þ | ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
o | TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
Page | ||||
Report of Independent Registered Public Accounting Firm |
1 | |||
Financial Statements: |
||||
Statements of Net Assets Available for Benefits as of Dec. 31, 2007 and 2006 |
2 | |||
Statement of Changes in Net Assets Available for Benefits for the
Year Ended Dec. 31, 2007 |
3 | |||
Notes to Financial Statements |
4 | |||
Supplemental Schedules: |
||||
1. Form 5500, Schedule H, Part IV, Line 4i Schedule of Assets (Held at End of Year) as
of Dec. 31, 2007 |
12 | |||
2. Form 5500, Schedule H, Part IV, Line 4j Schedule of Reportable Transactions for the
Year Ended Dec. 31, 2007 |
80 | |||
Signature |
82 | |||
Exhibit Index |
83 |
NOTE: | All other schedules required by Section 2520.103-10 of the Department of Labors Rules and Regulations for Reporting and Disclosures under the Employee Retirement Income Security Act of 1974 have been omitted because they are not applicable. |
1
As of Dec. 31, | ||||||||
(Dollars in thousands) | 2007 | 2006 | ||||||
ASSETS: |
||||||||
Investments: |
||||||||
Common stockMonsanto CompanyAllocated |
$ | 1,170,217 | $ | 532,850 | ||||
Common stockMonsanto CompanyUnallocated |
338,510 | 208,147 | ||||||
Total Common stockMonsanto Company |
1,508,727 | 740,997 | ||||||
Cash and temporary investments |
40,110 | 40,143 | ||||||
Debt securities including U.S. Government securities (securities
on loan $8,445 in 2007 and $25,649 in 2006) |
106,619 | 101,875 | ||||||
Common stockSolutia Inc. |
72 | 270 | ||||||
Common stockother (securities on loan $62,028 in 2007
and $46,809 in 2006) |
545,570 | 530,778 | ||||||
Collective investment funds |
308,920 | 271,425 | ||||||
Synthetic guaranteed investment contracts (underlying securities on
loan $94,815 in 2007 and $96,427 in 2006) at fair value |
476,382 | 461,561 | ||||||
Loans to participants, interest rates from 4.0% to 9.25%,
maturities through December 2012 |
19,885 | 19,039 | ||||||
Total investments |
3,006,285 | 2,166,088 | ||||||
Receivables: |
||||||||
Employer contribution receivable |
41,616 | 38,681 | ||||||
Employee contributions receivable |
| 2,621 | ||||||
Dividends, interest and trades receivable |
3,588 | 4,680 | ||||||
Receivable from transfers from other plans |
12,565 | | ||||||
Total receivables |
57,769 | 45,982 | ||||||
Collateral held under securities lending agreements |
170,011 | 173,169 | ||||||
Total assets |
3,234,065 | 2,385,239 | ||||||
LIABILITIES: |
||||||||
Liability to return collateral held under securities lending agreements |
170,011 | 173,169 | ||||||
Deferred employer contribution |
41,616 | 38,681 | ||||||
ESOP debt |
9,525 | 12,224 | ||||||
Amount payable for investment securities transactions and other |
3,869 | 4,565 | ||||||
Total liabilities |
225,021 | 228,639 | ||||||
NET ASSETS AVAILABLE FOR BENEFITS AT FAIR VALUE |
3,009,044 | 2,156,600 | ||||||
Adjustment from fair value to contract value for
fully benefit-responsive investment contracts |
(7,348 | ) | (1,689 | ) | ||||
NET ASSETS AVAILABLE FOR BENEFITS |
$ | 3,001,696 | $ | 2,154,911 | ||||
2
Year Ended | ||||
Dec. 31, | ||||
(Dollars in thousands) | 2007 | |||
ADDITIONS: |
||||
Contributions: |
||||
Employee contributions |
$ | 83,289 | ||
Employer contributions |
2,078 | |||
Transfers from other plans |
12,565 | |||
Rollovers from other plans |
18,304 | |||
Total contributions |
116,236 | |||
Investment income: |
||||
Appreciation (Depreciation) in fair value of investments |
||||
Common stockMonsanto Company |
811,424 | |||
Debt securities |
(51 | ) | ||
Common stockSolutia Inc. |
(178 | ) | ||
Common and preferred stockother |
11,749 | |||
Collective investment funds |
24,774 | |||
Total appreciation in fair value of investments net |
847,718 | |||
Interest |
35,099 | |||
Dividends |
12,998 | |||
Total investment income |
895,815 | |||
Total additions |
1,012,051 | |||
DEDUCTIONS: |
||||
Interest expense on ESOP debt |
562 | |||
Administrative expenses |
5,950 | |||
Benefits paid to participants |
158,754 | |||
Total deductions |
165,266 | |||
INCREASE IN NET ASSETS AVAILABLE FOR BENEFITS |
846,785 | |||
NET ASSETS AVAILABLE FOR BENEFITS Beginning of year |
2,154,911 | |||
NET ASSETS AVAILABLE FOR BENEFITS End of year |
$ | 3,001,696 | ||
3
4
5
6
7
8
As of Dec. 31, | ||||||||
(Dollars in thousands) | 2007 | 2006 | ||||||
Net Assets: |
||||||||
Cash and temporary investments |
$ | 8,011 | $ | 3,846 | ||||
Common stock Monsanto Company |
1,101,232 | 565,626 | ||||||
Total Assets |
1,109,243 | 569,472 | ||||||
Accrued expenses |
| 19 | ||||||
ESOP debt |
9,525 | 12,224 | ||||||
Total Liabilities |
9,525 | 12,243 | ||||||
Net Assets |
$ | 1,099,718 | $ | 557,229 | ||||
Year Ended | ||||
(Dollars in thousands) | Dec. 31, 2007 | |||
Changes in Net Assets: |
||||
Interest income |
$ | 379 | ||
Dividends |
5,726 | |||
Net appreciation |
603,114 | |||
Interest expense on ESOP debt |
(562 | ) | ||
Administrative expense |
(477 | ) | ||
Withdrawals and transfers |
(65,691 | ) | ||
Changes in Net Assets |
542,489 | |||
9
Guaranteed Investment Contracts | As of Dec. 31, | |||||||
(Dollars in thousands) | 2007 | 2006 | ||||||
Commonwealth General Corporation |
$ | 187,614 | $ | 183,950 | ||||
J.P. Morgan Chase Bank |
140,710 | 137,961 | ||||||
State Street Bank |
140,710 | 137,961 | ||||||
Total |
$ | 469,034 | $ | 459,872 | ||||
As of Dec. 31, | ||||||||
(Dollars in thousands) | 2007 | 2006 | ||||||
Monsanto common stock |
$ | 1,508,727 | $ | 740,997 | ||||
Mellon Daily Liquidity Stock Index Fund |
146,807 | 142,339 | ||||||
Capital Guardian International Equity Fund |
162,113 | 129,086 |
10
As of Dec. 31, | ||||||||
(Dollars in thousands) | 2007 | 2006 | ||||||
Net assets available for benefits: |
||||||||
Investments, at fair value per financial statements |
$ | 3,006,285 | $ | 2,166,088 | ||||
Adjustment from fair value to contract value for fully
benefit-responsive investment contracts |
(7,348 | ) | (1,689 | ) | ||||
Total investments per Form 5500 Schedule of Assets
(Held at End of Year) |
$ | 2,998,937 | $ | 2,164,399 | ||||
11
12
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 94 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Receivable Income USD |
||||||||||||
United States USD |
||||||||||||
INCOME FROM SECURITIES LENDING ACTIVITIES |
7.00 | 0.00 | 0.00 | |||||||||
Total United States USD |
0.00 | 0.00 | ||||||||||
Total Receivable Income USD |
0.00 | 0.00 | ||||||||||
Receivables Other USD |
||||||||||||
Pending trade sales: United States dollar |
0.00 | 1,822,680.82 | 1,822,680.82 | |||||||||
Total all currencies |
1,822,680.82 | 1,822,680.82 | ||||||||||
Total Receivables Other USD |
1,822,680.82 | 1,822,680.82 | ||||||||||
U.S. Government Securities |
||||||||||||
United States USD |
||||||||||||
FEDERAL HOME LN MTG CORP POOL #C9-1001 6.5% 11-01-2026 BEO
CUSIP: 3128P7DE0 |
1,296,599.71 | 1,325,773.21 | 1,334,249.08 | |||||||||
FEDERAL HOME LN MTG CORP POOL #G0-1513 6% 03-01-2033 BEO
CUSIP: 31283HVE2 |
1,880,279.32 | 1,903,489.04 | 1,914,733.56 | |||||||||
FEDERAL HOME LN MTG CORP POOL #G1-1184 5.5% 09-01-2016 BEO
CUSIP: 31283KJ58 |
462,387.56 | 475,030.97 | 469,064.44 | |||||||||
FEDERAL HOME LN MTG CORP POOL #G1-1622 6% 02-01-2018 BEO
CUSIP: 31283KYT9 |
1,140,502.37 | 1,197,527.49 | 1,168,259.92 | |||||||||
FEDERAL HOME LN MTG CORP POOL #G11288 6.5% 06-01-2017 BEO
CUSIP: 31283KND6 |
300,987.23 | 314,954.90 | 311,594.62 | |||||||||
FEDERAL HOME LN MTG CORP POOL #G11431 6%02-01-2018 BEO
CUSIP: 31283KSU3 |
203,768.41 | 210,709.28 | 208,727.73 | |||||||||
FEDERAL HOME LN MTG CORP POOL #G11452 6.5% 04-01-2018 BEO
CUSIP: 31283KTH1 |
359,964.16 | 378,806.05 | 372,986.94 | |||||||||
FEDERAL HOME LN MTG CORP POOL #G11564 6.5% 08-01-2017 BEO
CUSIP: 31283KWZ7 |
926,826.98 | 980,698.77 | 958,563.39 | |||||||||
FEDERAL HOME LN MTG CORP POOL #G30248 6.5% 12-01-2023 BEO
CUSIP: 3128CUHZ2 |
853,905.26 | 901,537.17 | 883,339.37 | |||||||||
FEDERAL HOME LN MTG CORP POOL #H0-1579 6.5% 08-01-2036 BEO
CUSIP: 3128MTXG8 |
869,603.09 | 878,570.87 | 887,113.42 | |||||||||
FEDERAL HOME LN MTG CORP POOL #1H-2592 5.918% 01-01-2036
BEO CUSIP: 3128QLRM5 |
864,329.73 | 871,183.59 | 870,915.06 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
13
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 95 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
U.S. Government Securities |
||||||||||||
United States USD |
||||||||||||
FHLMC GOLD E01140 6 05-01-2017
CUSIP: 31294KHR9 |
259,001.89 | 267,621.80 | 265,295.38 | |||||||||
FHLMC GOLD E78398 6.5 07-01-2014
CUSIP: 3128GDKK5 |
121,708.96 | 124,513.98 | 126,089.63 | |||||||||
FHLMC GOLD GROUP E00400 7.5 10-01-2010
CUSIP: 31294JNR5 |
9,712.06 | 9,889.60 | 9,972.08 | |||||||||
FHLMC GOLD G10449 7 02-01-2011
CUSIP: 31283JQA2 |
39,204.70 | 40,138.87 | 40,242.41 | |||||||||
FHLMC GOLD G11206 6 01-01-2015
CUSIP: 31283KKT4 |
87,498.62 | 90,041.56 | 89,634.02 | |||||||||
FHLMC GOLD G11516 6 03-01-2018
CUSIP: 31283KVH8 |
271,753.87 | 285,384.00 | 278,367.82 | |||||||||
FHLMC GOLD G3-0317 6.5 01-01-2027
CUSIP: 3128CUK62 |
2,330,363.65 | 2,387,166.27 | 2,398,030.42 | |||||||||
FHLMC GROUP #E00379 7.5 MTG PARTN CTF DUE 06-01-2010 REG
CUSIP: 31294JM47 |
8,546.92 | 8,703.18 | 8,763.25 | |||||||||
FHLMC GROUP #E00386 7.5 MTG PARTN CTF DUE 08-01-2010 REG
CUSIP: 31294JNB0 |
12,329.80 | 12,555.20 | 12,648.07 | |||||||||
FHLMC GROUP #E20179 7.5 MTG PARTN CTF DUE 06-01-2010 REG
CUSIP: 31335KFU5 |
2,080.79 | 2,118.83 | 2,132.33 | |||||||||
FHLMC MULTICLASS SER T-41 CL 2A 6.98533010483
07-25-2032 CUSIP: 31392MEM0 |
156,642.21 | 162,552.62 | 164,812.98 | |||||||||
FHLMC MULTICLASS SER 1955 CL Z 7.5 05-20-2027
CUSIP: 3133TA2L5 |
526,107.65 | 565,319.12 | 549,978.73 | |||||||||
FNMA POOL #190344 6% 12-01-2033 BEO
CUSIP: 31368HLZ4 |
485,936.68 | 490,492.38 | 494,435.71 | |||||||||
FNMA POOL #224484 7.5% DUE 06-01-2011 REG
CUSIP: 31369YJ55 |
29,890.28 | 30,958.75 | 30,490.51 | |||||||||
FNMA POOL #256116 6% DUE 02-01-2026 REG
CUSIP: 31371MN94 |
3,038,041.31 | 3,067,947.03 | 3,093,953.42 | |||||||||
FNMA POOL #256937 6.5% 10-01-2037 BEO
CUSIP: 31371NLS2 |
1,535,943.16 | 1,563,782.14 | 1,566,870.91 | |||||||||
FNMA POOL #313224 7% DUE 12-01-2011 REG
CUSIP: 31374F4H9 |
53,428.09 | 55,081.01 | 55,291.61 | |||||||||
FNMA POOL #323165 6% DUE 06-01-2013 REG
CUSIP: 31374S6A4 |
9,420.64 | 9,840.16 | 9,658.22 | |||||||||
FNMA POOL #387219 4.125% 01-01-2010 BEO
CUSIP: 31377UDY6 |
166,505.54 | 160,534.76 | 166,131.40 | |||||||||
FNMA POOL #535755 6.26% DUE 03-01-2011 REG
CUSIP: 31384WE48 |
311,304.06 | 321,421.47 | 325,515.40 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
14
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 96 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
U.S. Government Securities |
||||||||||||
United States USD |
||||||||||||
FNMA POOL #545090 6% DUE 07-01-2016 REG
CUSIP: 31385HRK0 |
183,647.60 | 192,514.33 | 188,226.85 | |||||||||
FNMA POOL #545209 6.135% 10-01-2011 BEO
CUSIP: 31385HVA7 |
106,571.62 | 116,038.19 | 111,686.63 | |||||||||
FNMA POOL #545316 5.63% DUE 12-01-2011 REG
CUSIP: 31385HYM8 |
217,554.95 | 230,727.26 | 225,311.65 | |||||||||
FNMA POOL #545962 5.5% DUE 12-01-2013 REG
CUSIP: 31385JQP6 |
257,412.74 | 266,804.27 | 260,980.74 | |||||||||
FNMA POOL #555191 4.866% 02-01-2013 BEO
CUSIP: 31385WXU8 |
150,336.48 | 154,006.79 | 152,095.12 | |||||||||
FNMA POOL #555299 7% 11-01-2017 BEO
CUSIP: 31385W3G2 |
413,173.38 | 439,384.08 | 430,111.84 | |||||||||
FNMA POOL #555316 4.918% 02-01-2013 BEO
CUSIP: 31385W3Z0 |
326,116.42 | 325,912.59 | 330,401.26 | |||||||||
FNMA POOL #555728 4.02% 08-01-2013 BEO
CUSIP: 31385XLH8 |
219,001.50 | 206,272.04 | 213,235.19 | |||||||||
FNMA POOL #703930 5.5% 05-01-2033 BEO
CUSIP: 31401CA78 |
1,081,138.94 | 1,063,992.74 | 1,081,941.15 | |||||||||
FNMA POOL #725019 6% 11-01-2033 BEO
CUSIP: 31402CPC0 |
1,152,875.79 | 1,163,323.75 | 1,173,039.59 | |||||||||
FNMA POOL #725135 6% 05-01-2018 BEO
CUSIP: 31402CSY9 |
361,716.05 | 379,858.38 | 370,735.44 | |||||||||
FNMA POOL #725324 5.388% 11-01-2013 BEO
CUSIP: 31402CYV8 |
222,253.60 | 228,788.42 | 229,161.69 | |||||||||
FNMA POOL #725423 5.5% DUE 05-01-2034 REG
CUSIP: 31402C4G4 |
1,848,892.34 | 1,792,992.24 | 1,850,264.22 | |||||||||
FNMA POOL #725510 6.5% 07-01-2017 BEO
CUSIP: 31402DAK6 |
515,879.77 | 543,850.13 | 534,633.03 | |||||||||
FNMA POOL #725992 5.5% 10-01-2014 BEO
CUSIP: 31402DRM4 |
903,148.84 | 937,722.51 | 926,223.39 | |||||||||
FNMA POOL #735417 6.5% 03-01-2035 BEO
CUSIP: 31402RAS8 |
932,545.52 | 969,410.22 | 964,073.95 | |||||||||
FNMA POOL #735439 6% 09-01-2019 BEO
CUSIP: 31402RBG3 |
1,475,809.34 | 1,512,935.18 | 1,512,608.65 | |||||||||
FNMA POOL #735482 6% 02-01-2019 BEO
CUSIP: 31402RCT4 |
701,482.41 | 724,390.21 | 718,973.87 | |||||||||
FNMA POOL #735733 4.5% 10-01-2033 BEO
CUSIP: 31402RLN7 |
2,619,110.33 | 2,400,578.31 | 2,481,648.94 | |||||||||
FNMA POOL #735798 5.5% DUE 07-01-2020 REG
CUSIP: 31402RNP0 |
1,612,555.56 | 1,630,444.85 | 1,636,935.79 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
15
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 97 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
U.S. Government Securities |
||||||||||||
United States USD |
||||||||||||
FNMA POOL #735857 6.5% 06-01-2033 BEO
CUSIP: 31402RQJ1 |
1,772,682.92 | 1,832,995.67 | 1,833,103.04 | |||||||||
FNMA POOL #745329 6% 07-01-2035 BEO
CUSIP: 31403DA66 |
196,761.06 | 198,820.93 | 200,458.00 | |||||||||
FNMA POOL #773208 4.098% 12-01-2034 BEO
CUSIP: 31404NAH9 |
971,000.74 | 947,939.48 | 971,933.87 | |||||||||
FNMA POOL #825395 ADJ RT DUE 07-01-2035 BEO
CUSIP: 31407A7G0 |
1,868,990.10 | 1,835,333.66 | 1,876,544.56 | |||||||||
FNMA POOL #834927 5.045% 07-01-2035 BEO
CUSIP: 31407MSQ9 |
1,942,054.97 | 1,917,475.83 | 1,959,082.91 | |||||||||
FNMA POOL #888262 5.5% DUE 01-01-2022 BEO
CUSIP: 31410FZ32 |
841,954.63 | 843,335.96 | 852,974.13 | |||||||||
FNMA POOL #888560 6 11-01-2035 BEO
CUSIP: 31410GE90 |
3,014,656.63 | 2,990,633.59 | 3,067,382.97 | |||||||||
FNMA PREASSIGN 00619 7 06-25-2042
CUSIP: 31392DF49 |
84,936.68 | 89,462.20 | 89,681.16 | |||||||||
FNMA PREASSIGN 00717 6.5 09-25-2028
CUSIP: 31392CT61 |
1,462,272.72 | 1,498,029.84 | 1,495,441.45 | |||||||||
FNMA PREASSIGN 00837 7.5 04-25-2029
CUSIP: 31358S4W8 |
106,762.99 | 109,532.53 | 112,455.81 | |||||||||
FNMA REMIC SER 2003-W17 CL PT1 9.27556 08-25-2032
CUSIP: 31393UAN3 |
222,929.17 | 254,684.38 | 240,372.93 | |||||||||
FNMA SERIES 2001-W3 CLASS-A 7 09-25-2041
CUSIP: 3139216F0 |
99,911.42 | 108,560.03 | 104,069.23 | |||||||||
FNMA 2001-T10 CL A1 PASS THROUGH 7 12-25-2031
CUSIP: 3139216A1 |
102,942.75 | 107,404.66 | 107,428.27 | |||||||||
SMALL BUS ADMIN GTD DEV PARTN CTF DEB SER 1997-20 I
6.9/09-01-2017/09-01-2002 CUSIP: 83162CHT3 |
74,041.80 | 75,621.86 | 76,824.51 | |||||||||
SMALL BUSINESS ADMIN GTD DEV PARTN CTF DEB SER 1993-20 F
6.65 6-1-13/99 REG CUSIP: 83162CER0 |
81,198.27 | 86,021.45 | 82,618.43 | |||||||||
SMALL BUSINESS ADMIN GTD DEV PARTN CTF DEB SER 1997-20 F
7.2 6-1-17/00 REG CUSIP: 83162CHN6 |
50,297.58 | 52,153.95 | 52,404.85 | |||||||||
SMALL BUSINESS ADMIN GTD DEV PARTN CTF DEB SER 2000-20 C
7.625 03-01-2020 REG CUSIP: 83162CKQ5 |
485,271.06 | 523,704.54 | 516,122.65 | |||||||||
SMALL BUSINESS ADMIN GTD DEV PARTN CTF DEB SER 2003-20 B 0
DUE 02-01-2023 REG CUSIP: 83162CMU4 |
271,255.88 | 270,323.43 | 271,849.39 | |||||||||
SMALL BUSINESS ADMIN GTD DEV PARTN CTF SER 2005-20 A 4.86
DUE 01-01-2025 REG CUSIP: 83162CPG2 |
781,791.28 | 781,791.28 | 781,330.02 | |||||||||
SMALL BUSINESS ADMIN GTD DEV PARTN CTF 2006-20F PARTN CTF
5.82 06-01-2026 REG CUSIP: 83162CQH9 |
937,382.87 | 951,404.37 | 973,869.56 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
16
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 98 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
U.S. Government Securities |
||||||||||||
United States USD |
||||||||||||
SMALL BUSINESS ADMIN GTD DEV PARTN CTF 2007-20D PARTN CTF 5.32 DUE 04-01-27 REG CUSIP: 83162CQY2 |
483,975.13 | 483,975.13 | 488,997.34 | |||||||||
SMALL BUSINESS ADMIN GTD DEV PARTN CTF 6.1% DUE 07-01-2018/01-01-2007 REG CUSIP: 83162CJJ3 |
125,849.24 | 125,849.24 | 129,357.29 | |||||||||
UNITED STATES TREAS NTS DTD 02/18/2003 3% DUE 02-15-2008 REG CUSIP: 912828AT7 |
5,850,000.00 | 5,769,207.04 | 5,847,712.65 | |||||||||
UNITED STATES TREAS NTS DTD 12/15/2003 3.375% DUE 12-15-2008 REG CUSIP: 912828BT6 |
605,000.00 | 605,378.13 | 605,756.25 | |||||||||
UTD STATES TREAS NTS 3.75 NTS 15/05/2008USD1000 3.75 DUE 05-15-2008 REG CUSIP: 912828DT4 |
1,000,000.00 | 1,001,796.88 | 1,001,172.00 | |||||||||
Total United States USD |
57,835,726.62 | 58,199,094.09 | ||||||||||
Total U.S. Government Securities |
57,835,726.62 | 58,199,094.09 | ||||||||||
Corporate Debt Instruments Preferred |
||||||||||||
Luxembourg USD |
||||||||||||
PVTPL COVIDIEN INTL FIN S A SR NT 144A 6% DUE 10-15-2017 BEO CUSIP: 22303QAB6 |
200,000.00 | 199,854.00 | 206,946.80 | |||||||||
Total Luxembourg USD |
199,854.00 | 206,946.80 | ||||||||||
United Kingdom USD |
||||||||||||
HSBC HLDGS PLC NT 6.5% DUE 05-02-2036 BEO CUSIP: 404280AG4 |
475,000.00 | 494,081.00 | 461,783.13 | |||||||||
Total United Kingdom USD |
494,081.00 | 461,783.13 | ||||||||||
United States USD |
||||||||||||
AT&T CORP USD SR NT VAR RATE DUE 11-15-2031/11-14-2031 BEO CUSIP: 001957BD0 |
1,000,000.00 | 1,029,325.49 | 1,228,073.00 | |||||||||
BAC CAP TR XI BAC CAPITAL TRUST 6.625 20360 6.625% DUE 05-23-2036 BEO CUSIP: 056335AA0 |
475,000.00 | 501,997.25 | 462,119.90 | |||||||||
BANK ONE CAP III 8.75% BDS 01/09/30 USD 8.75% DUE 09-01-2030/08-31-2030 BEO CUSIP: 06423KAA9 |
350,000.00 | 422,215.50 | 405,248.55 | |||||||||
BANKAMERICA CAP II SER 2 8 BD DUE 12-15-2026/06 BEO CUSIP: 066048AA7 |
375,000.00 | 396,709.50 | 392,689.13 | |||||||||
BNSF RY CO 2006-2 PASS THRU TR PASS THRUCTF 5.629% DUE 04-01-2024 BEO CUSIP: 05565SAA2 |
282,732.83 | 282,732.83 | 280,977.06 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
17
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 99 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Debt Instruments Preferred |
||||||||||||
United States USD |
||||||||||||
BSTN PPTYS LTD PARTNERSHIP SR NT 6.25 DUE 01-15-2013/01-14-2013 BEO CUSIP: 10112RAB0 |
550,000.00 | 570,555.00 | 552,417.25 | |||||||||
BURL NORTHN SANTA FE RY CO PASS THRU TR SER 2000-1 8.251 DUE 01-15-2021 BEO CUSIP: 12189PAG7 |
379,703.62 | 389,659.06 | 440,619.47 | |||||||||
CITIGROUP INC CITIGROUP INC NOTE 6.125% DUE 11-21-2017 BEO CUSIP: 172967EM9 |
500,000.00 | 497,860.00 | 513,597.00 | |||||||||
DOW CHEM CO NT DTD 08/29/2002 6% DUE 10-01-2012/09-30-2012 BEO CUSIP: 260543BR3 |
375,000.00 | 408,145.00 | 389,821.50 | |||||||||
DOW CHEM CO 7.375 DUE 11-01-2029 BEO CUSIP: 260543BJ1 |
575,000.00 | 625,736.25 | 632,449.98 | |||||||||
HSBC HLDGS PLC HSBC HLDGS PLC 6.5 DUE 09-15-2037 BEO CUSIP: 404280AH2 |
275,000.00 | 274,348.25 | 266,537.98 | |||||||||
SLM STUDENT LN TR SER 2006-3 CL A4 FLT RT 07-25-2019 REG CUSIP: 78442GSC1 |
500,000.00 | 497,539.06 | 500,000.00 | |||||||||
SLM STUDENT LN TR 2006-7 STUDENT LN BKD NT CL A-2 10-25-2016 REG CUSIP: 78443GAB1 |
1,192,737.77 | 1,192,271.86 | 1,193,445.06 | |||||||||
SLM STUDENT LN TR 2007-7 STUDENT LN-BKD NT CL A-2 FLTG 01-25-2016 REG CUSIP: 78444EAB5 |
800,000.00 | 800,000.00 | 796,680.00 | |||||||||
ST PAUL COS INC SR NT 8.125 DUE 04-15-2010/04-17-2000 BEO CUSIP: 792860AD0 |
275,000.00 | 296,881.75 | 297,058.30 | |||||||||
ST PAUL TRAVELERS COS INC BD 5.5 DUE 12-01-2015 BEO CUSIP: 792860AH1 |
425,000.00 | 413,580.75 | 422,073.03 | |||||||||
TRAVELERS COS INC SR NT 5.75% DUE 12-15-2017/05-29-2007 CUSIP: 89417EAC3 |
275,000.00 | 274,279.50 | 270,508.43 | |||||||||
UN PAC RR CO PASS THRU TR PASS THRU CTF SER 1999-A 7.6 DUE 01-02-2020 BEO CUSIP: 907833AH0 |
749,914.77 | 749,914.77 | 843,181.67 | |||||||||
UN PAC RR CO 2006-1 PASS THRU TR SER 2006-1 5.866 DUE 07-02-2030 REG CUSIP: 90783WAA1 |
1,024,928.66 | 1,032,898.36 | 1,111,535.13 | |||||||||
WACHOVIA BK NATL ASSN MEDIUM TERM SUB BKTRANCHE # SB 00008 6 DUE 11-15-2017 CUSIP: 92976GAH4 |
425,000.00 | 421,612.75 | 427,839.85 | |||||||||
WACHOVIA CORP NEW SR NT FLT RT DUE 04-23-2012 BEO CUSIP: 929903DF6 |
1,050,000.00 | 1,050,000.00 | 1,017,855.30 | |||||||||
WELLPOINT INC NT 5.25% DUE 01-15-2016 BEO CUSIP: 94973VAK3 |
1,000,000.00 | 970,697.25 | 968,178.00 | |||||||||
WELLS FARGO & CO NEW WELLS FARGO CO 5.625% DUE 12-11-2017 BEO CUSIP: 949746NX5 |
475,000.00 | 473,024.00 | 475,290.23 | |||||||||
WYETH NT 5.45% DUE 04-01-2017 REG CUSIP: 983024AM2 |
350,000.00 | 349,275.50 | 354,021.15 | |||||||||
WYETH NT 5.5% DUE 02-15-2016/02-07-2006 REG CUSIP: 983024AJ9 |
150,000.00 | 150,139.50 | 152,442.45 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
18
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 100 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Debt Instruments Preferred |
||||||||||||
United States USD |
||||||||||||
WYETH WYE 5.50 02/01/2014 5.5 DUE 02-01-2014/12-16-2003 BEO CUSIP: 983024AE0 |
75,000.00 | 74,505.42 | 76,174.88 | |||||||||
Total United States USD |
14,145,904.60 | 14,470,834.30 | ||||||||||
Total Corporate Debt Instruments Preferred |
14,839,839.60 | 15,139,564.23 | ||||||||||
Corporate Debt Instruments Other |
||||||||||||
France USD |
||||||||||||
LAFARGE S A NT 6.5% DUE 07-15-2016 REG CUSIP: 505861AB0 |
450,000.00 | 449,115.50 | 443,808.45 | |||||||||
Total France USD |
449,115.50 | 443,808.45 | ||||||||||
Iceland USD |
||||||||||||
PVTPL KAUPTHING BK HF MEDIUM TERM SUB BKB TRANCHE # 01 7.125 DUE 05-19-2016 BEO CUSIP: 48632HAA5 |
800,000.00 | 805,086.00 | 733,403.20 | |||||||||
Total Iceland USD |
805,086.00 | 733,403.20 | ||||||||||
United States USD |
||||||||||||
AOL TIME WARNER INC DEB DTD 04/08/2002 7.7 DUE 05-01-2032 BEO CUSIP: 00184AAG0 |
1,319,000.00 | 1,445,649.22 | 1,465,481.55 | |||||||||
AOL TIME WARNER INC DEB DTD 04/19/2001 7.625% DUE 04-15-2031/04-14-2031 BEO CUSIP: 00184AAC9 |
800,000.00 | 886,452.00 | 885,296.00 | |||||||||
BK AMER N A CHARLOTTE N C MEDIUM TERM TRANCHE # TR 00229 5.3 DUE 03-15-2017 CUSIP: 06050TKN1 |
700,000.00 | 699,349.00 | 680,663.20 | |||||||||
BOSTON SCIENTIFIC CORP BOSTON SCIENTIFC 5.45% DUE 06-15-2014/06-25-2004 BEO CUSIP: 101137AB3 |
575,000.00 | 512,562.50 | 529,000.00 | |||||||||
BSTN PPTYS LTD PARTNERSHIP SR NT 5.625 DUE 04-15-2015/04-14-2015 BEO CUSIP: 10112RAF1 |
400,000.00 | 394,248.50 | 386,832.80 | |||||||||
BURL NTHN
SANTA FE CORP 4.875 DUE 01-15-2015 BEO CUSIP: 12189TAW4 |
375,000.00 | 351,783.00 | 358,678.50 | |||||||||
CAP1 FINL
CORP 6.75 DUE 09-15-2017 BEO CUSIP: 14040HAR6 |
975,000.00 | 977,719.75 | 935,142.98 | |||||||||
CIGNA CORP NT DTD 07/15/1998 STEP UP DUE1-15-33 BEO 8.3 TIL 1-15-23 8.08 AFTER CUSIP: 125509BE8 |
100,000.00 | 123,537.00 | 116,264.60 | |||||||||
CIGNA CORP SR NT 6.15 DUE 11-15-2036 BEO CUSIP: 125509BH1 |
200,000.00 | 203,498.00 | 185,563.00 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
19
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 101 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Debt Instruments Other |
||||||||||||
United States USD |
||||||||||||
CIGNA CORP SR NT 7 DUE 01-15-2011/01-14-2011 BEO CUSIP: 125509BF5 |
315,000.00 | 313,651.80 | 334,376.28 | |||||||||
CIGNA CORP 7.875 DEB DUE 05-15-2027 CUSIP: 125509AZ2 |
300,000.00 | 373,960.00 | 338,110.20 | |||||||||
COMCAST CORP NEW BD 5.85% DUE 11-15-2015/11-14-2005 BEO CUSIP: 20030NAJ0 |
325,000.00 | 326,079.00 | 327,333.18 | |||||||||
COMCAST CORP NEW BD 6.3 DUE 11-15-2017 BEO CUSIP: 20030NAU5 |
300,000.00 | 300,113.25 | 311,258.10 | |||||||||
COMCAST CORP NEW COMCAST CORPORATION 6.5% DUE 01-15-2017 BEO CUSIP: 20030NAP6 |
325,000.00 | 329,182.50 | 338,861.90 | |||||||||
COMCAST CORP NEW GTD NT 5.9% DUE 03-15-2016/03-02-2006 REG CUSIP: 20030NAL5 |
225,000.00 | 224,689.50 | 226,370.48 | |||||||||
COMCAST CORP NEW NT 5.3 DUE 01-15-2014/01-14-2014 BEO CUSIP: 20030NAE1 |
625,000.00 | 613,900.95 | 612,876.88 | |||||||||
COX COMMUNICATIONS INC NEW BD 5.5 DUE 10-01-2015/09-22-2003 BEO CUSIP: 224044BH9 |
275,000.00 | 275,166.00 | 269,169.45 | |||||||||
COX COMMUNICATIONS INC NEW NT 5.45% DUE 12-15-2014/05-17-2005 BEO CUSIP: 224044BM8 |
675,000.00 | 669,612.20 | 661,522.28 | |||||||||
DILLARD DEPT STORE 7.875 BD DUE 1-1-23 BEO CUSIP: 254063AR1 |
200,000.00 | 198,000.00 | 156,000.00 | |||||||||
DILLARD DEPT STORES INC 7.75 DEBDUE 05-15-2027 BEO CUSIP: 254063AW0 |
620,000.00 | 523,973.40 | 477,400.00 | |||||||||
FORD MTR CR CO LLC FORD MOTOR CREDIT CO 7.25% DUE 10-25-2011 BEO CUSIP: 345397TY9 |
1,250,000.00 | 1,234,297.48 | 1,082,698.75 | |||||||||
FORD MTR CR CO LLC GLOBAL LANDMARK SECS-GLOBLS 7.375% DUE 02-01-2011 BEO CUSIP: 345397TS2 |
950,000.00 | 879,252.50 | 850,730.70 | |||||||||
FORD MTR CR CO LLC NT 7.375% DUE 10-28-2009 BEO CUSIP: 345397SM6 |
200,000.00 | 213,626.00 | 188,249.20 | |||||||||
GEN MTRS ACCEP CORP NT DTD 09/12/2001 6.875 DUE 09-15-2011 BEO CUSIP: 370425RX0 |
2,375,000.00 | 2,243,911.29 | 2,031,798.25 | |||||||||
GENERAL MTRS ACCEP CORP GM 8% DUE 11-01-2031 BEO CUSIP: 370425RZ5 |
725,000.00 | 678,156.25 | 608,184.38 | |||||||||
GENERAL MTRS ACCEP CORP SR NT DTD 08/29/2002 6.875% DUE 08-28-2012 BEO CUSIP: 370425SE1 |
125,000.00 | 116,093.75 | 104,745.50 | |||||||||
HCA INC NT DTD 02/07/2006 6.5% DUE 02-15-2016/02-08-2006 REG CUSIP: 404119AR0 |
350,000.00 | 348,495.00 | 295,750.00 | |||||||||
HCA INC SR NT 5.75 DUE 03-15-2014 REG CUSIP: 404119AL3 |
1,950,000.00 | 1,887,231.00 | 1,618,500.00 | |||||||||
HEALTHNET INC SR NT 6.375% DUE 06-01-2017/05-18-2007 CUSIP: 422248AA2 |
200,000.00 | 197,274.00 | 195,039.80 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
20
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 102 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Debt Instruments Other |
||||||||||||
United States USD |
||||||||||||
LIBERTY MEDIA CORP SR DEB 8.5 DUE 07-15-2029/07-14-2029 BEO CUSIP: 530715AD3 |
375,000.00 | 370,459.50 | 367,309.88 | |||||||||
LIBERTY MEDIA CORP SR EXCHANGEABLE DEB 4% DUE 11-15-2029/11-15-2007 BEO CUSIP: 530715AG6 |
375,000.00 | 239,062.50 | 236,250.00 | |||||||||
LIBERTY
MEDIA CORP 8.25% DUE 02-01-2030 BEO CUSIP: 530715AJ0 |
300,000.00 | 293,708.25 | 287,892.30 | |||||||||
MAY DEPT STORES CO CO 6.7 DUE 09-15-2028BEO CUSIP: 577778BH5 |
725,000.00 | 717,737.00 | 639,587.03 | |||||||||
MAY DEPT STORES CO MAY DEPT STORES CO 6.9% DUE 01-15-2032 BEO CUSIP: 577778BQ5 |
325,000.00 | 332,091.50 | 297,376.63 | |||||||||
MAY DEPT STORES CO SR NT 6.7 DUE 07-15-2034/07-20-2004 BEO CUSIP: 577778CE1 |
80,000.00 | 78,268.80 | 72,167.36 | |||||||||
NORFOLK SOUTHN CORP NT 7.7 DUE 05-15-2017 REG CUSIP: 655844AE8 |
250,000.00 | 292,685.00 | 283,100.50 | |||||||||
PROVIDENT COS INC 7.25 DUE 03-15-2028 REG CUSIP: 743862AA2 |
125,000.00 | 124,786.25 | 130,240.50 | |||||||||
PVTPL COX COMM INC NEW /TS/COXENTCOX COMM INC 5.875 DUE 12-01-2016 CUSIP: 224044BQ9 |
375,000.00 | 376,494.25 | 372,797.25 | |||||||||
PVTPL OVERSEAS PVT INV CRP U S GVT GTD SER 1996 503-D TR ELTRK 6.05 1-15-09 EG CUSIP: 690353CJ4 |
82,221.34 | 82,221.34 | 83,244.17 | |||||||||
PVTPL UNUMPROVIDENT FIN CO PLC BD 144A 6.85% DUE 11-15-2015 BEO CUSIP: 91529MAA0 |
100,000.00 | 99,893.00 | 103,647.70 | |||||||||
SAFECO CORP SR NT 7.25 DUE 09-01-2012 BEO CUSIP: 786429AN0 |
170,000.00 | 193,460.40 | 183,192.00 | |||||||||
TIME WARNER INC 01-07-2008 CUSIP: 88732GA79 |
850,000.00 | 845,844.44 | 849,118.53 | |||||||||
TIME WARNER INC 01-22-2008 CUSIP: 88732GAN4 |
550,000.00 | 547,368.24 | 548,297.09 | |||||||||
UNUM CORP NT 6.75 DUE 12-15-2028 BEO CUSIP: 903192AA0 |
223,000.00 | 188,401.76 | 223,934.15 | |||||||||
UNUMPROVIDENT CORP SR NT 7.625% DUE 03-01-2011 BEO CUSIP: 91529YAC0 |
71,000.00 | 72,691.94 | 75,737.62 | |||||||||
XEROX CORP NT 6.875% DUE 08-15-2011/08-14-2011 BEO CUSIP: 984121BN2 |
1,150,000.00 | 1,177,250.00 | 1,203,048.35 | |||||||||
XEROX CORP SR NT 6.4% DUE 03-15-2016 REG CUSIP: 984121BP7 |
150,000.00 | 154,554.00 | 153,492.45 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
21
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 103 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Debt Instruments Other |
||||||||||||
United States USD |
||||||||||||
XEROX CORP SR NT 7.125% DUE 06-15-2010/06-14-2010 REG CUSIP: 984121BL6 |
450,000.00 | 467,394.23 | 471,457.80 | |||||||||
Total United States USD |
24,195,837.24 | 23,153,789.27 | ||||||||||
Total Corporate Debt Instruments Other |
25,450,038.74 | 24,331,000.92 | ||||||||||
Corporate Stock Common |
||||||||||||
Bermuda USD |
||||||||||||
CASTLEPOINT HOLDINGS LTD COM STK USD0.01 CUSIP: G19522112 |
19,208.00 | 274,997.15 | 230,496.00 | |||||||||
Total Bermuda USD |
274,997.15 | 230,496.00 | ||||||||||
Brazil USD |
||||||||||||
ADR EMBRAER-EMPRESA BRASILEIRA DE AERONAUTICA S A SPONSR ADR REPSTG PFDSHS CUSIP: 29081M102 |
6,900.00 | 310,316.12 | 314,571.00 | |||||||||
Total Brazil USD |
310,316.12 | 314,571.00 | ||||||||||
Canada USD |
||||||||||||
LULULEMON ATHLETICA INC COM CUSIP: 550021109 |
2,300.00 | 41,400.00 | 108,951.00 | |||||||||
MAGNA INTL INC CL A CUSIP: 559222401 |
2,700.00 | 197,462.61 | 217,161.00 | |||||||||
NOVA CHEMICALS CORP COM CUSIP: 66977W109 |
4,700.00 | 117,973.09 | 152,280.00 | |||||||||
POTASH CORP SASK INC COM CUSIP: 73755L107 |
3,500.00 | 423,906.01 | 503,860.00 | |||||||||
RESEARCH IN MOTION LTD COM CUSIP: 760975102 |
45,760.00 | 3,894,533.81 | 5,189,184.00 | |||||||||
SXC HEALTH SOLUTIONS CORP COM CUSIP: 78505P100 |
11,587.00 | 244,787.31 | 168,011.50 | |||||||||
Total Canada USD |
4,920,062.83 | 6,339,447.50 | ||||||||||
China USD |
||||||||||||
GDR TRINA SOLAR LTD SPONSORED ADR CUSIP: 89628E104 |
6,090.00 | 270,470.60 | 327,642.00 | |||||||||
Total China USD |
270,470.60 | 327,642.00 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
22
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 104 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Stock Common |
||||||||||||
Europe Region USD |
||||||||||||
CENT EUROPEAN MEDIA ENTERPRISES LTD NEW COM STK CUSIP: G20045202 |
3,680.00 | 201,770.44 | 426,806.40 | |||||||||
Total Europe Region USD |
201,770.44 | 426,806.40 | ||||||||||
Finland USD |
||||||||||||
ADR NOKIA CORP SPONSORED ADR CUSIP: 654902204 |
67,000.00 | 2,363,752.61 | 2,572,130.00 | |||||||||
Total Finland USD |
2,363,752.61 | 2,572,130.00 | ||||||||||
France USD |
||||||||||||
ADR SANOFI-AVENTIS SPONSORED ADR CUSIP: 80105N105 |
125,200.00 | 5,485,956.34 | 5,700,356.00 | |||||||||
ADR TOTAL SA CUSIP: 89151E109 |
3,000.00 | 186,705.71 | 247,800.00 | |||||||||
THOMSON SA SPONSORED ADR CUSIP: 885118109 |
15,200.00 | 381,650.15 | 213,104.00 | |||||||||
Total France USD |
6,054,312.20 | 6,161,260.00 | ||||||||||
Germany USD |
||||||||||||
DEUTSCHE BK AG COM STK ISIN DE0005140008 SDL 505964X CUSIP: D18190898 |
1,600.00 | 220,371.36 | 207,056.00 | |||||||||
Total Germany USD |
220,371.36 | 207,056.00 | ||||||||||
Ireland USD |
||||||||||||
ADR ELAN CORP PLC ADR REPSTG SHS CUSIP: 284131208 |
11,700.00 | 251,990.71 | 257,166.00 | |||||||||
ADR ICON PUB LTD CO CUSIP: 45103T107 |
4,071.00 | 236,101.33 | 251,832.06 | |||||||||
Total Ireland USD |
488,092.04 | 508,998.06 | ||||||||||
Israel USD |
||||||||||||
ADR TEVA PHARMACEUTICAL INDS CUSIP: 881624209 |
38,400.00 | 1,588,396.26 | 1,784,832.00 | |||||||||
Total Israel USD |
1,588,396.26 | 1,784,832.00 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
23
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 105 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Stock Common |
||||||||||||
Japan USD |
||||||||||||
ADR HITACHI LTD A.D.R. FOR 10 COM CUSIP: 433578507 |
28,700.00 | 1,724,605.41 | 2,099,118.00 | |||||||||
ADR KYOCERA CORP A.D.R. FOR COM CUSIP: 501556203 |
6,700.00 | 560,279.46 | 584,374.00 | |||||||||
ADR MATSUSHITA ELEC INDL LTD ADR CUSIP: 576879209 |
236,900.00 | 3,524,116.83 | 4,842,236.00 | |||||||||
ADR SONY CORP AMERN SH NEW CUSIP: 835699307 |
92,700.00 | 3,366,682.81 | 5,033,610.00 | |||||||||
Total Japan USD |
9,175,684.51 | 12,559,338.00 | ||||||||||
Luxembourg USD |
||||||||||||
ADR ARCELORMITTAL SA LUXEMBOURG N Y REGISTRY SHS CUSIP: 03938L104 |
4,600.00 | 184,432.40 | 355,810.00 | |||||||||
Total Luxembourg USD |
184,432.40 | 355,810.00 | ||||||||||
Mexico USD |
||||||||||||
ADR CEMEX SAB DE CV CUSIP: 151290889 |
28,994.00 | 884,867.67 | 749,494.90 | |||||||||
AMER MOVIL SAB DE C V SPONSORED ADR REPSTG SER L SHS CUSIP: 02364W105 |
5,800.00 | 328,417.01 | 356,062.00 | |||||||||
Total Mexico USD |
1,213,284.68 | 1,105,556.90 | ||||||||||
Netherlands USD |
||||||||||||
ADR AEGON N V NY REGISTRY SHS SHS CUSIP: 007924103 |
62,318.00 | 841,860.68 | 1,092,434.54 | |||||||||
ADR KONINKLIJKE PHILIPS ELECTRS N V N Y REGISTRY SH NEW 2000 CUSIP: 500472303 |
24,400.00 | 838,182.36 | 1,043,100.00 | |||||||||
CORE LAB NV NLG0.03 CUSIP: N22717107 |
3,740.00 | 378,230.46 | 466,452.80 | |||||||||
EURAND N.V. EUR0.01 CUSIP: N31010106 |
13,649.00 | 217,701.60 | 215,654.20 | |||||||||
Total Netherlands USD |
2,275,975.10 | 2,817,641.54 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
24
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 106 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Stock Common |
||||||||||||
Singapore USD |
||||||||||||
FLEXTRONICS INTL LTD COM STK CUSIP: Y2573F102 |
18,900.00 | 195,975.99 | 227,934.00 | |||||||||
VERIGY LTD ORD SHS CUSIP: Y93691106 |
12,910.00 | 328,290.24 | 350,764.70 | |||||||||
Total Singapore USD |
524,266.23 | 578,698.70 | ||||||||||
Switzerland USD |
||||||||||||
ADR ABB LTD SPONSORED ADR CUSIP: 000375204 |
83,100.00 | 2,236,458.89 | 2,393,280.00 | |||||||||
ADR NOVARTIS AG CUSIP: 66987V109 |
92,200.00 | 5,068,332.08 | 5,007,382.00 | |||||||||
ADR ROCHE HLDG LTD SPONSORED ADR ISIN #US771195104 CUSIP: 771195104 |
9,700.00 | 597,156.04 | 837,927.71 | |||||||||
ALCON INC COM CHF0.20 CUSIP: H01301102 |
20,480.00 | 1,873,699.66 | 2,929,459.20 | |||||||||
Total Switzerland USD |
9,775,646.67 | 11,168,048.91 | ||||||||||
United Kingdom USD |
||||||||||||
ADR ASTRAZENECA PLC SPONSORED ADR UK CUSIP: 046353108 |
12,800.00 | 652,084.42 | 548,096.00 | |||||||||
ADR BP P L C SPONSORED ADR CUSIP: 055622104 |
3,400.00 | 211,781.78 | 248,778.00 | |||||||||
ADR GLAXOSMITHKLINE PLC SPONSORED ADR CUSIP: 37733W105 |
86,300.00 | 4,201,431.16 | 4,348,657.00 | |||||||||
ADR HSBC HLDGS PLC SPONSORED ADR NEW CUSIP: 404280406 |
23,100.00 | 2,126,942.73 | 1,933,701.00 | |||||||||
ADR ROYAL DUTCH SHELL PLC SPONSORED ADR REPSTG A SHS CUSIP: 780259206 |
3,400.00 | 237,059.22 | 286,280.00 | |||||||||
ADR ROYAL DUTCH SHELL PLC SPONSORED ADR REPSTG B SHS CUSIP: 780259107 |
10,800.00 | 721,059.36 | 896,400.00 | |||||||||
ADR VODAFONE GROUP PLC NEW SPONSORED ADRNEW ADR CUSIP: 92857W209 |
8,500.00 | 241,225.75 | 317,220.00 | |||||||||
Total United Kingdom USD |
8,391,584.42 | 8,579,132.00 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
25
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 107 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Stock Common |
||||||||||||
United States USD |
||||||||||||
#REORG/ECHOSTAR COMMUNICATIONS CORP N/C TO DISH NETWORK CORP 2038893
EFF 1/22/08 CUSIP: 278762109 |
26,000.00 | 786,665.50 | 980,720.00 | |||||||||
#REORG/GOLDEN TELECOM INC CASH MERGER EFF 2/29/08 CUSIP: 38122G107 |
3,465.00 | 195,875.53 | 349,791.75 | |||||||||
#REORG/MACROVISION CORP MAND EXCH TO MACROVISION SOL HLDG CORP
2041492 5/5/08 CUSIP: 555904101 |
9,705.00 | 283,780.87 | 177,892.65 | |||||||||
ABBOTT LAB COM CUSIP: 002824100 |
99,075.00 | 5,120,014.76 | 5,563,061.25 | |||||||||
ACCENTURE LTD BERMUDA CLS A COM CUSIP: G1150G111 |
4,600.00 | 152,513.46 | 165,738.00 | |||||||||
ACE LTD ORD STK USD0.0416 CUSIP: G0070K103 |
5,800.00 | 347,039.68 | 358,324.00 | |||||||||
ADOBE SYS INC COM CUSIP: 00724F101 |
101,925.00 | 3,964,239.56 | 4,355,255.25 | |||||||||
ADR INFOSYS TECHNOLOGIES LTD SPONSORED ADR REPSTG 1 EQUITY SH
CUSIP: 456788108 |
8,500.00 | 443,229.64 | 385,560.00 | |||||||||
ADR ROYAL DUTCH SHELL PLC SPONSORED ADR REPSTG A SHS CUSIP: 780259206 |
17,600.00 | 877,918.56 | 1,481,920.00 | |||||||||
AFFILIATED MANAGERS GROUP INC COM STK CUSIP: 008252108 |
5,780.00 | 439,541.94 | 678,918.80 | |||||||||
AIR PROD & CHEM INC COM CUSIP: 009158106 |
35,950.00 | 3,001,059.23 | 3,545,748.50 | |||||||||
AKAMAI TECHNOLOGIES INC COM STK CUSIP: 00971T101 |
11,800.00 | 504,771.28 | 408,280.00 | |||||||||
ALCOA INC COM STK CUSIP: 013817101 |
19,200.00 | 612,340.24 | 701,760.00 | |||||||||
ALLEGHENY ENERGY INC COM CUSIP: 017361106 |
1,700.00 | 78,198.98 | 108,137.00 | |||||||||
ALLEGIANT TRAVEL CO COM CUSIP: 01748X102 |
10,581.00 | 340,841.05 | 340,073.34 | |||||||||
ALLIED WASTE INDS INC COM PAR $0.01 NEW COM PAR $0.01 NEW
CUSIP: 019589308 |
17,500.00 | 197,496.25 | 192,850.00 | |||||||||
ALLSCRIPTS HEALTHCARE SOLUTIONS INC COM CUSIP: 01988P108 |
4,573.00 | 119,251.84 | 88,807.66 | |||||||||
ALLSTATE CORP COM CUSIP: 020002101 |
7,800.00 | 432,112.36 | 407,394.00 | |||||||||
ALTRIA GROUP INC COM CUSIP: 02209S103 |
19,200.00 | 1,141,414.73 | 1,451,136.00 | |||||||||
AMAG PHARMACEUTICALS INC COM STK CUSIP: 00163U106 |
2,825.00 | 155,156.13 | 169,867.25 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
26
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 108 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Stock Common |
||||||||||||
United States USD |
||||||||||||
AMBAC FNCL GROUP COM STK CUSIP: 023139108 |
3,300.00 | 295,688.58 | 85,041.00 | |||||||||
AMEDISYS INC COM CUSIP: 023436108 |
6,160.00 | 225,664.46 | 298,883.20 | |||||||||
AMERICAN EXPRESS CO CUSIP: 025816109 |
9,900.00 | 446,611.84 | 514,998.00 | |||||||||
AMERICAN INTERNATIONAL GROUP CUSIP: 026874107 |
85,000.00 | 5,453,781.37 | 4,955,500.00 | |||||||||
AMERICAN PUB ED INC COM STK CUSIP: 02913V103 |
3,239.00 | 70,517.81 | 135,325.42 | |||||||||
AMERIGON INC COM CUSIP: 03070L300 |
16,413.00 | 299,771.12 | 346,970.82 | |||||||||
AMERN ORIENTAL BIOENGINEERING INC COM STK CUSIP: 028731107 |
29,580.00 | 351,500.39 | 327,746.40 | |||||||||
AMGEN INC COM CUSIP: 031162100 |
34,700.00 | 1,737,556.55 | 1,611,468.00 | |||||||||
ANIMAL HEALTH INTL INC COM CUSIP: 03525N109 |
26,100.00 | 288,834.00 | 321,030.00 | |||||||||
ANIXTER INTL INC COM CUSIP: 035290105 |
2,598.00 | 161,715.78 | 161,777.46 | |||||||||
APPLE INC CUSIP: 037833100 |
49,760.00 | 2,840,977.02 | 9,856,460.80 | |||||||||
ARENA RES INC COM CUSIP: 040049108 |
6,322.00 | 150,808.72 | 263,690.62 | |||||||||
ARROW ELECTR INC COM CUSIP: 042735100 |
6,700.00 | 257,497.77 | 263,176.00 | |||||||||
AT&T INC COM CUSIP: 00206R102 |
43,500.00 | 1,253,828.85 | 1,807,860.00 | |||||||||
AUTOLIV INC COM STK CUSIP: 052800109 |
4,000.00 | 234,050.80 | 210,840.00 | |||||||||
AVIS BUDGET GROUP INC COM STK CUSIP: 053774105 |
5,000.00 | 128,798.00 | 65,000.00 | |||||||||
AVNET INC COM CUSIP: 053807103 |
6,200.00 | 220,660.48 | 216,814.00 | |||||||||
AVON PRODUCTS INC COM USD0.25 CUSIP: 054303102 |
27,100.00 | 783,559.11 | 1,071,263.00 | |||||||||
BAKER HUGHES INC COM CUSIP: 057224107 |
75,950.00 | 5,096,675.75 | 6,159,545.00 | |||||||||
BALDOR ELEC CO COM CUSIP: 057741100 |
7,165.00 | 286,683.25 | 241,173.90 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
27
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 109 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Stock Common |
||||||||||||
United States USD |
||||||||||||
BANK OF AMERICA CORP CUSIP: 060505104 |
53,055.00 | 2,073,602.57 | 2,189,049.30 | |||||||||
BARNES GROUP INC COM CUSIP: 067806109 |
11,122.00 | 359,638.25 | 371,363.58 | |||||||||
BAXTER INTL INC COM CUSIP: 071813109 |
13,100.00 | 667,173.16 | 760,455.00 | |||||||||
BE AEROSPACE INC COM CUSIP: 073302101 |
10,265.00 | 218,951.71 | 543,018.50 | |||||||||
BEST BUY INC COM STK CUSIP: 086516101 |
11,100.00 | 569,195.18 | 584,415.00 | |||||||||
BLUE COAT SYS INC COM NEW CUSIP: 09534T508 |
3,186.00 | 113,471.74 | 104,723.82 | |||||||||
BMC SOFTWARE INC COM STK CUSIP: 055921100 |
31,100.00 | 453,289.22 | 1,108,404.00 | |||||||||
BOEING CO COM CUSIP: 097023105 |
17,950.00 | 1,319,578.17 | 1,569,907.00 | |||||||||
BORG WARNER INC COM CUSIP: 099724106 |
5,600.00 | 154,010.08 | 271,096.00 | |||||||||
BOSTON SCIENTIFIC CORP COM CUSIP: 101137107 |
126,700.00 | 1,805,129.66 | 1,473,521.00 | |||||||||
BRISTOL MYERS SQUIBB CO COM CUSIP: 110122108 |
65,200.00 | 1,540,454.34 | 1,729,104.00 | |||||||||
BROADCOM CORP CL A CL A CUSIP: 111320107 |
88,975.00 | 2,680,817.24 | 2,325,806.50 | |||||||||
BRUNSWICK CORP COM CUSIP: 117043109 |
4,300.00 | 94,740.18 | 73,315.00 | |||||||||
CA INC COM CUSIP: 12673P105 |
78,746.00 | 2,094,719.16 | 1,964,712.70 | |||||||||
CAMERON INTL CORP COM STK CUSIP: 13342B105 |
4,600.00 | 218,038.54 | 221,398.00 | |||||||||
CAP1 FNCL COM CUSIP: 14040H105 |
72,600.00 | 3,890,012.55 | 3,431,076.00 | |||||||||
CAPELLA ED CO COM CUSIP: 139594105 |
3,850.00 | 244,454.39 | 252,021.00 | |||||||||
CARDINAL HLTH INC CUSIP: 14149Y108 |
72,000.00 | 3,981,799.57 | 4,158,000.00 | |||||||||
CARMAX INC COM CUSIP: 143130102 |
18,200.00 | 362,987.33 | 359,450.00 | |||||||||
CARRIZO OIL & GAS INC COM CUSIP: 144577103 |
7,745.00 | 316,551.89 | 424,038.75 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
28
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 110 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Stock Common |
||||||||||||
United States USD |
||||||||||||
CATERPILLAR INC COM CUSIP: 149123101 |
3,000.00 | 228,097.20 | 217,680.00 | |||||||||
CBS CORP NEW CL B CUSIP: 124857202 |
12,000.00 | 298,817.37 | 327,000.00 | |||||||||
CELERA GROUP COM CUSIP: 038020202 |
10,400.00 | 173,583.70 | 165,048.00 | |||||||||
CELGENE CORP COM CUSIP: 151020104 |
58,507.00 | 3,113,908.71 | 2,703,608.47 | |||||||||
CENT EUROPEAN DISTR CORP COM STK CUSIP: 153435102 |
10,935.00 | 274,592.06 | 635,104.80 | |||||||||
CENTENNIAL COMMUNICATIONS CORP NEW CUSIP: 15133V208 |
29,325.00 | 292,058.68 | 272,429.25 | |||||||||
CENTEX CORP COM CUSIP: 152312104 |
42,000.00 | 2,403,849.83 | 1,060,920.00 | |||||||||
CHATTEM INC COM CUSIP: 162456107 |
3,422.00 | 235,406.30 | 258,497.88 | |||||||||
CHEVRON CORP COM CUSIP: 166764100 |
72,411.00 | 3,436,692.01 | 6,758,118.63 | |||||||||
CHUBB CORP COM CUSIP: 171232101 |
39,600.00 | 1,453,993.46 | 2,161,368.00 | |||||||||
CIENA CORP COM NEW COM NEW CUSIP: 171779309 |
9,500.00 | 335,065.11 | 324,045.00 | |||||||||
CISCO SYSTEMS INC CUSIP: 17275R102 |
220,600.00 | 5,624,495.53 | 5,971,642.00 | |||||||||
CIT GROUP INC NEW COM CUSIP: 125581108 |
7,200.00 | 312,139.13 | 173,016.00 | |||||||||
CITIGROUP INC COM CUSIP: 172967101 |
118,600.00 | 5,456,011.64 | 3,491,584.00 | |||||||||
CITRIX SYS INC COM CUSIP: 177376100 |
18,400.00 | 616,887.10 | 699,384.00 | |||||||||
CME GROUP INC COM STK CUSIP: 12572Q105 |
5,880.00 | 3,187,846.13 | 4,033,680.00 | |||||||||
COACH INC COM CUSIP: 189754104 |
18,100.00 | 508,332.40 | 553,498.00 | |||||||||
COCA COLA CO COM CUSIP: 191216100 |
28,200.00 | 1,754,331.83 | 1,730,634.00 | |||||||||
COLGATE-PALMOLIVE CO COM CUSIP: 194162103 |
30,900.00 | 2,121,017.02 | 2,408,964.00 | |||||||||
COMCAST CORP NEW CL A CL A CUSIP: 20030N101 |
401,635.00 | 7,489,055.81 | 7,333,855.10 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
29
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 111 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Stock Common |
||||||||||||
United States USD |
||||||||||||
COMERICA INC COM CUSIP: 200340107 |
13,700.00 | 762,816.62 | 596,361.00 | |||||||||
COMPUTER SCI CORP COM CUSIP: 205363104 |
32,500.00 | 1,163,364.93 | 1,607,775.00 | |||||||||
COMPUWARE CORP COM CUSIP: 205638109 |
110,300.00 | 776,610.04 | 979,464.00 | |||||||||
COMTECH TELECOMMUNICATIONS CORP COM NEW CUSIP: 205826209 |
4,790.00 | 257,675.98 | 258,707.90 | |||||||||
CONCEPTUS INC COM CUSIP: 206016107 |
19,260.00 | 403,662.00 | 370,562.40 | |||||||||
CONCHO RES INC COM STK CUSIP: 20605P101 |
18,640.00 | 322,552.34 | 384,170.40 | |||||||||
CONOCOPHILLIPS COM CUSIP: 20825C104 |
43,000.00 | 1,823,089.89 | 3,796,900.00 | |||||||||
CONS GRAPHICS INC COM CUSIP: 209341106 |
2,740.00 | 195,608.43 | 131,026.80 | |||||||||
CONSECO INC COM NEW STK CUSIP: 208464883 |
23,900.00 | 481,180.98 | 300,184.00 | |||||||||
COSTCO WHOLESALE CORP NEW COM CUSIP: 22160K105 |
7,000.00 | 416,411.70 | 488,320.00 | |||||||||
COVIDIEN LTD COM STK CUSIP: G2552X108 |
63,650.00 | 2,414,148.81 | 2,819,058.50 | |||||||||
CROCS INC COM CUSIP: 227046109 |
14,250.00 | 237,841.69 | 524,542.50 | |||||||||
CROWN HLDGS INC COM CUSIP: 228368106 |
5,000.00 | 93,607.85 | 128,250.00 | |||||||||
CUMMINS INC CUSIP: 231021106 |
4,675.00 | 613,603.72 | 595,454.75 | |||||||||
CVS CAREMARK CORP COM STK CUSIP: 126650100 |
11,100.00 | 436,314.96 | 441,225.00 | |||||||||
DEALERTRACK HLDGS INC COM STK CUSIP: 242309102 |
10,005.00 | 291,440.14 | 334,867.35 | |||||||||
DEERE & CO COM CUSIP: 244199105 |
39,850.00 | 2,716,623.55 | 3,710,832.00 | |||||||||
DELL INC COM STK CUSIP: 24702R101 |
5,800.00 | 168,115.32 | 142,158.00 | |||||||||
DEVON ENERGY CORP NEW COM CUSIP: 25179M103 |
13,050.00 | 1,129,031.54 | 1,160,275.50 | |||||||||
DISCOVER FINL SVCS COM STK CUSIP: 254709108 |
6,000.00 | 112,235.40 | 90,480.00 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
30
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 112 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Stock Common |
||||||||||||
United States USD |
||||||||||||
DISNEY WALT CO COM CUSIP: 254687106 |
30,800.00 | 851,853.82 | 994,224.00 | |||||||||
DOMTAR CORP COM CUSIP: 257559104 |
45,500.00 | 351,659.95 | 349,895.00 | |||||||||
DOW CHEMICAL CO COM CUSIP: 260543103 |
95,500.00 | 3,358,180.94 | 3,764,610.00 | |||||||||
DU PONT E I DE NEMOURS & CO COM STK CUSIP: 263534109 |
9,300.00 | 464,739.98 | 410,037.00 | |||||||||
EASTMAN CHEM CO COM CUSIP: 277432100 |
1,800.00 | 116,253.49 | 109,962.00 | |||||||||
EATON CORP COM CUSIP: 278058102 |
3,700.00 | 244,664.35 | 358,715.00 | |||||||||
EBAY INC COM CUSIP: 278642103 |
60,300.00 | 1,894,579.00 | 2,001,357.00 | |||||||||
ELECTR ARTS COM CUSIP: 285512109 |
11,400.00 | 568,070.03 | 665,874.00 | |||||||||
ELECTR DATA SYS CORP NEW COM CUSIP: 285661104 |
193,900.00 | 4,308,280.95 | 4,019,547.00 | |||||||||
ELI LILLY & CO COM CUSIP: 532457108 |
24,400.00 | 1,392,779.67 | 1,302,716.00 | |||||||||
EMC CORP COM CUSIP: 268648102 |
101,275.00 | 2,156,612.19 | 1,876,625.75 | |||||||||
EMERSON ELECTRIC CO COM CUSIP: 291011104 |
19,100.00 | 915,798.06 | 1,082,206.00 | |||||||||
EMULEX CORP COM NEW CUSIP: 292475209 |
15,170.00 | 300,125.93 | 247,574.40 | |||||||||
ENTERGY CORP NEW COM CUSIP: 29364G103 |
10,400.00 | 965,791.30 | 1,243,008.00 | |||||||||
EOG RESOURCES INC COM CUSIP: 26875P101 |
26,100.00 | 2,184,050.62 | 2,329,425.00 | |||||||||
EXELON CORP COM CUSIP: 30161N101 |
16,200.00 | 981,252.69 | 1,322,568.00 | |||||||||
EXXON MOBIL CORP COM CUSIP: 30231G102 |
30,900.00 | 1,527,948.14 | 2,895,021.00 | |||||||||
F P L GROUP INC COM CUSIP: 302571104 |
5,500.00 | 233,563.13 | 372,790.00 | |||||||||
FAMILY DLR STORES INC COM CUSIP: 307000109 |
7,500.00 | 237,420.60 | 144,225.00 | |||||||||
FED HOME LN MTG CORP COM STK CUSIP: 313400301 |
47,200.00 | 2,472,670.50 | 1,608,104.00 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
31
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 113 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Stock Common |
||||||||||||
United States USD |
||||||||||||
FEDEX CORP COM CUSIP: 31428X106 |
41,600.00 | 2,899,072.38 | 3,709,472.00 | |||||||||
FIDELITY NATIONAL FINANCIAL INC CL A CUSIP: 31620R105 |
4,800.00 | 121,126.56 | 70,128.00 | |||||||||
FIRST CASH FINANCIAL SERVICES INC CUSIP: 31942D107 |
12,595.00 | 297,500.61 | 184,894.60 | |||||||||
FIRST MERCURY FINL CORP COM CUSIP: 320841109 |
12,765.00 | 219,064.25 | 311,466.00 | |||||||||
FLUOR CORP NEW COM CUSIP: 343412102 |
23,750.00 | 2,855,835.02 | 3,460,850.00 | |||||||||
FNMA COM STK CUSIP: 313586109 |
10,000.00 | 569,134.32 | 399,800.00 | |||||||||
FORMFACTOR INC COM STK CUSIP: 346375108 |
7,872.00 | 310,972.92 | 260,563.20 | |||||||||
FRKLN RES INC COM CUSIP: 354613101 |
27,250.00 | 2,572,501.51 | 3,118,217.50 | |||||||||
GANNETT INC COM CUSIP: 364730101 |
7,900.00 | 342,541.97 | 308,100.00 | |||||||||
GAP INC COM CUSIP: 364760108 |
117,500.00 | 1,936,318.84 | 2,500,400.00 | |||||||||
GEN MILLS INC COM CUSIP: 370334104 |
5,000.00 | 244,199.00 | 285,000.00 | |||||||||
GENENTECH INC COM STK CUSIP: 368710406 |
35,975.00 | 2,280,680.43 | 2,412,843.25 | |||||||||
GENERAL DYNAMICS CORP COM CUSIP: 369550108 |
15,350.00 | 1,227,095.60 | 1,365,996.50 | |||||||||
GENERAL ELECTRIC CO CUSIP: 369604103 |
140,300.00 | 4,728,630.69 | 5,200,921.00 | |||||||||
GENERAL MOTORS CORP COMMON STOCK CUSIP: 370442105 |
11,300.00 | 364,207.49 | 281,257.00 | |||||||||
GENOPTIX INC COM CUSIP: 37243V100 |
5,060.00 | 89,712.17 | 155,342.00 | |||||||||
GENUINE PARTS CO COM CUSIP: 372460105 |
24,300.00 | 772,781.28 | 1,125,090.00 | |||||||||
GENWORTH FINL INC COM CL A CUSIP: 37247D106 |
76,300.00 | 2,197,196.72 | 1,941,835.00 | |||||||||
GEO GROUP INC COM STK CUSIP: 36159R103 |
12,346.00 | 339,177.75 | 345,688.00 | |||||||||
GFI GROUP INC COM STK CUSIP: 361652209 |
4,448.00 | 153,657.02 | 425,762.56 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
32
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 114 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Stock Common |
||||||||||||
United States USD |
||||||||||||
GILEAD SCI INC COM CUSIP: 375558103 |
134,075.00 | 3,474,493.84 | 6,168,790.75 | |||||||||
GOLDMAN SACHS GROUP INC COM CUSIP: 38141G104 |
11,955.00 | 1,787,524.65 | 2,570,922.75 | |||||||||
GOOGLE INC CL A CL A CUSIP: 38259P508 |
17,400.00 | 6,311,898.10 | 12,031,752.00 | |||||||||
GULFMARK OFFSHORE INC COM CUSIP: 402629109 |
6,548.00 | 330,411.81 | 306,380.92 | |||||||||
HANSEN NAT CORP COM CUSIP: 411310105 |
7,720.00 | 248,706.64 | 341,918.80 | |||||||||
HARTFORD FINL SVCS GROUP INC COM CUSIP: 416515104 |
6,500.00 | 536,725.33 | 566,735.00 | |||||||||
HEALTHEXTRAS INC COM STK CUSIP: 422211102 |
5,035.00 | 100,609.69 | 131,312.80 | |||||||||
HEICO CORP NEW CL A CL A CUSIP: 422806208 |
8,810.00 | 222,019.42 | 375,306.00 | |||||||||
HEWLETT PACKARD CO COM CUSIP: 428236103 |
312,500.00 | 9,610,911.44 | 15,775,000.00 | |||||||||
HLTH MGMT ASSOC INC NEW CL A COM CUSIP: 421933102 |
41,900.00 | 871,245.42 | 250,562.00 | |||||||||
HMS HLDGS CORP COM CUSIP: 40425J101 |
11,415.00 | 318,028.28 | 379,092.15 | |||||||||
HOLOGIC INC COM CUSIP: 436440101 |
26,620.00 | 1,713,498.21 | 1,827,196.80 | |||||||||
HOME DEPOT INC COM CUSIP: 437076102 |
136,762.00 | 4,593,831.22 | 3,684,368.28 | |||||||||
HONEYWELL INTL INC COM STK CUSIP: 438516106 |
53,650.00 | 2,966,831.43 | 3,303,230.50 | |||||||||
HORSEHEAD HLDG CORP COM STK CUSIP: 440694305 |
13,610.00 | 299,832.05 | 230,961.70 | |||||||||
HUMANA INC COM CUSIP: 444859102 |
13,275.00 | 953,004.73 | 999,740.25 | |||||||||
ICONIX BRAND GROUP INC COM CUSIP: 451055107 |
15,371.00 | 243,883.64 | 302,193.86 | |||||||||
IDEARC INC COM STK CUSIP: 451663108 |
19,900.00 | 592,227.15 | 349,444.00 | |||||||||
ILLUMINA INC COM CUSIP: 452327109 |
4,860.00 | 108,253.82 | 288,003.60 | |||||||||
IMMUCOR INC COM STK CUSIP: 452526106 |
13,039.00 | 276,624.86 | 443,195.61 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
33
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 115 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Stock Common |
||||||||||||
United States USD |
||||||||||||
INGERSOLL-RAND CO CL A COM STK CUSIP: G4776G101 |
5,600.00 | 260,578.29 | 260,232.00 | |||||||||
INTEGRA LIFESCIENCES HLDG CORP COM DESP CUSIP: 457985208 |
4,910.00 | 191,610.16 | 205,876.30 | |||||||||
INTEL CORP COM CUSIP: 458140100 |
40,200.00 | 1,020,914.19 | 1,071,732.00 | |||||||||
INTERCONTINENTALEXCHANGE INC COM CUSIP: 45865V100 |
5,525.00 | 837,733.89 | 1,063,562.50 | |||||||||
INTERNAP DELAWARE INC COM PAR $.001 COM STK CUSIP: 45885A300 |
21,525.00 | 320,836.33 | 179,303.25 | |||||||||
INTERNATIONAL BUSINESS MACHS CORP COM COM CUSIP: 459200101 |
3,900.00 | 316,797.00 | 421,590.00 | |||||||||
INTERPUBLIC GROUP COMPANIES INC COM CUSIP: 460690100 |
158,600.00 | 1,612,850.96 | 1,286,246.00 | |||||||||
INTL GAME TECH COM CUSIP: 459902102 |
9,800.00 | 441,279.97 | 430,514.00 | |||||||||
INVENTIV HEALTH INC COM STK CUSIP: 46122E105 |
9,785.00 | 257,325.38 | 302,943.60 | |||||||||
INVERNESS MED INNOVATIONS INC COM CUSIP: 46126P106 |
8,365.00 | 362,057.92 | 469,945.70 | |||||||||
I2 TECHNOLOGIES INC COM NEW CUSIP: 465754208 |
15,110.00 | 260,807.89 | 190,386.00 | |||||||||
JOHNSON & JOHNSON COM CUSIP: 478160104 |
24,800.00 | 1,533,407.23 | 1,654,160.00 | |||||||||
JONES APPAREL GROUP INC COM CUSIP: 480074103 |
10,500.00 | 260,364.77 | 167,895.00 | |||||||||
JPMORGAN CHASE & CO COM CUSIP: 46625H100 |
50,300.00 | 1,853,293.63 | 2,195,595.00 | |||||||||
JUNIPER NETWORKS INC COM CUSIP: 48203R104 |
14,200.00 | 331,740.67 | 471,440.00 | |||||||||
KB HOME COM CUSIP: 48666K109 |
4,400.00 | 202,544.32 | 95,040.00 | |||||||||
KELLOGG CO COM CUSIP: 487836108 |
2,400.00 | 105,408.24 | 125,832.00 | |||||||||
KENDLE INTL INC COM CUSIP: 48880L107 |
5,332.00 | 252,413.74 | 260,841.44 | |||||||||
KENEXA CORP COM CUSIP: 488879107 |
11,840.00 | 341,370.12 | 229,932.80 | |||||||||
KEYCORP NEW COM CUSIP: 493267108 |
9,900.00 | 335,970.44 | 232,155.00 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
34
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 116 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Stock Common |
||||||||||||
United States USD |
||||||||||||
KOHLS CORP COM CUSIP: 500255104 |
27,100.00 | 1,774,085.64 | 1,241,180.00 | |||||||||
KRAFT FOODS INC CL A CL A CUSIP: 50075N104 |
2,900.00 | 76,918.51 | 94,627.00 | |||||||||
KROGER CO COM CUSIP: 501044101 |
12,000.00 | 218,835.60 | 320,520.00 | |||||||||
LAS VEGAS SANDS CORP COM STK CUSIP: 517834107 |
5,100.00 | 643,738.99 | 525,555.00 | |||||||||
LAZARD LTD COM CLASS A USD0.01 CUSIP: G54050102 |
14,500.00 | 663,925.12 | 589,860.00 | |||||||||
LEGG MASON INC COM CUSIP: 524901105 |
10,700.00 | 922,114.17 | 782,705.00 | |||||||||
LEHMAN BROS HLDGS INC COM CUSIP: 524908100 |
11,800.00 | 746,725.48 | 772,192.00 | |||||||||
LENNAR CORP CL A CUSIP: 526057104 |
22,100.00 | 982,709.73 | 395,369.00 | |||||||||
LIBERTY GLOBAL INC COM SER A CUSIP: 530555101 |
3,200.00 | 120,486.61 | 125,408.00 | |||||||||
LIBERTY GLOBAL INC COM SER C COM SER C CUSIP: 530555309 |
5,200.00 | 184,508.76 | 190,268.00 | |||||||||
LIBERTY MEDIA CORP NEW CAP COM SER A CUSIP: 53071M302 |
7,195.00 | 477,126.99 | 838,145.55 | |||||||||
LIBERTY MEDIA CORP NEW INTERACTIVE COM SER A CUSIP: 53071M104 |
48,875.00 | 893,469.97 | 932,535.00 | |||||||||
LIFE TIME FITNESS INC COM CUSIP: 53217R207 |
7,593.00 | 258,636.21 | 377,220.24 | |||||||||
LIFECELL CORP CUSIP: 531927101 |
6,200.00 | 252,712.40 | 267,282.00 | |||||||||
LIVE NATION INC COM CUSIP: 538034109 |
12,903.00 | 191,816.84 | 187,351.56 | |||||||||
LKQ CORP COM LKQ CORP CUSIP: 501889208 |
15,990.00 | 174,689.11 | 336,109.80 | |||||||||
LOCKHEED MARTIN CORP COM CUSIP: 539830109 |
800.00 | 54,496.00 | 84,208.00 | |||||||||
LOEWS CORP COM CUSIP: 540424108 |
23,900.00 | 365,019.52 | 1,203,126.00 | |||||||||
LONGS DRUG STORES CORP COM CUSIP: 543162101 |
7,545.00 | 394,021.61 | 354,615.00 | |||||||||
LTD BRANDS CUSIP: 532716107 |
18,500.00 | 398,678.53 | 350,205.00 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
35
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 117 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Stock Common |
||||||||||||
United States USD |
||||||||||||
LUBRIZOL CORP COM CUSIP: 549271104 |
3,400.00 | 153,678.98 | 184,144.00 | |||||||||
LUMINEX CORP DEL COM CUSIP: 55027E102 |
16,908.00 | 276,703.56 | 274,585.92 | |||||||||
MACYS INC COM STK CUSIP: 55616P104 |
50,402.00 | 1,258,294.45 | 1,303,899.74 | |||||||||
MAGMA DESIGN AUTOMATION INC COM CUSIP: 559181102 |
19,480.00 | 277,259.85 | 237,850.80 | |||||||||
MARATHON OIL CORP COM CUSIP: 565849106 |
19,600.00 | 964,052.70 | 1,192,856.00 | |||||||||
MARRIOTT INTL INC NEW COM STK CL A CUSIP: 571903202 |
20,300.00 | 714,059.99 | 693,854.00 | |||||||||
MASCO CORP COM CUSIP: 574599106 |
54,500.00 | 1,294,090.41 | 1,177,745.00 | |||||||||
MATTEL INC COM CUSIP: 577081102 |
6,000.00 | 99,484.20 | 114,240.00 | |||||||||
MBIA INC COM CUSIP: 55262C100 |
2,500.00 | 144,567.75 | 46,575.00 | |||||||||
MC DONALDS CORP COM CUSIP: 580135101 |
51,700.00 | 1,244,283.08 | 3,045,647.00 | |||||||||
MCDERMOTT INTL INC COM STK $1 PAR CUSIP: 580037109 |
10,000.00 | 580,397.43 | 590,300.00 | |||||||||
MCKESSON CORP CUSIP: 58155Q103 |
4,700.00 | 284,136.15 | 307,897.00 | |||||||||
MEASUREMENT SPECIALTIES INC COM CUSIP: 583421102 |
8,820.00 | 240,498.39 | 194,922.00 | |||||||||
MEDCO HLTH SOLUTIONS INC COM CUSIP: 58405U102 |
20,850.00 | 1,632,165.64 | 2,114,190.00 | |||||||||
MEN S WEARHOUSE INC COMMOM CUSIP: 587118100 |
5,910.00 | 171,308.70 | 159,451.80 | |||||||||
MERCK & CO INC COM CUSIP: 589331107 |
58,475.00 | 2,667,085.17 | 3,397,982.25 | |||||||||
MERRILL LYNCH & CO INC COM STK CUSIP: 590188108 |
12,800.00 | 730,775.76 | 687,104.00 | |||||||||
METLIFE INC COM ISIN US59156R1086 CUSIP: 59156R108 |
35,100.00 | 1,763,410.26 | 2,162,862.00 | |||||||||
MGM MIRAGE COM CUSIP: 552953101 |
3,550.00 | 336,502.73 | 298,271.00 | |||||||||
MICROS SYS INC COM CUSIP: 594901100 |
5,570.00 | 261,544.32 | 390,791.20 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
36
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 118 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Stock Common |
||||||||||||
United States USD |
||||||||||||
MICROSOFT CORP COM CUSIP: 594918104 |
175,200.00 | 5,567,268.21 | 6,237,120.00 | |||||||||
MOLEX INC CL A CUSIP: 608554200 |
26,500.00 | 671,758.19 | 696,155.00 | |||||||||
MONOLITHIC PWR SYS INC COM CUSIP: 609839105 |
13,299.00 | 272,336.41 | 285,529.53 | |||||||||
MONSANTO CO NEW COM CUSIP: 61166W101 |
13,508,165.00 | 265,665,672.96 | 1,508,726,948.85 | |||||||||
MOOG INC CL A CUSIP: 615394202 |
7,051.00 | 303,401.98 | 323,006.31 | |||||||||
MORGAN STANLEY COM STK USD0.01 CUSIP: 617446448 |
9,800.00 | 530,972.96 | 520,478.00 | |||||||||
MOSAIC CO COM CUSIP: 61945A107 |
400.00 | 33,542.44 | 37,736.00 | |||||||||
MOTOROLA INC COM CUSIP: 620076109 |
323,300.00 | 5,642,498.23 | 5,185,732.00 | |||||||||
MYLAN INC CUSIP: 628530107 |
8,400.00 | 118,612.61 | 118,104.00 | |||||||||
NATL CY CORP COM CUSIP: 635405103 |
31,600.00 | 831,919.60 | 520,136.00 | |||||||||
NEWS CORP CL A COM CUSIP: 65248E104 |
278,900.00 | 3,857,048.70 | 5,714,661.00 | |||||||||
NEXCEN BRANDS INC COM STK CUSIP: 653351106 |
21,055.00 | 220,189.55 | 101,906.20 | |||||||||
NIGHTHAWK RADIOLOGY HLDGS INC COM STK CUSIP: 65411N105 |
9,344.00 | 181,154.23 | 196,691.20 | |||||||||
NIKE INC CL B CL B CUSIP: 654106103 |
21,400.00 | 886,914.32 | 1,374,736.00 | |||||||||
NORTHROP GRUMMAN CORP COM CUSIP: 666807102 |
13,700.00 | 875,331.07 | 1,077,368.00 | |||||||||
NTELOS HLDGS CORP COM CUSIP: 67020Q107 |
15,322.00 | 323,354.41 | 454,910.18 | |||||||||
NUANCE COMMUNICATIONS INC COM CUSIP: 67020Y100 |
19,214.00 | 266,807.63 | 358,917.52 | |||||||||
NVIDIA CORP COM CUSIP: 67066G104 |
74,950.00 | 2,628,592.03 | 2,549,799.00 | |||||||||
NYSE EURONEXT COM STK CUSIP: 629491101 |
20,250.00 | 1,418,421.10 | 1,777,342.50 | |||||||||
OBAGI MED PRODS INC COM CUSIP: 67423R108 |
10,387.00 | 204,860.91 | 189,978.23 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
37
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 119 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Stock Common |
||||||||||||
United States USD |
||||||||||||
OCCIDENTAL PETE CORP COM CUSIP: 674599105 |
51,200.00 | 1,465,274.42 | 3,941,888.00 | |||||||||
OLD REP INTL CORP COM CUSIP: 680223104 |
11,500.00 | 249,434.50 | 177,215.00 | |||||||||
OMNICELL INC COM CUSIP: 68213N109 |
11,084.00 | 169,307.09 | 298,492.12 | |||||||||
OMNITURE INC COM STK CUSIP: 68212S109 |
7,581.00 | 163,545.40 | 252,371.49 | |||||||||
OPTIONSXPRESS HLDGS INC COM STK CUSIP: 684010101 |
11,190.00 | 282,965.34 | 378,445.80 | |||||||||
ORACLE CORP COM CUSIP: 68389X105 |
51,700.00 | 1,077,492.52 | 1,167,386.00 | |||||||||
OWENS ILL INC COM NEW CUSIP: 690768403 |
5,500.00 | 103,833.97 | 272,250.00 | |||||||||
PAETEC HLDG CORP COM STK CUSIP: 695459107 |
33,875.00 | 359,603.16 | 330,281.25 | |||||||||
PAREXEL INTL CORP COM CUSIP: 699462107 |
3,985.00 | 191,409.98 | 192,475.50 | |||||||||
PARTNERRE HLDG LTD COM STK CUSIP: G6852T105 |
2,900.00 | 176,431.94 | 239,337.00 | |||||||||
PENNEY J.C CO INC COM CUSIP: 708160106 |
6,300.00 | 513,556.67 | 277,137.00 | |||||||||
PEPSICO INC COM CUSIP: 713448108 |
40,300.00 | 2,611,000.53 | 3,058,770.00 | |||||||||
PERICOM SEMICONDUCTOR CORP COM CUSIP: 713831105 |
16,170.00 | 185,901.73 | 302,379.00 | |||||||||
PFIZER INC COM STK $.11 1/9 PAR CUSIP: 717081103 |
291,700.00 | 7,402,646.76 | 6,630,341.00 | |||||||||
PINNACLE W. CAP CORP COM CUSIP: 723484101 |
5,000.00 | 208,649.00 | 212,050.00 | |||||||||
PITNEY BOWES INC COM CUSIP: 724479100 |
26,300.00 | 948,291.49 | 1,000,452.00 | |||||||||
PMC SIERRA INC COM CUSIP: 69344F106 |
27,015.00 | 195,415.18 | 176,678.10 | |||||||||
PROCTER & GAMBLE CO COM CUSIP: 742718109 |
54,050.00 | 3,163,551.65 | 3,968,351.00 | |||||||||
PSS WORLD MED INC COM CUSIP: 69366A100 |
16,582.00 | 283,757.39 | 324,509.74 | |||||||||
PSYCHIATRIC SOLUTIONS INC COM CUSIP: 74439H108 |
10,901.00 | 260,327.88 | 354,282.50 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
38
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 120 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Stock Common |
||||||||||||
United States USD |
||||||||||||
PULTE HOMES INC COM CUSIP: 745867101 |
59,100.00 | 1,760,670.69 | 622,914.00 | |||||||||
QUALCOMM INC COM CUSIP: 747525103 |
37,750.00 | 1,635,863.73 | 1,485,462.50 | |||||||||
R H DONNELLEY CORP COM NEW CUSIP: 74955W307 |
13,500.00 | 768,173.24 | 492,480.00 | |||||||||
RAYTHEON CO WT EXP06-16-2011 CUSIP: 755111119 |
101.00 | 0.00 | 2,545.20 | |||||||||
REGENERON PHARMACEUTICALS INC COM CUSIP: 75886F107 |
9,170.00 | 155,657.27 | 221,455.50 | |||||||||
RIVERBED TECHNOLOGY INC COM CUSIP: 768573107 |
4,110.00 | 118,877.06 | 109,901.40 | |||||||||
ROHM & HAAS CO COM CUSIP: 775371107 |
25,300.00 | 916,260.19 | 1,342,671.00 | |||||||||
SAFEWAY INC COM NEW CUSIP: 786514208 |
22,500.00 | 557,076.90 | 769,725.00 | |||||||||
SAKS INC COM CUSIP: 79377W108 |
17,900.00 | 370,478.28 | 371,604.00 | |||||||||
SARA LEE CORP COM CUSIP: 803111103 |
18,200.00 | 303,180.84 | 292,292.00 | |||||||||
SCHERING-PLOUGH CORP COM CUSIP: 806605101 |
50,525.00 | 1,192,547.15 | 1,345,986.00 | |||||||||
SCHLUMBERGER LTD COM STK CUSIP: 806857108 |
87,725.00 | 6,029,674.25 | 8,629,508.25 | |||||||||
SCHWAB CHARLES CORP COM NEW CUSIP: 808513105 |
39,700.00 | 561,375.15 | 1,014,335.00 | |||||||||
SINCLAIR BROADCAST GROUP INC CL A CUSIP: 829226109 |
27,995.00 | 373,675.88 | 229,838.95 | |||||||||
SLM CORP COM CUSIP: 78442P106 |
22,400.00 | 937,520.13 | 451,136.00 | |||||||||
SMITH & WESSON HLDG CORP COM CUSIP: 831756101 |
15,767.00 | 299,842.73 | 96,178.70 | |||||||||
SMURFIT-STONE CONTAINER CORP COM CUSIP: 832727101 |
9,300.00 | 125,279.37 | 98,208.00 | |||||||||
SOLERA HLDGS INC COM CUSIP: 83421A104 |
16,649.00 | 353,996.67 | 412,562.22 | |||||||||
SOLUTIA INC COM STK CUSIP: 834376105 |
325,624.00 | 6,335,121.60 | 71,637.28 | |||||||||
SONOCO PROD CO COM CUSIP: 835495102 |
5,000.00 | 164,090.00 | 163,400.00 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
39
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 121 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Stock Common |
||||||||||||
United States USD |
||||||||||||
SOUTHWESTN ENERGY DE COM CUSIP: 845467109 |
2,400.00 | 118,818.41 | 133,728.00 | |||||||||
SPECTRA ENERGY CORP COM STK CUSIP: 847560109 |
19,800.00 | 325,892.80 | 511,236.00 | |||||||||
SPIRIT AEROSYSTEMS HLDGS INC CL A CUSIP: 848574109 |
41,400.00 | 1,261,047.48 | 1,428,300.00 | |||||||||
SPRINT NEXTEL CORP CUSIP: 852061100 |
238,300.00 | 4,399,862.64 | 3,128,879.00 | |||||||||
SPX CORP COM CUSIP: 784635104 |
3,300.00 | 158,526.39 | 339,405.00 | |||||||||
ST JOE CO COM CUSIP: 790148100 |
15,500.00 | 915,097.73 | 550,405.00 | |||||||||
ST JUDE MED INC COM CUSIP: 790849103 |
30,375.00 | 1,275,291.04 | 1,234,440.00 | |||||||||
STANLEY INC COM CUSIP: 854532108 |
14,022.00 | 224,299.91 | 448,984.44 | |||||||||
STARWOOD HOTELS & RESORTS WORLDWIDE INC COM STK CUSIP: 85590A401 |
15,700.00 | 879,487.69 | 691,271.00 | |||||||||
STIFEL FINL CORP COM CUSIP: 860630102 |
6,021.00 | 286,800.40 | 316,523.97 | |||||||||
SUN HEALTHCARE GROUP INC COM NEW COM NEW CUSIP: 866933401 |
23,079.00 | 277,845.36 | 396,266.43 | |||||||||
SUN MICROSYSTEMS INC COM NEW STK CUSIP: 866810203 |
23,800.00 | 367,026.18 | 431,494.00 | |||||||||
SUNOCO INC COM CUSIP: 86764P109 |
5,400.00 | 359,568.18 | 391,176.00 | |||||||||
SUNPOWER CORP COM CL A CUSIP: 867652109 |
3,400.00 | 420,796.68 | 443,326.00 | |||||||||
SUPER VALU INC COM CUSIP: 868536103 |
7,600.00 | 286,291.72 | 285,152.00 | |||||||||
SUPERIOR ENERGY SVCS INC COM CUSIP: 868157108 |
5,710.00 | 153,288.71 | 196,538.20 | |||||||||
SYNAPTICS INC COM CUSIP: 87157D109 |
4,975.00 | 246,030.55 | 204,771.00 | |||||||||
SYNCHRONOSS TECHNOLOGIES INC COM STK CUSIP: 87157B103 |
6,915.00 | 259,149.87 | 245,067.60 | |||||||||
T-3 ENERGY SVCS INC COM CUSIP: 87306E107 |
6,170.00 | 155,402.56 | 290,051.70 | |||||||||
TALEO CORP COM CL A COM CL A CUSIP: 87424N104 |
11,338.00 | 268,861.28 | 337,645.64 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
40
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 122 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Stock Common |
||||||||||||
United States USD |
||||||||||||
TARGET CORP COM CUSIP: 87612E106 |
17,000.00 | 884,634.42 | 850,000.00 | |||||||||
TECH DATA CORP COM
CUSIP: 878237106 |
2,800.00 | 116,254.88 | 105,616.00 | |||||||||
TEREX CORP NEW COM
CUSIP: 880779103 |
1,900.00 | 142,088.65 | 124,583.00 | |||||||||
TEXAS INSTRS INC COM
CUSIP: 882508104 |
33,925.00 | 1,136,240.91 | 1,133,095.00 | |||||||||
TEXTRON INC COM
CUSIP: 883203101 |
23,640.00 | 1,580,260.41 | 1,685,532.00 | |||||||||
THERMO FISHER CORP
CUSIP: 883556102 |
39,075.00 | 2,197,957.85 | 2,253,846.00 | |||||||||
TIME WARNER INC NEW COM
CUSIP: 887317105 |
314,900.00 | 5,107,781.15 | 5,198,999.00 | |||||||||
TORCHMARK CORP COM
CUSIP: 891027104 |
4,200.00 | 234,463.83 | 254,226.00 | |||||||||
TOWER GROUP INC COM
CUSIP: 891777104 |
10,347.00 | 315,131.70 | 345,589.80 | |||||||||
TRANSOCEAN INC COM
CUSIP: G90073100 |
12,325.14 | 1,399,134.64 | 1,764,343.79 | |||||||||
TRAVELERS COS INC COM STK
CUSIP: 89417E109 |
96,900.00 | 3,938,754.11 | 5,213,220.00 | |||||||||
TRIUMPH GROUP INC NEW COM
CUSIP: 896818101 |
5,210.00 | 393,651.49 | 429,043.50 | |||||||||
TYCO ELECTRONICS L COM STK
CUSIP: G9144P105 |
79,450.00 | 2,883,431.97 | 2,949,978.50 | |||||||||
TYCO INTERNATIONAL LTD COM STK W/I
CUSIP: G9143X208 |
48,550.00 | 1,860,316.87 | 1,925,007.50 | |||||||||
TYSON FOODS INC CL A COM (DELAWARE)
CUSIP: 902494103 |
10,200.00 | 181,279.56 | 156,366.00 | |||||||||
ULTIMATE SOFTWARE GROUP INC COM
CUSIP: 90385D107 |
8,860.00 | 203,874.26 | 278,824.20 | |||||||||
UNION PAC CORP COM
CUSIP: 907818108 |
26,500.00 | 1,569,615.62 | 3,328,930.00 | |||||||||
UNIONBANCAL CORP DE COM STK
CUSIP: 908906100 |
3,700.00 | 240,153.07 | 180,967.00 | |||||||||
UNITED CMNTY BKS INC BLAIRSVILLE GA CDT-CAP STK CDT-CAP
STK CUSIP: 90984P105 |
0.00 | 0.00 | 0.00 | |||||||||
UNITED TECHNOLOGIES CORP COM
CUSIP: 913017109 |
28,225.00 | 1,593,521.59 | 2,160,341.50 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
41
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 123 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Stock Common |
||||||||||||
United States USD |
||||||||||||
UNITEDHEALTH GROUP INC COM
CUSIP: 91324P102 |
31,000.00 | 1,516,076.27 | 1,804,200.00 | |||||||||
UNUM GROUP
CUSIP: 91529Y106 |
34,200.00 | 684,166.10 | 813,618.00 | |||||||||
URBAN OUTFITTERS INC COM
CUSIP: 917047102 |
3,700.00 | 90,259.20 | 100,862.00 | |||||||||
US BANCORP
CUSIP: 902973304 |
7,900.00 | 234,476.74 | 250,746.00 | |||||||||
V F CORP COM
CUSIP: 918204108 |
3,400.00 | 274,541.50 | 233,444.00 | |||||||||
VA COMM BANCORP INC COM STK
CUSIP: 92778Q109 |
14,590.00 | 266,908.23 | 171,140.70 | |||||||||
VARIAN SEMICONDUCTOR EQUIPTMENT ASSOCS INC COM
CUSIP: 922207105 |
9,522.00 | 186,941.14 | 352,314.00 | |||||||||
VERIZON COMMUNICATIONS COM
CUSIP: 92343V104 |
24,300.00 | 743,701.56 | 1,061,667.00 | |||||||||
VIACOM INC NEW CL B
CUSIP: 92553P201 |
5,900.00 | 248,509.97 | 259,128.00 | |||||||||
VIASAT INC COM
CUSIP: 92552V100 |
8,355.00 | 287,272.94 | 287,662.65 | |||||||||
VOCUS INC COM
CUSIP: 92858J108 |
7,685.00 | 206,123.56 | 265,363.05 | |||||||||
VOLCANO CORP COM STK
CUSIP: 928645100 |
14,160.00 | 230,647.41 | 177,141.60 | |||||||||
VOLCOM INC COM
CUSIP: 92864N101 |
8,194.00 | 255,627.93 | 180,513.82 | |||||||||
VULCAN MATERIALS CO COM
CUSIP: 929160109 |
6,500.00 | 526,914.31 | 514,085.00 | |||||||||
WACHOVIA CORP NEW COM
CUSIP: 929903102 |
198,434.00 | 7,526,528.19 | 7,546,445.02 | |||||||||
WAL-MART STORES INC COM
CUSIP: 931142103 |
164,900.00 | 7,715,917.78 | 7,837,697.00 | |||||||||
WALGREEN CO COM
CUSIP: 931422109 |
36,200.00 | 1,363,144.31 | 1,378,496.00 | |||||||||
WARNACO GROUP INC COM NEW
CUSIP: 934390402 |
9,175.00 | 309,119.64 | 319,290.00 | |||||||||
WASHINGTON MUTUAL INC
CUSIP: 939322103 |
88,400.00 | 2,552,498.24 | 1,203,124.00 | |||||||||
WATSON WYATT WORLDWIDE INC CL A
CUSIP: 942712100 |
7,890.00 | 365,413.10 | 366,174.90 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
42
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 124 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Stock Common |
||||||||||||
United States USD |
||||||||||||
WELLPOINT INC COM
CUSIP: 94973V107 |
79,650.00 | 4,784,284.01 | 6,987,694.50 | |||||||||
WELLS FARGO & CO NEW COM STK
CUSIP: 949746101 |
52,400.00 | 1,339,026.05 | 1,581,956.00 | |||||||||
WHOLE FOODS MKT INC COM
CUSIP: 966837106 |
11,700.00 | 538,036.75 | 477,360.00 | |||||||||
WMS INDS INC COM STK
CUSIP: 929297109 |
9,297.00 | 262,472.53 | 340,642.08 | |||||||||
WRIGHT MED GROUP INC COM
CUSIP: 98235T107 |
10,757.00 | 283,049.80 | 313,781.69 | |||||||||
WRIGLEY WM JR CO CAP
CUSIP: 982526105 |
28,700.00 | 1,700,654.36 | 1,680,385.00 | |||||||||
WYETH COM
CUSIP: 983024100 |
52,900.00 | 2,152,321.82 | 2,337,651.00 | |||||||||
XEROX CORP COM
CUSIP: 984121103 |
149,700.00 | 1,510,127.30 | 2,423,643.00 | |||||||||
XL CAP LTD SHS A
CUSIP: G98255105 |
13,800.00 | 941,868.87 | 694,278.00 | |||||||||
XTO ENERGY INC COM
CUSIP: 98385X106 |
26,406.25 | 1,358,189.48 | 1,356,225.00 | |||||||||
YAHOO INC COM
CUSIP: 984332106 |
12,300.00 | 347,877.21 | 286,098.00 | |||||||||
YUM BRANDS INC COM
CUSIP: 988498101 |
40,900.00 | 1,551,669.73 | 1,565,243.00 | |||||||||
ZOLTEK COS INC COM
CUSIP: 98975W104 |
6,392.00 | 255,702.18 | 274,025.04 | |||||||||
ZUMIEZ INC COM
CUSIP: 989817101 |
7,420.00 | 273,428.90 | 180,751.20 | |||||||||
5TH 3RD BANCORP COM
CUSIP: 316773100 |
8,000.00 | 300,000.00 | 201,040.00 | |||||||||
Total United States USD |
653,939,804.07 | 1,946,421,703.47 | ||||||||||
Total Corporate Stock Common |
702,173,219.69 | 2,002,459,168.48 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
43
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 125 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Partnership/Joint Venture Interests |
||||||||||||
United States USD |
||||||||||||
BLACKSTONE GROUP L P COM UNIT REPSTG LTDCOM UNIT REPSTG LTD
CUSIP: 09253U108 |
40,000.00 | 1,254,925.26 | 885,200.00 | |||||||||
Total United States USD |
1,254,925.26 | 885,200.00 | ||||||||||
Total Partnership/Joint Venture Interests |
1,254,925.26 | 885,200.00 | ||||||||||
MONSANTO PARTICIPANT LOANS
CUSIP: 999899602 |
||||||||||||
Rates from 4.0% to 9.25%, maturities through
December 2012
|
19,885,318.78 | 19,885,318.78 | 19,885,318.78 | |||||||||
Total United States USD |
19,885,318.78 | 19,885,318.78 | ||||||||||
Total Participant Loans |
19,885,318.78 | 19,885,318.78 | ||||||||||
Value of Interest in Common/Collective Trusts |
||||||||||||
United States USD |
||||||||||||
COLTV STIF
CUSIP: 195997KR1 |
40,107,945.22 | 40,107,945.22 | 40,107,945.22 | |||||||||
MFB NTGI-QM COLTV DAILY RUSSELL 1000 VALUE EQTY INDEX
FD-LENDING CUSIP: 658991369 |
34,406.07 | 26,489,882.24 | 29,345,934.88 | |||||||||
MFB NTGI-QM COLTV DAILY RUSSELL 2000 VALUE EQTY INDEX
FD-LENDING CUSIP: 658991393 |
50,957.19 | 20,266,204.48 | 21,552,853.08 | |||||||||
MFB NTGI-QM COLTV DAILY TIPS FD-LENDING
CUSIP: 658991666 |
56,683.94 | 8,115,539.98 | 8,949,770.60 | |||||||||
MFO MELLON BNK EB DAILY LIQUIDITY INDEX FD
CUSIP: 585992795 |
440,623.52 | 111,810,941.79 | 146,807,385.02 | |||||||||
Total United States USD |
206,790,513.71 | 246,763,888.80 | ||||||||||
Total Value of Interest in Common/Collective Trusts |
206,790,513.71 | 246,763,888.80 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
44
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 126 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Value of Interest in Registered Investment Companies |
||||||||||||
United States USD |
||||||||||||
MFO CAPITAL GUARDIAN EMPLOYEE BENEFIT INVT TR INTL NON US
EQUITY FD UNIT CL T CUSIP: 14019G732 |
6,587,271.10 | 106,205,283.20 | 162,112,741.77 | |||||||||
Total United States USD |
106,205,283.20 | 162,112,741.77 | ||||||||||
Total Value of Interest in Registered Investment Com |
106,205,283.20 | 162,112,741.77 | ||||||||||
Other |
||||||||||||
United States USD |
||||||||||||
GIC AEGON GLOBAL WRAP CNTRCT CDA00004TR RATE: |
||||||||||||
5.29% (BLEND**INC CUSIP: 999500FC0 |
469,033,652.18 | 469,033,652.18 | 469,033,652.18 | |||||||||
SUNSTONE HOTEL INVS INC NEW COM
CUSIP: 867892101 |
7,015.00 | 199,884.94 | 128,304.35 | |||||||||
Total United States USD |
469,233,537.12 | 469,161,956.53 | ||||||||||
Total Other |
469,233,537.12 | 469,161,956.53 | ||||||||||
Other Liabilities |
||||||||||||
United States USD |
||||||||||||
LIAB. RE: TERM NOTE @ 4.6% DATED 12/10/04 DUE
12/31/2012 ORIGINAL **INC |
-9,524,926.61 | -9,524,926.61 | -9,524,926.61 | |||||||||
Total United States USD |
-9,524,926.61 | -9,524,926.61 | ||||||||||
Pending trade purchases: United States dollar |
0.00 | -3,487,040.12 | -3,487,040.12 | |||||||||
Total all currencies |
-3,487,040.12 | -3,487,040.12 | ||||||||||
Total Other Liabilities |
-13,011,966.73 | -13,011,966.73 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
45
5500 Supplemental Schedules
|
Account number 7879 | |
31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 127 of 133 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Payable Other |
||||||||||||
United States USD |
||||||||||||
&&&INVESTMENT MANAGEMENT EXPENSE ACCRUAL
CUSIP: 999899537 |
0.00 | 0.00 | 0.00 | |||||||||
FEE FOR SECURITIES LENDING ACTIVITY FOR
CUSIP: 999766066 |
7.00 | 0.00 | 0.00 | |||||||||
Total United States USD |
0.00 | 0.00 | ||||||||||
Total Payable Other |
0.00 | 0.00 | ||||||||||
Total |
1,592,479,116.81 | 2,987,748,647.69 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
46
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 112 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Non-Interest Bearing Cash USD |
||||||||||||
USD United States dollar |
-67,291.68 | -67,291.68 | -67,291.68 | |||||||||
Total all currencies |
-67,291.68 | -67,291.68 | ||||||||||
Total Non-Interest Bearing Cash USD |
-67,291.68 | -67,291.68 | ||||||||||
Receivable Income USD |
||||||||||||
United States USD |
||||||||||||
INCOME FROM SECURITIES LENDING ACTIVITIES |
4.00 | 0.00 | 0.00 | |||||||||
Total United States USD |
0.00 | 0.00 | ||||||||||
Total Receivable Income USD |
0.00 | 0.00 | ||||||||||
Receivables Other USD |
||||||||||||
Pending trade sales: United States dollar |
0.00 | 11,228,274.51 | 11,228,274.51 | |||||||||
Total all currencies |
11,228,274.51 | 11,228,274.51 | ||||||||||
Total Receivables Other USD |
11,228,274.51 | 11,228,274.51 | ||||||||||
Certificates of Deposit |
||||||||||||
United States USD |
||||||||||||
BK OF NY INSTL CTF DEP PROGRAM B BK NY INC DTD 05-09-2006 CUSIP: 06420AFV3 |
290,000.00 | 287,677.10 | 291,669.53 | |||||||||
SOVEREIGN BK FSB WYOMISSING PA CTF DEP DTD 01-18-2005 4 0 CUSIP: 84603MLL8 |
100,000.00 | 99,905.00 | 99,996.00 | |||||||||
Total United States USD |
387,582.10 | 391,665.53 | ||||||||||
Total Certificates of Deposit |
387,582.10 | 391,665.53 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
47
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 113 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
U.S. Government Securities |
||||||||||||
United States USD |
||||||||||||
FEDERAL HOME LN MTG CORP POOL #A4-6092 5% 07-01-2035 BEO CUSIP: 3128K6XV7 |
542,234.87 | 527,408.13 | 529,401.80 | |||||||||
FEDERAL HOME LN MTG CORP POOL #A4-6279 5% 07-01-2035 BEO CUSIP: 3128K66Q8 |
2,438,618.67 | 2,375,249.23 | 2,380,903.88 | |||||||||
FEDERAL HOME LN MTG CORP POOL #A6-1373 5% 04-01-2036 BEO CUSIP: 3128KRQ23 |
582,670.50 | 566,647.06 | 569,146.72 | |||||||||
FEDERAL HOME LN MTG CORP POOL #A6-4391 6% 08-01-2037 BEO CUSIP: 3128KU2Y2 |
1,091,564.63 | 1,094,464.10 | 1,107,866.06 | |||||||||
FEDERAL HOME LN MTG CORP POOL #A6-8726 6.5% 11-01-2037 BE CUSIP: 3128L0VT6 |
1,494,998.99 | 1,528,169.29 | 1,536,763.28 | |||||||||
FEDERAL HOME LN MTG CORP POOL #C0-1847 5.5% 06-01-2034 BE CUSIP: 31292JBQ2 |
1,988,915.60 | 1,924,897.39 | 1,987,143.48 | |||||||||
FEDERAL HOME LN MTG CORP POOL #C0-3027 6% 09-01-2037 BEO CUSIP: 31292KLG0 |
402,043.46 | 403,048.57 | 408,047.58 | |||||||||
FEDERAL HOME LN MTG CORP POOL #G0-1813 5% 04-01-2035 BEO CUSIP: 3128LXAN0 |
1,125,850.03 | 1,096,126.01 | 1,099,719.05 | |||||||||
FEDERAL HOME LN MTG CORP POOL #G0-2186 5% 05-01-2036 BEO CUSIP: 3128LXNB2 |
927,703.37 | 900,597.03 | 905,747.41 | |||||||||
FEDERAL HOME LN MTG CORP POOL #G0-8192 5.5% 04-01-2037 BE CUSIP: 3128MJGA2 |
219,014.96 | 217,423.67 | 218,562.91 | |||||||||
FEDERAL HOME LN MTG CORP POOL #G01704 5.5% 07-01-2033 BE CUSIP: 31283H3M5 |
118,413.75 | 114,768.83 | 118,507.53 | |||||||||
FEDERAL HOME LN MTG CORP POOL #G01839 5%06-01-2035 BEO CUSIP: 3128LXBG4 |
1,620,470.74 | 1,596,542.97 | 1,582,859.61 | |||||||||
FEDERAL HOME LN MTG CORP POOL #G01895 5%07-01-2035 BEO CUSIP: 3128LXC81 |
400,901.35 | 396,391.23 | 391,596.43 | |||||||||
FEDERAL HOME LN MTG CORP POOL #G08062 5%06-01-2035 BEO CUSIP: 3128MJB82 |
332,739.90 | 317,818.61 | 324,864.94 | |||||||||
FEDERAL HOME LN MTG CORP POOL #G1-2033 4.5% 12-01-2019 BE CUSIP: 3128M1EE5 |
517,685.03 | 492,609.67 | 508,832.62 | |||||||||
FEDERAL HOME LN MTG CORP POOL #G1-2034 4% 06-01-2019 BEO CUSIP: 3128M1EF2 |
218,496.97 | 203,611.86 | 209,764.52 | |||||||||
FEDERAL HOME LN MTG CORP POOL #G1-2080 4.5% 10-01-2018 BE CUSIP: 3128M1FV6 |
579,720.63 | 549,466.48 | 570,053.21 | |||||||||
FEDERAL HOME LN MTG CORP POOL #G1-2379 4.5% 06-01-2021 BE CUSIP: 3128M1Q85 |
424,097.42 | 410,646.06 | 416,758.84 | |||||||||
FEDERAL HOME LN MTG CORP POOL #G1-2401 4.5% 01-01-2021 BE CUSIP: 3128M1RW1 |
2,051,109.35 | 1,985,716.92 | 2,016,035.38 | |||||||||
FEDERAL HOME LN MTG CORP POOL #G1-2446 4.5% 09-01-2020 BE CUSIP: 3128M1TB5 |
1,793,806.04 | 1,738,896.07 | 1,763,131.96 | |||||||||
FEDERAL HOME LN MTG CORP POOL #H0-9108 7.5% 10-01-2037 BE CUSIP: 3128UNDM1 |
279,298.12 | 288,549.87 | 290,155.28 | |||||||||
FEDERAL HOME LN MTG CORP POOL #J0-1474 6% 03-01-2021 BEO CUSIP: 3128PCT77 |
1,471,949.71 | 1,493,511.48 | 1,505,807.50 | |||||||||
FEDERAL HOME LN MTG CORP POOL #J0-3110 6% 08-01-2021 BEO CUSIP: 3128PEN38 |
828,256.15 | 839,774.10 | 847,307.70 | |||||||||
FEDERAL HOME LN MTG CORP POOL #J0-3115 6% 08-01-2021 BEO CUSIP: 3128PEN87 |
661,222.76 | 670,417.88 | 676,432.21 | |||||||||
FEDERAL HOME LN MTG CORP POOL #J0-3644 6% 10-01-2021 BEO CUSIP: 3128PFBM6 |
1,159,070.99 | 1,175,098.78 | 1,185,731.94 | |||||||||
FEDERAL HOME LN MTG CORP POOL #J0-4201 5.5% 01-01-2022 BE CUSIP: 3128PFU29 |
1,606,326.64 | 1,609,615.46 | 1,625,660.39 | |||||||||
FEDERAL HOME LN MTG CORP POOL #K3-0253 6.5% 11-01-2047 BE CUSIP: 31302PH64 |
199,924.46 | 202,970.19 | 202,969.31 | |||||||||
FEDERAL HOME LN MTG CORP POOL #M9-0951 4.5% 10-01-2009 BE CUSIP: 31282VBU8 |
313,455.59 | 319,920.63 | 311,170.50 | |||||||||
FEDERAL HOME LN MTG CORP POOL #M9-0977 4.5% 04-01-2010 BE CUSIP: 31282VCN3 |
344,477.95 | 346,846.26 | 343,005.31 | |||||||||
FEDERAL HOME LN MTG CORP POOL #1J-0244 5.688% 01-01-2037 CUSIP: 3128LUHV1 |
860,558.92 | 867,282.05 | 874,098.09 | |||||||||
FEDERAL HOME LN MTG CORP POOL #1J-1262 5.779% 01-01-2036 CUSIP: 3128NHMK6 |
666,481.59 | 671,167.78 | 675,008.56 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
48
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 114 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
U.S. Government Securities |
||||||||||||
United States USD |
||||||||||||
FEDERAL HOME LN MTG CORP POOL #1J-1548 5.79% 03-01-2037 B CUSIP: 3128NHWH2 |
618,927.62 | 623,037.68 | 629,643.73 | |||||||||
FEDERAL HOME LN MTG CORP POOL #84-7498 4.497% 06-01-2034 CUSIP: 3128JRKK1 |
420,076.82 | 410,493.83 | 418,005.42 | |||||||||
FEDERAL HOME LN MTG CORP POOL #84-7604 4.793% 11-01-2035 CUSIP: 3128JRNV4 |
892,404.25 | 873,092.06 | 897,130.42 | |||||||||
FHLMC DTD 03/12/2007 4.875 09-12-2008 CUSIP: 3128X5S33 |
505,000.00 | 504,169.78 | 507,053.84 | |||||||||
FHLMC DTD 10/25/2000 6.75 03-15-2031 CUSIP: 3134A4AA2 |
3,000,000.00 | 3,448,528.40 | 3,759,135.00 | |||||||||
FHLMC GOLD A6-6968 5.5 10-01-2037 CUSIP: 3128KXW56 |
350,000.76 | 350,096.46 | 349,278.36 | |||||||||
FHLMC GOLD C71284 6.5 03-01-2032 CUSIP: 31287YM92 |
295,955.83 | 303,354.72 | 305,968.31 | |||||||||
FHLMC GOLD G0-3512 6 10-01-2037 CUSIP: 3128M5GV6 |
1,442,754.33 | 1,451,884.26 | 1,464,300.42 | |||||||||
FHLMC GOLD G1-1690 4 02-01-2020 CUSIP: 31283K2X5 |
843,276.01 | 799,794.58 | 809,573.64 | |||||||||
FHLMC GOLD M80843 3.5 09-01-2010 CUSIP: 31282R5C4 |
84,510.36 | 81,222.36 | 82,624.00 | |||||||||
FHLMC GOLD SINGLE FAMILY 5.5% 30 YEARS SETTLES JANUARY CUSIP: 02R052610 |
10,740,000.00 | 10,572,823.44 | 10,716,500.88 | |||||||||
FHLMC GOLD SINGLE FAMILY 5% 30 YEARS SETTLES JANUARY CUSIP: 02R050614 |
3,000,000.00 | 2,945,625.00 | 2,926,875.00 | |||||||||
FHLMC GROUP #G10516 6 MTG PARTN CTF DUE 05-01-2011 REG CUSIP: 31283JSD4 |
369.92 | 355.81 | 378.45 | |||||||||
FHLMC MULTICLASS FEDERAL HOME LOAN MORTGAGE CO 5.5 5. CUSIP: 31397EVZ5 |
443,197.93 | 445,621.66 | 449,406.25 | |||||||||
FHLMC MULTICLASS PREASSIGN 00473 6 04-15-2027 CUSIP: 31397AVS9 |
434,260.23 | 439,909.07 | 440,898.33 | |||||||||
FHLMC MULTICLASS PREASSIGN 00482 6 12-15-2026 CUSIP: 31396RWB9 |
471,370.26 | 476,396.98 | 478,051.93 | |||||||||
FHLMC MULTICLASS PREASSIGN 00564 6 09-15-2025 CUSIP: 31396NZM1 |
514,393.45 | 520,863.54 | 521,395.89 | |||||||||
FHLMC MULTICLASS PREASSIGN 00568 04-25-2016 CUSIP: 31396UZR4 |
333,653.65 | 335,321.91 | 342,204.19 | |||||||||
FHLMC MULTICLASS SER T-5 CL A6 7.12 MTG PARTN CTF DUE 06-2 CUSIP: 3133TA5D0 |
3,687.34 | 3,878.31 | 3,704.94 | |||||||||
FHLMC MULTICLASS SER 2448 CL FA 01-15-2032 CUSIP: 31392MET5 |
360,140.03 | 366,498.75 | 365,098.08 | |||||||||
FHLMC MULTICLASS SER 2452 CL FC 01-15-2032 CUSIP: 31392K6Y7 |
595,431.76 | 605,944.85 | 604,710.37 | |||||||||
FHLMC MULTICLASS SER 2458 CL FE 01-15-2032 CUSIP: 31392MYP1 |
533,552.69 | 542,973.23 | 541,351.10 | |||||||||
FHLMC MULTICLASS SER 2498 CL AF 03-15-2032 CUSIP: 31392VD66 |
239,311.99 | 245,294.77 | 242,235.19 | |||||||||
FHLMC MULTICLASS SER 2532 CL PD 5.5 06-15-2026 CUSIP: 31393FP75 |
1,795,163.84 | 1,790,675.93 | 1,789,336.74 | |||||||||
FHLMC MULTICLASS SER 2672 CL GE 5.5 04-15-2029 CUSIP: 31394HWL1 |
1,520,000.00 | 1,525,937.50 | 1,530,881.68 | |||||||||
FHLMC MULTICLASS SER 2672 CL TE 5 03-15-2029 CUSIP: 31394HZH7 |
715,000.03 | 701,482.03 | 715,606.35 | |||||||||
FHLMC MULTICLASS SER 2687 CL PD 5.5 11-15-2026 CUSIP: 31394KAC8 |
1,870,000.00 | 1,882,856.25 | 1,855,774.91 | |||||||||
FHLMC MULTICLASS SER 2690 CL FJ 10-15-2033 CUSIP: 31394KBH6 |
736,078.21 | 751,834.88 | 762,796.38 | |||||||||
FHLMC MULTICLASS SER 2707 CL VB 5 12-15-2022 CUSIP: 31394LUX8 |
500,000.00 | 488,593.75 | 499,849.00 | |||||||||
FHLMC MULTICLASS SER 3000 CL KF 07-15-2035 CUSIP: 31395WPM3 |
979,600.45 | 974,855.51 | 964,981.87 | |||||||||
FHLMC NT 5.125 10-18-2016 CUSIP: 3137EAAJ8 |
825,000.00 | 857,190.68 | 864,013.43 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
49
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 115 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
U.S. Government Securities |
||||||||||||
United States USD |
||||||||||||
FHLMC NT 5.5 08-23-2017 CUSIP: 3137EAAY5 |
835,000.00 | 860,726.35 | 895,932.46 | |||||||||
FHLMC POOL #G0-2719 5 02-01-2036 CUSIP: 3128M4K85 |
2,307,425.98 | 2,232,261.58 | 2,252,816.13 | |||||||||
FHLMC PREASSIGN 00007 5.5 07-18-2016 CUSIP: 3137EAAG4 |
710,000.00 | 751,328.39 | 764,322.10 | |||||||||
FHLMC 15 YEARS GOLD SINGLE FAMILY 5.5% 15 YEARS SETTLES J CUSIP: 02R052412 |
1,440,000.00 | 1,457,793.75 | 1,457,100.00 | |||||||||
FHLMC 30 YEAR GOLD PARTICIPATION CERTIFICATE (PC) 6 CUSIP: 02R060613 |
2,000,000.00 | 2,032,239.59 | 2,029,376.00 | |||||||||
FHLMC 30 YEAR GOLD PARTICIPATION CTF (PC) 6.5 30 YEARS CUSIP: 02R062619 |
3,000,000.00 | 3,082,500.00 | 3,083,436.00 | |||||||||
FNMA NT 5 02-16-2012 CUSIP: 31359M5H2 |
955,000.00 | 975,009.16 | 995,142.47 | |||||||||
FNMA POOL #190377 5% 11-01-2036 BEO CUSIP: 31368HM26 |
3,336,584.94 | 3,229,709.95 | 3,257,414.45 | |||||||||
FNMA POOL #252439 6.5% DUE 05-01-2029 REG CUSIP: 31371HLU0 |
146,693.40 | 151,266.45 | 152,007.81 | |||||||||
FNMA POOL #254261 6.5% DUE 04-01-2017 REG CUSIP: 31371KMJ7 |
157,260.46 | 161,339.40 | 162,680.76 | |||||||||
FNMA POOL #254485 7% DUE 11-01-2031 REG CUSIP: 31371KUJ8 |
34,925.85 | 36,459.29 | 36,833.15 | |||||||||
FNMA POOL #254753 4% 05-01-2010 BEO CUSIP: 31371K5N7 |
325,624.02 | 328,167.95 | 322,671.91 | |||||||||
FNMA POOL #254836 4% 07-01-2010 BEO CUSIP: 31371LBD0 |
1,087,148.34 | 1,050,117.33 | 1,077,292.25 | |||||||||
FNMA POOL #254868 5% 09-01-2033 BEO CUSIP: 31371LCD9 |
394,327.80 | 383,360.56 | 385,338.70 | |||||||||
FNMA POOL #254903 5% 10-01-2033 BEO CUSIP: 31371LDG1 |
2,040,926.02 | 1,973,958.13 | 1,994,401.07 | |||||||||
FNMA POOL #254918 4.5% 09-01-2033 BEO CUSIP: 31371LDX4 |
838,628.68 | 817,400.90 | 794,614.09 | |||||||||
FNMA POOL #255468 5% 10-01-2011 BEO CUSIP: 31371LW54 |
452,892.34 | 461,667.11 | 457,620.99 | |||||||||
FNMA POOL #255493 5.5% 11-01-2024 BEO CUSIP: 31371LXW4 |
644,607.56 | 660,420.60 | 648,147.74 | |||||||||
FNMA POOL #255529 4.5% DUE 11-01-2014 REG CUSIP: 31371LY29 |
258,564.68 | 254,686.22 | 259,341.41 | |||||||||
FNMA POOL #255550 5.5% 12-01-2024 BEO CUSIP: 31371LZP7 |
154,376.96 | 158,164.02 | 155,224.80 | |||||||||
FNMA POOL #255575 5.5% 01-01-2025 BEO CUSIP: 31371L2G3 |
404,541.16 | 414,591.45 | 406,762.90 | |||||||||
FNMA POOL #255899 5.5% 10-01-2035 BEO CUSIP: 31371MGG6 |
397,705.13 | 393,951.31 | 397,462.53 | |||||||||
FNMA POOL #255900 6% 10-01-2035 BEO CUSIP: 31371MGH4 |
281,381.39 | 278,171.45 | 285,898.97 | |||||||||
FNMA POOL #256926 6.5% 10-01-2037 BEO CUSIP: 31371NLF0 |
815,382.31 | 830,798.13 | 838,160.83 | |||||||||
FNMA POOL #323979 6.5% DUE 04-01-2029 REG CUSIP: 31374T2L2 |
54,259.23 | 55,983.08 | 56,239.42 | |||||||||
FNMA POOL #386255 3.529% 07-01-2010 BEO CUSIP: 31377TBY1 |
298,596.44 | 281,427.14 | 293,365.03 | |||||||||
FNMA POOL #403646 6.5% 12-01-2027 BEO CUSIP: 31378NL30 |
130,030.83 | 133,869.86 | 135,012.57 | |||||||||
FNMA POOL #407591 6.5% DUE 12-01-2027 REG CUSIP: 31378SXU6 |
113,857.02 | 117,218.52 | 118,219.11 | |||||||||
FNMA POOL #461030 4.06% 06-01-2013 BEO CUSIP: 31381HEB8 |
225,000.00 | 204,020.50 | 219,332.03 | |||||||||
FNMA POOL #535661 7.5% DUE 01-01-2031 REG CUSIP: 31384WB66 |
140,835.44 | 148,405.33 | 150,324.79 | |||||||||
FNMA POOL #545278 7.5% DUE 11-01-2031 REG CUSIP: 31385HXF4 |
27,141.98 | 28,600.87 | 28,970.78 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
50
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 116 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
U.S. Government Securities |
||||||||||||
United States USD |
||||||||||||
FNMA POOL #545759 6.5% DUE 07-01-2032 REG CUSIP: 31385JJC3 |
1,104,972.10 | 1,132,641.78 | 1,142,330.10 | |||||||||
FNMA POOL #545817 6.5% 08-01-2032 BEO CUSIP: 31385JK64 |
324,725.00 | 333,046.06 | 335,703.63 | |||||||||
FNMA POOL #555967 5.5% 11-01-2033 BEO CUSIP: 31385XTY3 |
1,221,975.31 | 1,234,678.33 | 1,222,882.02 | |||||||||
FNMA POOL #619191 6.5% DUE 12-01-2015 REG CUSIP: 31388Y2Y7 |
37,226.93 | 39,291.85 | 38,580.20 | |||||||||
FNMA POOL #644692 7% DUE 05-01-2032 REG CUSIP: 31390FF95 |
199,218.19 | 205,350.36 | 209,736.31 | |||||||||
FNMA POOL #653112 6% DUE 07-01-2017 REG CUSIP: 31390QR98 |
217,049.18 | 224,739.16 | 222,501.67 | |||||||||
FNMA POOL #655114 7.5% DUE 08-01-2032 REG CUSIP: 31390SYK1 |
8,924.50 | 9,434.85 | 9,500.07 | |||||||||
FNMA POOL #725424 5.5% 04-01-2034 BEO CUSIP: 31402C4H2 |
1,039,147.46 | 1,034,403.95 | 1,039,918.51 | |||||||||
FNMA POOL #725425 5.5% 04-01-2034 BEO CUSIP: 31402C4J8 |
282,709.65 | 273,300.69 | 283,059.93 | |||||||||
FNMA POOL #725611 5.5% 06-01-2034 BEO CUSIP: 31402DDQ0 |
850,034.95 | 835,956.25 | 850,665.68 | |||||||||
FNMA POOL #735224 5.5% 02-01-2035 BEO CUSIP: 31402QYV7 |
384,751.90 | 386,517.72 | 385,037.39 | |||||||||
FNMA POOL #735227 5.5% 02-01-2035 BEO CUSIP: 31402QYY1 |
703,987.70 | 679,458.13 | 704,026.42 | |||||||||
FNMA POOL #735871 5.5% 07-01-2035 BEO CUSIP: 31402RQY8 |
1,284,853.62 | 1,288,266.52 | 1,284,924.29 | |||||||||
FNMA POOL #739423 5.5% 10-01-2033 BEO CUSIP: 31402VPG9 |
782,699.72 | 788,080.78 | 783,280.48 | |||||||||
FNMA POOL #740228 5.5% 09-01-2033 BEO CUSIP: 31402WLH9 |
837,774.76 | 845,694.35 | 838,396.39 | |||||||||
FNMA POOL #745044 4.5% 08-01-2035 BEO CUSIP: 31403CWD9 |
932,336.13 | 877,779.91 | 882,892.48 | |||||||||
FNMA POOL #745428 5.5% 01-01-2036 BEO CUSIP: 31403DD97 |
4,833,012.79 | 4,781,398.44 | 4,830,064.65 | |||||||||
FNMA POOL #745886 5.5% 04-01-2036 BEO CUSIP: 31403DUK3 |
855,864.71 | 847,786.46 | 855,342.63 | |||||||||
FNMA POOL #746053 5.5% 01-01-2034 BEO CUSIP: 31403DZS1 |
445,636.33 | 452,808.27 | 445,966.99 | |||||||||
FNMA POOL #758849 5.5% DUE 01-01-2034 REG CUSIP: 31403VBS7 |
112,070.73 | 113,961.89 | 112,153.89 | |||||||||
FNMA POOL #763984 5.5% DUE 12-01-2033 REG CUSIP: 31404BXM9 |
474,811.29 | 472,029.20 | 475,163.60 | |||||||||
FNMA POOL #766366 5.5% 02-01-2034 BEO CUSIP: 31404EMP8 |
113,221.72 | 115,999.18 | 113,305.73 | |||||||||
FNMA POOL #767200 5.5% 01-01-2034 BEO CUSIP: 31404FKM4 |
273,658.48 | 279,302.69 | 273,861.53 | |||||||||
FNMA POOL #815975 5.5% 03-01-2035 BEO CUSIP: 31406PQ44 |
4,973,638.39 | 4,917,661.28 | 4,970,604.47 | |||||||||
FNMA POOL #829028 4.5% 07-01-2020 BEO CUSIP: 31407FA59 |
808,986.10 | 766,767.14 | 795,447.72 | |||||||||
FNMA POOL #831455 6.5% 05-01-2036 BEO CUSIP: 31407HWQ5 |
176,518.12 | 180,070.63 | 181,468.22 | |||||||||
FNMA POOL #835760 4.5% 09-01-2035 BEO CUSIP: 31407NQM8 |
333,071.71 | 311,848.49 | 315,408.25 | |||||||||
FNMA POOL #848352 5% 11-01-2020 BEO CUSIP: 31408DQD9 |
1,134,492.39 | 1,120,665.77 | 1,135,605.33 | |||||||||
FNMA POOL #852237 4.896% 12-01-2035 BEO CUSIP: 31408HZA6 |
592,842.94 | 592,969.91 | 598,214.10 | |||||||||
FNMA POOL #852684 6% 03-01-2036 BEO CUSIP: 31408JJ51 |
491,136.44 | 495,119.94 | 499,021.64 | |||||||||
FNMA POOL #881959 5.66% 02-01-2036 BEO CUSIP: 31409XZY8 |
531,510.20 | 534,084.70 | 538,380.50 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
51
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 117 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
U.S. Government Securities |
||||||||||||
United States USD |
||||||||||||
FNMA POOL #887070 6.5% 07-01-2036 BEO CUSIP: 31410EQX9 |
164,700.29 | 168,014.96 | 169,318.98 | |||||||||
FNMA POOL #888100 5.5% 09-01-2036 BEO CUSIP: 31410FUZ6 |
407,767.01 | 395,279.15 | 407,789.44 | |||||||||
FNMA POOL #888211 7% DUE 08-01-2036 BEO CUSIP: 31410FYG4 |
566,298.19 | 589,127.09 | 597,240.16 | |||||||||
FNMA POOL #888233 5% DUE 11-01-2035 BEO CUSIP: 31410FY66 |
33,258.98 | 31,869.63 | 0.00 | |||||||||
FNMA POOL #888594 6% DUE 08-01-2022 REG CUSIP: 31410GGB3 |
750,000.37 | 767,226.94 | 767,985.38 | |||||||||
FNMA POOL #894856 6% 09-01-2021 BEO CUSIP: 31410RE54 |
1,379,834.22 | 1,402,859.67 | 1,412,922.64 | |||||||||
FNMA POOL #897144 6% DUE 09-01-2036 REG CUSIP: 31410TWD3 |
646,958.91 | 650,749.69 | 657,112.28 | |||||||||
FNMA POOL #901506 ADJ RT DUE 11-01-2036 REG CUSIP: 31410YR30 |
716,531.14 | 723,360.59 | 725,740.71 | |||||||||
FNMA POOL #905121 6% DUE 12-01-2036 REG CUSIP: 31411DSJ9 |
1,024,569.79 | 1,035,615.93 | 1,040,649.39 | |||||||||
FNMA POOL #908736 6% DUE 02-01-2037 REG CUSIP: 31411HSZ4 |
1,145,017.67 | 1,152,531.84 | 1,162,987.58 | |||||||||
FNMA POOL #922227 6.5% DUE 12-01-2036 REG CUSIP: 31412DSQ2 |
687,114.31 | 700,942.86 | 706,383.06 | |||||||||
FNMA POOL #922228 6.5% DUE 12-01-2036 REG CUSIP: 31412DSR0 |
902,762.23 | 920,930.81 | 928,078.39 | |||||||||
FNMA POOL #928304 6% DUE 05-01-2037 REG CUSIP: 31412LKR0 |
1,918,157.72 | 1,934,417.11 | 1,948,002.34 | |||||||||
FNMA POOL #928583 6.5% DUE 08-01-2037 REG CUSIP: 31412LUG3 |
1,082,625.83 | 1,099,203.54 | 1,112,870.07 | |||||||||
FNMA POOL #937666 6% DUE 06-01-2037 REG CUSIP: 31412XFF6 |
843,044.29 | 832,637.97 | 856,161.22 | |||||||||
FNMA POOL #940728 7% DUE 10-01-2037 REG CUSIP: 31413BSR3 |
399,993.00 | 409,992.82 | 413,091.17 | |||||||||
FNMA POOL #943759 6.5% DUE 08-01-2037 REG CUSIP: 31413E5U5 |
799,941.39 | 814,690.31 | 816,049.01 | |||||||||
FNMA POOL #943776 6.5% DUE 11-01-2037 REG CUSIP: 31413E6M2 |
1,000,000.00 | 1,017,187.50 | 1,020,136.00 | |||||||||
FNMA POOL #948539 7% DUE 10-01-2037 REG CUSIP: 31413LHQ5 |
594,757.40 | 609,998.06 | 614,233.33 | |||||||||
FNMA POOL #967245 7% 12-01-2037 BEO CUSIP: 31414JBN2 |
1,103,392.00 | 1,146,665.66 | 1,147,799.11 | |||||||||
FNMA PREASSIGN 00137 12-25-2031 CUSIP: 31392BFS0 |
585,540.74 | 601,094.17 | 586,351.71 | |||||||||
FNMA PREASSIGN 00755 5.5 02-25-2030 CUSIP: 31395DY45 |
377,418.02 | 375,743.45 | 382,553.55 | |||||||||
FNMA REMIC SER 2002-62 CL-FP FLT RT 11-25-2032 CUSIP: 31392E2E9 |
800,000.00 | 825,375.00 | 825,384.80 | |||||||||
FNMA REMIC SER 2006-73 CL PJ 6 02-25-2028 CUSIP: 31396KEU2 |
436,839.24 | 438,153.17 | 442,864.56 | |||||||||
FNMA REMIC 5 05-25-2035 CUSIP: 31394ENV6 |
475,000.00 | 465,648.44 | 473,756.93 | |||||||||
FNMA SEMI ANNUAL 5.375 06-12-2017 CUSIP: 31398ADM1 |
355,000.00 | 366,554.39 | 377,107.27 | |||||||||
FNMA SER 2001-T6 CL B 6.088 05-25-2011 CUSIP: 31359S5W6 |
515,000.00 | 606,774.61 | 538,494.82 | |||||||||
FNMA SER 2002-T11 CL A 4.76878 DUE 04-25-2012 BEO CUSIP: 31392DYE6 |
172,150.54 | 171,989.17 | 172,858.77 | |||||||||
FNMA SINGLE FAMILY MORTGAGE 5% 30 YEARS SETTLES JANUARY CUSIP: 01F050619 |
3,345,000.00 | 3,209,857.61 | 3,263,465.63 | |||||||||
FNMA 15 YEAR PASS-THROUGHS 5.5% 15 YEARSSETTLES JANUARY CUSIP: 01F052417 |
8,000,000.00 | 8,070,781.25 | 8,102,496.00 | |||||||||
FNMA 15 YR PASS-THROUGHS 6 15 YEARS SETTLES FEB CUSIP: 01F060428 |
2,100,000.00 | 2,149,875.00 | 2,147,250.00 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
52
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 118 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
U.S. Government Securities |
||||||||||||
United States USD |
||||||||||||
FNMA 30 YEAR PASS-THROUGHS 6.5% 30 YEARSSETTLES JANUARY CUSIP: 01F062614 |
1,000,000.00 | 1,025,312.50 | 1,027,812.00 | |||||||||
FNMA 30 YEAR PASS-THROUGHS 6% 30 YEARS SETTLES FEBRUARY CUSIP: 01F060626 |
1,590,000.00 | 1,609,875.00 | 1,612,856.25 | |||||||||
FNMA 30 YEAR PASS-THROUGHS 6% 30 YEARS SETTLES JANUARY CUSIP: 01F060618 |
6,210,000.00 | 6,239,732.79 | 6,305,087.52 | |||||||||
FNMA 6.625 11-15-2030 CUSIP: 31359MGK3 |
3,000,000.00 | 3,399,123.80 | 3,702,066.00 | |||||||||
GNMA GNR 2006-39 A 06-16-2025 CUSIP: 38373MVU1 |
249,538.49 | 239,556.95 | 245,534.15 | |||||||||
GNMA II JUMBOS 6 30 YEARS SETTLES JAN CUSIP: 21H060614 |
1,000,000.00 | 1,016,093.75 | 1,019,687.50 | |||||||||
GNMA POOL #003624 5.5% 10-20-2034 BEO CUSIP: 36202EAZ2 |
1,932,429.31 | 1,854,830.20 | 1,936,856.51 | |||||||||
GNMA POOL #372854 SER 2024 8% DUE 01-15-2024 REG CUSIP: 36204LE31 |
6,795.06 | 7,043.54 | 7,341.46 | |||||||||
GNMA POOL #385932 8% DUE 11-15-2024 REG CUSIP: 36205BVZ2 |
23,432.39 | 24,289.14 | 25,316.64 | |||||||||
GNMA POOL #592128 SER 2032 7% DUE 11-15-2032 REG CUSIP: 36201SYZ6 |
9,759.94 | 10,388.26 | 10,346.06 | |||||||||
GNMA POOL #596796 SER 2032 7% DUE 12-15-2032 REG CUSIP: 36200B7H4 |
17,720.38 | 18,861.09 | 18,784.56 | |||||||||
GNMA POOL #657162 SER 2037 6% DUE 07-15-2037 REG CUSIP: 36294RB73 |
304,970.48 | 303,421.80 | 312,272.39 | |||||||||
GNMA POOL #671023 6% 08-15-2037 BEO CUSIP: 36295HPG9 |
440,911.63 | 440,205.48 | 451,468.38 | |||||||||
GNMA POOL #781070 SER 2029 8% DUE 07-15-2029 REG CUSIP: 36225BFK9 |
27,437.10 | 28,162.91 | 29,675.25 | |||||||||
GNMA REMIC SER 2004-77 CL A 3.402 03-16-2020 REG CUSIP: 38374JFB7 |
193,457.51 | 192,487.90 | 190,607.30 | |||||||||
GNMA REMIC SER 2005-29 CL A 4.016 07-16-2027 CUSIP: 38373MPT1 |
214,562.99 | 210,268.08 | 211,890.82 | |||||||||
GNMA REMIC SER 2005-32 CL B 4.385 08-16-2027 CUSIP: 38373MPK0 |
320,500.22 | 317,296.63 | 318,580.74 | |||||||||
GNMA REMIC SER 2005-50 CL A 4.015 10-16-2026 CUSIP: 38373MQY9 |
352,295.07 | 350,525.49 | 348,430.04 | |||||||||
GNMA REMIC SER 2005-90 CL A 3.75999999046 09-1 CUSIP: 38373MSB7 |
258,488.04 | 249,437.08 | 254,264.09 | |||||||||
GNMA REMIC SER 2007-46 CL A 06-16-2021 CUSIP: 38373MH37 |
246,217.97 | 238,831.43 | 241,853.26 | |||||||||
GNMA REMIC 2004-51 CL A 4.145 02-16-2018 CUSIP: 38373MLP3 |
267,954.07 | 267,954.07 | 265,470.94 | |||||||||
GNMA REMIC 2005-76 CL A 3.963 05-16-2030 CUSIP: 38374MEE5 |
524,427.12 | 513,938.57 | 517,537.20 | |||||||||
GNMA 2003-048 REMIC TR CTF CL AC 2.712 02-16-2020 CUSIP: 38373QTN1 |
255,174.31 | 253,516.53 | 251,745.02 | |||||||||
GNMA 2003-088 CL AC 2.9141 06-16-2018 CUSIP: 38373MJA9 |
152,968.00 | 151,438.34 | 150,865.91 | |||||||||
GNMA 2003-72 REMIC PASSTHRU CTF CL A 3.2062 04-16-2018 CUSIP: 38374BQM8 |
93,980.34 | 93,980.34 | 93,164.31 | |||||||||
GNMA 2004-009 REMIC PASSTHRU CTF CL A 3.36 08-16-2022 CUSIP: 38374FGL2 |
288,448.43 | 283,603.39 | 283,070.60 | |||||||||
GNMA 2004-012 REMIC PASSTHRU CTF CL A 3.11 01-16-2019 CUSIP: 38374FDQ4 |
289,464.10 | 289,464.10 | 283,323.99 | |||||||||
GNMA 2004-023 REMIC PASSTHRU CTF CL B 2.946 03-16-2019 CUSIP: 38374GCB6 |
899,629.87 | 869,400.20 | 877,731.98 | |||||||||
GNMA 2004-025 REMIC PASSTHRU CTF CL AC 3.328 03-16-2019 CUSIP: 38374F2Q6 |
285,819.93 | 285,819.93 | 280,524.83 | |||||||||
GNMA 2004-043 REMIC PASSTHRU CTF CL A 2.822 12-16-2019 CUSIP: 38374G5F5 |
477,458.62 | 466,827.13 | 465,478.71 | |||||||||
GNMA 2004-057 REMIC MTG PASSTHRU CTF CL A 3.022 01-16-2019 CUSIP: 38373MLF5 |
180,969.09 | 177,345.75 | 177,075.00 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
53
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 119 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
U.S. Government Securities |
||||||||||||
United States USD |
||||||||||||
GNMA 2004-067 REMIC PASSTHRU CTF CL A 3.648 09-16-2017 CUSIP: 38374HUC2 |
145,630.28 | 145,897.64 | 143,956.84 | |||||||||
GNMA 2004-097 REMIC PASSTHRU CTF CL AB 3.084 04-16-2022 CUSIP: 38374JE93 |
442,104.33 | 435,471.88 | 432,946.58 | |||||||||
GNMA 2005-012 REMIC PASSTHRU CTF CL A 4.044 05-16-2021 CUSIP: 38373MNJ5 |
159,581.46 | 159,581.46 | 157,882.40 | |||||||||
GNMA 2005-014 REMIC PASSTHRU CTF CL A 4.13 02-16-2027 CUSIP: 38373MNZ9 |
403,916.76 | 403,916.76 | 400,140.14 | |||||||||
GNMA 2005-052 REMIC PASSTHRU CTF CL A 4.287 01-16-2030 CUSIP: 38373MQR4 |
193,307.18 | 193,307.18 | 191,898.16 | |||||||||
GNMA 2005-079 CL A 3.99799990654 10-16-2033 CUSIP: 38374MAA7 |
123,528.18 | 121,273.51 | 122,126.26 | |||||||||
GNMA 2005-087 REMIC PASSTHRU CTF CL A 4.449 03-16-2025 CUSIP: 38373MRU6 |
313,452.78 | 307,183.71 | 311,909.65 | |||||||||
GNMA 2006-003 REMIC PASS THRU CTF CL A 4.212 01-16-2028 CUSIP: 38373MSH4 |
539,097.07 | 528,315.11 | 534,456.52 | |||||||||
GNMA 2006-005 CL A 4.241 07-16-2029 CUSIP: 38373MSX9 |
401,325.91 | 393,294.98 | 398,034.23 | |||||||||
GNMA 2006-006 REMIC PASSTHRU CL A 4.04500007629 10-1 CUSIP: 38373MSP6 |
109,659.94 | 107,508.92 | 108,541.96 | |||||||||
GNMA 2006-055 CL A 4.24800014496 07-16-2029 CUSIP: 38374NN60 |
509,589.19 | 497,223.25 | 505,071.17 | |||||||||
GNMA 2007-052 REMIC PASSTHRU CTF CL A 4.05399990082 06-1 CUSIP: 38373MJ27 |
346,391.76 | 336,360.32 | 342,532.61 | |||||||||
GNMAII POOL #003151 SER 2031 7% DUE 10-20-2031 REG CUSIP: 36202DQC8 |
83,001.60 | 87,294.34 | 87,725.89 | |||||||||
GNMAII POOL #003229 SER 2032 7% DUE 04-20-2032 REG CUSIP: 36202DSS1 |
45,243.66 | 47,534.13 | 47,819.61 | |||||||||
GNMAII POOL #003240 SER 2032 7% DUE 05-20-2032 REG CUSIP: 36202DS51 |
41,749.19 | 43,862.74 | 44,126.18 | |||||||||
GNMAII POOL #003599 SER 2034 6.5% DUE 08-20-2034 REG CUSIP: 36202D7L9 |
125,292.87 | 128,366.46 | 129,667.72 | |||||||||
GNMAII POOL #003691 SER 2035 5.5% DUE 03-20-2035 REG CUSIP: 36202EC49 |
1,077,217.73 | 1,078,564.25 | 1,079,699.64 | |||||||||
GNMAII POOL #003774 SER 2035 5.5% DUE 10-20-2035 REG CUSIP: 36202EFP9 |
642,051.37 | 632,520.93 | 643,530.66 | |||||||||
TN VY AUTH 5.375 DUE 04-01-2056 REG CUSIP: 880591DZ2 |
295,000.00 | 285,907.19 | 313,816.58 | |||||||||
U.S TREAS NTS DTD 00147 4.625 DUE 12-31-2011 REG CUSIP: 912828GC8 |
3,399,000.00 | 3,418,705.42 | 3,565,231.49 | |||||||||
U.S. TREAS NTS 3.625 DUE 10-31-2009 REG CUSIP: 912828HF0 |
3,200,000.00 | 3,197,577.04 | 3,231,500.80 | |||||||||
UNITED STATES TREAS BDS DTD 02/15/1995 7.625% DUE 02-15-2 CUSIP: 912810ET1 |
2,800,000.00 | 3,738,589.42 | 3,839,063.20 | |||||||||
UNITED STATES TREAS BDS DTD 02/15/2000 6.25% DUE 05-15-20 CUSIP: 912810FM5 |
1,100,000.00 | 1,259,945.44 | 1,372,765.90 | |||||||||
UNITED STATES TREAS BDS DTD 02/15/2001 5.375 15 FEB 2031 CUSIP: 912810FP8 |
3,000,000.00 | 3,157,758.71 | 3,379,923.00 | |||||||||
UNITED STATES TREAS BDS DTD 02/15/2006 4.5% DUE 02-15-203 CUSIP: 912810FT0 |
2,716,000.00 | 2,501,435.08 | 2,729,791.85 | |||||||||
UNITED STATES TREAS BDS DTD 08/15/1993 6.25% DUE 08-15-20 CUSIP: 912810EQ7 |
3,430,000.00 | 3,887,145.44 | 4,106,622.38 | |||||||||
UNITED STATES TREAS BDS DTD 08/15/1996 6.75% DUE 08-15-20 CUSIP: 912810EX2 |
415,000.00 | 494,875.05 | 531,200.00 | |||||||||
UNITED STATES TREAS BDS DTD 08/15/1997 6.375% DUE 08-15-2 CUSIP: 912810FA1 |
610,000.00 | 685,225.39 | 757,114.92 | |||||||||
UNITED STATES TREAS BDS DTD 11/15/1996 6.5 15 NOV 2026 CUSIP: 912810EY0 |
600,000.00 | 755,257.82 | 750,796.80 | |||||||||
UNITED STATES TREAS BDS 00203 5% DUE 05-15-2037 REG CUSIP: 912810PU6 |
2,770,000.00 | 2,886,585.38 | 3,019,083.94 | |||||||||
UNITED STATES TREAS BDS 5.500 DUE 08-15-2028 REG CUSIP: 912810FE3 |
430,000.00 | 469,143.33 | 486,907.92 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
54
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 120 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
U.S. Government Securities |
||||||||||||
United States USD |
||||||||||||
UNITED STATES TREAS BDS 7 1/4% 15/8/2022USD1000 7.25% DUE CUSIP: 912810EM6 |
1,280,000.00 | 1,617,467.97 | 1,662,000.64 | |||||||||
UNITED STATES TREAS NTS DTD 00040 4.25% DUE 11-15-2013 REG CUSIP: 912828BR0 |
225,000.00 | 222,598.13 | 233,279.33 | |||||||||
UNITED STATES TREAS NTS DTD 00068 3.375%DUE 09-15-2009 REG CUSIP: 912828CV0 |
489,000.00 | 490,604.53 | 491,559.43 | |||||||||
UNITED STATES TREAS NTS DTD 00156 4.5% DUE 03-31-2012 REG CUSIP: 912828GM6 |
15,000,000.00 | 15,169,267.06 | 15,677,340.00 | |||||||||
UNITED STATES TREAS NTS DTD 00165 4.875%DUE 06-30-2012 REG CUSIP: 912828GW4 |
580,000.00 | 594,445.38 | 615,162.50 | |||||||||
UNITED STATES TREAS NTS DTD 00167 4.625%DUE 07-31-2009 BEO CUSIP: 912828GY0 |
50,000.00 | 50,119.52 | 51,164.05 | |||||||||
UNITED STATES TREAS NTS DTD 00172 4% DUE09-30-2009 REG CUSIP: 912828HD5 |
2,320,000.00 | 2,328,881.62 | 2,356,976.16 | |||||||||
UNITED STATES TREAS NTS DTD 00175 3.875%DUE 10-31-2012 REG CUSIP: 912828HG8 |
1,695,000.00 | 1,736,172.13 | 1,728,237.26 | |||||||||
UNITED STATES TREAS NTS DTD 00176 4.25% DUE 11-15-2017 REG CUSIP: 912828HH6 |
2,740,000.00 | 2,753,549.65 | 2,787,736.28 | |||||||||
UNITED STATES TREAS NTS DTD 00177 3.125%DUE 11-30-2009 REG CUSIP: 912828HJ2 |
4,375,000.00 | 4,370,214.73 | 4,379,786.25 | |||||||||
UNITED STATES TREAS NTS DTD 00178 3.375%DUE 11-30-2012 REG CUSIP: 912828HK9 |
1,675,000.00 | 1,672,898.51 | 1,669,373.68 | |||||||||
UNITED STATES TREAS NTS NT 4.25 DUE 08-15-2015 REG CUSIP: 912828EE6 |
500,000.00 | 514,980.47 | 513,203.00 | |||||||||
UNITED STATES TREAS NTS NT 4.25% DUE 11-15-2014 REG CUSIP: 912828DC1 |
6,375,000.00 | 6,594,085.61 | 6,576,711.38 | |||||||||
UNITED STATES TREAS NTS T-NT 5.125% DUE 06-30-2011 REG CUSIP: 912828FK1 |
3,600,000.00 | 3,617,684.81 | 3,824,719.20 | |||||||||
UNITED STATES TREAS NTS 4.75 DUE 08-15-2017 BEO CUSIP: 912828HA1 |
2,275,000.00 | 2,328,326.57 | 2,402,791.30 | |||||||||
US TREAS BDS USD1000 8.125 DUE 08-15-2019 REG CUSIP: 912810ED6 |
1,675,000.00 | 2,166,461.54 | 2,257,848.08 | |||||||||
US TREAS BDS 00202 4.75 DUE 02-15-2037 REG CUSIP: 912810PT9 |
170,000.00 | 171,765.59 | 177,915.54 | |||||||||
US TREAS BDS 8 1/8 15/8/2021 USD(VAR) 8.125 DUE 08-15-20 CUSIP: 912810EK0 |
2,150,000.00 | 2,839,343.75 | 2,961,457.30 | |||||||||
US TREAS NTS DTD 00173 4.25 DUE 09-30-2012 REG CUSIP: 912828HE3 |
105,000.00 | 108,346.88 | 108,683.19 | |||||||||
US TREAS NTS NTS 4.625 DUE 07-31-2012 REG CUSIP: 912828GZ7 |
5,035,000.00 | 5,290,016.51 | 5,286,750.00 | |||||||||
US TREAS NTS 4.625 DUE 11-15-2016 REG CUSIP: 912828FY1 |
141,000.00 | 145,489.35 | 147,664.51 | |||||||||
US TREAS NTS 5.75 DUE 08-15-2010 REG CUSIP: 9128276J6 |
3,500,000.00 | 3,683,750.00 | 3,734,608.50 | |||||||||
US TREAS 7.875 BD 2-15-2021 REG CUSIP: 912810EH7 |
1,665,000.00 | 2,170,922.92 | 2,239,425.00 | |||||||||
US TSY 4.75 15MAY14 CUSIP: 912828CJ7 |
1,240,000.00 | 1,251,820.31 | 1,318,565.16 | |||||||||
Total United States USD |
261,752,013.07 | 266,209,422.62 | ||||||||||
Total U.S. Government Securities |
261,752,013.07 | 266,209,422.62 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
55
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 121 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Debt Instruments Preferred |
||||||||||||
Australia USD |
||||||||||||
PVTPL ST GEORGE BK LTD SUB NT 144A 5.3 DUE 10-15-2015 BEO CUSIP: 789547AD8 |
260,000.00 | 259,451.40 | 252,262.40 | |||||||||
Total Australia USD |
259,451.40 | 252,262.40 | ||||||||||
Canada USD |
||||||||||||
BROOKFIELD ASSET MGMT INC NT DUE 5.8% 04-25-2017 CUSIP: 112585AB0 |
130,000.00 | 129,649.00 | 130,879.19 | |||||||||
FINANCEMENT QUE NT 5 DUE 10-25-2012 BEO CUSIP: 317385AF9 |
280,000.00 | 271,353.60 | 287,814.80 | |||||||||
Total Canada USD |
401,002.60 | 418,693.99 | ||||||||||
France USD |
||||||||||||
FRANCE TELECOM SA NT STEP UP 03-01-2011 CUSIP: 35177PAK3 |
530,000.00 | 565,224.70 | 569,657.25 | |||||||||
FRANCE TELECOM SA NT STEP UP 03-01-2031 02-28-2031 CUSIP: 35177PAL1 |
195,000.00 | 257,433.45 | 252,848.12 | |||||||||
Total France USD |
822,658.15 | 822,505.37 | ||||||||||
Germany USD |
||||||||||||
SIEMENS FINANCIERINGSMAATSCHAPPIJ N V GTD NT 144A 6.125% CUSIP: 826200AD9 |
175,000.00 | 174,639.50 | 173,318.78 | |||||||||
Total Germany USD |
174,639.50 | 173,318.78 | ||||||||||
Luxembourg USD |
||||||||||||
PVTPL ENEL FIN INTL S A GTD NT 144A 5.7 DUE 01-15-2013 BEO CUSIP: 29268BAA9 |
115,000.00 | 114,755.05 | 116,757.43 | |||||||||
Total Luxembourg USD |
114,755.05 | 116,757.43 | ||||||||||
Netherlands USD |
||||||||||||
DEUTSCHE TELEKOM INTL FIN B V GTD NT STEP UP06-15-2010 CUSIP: 25156PAB9 |
600,000.00 | 654,322.00 | 640,555.20 | |||||||||
DEUTSCHE TELEKOM INTL FIN B V GTD NT 8.25% DUE 06-15-20 CUSIP: 25156PAC7 |
420,000.00 | 504,999.60 | 524,055.84 | |||||||||
ING CAP FDG TR III GTD TR PFD SECS VAR RATE DUE 12-29-204 CUSIP: 44978NAA3 |
1,140,000.00 | 1,263,500.58 | 1,207,768.44 | |||||||||
Total Netherlands USD |
2,422,822.18 | 2,372,379.48 | ||||||||||
Norway USD |
||||||||||||
EKSPORTFINANS A S A MTN TR 00087 5.125 DUE CUSIP: 28264QDQ4 |
100,000.00 | 99,859.46 | 103,651.60 | |||||||||
Total Norway USD |
99,859.46 | 103,651.60 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
56
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 122 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Debt Instruments Preferred |
||||||||||||
Singapore USD |
||||||||||||
PVTPL DBS BK LTD SINGAPORE SUB NT 144A 5.125 DUE 05-16-20 CUSIP: 233048AD9 |
315,000.00 | 313,576.20 | 313,594.16 | |||||||||
Total Singapore USD |
313,576.20 | 313,594.16 | ||||||||||
Sweden USD |
||||||||||||
PVTPL ATLAS COPCO AB NT 144A 5.6 DUE 05-22-2017 BEO CUSIP: 049255AG7 |
115,000.00 | 114,948.25 | 115,041.98 | |||||||||
Total Sweden USD |
114,948.25 | 115,041.98 | ||||||||||
United Kingdom USD |
||||||||||||
DIAGEO CAP PLC DIAGEO CAP PLC 5.2 DUE 01-30-2013 BEO CUSIP: 25243YAL3 |
100,000.00 | 100,142.00 | 100,456.50 | |||||||||
HSBC CAP FDG DLR 2 L P PERP PFD SECS 144A DUE 12-29-204 CUSIP: 40429Q200 |
1,500,000.00 | 1,391,260.00 | 1,380,750.00 | |||||||||
NATIONWIDE BLDG SOC MEDIUM TERM SR NTS BOOK ENTRY 144A 4. CUSIP: 63859UAU7 |
550,000.00 | 543,813.54 | 549,501.15 | |||||||||
PVTPL BARCLAYS BK PLC 144A VAR RATE 8.55% DUE 09-29-20 CUSIP: 06738CAE9 |
1,500,000.00 | 1,675,305.00 | 1,579,942.50 | |||||||||
PVTPL HBOS CAP FDG NO 2 L P BONDS 144A 6.071% DUE 06-30-2 CUSIP: 40411CAA0 |
750,000.00 | 758,790.00 | 701,768.25 | |||||||||
VODAFONE GROUP PLC NEW GCB 02/27/07 6.150 FA37 6.15 DU CUSIP: 92857WAQ3 |
80,000.00 | 76,348.00 | 79,009.60 | |||||||||
Total United Kingdom USD |
4,545,658.54 | 4,391,428.00 | ||||||||||
United States USD |
||||||||||||
ABBOTT LABS NT 6.15% DUE 11-30-2037 BEO CUSIP: 002819AC4 |
175,000.00 | 174,300.00 | 184,654.58 | |||||||||
ACCREDITED MTG LN TR ACCR 06-1 A1 04-25-2036 BEO CUSIP: 004375EU1 |
41,193.84 | 41,193.84 | 41,054.93 | |||||||||
ACE INA HLDG INC ACE INA HOLDINGS 5.7% DUE 02-15-2017/02- CUSIP: 00440EAJ6 |
280,000.00 | 279,784.40 | 277,479.44 | |||||||||
ACE SECS CORP HOME EQTY LN TR SER 2006-ASL1 CL A CUSIP: 00442AAA1 |
67,239.94 | 67,239.94 | 59,280.75 | |||||||||
ADVANTA BUSINESS CARD MASTER TR 2006-A3 ASSET BKD NT CL A CUSIP: 00761HBS9 |
550,000.00 | 548,958.08 | 553,424.30 | |||||||||
AMERICA WEST AIRLS INC 2001-1 PASS THRU CTF CL G 7.1% DUE CUSIP: 023650AH7 |
314,170.92 | 314,170.92 | 320,064.77 | |||||||||
AMERICAN EXPRESS CR CORP MEDIUM TERM NTSBOOK ENTRY MTN VAR CUSIP: 0258M0CR8 |
195,000.00 | 194,998.05 | 191,704.11 | |||||||||
AMERICAN HOME PRODS CORP NT 6.95% DUE 03-15-2011/03-14-2 CUSIP: 026609AM9 |
185,000.00 | 202,264.98 | 197,119.35 | |||||||||
AMERICAN INTL GROUP INC NT 5.05% DUE 10-01-2015/08-23-2 CUSIP: 026874AX5 |
140,000.00 | 136,260.60 | 135,201.36 | |||||||||
AMERICREDIT PRIME AUTOMOBILE RECEIVABLESNT CL B CUSIP: 030615AE8 |
215,000.00 | 214,958.98 | 216,110.05 | |||||||||
AMERN EXPRESS CR A/C MASTER TR 2004-3 AST BKD CTF CL A 4 CUSIP: 02582JCX6 |
480,000.00 | 466,453.12 | 481,071.84 | |||||||||
AMERN GEN FIN CORP MEDIUM TERM SR NTS TRANCHE # TR 00390 CUSIP: 02635PSF1 |
160,000.00 | 157,788.80 | 158,714.24 | |||||||||
AMERN GEN FIN CORP MEDIUM TERM SR NTS TRANCHE # TR 00425 CUSIP: 02635PTS2 |
135,000.00 | 134,041.50 | 135,135.00 | |||||||||
AMERN INTL GROUP INC MEDIUM TERM NTS TRANCHE # TR 00029 CUSIP: 02687QBE7 |
930,000.00 | 935,136.00 | 944,832.57 | |||||||||
ARDEN RLTY LTD PARTNERSHIP NT 5.25% DUE 03-01-2015/03-01-2 CUSIP: 03979GAL9 |
100,000.00 | 99,692.00 | 100,491.40 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
57
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 123 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Debt Instruments Preferred |
||||||||||||
United States USD |
||||||||||||
AT&T CORP FLOATING RATE NT DUE 11-15-2011/11-14-2 CUSIP: 001957BC2 |
255,000.00 | 272,105.40 | 276,294.29 | |||||||||
AT&T CORP USD SR NT VAR RATE DUE 11-15-2031/11-14-2 CUSIP: 001957BD0 |
60,000.00 | 71,840.40 | 73,684.38 | |||||||||
AT&T INC NT FLTG RATE VAR RT DUE 05-15-2008 CUSIP: 00206RAA0 |
225,000.00 | 225,000.00 | 224,790.75 | |||||||||
AT&T INC 6.3% DUE 01-15-2038/12-06-2007 BEO CUSIP: 00206RAG7 |
655,000.00 | 652,782.20 | 665,475.42 | |||||||||
AT&T WIRELESS SVCS INC SR NT 7.875% DUE 03-01-2011/02-28-2 CUSIP: 00209AAE6 |
340,000.00 | 390,629.40 | 368,208.44 | |||||||||
AT&T WIRLESS SERVICES GROUP SR NT 8.75% DUE 03-01-2031 BEO CUSIP: 00209AAF3 |
105,000.00 | 127,970.85 | 136,078.22 | |||||||||
BANK AMER CORP BANK AMER 5.75% DUE 12-01-2017 BEO CUSIP: 060505DP6 |
650,000.00 | 645,771.40 | 651,491.10 | |||||||||
BANK AMER CORP NT FLT RT DUE 08-02-2010 BEO CUSIP: 060505BT0 |
900,000.00 | 901,958.40 | 896,982.30 | |||||||||
BANK AMER CORP 4.25% DUE 10-01-2010 BEO CUSIP: 060505BP8 |
2,500,000.00 | 2,461,375.00 | 2,484,220.00 | |||||||||
BANK ONE CORP BANK ONE CORP5.25% DUE 01-30-2013 BEO CUSIP: 06423AAS2 |
140,000.00 | 138,979.40 | 139,588.54 | |||||||||
BANK ONE ISSUANCE TR ABS BOIT 3.94000005722% DUE CUSIP: 06423RBR6 |
800,000.00 | 792,175.20 | 797,756.80 | |||||||||
BANKAMERICA CORP 7.125 DUE 10-15-2011 REG CUSIP: 066050CM5 |
85,000.00 | 98,001.60 | 91,317.12 | |||||||||
BAYVIEW COML ASSET TR 2004-1 CL A 3.495%DUE 04-25-2034 REG CUSIP: 07324SAL6 |
87,799.25 | 88,046.19 | 81,037.83 | |||||||||
BEAR STEARNS COS INC BEAR STEARNS CO 5.5% DUE 08-15-201 CUSIP: 073902ML9 |
415,000.00 | 413,377.35 | 409,768.10 | |||||||||
BEAR STEARNS COS INC BEAR STEARNS CO 6.410 2 17 6.4% DUE 1 CUSIP: 073902PR3 |
170,000.00 | 163,813.70 | 164,247.20 | |||||||||
BEAR STEARNS COS INC NT 3.25 DUE 03-25-2009 BEO CUSIP: 073902CF3 |
1,175,000.00 | 1,125,650.00 | 1,137,768.95 | |||||||||
BELLSOUTH CORP BD 4.2 DUE 09-15-2009/09-13-2 CUSIP: 079860AF9 |
1,000,000.00 | 961,960.00 | 994,047.00 | |||||||||
BLACKROCK INC NT 6.25 DUE 09-15-2017 REG CUSIP: 09247XAC5 |
275,000.00 | 277,463.60 | 283,093.25 | |||||||||
BMW VEH OWNER TR BMW VEHICLE OWNER TRUST4.280 4.28% DUE 01 CUSIP: 055959BK5 |
945,457.99 | 939,401.15 | 943,629.47 | |||||||||
BOEING CAP CORP NT 7.375 DUE 09-27-2010/09-26-2 CUSIP: 097014AC8 |
385,000.00 | 440,368.60 | 413,313.67 | |||||||||
BOTTLING GROUP LLC SR NT 4.625 DUE 11-15-2012/11-14-2 CUSIP: 10138MAB1 |
200,000.00 | 199,836.00 | 200,637.60 | |||||||||
BRASCAN CORP NT 7.125 DUE 06-15-2012 BEO CUSIP: 10549PAE1 |
155,000.00 | 173,085.60 | 166,394.21 | |||||||||
BRASCAN CORP NT 8.125 DUE 12-15-2008 BEO CUSIP: 10549PAC5 |
30,000.00 | 32,308.80 | 30,907.44 | |||||||||
BSCMS 2007-T28 A4 214748309/11/42 CUSIP: 073945AE7 |
940,000.00 | 945,101.76 | 962,940.70 | |||||||||
BSTN PPTYS LTD PARTNERSHIP NT 5 DUE 06-01-2015/05-31-2 CUSIP: 10112RAE4 |
20,000.00 | 19,369.40 | 18,527.72 | |||||||||
BSTN PPTYS LTD PARTNERSHIP SR NT 6.25 DUE 01-15-2013/01- CUSIP: 10112RAB0 |
220,000.00 | 219,230.00 | 220,966.90 | |||||||||
CAPITAL ONE AUTO FIN TR ABS 5.46999979019% DUE CUSIP: 14042GAC9 |
1,465,000.00 | 1,464,873.42 | 1,480,419.13 | |||||||||
CAPITAL ONE AUTO FIN TR 2007-C NT CL A-3-A 5.1300001144 CUSIP: 14042HAD5 |
540,000.00 | 539,935.58 | 539,653.86 | |||||||||
CARAT 2006 2 AST BKD CTF CL A-3A FLTG RATE 4.98 DUE 05-1 CUSIP: 13973AAD5 |
875,000.00 | 874,922.03 | 878,120.25 | |||||||||
CARAT 2006 2 AST BKD CTF CL B FLTG RATE 5.07 DUE 2-15-11 R CUSIP: 13973AAF0 |
340,000.00 | 339,951.55 | 335,910.14 | |||||||||
CAROLINA PWR & LT CO 1ST MTG BD 5.125 DUE 09-15-2013/09- CUSIP: 144141CT3 |
180,000.00 | 178,070.40 | 180,347.22 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
58
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 124 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Debt Instruments Preferred |
||||||||||||
United States USD |
||||||||||||
CATERPILLAR FINL SVCS CORP MEDIUM TERM NTRANCHE # TR 0080 CUSIP: 14912L3N9 |
320,000.00 | 319,830.40 | 320,552.64 | |||||||||
CENTEX HOME EQUITY LN TR 2006-A 2006-A ASSET BKD CTF CL A CUSIP: 15231AAA4 |
21,310.00 | 21,310.00 | 21,229.11 | |||||||||
CHARTER ONE BK N A NT 5.5% DUE 04-26-2011 REG CUSIP: 16132NAW6 |
275,000.00 | 274,881.75 | 284,425.08 | |||||||||
CHUBB CORP SR NT 5.472% DUE 08-16-2008 REG CUSIP: 171232AK7 |
550,000.00 | 549,291.60 | 550,660.55 | |||||||||
CIT GROUP INC NT 4.75% DUE 08-15-2008 BEO CUSIP: 125577AQ9 |
110,000.00 | 109,899.90 | 108,968.53 | |||||||||
CITIBANK CR CARD ISSUANCE TR CCCIT 2006 A5 5.3 DUE 05-20-2 CUSIP: 17305EDH5 |
610,000.00 | 613,669.53 | 618,885.26 | |||||||||
CITIBANK CR CARD ISSUANCE TR SERIES 2007-A5 CLASS-A5 5 CUSIP: 17305EDV4 |
640,000.00 | 654,500.00 | 657,724.16 | |||||||||
CITIBANK CR CARD ISSUANCE TR 5.65 DUE 09-20-2019 REG CUSIP: 17305EDY8 |
550,000.00 | 546,892.50 | 550,550.55 | |||||||||
CITICORP MEDIUM TERM SUB NTS- BOOK ENTRYTRANCHE # SB 00195 CUSIP: 17303MJC4 |
210,000.00 | 198,949.87 | 212,849.91 | |||||||||
CITICORP RESDNTL MTG TR SER 2007-2 5.983DUE 06-25-203 CUSIP: 17312HAA7 |
565,451.52 | 565,445.87 | 562,736.79 | |||||||||
CITIGROUP INC CITI GROUP SR NOTES 5.1% DUE 09-29-2011 BEO CUSIP: 172967DU2 |
385,000.00 | 383,159.70 | 387,143.68 | |||||||||
CITIGROUP INC CITIGROUP INC C 5.3 10/17/12 5.3% DUE CUSIP: 172967EL1 |
530,000.00 | 529,008.90 | 536,895.30 | |||||||||
CITIGROUP INC GLOBAL NT FLTG RATE DUE 05-18-2010 REG CUSIP: 172967CX7 |
500,000.00 | 501,919.00 | 495,217.00 | |||||||||
CITIGROUP INC VAR DUE 05-18-2011 REG CUSIP: 172967DL2 |
600,000.00 | 600,854.40 | 586,117.20 | |||||||||
CITY NATL CORP SR NT 5.125% DUE 02-15-2013 BEO CUSIP: 178566AB1 |
200,000.00 | 208,902.00 | 199,582.20 | |||||||||
CMO BANC AMER COML MTG INC 2002-2 COML MTG CL A-3 5.118 0 CUSIP: 05947UHM3 |
500,000.00 | 489,414.06 | 505,845.00 | |||||||||
CMO BANC AMER COML MTG INC 2005-6 COML CL A-M 5.180532% D CUSIP: 05947U4E5 |
560,000.00 | 557,821.12 | 544,642.56 | |||||||||
CMO BAYVIEW COML ASSET TR 2003-2 ASSET BKD CTF CL A 144A CUSIP: 07324SAF9 |
84,939.82 | 85,417.61 | 83,822.18 | |||||||||
CMO BAYVIEW COML MTG PASS-THROUGH TR 2006-SP1 CL 144A A CUSIP: 07324MAB1 |
51,690.10 | 51,690.10 | 48,767.54 | |||||||||
CMO BEAR STEARNS COML MTG SECS II INC 2006 PW11 A4 5.456 CUSIP: 07387MAE9 |
750,000.00 | 753,797.25 | 761,178.75 | |||||||||
CMO BEAR STEARNS COML MTG SECS TR 2006-PWR13 CL-A4 D CUSIP: 07388LAE0 |
2,000,000.00 | 2,039,843.75 | 2,030,520.00 | |||||||||
CMO BEAR STEARNS COML MTG SECS TR 6-PWR12 CL A-4 5.7 CUSIP: 07387JAE6 |
1,500,000.00 | 1,548,339.84 | 1,549,321.50 | |||||||||
CMO C-BASS SER 2006-CB2 TR CL AF-1 5.708DUE 12-25-2036 REG CUSIP: 12498NAA1 |
21,680.29 | 21,679.95 | 21,507.91 | |||||||||
CMO CD 2005-CD1 COMMERICAL MTG TR SER 2005-C1 CL A2FX DU CUSIP: 12513EAD6 |
350,000.00 | 351,859.20 | 351,370.60 | |||||||||
CMO CD 2006-CD2 CD 5.408 20160115 5.408%DUE 01-15-2046 BEO CUSIP: 12513XAB8 |
390,000.00 | 391,946.53 | 392,928.90 | |||||||||
CMO CHASEFLEX TR SER 2006-2 CL A-1-A 5.59% DUE 09-25-20 CUSIP: 16165MAA6 |
95,191.97 | 95,188.17 | 95,564.93 | |||||||||
CMO CITICORP RESDNTL MTG TR SER 2006-2 CL A-2 5.557 DUE 0 CUSIP: 17310EAB4 |
600,000.00 | 599,982.00 | 592,351.20 | |||||||||
CMO CITIGROUP MTG LN TR 2005-WF2 MTG PASSTHRU CTF CL AF CUSIP: 17307GVG0 |
12,356.61 | 12,356.49 | 12,327.60 | |||||||||
CMO CITIGROUP MTG LN TR 2005-WF2 MTG PASSTHRU CTF CL AF CUSIP: 17307GVN5 |
475,000.00 | 474,985.75 | 440,068.03 | |||||||||
CMO CITIGROUP MTG LN TR 2006-WF1 CL A-2A5.729 DUE 03-25-20 CUSIP: 17307G4F2 |
943.68 | 943.68 | 943.68 | |||||||||
CMO COML MTG TR 2007-GG9 MTG PASSTHRU CTF CL A-4 5.444 D CUSIP: 20173QAE1 |
284,999.99 | 273,689.06 | 286,682.63 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
59
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 125 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Debt Instruments Preferred |
||||||||||||
United States USD |
||||||||||||
CMO CR SUISSE 1ST BSTN MTG SECS CORP 2005-C5 CTF A-M 5. CUSIP: 225470AR4 |
530,000.00 | 506,916.02 | 510,096.38 | |||||||||
CMO CSAB MTG BACKED TR 2006-3 MTG BKD PASSTHRU CTF CL A- CUSIP: 12628KAA0 |
481,713.56 | 481,690.97 | 482,770.44 | |||||||||
CMO CSMC MTG BACKED TR 2007-1 MTG PASSTHRU CTF CL 1- CUSIP: 126378AL2 |
355,000.00 | 355,000.00 | 337,427.15 | |||||||||
CMO CWMBS INC 2005-31 CHL CL 2-A-1 DUE 01-25-2036 REG CUSIP: 126694UL0 |
799,812.69 | 793,689.14 | 797,536.42 | |||||||||
CMO GMAC COML MTG SEC INC SER 1998-C2 CLASS-A2 6.42 DUE CUSIP: 361849DY5 |
115,326.97 | 115,759.45 | 115,637.78 | |||||||||
CMO GS MTG SECS CORP II SER 2006-GG6 CL A4 FLT RT DUE 04-1 CUSIP: 36228CWX7 |
580,000.00 | 582,841.98 | 588,956.36 | |||||||||
CMO GSAMP TR 2006-S4 2006-S4 MTG PASSTHRU CTF CL A- CUSIP: 36244MAA9 |
86,130.45 | 86,130.45 | 69,387.64 | |||||||||
CMO INDYMAC INDX MTG LN TR 2006-AR25 CL 4-A-2 DUE 12-31-20 CUSIP: 45661HAK3 |
425,277.73 | 425,942.22 | 429,960.04 | |||||||||
CMO INDYMAC MBS INC 2006-AR9 B-1 6.0589 DUE 06-25-2036 REG CUSIP: 45661EGM0 |
229,472.92 | 226,546.23 | 213,721.21 | |||||||||
CMO J P MORGAN CHASE COML MTG SECS CORP2005-LDP5 CL A-2B CUSIP: 46625YXM0 |
370,000.00 | 371,848.15 | 370,814.74 | |||||||||
CMO J P MORGAN CHASE COML MTG SECS TR 2006-LDP7 CL A-SB CUSIP: 46628FAH4 |
220,000.00 | 219,783.67 | 227,052.10 | |||||||||
CMO J P MORGAN CHASE COML MTG SECS TR 2006-LDP9 CL A-2 D CUSIP: 46629PAB4 |
570,000.00 | 561,294.14 | 558,315.00 | |||||||||
CMO LB-UBS COML MTG TR 2001-C3 CL A-2 6.365 EXP6-15-11 CUSIP: 52108HFL3 |
250,000.00 | 258,554.69 | 262,811.50 | |||||||||
CMO LB-UBS COML MTG TR 2006-C3 CL A-4 DUE 03-15-2039 REG CUSIP: 52108MFS7 |
450,000.00 | 452,221.34 | 460,872.90 | |||||||||
CMO LB-UBS COML MTG TR 2006-C6 CL A4 FLTRT DUE 09-15-2039 CUSIP: 50179MAE1 |
800,000.00 | 805,093.75 | 802,756.00 | |||||||||
CMO MERRILL LYNCH MTG TR SER 2005-CKI1 CL A2 5.222564% DU CUSIP: 59022HLB6 |
175,000.00 | 175,957.92 | 175,928.90 | |||||||||
CMO MORGAN ST CAP I TR 2006-IQ-11 2006-IQ11 CL-A3 10 CUSIP: 617453AS4 |
690,000.00 | 695,867.98 | 702,207.48 | |||||||||
CMO MORGAN STANLEY ABS CAP I INC TR 2006-HE3 2006-HE3 CUSIP: 61749HAB6 |
45,068.15 | 45,068.15 | 44,740.68 | |||||||||
CMO MORGAN STANLEY CAP I TR 2006-HQ9 CL A-3 5.712 DUE 07-2 CUSIP: 61750CAD9 |
370,000.00 | 372,014.65 | 375,904.46 | |||||||||
CMO MORGAN STANLEY CAP I TR 2006-TOP23 5.98299980164% DUE CUSIP: 61749MAW9 |
655,000.00 | 656,155.42 | 663,089.25 | |||||||||
CMO MORGAN STANLEY CAP I 2006-TOP2 PASSTHRU A-2 0 DUE CUSIP: 617451CN7 |
365,000.00 | 367,000.20 | 365,059.86 | |||||||||
CMO MORGAN STANLEY MTG LN TR 2006-15XS MTG PASS THRU CTF CUSIP: 61750YAK5 |
175,000.00 | 174,999.95 | 163,793.35 | |||||||||
CMO MSDW CAP I TR SER 2001-PPM CL A2 6.4DUE 02-15-2031 BEO CUSIP: 61746WES5 |
88,461.64 | 90,220.50 | 91,329.57 | |||||||||
CMO NATIONSLINK FDG CORP CML MTG PTHRU CTF 1998-2 CL A-2 CUSIP: 63859CBH5 |
142,499.13 | 142,833.11 | 142,578.36 | |||||||||
CMO NEWCASTLE MTG SECS TR SER 2006-1 CL A-1 FLT RT DUE 03- CUSIP: 65106AAJ2 |
136,575.54 | 136,565.69 | 135,545.21 | |||||||||
CMO NOMURA ASSET ACCEP CORP SER 2005-AP2CL A5 4.9759998321 CUSIP: 65535VLL0 |
275,000.00 | 274,989.00 | 262,350.83 | |||||||||
CMO NOMURA ASSET ACCEP CORP SER 2005-WF1CL II-A-5 DUE 03-2 CUSIP: 65535VKX5 |
250,000.00 | 249,994.75 | 237,052.50 | |||||||||
CMO TIAA SEASONED COML MTG TR 2007-C4 MTG PTHRU CTF CL A CUSIP: 87246AAC2 |
195,000.00 | 195,808.47 | 200,814.51 | |||||||||
CMO WAMU MTG PASS-THROUGH CTFS 2004-AR7 CL A-6 DUE 07-25-2 CUSIP: 92922FTB4 |
625,000.00 | 623,315.43 | 617,798.13 | |||||||||
CMO WAMU MTG PASS-THROUGH CTFS 2004-AR9 CL A-7 VAR DUE 08- CUSIP: 92922FWL8 |
335,000.00 | 330,359.98 | 332,088.85 | |||||||||
CMO WAMU MTG PASS-THRU CTFS SER 2003-AR10 CL A5 4. CUSIP: 92922FDZ8 |
575,000.00 | 568,082.03 | 571,425.23 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
60
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 126 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Debt Instruments Preferred |
||||||||||||
United States USD |
||||||||||||
CMO WAMU MTG PASS-THRU CTFS 2005-AR4 CL A-4B 4.684 DUE 04- CUSIP: 92922FG69 |
550,000.00 | 548,710.94 | 545,776.55 | |||||||||
COCA COLA CO 5.35 DUE 11-15-2017 BEO CUSIP: 191216AK6 |
140,000.00 | 139,791.40 | 143,435.88 | |||||||||
COMPASS BK BIRMINGHAM ALA COMPASS BANK 5.5% DUE 04-01-202 CUSIP: 20449EBT2 |
410,000.00 | 401,517.10 | 385,752.19 | |||||||||
CONOCOPHILLIPS CDA FDG CO I NT 5.625% DUE 10-15-2016 BEO CUSIP: 20825TAA5 |
600,000.00 | 599,952.00 | 618,593.40 | |||||||||
CONS EDISON CO N Y INC BD 5.3 DUE 12-01-2016 BEO CUSIP: 209111EP4 |
475,000.00 | 473,651.00 | 467,239.93 | |||||||||
CONS NAT GAS CO SR NT SER C 6.25 DUE 11-01-2011 BEO CUSIP: 209615BX0 |
80,000.00 | 82,023.46 | 83,156.32 | |||||||||
CONSOLIDATED NAT GAS CO SR NT 5% DUE 12-01-2014/11-18-2 CUSIP: 209615CA9 |
100,000.00 | 92,993.20 | 96,131.40 | |||||||||
COOPER U S INC SR NT 5.25% DUE 11-15-2012/04-19-2 CUSIP: 216871AB9 |
160,000.00 | 160,155.40 | 164,828.48 | |||||||||
CREDIT SUISSE FIRST BOSTON USA INC NT 4.125% DUE 01-15-2 CUSIP: 22541LAQ6 |
1,200,000.00 | 1,163,736.00 | 1,194,272.40 | |||||||||
CREDIT SUISSE USA INC NT 5.5% DUE 08-16-2011 BEO CUSIP: 225434CH0 |
645,000.00 | 642,555.45 | 662,752.98 | |||||||||
CY NATL BK CAL 6.375 DUE 01-15-2008 REG CUSIP: 177902AB9 |
250,000.00 | 232,390.00 | 250,109.25 | |||||||||
DAIMLERCHRYSLER AUTO TR 2007-A AST BKD NT CL A-4A 5.2 CUSIP: 233882AF6 |
425,000.00 | 427,058.59 | 430,025.20 | |||||||||
DEERE JOHN CAP CORP MEDIUM TERM NTS BOOKTRANCHE # TR 00341 CUSIP: 24422EQE2 |
265,000.00 | 265,000.00 | 265,514.90 | |||||||||
DEERE JOHN CAP CORP MEDIUM TERM NTS-BOOKENTRY MTN 4.5% DUE CUSIP: 24422EPV5 |
280,000.00 | 279,689.20 | 279,199.76 | |||||||||
DET EDISON CO 6.125 DUE 10-01-2010 BEO CUSIP: 250847DS6 |
115,000.00 | 120,730.75 | 119,225.45 | |||||||||
DETROIT EDISON CO DETROIT EDISON CO SRNT6.6250000 6.625% D CUSIP: 250847EB2 |
40,000.00 | 40,018.27 | 42,299.44 | |||||||||
DETROIT EDISON CO 5.7% DUE 10-01-2037/09-30-2 CUSIP: 250847EA4 |
100,000.00 | 99,195.34 | 93,983.30 | |||||||||
DOMINION RES INC DEL SR NT SER D 5.125% DUE 12-15-2009/12- CUSIP: 257469AH9 |
800,000.00 | 823,239.80 | 807,496.00 | |||||||||
DOMINION RES INC VA NEW SR NT STEP UP05-15-2008 CUSIP: 25746UAH2 |
185,000.00 | 186,068.56 | 185,408.85 | |||||||||
DU PONT E I DE NEMOURS & CO DUPONT EI NEMOUR 5% DUE 01-1 CUSIP: 263534BS7 |
180,000.00 | 179,837.60 | 181,135.26 | |||||||||
DUKE ENERGY CORP1ST & REF MTG BD 3.75% DUE 03-05-2008/03- CUSIP: 264399EK8 |
725,000.00 | 718,766.50 | 723,014.23 | |||||||||
EQTY RESDNTL PPTY 5.125 3 15 16 5.125 DUE 03-15-2016 BEO CUSIP: 29476LAC1 |
165,000.00 | 164,813.55 | 153,515.67 | |||||||||
ERP OPER LTD PARTNERSHIP C CRP EQR 5.37508/01/16. 5.375% D CUSIP: 26884AAU7 |
100,000.00 | 99,513.00 | 94,321.70 | |||||||||
ERP OPER LTD PARTNERSHIP ERP OPERATING LP4.75% DUE 06-15 CUSIP: 26884AAR4 |
40,000.00 | 39,817.20 | 39,464.52 | |||||||||
ERP OPER LTD PARTNERSHIP NT 5.5 DUE 10-01-2012 REG CUSIP: 26884AAW3 |
205,000.00 | 203,921.70 | 203,217.94 | |||||||||
ERP OPER LTD PARTNERSHIP7.57 NT DUE 08-15-2026/06 PUTT CUSIP: 26884AAD5 |
40,000.00 | 48,803.60 | 41,449.60 | |||||||||
ESTEE LAUDER COS INC 5.55% DUE 05-15-2017 CUSIP: 29736RAB6 |
170,000.00 | 169,736.50 | 170,850.00 | |||||||||
FIRST NLC TR 2005-3 MTG PASSTHRU CTF CL AV-2 12-25-2035 RE CUSIP: 32113JBR5 |
64,275.14 | 64,373.05 | 64,193.90 | |||||||||
FORD CR AUTO OWNER TR SER 2005-C CL C 4.71999979019% DUE CUSIP: 34527RLK7 |
145,000.00 | 142,960.94 | 145,374.10 | |||||||||
FORD CR AUTO OWNER TR 2005-B NT CL B 4.64% DUE 04-15-20 CUSIP: 34527RKY8 |
320,000.00 | 319,991.26 | 320,001.28 | |||||||||
FORD CR AUTO OWNER TR 2006 C NT CL B 5.30000019073% DUE CUSIP: 34528CAG0 |
680,000.00 | 679,951.38 | 678,439.40 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
61
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 127 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Debt Instruments Preferred |
||||||||||||
United States USD |
||||||||||||
FPL GROUP CAP INC NT 5.625% DUE 09-01-2011/08-18-2 CUSIP: 302570AV8 |
560,000.00 | 559,524.00 | 573,425.44 | |||||||||
GE CAP CR CARD MASTER NT TR 2006 1 ASSETBKD NT CL A 5.08% CUSIP: 36159JAR2 |
920,000.00 | 920,801.16 | 932,052.00 | |||||||||
GEN ELEC CAP CORP MEDIUM TERM NTS BO TRANCHE # TR 00654 CUSIP: 36962GK78 |
1,075,000.00 | 1,046,867.25 | 1,071,205.25 | |||||||||
GEN ELEC CAP CORP MEDIUM TERM NTS BO TRANCHE # TR 00710 CUSIP: 36962GS70 |
1,650,000.00 | 1,652,260.50 | 1,649,287.20 | |||||||||
GENERAL ELEC CAP CORP MEDIUM TERM NTS BOOK ENTRY MTN 4.2 CUSIP: 36962GE75 |
80,000.00 | 79,597.60 | 79,783.92 | |||||||||
GENERAL ELEC CO 5.25% DUE 12-06-2017 BEO CUSIP: 369604BC6 |
575,000.00 | 577,478.25 | 573,772.95 | |||||||||
GENWORTH GLOBAL FDG TRS SECD MED TRM TR # TR 00013 5.2 DUE CUSIP: 37247XAN2 |
145,000.00 | 144,901.40 | 147,081.33 | |||||||||
GOLDMAN SACHS GROUP INC FOR FUTURE EQTY USE 38143U NT 4.75 CUSIP: 38141GDK7 |
190,000.00 | 183,585.35 | 186,103.67 | |||||||||
GOLDMAN SACHS GROUP INC FOR FUTURE EQUITGOLDMAN SACHS GP5 CUSIP: 38141GEU4 |
100,000.00 | 94,895.00 | 97,657.60 | |||||||||
GOLDMAN SACHS GROUP INC GSINC 6.75 10 0137 6.75 DUE 10-0 CUSIP: 38141GFD1 |
495,000.00 | 485,006.00 | 484,990.11 | |||||||||
GS MTG SECS CORP2006-7 MTG PASSTHRU CTFCL AV-1 03-25-2046 CUSIP: 362334NA8 |
170,744.17 | 170,744.17 | 170,455.61 | |||||||||
GULF PWR CO SR NT SER M 5.3 DUE 12-01-2016 REG CUSIP: 402479BX6 |
565,000.00 | 564,875.70 | 561,646.73 | |||||||||
HARTFORD FINL SVCS GROUP INC SR NT 5.55%DUE 08-16-2008 REG CUSIP: 416515AH7 |
245,000.00 | 245,009.68 | 245,565.22 | |||||||||
HOUSEHOLD FIN CORP NT 8% DUE 07-15-2010 BEO CUSIP: 441812GM0 |
80,000.00 | 95,191.20 | 85,269.84 | |||||||||
HOUSEHOLD FIN CORP SR NT DTD 02/05/1999 5.875% DUE 02-01-2 CUSIP: 441812GE8 |
115,000.00 | 123,843.85 | 115,971.75 | |||||||||
HOUSEHOLD HOME EQUITY LN TR 2004-1 CL A FLTG RATE 09-20-20 CUSIP: 441917AZ4 |
1,778,218.30 | 1,780,996.76 | 1,733,174.25 | |||||||||
HSBC FIN CORP HSBC FIN CORP5.5 1 19 16 5.5% DUE 01-19-201 CUSIP: 40429CFN7 |
285,000.00 | 270,285.45 | 278,141.48 | |||||||||
HSBC FIN CORP MT 5.25% DUE 01-14-2011 BEO CUSIP: 40429CCX8 |
500,000.00 | 499,120.00 | 499,831.00 | |||||||||
HSBC FIN CORP NT 6.75% DUE 05-15-2011 REG CUSIP: 40429CAA0 |
110,000.00 | 122,096.20 | 114,110.15 | |||||||||
HSEHD FIN CORP NT 6.375 DUE 10-15-2011 BEO CUSIP: 441812JW5 |
185,000.00 | 193,943.55 | 190,609.94 | |||||||||
HYUNDAI AUTO RECEIVABLES TR 2004-A NT CLB 3.46% DUE 08-15- CUSIP: 449182BD5 |
197,520.05 | 197,503.98 | 196,293.65 | |||||||||
HYUNDAI AUTO RECEIVABLES TR 2006-B SER 2006-B CL-C 5. CUSIP: 44920DAF3 |
510,000.00 | 509,966.39 | 505,563.00 | |||||||||
HYUNDAI AUTO RECEIVABLES TR 2007-A NT CLA-3A 5.03999996185 CUSIP: 44920NAD6 |
155,000.00 | 154,992.53 | 155,730.05 | |||||||||
ICI WILMINGTON INC GTD NT 4.375% DUE 12-01-2008/11-30-2 CUSIP: 449909AK6 |
390,000.00 | 385,407.34 | 389,462.98 | |||||||||
INTL LEASE FIN CORP4.75 DUE 01-13-2012 BEO CUSIP: 459745FN0 |
220,000.00 | 219,045.20 | 217,030.88 | |||||||||
J P MORGAN CHASE & CO GLOBAL SR NT DTD 04/24/2003 3.625 D CUSIP: 46625HAW0 |
1,000,000.00 | 985,770.00 | 994,382.00 | |||||||||
J P MORGAN CHASE & CO NT 6.75 DUE 02-01-2011 BEO CUSIP: 46625HAJ9 |
595,000.00 | 626,921.75 | 624,745.84 | |||||||||
J P MORGAN MTG ACQSTN TR 2006-CW1 2006-CW1 CL A-2 07 CUSIP: 46628MAC0 |
49,646.85 | 49,646.85 | 49,273.41 | |||||||||
J P MORGAN MTG ACQUISITION TR 2007-HE1 CL AF-1 FLTG RATE CUSIP: 46630KAA4 |
479,849.80 | 479,849.80 | 470,631.89 | |||||||||
JPMORGAN CHASE & CO FORMERLY J P MORGAN NT DUE 09-01-2015 CUSIP: 46625HCY4 |
1,000,000.00 | 1,000,000.00 | 962,995.00 | |||||||||
JPMORGAN CHASE & CO FORMERLY J P MORGAN NT 5.125 DUE 09-15 CUSIP: 46625HBV1 |
500,000.00 | 498,760.00 | 490,089.50 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
62
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 128 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Debt Instruments Preferred |
||||||||||||
United States USD |
||||||||||||
KEYSPAN CORP SR NT 4.9% DUE 05-16-2008 BEO CUSIP: 49337WAE0 |
370,000.00 | 368,368.30 | 369,772.45 | |||||||||
KIMBERLY CLARK CORP NT VAR RT DUE 07-30-2010 CUSIP: 494368BA0 |
1,150,000.00 | 1,150,000.00 | 1,147,792.00 | |||||||||
LANDESKREDITBANK BADEN- WURTTEMBERG FORDERBANK NOTE 4. CUSIP: 514890AG7 |
305,000.00 | 303,536.00 | 315,068.36 | |||||||||
LEHMAN BROS HLDGS INC LEH 6 7/8 07/17/376.875 DUE CUSIP: 524908R44 |
280,000.00 | 264,402.10 | 273,751.80 | |||||||||
LEHMAN BROS HLDGS INC MEDIUM TERM NT TRANCHE # TR 00541 CUSIP: 52517PYN5 |
1,200,000.00 | 1,167,756.00 | 1,179,128.40 | |||||||||
LEHMAN BROS HLDGS INC MEDIUM TERM NT TRANCHE # TR 00636 CUSIP: 52517PH61 |
185,000.00 | 180,998.45 | 186,025.64 | |||||||||
LINCOLN NATL CORP IND FLTG RT SR NT DUE 03-12-2010 BEO CUSIP: 534187AT6 |
265,000.00 | 265,000.00 | 260,245.11 | |||||||||
LINCOLN NATL CORP IND LINCOLN NATL CORP IND 6.050 2 6.05% CUSIP: 534187AU3 |
160,000.00 | 157,254.40 | 149,369.44 | |||||||||
LOWES COS INC 5.6 DUE 09-15-2012 BEO CUSIP: 548661CM7 |
65,000.00 | 64,890.15 | 66,757.34 | |||||||||
M & I MARSHALL & ILSLEY BK MILW WI TRANCHE # TR 00028 CUSIP: 5525V0BD7 |
350,000.00 | 349,023.50 | 344,162.00 | |||||||||
M & I MARSHALL & ILSLEY BK MILW WIS TRANCHE # SB 00006 CUSIP: 55259PAF3 |
1,005,000.00 | 1,005,000.00 | 947,794.40 | |||||||||
M & T BK CORP BD 5.375 DUE 05-24-2012 BEO CUSIP: 55261FAA2 |
285,000.00 | 284,900.25 | 284,248.17 | |||||||||
MASSMUTUAL GLOBAL FDG II MEDIUM TERM NTSTRANCHE # TR 00 CUSIP: 57629WAR1 |
175,000.00 | 174,767.25 | 173,781.48 | |||||||||
MBNA CORP SR MEDIUM TERM NTS BEO TRANCHE# SR 00056 6.125 D CUSIP: 55263ECH6 |
480,000.00 | 517,348.80 | 500,154.72 | |||||||||
MBNA CR CARD MASTER NT TR SER 2005-A3 CLA3 4.1% DUE 10-15- CUSIP: 55264TCZ2 |
710,000.00 | 692,693.75 | 708,553.73 | |||||||||
MBNA CR CARD MASTER NT TR 2005-7 NT CL A4.3% DUE 02-15-201 CUSIP: 55264TDG3 |
330,000.00 | 329,986.64 | 329,583.21 | |||||||||
MCDONALDS CORP MEDIUM TERM NTS BOOK TRANCHE # TR 00098 CUSIP: 58013MEB6 |
225,000.00 | 224,545.50 | 232,960.05 | |||||||||
MELLON FINL CO SUB DEB 6.7% DUE 03-01-2008 REG CUSIP: 585510CE8 |
125,000.00 | 125,371.25 | 125,357.63 | |||||||||
MERRILL LYNCH & CO INC MEDIUM TERM NTS BOOK ENTRY MTN 6.4 CUSIP: 59018YJ69 |
250,000.00 | 249,982.53 | 253,989.50 | |||||||||
MERRILL LYNCH & CO INC SUB NT 5.7% DUE 05-02-2017 CUSIP: 59022CCS0 |
490,000.00 | 470,831.20 | 467,016.06 | |||||||||
MERRILL LYNCH & CO INC SUB NT 6.05% DUE 05-16-2016 REG CUSIP: 5901884M7 |
285,000.00 | 282,055.95 | 280,032.74 | |||||||||
METLIFE INC METLIFE INC 6.125% DUE 12-01-2011 BEO CUSIP: 59156RAC2 |
180,000.00 | 193,662.00 | 186,653.52 | |||||||||
METLIFE INC NT 5% DUE 06-15-2015/06-23-2 CUSIP: 59156RAN8 |
545,000.00 | 543,523.05 | 527,422.12 | |||||||||
MORGAN STANLEY DEAN WITTER CAP I TR 2001PPM COML MTG P CUSIP: 61746WET3 |
50,582.68 | 56,842.30 | 52,351.00 | |||||||||
MORGAN STANLEY FOR EQTY ISSUES SEE 617 MORGAN STANLEY 5.7 CUSIP: 61746BDB9 |
790,000.00 | 768,361.90 | 779,545.93 | |||||||||
MORGAN STANLEY FOR EQUITY ISSUES SEE 61747Y NT 4% DUE 0 CUSIP: 61746SBC2 |
940,000.00 | 936,700.60 | 924,318.92 | |||||||||
MORGAN STANLEY GLOBAL SUB NT 4.75 DUE 04-01-2014 BEO CUSIP: 61748AAE6 |
425,000.00 | 421,298.25 | 398,162.95 | |||||||||
NISSAN AUTO LEASE TR 2006-A CL A-3 5.11000013351% DUE CUSIP: 65480AAC3 |
845,000.00 | 844,947.10 | 848,731.52 | |||||||||
OPTION ONE MTG ACCEP CORP2003-3 ASSET BKD CTF CL A-2 06- CUSIP: 68400XBJ8 |
273,326.06 | 273,262.00 | 255,196.34 | |||||||||
OPTION ONE MTG LN TR 2003-4 ASSET BACKEDCTF CL A-2 VAR RAT CUSIP: 68389FDT8 |
395,814.89 | 396,309.28 | 370,838.97 | |||||||||
ORIGEN MANUFACTURED HSG CONT TR 2005-B MTG PASSTHRU CTF C CUSIP: 68619ABP1 |
57,945.76 | 57,941.70 | 57,855.94 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
63
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 129 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Debt Instruments Preferred |
||||||||||||
United States USD |
||||||||||||
OWNIT MTG LN TR SER 2006-1 CL AF-1 12-25-2036 REG CUSIP: 69121PCG6 |
185,007.45 | 185,006.90 | 182,165.74 | |||||||||
PACIFICORP PACIFICORP6.25 DUE 10-15-2037 BEO CUSIP: 695114CG1 |
160,000.00 | 159,800.00 | 165,230.40 | |||||||||
PACIFICORP6.9 DUE 11-15-2011/11-14-2011BEO CUSIP: 695114BU1 |
790,000.00 | 840,741.70 | 850,727.30 | |||||||||
PECO ENERGY TRANSITION TR SER 2001-A TRANSITION BD 6.52 CUSIP: 705220AM3 |
375,000.00 | 391,362.30 | 397,584.38 | |||||||||
PNC FDG CORP NT 4.2% DUE 03-10-2008 REG CUSIP: 693476AU7 |
335,000.00 | 334,488.49 | 334,500.52 | |||||||||
PNC FDG CORP SR NT FLT RT VAR RT DUE 06-12-2009 CUSIP: 693476BC6 |
1,100,000.00 | 1,100,000.00 | 1,096,092.80 | |||||||||
POPULAR ABS INC SER 2005-5 CL AF-6 FLT RT 11-25-2035 REG CUSIP: 73316PGK0 |
225,000.00 | 224,992.35 | 210,078.90 | |||||||||
PPL ELEC UTILS CORP6.45 DUE 08-15-2037 BEO CUSIP: 69351UAH6 |
70,000.00 | 69,981.10 | 71,281.28 | |||||||||
PRAXAIR INC PRAXAIR INC 5.25% DUE 11-15-2014/11-13-2 CUSIP: 74005PAQ7 |
285,000.00 | 284,338.80 | 287,204.76 | |||||||||
PROCTER & GAMBLE CO DEB 8% DUE 09-01-2024 BEO CUSIP: 742718BG3 |
225,000.00 | 264,407.79 | 285,643.80 | |||||||||
PRUDENTIAL FDG CORP MEDIUM TERM NOTES BK\ENT 144A TRANCHE CUSIP: 74433KCR6 |
1,000,000.00 | 1,014,270.00 | 1,003,710.00 | |||||||||
PRUDENTIAL FINL INC MTN BOOK TRANCHE # TR 00023 6.1 DUE 0 CUSIP: 74432QAY1 |
315,000.00 | 325,089.45 | 316,841.18 | |||||||||
PUB SERVICE CORP COL 1ST COLL TR BD SER 14 4.375 10-1-08/9 CUSIP: 744448BW0 |
225,000.00 | 224,730.00 | 223,868.25 | |||||||||
PUB SVC ELEC GAS CO SECD MEDIUM TERM NTSBOOK ENTRY TR#0001 CUSIP: 74456QAK2 |
120,000.00 | 120,000.00 | 119,299.20 | |||||||||
PVTPL AIG SUNAMERICA GLOBAL FING VI SR NT 144A 6.3 DUE 05 CUSIP: 00138QAA5 |
400,000.00 | 399,412.00 | 415,542.40 | |||||||||
PVTPL BTM CURACAO HLDGS N V MEDIUM TERM SR SUB VAR RT 4.76 CUSIP: 0557X2AA6 |
860,000.00 | 832,454.20 | 856,133.44 | |||||||||
PVTPL CMO CSMS COML MTG TR 2006-HC1 144AVAR RT DUE 05-15-2 CUSIP: 22943NAA1 |
247,565.21 | 247,565.21 | 243,886.89 | |||||||||
PVTPL CMO IMPAC SECD ASSETS CORP2006-1 MTG PTHRU CTF CL 2 CUSIP: 45254TTN4 |
151,728.90 | 151,728.90 | 143,099.93 | |||||||||
PVTPL CMO WA MUT AST SECS CORP2003-C1 144A CL A 3.83 DUE CUSIP: 93934DAB3 |
591,584.18 | 572,935.43 | 583,272.42 | |||||||||
PVTPL FMR CORP NT 144A 7.49% DUE 06-15-2019/06-14-2 CUSIP: 302508AM8 |
140,000.00 | 163,023.00 | 168,590.24 | |||||||||
PVTPL HUTCHISON WHAMPOA INTL 03/13 LTD GTD NT 144A 6.5% D CUSIP: 44841RAA9 |
765,000.00 | 802,507.95 | 804,200.13 | |||||||||
PVTPL MANTIS REEF LTD ABC SECS 144A 3C7 4.692 DUE 11-14-20 CUSIP: 56460EAA2 |
250,000.00 | 250,000.00 | 250,880.75 | |||||||||
PVTPL MASSMUTUAL GLOBAL FDG II MEDIUM TERM NTS NT 144A 2 CUSIP: 57629WAJ9 |
225,000.00 | 224,730.00 | 222,380.55 | |||||||||
PVTPL MASSMUTUAL GLOBAL FDG II MEDIUM TERM NTS 144A 5.25 CUSIP: 57629WAK6 |
600,000.00 | 585,618.00 | 598,329.60 | |||||||||
PVTPL RABOBANK CAP FDG TR II BD 144A 5.26% DUE 12-29-20 CUSIP: 749768AA5 |
1,350,000.00 | 1,297,880.90 | 1,257,768.00 | |||||||||
PVTPL SYSTEMS 2001 A T LLC SERIES-2001 CLASS-G 144A 6.664 CUSIP: 87203RAA0 |
222,516.68 | 225,501.20 | 229,192.18 | |||||||||
PVTPL UNITEDHEALTH GROUP INC NT 144A 6.625% DUE 11-15-2 CUSIP: 91324PBD3 |
220,000.00 | 218,330.20 | 223,293.40 | |||||||||
PVTPL WORLD FINL PPTYS TOWER D FIN CORP SER 1996 WFP-D PAS CUSIP: 981469AA7 |
313,157.80 | 305,679.79 | 327,400.22 | |||||||||
PVTPL XLLIAC GLOBAL FDG SR SECD MEDIUM TERM NT 144A 4.8 D CUSIP: 98374PAZ9 |
250,000.00 | 249,155.00 | 251,492.25 | |||||||||
RBS CAP TR I TR PFD SECS STEP UP12-29-2049 12-30-2 CUSIP: 749274AA4 |
1,000,000.00 | 971,969.34 | 899,794.00 | |||||||||
REGIONS FINL CORP NEW BD 4.5% DUE 08-08-2008 BEO CUSIP: 7591EPAA8 |
320,000.00 | 319,644.80 | 318,756.80 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
64
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 130 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Debt Instruments Preferred |
||||||||||||
United States USD |
||||||||||||
RENAISSANCE HOME EQUITY LN TR 2006-2 CL AF-1 5.99900007248 CUSIP: 759676AD1 |
30,862.92 | 30,862.92 | 30,730.80 | |||||||||
RESDNTL FDG MTG SECS II INC 2006-HI1 CL M-4 6.26 DUE 02-25 CUSIP: 76110VUA4 |
250,000.00 | 249,993.00 | 72,229.00 | |||||||||
RESDNTL FDG MTG SECS II INC 2006-HSA2 TERM NT VAR RT 5.4 CUSIP: 76110VTN8 |
100,000.00 | 99,991.34 | 92,143.50 | |||||||||
RESIDENTIAL ASSET SEC CORP MTG PASS THRUCTF SER 2003-KS6 C CUSIP: 76110WSP2 |
100,313.41 | 99,770.04 | 97,366.60 | |||||||||
RESIDENTIAL AST MTG PRODS INC 2003-RS9CLM-I-1 5.8000001907 CUSIP: 760985A84 |
134,998.28 | 138,331.05 | 126,449.38 | |||||||||
RESIDENTIAL FDG MTG SECS II INC 2005-HI3MTG PASSTHRU CTF C CUSIP: 76110VSB5 |
141,323.50 | 141,316.59 | 133,883.81 | |||||||||
SBC COMMUNICATIONS INC FLTG RT DUE 11-14-2008 BEO CUSIP: 78387GAR4 |
500,000.00 | 501,215.00 | 499,313.50 | |||||||||
SBC COMMUNICATIONS INC NT 4.125% DUE 09-15-2009/11-03-2 CUSIP: 78387GAN3 |
1,090,000.00 | 1,044,672.70 | 1,083,068.69 | |||||||||
SBC COMMUNICATIONS INC NT 6.15% DUE 09-15-2034/09-14-2 CUSIP: 78387GAQ6 |
135,000.00 | 131,717.05 | 134,774.01 | |||||||||
SCHERING PLOUGH CORP SCHERING PLOUGH 6 DUE 09-15-2017 BEO CUSIP: 806605AJ0 |
200,000.00 | 199,022.00 | 207,206.20 | |||||||||
SCHERING PLOUGH CORP SR NT STEP UP12-01-2013 11-26-2 CUSIP: 806605AE1 |
115,000.00 | 115,225.40 | 116,354.59 | |||||||||
SIMON PPTY GROUP INC NEW NT 3.75 DUE 01-30-2009/06-02-2 CUSIP: 828806AC3 |
125,000.00 | 120,287.50 | 123,351.00 | |||||||||
SIMON PPTY GROUP L P NT 5.75 DUE 05-01-2012/05-15-2 CUSIP: 828807BS5 |
200,000.00 | 199,518.00 | 201,196.40 | |||||||||
SOUNDVIEW HOME LN TR 2005-B ASSET BKD CTF CL M-3 05-25-2 CUSIP: 83611MHN1 |
281,705.86 | 281,705.86 | 164,675.95 | |||||||||
SOUTHERN CO CORPNOTE 5.3% DUE 01-15-2012/01-18-2 CUSIP: 842587AB3 |
125,000.00 | 124,860.00 | 127,268.13 | |||||||||
SOUTHN CAL EDISON CO 1ST & REF MTG BD SER 2004-F 4.65 DU CUSIP: 842400EU3 |
130,000.00 | 129,555.40 | 124,932.60 | |||||||||
SPECIALTY UNDERWRITING & RESDNTL FIN 2006-BC2 CTF CL A- CUSIP: 84751PLL1 |
230,274.17 | 230,259.01 | 228,798.57 | |||||||||
SUNTRUST BKS INC SUNTRUST BANKS INC 5.25% DUE 11-05-20 CUSIP: 867914BB8 |
510,000.00 | 508,291.50 | 513,878.55 | |||||||||
SUPERIOR WHSL INVENTORY FING TR XII 2005-A CL A FLTG 0 CUSIP: 86837YAA1 |
500,000.00 | 500,000.00 | 497,864.00 | |||||||||
TEXTRON FINL CORP MEDIUM TERM NTS BOOK ENTRY MTN 5.125% D CUSIP: 88319QJ20 |
180,000.00 | 179,722.35 | 184,859.28 | |||||||||
TEXTRON FINL CORP MEDIUM TERM NTS BOOK ETRANCHE # TR 0066 CUSIP: 88319QL84 |
145,000.00 | 144,856.45 | 147,872.89 | |||||||||
TS/SPGSIMON PPTY GROUPCALLABLE 12/02/11 100 5 DUE 03-01-12 CUSIP: 828807BX4 |
210,000.00 | 209,168.40 | 204,836.31 | |||||||||
U S BK NATL ASSN MINNEAPOLIS MINN SUB NTACCD INVS 5.7 DUE CUSIP: 90331VBA9 |
250,000.00 | 249,737.50 | 253,126.50 | |||||||||
UBS PFD FDG TR I GTD TR PFD SECS DUE 10-29-2049/10-01-2 CUSIP: 90262PAA6 |
1,070,000.00 | 1,186,576.50 | 1,153,005.25 | |||||||||
UNITED TECHNOLOGIES CORP UNITED TECH CORP5.375 DUE 12- CUSIP: 913017BM0 |
65,000.00 | 64,874.55 | 65,567.19 | |||||||||
UNITEDHEALTH GROUP INC NT 4.125% DUE 08-15-2009/08-14-2 CUSIP: 91324PAK8 |
105,000.00 | 102,046.70 | 104,377.25 | |||||||||
USAA AUTO OWNER TR SER 2005-3 05-15-2012BEO CUSIP: 903278CF4 |
560,000.00 | 557,178.13 | 560,427.84 | |||||||||
USAA AUTO OWNER TR 2006-4 AST BACKED NT CL A-3 5.010000228 CUSIP: 90327LAC4 |
560,000.00 | 561,268.75 | 562,488.64 | |||||||||
USAA AUTO OWNER TR 2007-1 CL A-4 5.55000019073% DUE CUSIP: 90327PAD3 |
420,000.00 | 427,054.69 | 428,973.72 | |||||||||
USAA AUTO OWNER TR 2007-1 NT CL A-3 5.43% DUE 10-17-20 CUSIP: 90327PAC5 |
800,000.00 | 799,966.90 | 810,983.20 | |||||||||
V F CORP NT 5.95% DUE 11-01-2017 REG CUSIP: 918204AS7 |
175,000.00 | 174,704.25 | 175,878.68 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
65
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 131 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Debt Instruments Preferred |
||||||||||||
United States USD |
||||||||||||
VERIZON COMMUNICATIONS INC FRN SR NT VARRT DUE 04-03-2009 CUSIP: 92343VAH7 |
905,000.00 | 900,183.63 | 896,631.47 | |||||||||
VERIZON NEW ENGLAND INC. 6.5% DUE 09-15-2011 BEO CUSIP: 92344RAA0 |
125,000.00 | 138,413.18 | 131,250.63 | |||||||||
VIRGINIA ELEC & PWR CO 5.1% DUE 11-30-2012/12-04-2 CUSIP: 927804FD1 |
280,000.00 | 279,904.80 | 281,203.44 | |||||||||
VOLKSWAGEN AUTO LEASE TR 2006-A NT CL A-4 5.54% DUE 04-2 CUSIP: 92866AAD9 |
500,000.00 | 499,953.10 | 505,055.00 | |||||||||
WACHOVIA BK NATL ASSN MEDIUM TERM SUB BKTRANCHE # SB 000 CUSIP: 92976GAA9 |
550,000.00 | 526,509.50 | 520,104.20 | |||||||||
WACHOVIA CAP TR III FIXED-FLTG RATE NORMAL WACHOVIA 5. CUSIP: 92978AAA0 |
530,000.00 | 524,190.51 | 473,581.50 | |||||||||
WACHOVIA CORP GLOBAL MEDIUM TERM SR NTS TRANCHE # SR 00027 CUSIP: 92976WBC9 |
1,000,000.00 | 1,000,000.00 | 991,483.00 | |||||||||
WACHOVIA CORP4.875 DUE 02-15-2014 BEO CUSIP: 929903AE2 |
1,500,000.00 | 1,452,030.00 | 1,440,388.50 | |||||||||
WELLPOINT INC WELLPOINT INC 5.875 20170615 5.875 DUE CUSIP: 94973VAM9 |
155,000.00 | 153,887.10 | 156,054.31 | |||||||||
WELLS FARGO & CO NEW NT 4.625% DUE 08-09-2010 CUSIP: 949746MZ1 |
1,500,000.00 | 1,488,270.00 | 1,501,162.50 | |||||||||
WELLS FARGO & CO NEW SUB GLOBAL NT 6.375% DUE 08-01-2 CUSIP: 949746CE9 |
235,000.00 | 268,966.90 | 245,641.04 | |||||||||
WELLS FARGO & CO NEW WELLS FARGO CO 5.625% DUE 12-11-2 CUSIP: 949746NX5 |
335,000.00 | 333,606.40 | 335,204.69 | |||||||||
WELLS FARGO BK NA SAN FRAN CAL SUB NT ACCD INVS 7.55 DUE CUSIP: 949748AE7 |
745,000.00 | 791,242.15 | 796,261.22 | |||||||||
WELLS FARGO HOME EQTY AST BACKED CTF ASTBACKED CTF CL A CUSIP: 9497EUAA5 |
22,122.92 | 22,122.92 | 22,075.47 | |||||||||
WESTN FINL BK IRVINE CAL SUB CAP DEB 9.625 DUE 05-15-20 CUSIP: 958202HU0 |
150,000.00 | 168,537.50 | 161,331.45 | |||||||||
WFS FINL 2004-3 OWNER TR 2004-3 B 3.51% DUE 02-17-2012 BEO CUSIP: 929257AE3 |
51,187.18 | 51,181.15 | 50,740.93 | |||||||||
WFS FINL 2004-4 OWNER TR CL C 3.21% DUE 05-17-2012 REG CUSIP: 92927TAF0 |
105,273.84 | 105,266.90 | 103,939.28 | |||||||||
WFS FINL 2005-2 OWNER TR AUTO RECEIVABLEBKD NT C CUSIP: 92927WAE6 |
525,000.00 | 524,975.38 | 524,750.10 | |||||||||
WI ELEC PWR CO NT 5.625 DUE 05-15-2033 BEO CUSIP: 976656BW7 |
185,000.00 | 184,463.50 | 175,726.88 | |||||||||
WYETH WYE 5.50 02/01/2014 5.5 DUE 02-01-2014/12-16-2 CUSIP: 983024AE0 |
145,000.00 | 148,045.00 | 147,271.43 | |||||||||
WYETH 4.375% DUE 03-01-2008/02-28-2008 BEO CUSIP: 983024AB6 |
406,000.00 | 401,899.40 | 405,715.39 | |||||||||
1ST UN CORP6.375 DUE 01-15-2009 REG CUSIP: 337358AV7 |
365,000.00 | 370,219.50 | 370,872.49 | |||||||||
Total United States USD |
116,158,983.70 | 115,660,863.51 | ||||||||||
Total Corporate Debt Instruments Preferred |
125,428,355.03 | 124,740,496.70 | ||||||||||
Corporate Debt Instruments Other |
||||||||||||
Bermuda USD |
||||||||||||
PVTPL CATLIN INS CO LTD PERP PFD SHS FLTG 144A 7.249 DU CUSIP: 149206AA2 |
215,000.00 | 217,877.30 | 196,574.72 | |||||||||
Total Bermuda USD |
217,877.30 | 196,574.72 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
66
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 132 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Debt Instruments Other |
||||||||||||
Brazil USD |
||||||||||||
VALE OVERSEAS LTD VALE OVERSEAS 6.25PCT.11-23-17 6.25% DUE CUSIP: 91911TAG8 |
110,000.00 | 111,749.00 | 110,341.55 | |||||||||
Total Brazil USD |
111,749.00 | 110,341.55 | ||||||||||
Canada USD |
||||||||||||
CANADIAN NAT RES LTD NT 6.5% DUE 02-15-2037/08-17-2 CUSIP: 136385AJ0 |
500,000.00 | 494,780.00 | 501,126.00 | |||||||||
CDN PAC RY CO NEW NT 5.95 DUE 05-15-2037BEO CUSIP: 13645RAF1 |
110,000.00 | 108,139.90 | 99,169.07 | |||||||||
NEXEN INC NT 5.65% DUE 05-15-2017/05-05-2 CUSIP: 65334HAF9 |
400,000.00 | 391,844.00 | 394,715.20 | |||||||||
POTASH CORP SASK INC PCT 20130301 4.875 DUE 03-01-2013/02- CUSIP: 73755LAC1 |
295,000.00 | 287,108.75 | 291,950.29 | |||||||||
Total Canada USD |
1,281,872.65 | 1,286,960.56 | ||||||||||
Cayman Islands USD |
||||||||||||
PVTPL SHINSEI FIN CAYMAN LTD PERP PFD SECS STEP-UP144A CUSIP: 82463MAA7 |
150,000.00 | 150,520.50 | 127,352.10 | |||||||||
Total Cayman Islands USD |
150,520.50 | 127,352.10 | ||||||||||
Iceland USD |
||||||||||||
PVTPL KAUPTHING BK HF MEDIUM TERM SUB BKB TRANCHE # 01 7.1 CUSIP: 48632HAA5 |
150,000.00 | 149,208.00 | 137,513.10 | |||||||||
Total Iceland USD |
149,208.00 | 137,513.10 | ||||||||||
Italy USD |
||||||||||||
TELECOM ITALIA CAP GTD SR NT 4.95% DUE 09-30-2014/09-30-2 CUSIP: 87927VAL2 |
155,000.00 | 141,409.60 | 149,277.71 | |||||||||
TELECOM ITALIA CAP GTD SR NT 4% DUE 01-15-2010/07-15-2 CUSIP: 87927VAK4 |
175,000.00 | 169,638.85 | 171,400.95 | |||||||||
TELECOM ITALIA CAP TELECOM ITALIA 4.875 10 01 10 4.875% DU CUSIP: 87927VAN8 |
480,000.00 | 479,510.40 | 477,498.72 | |||||||||
Total Italy USD |
790,558.85 | 798,177.38 | ||||||||||
Japan USD |
||||||||||||
PVTPL CHUO MITSUI TR & BKG COMPANT LTD SUB NT PERP144A 5 CUSIP: 17133PAA6 |
285,000.00 | 275,667.25 | 262,054.65 | |||||||||
Total Japan USD |
275,667.25 | 262,054.65 | ||||||||||
Korea Republic of USD |
||||||||||||
PVTPL LG ELECTRONICS INC NEW NT 144A 5% DUE 06-17-2010 BEO CUSIP: 50186QAA1 |
120,000.00 | 118,704.30 | 120,120.12 | |||||||||
Total Korea Republic of USD |
118,704.30 | 120,120.12 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
67
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 133 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Debt Instruments Other |
||||||||||||
Mexico USD |
||||||||||||
PEMEX PROJ FDG MASTER TR GTD BD 6.625% DUE 06-15-2035 REG CUSIP: 706451BG5 |
45,000.00 | 44,116.65 | 47,431.53 | |||||||||
PVTPL PEMEX PROJ FDG MASTER TR MEDIUM TERM NTS 5.75 DUE CUSIP: 70645JBD3 |
245,000.00 | 243,324.20 | 244,387.50 | |||||||||
TELEFONOS DE MEXICO S A SR NT 4.75% DUE 01-27-2010/08-16-2 CUSIP: 879403AP8 |
620,000.00 | 621,419.22 | 618,559.74 | |||||||||
Total Mexico USD |
908,860.07 | 910,378.77 | ||||||||||
Netherlands USD |
||||||||||||
PVTPL CABOT FIN B V NT 144A 5.25 DUE 09-01-2013/08-31-2 CUSIP: 12707PAA3 |
285,000.00 | 283,355.55 | 292,399.74 | |||||||||
ROYAL KPN NV FORMERLY ROYAL PTT NEDERLAND NV TO 07 CUSIP: 780641AH9 |
60,000.00 | 70,902.60 | 71,941.80 | |||||||||
ROYAL KPN NV 8 DUE 10-01-2010 CUSIP: 780641AG1 |
70,000.00 | 74,551.40 | 75,072.62 | |||||||||
TELEFONICA EUROPE B V U S NT 8.25 DUE 09-15-2030 BEO CUSIP: 879385AD4 |
200,000.00 | 228,095.85 | 246,953.00 | |||||||||
Total Netherlands USD |
656,905.40 | 686,367.16 | ||||||||||
Spain USD |
||||||||||||
TELEFONICA EMISIONES S A U SR NT 5.984% DUE 06-20-2011 REG CUSIP: 87938WAA1 |
220,000.00 | 220,000.00 | 226,311.36 | |||||||||
Total Spain USD |
220,000.00 | 226,311.36 | ||||||||||
United Kingdom USD |
||||||||||||
AMVESCAP PLC SR NT 5.375% DUE 12-15-2014REG CUSIP: 03235EAP5 |
155,000.00 | 152,459.55 | 145,289.25 | |||||||||
BRIT SKY BROADCASTING GROUP PLC GTD NT 6.875 DUE 02-23-20 CUSIP: 111013AB4 |
255,000.00 | 279,630.45 | 259,955.67 | |||||||||
PVTPL SABMILLER PLC 6.2% DUE 07-01-2011 BEO CUSIP: 78572MAC9 |
65,000.00 | 64,953.85 | 68,000.40 | |||||||||
Total United Kingdom USD |
497,043.85 | 473,245.32 | ||||||||||
United States USD |
||||||||||||
ALLIED CAP CORP NEW NT DTD 12/07/2006 6%DUE 04-01-2012 CUSIP: 01903QAB4 |
250,000.00 | 250,807.50 | 224,820.75 | |||||||||
AMERN CAP STRATEGIES LTD SR NT 6.85 DUE 08-01-2012 REG CUSIP: 024937AA2 |
395,000.00 | 394,834.10 | 398,114.58 | |||||||||
AMERN EXPRESS BK FSB MEDIUM TERM BK N 5.55 DUE 10-17-201 CUSIP: 02580ECG6 |
415,000.00 | 414,481.25 | 422,287.40 | |||||||||
AOL TIME WARNER INC 6.75 DUE 04-15-2011/04-19-2 CUSIP: 00184AAB1 |
300,000.00 | 332,298.31 | 312,461.10 | |||||||||
AOL TIME WARNER INC 6.875 DUE 05-01-2012BEO CUSIP: 00184AAF2 |
400,000.00 | 417,700.00 | 421,203.60 | |||||||||
APPALACHIAN PWR CO BD 5.65 DUE 08-15-2012 BEO CUSIP: 037735CH8 |
55,000.00 | 54,901.00 | 55,889.90 | |||||||||
APPALACHIAN PWR CO CRP AEP3.6% DUE 05-15-2008/05-14-2 CUSIP: 037735BY2 |
450,000.00 | 447,075.00 | 446,802.30 | |||||||||
ASSURANT INC SR NT DTD 02/18/2004 6.75% DUE 02-15-2034 REG CUSIP: 04621XAD0 |
190,000.00 | 207,723.20 | 185,208.20 | |||||||||
AVALONBAY CMNTYS INC MTN BOOTRANCHE # TR00005 6.625 9-15-2 CUSIP: 05348EAE9 |
150,000.00 | 154,515.00 | 156,666.60 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
68
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 134 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Debt Instruments Other |
||||||||||||
United States USD |
||||||||||||
AZ PUB SVC CO NT 5.8 DUE 06-30-2014/06-29-2 CUSIP: 040555CG7 |
185,000.00 | 185,535.70 | 184,662.56 | |||||||||
B.STEARNS MTG SECS INC SER 1998-2 CL B 6.75 PASSTHRU CTF CUSIP: 073914C27 |
880.10 | 859.26 | 876.60 | |||||||||
BA CR CARD TR 2007-1 NT CL C 06-16-2014 REG CUSIP: 05522RAU2 |
1,075,000.00 | 1,075,000.00 | 998,853.45 | |||||||||
BOARDWALK PIPELINES LP BOARDWALK PIPELINES LP BONDS CUSIP: 096630AA6 |
120,000.00 | 119,788.74 | 122,860.68 | |||||||||
BROADRIDGE FINL SOLUTIONS INC SR NT 6.125 DUE 06-01-20 CUSIP: 11133TAA1 |
220,000.00 | 217,671.14 | 217,422.04 | |||||||||
BSTN PPTYS LTD PARTNERSHIP SR NT 5.625 DUE 04-15-2015/04- CUSIP: 10112RAF1 |
90,000.00 | 89,908.20 | 87,037.38 | |||||||||
BURL NORTHN SANTA FE CORP DEB DTD 06/01/1996 7.29 DU CUSIP: 12189TAD6 |
100,000.00 | 114,730.00 | 111,590.10 | |||||||||
CAP1 FINL CORP NT 5.6 VAR RT DUE 09-10-2009 CUSIP: 14040HAP0 |
560,000.00 | 560,000.00 | 529,295.20 | |||||||||
CAROLINA PWR & LT CO BOOK ENTRY TRANCHE # TR 00001 MTN 6.6 CUSIP: 14414CAA2 |
600,000.00 | 606,366.00 | 601,780.20 | |||||||||
CENTERPOINT ENERGY RES CORP SR NT 7.875%DUE 04-01-2013 REG CUSIP: 15189YAB2 |
80,000.00 | 86,944.80 | 87,838.96 | |||||||||
CHASE AUTO OWNER TR 2006-A CL A-4 5.36% DUE 01-15-2013 BEO CUSIP: 161445AC5 |
430,000.00 | 433,090.63 | 435,118.72 | |||||||||
CHEVRON PHILLIPS CHEM CO LLC /CHEVRON PHILLIPS CHEM CO L CUSIP: 166754AC5 |
320,000.00 | 357,880.55 | 344,089.60 | |||||||||
CITIBANK CR CARD ISSUANCE TR 2006-C4 NT FLTG RATE 01-09-20 CUSIP: 17305EDN2 |
1,710,000.00 | 1,709,707.41 | 1,651,991.67 | |||||||||
CITICORP RESIDENTIAL MTG TR SER 2007-2 CL M-8 7% DUE 06-2 CUSIP: 17312HAP4 |
100,000.00 | 95,442.00 | 18,549.60 | |||||||||
CITIGROUP INC CITIGROUP INC 5.875 DUE 05-29-2037 BEO CUSIP: 172967EC1 |
130,000.00 | 117,295.15 | 121,324.19 | |||||||||
CLEV ELEC ILLUM CO CLEV ELEC ILLUM CO 5.95 DUE 12-15-203 CUSIP: 186108CE4 |
100,000.00 | 99,472.00 | 91,506.50 | |||||||||
CLEV ELEC ILLUM CO SR NT 5.7 DUE 04-01-2017 REG CUSIP: 186108CF1 |
280,000.00 | 279,554.80 | 273,418.88 | |||||||||
CLEVELAND ELEC ILLUM CO SR NT 5.65% DUE 12-15-2013/07-30-2 CUSIP: 186108CD6 |
115,000.00 | 114,080.00 | 113,661.52 | |||||||||
CLOROX CO SR NT 4.2% DUE 01-15-2010 REG CUSIP: 189054AM1 |
125,000.00 | 121,066.25 | 123,561.50 | |||||||||
CMO BANC AMER COML MTG INC SER 2005-2 CLA2 DUE 07-10-2043/ CUSIP: 05947UL63 |
441,243.42 | 441,243.42 | 440,599.65 | |||||||||
CMO BEAR STEARNS COML MTG SECS INC 2003-TOP12 CL A3 4 CUSIP: 07383FXM5 |
290,000.00 | 291,588.62 | 287,426.83 | |||||||||
CMO BEAR STEARNS COML MTG SECS INC 2005-T20 CL A2 5.1 CUSIP: 07387BCH4 |
575,000.00 | 578,140.65 | 575,718.18 | |||||||||
CMO BEAR STEARNS COML MTG SECS INC 2006-TOP22 CL A-4 CUSIP: 07387BFS7 |
520,000.00 | 519,337.73 | 530,752.04 | |||||||||
CMO BEAR STEARNS COML MTG SECS INC SER 2005-T20 CL A-AB D CUSIP: 07387BCK7 |
980,000.00 | 985,379.22 | 980,316.54 | |||||||||
CMO DLJ COML MTG CORP COML MTG PASSTHRU CTF 1998-CF2 B-1 V CUSIP: 23322BDC9 |
515,000.00 | 567,230.45 | 523,639.64 | |||||||||
CMO DLJ COML MTG CORP SER 1999-CG3 CL A-1B 7.34% DUE 10- CUSIP: 23322BGB8 |
1,117,016.60 | 1,154,366.84 | 1,158,196.53 | |||||||||
CMO GLOBAL SIGNAL TR III 2006-1 CTF 144A6.052% DUE 02-15-2 CUSIP: 37945SAF5 |
190,000.00 | 190,000.00 | 166,601.50 | |||||||||
CMO GNMA 2006-066 REMIC PASSTHRU CTF CL A 4.087 DUE 11-30- CUSIP: 38373MWH9 |
300,283.89 | 291,328.15 | 297,005.39 | |||||||||
CMO GNMA 2006-068 REMIC PASSTHRU CTF CL A 3.88800001144% D CUSIP: 38375JCF0 |
971,646.61 | 934,412.72 | 957,611.17 | |||||||||
CMO GNMA 2006-67 REMIC PASSTHRU CTF CL A3.9470000267% DUE CUSIP: 38374N7X9 |
293,695.60 | 286,353.38 | 289,654.64 | |||||||||
CMO GS MTG SECS TR 2006-GG8 SER 2006-GG8CLASS-A4 5.56 DUE CUSIP: 362332AE8 |
1,000,000.00 | 1,020,039.06 | 1,015,595.00 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
69
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 135 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Debt Instruments Other |
||||||||||||
United States USD |
||||||||||||
CMO J P MORGAN CHASE COML MTG SECS CORP SER 2005-LDP4 CL A CUSIP: 46625YTY9 |
250,000.00 | 251,243.00 | 248,325.75 | |||||||||
CMO LB COML CONDUIT MTG TR 1999-C1 MTG P/T CTF CL B 6.93 CUSIP: 501773CT0 |
290,000.00 | 322,584.37 | 297,351.79 | |||||||||
CMO MERRILL LYNCH MTG TR SER 2005-CIP1 CL A2 FLT RT 4.96% CUSIP: 59022HJH6 |
260,000.00 | 261,427.22 | 259,451.92 | |||||||||
CMO SBA CMBS TR 2006-1 CMO 144A CL 5.314DUE 11-15-2036 CUSIP: 80585BAL4 |
350,000.00 | 349,986.32 | 350,115.50 | |||||||||
COMCAST CABLE COMMUNICATIONS INC COMCASTCABLE COMM 6.75 DU CUSIP: 20029PAL3 |
100,000.00 | 108,413.65 | 104,548.50 | |||||||||
COMCAST CORP NEW BD 5.85% DUE 11-15-2015/11-14-2 CUSIP: 20030NAJ0 |
330,000.00 | 322,617.90 | 332,369.07 | |||||||||
COMCAST CORP NEW NT DTD 01/10/2003 6.5 DUE 01-15-2015 BEO CUSIP: 20030NAB7 |
45,000.00 | 45,940.05 | 46,970.46 | |||||||||
COMCAST CORP NEW NT 5.5 DUE 03-15-2011/03-14-2 CUSIP: 20030NAD3 |
250,000.00 | 263,037.00 | 252,389.25 | |||||||||
COML NET LEASE RLTY INC COML NET LEASE RLT LONG 1ST CPN 6 CUSIP: 202218AH6 |
105,000.00 | 104,727.00 | 104,911.17 | |||||||||
COMM GROUP INC MASS SR NT 5.95 DUE 12-09-2013 REG CUSIP: 200641AA6 |
255,000.00 | 261,810.90 | 262,753.02 | |||||||||
CONAGRA INC CONAGRA INC BONDS 7.000 OCT 01 2028 7 DUE 10-0 CUSIP: 205887AR3 |
55,000.00 | 58,916.45 | 58,360.17 | |||||||||
CONAGRA INC NT 8.25 DUE 09-15-2030 BEO CUSIP: 205887AX0 |
95,000.00 | 116,675.35 | 112,538.05 | |||||||||
CONAGRA INC 7.125 SR NT DUE 10-1-2026/ 06 BEO PUTTABLE 10 CUSIP: 205887AF9 |
25,000.00 | 30,028.75 | 26,788.30 | |||||||||
CONSUMERS ENERGY CO BD 5.65% DUE 04-15-2020 BEO CUSIP: 210518CL8 |
285,000.00 | 281,383.35 | 281,646.98 | |||||||||
CONSUMERS ENERGY CO 1ST MTG BD SER H 4.8DUE 02-17-2009 REG CUSIP: 210518BX3 |
145,000.00 | 147,309.05 | 144,656.79 | |||||||||
COORS BREWING CO SR NT 6.375 DUE 05-15-2012 BEO CUSIP: 21701RAB4 |
20,000.00 | 20,473.51 | 21,306.48 | |||||||||
COUNTRYWIDE FINL CORP MEDIUM TERM NTS BOTRANCHE # TR 001 CUSIP: 22238HGQ7 |
370,000.00 | 369,285.90 | 270,284.63 | |||||||||
COUNTRYWIDE HOME LNS INC MEDIUM TERM NTSTRANCHE TR 0030 CUSIP: 22237LNR9 |
200,000.00 | 191,912.50 | 180,733.60 | |||||||||
CRH AMER INC 6 DUE 09-30-2016 BEO CUSIP: 12626PAG8 |
130,000.00 | 129,337.00 | 127,138.96 | |||||||||
CSX CORP CSX CORP. 5.6% DUE 05-01-2017 CUSIP: 126408GJ6 |
185,000.00 | 177,359.50 | 178,095.99 | |||||||||
CVS CAREMARK CORP SR NT FLTG DUE 06-01-2010/12-01-2 CUSIP: 126650BG4 |
155,000.00 | 155,000.00 | 153,337.47 | |||||||||
CVS CAREMARK CORP SR NT 5.75% DUE 06-01-2017/05-31-2 CUSIP: 126650BH2 |
305,000.00 | 301,319.14 | 306,962.98 | |||||||||
CVS CORP SR NT 5.75% DUE 08-15-2011/08-15-2 CUSIP: 126650BD1 |
90,000.00 | 89,838.00 | 92,190.42 | |||||||||
CWABS AST-BACKED CTFS TR 2007-4 AST BKD CTF CL M-5 6.92 DU CUSIP: 12668WAJ6 |
235,000.00 | 234,996.12 | 83,706.53 | |||||||||
DAIMLERCHRYSLER NORTH AMER HLDG CORP NT 8.5% DUE 01-18-203 CUSIP: 233835AQ0 |
100,000.00 | 118,511.00 | 126,119.70 | |||||||||
DEXIA DEL L L C DISC COML PAPER 3/A3 YRS1&2 01-07-2008 CUSIP: 2521E0A72 |
2,500,000.00 | 2,493,097.22 | 2,497,699.07 | |||||||||
DLJ COML MTG CORP MTG PASSTHRU CTF 1998-CF2 CL A-1B 6 CUSIP: 23322BCZ9 |
327,750.34 | 354,380.06 | 329,374.67 | |||||||||
DTE ENERGY CO DTE ENERGY CO NTS NCL 7.05DUE 06-01-2011 BEO CUSIP: 233331AE7 |
195,000.00 | 207,327.90 | 207,065.82 | |||||||||
DUKE-WEEKS RLTY LTD PARTNERSHIP7.75 DUE11-15-2009 BEO CUSIP: 26441YAC1 |
260,000.00 | 307,039.20 | 273,140.14 | |||||||||
EMBARQ CORP NT 7.082% DUE 06-01-2016 REG CUSIP: 29078EAB1 |
65,000.00 | 66,947.29 | 66,974.77 | |||||||||
ENERGY TRANSFER PARTNERS L P ENERGY TRANSFER PARTNERS CUSIP: 29273RAF6 |
55,000.00 | 54,689.25 | 52,714.59 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
70
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 136 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Debt Instruments Other |
||||||||||||
United States USD |
||||||||||||
ENTERGY GULF STS INC 1ST MTG BD FLTG RATE DUE 12-01-200 CUSIP: 29364LAR3 |
100,000.00 | 99,762.00 | 99,327.10 | |||||||||
EXELON GENERATION CO LLC SR NT 6.2 DUE 10-01-2017 REG CUSIP: 30161MAE3 |
110,000.00 | 109,809.10 | 109,321.19 | |||||||||
FED RLTY INVT TR NT 6 DUE 07-15-2012 BEO CUSIP: 313747AM9 |
75,000.00 | 74,925.75 | 76,976.33 | |||||||||
FEDERAL RLTY INVT TR BD 5.65% DUE 06-01-2016/12-02-2 CUSIP: 313747AL1 |
155,000.00 | 155,000.00 | 149,206.41 | |||||||||
FEDERATED RETAIL HLDGS INC GTD SR NT 5.9% DUE 12-01-201 CUSIP: 314275AA6 |
95,000.00 | 94,935.40 | 89,470.62 | |||||||||
FEDT RETAIL HLDGS INC GTD SR NT 5.35 DUE03-15-2012 REG CUSIP: 314275AB4 |
60,000.00 | 59,960.40 | 58,457.76 | |||||||||
FEDT RETAIL HLDGS INC GTD SR NT 6.375 DUE 03-15-2037 REG CUSIP: 314275AC2 |
30,000.00 | 30,224.40 | 26,146.68 | |||||||||
FORD CR AUTO OWNER TR 2007-A NT CL C 5.80000019073% DUE CUSIP: 34529AAH1 |
100,000.00 | 99,968.23 | 97,361.40 | |||||||||
GEN ELEC CAP CORP MEDIUM TERM NTS BO TRANCHE # TR 00792 CUSIP: 36962G2Z6 |
220,000.00 | 219,683.20 | 226,997.76 | |||||||||
GEN MLS INC GEN MLS 5.65 DUE 09-10-2012 BEO CUSIP: 370334BE3 |
235,000.00 | 239,718.80 | 238,834.50 | |||||||||
GOLDMAN SACHS GROUP INC MEDIUM TERM NTS TRANCHE # TR 00236 CUSIP: 38141EKV0 |
1,000,000.00 | 1,000,000.00 | 984,011.00 | |||||||||
HARRIS CORP DEL NT 5.95% DUE 12-01-2017/11-30-2 CUSIP: 413875AK1 |
230,000.00 | 229,199.60 | 228,969.37 | |||||||||
HEALTH CARE PPTY INVS INC NT 6.3% DUE 09-15-2016/09-19-2 CUSIP: 421915EG0 |
1,110,000.00 | 1,108,634.70 | 1,083,204.60 | |||||||||
HEALTHCARE RLTY TR INC HEALTHCARE RLTY 8.125 DUE 05-01-20 CUSIP: 421946AE4 |
225,000.00 | 272,772.00 | 245,650.73 | |||||||||
HEINZ H J CO DEALER REMARKETABLE SECS-DRS 144A DUE CUSIP: 423074AH6 |
125,000.00 | 128,723.75 | 127,256.25 | |||||||||
HOSPITALITY PPTYS TR HOSPITALITY PPTYS TR 6.700 20 6.7 DU CUSIP: 44106MAN2 |
140,000.00 | 138,790.40 | 138,264.84 | |||||||||
HOSPITALITY PPTYS TR SR NT 5.125% DUE 02-15-2015 BEO CUSIP: 44106MAG7 |
245,000.00 | 236,503.40 | 226,060.03 | |||||||||
HRPT PPTYS TR FLT RT NT DUE 03-16-2011/03-16-2 CUSIP: 40426WAT8 |
138,000.00 | 138,000.00 | 133,233.20 | |||||||||
HRPT PPTYS TR SR NT 5.75% DUE 11-01-2015/10-31-2 CUSIP: 40426WAS0 |
240,000.00 | 239,277.60 | 224,682.24 | |||||||||
IN MICH PWR CO IND MICH PWR 6.05 DUE 03-15-2037 BEO CUSIP: 454889AM8 |
500,000.00 | 498,740.00 | 469,930.50 | |||||||||
ISTAR FINL INC SR NT FLTG VAR RT DUE 03-09-2010 CUSIP: 45031UBE0 |
410,000.00 | 410,000.00 | 367,659.71 | |||||||||
JANUS CAP GROUP INC NT 6.25 DUE 06-15-2012 REG CUSIP: 47102XAE5 |
215,000.00 | 214,699.00 | 220,132.91 | |||||||||
JANUS CAP GROUP INC NT 6.7% DUE 06-15-2017 CUSIP: 47102XAF2 |
240,000.00 | 239,294.80 | 247,183.20 | |||||||||
JEFFERIES GROUP INC NEW DEB 6.25% DUE 01-15-2036/01-26-2 CUSIP: 472319AC6 |
345,000.00 | 341,966.50 | 308,383.77 | |||||||||
JONES INTERCABLE INC 7.625 DUE 04-15-2008 REG CUSIP: 480206AL5 |
500,000.00 | 516,915.00 | 502,951.00 | |||||||||
KELLOGG CO KELLOGG CO 5.125% DUE 12-03-2012/12-03-2 CUSIP: 487836AZ1 |
510,000.00 | 510,455.10 | 514,270.74 | |||||||||
KOHLS CORP NT 6.875 DUE 12-15-2037 REG CUSIP: 500255AQ7 |
270,000.00 | 270,292.65 | 262,039.86 | |||||||||
KRAFT FOODS INC KRAFT FOODS INC 6 2 11 13 6 DUE 02-11-201 CUSIP: 50075NAQ7 |
255,000.00 | 259,467.45 | 262,166.78 | |||||||||
KROGER CO C CRP KR 6.4 DUE 08-15-2017 BEO CUSIP: 501044CG4 |
125,000.00 | 124,300.00 | 130,739.13 | |||||||||
LEHMAN BROS HLDGS INC LEHMAN BROTHERS HOLDINGS 6.75% DUE CUSIP: 5249087M6 |
185,000.00 | 184,863.10 | 190,679.32 | |||||||||
LEHMAN BROTHERS HLDGS INC MEDIUM TERM NTS BOOK ENTRY MTN CUSIP: 52517P4C2 |
560,000.00 | 559,428.80 | 570,211.04 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
71
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 137 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Debt Instruments Other |
||||||||||||
United States USD |
||||||||||||
LENFEST COMMUNICATIONS INC SR NT 7.625 DUE 02-15-2008/02- CUSIP: 526055AG3 |
30,000.00 | 33,692.10 | 30,073.14 | |||||||||
LIBERTY PPTY LTD PARTNERSHIP BD 5.5 DUE 12-15-2016 BEO CUSIP: 53117CAK8 |
115,000.00 | 114,173.15 | 107,596.76 | |||||||||
MACK-CALI RLTY L P C CRP CLI 5.25 DUE 01-15-2012 BEO CUSIP: 55448QAN6 |
350,000.00 | 347,620.00 | 354,920.30 | |||||||||
MACK-CALI RLTY L P MACK-CALI NTS 5.125 DUE 01-15-2015 BEO CUSIP: 55448QAK2 |
125,000.00 | 124,231.25 | 122,981.50 | |||||||||
MACK-CALI RLTY L P NT 5.05% DUE 04-15-2010/04-15-2 CUSIP: 55448QAL0 |
85,000.00 | 84,844.45 | 86,139.00 | |||||||||
MACYS RETAIL HLDGS INC 5.875 DUE 01-15-2013 BEO CUSIP: 55616XAD9 |
215,000.00 | 214,606.55 | 210,618.95 | |||||||||
MARATHON OIL CORP MARATHON OIL 6 DUE 10-01-2017 BEO CUSIP: 565849AD8 |
195,000.00 | 193,697.40 | 198,575.13 | |||||||||
MARKEL CORP NT 7.35% DUE 08-15-2034 BEO CUSIP: 570535AG9 |
175,000.00 | 185,387.22 | 184,252.60 | |||||||||
MASCO CORP SR NT FLTG RATE VAR RT DUE 03-12-2010 CUSIP: 574599BE5 |
150,000.00 | 150,000.00 | 144,891.15 | |||||||||
MIDAMERICAN ENERGY HLDGS CO NEW SR NT 3.5% DUE 05-15-200 CUSIP: 59562VAH0 |
920,000.00 | 908,248.00 | 913,955.60 | |||||||||
MOHAWK INDS INC SR NT 5.75% DUE 01-15-2011 BEO CUSIP: 608190AG9 |
225,000.00 | 224,770.50 | 230,973.75 | |||||||||
MORGAN ST CAP I INC SER 1998-HF1 CL E 7.6 MTG PASSTHRU C CUSIP: 61745MFM0 |
600,000.00 | 652,593.75 | 598,892.40 | |||||||||
MORGAN STANLEY FORMERLY MORGAN STANLEY MORGAN STANLEY 5.9 CUSIP: 61744YAD0 |
455,000.00 | 453,712.35 | 454,675.59 | |||||||||
NATIONWIDE FINL SVCS INC JR SUB NT 6.75 DUE 05-15-2037 REG CUSIP: 638612AJ0 |
335,000.00 | 334,490.80 | 308,569.51 | |||||||||
NATL GRID PLC FORMERLY NATL GRI 6.3 DUE 08-01-2016 BEO CUSIP: 636274AC6 |
460,000.00 | 459,011.00 | 469,613.08 | |||||||||
NEW AMER HLDGS INC 7.7 DEB DUE 10-30-2025 CUSIP: 652478AZ1 |
360,000.00 | 436,579.20 | 404,402.04 | |||||||||
NEXTEL COMMUNICATIONS INC SR SERIAL RED NT SER E 6.875 DUE CUSIP: 65332VBH5 |
380,000.00 | 383,899.98 | 374,346.36 | |||||||||
NIAGARA MOHAWK PWR CORP SR NT SER G 7.75DUE 10-01-2008 REG CUSIP: 653522DJ8 |
895,000.00 | 943,122.85 | 912,826.61 | |||||||||
NISOURCE FIN CORP NISOURCE FIN 6.4 3 15 18 6.4 DUE 03-15-2 CUSIP: 65473QAS2 |
220,000.00 | 219,791.00 | 219,505.22 | |||||||||
NISOURCE FIN CORP NISOURCE FINANCE 5.25%DUE 09-15-2017/09- CUSIP: 65473QAQ6 |
185,000.00 | 184,326.60 | 170,073.09 | |||||||||
NISOURCE FIN CORP NT DUE 11-23-2009/11-23-2 CUSIP: 65473QAP8 |
155,000.00 | 155,675.72 | 153,503.17 | |||||||||
NORFOLK SOUTHN CORP NORFOLK SOUTHN 8.625DUE 05-15-2010 BEO CUSIP: 655844AN8 |
175,000.00 | 192,405.50 | 191,437.93 | |||||||||
NORFOLK SOUTHN CORP NT DTD 02/06/2001 6.75 DUE 02-15-201 CUSIP: 655844AP3 |
90,000.00 | 100,885.50 | 96,440.13 | |||||||||
OH PWR CO 6 DUE 06-01-2016 BEO CUSIP: 677415CL3 |
175,000.00 | 174,513.35 | 176,897.88 | |||||||||
OHIO EDISON CO SR NT 6.4 DUE 07-15-2016/06-26-2 CUSIP: 677347CD6 |
110,000.00 | 113,000.70 | 112,651.00 | |||||||||
OHIO PWR CO NT SER B FLTG VAR RT DUE 04-05-2010/10-05-2 CUSIP: 677415CM1 |
275,000.00 | 275,000.00 | 272,590.18 | |||||||||
ONCOR ELEC DELIVERY CO SR SECD NT DTD 05/06/2002 6.375 CUSIP: 68233DAS6 |
360,000.00 | 379,353.60 | 374,764.32 | |||||||||
ONEOK PARTNERS L P GTD SR NT 5.9% DUE 04-01-2012 REG CUSIP: 68268NAA1 |
750,000.00 | 762,270.00 | 771,148.50 | |||||||||
PACIFIC GAS & ELEC CO 1ST MTG BD 3.6% DUE 03-01-2009 REG CUSIP: 694308GB7 |
95,000.00 | 94,907.85 | 93,972.86 | |||||||||
PANHANDLE EASTN PIPE LINE CO SR NT 4.8 DUE 08-15-2008 REG CUSIP: 698465BG5 |
1,000,000.00 | 985,735.00 | 995,387.00 | |||||||||
PANHANDLE EASTN PIPE LINE CO 6.2% DUE 11-01-2017 BEO CUSIP: 698455AA0 |
255,000.00 | 254,339.55 | 251,586.06 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
72
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 138 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Debt Instruments Other |
||||||||||||
United States USD |
||||||||||||
PEMEX PROJ FDG MASTER TR CB PEMEX PROJ FUND 08/15/01 8.50 CUSIP: 706451AA9 |
610,000.00 | 626,256.50 | 611,525.00 | |||||||||
PEPCO HLDGS INC NT 6.125 DUE 06-01-2017 REG CUSIP: 713291AP7 |
210,000.00 | 208,905.90 | 213,602.97 | |||||||||
PETRO-CDA DEB DTD 10/15/1991 9.25% DUE 10-15-2021 BEO CUSIP: 71644EAB8 |
220,000.00 | 274,214.60 | 275,366.52 | |||||||||
PHILIP MORRIS COS INC 7.75 DEB DUE 01-15-2027 CUSIP: 718154CF2 |
255,000.00 | 292,536.00 | 328,539.20 | |||||||||
PLAINS ALL AMERN PIPELINE L P / PAA FIN CORP SR NT 6.7% DU CUSIP: 72650RAM4 |
180,000.00 | 179,204.60 | 180,892.98 | |||||||||
PLAINS ALL AMERN PIPELN L P / PAA FIN SRNT 6.65 DUE 01-1 CUSIP: 72650RAR3 |
500,000.00 | 504,405.00 | 503,197.50 | |||||||||
PLATINUM UNDERWRITERS FIN INC GTD NT SERB 7.50 DUE 06-01-2 CUSIP: 72766CAD8 |
130,000.00 | 129,993.50 | 134,141.67 | |||||||||
POPULAR N AMER INC MEDIUM TERM NTS B TRANCHE # TR 00015 CUSIP: 73318EAQ6 |
365,000.00 | 364,591.20 | 368,572.99 | |||||||||
PROGRESS ENERGY INC 6.85 DUE 04-15-2012/04-17-2 CUSIP: 743263AJ4 |
180,000.00 | 188,883.00 | 192,678.84 | |||||||||
PRUDENTIAL FINL INC MED TRM NTS BOOK TRANCHE # TR 00028 CUSIP: 74432QBD6 |
65,000.00 | 64,884.70 | 65,546.07 | |||||||||
PVTPL ACLC FRANCHISE LN RECEIVABLES TR 1997-A CL A-1 144A CUSIP: 00086RAA5 |
51,623.92 | 51,657.36 | 52,721.39 | |||||||||
PVTPL CAPMARK FINL GROUP INC SR NT 144A 5.875% DUE 05-10-2 CUSIP: 140661AE9 |
345,000.00 | 344,851.65 | 273,089.58 | |||||||||
PVTPL CMO AMERN EXPRESS CR A/C SECD NT TR 2 CL C 144A VAR CUSIP: 02586BAC7 |
850,000.00 | 850,000.00 | 818,164.95 | |||||||||
PVTPL CMO BAYVIEW COML AST TR SER 2005-4CL B2 144A VAR RT CUSIP: 07324SDA7 |
297,055.33 | 297,080.08 | 146,273.02 | |||||||||
PVTPL CMO CROWN CASTLE TOWERS LLC / SER 2005-1 CL D 144A V CUSIP: 22822RAD2 |
75,000.00 | 75,000.00 | 74,294.25 | |||||||||
PVTPL CMO CROWN CASTLE TOWERS LLC / 06-1SR NT CL B 144A 5. CUSIP: 22822RAH3 |
450,000.00 | 452,197.26 | 430,659.00 | |||||||||
PVTPL CMO GLOBAL SIGNAL TR III 2006-1 COML 144A 6.495% D CUSIP: 37945SAG3 |
95,000.00 | 95,000.00 | 81,847.25 | |||||||||
PVTPL CVS CORP PASSTHRU CTF 144A 6.036% DUE 12-10-2028/12- CUSIP: 126650BF6 |
215,122.25 | 213,434.90 | 206,551.78 | |||||||||
PVTPL ERAC USA FIN CO ERAC FIN 144A 7 DUE 10-15-2037 BEO CUSIP: 26882PBE1 |
240,000.00 | 237,921.60 | 217,974.96 | |||||||||
PVTPL ERAC USA FIN CO NT 144A DUE 04-30-2009 BEO CUSIP: 26882PAY8 |
65,000.00 | 65,000.00 | 64,707.24 | |||||||||
PVTPL ERAC USA FIN CO NT 7.95 DUE 12-15-2009 BEO CUSIP: 26882PAK8 |
230,000.00 | 276,598.00 | 241,361.08 | |||||||||
PVTPL FARMERS EXCHANGE CAP TR SURP NT SECS 144A 7.05 DUE CUSIP: 309588AC5 |
440,000.00 | 443,143.23 | 435,002.48 | |||||||||
PVTPL FBG FIN LTD GTD NT 144A 5.125% DUE06-15-2015 BEO CUSIP: 30239XAC1 |
175,000.00 | 174,167.00 | 170,154.43 | |||||||||
PVTPL GLITNIR BANKI HF SUB NT FIXED/FLTG144A 6.693% DUE 06 CUSIP: 379308AA7 |
220,000.00 | 220,000.00 | 221,624.70 | |||||||||
PVTPL GREAT RIV ENERGY 1ST MTG SER 2007A144A 5.829% DUE 07 CUSIP: 39121JAA8 |
540,000.00 | 540,000.00 | 553,667.40 | |||||||||
PVTPL NEWS AMER INC NEWS AMER INC 6.65% DUE 11-15-2037 BEO CUSIP: 652482BP4 |
80,000.00 | 79,896.80 | 82,518.08 | |||||||||
PVTPL PHOENIX LIFE INS CO SURPLUS NT 144A 7.15% DUE 12- CUSIP: 71909VAA2 |
160,000.00 | 166,794.90 | 174,434.56 | |||||||||
PVTPL SMFG PFD CAP USD 1 LTD 6.078 DUE 12-31-2049 BEO CUSIP: 78454AAA2 |
300,000.00 | 300,831.00 | 276,366.00 | |||||||||
PVTPL WEATHERFORD INTL INC NEW GTD SR NT144A 6.35 DUE 06 CUSIP: 947074AF7 |
190,000.00 | 189,848.00 | 196,394.64 | |||||||||
QUEST DIAGNOSTICS INC SR NT 6.4 DUE 07-01-2017 REG CUSIP: 74834LAM2 |
225,000.00 | 224,518.50 | 232,590.60 | |||||||||
RAYTHEON CO NT DTD 11/15/2002 5.5 DUE 11-15-2012/11-14-2 CUSIP: 755111BL4 |
60,000.00 | 61,273.80 | 62,471.64 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
73
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 139 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Debt Instruments Other |
||||||||||||
United States USD |
||||||||||||
REGENCY CTRS L P GTD NT 5.875 DUE 06-15-2017 REG CUSIP: 75884RAQ6 |
70,000.00 | 69,668.90 | 67,643.87 | |||||||||
REGENCY CTRS L P5.25% DUE 08-01-2015/07-31-2 CUSIP: 75884RAP8 |
95,000.00 | 95,064.60 | 90,043.09 | |||||||||
REP SVCS INC 6.75 DUE 08-15-2011 BEO CUSIP: 760759AC4 |
260,000.00 | 268,307.00 | 272,549.42 | |||||||||
RESONA BK FLT RT NT 144A DUE 09-29-2049/04-15-2 CUSIP: 76117JAB4 |
240,000.00 | 239,832.00 | 223,116.48 | |||||||||
ROHM & HAAS CO NT 5.6 DUE 03-15-2013 REG CUSIP: 775371AW7 |
85,000.00 | 84,987.25 | 88,323.59 | |||||||||
SAFEWAY INC NT 4.95% DUE 08-16-2010/08-12-2 CUSIP: 786514BL2 |
75,000.00 | 74,817.00 | 75,393.75 | |||||||||
SLM CORP MEDIUM TERM NTS BOOK ENTRY TR #00057 5.375% DUE CUSIP: 78442FCJ5 |
40,000.00 | 38,571.60 | 35,562.92 | |||||||||
SOUTHN PWR CO SR NT 4.875 DUE 07-15-2015/07-14-2 CUSIP: 843646AF7 |
240,000.00 | 230,556.48 | 226,828.08 | |||||||||
SOUTHN UN CO NEW 7.6 DUE 02-01-2024 REG CUSIP: 844030AA4 |
90,000.00 | 97,962.30 | 94,601.88 | |||||||||
SOVEREIGN BANCORP INC SR NT FLTG VAR RT DUE 03-23-2010 CUSIP: 845905AX6 |
280,000.00 | 280,000.00 | 277,846.24 | |||||||||
SOVEREIGN BANCORP INC SR NT 4.8 DUE 09-01-2010 REG CUSIP: 845905AU2 |
600,000.00 | 588,781.10 | 597,760.20 | |||||||||
SPRINT CAP CORP NT 8.75% DUE 03-15-2032 BEO CUSIP: 852060AT9 |
125,000.00 | 144,041.20 | 140,899.75 | |||||||||
SPRINT CAP CORP SPRINT CAP CORP6.875 DUE 11-15-2028 BEO CUSIP: 852060AD4 |
235,000.00 | 226,514.15 | 222,865.31 | |||||||||
SR SECD NOTES 5.25% DUE 09-01-2012/08-31-2 CUSIP: 906548BX9 |
205,000.00 | 199,987.75 | 207,950.57 | |||||||||
TCA CABLE TV INC DEB 6.53% DUE 02-01-2028 BEO CUSIP: 872241AB0 |
155,000.00 | 155,310.00 | 154,933.51 | |||||||||
TEVA PHARMACEUTICAL FIN LLC GTD SR NT 6.15% DUE 02-01-20 CUSIP: 88163VAD1 |
185,000.00 | 184,974.10 | 183,717.03 | |||||||||
TIME WARNER CABLE INC NT 5.85% DUE 05-01-2017/10-24-2 CUSIP: 88732JAH1 |
165,000.00 | 164,618.85 | 165,407.22 | |||||||||
TRANSOCEAN INC TRANSOCEAN INC 6.8% DUE 03-15-2038 BEO CUSIP: 893830AT6 |
210,000.00 | 209,735.40 | 214,273.08 | |||||||||
TRICON GLOBAL RESTAURANTS INC 8.875 DUE 04-15-2011 BEO CUSIP: 895953AD9 |
145,000.00 | 162,078.20 | 159,938.92 | |||||||||
TX EASTN TRANSM CORP SR NT 2032 7 DUE 07-15-2032/07-14-2 CUSIP: 882389CC1 |
90,000.00 | 99,438.70 | 100,730.07 | |||||||||
TYCO INTL GROUP S A GTD NT 6.875 DUE 01-15-2029 BEO CUSIP: 902118AK4 |
30,000.00 | 33,503.40 | 30,383.28 | |||||||||
U S BANCORP MEDIUM TERM NTS- BOOK ENTRY TRANCHE # TR 00155 CUSIP: 91159HGL8 |
1,500,000.00 | 1,500,525.00 | 1,494,432.00 | |||||||||
USA WASTE SVCS INC 7 DUE 07-15-2028 REG CUSIP: 902917AH6 |
70,000.00 | 71,699.60 | 74,262.93 | |||||||||
VALERO ENERGY CORP NEW VLO 3.5000 01/04/09 3.5 DUE 0 CUSIP: 91913YAJ9 |
135,000.00 | 130,167.00 | 132,698.93 | |||||||||
VERIZON GLOBAL FDG CORP NT 4 DUE 01-15-2008 BEO CUSIP: 92344GAU0 |
810,000.00 | 803,332.90 | 809,675.19 | |||||||||
VIACOM INC NEW VIACOM INC NEW 6.125 10 517 6.125 DUE 10-0 CUSIP: 92553PAB8 |
305,000.00 | 302,822.30 | 304,986.89 | |||||||||
VIACOM INC SR NT 6.875% DUE 04-30-2036/10-18-2 CUSIP: 925524AX8 |
180,000.00 | 176,998.50 | 180,490.68 | |||||||||
WA MUT INC SUB NT 8.25 DUE 04-01-2010 BEO CUSIP: 939322AE3 |
260,000.00 | 279,872.68 | 248,288.30 | |||||||||
WACHOVIA AUTO LN OWNER TR 2007-1 AST BACKED NT CL D 5.6 CUSIP: 92978BAG5 |
375,000.00 | 374,953.80 | 367,758.75 | |||||||||
WAMU PFD FDG TR II FXD/FLTG PERP TR SECS2006-C 144A DUE 12 CUSIP: 93935JAA1 |
100,000.00 | 99,665.00 | 59,000.00 | |||||||||
WASHINGTON MUT INC NT FLTG RATE VAR RT DUE 08-24-2009 CUSIP: 939322AW3 |
335,000.00 | 335,244.55 | 299,148.97 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
74
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 140 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Corporate Debt Instruments Other |
||||||||||||
United States USD |
||||||||||||
WASHINGTON MUT INC SR NT FLTG DTD 12/20/2004 DUE 01- CUSIP: 939322AQ6 |
270,000.00 | 271,336.50 | 251,014.68 | |||||||||
WASHINGTON REAL ESTATE INVT TR SR NT 5.35% DUE 05-01-20 CUSIP: 939653AG6 |
205,000.00 | 203,237.68 | 198,911.30 | |||||||||
WASTE MGMT INC DEL SR NT 7.375 DUE 05-15-2029 BEO CUSIP: 94106LAG4 |
65,000.00 | 72,952.10 | 71,034.15 | |||||||||
WASTE MGMT INC DEL WMI 7.375 DUE 08-01-2010 BEO CUSIP: 94106LAK5 |
35,000.00 | 39,398.80 | 36,970.43 | |||||||||
WILLIS N AMER INC GTD SR NT 6.2 DUE 03-28-2017 BEO CUSIP: 970648AD3 |
280,000.00 | 279,442.80 | 279,383.72 | |||||||||
WYNDHAM WORLDWIDE CORP NT 6 DUE 12-01-2016 REG CUSIP: 98310WAB4 |
75,000.00 | 74,655.75 | 71,130.00 | |||||||||
XSTRATA CDA CORP 7.25 7/15/12 CUSIP: 655422AS2 |
120,000.00 | 127,485.60 | 130,120.44 | |||||||||
ZIONS BANCORPORATION SR MED TERM NT FLTGRATE DUE 04-15-200 CUSIP: 989701AP2 |
200,000.00 | 200,000.00 | 198,541.00 | |||||||||
ZIONS BANCORPORATION SUB NT 6 DUE 09-15-2015 BEO CUSIP: 989701AJ6 |
280,000.00 | 279,451.20 | 271,856.76 | |||||||||
Total United States USD |
60,924,039.05 | 59,407,480.36 | ||||||||||
Total Corporate Debt Instruments Other |
66,303,006.22 | 64,742,877.15 | ||||||||||
Corporate Stock Preferred |
||||||||||||
United States USD |
||||||||||||
US AIRWAYS GROUP INC PFD SER A NEW CUSIP: 911905701 |
166.00 | 0.00 | 166.00 | |||||||||
Total United States USD |
0.00 | 166.00 | ||||||||||
Total Corporate Stock Preferred |
0.00 | 166.00 | ||||||||||
Corporate Stock Common |
||||||||||||
United States USD |
||||||||||||
U.S AIR WT SER A EXP4-1-10 CUSIP: 99V013U08 |
166.00 | 0.00 | 166.00 | |||||||||
Total United States USD |
0.00 | 166.00 | ||||||||||
Total Corporate Stock Common |
0.00 | 166.00 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
75
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 141 of 151 |
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 |
32,456,431.25 | 32,456,431.25 | 32,456,431.25 | |||||||||
Total United States USD |
32,456,431.25 | 32,456,431.25 | ||||||||||
Total Value of Interest in Common/Collective Trusts |
32,456,431.25 | 32,456,431.25 | ||||||||||
Value of Interest in Registered Investment Companies |
||||||||||||
United States USD |
||||||||||||
MFO MORGAN STANLEY INSTL FD ADVISORY FGNFXD INC CUSIP: 617440748 |
10,773.83 | 124,865.62 | 133,164.54 | |||||||||
MFO MORGAN STANLEY INSTL FD TR ADVISORY MTG PORTFOLIO CL I CUSIP: 617440763 |
5,616,778.54 | 57,390,069.29 | 51,393,523.64 | |||||||||
Total United States USD |
57,514,934.91 | 51,526,688.18 | ||||||||||
Total Value of Interest in Registered Investment Com |
57,514,934.91 | 51,526,688.18 | ||||||||||
Other |
||||||||||||
Canada USD |
||||||||||||
NS PROV CDA BD 5.125 DUE 01-26-2017 REG CUSIP: 669827FT9 |
165,000.00 | 164,171.70 | 171,926.21 | |||||||||
Total Canada USD |
164,171.70 | 171,926.21 | ||||||||||
Chile USD |
||||||||||||
CHILE REP BD 5.5 DUE 01-15-2013 REG CUSIP: 168863AS7 |
240,000.00 | 244,528.80 | 250,348.80 | |||||||||
Total Chile USD |
244,528.80 | 250,348.80 | ||||||||||
Korea Republic of USD |
||||||||||||
EXPORT IMPORT BK KOREA DEB SECS 4.5% DUE08-12-2009 REG CUSIP: 302154AK5 |
215,000.00 | 213,821.80 | 212,748.52 | |||||||||
Total Korea Republic of USD |
213,821.80 | 212,748.52 | ||||||||||
Mexico USD |
||||||||||||
UTD MEXICAN STS MEDIUM TERM NTS TRANCHE # TR 00010 6.375 D CUSIP: 91086QAK4 |
405,000.00 | 430,682.70 | 430,717.50 | |||||||||
UTD MEXICAN STS MTN BOOK ENTRY US91086QAD07 9.875 CUSIP: 91086QAD0 |
110,000.00 | 134,035.00 | 121,715.00 | |||||||||
Total Mexico USD |
564,717.70 | 552,432.50 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
76
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 142 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Other |
||||||||||||
Multi-National Agencies Region USD |
||||||||||||
AFRICAN DEV BK SUB NT DTD 10/23/1995 6.875 DUE 10-15-20 CUSIP: 008281AL1 |
130,000.00 | 143,779.03 | 146,485.30 | |||||||||
Total Multi-National Agencies Region USD |
143,779.03 | 146,485.30 | ||||||||||
United States USD |
||||||||||||
&&& CASH MARGIN REQUIREMENT ON FINANCIALFUTURES (COLLATERA CUSIP: 9999990A4 |
425,000.00 | 425,000.00 | 425,000.00 | |||||||||
&&&BOND FUTURES OFFSET LONG CUSIP: 999959927 |
-148.00 | -13,647,265.61 | -13,638,593.75 | |||||||||
CDS / STS DEUTSCHEDE DJ 12-20-2017 9CDXIG9H9 CUSIP: 777999004 |
-452,000.00 | 0.00 | -1,549.22 | |||||||||
CDS / STS DEUTSCHEDE SELL PROTECTION ON DJ 12-20-2017 9CDX CUSIP: 777999004 |
452,000.00 | 3,359.55 | 0.00 | |||||||||
CDS / STS DJ 12-20-2008 9CDXIG9K2 CUSIP: 777999004 |
-1,130,000.00 | 0.00 | -3,348.90 | |||||||||
CDS / STS DJ 12-20-2012 99ITRX173 CUSIP: 777999004 |
-1,500,000.00 | -11,826.00 | 0.00 | |||||||||
CDS / STS SELL PROTECTION ON DJ 12-20-2008 9CDXIG9 CUSIP: 777999004 |
1,130,000.00 | 956.22 | 0.00 | |||||||||
CDS CHASGB2L PURC PROTECTION ON RBOS 09-20-2012 SMAM 99 CUSIP: 777999004 |
280,000.00 | 0.00 | 2,657.62 | |||||||||
DELAWARE ST HSG AUTH REV 5.8% 07-01-2016BEO TAXABLE CUSIP: 246395RD1 |
200,000.00 | 200,000.00 | 203,082.00 | |||||||||
ERIE CNTY N Y TOB AST SECURITIZATION C TAXABLE-AST BKD-SE CUSIP: 295095BF9 |
190,000.00 | 185,346.90 | 164,272.10 | |||||||||
FUT CALL FEB 08 T-NOTE OPTION 1140 CUSIP: 999999OA8 |
100.00 | 131,502.00 | 71,875.00 | |||||||||
FUT CALL JAN 08 EURO DOLLARS 9537 CUSIP: 999999OA8 |
150.00 | 171,033.00 | 146,250.00 | |||||||||
FUT MAR 08 U.S. T-BONDS CUSIP: 999599GH0 |
9.00 | 1,021,906.25 | 1,047,375.00 | |||||||||
FUT MAR 08 US 2YR T-NOTE CUSIP: 999599GH0 |
-30.00 | -6,278,437.50 | -6,307,500.00 | |||||||||
FUT MAR 08 10 YR T-NOTES CUSIP: 999599GH0 |
84.00 | 9,545,437.50 | 9,524,812.50 | |||||||||
FUT MAR 08 5 YR T NOTE CUSIP: 999599GH0 |
85.00 | 9,358,359.36 | 9,373,906.25 | |||||||||
FUT PUT FEB 08 T-NOTE OPTION 1105 CUSIP: 999999OA8 |
-250.00 | -63,433.00 | -27,345.00 | |||||||||
L - 9CDX8IGL9 STS USD CDX IG8 10YR SP GOLDMAN EXP 06/20 CUSIP: 777999004 |
-575,000.00 | 0.00 | -14,527.84 | |||||||||
L - 99AZOGS11 CDS USD AUTOZONE BP GOLDMAN EXP 06/20 CUSIP: 777999004 |
-575,000.00 | 0.00 | -1,343.20 | |||||||||
L- CENTURY TEL BUY @ 119 CITI EXPIRES 09/20/15 CUSIP: 777999004 |
-545,000.00 | 0.00 | -15,614.52 | |||||||||
MI TOB SETTLEMENT FIN AUTH TOB SET SER A0 06-01-34 REG TAX CUSIP: 594751AB5 |
825,000.00 | 825,157.50 | 767,274.75 | |||||||||
MI TOB SETTLEMENT FIN AUTH TOB SET TAX -INDEXED FLTG-TURB CUSIP: 594751AA7 |
375,000.00 | 375,218.75 | 370,170.00 | |||||||||
OTC 99FL3M9Z 2YR FLR 3M LBR E-CALL OPT EXP 01/13/2009 W/S CUSIP: 8889990BB |
5,650,000.00 | 7,345.00 | 7,345.00 | |||||||||
TOB SETTLEMENT AUTH IA TOB SETTLEMENT REV 6.5 06-01-2023 CUSIP: 888805AP3 |
740,000.00 | 730,904.35 | 673,496.20 | |||||||||
TOBACCO SETTLEMENT FIN AUTH WEST VA AST BACKED 7.467 06-01 CUSIP: 88880LAA1 |
110,000.00 | 110,000.00 | 102,714.70 | |||||||||
Total United States USD |
3,090,564.27 | 2,870,408.69 | ||||||||||
Total Other |
4,421,583.30 | 4,204,350.02 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
77
5500 Supplemental Schedules
|
Account number 7870 | |
31 DEC 07
|
Account Name MONSANTO WRAPPED CONSOLIDATED | |
Page 143 of 151 |
Security Description / Asset ID | Shares/Par Value | Historical Cost | Current Value | |||||||||
Other Liabilities |
||||||||||||
United States USD |
||||||||||||
FUT CALL FEB 08 T-NOTE OPTION 1155 |
-200.00 | -143,089.90 | -65,626.00 | |||||||||
FUT CALL JAN 08 EURO DOLLARS 9600 |
-150.00 | -35,217.00 | -4,687.50 | |||||||||
LIAB: WRAPPER FOR SYNTHETIC CONTRACTS |
1.00 | 0.00 | -7,347,577.52 | |||||||||
REVERSE REPO W/MORGAN STANLEY 912828HG8 USTN |
-1,715,000.00 | -1,715,000.00 | -1,715,000.00 | |||||||||
Total United States USD |
-1,893,306.90 | -9,132,891.02 | ||||||||||
Pending trade purchases: United States dollar |
0.00 | -81,121,660.42 | -81,121,660.42 | |||||||||
Total all currencies |
-81,121,660.42 | -81,121,660.42 | ||||||||||
Total Other Liabilities |
-83,014,967.32 | -90,254,551.44 | ||||||||||
Payable Other |
||||||||||||
United States USD |
||||||||||||
FEE FOR SECURITIES LENDING ACTIVITY FOR CUSIP: 999766066 |
4.00 | 0.00 | 0.00 | |||||||||
Total United States USD |
0.00 | 0.00 | ||||||||||
Total Payable Other |
0.00 | 0.00 | ||||||||||
Total |
476,409,921.39 | 465,178,694.84 |
Northern Trust
|
Generated by Northern Trust from periodic data on 6 Mar 08 |
78
Cost | Current Value | ||||||||||
Identity of issue, borrower, lessor or similar party |
|||||||||||
Total Assets Held per page 46 of attached detail |
$ | 1,592,479 | $ | 2,987,748 | |||||||
Reconciling Items: |
|||||||||||
Pending Trade Sales listed on Detail |
(1,823 | ) | (1,823 | ) | |||||||
Pending Trade Purchases listed on Detail |
3,487 | 3,487 | |||||||||
ESOP Loan Balance* |
9,525 | 9,525 | |||||||||
Adjustment from fair value to contract value for fully
benefit-responsive investment contracts |
| 7,348 | |||||||||
Total investments per financial statements |
$ | 1,603,668 | $ | 3,006,285 | |||||||
* | Represents party-in-interest to the Plan. |
Cost | Current Value | ||||||||||
Identity of issue, borrower, lessor or similar party |
|||||||||||
Total Investment Contract Assets per page 78 of attached detail |
$ | 476,410 | $ | 465,179 | |||||||
Reconciling Items: |
|||||||||||
Accrued interest income which is included in the
$469,033,652.18 on page 45 of the attached detail |
3,855 | 3,855 | |||||||||
Adjustment from fair value to contract value for fully
benefit-responsive investment contracts |
| 7,348 | |||||||||
Total investment contracts per financial statements |
$ | 480,265 | $ | 476,382 | |||||||
79
80
5500 Supplemental Schedules
|
Account number 7879 | |
1 JAN 07 31 DEC 07
|
Account Name MONSANTO CONSOLIDATED | |
Page 62 of 133 |
Number of | Transaction Aggregate | Lease | Expenses | Cost | Current Value of Asset |
|||||||||||||||||||||||||||
Security Description / Asset ID | Transactions | Acquisition Price Disposition Price | Rental | Incurred | of Asset | on Transaction | ||||||||||||||||||||||||||
COLTV STIF CUSIP: 195997KR1 |
Total acquisitions | 1,526 | 461,022,540.72 | 0.00 | 461,022,540.72 | 461,022,540.72 | ||||||||||||||||||||||||||
Total dispositions | 1,658 | 445,922,766.86 | 0.00 | 445,922,766.86 | 445,922,766.86 |
Northern Trust
|
Generated by Northern Trust from periodic data on 13 May 08 |
81
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 |
||||
82
Exhibit | ||
Number | Description | |
23
|
Consent of Independent Registered Public Accounting Firm |
83