Washington, D.C. 20549 FORM 11-K |
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[X] ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 For the fiscal year ended December 31, 2002 OR [ ] TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
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Commission File Number 1-8841 |
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FPL Group Employee Thrift Plan |
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(Name of issuer of the securities held pursuant to the plan) |
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Juno Beach, Florida 33408 (Address of principal executive office) |
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Certified Public Accountants |
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December 31, |
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2002 |
2001 |
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|
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Accrued interest receivable - Leveraged ESOP Account |
$ |
301 |
$ |
469 |
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General investments |
735,932,313 |
807,167,851 |
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Employer securities held in the Master Trust |
345,908,289 |
333,733,512 |
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Leveraged ESOP employer securities |
271,828,316 |
278,867,244 |
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Total employer securities |
617,736,605 |
612,600,756 |
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Total |
1,353,669,219 |
1,419,769,076 |
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|||||||
Interest payable - Leveraged ESOP Account |
610,346 |
655,090 |
|||||
Acquisition indebtedness of Leveraged ESOP |
188,961,508 |
204,050,750 |
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Total |
189,571,854 |
204,705,840 |
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NET ASSETS AVAILABLE FOR BENEFITS |
$ |
1,164,097,365 |
$ |
1,215,063,236 |
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Year Ended December 31, 2002 |
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|
|||||||||
Contributions: |
|||||||||
Received from Participants |
$ |
39,842,494 |
|||||||
Noncash contributions (from employer) |
16,663,086 |
||||||||
Total contributions |
$ |
56,505,580 |
|||||||
|
|||||||||
Interest: |
|||||||||
Interest-bearing cash |
190,729 |
||||||||
Other loans (Participant loans) |
1,649,737 |
||||||||
Total interest |
1,840,466 |
||||||||
Net appreciation (depreciation) in fair value of investments: |
|||||||||
Master trust |
47,768,369 |
||||||||
Registered investment companies |
(100,138,983 |
) |
|||||||
Total net depreciation in fair value of investments |
(52,370,614 |
) |
|||||||
Total |
5,975,432 |
||||||||
|
|||||||||
Benefit payments to Participants or beneficiaries |
65,720,325 |
||||||||
Corrective distributions |
898 |
||||||||
Deemed distributions of Participant loans |
(67,679 |
) |
|||||||
Administrative expenses |
160,106 |
||||||||
Total |
65,813,650 |
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|
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Transfers to the Plan - net |
777,457 |
||||||||
Effect of current year Leveraged ESOP activity |
8,094,890 |
||||||||
Total transfers to the Plan |
8,872,347 |
||||||||
NET ASSETS AVAILABLE FOR BENEFITS AT DECEMBER 31, 2001 |
1,215,063,236 |
||||||||
NET ASSETS AVAILABLE FOR BENEFITS AT DECEMBER 31, 2002 |
$ |
1,164,097,365 |
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Total |
|
The FPL |
The |
||||||||||||||||||
Allocation percentage |
100.0% |
70.5% |
28.7% |
0.8% |
|||||||||||||||||
Accrued interest |
$ |
427 |
$ |
301 |
$ |
123 |
$ |
3 |
|||||||||||||
Employer securities |
385,656,323 |
271,828,316 |
110,794,434 |
3,033,573 |
|||||||||||||||||
Total assets |
385,656,750 |
271,828,617 |
110,794,557 |
3,033,576 |
|||||||||||||||||
Interest payable |
865,928 |
610,346 |
248,771 |
6,811 |
|||||||||||||||||
Acquisition indebtedness |
268,089,070 |
188,961,508 |
77,018,773 |
2,108,789 |
|||||||||||||||||
Total liabilities |
268,954,998 |
189,571,854 |
77,267,544 |
2,115,600 |
|||||||||||||||||
Net assets at December 31, 2002 |
$ |
116,701,752 |
$ |
82,256,763 |
$ |
33,527,013 |
$ |
917,976 |
|||||||||||||
Contributions received from employer |
$ |
23,812,860 |
|||||||||||||||||||
Interest income |
2,802 |
||||||||||||||||||||
Dividends |
15,527,477 |
||||||||||||||||||||
Net appreciation in fair value of investments |
24,135,875 |
||||||||||||||||||||
Total |
63,479,014 |
||||||||||||||||||||
Interest expense |
27,349,696 |
||||||||||||||||||||
Net income |
36,129,318 |
$ |
25,465,605 |
$ |
10,379,521 |
$ |
284,192 |
||||||||||||||
Allocation of shares to plans |
(24,045,350 |
) |
(16,663,086 |
) |
(6,537,089 |
) |
(845,175 |
) |
|||||||||||||
Transfers to (from) the plan |
- |
(707,629 |
) |
(128,663 |
) |
836,292 |
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Effect of current year leveraged ESOP |
|||||||||||||||||||||
activity on net assets |
12,083,968 |
8,094,890 |
3,713,769 |
275,309 |
|||||||||||||||||
Net assets at December 31, 2001 |
104,617,784 |
74,161,873 |
29,813,244 |
642,667 |
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Net assets at December 31, 2002 |
$ |
116,701,752 |
$ |
82,256,763 |
$ |
33,527,013 |
$ |
917,976 |
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December 31, |
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2002 |
2001 |
||||||||||||||||||||
FPL Managed Income Fund |
$ |
238,782,326 |
$ |
198,703,389 |
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Spartan U.S. Equity Index Fund |
68,250,045 |
97,253,050 |
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Fidelity Magellan Fund |
68,646,555 |
98,204,703 |
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Fidelity OTC Portfolio |
45,800,212 |
(1) |
68,105,376 |
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FPL Group Stock Fund (2) |
197,142,025 |
203,122,153 |
|||||||||||||||||||
FPL Group Stock LESOP Fund (3) |
150,608,119 |
133,220,854 |
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_____________________ |
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(1) |
Does not represent five percent or more of Plan net assets; amount shown for comparability. |
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(2) |
Includes short-term investments of $681,428 and $1,543,728 at December 31, 2002 and 2001, respectively, to provide liquidity. |
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(3) |
Represents Company matching contributions in Common Stock which are nonparticipant-directed investments of the Plan. Includes short-term investments of $1,160,427 and $1,065,767 at December 31, 2002 and 2001, respectively, to provide liquidity. |
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8. Master Trust |
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Percent of |
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December 31, |
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2002 |
2001 |
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EIN 59-0247775 PN 002 |
74.8% |
76.9% |
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Florida Power & Light Company EIN 59-0247775 PN 003 |
25.0% |
22.9% |
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EIN 65-0471798 PN 001 |
0.2% |
0.2% |
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EIN 59-0247775 PN 002 |
80.4% |
77.1% |
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|
18.2% |
22.0% |
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|
1.4% |
0.9% |
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|
75.8% |
74.8% |
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|
23.9% |
25.2% |
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|
0.3% |
0.0% |
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|
71.7% |
71.1% |
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PN 003 |
28.1% |
28.9% |
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|
0.2% |
0.0% |
|||
|
66.2% |
67.1% |
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PN 003 |
33.5% |
32.7% |
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|
0.3% |
0.2% |
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|
71.2% |
71.4% |
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PN 003 |
27.9% |
28.0% |
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|
0.9% |
0.6% |
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|
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2002 |
2001 |
|||||||
|
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General investments: |
||||||||
Value of unallocated insurance and financial institution contracts |
$ |
324,025,276 |
$ |
258,419,221 |
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Total |
324,025,276 |
258,419,221 |
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LIABILITIES |
4,850,145 |
- |
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NET ASSETS AVAILABLE FOR BENEFITS |
$ |
319,175,131 |
$ |
258,419,221 |
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Year Ended |
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Contributions received from Participants |
$ |
8,315,590 |
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Earnings on investments: |
||||||||
Interest |
13,433,619 |
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Total |
21,749,209 |
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Benefit payments to Participants or beneficiaries |
28,363,290 |
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Account maintenance fees |
9,243 |
|||||||
Total |
28,372,533 |
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NET DECREASE |
(6,623,324 |
) |
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|
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Transfers into fund |
394,500,618 |
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Transfers out of fund |
(327,121,384 |
) |
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Net transfers |
67,379,234 |
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NET ASSETS AVAILABLE FOR BENEFITS AT DECEMBER 31, 2001 |
258,419,221 |
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NET ASSETS AVAILABLE FOR BENEFITS AT DECEMBER 31, 2002 |
$ |
319,175,131 |
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2002 |
2001 |
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Receivables: |
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Income |
$ |
59,243 |
$ |
76,641 |
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Other |
51 |
47,100 |
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Total receivables |
59,294 |
123,741 |
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Value of unallocated insurance and financial institution contracts |
9,458,818 |
10,675,074 |
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Mutual funds |
9,000,545 |
10,533,453 |
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Total general investments |
18,459, 363 |
21,208,527 |
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Total |
18,518,657 |
21,332,268 |
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LIABILITIES |
142,999 |
128 |
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NET ASSETS AVAILABLE FOR BENEFITS |
$ |
18,375,658 |
$ |
21,332,140 |
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Year Ended |
||||||||
|
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Contributions received from Participants |
$ |
559,293 |
||||||
|
||||||||
Interest |
517,156 |
|||||||
Dividends |
348,365 |
|||||||
Net depreciation in fair value of investments |
(939,740 |
) |
||||||
Total |
485,074 |
|||||||
|
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Benefit payments to Participants or beneficiaries |
1,313,261 |
|||||||
Account maintenance fees |
1,186 |
|||||||
Total |
1,314,447 |
|||||||
NET DECREASE |
(829,373 |
) |
||||||
|
||||||||
Transfers into fund |
3,139,350 |
|||||||
Transfers out of fund |
(5,266,459 |
) |
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Net transfers |
(2,127,109 |
) |
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NET ASSETS AVAILABLE FOR BENEFITS AT DECEMBER 31, 2001 |
21,332,140 |
|||||||
NET ASSETS AVAILABLE FOR BENEFITS AT DECEMBER 31, 2002 |
$ |
18,375,658 |
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2002 |
2001 |
|||||||
ASSETS |
||||||||
Receivables: |
||||||||
Income |
$ |
128,524 |
$ |
179,402 |
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Other |
605 |
25 |
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Total receivables |
129,129 |
179,427 |
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Value of unallocated insurance and financial institution contracts |
16,440,242 |
19,067,064 |
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Mutual funds |
47,306,187 |
57,909,195 |
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Total general investments |
63,746,429 |
76,976,259 |
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Total |
63,875,558 |
77,155,686 |
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LIABILITIES |
246,084 |
4,754 |
||||||
NET ASSETS AVAILABLE FOR BENEFITS |
$ |
63,629,474 |
$ |
77,150,932 |
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Year Ended |
||||||||
ADDITIONS |
||||||||
Contributions received from Participants |
$ |
2,819,583 |
||||||
|
||||||||
Interest |
896,027 |
|||||||
Dividends |
1,432,833 |
|||||||
Net depreciation in fair value of investments |
(7,892,428 |
) |
||||||
Total |
(2,743,985 |
) |
||||||
|
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Benefit payments to Participants or beneficiaries |
3,640,207 |
|||||||
Account maintenance fees |
5,762 |
|||||||
Total |
3,645,969 |
|||||||
NET DECREASE |
(6,389,954 |
) |
||||||
|
||||||||
Transfers into fund |
5,844,822 |
|||||||
Transfers out of fund |
(12,976,326 |
) |
||||||
Net transfers |
(7,131,504 |
) |
||||||
NET ASSETS AVAILABLE FOR BENEFITS AT DECEMBER 31, 2001 |
77,150,932 |
|||||||
NET ASSETS AVAILABLE FOR BENEFITS AT DECEMBER 31, 2002 |
$ |
63,629,474 |
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|
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|
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2002 |
2001 |
|||||||
|
||||||||
Receivables: |
||||||||
Income |
$ |
69,181 |
$ |
99,017 |
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Other |
14,516 |
- |
||||||
Total receivables |
83,697 |
99,017 |
||||||
|
||||||||
Value of unallocated insurance and financial institution contracts |
7,246,428 |
8,571,304 |
||||||
Mutual funds |
62,493,918 |
76,627,483 |
||||||
Total general investments |
69,740,346 |
85,198,787 |
||||||
Total |
69,824,043 |
85,297,804 |
||||||
LIABILITIES |
114,960 |
101,333 |
||||||
NET ASSETS AVAILABLE FOR BENEFITS |
$ |
69,709,083 |
$ |
85,196,471 |
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|
||||||||
Year Ended |
||||||||
|
||||||||
Contributions received from Participants |
$ |
4,632,298 |
||||||
|
||||||||
Interest |
391,201 |
|||||||
Dividends |
1,443,545 |
|||||||
Net depreciation in fair value of investments |
(12,857,962 |
) |
||||||
Total |
(6,390,918 |
) |
||||||
|
||||||||
Benefit payments to Participants or beneficiaries |
2,452,314 |
|||||||
Account maintenance fees |
8,185 |
|||||||
Total |
2,460,499 |
|||||||
NET DECREASE |
(8,851,417 |
) |
||||||
|
||||||||
Transfers into fund |
4,723,251 |
|||||||
Transfers out of fund |
(11,359,222 |
) |
||||||
Net transfers |
(6,635,971 |
) |
||||||
NET ASSETS AVAILABLE FOR BENEFITS AT DECEMBER 31, 2001 |
85,196,471 |
|||||||
NET ASSETS AVAILABLE FOR BENEFITS AT DECEMBER 31, 2002 |
$ |
69,709,083 |
||||||
|
||||||||
|
||||||||
2002 |
2001 |
|||||||
|
||||||||
Receivables: |
||||||||
Income |
$ |
1,758 |
$ |
3,978 |
||||
Other |
2,025,302 |
372,436 |
||||||
Total receivables |
2,027,060 |
376,414 |
||||||
|
||||||||
Money market |
1,028,685 |
2,300,687 |
||||||
Employer securities |
294,932,634 |
301,110,276 |
||||||
Total |
297,988,379 |
303,787,377 |
||||||
LIABILITIES |
300,777 |
1,022,944 |
||||||
NET ASSETS AVAILABLE FOR BENEFITS |
$ |
297,687,602 |
$ |
302,764,433 |
||||
|
||||||||
Year Ended |
||||||||
|
||||||||
Contributions received from Participants |
$ |
5,369,533 |
||||||
|
||||||||
Interest |
47,887 |
|||||||
Dividends |
12,062,177 |
|||||||
Net appreciation in fair value of investments |
20,474,653 |
|||||||
Total |
37,954,250 |
|||||||
|
||||||||
Benefit payments to Participants or beneficiaries |
25,663,444 |
|||||||
Account maintenance fees |
35,796 |
|||||||
Total |
25,699,240 |
|||||||
NET INCREASE |
12,255,010 |
|||||||
|
||||||||
Transfers into fund |
118,410,950 |
|||||||
Transfers out of fund |
(135,742,791 |
) |
||||||
Net transfers |
(17,331,841 |
) |
||||||
NET ASSETS AVAILABLE FOR BENEFITS AT DECEMBER 31, 2001 |
302,764,433 |
|||||||
NET ASSETS AVAILABLE FOR BENEFITS AT DECEMBER 31, 2002 |
$ |
297,687,602 |
||||||
|
||||||||
|
||||||||
2002 |
2001 |
|||||||
|
||||||||
Receivables: |
||||||||
Income |
$ |
1,857 |
$ |
2,656 |
||||
Other |
424,822 |
193,213 |
||||||
Total receivables |
426,679 |
195,869 |
||||||
|
||||||||
Money market |
1,630,356 |
1,484,652 |
||||||
Employer securities |
209,630,859 |
185,018,790 |
||||||
Total |
211,687,894 |
186,699,311 |
||||||
LIABILITIES |
69,480 |
108,300 |
||||||
NET ASSETS AVAILABLE FOR BENEFITS |
$ |
211,618,414 |
$ |
186,591,011 |
||||
|
||||||||
Year Ended |
||||||||
|
||||||||
Contributions received from Participants |
$ |
24,045,350 |
||||||
|
||||||||
Interest |
30,710 |
|||||||
Dividends |
7,823,156 |
|||||||
Net appreciation in fair value of investments |
28,980,124 |
|||||||
Total |
60,879,340 |
|||||||
|
||||||||
Benefit payments to Participants or beneficiaries |
16,365,400 |
|||||||
Account maintenance fees |
43,176 |
|||||||
Total |
16,408,576 |
|||||||
NET INCREASE |
44,470,764 |
|||||||
|
||||||||
Transfers into fund |
7,881,616 |
|||||||
Transfers out of fund |
(27,324,977 |
) |
||||||
Net transfers |
(19,443,361 |
) |
||||||
NET ASSETS AVAILABLE FOR BENEFITS AT DECEMBER 31, 2001 |
186,591,011 |
|||||||
NET ASSETS AVAILABLE FOR BENEFITS AT DECEMBER 31, 2002 |
$ |
211,618,414 |
||||||
FORM 5500: Schedule H, 4i |
FLORIDA POWER & LIGHT COMPANY - EIN 59-0247775 |
|||||||||||
UNITS/SHARES |
PRICE |
HISTORICAL |
MARKET VALUE |
|||||||||
|
||||||||||||
FPL MANAGED INCOME * |
238,782,326.300 |
$1.00 |
$ |
238,782,326.30 |
$ |
238,782,326.30 |
||||||
BGI RUSSELL 2000 K |
105,962.331 |
$6.78 |
865,409.84 |
718,424.60 |
||||||||
PIMCO TOT RETURN ADM |
255,100.642 |
$10.67 |
2,715,258.81 |
2,721,923.85 |
||||||||
TMPL FOREIGN SM CO A |
17,606.264 |
$12.45 |
233,055.96 |
219,197.99 |
||||||||
AMR BALANCED PA |
493.202 |
$10.66 |
5,646.00 |
5,257.53 |
||||||||
AMR LARGE CAP VAL PA |
1,089.975 |
$12.16 |
14,895.67 |
13,254.10 |
||||||||
AMR INTL EQUITY PA |
58,481.950 |
$11.87 |
727,502.37 |
694,180.75 |
||||||||
AMR SH TERM BOND PA |
1,249.956 |
$9.49 |
11,895.16 |
11,862.08 |
||||||||
MUTUAL DISCOVERY A |
29,696.526 |
$16.06 |
566,354.60 |
476,926.21 |
||||||||
BARON GROWTH |
50,632.396 |
$26.90 |
1,525,057.06 |
1,362,011.45 |
||||||||
BARON ASSET FUND |
4,225.338 |
$34.42 |
200,210.33 |
145,436.13 |
||||||||
BRANDYWINE FUND |
650,559.131 |
$18.28 |
20,604,642.24 |
11,892,220.91 |
||||||||
MSI EQUITY GROWTH B |
6,492.289 |
$12.34 |
126,156.23 |
80,114.85 |
||||||||
MONTG GLOBAL FOCUS R |
1,062.392 |
$6.17 |
16,389.89 |
6,554.96 |
||||||||
CALVERT NEWVIS SM CP |
20,040.565 |
$13.90 |
347,069.04 |
278,563.85 |
||||||||
CALVERT SIF BALNCD A |
95.188 |
$22.34 |
2,185.25 |
2,126.50 |
||||||||
CALVERT CAP ACC A |
3,992.212 |
$16.86 |
85,612.85 |
67,308.69 |
||||||||
CALVERT INTL EQTY A |
15.290 |
$12.77 |
203.88 |
195.25 |
||||||||
FMA SMALL COMPANY IS |
16,840.821 |
$16.18 |
315,173.41 |
272,484.48 |
||||||||
FPA CRESCENT |
39,439.521 |
$17.40 |
664,401.03 |
686,247.67 |
||||||||
RHJ MICRO CAP |
24,733.821 |
$13.00 |
399,584.78 |
321,539.67 |
||||||||
PBHG EMERGING GROWTH |
32,585.682 |
$8.39 |
415,148.94 |
273,393.87 |
||||||||
ARIEL FUND |
49,275.305 |
$35.24 |
1,838,790.44 |
1,736,461.75 |
||||||||
ARIEL APPRECIATION |
75,716.150 |
$33.06 |
2,699,158.38 |
2,503,175.92 |
||||||||
ARIEL PREM BOND INV |
15,429.152 |
$10.62 |
155,219.02 |
163,857.59 |
||||||||
ALGER CAP APPREC I |
545,941.733 |
$8.44 |
9,429,400.83 |
4,607,748.23 |
||||||||
ALGER MIDCAP GRTH I |
229,769.501 |
$10.49 |
3,464,516.65 |
2,410,282.07 |
||||||||
ALGER SMALL CAP I |
30,036.205 |
$10.96 |
727,644.70 |
329,196.81 |
||||||||
FKLN SMMIDCAP GRTH A |
28,387.712 |
$21.95 |
1,077,864.13 |
623,110.28 |
||||||||
DREY FNDRS BALNCED F |
492.384 |
$6.69 |
3,862.88 |
3,294.05 |
||||||||
DREY FNDRS G & I |
27,592.392 |
$3.50 |
137,989.49 |
96,573.37 |
||||||||
DREY FNDRS GROWTH F |
21,648.651 |
$7.48 |
336,096.32 |
161,931.91 |
||||||||
DREY FNDRS MC GRTH F |
7,601.031 |
$2.62 |
27,560.59 |
19,914.70 |
||||||||
DREY FNDRS WW GRTH F |
18,646.599 |
$8.33 |
281,248.20 |
155,326.17 |
||||||||
DREY FNDRS PASSPRT F |
18,334.893 |
$8.13 |
461,911.27 |
149,062.68 |
||||||||
PBHG GROWTH FUND |
49,369.633 |
$14.18 |
2,062,880.54 |
700,061.40 |
||||||||
INVESCO DYNAMICS |
109,806.162 |
$10.66 |
2,499,940.92 |
1,170,533.69 |
||||||||
INVESCO SM CO GROWTH |
17,943.355 |
$8.33 |
277,075.71 |
149,468.15 |
||||||||
INVESCO GROWTH INV |
400,716.183 |
$1.53 |
1,587,304.22 |
613,095.76 |
||||||||
INVESCO HIGH YIELD |
11,731.117 |
$3.28 |
59,814.27 |
38,478.06 |
||||||||
INVESCO SEL INCOME |
14,700.757 |
$5.20 |
78,177.59 |
76,443.94 |
||||||||
INVESCO VALUE EQUITY |
0.011 |
$15.74 |
0.21 |
0.17 |
||||||||
TEMPLETON FOREIGN A |
410,593.468 |
$8.31 |
4,117,365.69 |
3,412,031.72 |
||||||||
JANUS FLEX INCOME |
60,703.456 |
$9.63 |
568,837.17 |
584,574.28 |
||||||||
DREY FNDRS DISCVRY F |
38,604.888 |
$19.04 |
1,399,086.90 |
735,037.07 |
||||||||
MSI INTL MAGNUM B |
5,615.649 |
$8.04 |
45,795.28 |
45,149.82 |
||||||||
MUTUAL SHARES CL A |
25,742.163 |
$16.78 |
501,974.10 |
431,953.50 |
||||||||
MANAGERS SPECIAL EQ |
2,260.596 |
$55.08 |
159,902.03 |
124,513.63 |
||||||||
MSI GLOBAL VAL EQ B |
11,707.141 |
$12.35 |
216,729.27 |
144,583.19 |
||||||||
MSIFT BALANCED ADV |
1,096.668 |
$9.20 |
12,613.99 |
10,089.35 |
||||||||
MSIFT CP FX INC ADV |
2,305.259 |
$11.52 |
26,972.27 |
26,556.58 |
||||||||
MSIFT HIGH YIELD ADV |
3,040.318 |
$4.51 |
22,755.98 |
13,711.83 |
||||||||
MSIFT MIDCAP GTH ADV |
33,171.694 |
$11.86 |
885,931.85 |
393,416.29 |
||||||||
MSIFT VALUE ADVISER |
21,689.913 |
$11.64 |
327,842.85 |
252,470.59 |
||||||||
MSI SM CO GROWTH B |
75,134.464 |
$7.26 |
915,016.24 |
545,476.21 |
||||||||
MSI ACTIVE INTL B |
79,228.422 |
$7.41 |
603,717.30 |
587,082.61 |
||||||||
MSI EMERGING MKTS B |
20,615.183 |
$10.06 |
231,534.55 |
207,388.74 |
||||||||
AIM PREM EQUITY A |
5,605.002 |
$7.51 |
53,566.53 |
42,093.57 |
||||||||
NB FOCUS TRUST |
29,328.128 |
$16.07 |
744,041.65 |
471,303.02 |
||||||||
NB GENESIS TRUST |
42,217.851 |
$28.14 |
1,198,497.17 |
1,188,010.33 |
||||||||
NB MANHATTAN TRUST |
9,626.033 |
$7.07 |
191,047.73 |
68,056.05 |
||||||||
NB PARTNERS TRUST |
4,618.088 |
$12.03 |
64,564.49 |
55,555.60 |
||||||||
NB SOCIALLY RESP TR |
180.087 |
$10.64 |
2,061.91 |
1,916.13 |
||||||||
PIMCO CAP APPR ADMIN |
22,595.577 |
$12.54 |
418,039.82 |
283,348.54 |
||||||||
PIMCO MID CAP ADMIN |
8,062.359 |
$15.38 |
171,343.74 |
123,999.08 |
||||||||
PIMCO GLOBAL BOND AD |
15,757.436 |
$9.82 |
147,862.04 |
154,738.02 |
||||||||
PIMCO HIGH YIELD ADM |
85,228.707 |
$8.52 |
806,977.00 |
726,148.58 |
||||||||
PIMCO LOW DUR ADM |
46,071.308 |
$10.27 |
467,473.90 |
473,152.33 |
||||||||
PIMCO LT US GOVT ADM |
177,487.256 |
$11.06 |
1,949,319.44 |
1,963,009.05 |
||||||||
STRONG ULTRA SHORT |
3,044.061 |
$9.41 |
28,879.64 |
28,644.61 |
||||||||
STRONG SHORTTERM BND |
33,940.957 |
$8.85 |
300,389.11 |
300,377.47 |
||||||||
STRONG DISCOVERY |
1,711.100 |
$14.42 |
27,661.44 |
24,674.06 |
||||||||
STRONG GROWTH FUND |
87,520.578 |
$13.21 |
2,689,941.44 |
1,156,146.84 |
||||||||
STRONG ADV COM STK Z |
12,496.048 |
$15.97 |
234,752.57 |
199,561.89 |
||||||||
STRONG OPPORTUNITY |
31,805.956 |
$28.70 |
1,191,569.96 |
912,830.94 |
||||||||
STRONG LG CAP GROWTH |
21,630.325 |
$16.51 |
733,834.89 |
357,116.67 |
||||||||
STRONG GOVT SECURITY |
103,790.550 |
$11.14 |
1,151,420.76 |
1,156,226.73 |
||||||||
STRONG MULTI CAP VAL |
201.499 |
$40.13 |
9,300.16 |
8,086.15 |
||||||||
TEMPLETON DEV MKTS A |
20,425.172 |
$10.00 |
215,450.19 |
204,251.72 |
||||||||
TEMPLETON GROWTH A |
29,686.220 |
$15.93 |
531,093.21 |
472,901.48 |
||||||||
TMPL GLOBAL BOND A |
104,806.172 |
$8.97 |
931,836.43 |
940,111.36 |
||||||||
TRP EQUITY INCOME |
394,835.166 |
$19.79 |
9,631,589.13 |
7,813,787.94 |
||||||||
TEMPLETON WORLD A |
29,575.015 |
$12.89 |
479,650.04 |
381,221.94 |
||||||||
USAA CORNERSTONE |
23.303 |
$20.76 |
492.82 |
483.77 |
||||||||
USAA GNMA TRUST |
22,855.336 |
$10.24 |
230,488.54 |
234,038.64 |
||||||||
USAA INCOME FUND |
46,391.780 |
$12.40 |
566,607.72 |
575,258.07 |
||||||||
USAA INCOME STOCK |
5,850.813 |
$12.37 |
95,459.99 |
72,374.56 |
||||||||
USAA INTERNATIONAL |
1,053.332 |
$15.13 |
17,256.13 |
15,936.91 |
||||||||
USAA GROWTH FUND |
3,502.462 |
$9.87 |
55,306.71 |
34,569.30 |
||||||||
USAA EMERGING MKTS |
10,491.643 |
$6.58 |
78,134.15 |
69,035.01 |
||||||||
AIM CONSTELLATION A |
4,143.423 |
$16.63 |
83,739.61 |
68,905.12 |
||||||||
CS CAP APPREC COM |
21,478.718 |
$12.15 |
525,052.34 |
260,966.42 |
||||||||
CS EMERGING GRTH COM |
2,186.928 |
$18.85 |
90,135.61 |
41,223.59 |
||||||||
CS GLOBAL FX INC COM |
18,811.864 |
$9.84 |
188,729.91 |
185,108.74 |
||||||||
CS STRATEGIC VAL COM |
12,915.235 |
$10.53 |
178,960.83 |
135,997.42 |
||||||||
RS EMERGING GROWTH |
3,588.817 |
$19.15 |
111,207.33 |
68,725.85 |
||||||||
JANUS ADV WRLDWIDE I |
4,700.862 |
$21.61 |
156,836.51 |
101,585.63 |
||||||||
INVESCO TOTAL RETURN |
2,466.916 |
$20.90 |
60,210.69 |
51,558.54 |
||||||||
NB GUARDIAN TRUST |
3,351.161 |
$8.37 |
38,903.94 |
28,049.22 |
||||||||
SCUDDER INTL FUND S |
141.642 |
$30.36 |
5,101.10 |
4,300.25 |
||||||||
DOMINI SOCIAL EQUITY |
10,912.083 |
$21.60 |
384,263.81 |
235,700.99 |
||||||||
INVESCO CORE EQUITY |
5,819.061 |
$9.57 |
84,482.62 |
55,688.41 |
||||||||
AIM WEINGARTEN A |
2,718.927 |
$9.24 |
32,454.89 |
25,122.89 |
||||||||
SCUDDER GLOBAL DISC |
467.524 |
$18.73 |
9,974.61 |
8,756.72 |
||||||||
JANUS ADVISER GRTH I |
2,184.895 |
$15.21 |
44,644.30 |
33,232.25 |
||||||||
JANUS ADV AGG GRTH I |
5,961.520 |
$15.49 |
135,496.34 |
92,343.94 |
||||||||
JANUS ADV CAP APPR I |
8,433.456 |
$17.92 |
176,721.41 |
151,127.53 |
||||||||
JANUS ADVISER INTL I |
8,867.847 |
$18.17 |
216,620.57 |
161,128.78 |
||||||||
JANUS ADV BALANCED I |
4,587.524 |
$21.00 |
105,251.50 |
96,338.00 |
||||||||
JANUS ADV FLEX INC I |
4,922.852 |
$12.45 |
60,025.98 |
61,289.51 |
||||||||
SCUDDER GROWTH & INC |
1,679.708 |
$15.98 |
32,738.46 |
26,841.73 |
||||||||
AIM BLUE CHIP A |
12,488.843 |
$8.94 |
139,037.41 |
111,650.26 |
||||||||
TCW GAL SM CAP GR |
5,366.051 |
$9.86 |
71,352.96 |
52,909.26 |
||||||||
TCW GAL AGGR GRTH N |
86,355.127 |
$7.88 |
697,170.25 |
680,478.40 |
||||||||
SCUDDER 21STC GROWTH |
1,639.356 |
$9.89 |
19,034.10 |
16,213.23 |
||||||||
MSI VALUE EQUITY B |
19,751.443 |
$7.21 |
194,745.40 |
142,407.90 |
||||||||
AIM BALANCED A |
760.958 |
$20.81 |
16,476.72 |
15,835.54 |
||||||||
AIM GLOBAL AGGR GRTH |
1,281.028 |
$11.04 |
18,259.84 |
14,142.55 |
||||||||
MANAGERS BOND FUND |
49,305.926 |
$23.45 |
1,132,580.81 |
1,156,223.96 |
||||||||
MANAGERS CAP APPREC |
609.607 |
$20.36 |
15,228.45 |
12,411.60 |
||||||||
MANAGERS VALUE |
3,403.727 |
$20.69 |
83,131.97 |
70,423.11 |
||||||||
RS SMALLER CO GROWTH |
12,231.581 |
$12.79 |
224,573.19 |
156,441.92 |
||||||||
TCW GALILEO SEL EQ N |
18,817.082 |
$11.40 |
249,352.90 |
214,514.73 |
||||||||
CS SMALL CAP VAL COM |
30,429.858 |
$17.27 |
625,403.61 |
525,523.65 |
||||||||
FPL GROUP STOCK * |
12,206,936.531 |
$16.15 |
127,034,742.39 |
197,142,024.98 |
||||||||
FPL GROUP STK LESOP * |
9,234,096.820 |
$16.31 |
120,383,180.96 |
150,608,119.13 |
||||||||
FPL CONS INV STRGY * |
802,203.288 |
$18.42 |
10,511,779.99 |
14,776,584.56 |
||||||||
MODERATE GRWTH STRGY * |
2,220,811.242 |
$21.72 |
31,097,189.91 |
48,236,020.18 |
||||||||
LONG-TERM STRGY * |
2,373,940.679 |
$21.05 |
38,448,646.73 |
49,971,451.29 |
||||||||
FIDELITY FUND * |
31,278.827 |
$22.26 |
1,044,407.62 |
696,266.69 |
||||||||
FIDELITY PURITA * |
49,646.244 |
$15.79 |
892,152.17 |
783,914.19 |
||||||||
FIDELITY TREND * |
226.939 |
$38.64 |
10,424.61 |
8,768.92 |
||||||||
FIDELITY GINNIE MAE * |
197,895.745 |
$11.24 |
2,183,767.03 |
2,224,348.17 |
||||||||
FIDELITY MAGELLAN * |
869,383.931 |
$78.96 |
84,768,206.18 |
68,646,555.19 |
||||||||
FIDELITY EQUITY INC * |
31,337.631 |
$39.67 |
1,545,449.61 |
1,243,163.82 |
||||||||
FIDELITY GROWTH CO * |
84,518.276 |
$35.42 |
5,562,149.46 |
2,993,637.34 |
||||||||
FIDELITY INVST GR BD * |
145,754.313 |
$7.57 |
1,062,835.33 |
1,103,360.15 |
||||||||
FIDELITY INTER BOND * |
81,134.613 |
$10.73 |
840,830.54 |
870,574.40 |
||||||||
FIDELITY CAP & INC * |
98,864.647 |
$6.28 |
798,258.66 |
620,869.98 |
||||||||
FIDELITY VALUE * |
54,621.446 |
$46.39 |
2,748,364.40 |
2,533,888.88 |
||||||||
FIDELITY GOVT INCOME * |
177,365.545 |
$10.48 |
1,830,874.11 |
1,858,790.91 |
||||||||
FID INDEPENDENCE FD * |
54,037.770 |
$13.07 |
1,270,394.68 |
706,273.65 |
||||||||
FIDELITY OTC PORT * |
1,915,525.393 |
$23.91 |
78,371,800.25 |
45,800,212.15 |
||||||||
FIDELITY OVERSEAS * |
666,552.108 |
$22.00 |
21,683,389.25 |
14,664,146.38 |
||||||||
FIDELITY EUROPE * |
11,226.660 |
$18.32 |
358,275.09 |
205,672.41 |
||||||||
FIDELITY PAC BASIN * |
10,976.605 |
$12.76 |
215,562.46 |
140,061.48 |
||||||||
FIDELITY REAL ESTATE * |
123,665.939 |
$18.39 |
2,347,916.43 |
2,274,216.62 |
||||||||
FIDELITY BALANCED * |
64,327.881 |
$13.29 |
1,001,330.70 |
854,917.54 |
||||||||
FIDELITY INTL GR&INC * |
8,420.515 |
$16.82 |
172,104.82 |
141,633.06 |
||||||||
FIDELITY CAP APPREC * |
12,507.868 |
$16.18 |
239,270.89 |
202,377.30 |
||||||||
FIDELITY CONV SEC * |
44,622.909 |
$16.34 |
952,767.52 |
729,138.33 |
||||||||
FIDELITY CANADA * |
8,792.470 |
$18.12 |
192,001.36 |
159,319.56 |
||||||||
FIDELITY UTILITIES * |
74,685.386 |
$9.70 |
1,072,729.58 |
724,448.24 |
||||||||
FIDELITY BLUE CHIP * |
54,708.351 |
$31.94 |
2,640,962.06 |
1,747,384.73 |
||||||||
FID ASSET MANAGER * |
18,902.825 |
$13.80 |
293,284.39 |
260,858.99 |
||||||||
FIDELITY DISC EQUITY * |
10,692.813 |
$17.97 |
293,432.73 |
192,149.85 |
||||||||
FIDELITY LOW PR STK * |
249,586.422 |
$25.17 |
6,685,564.51 |
6,282,090.24 |
||||||||
SPARTAN 500 INDEX * |
30,294.075 |
$60.47 |
2,407,626.73 |
1,831,882.72 |
||||||||
FIDELITY WORLDWIDE * |
4,104.975 |
$11.88 |
60,065.31 |
48,767.10 |
||||||||
FIDELITY EQ INC II * |
40,899.725 |
$17.39 |
926,397.32 |
711,246.22 |
||||||||
FIDELITY STK SELECTR * |
3,619.059 |
$16.58 |
92,849.25 |
60,004.00 |
||||||||
FID ASSET MGR GROWTH * |
22,429.124 |
$11.97 |
398,496.15 |
268,476.61 |
||||||||
FIDELITY EMERG MRKTS * |
16,933.842 |
$7.21 |
144,432.21 |
122,093.00 |
||||||||
FIDELITY AGGR GROWTH * |
409,840.907 |
$11.19 |
15,189,641.61 |
4,586,119.75 |
||||||||
FIDELITY DIVERS INTL * |
102,741.115 |
$17.16 |
2,198,486.42 |
1,763,037.53 |
||||||||
FID ASSET MGR INCOME * |
32,089.269 |
$10.86 |
357,902.03 |
348,489.46 |
||||||||
FIDELITY DIVD GROWTH * |
193,492.522 |
$22.32 |
5,282,278.34 |
4,318,753.09 |
||||||||
FIDELITY NEW MKT INC * |
34,825.766 |
$11.33 |
390,648.94 |
394,575.93 |
||||||||
FIDELITY EXP & MULTI * |
42,197.797 |
$13.75 |
675,807.28 |
580,219.71 |
||||||||
FID FOCUSED STOCK * |
3,428.595 |
$7.14 |
47,231.22 |
24,480.17 |
||||||||
FIDELITY GLOBAL BAL * |
7,570.533 |
$14.78 |
116,152.42 |
111,892.48 |
||||||||
FID AGGRESSIVE INT'L * |
13,450.706 |
$10.73 |
201,283.67 |
144,326.08 |
||||||||
FID SM CAP INDEPEND * |
10,374.610 |
$13.30 |
158,153.40 |
137,982.31 |
||||||||
FIDELITY MID-CAP STK * |
151,857.988 |
$16.26 |
3,514,150.65 |
2,469,210.88 |
||||||||
FIDELITY LG-CAP STK * |
32,427.030 |
$11.15 |
526,176.31 |
361,561.38 |
||||||||
FIDELITY CONTRA II * |
59,054.248 |
$8.67 |
685,491.82 |
512,000.33 |
||||||||
FIDELITY SM CAP STK * |
95,651.909 |
$11.84 |
1,322,488.02 |
1,132,518.60 |
||||||||
FIDELITY EUR CAP APP * |
9,349.209 |
$13.83 |
168,521.04 |
129,299.56 |
||||||||
FID ASSET MGR AGGRES * |
2,588.831 |
$6.93 |
31,235.06 |
17,940.60 |
||||||||
FIDELITY LATIN AMER * |
1,467.303 |
$9.33 |
20,235.87 |
13,689.94 |
||||||||
FIDELITY JAPAN * |
82,814.863 |
$8.43 |
1,000,103.64 |
698,129.30 |
||||||||
FIDELITY SE ASIA * |
20,658.335 |
$9.66 |
261,680.78 |
199,559.52 |
||||||||
FID FOUR IN ONE IDX * |
1,897.365 |
$18.05 |
41,613.66 |
34,247.44 |
||||||||
FIDELITY GR & INC II * |
9,262.757 |
$7.59 |
76,675.34 |
70,304.33 |
||||||||
FIDELITY STRAT INC * |
5,926.951 |
$9.40 |
54,538.75 |
55,713.34 |
||||||||
FID FREEDOM INCOME * |
22,181.099 |
$10.60 |
234,878.86 |
235,119.65 |
||||||||
FID FREEDOM 2000 * |
56,948.501 |
$11.01 |
667,946.74 |
627,003.00 |
||||||||
FID FREEDOM 2010 * |
62,210.294 |
$11.44 |
847,406.67 |
711,685.76 |
||||||||
FID FREEDOM 2020 * |
21,602.384 |
$10.64 |
300,670.18 |
229,849.37 |
||||||||
FID FREEDOM 2030 * |
22,537.027 |
$10.24 |
296,020.02 |
230,779.16 |
||||||||
SPTN TOTAL MKT INDEX * |
32,229.466 |
$23.05 |
964,059.72 |
742,889.19 |
||||||||
SPTN EXTND MKT INDEX * |
12,891.096 |
$19.23 |
352,615.42 |
247,895.78 |
||||||||
SPARTAN INTL INDEX * |
6,569.970 |
$20.14 |
167,128.99 |
132,319.20 |
||||||||
FIDELITY SH TERM BD * |
67,117.015 |
$8.99 |
588,108.93 |
603,381.96 |
||||||||
FIDELITY INT GOV INC * |
86,234.942 |
$10.38 |
874,214.48 |
895,118.70 |
||||||||
FIDELITY HIGH INCOME * |
69,219.332 |
$7.60 |
653,947.73 |
526,066.92 |
||||||||
FIDELITY FIFTY * |
60,167.704 |
$16.04 |
1,069,552.44 |
965,089.97 |
||||||||
FIDELITY RET GOVT MM * |
13,485,552.580 |
$1.00 |
13,485,552.58 |
13,485,552.58 |
||||||||
SPARTAN US EQ INDEX * |
2,191,012.666 |
$31.15 |
64,445,770.26 |
68,250,044.55 |
||||||||
FIDELITY US BD INDEX * |
1,941,335.823 |
$11.24 |
20,846,345.35 |
21,820,614.65 |
||||||||
FID INST SH-INT GOVT * |
32,120.751 |
$9.82 |
309,383.67 |
315,425.77 |
||||||||
FID FREEDOM 2040 * |
2,413.216 |
$5.86 |
16,921.75 |
14,141.45 |
||||||||
LEVERAGED ESOP EMPLOYER SECURITIES * |
4,520,677.130 |
$60.13 |
131,099,636.77 |
271,828,315.83 |
||||||||
PARTICIPANT LOAN BALANCES * |
||||||||||||
(4.75% TO 9.00%; MATURING 2003-2007) |
23,432,125.63 |
23,432,125.63 |
||||||||||
TOTAL ASSETS HELD FOR INVESTMENT PURPOSES |
$ |
1,183,047,217.74 |
$ |
1,353,668,917.61 |
||||||||
*PARTY-IN-INTEREST |
SIGNATURES |
||||
The Plan. Pursuant to the requirements of the Securities Exchange Act of 1934, the Employee Benefit Plans Administrative Committee has duly caused this annual report to be signed on its behalf by the undersigned hereunto duly authorized. |
||||
Date: June 27, 2003 |
FPL Group Employee Thrift Plan |
|||
(Name of Plan) |
||||
By: |
JAMES K. PETERSON |
|||
James K. Peterson |
EXHIBIT INDEX |
|||
Number |
|
||
23 |
Independent Auditors' Consent |
||
99 |
Section 906 Certification |