19 Dispositions -3,650.00 94,684.77 C536252109 LIONBRIDGE TECHNOLOGIES INC COM Acquisitions 3,400.00 -20,740.00 Dispositions -3,400.00 34,728.32 C501889208 LKQ CORP COM Acquisitions 1,000.00 -13,000.00 Dispositions -1,000.00 16,449.22 C539830109 LOCKHEED MARTIN CORP COM Acquisitions 5,400.00 -249,263.96 Dispositions -22,200.00 1,078,345.91 C543442107 LOOKSMART LTD COM STK Acquisitions 8,500.00 -23,370.32 Dispositions -8,500.00 22,091.30 C548661107 LOWES COS INC COM Acquisitions 56,325.00 -2,656,920.80 Dispositions -18,225.00 881,253.83 Free Delivery -14,200.00 Free Receipt 14,200.00 C532716107 LTD BRANDS Acquisitions 23,600.00 -325,871.16 Dispositions -14,100.00 244,962.92 Free Delivery -23,600.00 Free Receipt 23,600.00 C55261F104 M & T BK CORP COM Acquisitions 800.00 -74,703.82 Dispositions -200.00 18,808.76 C556100105 MACROMEDIA INC COM NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 66 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Acquisitions 4,845.00 -95,602.31 Dispositions -4,395.00 87,299.44 C559775101 MAGUIRE PPTYS INC COM Acquisitions 1,840.00 -34,960.00 Dispositions -1,840.00 36,690.45 C564563104 MANTECH INTL CORP CL A Acquisitions 1,200.00 -16,583.17 Dispositions -1,820.00 35,433.03 C571748102 MARSH & MCLENNAN CO'S INC COM Acquisitions 23,600.00 -1,111,185.05 Dispositions -13,500.00 647,493.58 Free Delivery -11,000.00 Free Receipt 11,000.00 C57383M108 MARVEL ENTERPRISES INC COM STK Acquisitions 4,600.00 -73,329.71 Dispositions -1,200.00 33,474.86 CG5876H105 MARVELL TECH GROUP MARVELL TECH GROUP INC Acquisitions 9,600.00 -332,470.84 Dispositions -2,600.00 88,544.83 C577081102 MATTEL INC COM Acquisitions 3,850.00 -75,034.33 Dispositions -7,050.00 135,503.76 C57772K101 MAXIM INTEGRATED PRODS INC COM Acquisitions 8,175.00 -335,320.72 Dispositions -4,475.00 171,938.92 Free Delivery -9,000.00 Free Receipt 9,000.00 C577778103 MAY DEPT STORES CO COM Acquisitions 4,800.00 -93,231.36 Dispositions -4,500.00 114,690.62 C55262C100 MBIA INC COM Acquisitions 12,100.00 -514,427.19 Dispositions -12,100.00 685,808.69 C55262L100 MBNA CORP COM Acquisitions 86,850.00 -1,405,597.49 Dispositions -215,100.00 4,585,676.26 Free Delivery -23,800.00 Free Receipt 23,800.00 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 67 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- C580135101 MC DONALDS CORP COM Acquisitions 63,425.00 -1,239,008.03 Dispositions -48,691.00 876,936.62 Free Delivery -12,591.00 Free Receipt 12,591.00 C580031201 MCDATA CORP CL A Acquisitions 7,900.00 -98,331.81 Dispositions -7,900.00 77,157.52 C58155Q103 MCKESSON CORP Acquisitions 900.00 -31,054.48 Dispositions -900.00 29,029.79 C584690309 MEDICIS PHARMACEUTICAL CORP CL A NEW Acquisitions 1,000.00 -57,319.80 Dispositions -1,000.00 58,376.16 C584699102 MEDIMMUNE INC COM Acquisitions 26,000.00 -834,403.95 Dispositions -26,400.00 770,486.88 Free Delivery -1,300.00 Free Receipt 1,300.00 C585055106 MEDTRONIC INC COM Acquisitions 37,050.00 -1,738,710.48 Dispositions -4,750.00 224,181.22 Free Delivery -13,500.00 Free Receipt 13,500.00 C58551A108 MELLON FINL CORP COM Acquisitions 41,900.00 -1,023,375.13 Dispositions -32,000.00 888,099.68 Free Delivery -16,300.00 Free Receipt 16,300.00 C587200106 MENTOR GRAPHICS CORP COM Acquisitions 5,500.00 -58,998.55 Dispositions -5,500.00 94,445.83 C587376104 MERCANTILE BK CORP COM Acquisitions 1,200.00 -39,912.00 Dispositions -180.00 5,833.52 C589331107 MERCK & CO INC COM Acquisitions 28,800.00 -1,351,611.94 Dispositions -25,000.00 1,239,796.41 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 68 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- C589405109 MERCURY INTERACTIVE CORP COM Acquisitions 2,900.00 -123,428.01 Dispositions -2,900.00 131,588.51 Free Delivery -1,500.00 Free Receipt 1,500.00 C590188108 MERRILL LYNCH & CO INC COM Acquisitions 6,100.00 -321,076.01 Dispositions -25,386.00 1,111,650.58 C591097209 METAL MGMT INC COM NEW STK NEW Acquisitions 4,950.00 -104,756.23 Dispositions -1,070.00 23,714.06 C592688105 METTLER-TOLEDO INTL INC COM Acquisitions 2,000.00 -76,791.00 Dispositions -570.00 22,313.84 C552880106 MGI PHARMA INC COM Acquisitions 700.00 -28,633.28 Dispositions -200.00 7,719.87 C552848103 MGIC INVT CORP WIS COM Acquisitions 16,800.00 -686,612.11 Dispositions -8,100.00 441,645.76 C552953101 MGM MIRAGE COM Acquisitions 16,100.00 -429,822.00 Dispositions -16,100.00 584,697.74 C595017104 MICROCHIP TECH INC COM Acquisitions 35,800.00 -846,093.82 Dispositions -30,200.00 725,692.00 Free Delivery -19,800.00 Free Receipt 19,800.00 C594918104 MICROSOFT CORP COM Acquisitions 73,700.00 -2,069,890.52 Dispositions -40,700.00 1,181,040.70 Free Delivery -56,700.00 Free Receipt 56,700.00 C594972408 MICROSTRATEGY INC CL A NEW Acquisitions 1,135.00 -44,932.50 Dispositions -355.00 18,041.48 C608554200 MOLEX INC CL A Acquisitions 1,900.00 -43,927.34 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 69 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Dispositions -2,300.00 43,726.92 C60855R100 MOLINA HEALTHCARE INC COM Acquisitions 2,400.00 -53,705.99 Dispositions -700.00 17,769.75 C61166W101 MONSANTO CO NEW COM Acquisitions 1,186,332.00 -25,911,334.51 Dispositions -1,089,003.00 24,133,367.31 Free Delivery -2,097,155.00 Free Receipt 2,026,883.00 C999899602 MONSANTO PARTICIPANT LOANS Acquisitions 10,284,002.68 -10,284,002.68 Dispositions -8,929,720.87 8,929,720.87 C617446448 MORGAN STANLEY Acquisitions 49,700.00 -2,461,256.33 Dispositions -24,600.00 1,241,996.58 Free Delivery -19,100.00 Free Receipt 19,100.00 C619903107 MOTHERS WK INC COM Acquisitions 275.00 -8,596.50 Dispositions -1,175.00 30,951.17 C55377A106 MTC TECHNOLOGIES INC COM Acquisitions 820.00 -17,164.68 Dispositions -1,920.00 52,979.94 C62852P103 MYKROLIS CORP COM Acquisitions 5,650.00 -63,829.64 Dispositions -2,230.00 30,237.79 C63607P208 NATL FINL PARTNERS CORP COM Acquisitions 1,600.00 -36,800.00 Dispositions -1,600.00 42,114.34 C638904102 NAVIGATORS GROUP INC COM Acquisitions 400.00 -11,800.00 Dispositions -290.00 9,011.27 C62886E108 NCR CORP COM Acquisitions 2,700.00 -46,384.92 Dispositions -1,600.00 55,149.41 C640268108 NEKTAR THERAPEUTICS COM Acquisitions 3,400.00 -45,175.53 Dispositions -950.00 13,285.36 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 70 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- C64120L104 NETWORK APPLIANCE INC DEL Acquisitions 4,300.00 -73,317.82 Dispositions -11,100.00 223,522.47 C640938106 NETWORKS ASSOC INC COM STK Acquisitions 1,100.00 -20,959.30 Dispositions -1,100.00 13,515.61 C64124W106 NEUROBIOLOGICAL TECHNOLOGIES INC COM Acquisitions 3,500.00 -13,768.11 Dispositions -3,500.00 19,866.11 C64125C109 NEUROCRINE BIOSCIENCES INC COM Acquisitions 600.00 -31,770.59 Dispositions -300.00 15,527.26 C650111107 NEW YORK TIMES CO CL A ISIN #US6501111073 Acquisitions 200.00 -9,271.19 Dispositions -9,800.00 451,146.82 C651229106 NEWELL RUBBERMAID INC COM Acquisitions 46,000.00 -1,276,080.09 Dispositions -58,000.00 1,265,578.08 Free Delivery -10,500.00 Free Receipt 10,500.00 C65333F107 NEXTEL PARTNERS INC CL A Acquisitions 6,500.00 -35,836.80 Dispositions -12,500.00 101,314.49 C654106103 NIKE INC CL B Acquisitions 12,800.00 -682,788.31 Dispositions -5,900.00 308,149.56 Free Delivery -5,800.00 Free Receipt 5,800.00 CG65422100 NOBLE CORPORATION COM Acquisitions 19,300.00 -667,072.68 Dispositions -11,800.00 410,086.99 C670002104 NOVAVAX INC COM Acquisitions 2,600.00 -7,556.81 Dispositions -5,600.00 23,384.31 C670006105 NOVELL INC COM Acquisitions 37,800.00 -279,222.82 Dispositions -16,900.00 84,591.51 C670008101 NOVELLUS SYS INC COM NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 71 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Acquisitions 2,600.00 -82,151.51 Dispositions -11,600.00 460,156.89 C62936P103 NPS PHARMACEUTICALS INC COM Acquisitions 2,500.00 -55,046.25 Dispositions -780.00 21,590.37 C628916108 NS GROUP INC COM Acquisitions 5,900.00 -42,900.94 Dispositions -3,000.00 20,005.88 C629445206 NVE CORP COM NEW Acquisitions 700.00 -28,342.41 Dispositions -200.00 9,553.79 C674599105 OCCIDENTAL PETE CORP COM Acquisitions 16,200.00 -472,333.95 Dispositions -7,100.00 225,263.71 Free Delivery -9,500.00 Free Receipt 9,500.00 C67611V101 ODYSSEY HEALTHCARE INC COM Acquisitions 1,625.00 -37,924.74 Dispositions -2,960.00 102,398.62 C677240103 OH CAS CORP COM Acquisitions 3,700.00 -47,004.91 Dispositions -3,700.00 51,454.87 CY6476W104 OMI CORP NEW COM Acquisitions 5,400.00 -26,237.54 Dispositions -5,400.00 34,095.44 C681919106 OMNICOM GROUP INC COM Acquisitions 1,500.00 -86,402.54 Dispositions -4,800.00 367,944.90 C682128103 OMNIVISION TECHNOLOGIES INC COM Acquisitions 2,500.00 -49,611.27 Dispositions -2,500.00 63,697.01 C682189105 ON SEMICONDUCTOR CORP COM Acquisitions 17,000.00 -82,056.27 Dispositions -4,500.00 21,562.98 C68273G101 ONLINE RES CORP COM Acquisitions 5,500.00 -33,679.97 Dispositions -2,300.00 15,117.95 C683399109 ONYX PHARMACEUTICALS INC DEL COM NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 72 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Acquisitions 4,800.00 -66,846.66 Dispositions -2,800.00 59,286.44 C68371P102 OPEN SOLUTIONS INC COM STK Acquisitions 800.00 -13,600.00 Dispositions -800.00 15,031.10 C68389X105 ORACLE CORP COM Acquisitions 154,900.00 -1,928,059.67 Dispositions -66,400.00 825,433.08 Free Delivery -81,600.00 Free Receipt 81,600.00 C688239201 OSHKOSH TRUCK CORP COM Acquisitions 600.00 -35,248.98 Dispositions -1,600.00 89,759.07 C690310107 OVERLAND STORAGE INC COM Acquisitions 5,200.00 -104,029.52 Dispositions -1,170.00 22,278.33 C690322102 OVERNITE CORP COM Acquisitions 3,050.00 -58,791.25 Dispositions -490.00 10,433.32 CG6797E106 O2 MICRO INTL O2 MICRO INTL LTD COM STK Acquisitions 2,600.00 -27,208.25 Dispositions -1,330.00 28,466.26 C693149106 P A M TRANSN SVCS INC COM Acquisitions 1,800.00 -39,977.59 Dispositions -2,700.00 53,508.39 C703481101 PATTERSON-UTI ENERGY INC COM Acquisitions 1,400.00 -44,091.36 Dispositions -4,800.00 151,752.78 C704326107 PAYCHEX INC COM Acquisitions 5,700.00 -156,223.16 Dispositions -5,700.00 210,435.82 C705560100 PEETS COFFEE & TEA INC COM Acquisitions 4,500.00 -70,134.49 Dispositions -2,800.00 51,630.95 C707051108 PENFORD CORP COM Acquisitions 1,585.00 -18,760.76 Dispositions -685.00 8,320.68 C709754105 PENWEST PHARMACEUTICALS CO COM NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 73 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Acquisitions 3,300.00 -74,082.39 Dispositions -810.00 14,113.12 C712713106 PEOPLESOFT INC COM Acquisitions 13,500.00 -272,433.05 Dispositions -21,600.00 346,360.56 C713409100 PEPSI BOTTLING GROUP INC COM STK ISIN US7134091005 Acquisitions 17,800.00 -459,515.61 Dispositions -47,000.00 984,801.04 Free Delivery -13,000.00 Free Receipt 13,000.00 C713448108 PEPSICO INC COM Acquisitions 54,500.00 -2,460,626.30 Dispositions -8,450.00 391,587.10 Free Delivery -11,200.00 Free Receipt 11,200.00 C713569309 PER-SE TECHNOLOGIES INC COM NEW Acquisitions 5,340.00 -51,317.78 Dispositions -8,210.00 105,196.51 C713755106 PERFORMANCE FOOD GROUP CO COM Acquisitions 2,800.00 -89,297.12 Dispositions -3,590.00 137,380.83 C717081103 PFIZER INC COM STK $.11 1/9 PAR Acquisitions 215,569.00 -6,943,138.18 Dispositions -1,684,256.60 55,166,826.77 Free Delivery -697,532.00 Free Receipt 12,676,952.60 C71902E109 PHOENIX COS INC NEW COM Acquisitions 6,000.00 -58,005.90 Dispositions -6,000.00 67,383.81 C719364101 PHOTON DYNAMICS INC COM Acquisitions 1,250.00 -41,726.68 Dispositions -1,250.00 47,354.87 C720279108 PIER 1 IMPORTS INC COM Acquisitions 6,800.00 -133,053.38 Dispositions -6,800.00 133,039.07 Free Delivery -6,600.00 Free Receipt 6,600.00 C723481107 PINNACLE SYS INC COM NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 74 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Acquisitions 8,000.00 -89,393.50 Dispositions -8,000.00 72,842.80 C724479100 PITNEY BOWES INC COM Acquisitions 6,000.00 -201,052.20 Free Delivery -6,000.00 Free Receipt 6,000.00 C693475105 PNC FINANCIAL SERVICES GROUP COM STK Acquisitions 4,100.00 -184,705.00 Dispositions -10,300.00 440,010.96 Free Delivery -4,800.00 Free Receipt 4,800.00 C732813100 POORE BROS INC COM Acquisitions 3,500.00 -16,240.00 Dispositions -3,500.00 17,376.68 C732827100 POPE & TALBOT INC COM Acquisitions 1,400.00 -17,505.60 Dispositions -1,400.00 16,234.32 C73640Q105 PORTFOLIO RECOVERY ASSOCS INC COM Acquisitions 900.00 -18,166.28 Dispositions -2,600.00 59,517.53 C742718109 PROCTER & GAMBLE CO COM Acquisitions 21,400.00 -1,942,118.39 Dispositions -6,200.00 551,413.59 Free Delivery -5,900.00 Free Receipt 5,900.00 C743187106 PROGENICS PHARMACEUTICALS INC COM Acquisitions 900.00 -13,427.60 Dispositions -140.00 2,246.89 C743315103 PROGRESSIVE CORP OH COM Acquisitions 12,900.00 -746,377.55 Dispositions -4,300.00 323,130.28 C74369L103 PROTEIN DESIGN LABS INC COM Acquisitions 1,400.00 -20,827.66 Dispositions -5,400.00 55,089.94 C744573106 PUB SERVICE ENTERPRISE GROUP INC COM Acquisitions 6,900.00 -249,306.66 Dispositions -14,800.00 513,527.98 Free Delivery -6,900.00 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 75 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Free Receipt 6,900.00 C101121AA9 PVTPL BSTN PPTYS INC BSTN PROPS 5.625 DUE 04-15-2015/04-14-2015 BEO Acquisitions 150,000.00 -149,847.00 Free Delivery -150,000.00 C10112RAA2 PVTPL BSTN PPTYS LTD PARTNERSHIP SR NT 144A 6.25 DUE 01-15-2013/01-14-2013 BEO Acquisitions 175,000.00 -175,613.50 Free Delivery -175,000.00 C747277101 QLOGIC CORP COM Acquisitions 800.00 -32,260.08 Dispositions -800.00 41,828.31 C747525103 QUALCOMM INC COM Acquisitions 10,050.00 -419,783.92 Dispositions -16,150.00 611,599.27 C74834L100 QUEST DIAGNOSTICS INC COM Acquisitions 600.00 -40,406.98 Dispositions -900.00 56,440.81 C74834T103 QUEST SOFTWARE INC COM ISIN US74834T1034 Acquisitions 3,500.00 -42,692.30 Dispositions -3,500.00 47,627.08 C74837R104 QUICKSILVER RES INC COM Acquisitions 600.00 -12,068.04 Dispositions -1,200.00 28,875.53 C75040P405 RADIO 1 INC CL D NON VTG Acquisitions 3,500.00 -58,348.75 Dispositions -1,000.00 15,522.28 CM81873107 RADWARE LTD COM STK Acquisitions 7,700.00 -122,278.26 Dispositions -3,250.00 63,294.16 C755081106 RAYOVAC CORP COM Acquisitions 3,500.00 -43,829.88 Dispositions -3,500.00 58,310.56 C755111507 RAYTHEON CO COM NEW Acquisitions 4,300.00 -129,079.10 Dispositions -33,600.00 991,447.63 Free Delivery -8,900.00 Free Receipt 8,900.00 C756577102 RED HAT INC COM Acquisitions 5,000.00 -40,673.50 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 76 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Dispositions -1,450.00 18,335.63 C75689M101 RED ROBIN GOURMET BURGERS INC COM Acquisitions 1,410.00 -17,147.60 Dispositions -1,410.00 29,589.43 C758075402 REDWOOD TR INC COM Acquisitions 1,100.00 -47,852.89 Dispositions -1,020.00 51,541.15 C758932107 REGIS CORP MINN COM Acquisitions 3,210.00 -106,782.79 Dispositions -810.00 30,237.07 C749941100 RF MICRO DEVICES INC COM Acquisitions 4,400.00 -28,084.83 Dispositions -4,400.00 21,791.08 C749607107 RLI CORP COM Acquisitions 1,000.00 -28,040.00 Dispositions -1,900.00 54,815.45 C775371107 ROHM & HAAS CO COM Acquisitions 9,500.00 -293,238.53 Dispositions -13,900.00 388,941.78 Free Delivery -3,900.00 Free Receipt 3,900.00 C776696106 ROPER INDS INC NEW COM Acquisitions 2,330.00 -99,450.00 Dispositions -580.00 28,062.08 C780008108 ROXIO INC COM Acquisitions 5,900.00 -62,036.96 Dispositions -5,900.00 25,027.17 C780257804 ROYAL DUTCH PETRO N.Y REGISTRY SH PAR N 1.25 GLDR Acquisitions 9,300.00 -417,105.00 Dispositions -19,900.00 856,860.67 Free Delivery -9,300.00 Free Receipt 9,300.00 C781270103 RUDOPLH TECHNOLOGIES INC COM Acquisitions 1,500.00 -34,882.90 Dispositions -280.00 6,453.69 C795435106 SALIX PHARMACEUTICALS LTD COM DE Acquisitions 2,900.00 -15,625.43 Dispositions -2,900.00 29,034.73 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 77 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- C800363103 SANDY SPRING BANCORP INC CMT-COM Acquisitions 1,500.00 -49,228.50 Dispositions -1,500.00 55,761.33 C803062108 SAPIENT CORP COM Acquisitions 22,400.00 -51,403.26 Dispositions -22,400.00 94,860.21 C80556P302 SAXON CAP INC COM Acquisitions 7,600.00 -111,529.28 Dispositions -7,600.00 123,034.04 C78387G103 SBC COMMUNICATIONS INC COM Acquisitions 15,100.00 -357,281.20 Dispositions -12,200.00 363,104.20 Free Delivery -8,800.00 Free Receipt 8,800.00 C806605101 SCHERING-PLOUGH CORP COM Acquisitions 38,300.00 -644,352.30 Dispositions -38,600.00 678,103.29 Free Delivery -11,300.00 Free Receipt 11,300.00 C806857108 SCHLUMBERGER LTD COM STK Acquisitions 4,000.00 -209,415.97 Dispositions -3,200.00 132,096.21 C806882106 SCHNITZER STL INDS INC CL A Acquisitions 2,585.00 -97,707.02 Dispositions -3,020.00 124,354.31 C807066105 SCHOLASTIC CORP COM Acquisitions 2,100.00 -66,210.62 Dispositions -4,050.00 118,312.43 C811054204 SCRIPPS E.W INC NEW CL A COM Acquisitions 7,500.00 -582,384.63 Dispositions -1,000.00 88,220.32 Free Delivery -600.00 Free Receipt 600.00 C812387108 SEARS ROEBUCK & CO COM Acquisitions 5,900.00 -129,113.83 Dispositions -37,849.00 884,895.59 Free Delivery -14,749.00 Free Receipt 14,749.00 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 78 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- C81616X103 SELECT COMFORT CORP OC-CAP STK Acquisitions 10,800.00 -115,966.65 Dispositions -6,360.00 140,902.40 C816850101 SEMTECH CORP Acquisitions 3,500.00 -50,805.65 Dispositions -1,100.00 24,349.36 C81760N109 SERVICEMASTER CO COM Acquisitions 37,900.00 -406,861.99 Dispositions -41,000.00 383,477.93 C825549108 SHUFFLE MASTER INC COM Acquisitions 300.00 -5,311.89 Dispositions -1,500.00 33,097.64 C826516106 SIERRA WIRELESS INC COM STK Acquisitions 4,350.00 -77,403.75 Dispositions -740.00 15,628.06 CG81477104 SINA CORPORATION COM STK USD0.133 Acquisitions 3,000.00 -34,265.40 Dispositions -1,560.00 54,802.95 C83088M102 SKYWORKS SOLUTIONS INC COM Acquisitions 3,700.00 -24,363.02 Dispositions -9,700.00 51,694.87 C78442P106 SLM CORP COM Acquisitions 28,700.00 -1,502,511.09 Dispositions -18,500.00 846,531.95 Free Delivery -6,900.00 Free Receipt 6,900.00 C832110100 SMITH INTL INC COM Acquisitions 1,500.00 -56,281.46 Dispositions -2,300.00 87,954.00 C83408W103 SOHU COM INC COM Acquisitions 2,000.00 -32,859.33 Dispositions -630.00 20,397.23 C834376105 SOLUTIA INC COM STK Dispositions -125,665.00 316,609.00 Free Delivery -55,723.00 Free Receipt 28,707.00 C845467109 SOUTHWESTN ENERGY CO COM Acquisitions 2,000.00 -23,919.76 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 79 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Dispositions -650.00 11,673.44 C846425882 SPANISH BROADCASTING SYS INC CL A COM STK Acquisitions 7,000.00 -68,478.57 Dispositions -900.00 8,432.60 C848934105 SPORTSLINE.COM INC COM Acquisitions 8,400.00 -12,722.80 Dispositions -8,400.00 9,119.14 C784635104 SPX CORP COM Acquisitions 700.00 -28,573.65 Dispositions -1,300.00 67,408.42 C790849103 ST JUDE MED INC COM Acquisitions 16,400.00 -923,069.33 Dispositions -6,425.00 338,087.92 C857477103 ST STR CORP COM Acquisitions 10,100.00 -491,971.36 Dispositions -3,100.00 125,233.88 C855030102 STAPLES INC COM Acquisitions 5,500.00 -129,206.96 Dispositions -5,500.00 132,428.29 Free Delivery -5,500.00 Free Receipt 5,500.00 C855244109 STARBUCKS CORP COM Acquisitions 24,700.00 -680,848.32 Dispositions -7,900.00 223,849.23 C85590A203 STARWOOD HOTELS & RESORTS WORLDWIDE INC PAIRED CTF 1 B SH BEN INT STARWOOD REIT Acquisitions 9,100.00 -221,255.67 Dispositions -12,500.00 348,987.78 Free Delivery -8,100.00 Free Receipt 8,100.00 C857873103 STEAK N SHAKE CO COM Acquisitions 1,580.00 -17,438.46 Dispositions -1,580.00 23,523.74 C862685104 STRATASYS INC COM Acquisitions 3,375.00 -83,917.75 Dispositions -2,155.00 82,515.35 C863667101 STRYKER CORP COM Acquisitions 7,700.00 -572,202.18 Dispositions -1,200.00 89,143.90 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 80 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- C867363103 SUNGARD DATA SYS INC COM Acquisitions 2,500.00 -56,906.55 Dispositions -3,000.00 79,923.83 C867931107 SUPERCONDUCTOR TECHNOLOGIES INC COM Acquisitions 15,100.00 -81,160.19 Dispositions -8,400.00 46,975.40 C868587106 SUPPORT SOFT INC Acquisitions 4,500.00 -39,631.36 Dispositions -1,600.00 20,643.71 C871503108 SYMANTEC CORP COM Acquisitions 21,900.00 -1,008,561.55 Dispositions -11,600.00 626,107.88 C871829107 SYSCO CORP COM Acquisitions 18,500.00 -575,759.51 Dispositions -20,400.00 670,895.85 Free Delivery -8,400.00 Free Receipt 8,400.00 C872443403 T-HQ INC COM NEW Acquisitions 2,700.00 -47,453.80 Dispositions -4,800.00 73,510.92 C874054109 TAKE-TWO INTERACTIVE SOFTWARE INC CDT-COM Acquisitions 2,500.00 -52,554.75 Dispositions -4,260.00 124,070.37 C87588Q109 TANOX INC COM STK Acquisitions 1,400.00 -12,173.46 Dispositions -690.00 9,322.95 C87612E106 TARGET CORP COM Acquisitions 33,500.00 -1,276,781.07 Dispositions -9,100.00 305,415.96 C872275102 TCF FNCL CORP COM Acquisitions 700.00 -26,551.70 Dispositions -2,000.00 82,486.93 C886547108 TIFFANY & CO COM Acquisitions 1,900.00 -60,819.20 Dispositions -2,100.00 60,765.33 C872540109 TJX COS INC COM NEW Acquisitions 31,200.00 -664,779.66 Dispositions -2,200.00 42,481.59 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 81 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- C890333107 TOO INC COM STK Acquisitions 180.00 -2,737.10 Dispositions -2,830.00 50,809.38 C89531P105 TREX INC COM Acquisitions 3,300.00 -113,494.93 Dispositions -1,020.00 37,653.12 C895925105 TRIAD GTY INC Acquisitions 1,300.00 -55,771.06 Dispositions -370.00 17,797.86 C89579K109 TRIAD HOSPS INC COM Acquisitions 1,300.00 -32,512.95 Dispositions -3,600.00 82,554.57 C896047107 TRIBUNE CO COM Acquisitions 6,100.00 -291,303.35 Dispositions -2,800.00 132,898.57 C895919108 TRIDENT MICROSYSTEMS INC COM Acquisitions 5,700.00 -97,850.81 Dispositions -3,360.00 71,061.31 C882508104 TX INSTRS INC COM Acquisitions 63,300.00 -1,402,019.61 Dispositions -74,700.00 1,357,905.61 Free Delivery -18,300.00 Free Receipt 18,300.00 C90262T308 UCBH HLDGS INC COM Acquisitions 1,050.00 -45,791.66 Dispositions -2,720.00 86,574.72 C903914109 ULTRA PETE CORP COM NPV Acquisitions 2,210.00 -22,664.90 Dispositions -4,400.00 79,854.11 C911312106 UNITED PARCEL SVC INC CL B Acquisitions 5,400.00 -347,887.22 Dispositions -1,100.00 68,086.81 C912828AF7 UNITED STATES TREAS NTS BD INFLATION INDEXED 3 DUE 07-15-2012 REG Acquisitions 50,000.00 -54,853.98 Dispositions -440,000.00 483,127.66 C914906102 UNIVISION COMMUNICATIONS INC CL A Acquisitions 2,400.00 -73,387.30 Dispositions -3,200.00 103,692.62 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 82 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- C91529B106 UNOVA INC COM Acquisitions 2,580.00 -56,302.11 Dispositions -11,580.00 177,021.40 C913903100 UNVL HEALTH SERVICES INC CL B COM Acquisitions 1,100.00 -43,966.06 Dispositions -12,500.00 559,583.03 C902973304 US BANCORP Acquisitions 26,900.00 -590,305.27 Dispositions -4,700.00 126,834.83 Free Delivery -22,600.00 Free Receipt 22,600.00 C911163103 UTD NAT FOODS INC COM Acquisitions 450.00 -11,554.65 Dispositions -1,350.00 48,381.94 C911301109 UTD PANAM FINL CORP COM Acquisitions 8,275.00 -113,918.14 Dispositions -2,305.00 36,816.40 C913017109 UTD TECHNOLOGIES CORP COM Acquisitions 10,650.00 -837,450.29 Dispositions -18,650.00 1,243,235.93 Free Delivery -9,200.00 Free Receipt 9,200.00 C91307C102 UTD THERAPEUTICS CORP DEL COM STK Acquisitions 2,600.00 -59,170.34 Dispositions -1,180.00 23,830.55 CG87210103 UTI WORLDWIDE INC ORD NPV Acquisitions 700.00 -18,875.52 Dispositions -1,620.00 53,986.60 C918076100 UTSTARCOM INC COM Acquisitions 600.00 -11,290.92 Dispositions -5,350.00 189,379.44 C920355104 VALSPAR CORP COM Acquisitions 550.00 -25,779.97 Dispositions -150.00 7,317.14 C92046N102 VALUECLICK INC COM STK ISIN#US92046N1028 Acquisitions 5,100.00 -18,051.45 Dispositions -5,100.00 20,132.48 C921930103 VANS INC COM NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 83 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Acquisitions 5,400.00 -29,259.47 Dispositions -3,050.00 33,229.87 C92220P105 VARIAN MED SYS INC COM ISIN #US9222091057 Acquisitions 1,300.00 -70,539.53 Dispositions -1,400.00 82,411.07 C918194101 VCA ANTECH INC COM STK Acquisitions 1,400.00 -21,350.00 Dispositions -2,030.00 54,985.76 C922417100 VEECO INSTRS INC DEL COM Acquisitions 3,000.00 -46,448.25 Dispositions -3,000.00 57,898.00 C923436109 VERITAS SOFTWARE CORP COM Acquisitions 35,300.00 -1,076,008.93 Dispositions -9,800.00 287,273.12 C92343V104 VERIZON COMMUNICATIONS COM Acquisitions 16,400.00 -565,968.36 Dispositions -34,300.00 1,387,888.16 Free Delivery -6,300.00 Free Receipt 6,300.00 C925524308 VIACOM COM CL B Acquisitions 32,300.00 -1,296,247.97 Dispositions -16,500.00 682,623.67 Free Delivery -6,200.00 Free Receipt 6,200.00 C926471103 VICURON PHARMACEUTICALS INC COM Acquisitions 3,600.00 -51,044.13 Dispositions -1,050.00 18,802.62 C92763R104 VIRAGE LOGIC CORP COM Acquisitions 1,500.00 -7,431.00 Dispositions -3,700.00 15,668.76 C92839Y109 VISTACARE INC CL A COM Acquisitions 1,500.00 -29,395.16 Dispositions -2,480.00 57,806.02 C954235107 W MARINE INC Acquisitions 5,700.00 -96,220.82 Dispositions -2,190.00 47,373.53 C931142103 WAL-MART STORES INC COM Acquisitions 19,500.00 -1,066,026.72 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 84 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Dispositions -21,800.00 1,190,040.45 Free Delivery -17,800.00 Free Receipt 17,800.00 C931422109 WALGREEN CO COM Acquisitions 24,100.00 -782,864.18 Dispositions -46,800.00 1,498,687.60 Free Delivery -4,300.00 Free Receipt 4,300.00 C942683103 WATSON PHARMACEUTICALS INC COM Acquisitions 3,500.00 -138,308.93 Dispositions -3,500.00 145,222.33 Free Delivery -3,300.00 Free Receipt 3,300.00 CG95089101 WEATHERFORD INTL LTD Acquisitions 8,200.00 -332,738.67 Dispositions -1,500.00 55,424.81 C947684106 WEBSENSE INC COM STK ISIN# US9476841062 Acquisitions 600.00 -8,155.00 Dispositions -1,400.00 25,592.61 C94973H108 WELLPOINT HLTH NETWORKS INC CL A (NEW) DELAW EFF 8-4-97 Acquisitions 9,400.00 -673,189.74 Dispositions -7,100.00 594,618.04 C949746101 WELLS FARGO & CO NEW COM STK Acquisitions 23,700.00 -1,221,215.28 Dispositions -1,400.00 66,139.18 Free Delivery -6,400.00 Free Receipt 6,400.00 C959522103 WESTN SIERRA BANCORP COM Acquisitions 1,200.00 -39,046.33 Dispositions -274.75 10,467.55 C961815107 WESTWOOD 1 INC COM Acquisitions 26,500.00 -837,566.28 Dispositions -4,900.00 158,523.39 C961840105 WET SEAL INC CL A Acquisitions 9,350.00 -97,531.94 Dispositions -9,350.00 94,990.37 C962166104 WEYERHAEUSER CO COM Acquisitions 8,600.00 -457,233.04 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 85 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- Dispositions -15,100.00 835,280.81 C966387102 WHITING PETE CORP NEW COM STK Acquisitions 2,200.00 -34,100.00 Dispositions -400.00 6,667.68 C969904101 WILLIAMS SONOMA INC COM Acquisitions 1,800.00 -51,132.24 Dispositions -1,600.00 45,690.86 CG96655108 WILLIS GROUP HOLDINGS COM Acquisitions 1,400.00 -37,500.35 Dispositions -3,200.00 97,958.62 C972232102 WILSON GREATBATCH TECHNOLOGIES INC COM Acquisitions 2,180.00 -62,197.33 Dispositions -680.00 25,721.19 C97650W108 WINTRUST FINL CORP COM Acquisitions 425.00 -13,451.25 Dispositions -790.00 31,959.24 C98235T107 WRIGHT MED GROUP INC COM Acquisitions 3,200.00 -67,220.23 Dispositions -900.00 23,992.50 C982526105 WRIGLEY WM JR CO CAP Acquisitions 5,500.00 304,568.33 Dispositions -7,500.00 415,236.16 C983024100 WYETH COM Acquisitions 54,400.00 -2,253,043.99 Dispositions -55,125.00 2,339,810.36 Free Delivery -10,700.00 Free Receipt 10,700.00 C983919101 XILINX INC COM Acquisitions 1,300.00 -29,844.88 Dispositions -1,300.00 32,521.51 CG98255105 XL CAP LTD SHS A Acquisitions 15,050.00 -1,150,946.94 Dispositions -4,350.00 355,052.63 Free Delivery -5,800.00 Free Receipt 5,800.00 C98385X106 XTO ENERGY INC COM Acquisitions 2,300.00 -47,561.19 Dispositions -3,933.33 92,386.78 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 86 5500 SUPPLEMENTAL SCHEDULES 01 JAN 03 - 31 DEC 03 * Schedule of Acquisitions & Dispositions Cost of Proceeds of Asset ID Security Description Transaction Shares/Par Acquisitions Dispositions ----------------------------------------------------------------------------------------------------------------------------------- C989390109 ZENITH NATL INS CORP COM Acquisitions 2,200.00 -61,668.16 Dispositions -640.00 19,315.68 C98956P102 ZIMMER HLDGS INC COM Acquisitions 10,500.00 -529,576.89 Dispositions -11,500.00 610,568.04 Free Delivery -9,000.00 Free Receipt 9,000.00 C989701107 ZIONS BANCORP COM Acquisitions 600.00 -37,223.87 Dispositions -100.00 6,099.71 C989922109 ZOLL MED CORP COM Acquisitions 3,395.00 -111,626.57 Dispositions -2,455.00 78,665.40 C98975F101 ZORAN CORP COM Dispositions -2,190.04 39,454.01 Free Receipt 590.04 C336453105 1ST ST BANCORPORATION COM Acquisitions 1,000.00 -27,795.00 Dispositions -850.00 22,294.12 C88579Y101 3M CO COM Acquisitions 6,725.00 -731,273.71 Dispositions -15,525.00 1,440,522.56 Free Delivery -11,800.00 Free Receipt 11,800.00 C350865101 4 KIDS ENTMT INC COM Acquisitions 1,400.00 -31,500.00 Dispositions -210.00 5,537.44 C65440K106 99 CENTS ONLY STORES COM Acquisitions 1,730.00 -51,659.54 Dispositions -340.00 9,203.36 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 87 MONSANTO SAVINGS AND INVESTMENT PLAN SUPPLEMENTAL SCHEDULE 3 ---------------------------------------------------------------------------- SCHEDULE OF REPORTABLE TRANSACTIONS FOR THE PLAN YEAR ENDED DEC. 31, 2003 88 5500 SUPPLEMENTAL SCHEDULES 1 JAN 03 - 31 DEC 03 * 5% Report - Part A Single Transaction in Excess of 5% =================================================================================================================================== Purchase Security Description / Asset ID Shares/Par Value Date Price Sale Price ----------------------------------------------------------------------------------------------------------------------------------- =================================================================================================================================== Lease Expenses Current Value on Rental Incurred Cost Transaction Date Net Gain/Loss ----------------------------------------------------------------------------------------------------------------------------------- THERE ARE NO REPORTABLE TRANSACTIONS NOTE: TRANSACTIONS ARE BASED ON THE 2002-12-31 VALUE (INCLUDING ACCRUALS) OF 1,370,298,109.00 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 89 5500 SUPPLEMENTAL SCHEDULES 1 JAN 03 - 31 DEC 03 * 5% Report - Part B Series of Non-Security Transactions with Same Party in Excess of 5% =================================================================================================================================== Purchase Security Description / Asset ID Shares/Par Value Date Price Sale Price ----------------------------------------------------------------------------------------------------------------------------------- =================================================================================================================================== Lease Expenses Current Value on Rental Incurred Cost Transaction Date Net Gain/Loss ----------------------------------------------------------------------------------------------------------------------------------- THERE ARE NO REPORTABLE TRANSACTIONS NOTE: TRANSACTIONS ARE BASED ON THE 2002-12-31 VALUE (INCLUDING ACCRUALS) OF 1,370,298,109.00 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 90 5500 SUPPLEMENTAL SCHEDULES 1 JAN 03 - 31 DEC 03 * 5% Report - Part C Summary Series of Transactions by Issue in Excess of 5% =================================================================================================================================== Number of ________Transaction Aggregate_________ Security Description / Asset ID Transactions Purchase Price Sale Price ----------------------------------------------------------------------------------------------------------------------------------- COLTV STIF CUSIP: 195997KR1 Total purchases 1,263 334,715,168.09 0.00 Total sales 1,804 0.00 329,442,973.48 MFO FFTW FDS INC U S SHORT-TERM PORTFOLIO CUSIP: Total purchases 61 68,783,604.35 0.00 30242R105 Total sales 116 0.00 69,950,000.00 =================================================================================================================================== Lease Expenses Current Value of Asset Rental Incurred Cost of Asset on Transaction ----------------------------------------------------------------------------------------------------------------------------------- 0.00 334,715,168.09 334,715,168.09 0.00 329,442,973.48 329,442,973.48 0.00 68,783,604.35 68,783,604.35 0.00 70,181,394.00 69,950,000.00 NOTE: TRANSACTIONS ARE BASED ON THE 2002-12-31 VALUE (INCLUDING ACCRUALS) OF 1,370,298,109.00 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 91 5500 SUPPLEMENTAL SCHEDULES 1 JAN 03 - 31 DEC 03 * 5% Report - Part D Series of Transactions with Same Party in Excess of 5% =================================================================================================================================== Purchase Security Description / Asset ID Shares/Par Value Date Price Sale Price ----------------------------------------------------------------------------------------------------------------------------------- =================================================================================================================================== Lease Expenses Current Value on Rental Incurred Cost Transaction Date Net Gain/Loss ----------------------------------------------------------------------------------------------------------------------------------- THERE ARE NO REPORTABLE TRANSACTIONS NOTE: TRANSACTIONS ARE BASED ON THE 2002-12-31 VALUE (INCLUDING ACCRUALS) OF 1,370,298,109.00 NORTHERN TRUST Generated by Northern Trust from periodic data on 18 May 04 92 SIGNATURE Pursuant to the requirements of the Securities Exchange Act of 1934, the trustees (or other persons who administer the employee benefit plan) have duly caused this annual report to be signed on its behalf by the undersigned hereunto duly authorized. MONSANTO SAVINGS AND INVESTMENT PLAN By: /s/ WILMA K. SCHOPP -------------------------------------------------- Wilma K. Schopp, Chairperson of the Monsanto Company Employee Benefits Plan Committee, Administrator of the Plan June 1, 2004 93 EXHIBIT INDEX Exhibit Number Description ------ ----------- 23 Consent of Independent Registered Public Accounting Firm 94