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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington D.C. 20549
FORM 11-K
(Mark One)
     
þ   ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
For the fiscal year ended December 31, 2007
OR
     
o   TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
For the transition period from                      to                     
Commission file number 001-16167
     A. Full title of the plan and the address of the plan, if different from that of issuer named below:
MONSANTO SAVINGS AND INVESTMENT PLAN
     B. Name of issuer of the securities held pursuant to the plan and the address of its principal executive office:
MONSANTO COMPANY
800 North Lindbergh Blvd.
St. Louis, MO 63167
 
 

 


 

MONSANTO SAVINGS AND INVESTMENT PLAN
FINANCIAL STATEMENTS AS OF DEC. 31, 2007 AND 2006,
AND FOR THE YEAR ENDED DEC. 31, 2007, AND SUPPLEMENTAL SCHEDULES
AS OF AND FOR THE YEAR ENDED DEC. 31, 2007, AND
REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

 


 

MONSANTO SAVINGS AND INVESTMENT PLAN
Financial Statements and Supplemental Schedules
Table of Contents
         
    Page
 
       
Report of Independent Registered Public Accounting Firm
    1  
 
       
Financial Statements:
       
 
       
Statements of Net Assets Available for Benefits as of Dec. 31, 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 Labor’s Rules and Regulations for Reporting and Disclosures under the Employee Retirement Income Security Act of 1974 have been omitted because they are not applicable.

 


 

REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM
Monsanto Company Employee Benefits Plan Committee
We have audited the accompanying statements of net assets available for benefits of Monsanto Savings and Investment Plan (the “Plan”) as of December 31, 2007 and 2006, and the related statement of changes in net assets available for benefits for the year ended December 31, 2007. These financial statements are the responsibility of the Plan’s management. Our responsibility is to express an opinion on these financial statements based on our audits.
We conducted our audits in accordance with standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. The Plan is not required to have, nor were we engaged to perform, an audit of its internal control over financial reporting. Our audits included consideration of internal control over financial reporting as a basis for designing audit procedures that are appropriate in the circumstances, but not for the purpose of expressing an opinion on the effectiveness of the Plan’s internal control over financial reporting. Accordingly, we express no such opinion. An audit also includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, as well as evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.
In our opinion, such financial statements present fairly, in all material respects, the net assets available for benefits of the Plan as of December 31, 2007 and 2006, and the changes in net assets available for benefits for the year ended December 31, 2007 in conformity with accounting principles generally accepted in the United States of America.
Our audits were conducted for the purpose of forming an opinion on the basic financial statements taken as a whole. The supplemental schedules of (1) Schedule of Assets (Held at End of Year) as of December 31, 2007 and (2) Schedule of Reportable Transactions for the Year Ended December 31, 2007 are presented for the purpose of additional analysis and are not a required part of the basic financial statements but are supplementary information required by the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. These schedules are the responsibility of the Plan’s management. Such schedules have been subjected to the auditing procedures applied in our audit of the basic 2007 financial statements and, in our opinion, are fairly stated in all material respects when considered in relation to the basic financial statements taken as a whole.
/s/ Deloitte & Touche LLP
St. Louis, Missouri
June 17, 2008

1


 

MONSANTO SAVINGS AND INVESTMENT PLAN
STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS
 
                 
    As of Dec. 31,
(Dollars in thousands)   2007   2006
     
ASSETS:
               
Investments:
               
Common stock—Monsanto Company—Allocated
  1,170,217     532,850  
Common stock—Monsanto Company—Unallocated
    338,510       208,147  
     
Total Common stock—Monsanto 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 stock—Solutia Inc.
    72       270  
Common stock—other (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  
     
See accompanying Notes to Financial Statements.

2


 

MONSANTO SAVINGS AND INVESTMENT PLAN
STATEMENT OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS
 
         
    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 stock—Monsanto Company
    811,424  
Debt securities
    (51 )
Common stock—Solutia Inc.
    (178 )
Common and preferred stock—other
    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  
 
     
See accompanying Notes to Financial Statements.

3


 

MONSANTO SAVINGS AND INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS
YEAR ENDED DEC. 31, 2007
 
NOTE 1. INFORMATION REGARDING THE PLAN
 
GENERAL
The following description of the Monsanto Savings and Investment Plan (the “Plan” or the “SIP”) provides only general information. Participants should refer to the Plan document for a more complete description of the Plan’s provisions.
The Plan was established as of June 11, 2001, as a successor to a portion of the Pharmacia Corporation Savings and Investment Plan (“Pharmacia Plan”) for the benefit of certain employees and former employees (“Transferred Participants”) of Monsanto Company (“Monsanto” or the “Company”). Effective July 1, 2001, the assets of the Pharmacia Plan that were allocated to the accounts of the Transferred Participants were transferred to the trust established under the Plan. Also effective July 1, 2001, a portion of the unallocated assets and liabilities (primarily debt) of the leveraged employee stock ownership plan (“ESOP”) component of the Pharmacia Plan were transferred to the Plan.
Effective July 1, 2001, through June 30, 2002, the assets of the trust established under the Plan were collectively invested with the assets of the Pharmacia Plan in the Pharmacia Corporation and Monsanto Company Defined Contribution and Employee Stock Ownership Master Trust (the “Master Trust”). Within the Master Trust, each participating plan was entitled to an interest in the Master Trust’s net assets and net earnings. Effective as of July 1, 2002: (i) assets and liabilities from the Master Trust representing the Pharmacia Plan’s interest and obligations in and under the Master Trust were transferred to the Pharmacia Savings Plan Master Trust and the Pharmacia Savings Plan ESOP Trust for Pharmacia Common Stock; and (ii) Monsanto and the trustee of the Plan entered into the Monsanto Company Defined Contribution and Employee Stock Ownership Master Trust Agreement which is the trust established pursuant to the Plan to hold all the assets of the Plan.
ADMINISTRATION
Monsanto is the sponsor of the Plan. The Monsanto Employee Benefits Plans Committee is responsible for administering plan operations in accordance with the Employee Retirement Income Security Act of 1974 (“ERISA”) and Plan documents. Fidelity Investments Institutional Services Company, Inc. serves as the record keeper of the Plan. The Monsanto Pension and Savings Funds Investment Committee is responsible for monitoring Plan investments. The trustee of the Plan is The Northern Trust Company (“Northern”).
PARTICIPANT ACCOUNTS
The Plan is a contributory defined contribution profit sharing plan with individual accounts for each participant. Regular employees who have attained age 18 are generally eligible to participate in the Plan as soon as administratively possible. As of July 1, 2007, temporary employees are generally eligible to participate in the Plan after 1,000 hours of service. The cost of Plan administration is borne partially by Plan participants and partially by Monsanto, as Plan sponsor.
Each participant’s account is credited with the participant’s contributions, Company contributions and Plan earnings and reduced by Plan losses and certain administrative expenses. Participants’ accounts are valued on a daily basis. The benefit to which a participant is entitled is the benefit that can be provided from the participant’s vested account balance.
EMPLOYEE CONTRIBUTIONS
The Plan provides for voluntary employee contributions generally ranging from 1 percent to 25 percent of an employee’s eligible pay. Employees have an option to make before-tax contributions or after-tax contributions. Subject to annual limits on before-tax contributions and the results of required Internal Revenue Service (“IRS”) discrimination testing, contributions may be all before-tax, all after-tax, or a combination of both. Generally, employee contributions to the Plan may be invested in 1 percent increments and allocated in any combination to the following investment fund types: a fixed income fund, a balanced fund consisting of both fixed income and equity securities, a growth and income equity fund, an international equity fund, a growth equity fund, a U.S. equity index fund, a treasury inflation-protected securities (TIPS) fund, a value equity fund, a small cap growth equity fund, a small cap value equity fund, the Monsanto Stock Fund, which invests in Monsanto common stock, and four asset allocation funds consisting of varying pre-set mixes of certain of the aforementioned investment fund types. The four asset allocation funds allow participants varying degrees of risk and

4


 

MONSANTO SAVINGS AND INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS (continued)
YEAR ENDED DEC. 31, 2007
 
return. Targeted (“roundtrip”) participant trading restrictions were implemented in 2005. A roundtrip is defined as an exchange in and then out of a fund in less than a 30-day period. Under these restrictions, participants are limited to one roundtrip transaction per fund within any 90-day rolling period and four roundtrip transactions across all funds over a rolling 12-month period. These targeted restrictions apply to all investment options except the Fixed Income Fund.
As a result of the spinoff in 1997 of Solutia Inc. (“Solutia”), a former subsidiary of the former Monsanto Company, certain Transferred Participants’ accounts received common stock of Solutia. This stock is maintained in the Solutia Non-Employer Stock Fund, and no contributions, either employee or employer, subsequent to the spinoff can be made to this fund. The Company has amended the Plan to terminate the Solutia Non-Employer Stock Fund as an investment option effective as of the close of business on Dec. 10, 2008. All participant investments remaining in the fund as of the close of business on Dec. 10, 2008, will be liquidated and invested in the Moderately Aggressive Portfolio, the default investment fund for the Plan.
Participants may be eligible to make a before-tax catch-up contribution if they are at least age 50 on or before the end of the calendar year and either currently contributing at least 7 percent of their eligible pay per pay period to the SIP or had reached the IRS annual limit on before-tax contributions ($15,500 in 2007). For 2007, eligible participants could have elected a before-tax catch-up contribution of up to $5,000. The catch-up contributions are not eligible for Company matching contributions and are subject to the same rules as other before-tax contributions. The annual catch-up contribution limit may increase in future years in accordance with limits prescribed by the IRS.
The before-tax option allows participants to elect to make before-tax contributions from eligible gross pay before most income taxes are deducted. The participants generally cannot withdraw before-tax contributions without income tax penalties until age 59 1/2, disability, death, separation from service on or after age 55, or payments that are part of a series of substantially equal periodic payments made for the life of the employee or the joint lives of the employee and a designated beneficiary. After-tax contributions are made from participants’ eligible pay after income taxes are deducted. Withdrawal of after-tax employee contributions can be made with no penalty. Participants may change the amounts of their contributions and transfer their contributions among the investment options on a daily basis, subject to the roundtrip trading restrictions described above.
All Monsanto SIP participants can transfer any Company match amounts out of their Monsanto (Employer) Stock Fund and into any of the other investment options available in SIP (except the Solutia Non-Employer Stock Fund option) whether or not they are fully vested.
COMPANY CONTRIBUTIONS AND VESTING
Employee contributions to the Plan, up to a maximum of 7 percent of eligible pay, generally are matched 60 percent by Monsanto. The Plan also has a discretionary match employer contribution feature. Generally, Company contributions vest and become non-forfeitable at the rate of 20 percent per year of service, such that Company contributions are 100 percent vested after five years of service.
In December 2007, Monsanto determined that a discretionary matching contribution of an additional 40 percent on the first 10 percent of eligible pay would be made to participants actively employed on Dec. 31, 2007. This contribution was applied to eligible participants’ accounts in March 2008 through an allocation of previously unallocated Monsanto Company common stock, based on the value of a share of Monsanto stock on Dec. 31, 2007. Additionally, in December 2007, the Company amended the Plan to provide for a non-elective Company contribution feature in the Plan. In December 2007 the Company also determined to make a non-elective Company contribution to the Plan in an amount equal to 3.8 percent of eligible pay of all Plan participants actively employed by the Company or a participating employer in the Plan on Dec. 31, 2007. The non-elective contribution was applied to eligible participants’ accounts in May 2008 through an allocation of previously unallocated Monsanto Company common stock, based on the value of a share of Monsanto stock on Dec. 31, 2007. Company contributions and related earnings are invested solely in Monsanto common stock held in the Monsanto Employer Stock Fund.
A participant who has less than five years of participation in the Plan or predecessor plan cannot withdraw Company

5


 

MONSANTO SAVINGS AND INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS (continued)
YEAR ENDED DEC. 31, 2007
 
matching contributions that are not vested or that were received in the last 24 months. Upon completion of five years of participation in the Plan, all Company matched amounts may be withdrawn from the Plan. Company contributions immediately vest upon a change of control of the Company, as defined in the Plan.
In order for the Plan to pass certain IRS discrimination testing requirements, the Company made a Qualified Non-Elective Contribution (“QNEC”) of 5 percent of eligible pay to all non-highly compensated employees of the Company and other employers participating in the Plan whose total Plan eligible pay in 2007 was $26,250 or less, were at least age 21, and had at least one year of service by Dec. 31, 2007, whether or not the employee was a participant in the Plan. In accordance with the terms of the Plan, the Monsanto Employee Benefits Plans Committee determined that Plan forfeitures as of Dec. 31, 2007, be used to fund the QNEC. The QNEC contribution was allocated to eligible participants’ accounts in May 2008.
LEVERAGED ESOP
During 2001 the Pharmacia Plan’s original ESOP debt was restructured and refinanced. Following the spinoff of Monsanto from Pharmacia on Aug. 13, 2002, the unallocated Pharmacia shares held by the Plan’s ESOP component were gradually converted to shares of Monsanto common stock through open market transactions and through the exchange of Pharmacia stock for Monsanto stock with certain Pharmacia employee benefit plans at market rates. These Pharmacia shares are now fully converted to Monsanto shares. The unallocated shares of Monsanto common stock, which were converted from Pharmacia shares as described above, held by the Plan’s ESOP component are released for allocation to participant accounts in accordance with the terms of the Plan as interest and principal on the promissory note is paid.
The Plan’s ESOP debt was again restructured and refinanced in December 2004, (the “2004 refinancing”) with a single promissory note to Monsanto, payable in the principal amount of $19.2 million, bearing interest at the rate of 4.60% per annum, and having a maturity date of Dec. 31, 2012, (the “4.60% Note”). The terms of the restructuring were determined pursuant to an arm’s length negotiation between Monsanto and an independent trust company as fiduciary for the Plan. In this role, the independent fiduciary determined that the restructuring, including certain financial commitments and enhancements that were or will be made in the future by Monsanto to benefit participants and beneficiaries of the Plan, including the increased diversification rights described above that were provided to certain participants, was completed in accordance with the best interests of plan participants.
Under the terms of the agreement, Monsanto committed to funding an additional $41 million to the Plan if no additional contributions were made by Dec. 31, 2006, above the number of shares currently scheduled for release under the restructured debt schedule. In December 2006, Monsanto contributed $2 million related to this commitment. As of Dec. 31, 2007, and 2006, the Plan has recorded an employer contribution receivable of $42 million and $39 million, respectively, and a deferred employer contribution of $42 million and $39 million, respectively, related to the agreement. The employer contribution receivable and deferred employer contribution have increased because of the accretion as defined in the agreement.
As of Dec. 31, 2007, the 4.60% Note had an outstanding principal balance of $9.5 million. Scheduled maturities on the 4.60% Note are $2,711 in 2008, $2,750 in 2009, $2,803 in 2010, and $1,261 in 2011 (all in thousands). Interest on the 4.60% Note is payable annually on December 31 of each year. The borrowing is collateralized by the unallocated shares of stock. The minimum number of shares allocated to participant accounts under the ESOP in a given year is determined by the Plan’s net debt service (principal and interest) during that year relative to the total amount of the Plan’s remaining debt service as of the beginning of that year. The 2004 refinancing resulted in a decrease in the minimum number of shares to be allocated in 2007 when compared with allocations that would have previously been required. The reduction of shares allocated in 2007 will result in more shares allocated to participants each year from 2008 through 2012.
The Plan obtains the funds to repay the ESOP debt to Monsanto primarily through Company contributions and dividends paid on Monsanto common stock held in the ESOP. In the year ended Dec. 31, 2007, the Plan paid the ESOP debt payments solely through the use of dividends paid on Monsanto common stock held in the ESOP suspense account and the Monsanto Employer Stock Fund. Effective July 1, 2007, Monsanto amended the Plan to provide participants the option to elect to receive dividends in cash (dividend pass-through). While the ESOP debt is repaid annually, shares of

6


 

MONSANTO SAVINGS AND INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS (continued)
YEAR ENDED DEC. 31, 2007
 
Monsanto stock are released for allocation to participant accounts throughout the year. In the year ended Dec. 31, 2007, the Plan’s repayment of ESOP debt resulted in the release of approximately 938,000 equivalent shares of Monsanto stock for allocation to participant accounts. As of Dec. 31, 2007, and 2006, approximately three million shares and four million shares, respectively, of Monsanto stock remained unallocated with an approximate market value of $339 million and $208 million, respectively.
VOTING RIGHTS
Participants have the right to instruct the Plan’s trustee how to vote the shares of Monsanto stock in their accounts. The Trustee will vote the unallocated shares in the same proportion as the allocated shares on which they receive voting instructions from participants.
PARTICIPANT LOANS
Most Plan participants can obtain loans from their accounts. A participant with a Plan account balance of over $2,000 may borrow up to the lesser of 50 percent of the total vested account balance less any outstanding loan balances at the time of the loan, $50,000 minus the participant’s highest outstanding loan balances during the last year, or 100 percent of his or her employee account value excluding the employer portion and any outstanding loan balances at the time of the loan. The minimum loan is $1,000, and the maximum number of outstanding loans at any one time is two.
In 2005, the Monsanto SIP was amended to allow eligible participants affected by Hurricane Katrina to obtain a loan with certain features. In the event an eligible affected participant elected to receive a loan at any time between the effective date and Dec. 31, 2006, and such loan met certain required parameters, the participant could have established a repayment schedule for a period not to exceed 180 months.
PAYMENT OF BENEFITS
On termination of service due to death, disability, or retirement, a participant may elect to receive either a lump-sum amount equal to the value of the participant’s vested interest in his or her account, or annual installments over a certain number of years. If employment is terminated before age 70 1/2, participants can elect to defer receiving benefits if their vested account balance is greater than $5,000.
FORFEITED ACCOUNTS
At Dec. 31, 2007, and 2006, forfeited nonvested accounts totaled $5 million and $2.8 million, respectively. These accounts will be used to reduce future employer contributions and administrative expenses. During the year ended Dec. 31, 2007, administrative expenses were reduced by $986 thousand from forfeited nonvested accounts. As described above, the Monsanto Employee Benefits Plans Committee determined that the forfeited nonvested accounts as of Dec. 31, 2007, were used to fund the 2007 QNEC in May 2008.
OTHER
Monsanto acquired Delta and Pine Land Company in June 2007. Effective August 2007, eligible employees of Delta and Pine Land Company became eligible to participate in the Plan. The assets of the Delta and Pine Land Company Savings Plan were transferred into the Plan on Dec. 31, 2007.
Monsanto acquired Seminis, Inc. (Seminis) in March 2005. Effective Jan. 1, 2006, eligible employees of Seminis became eligible to participate in the Plan. The Company has not yet determined when the assets of the Seminis Vegetable Seeds Retirement Plan that were allocated to the transferred individuals will be transferred to the Plan.
NOTE 2. SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
 
The accompanying financial statements of the Plan have been prepared on the accrual basis of accounting.
The preparation of financial statements in conformity with accounting principles generally accepted in the United States of America requires management to make estimates and assumptions that affect the reported amounts of assets and

7


 

MONSANTO SAVINGS AND INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS (continued)
YEAR ENDED DEC. 31, 2007

 
liabilities, disclosure of contingent liabilities at the date of the financial statements and reported amounts of increases and decreases during the reporting period. Actual results could differ from those estimates.
INVESTMENT VALUATION AND INCOME RECOGNITION
The Plan’s investments are stated at fair value. Common stock is valued at quoted market prices. The common collective investment trust funds are stated at fair value as determined by the issuer based on the fair market value of the underlying investments. When available, fair value is determined by quoted market prices. Amounts for securities that have no quoted market price represent estimated fair value. Debt securities are generally valued based on yields currently available on comparable securities of issuers with similar credit ratings. Participant loans are valued at the outstanding loan balances.
The fixed income fund is invested in synthetic guaranteed investment contracts, as described in Note 4. In accordance with Financial Accounting Standards Board Staff Position, FSP AAG INV-1 and Statement of Position 94-4-1, Reporting of Fully Benefit-Responsive Contracts Held by Certain Investment Companies Subject to the AICPA Investment Company Guide and Defined-Contribution Health and Welfare and Pension Plans (the “FSP”), the statements of net assets available for benefits present the synthetic investment contracts at fair value, as well as an additional line item showing an adjustment of fully benefit-responsive investment contracts from fair value to contract value. The statement of changes in net assets available for benefits is presented on a contract value basis and is not affected by the FSP.
Purchases and sales of securities are recorded on a trade-date basis. Dividend income is recorded on the ex-dividend date. Realized gains and losses from security transactions are reported on the average cost method. In the Statement of Changes in Net Assets Available for Benefits, the Plan presents the net appreciation in the fair value of its investments, which consists of the realized gains and losses and the unrealized appreciation on these investments.
The Plan uses certain financial derivative instruments to hedge, acquire or change equity, currency or fixed income positions/durations in the portfolio. However, the Plan’s guidelines do not allow for derivatives to be used to leverage portfolio exposure. All derivatives are recognized in the statement of net assets available for benefits at fair value. Changes in fair value of a derivative are recorded currently in the statement of changes in net assets as net appreciation in fair value of investments.
The Plan invests in various types of mortgage-backed fixed income securities, the market values of which are based upon a variety of factors. These include, but are not limited to: the amount and timing of cash flows from interest and principal payments, underlying property collateral values and levels, expected principal prepayments, delinquency/default rates, and issuer credit ratings. As with any fixed income security, mortgage-backed security market values are sensitive to fluctuations in prevailing interest rates.
The Plan pays certain outside service provider expenses (e.g. recordkeeping and trustee fees) incurred in the operation of the Plan. Certain investment manager fees are paid by the Plan and are included in Administrative Expenses. Certain other expenses are paid by Monsanto.
NEW ACCOUNTING STANDARDS
In March 2008, the Financial Accounting Standards Board (FASB) issued Statement of Financial Accounting Standards (SFAS) Statement No. 161, Disclosures About Derivative Instruments and Hedging Activities an amendment of FASB Statement No. 133 (SFAS 161). Statement 161 amends certain existing disclosure requirements in Statement 133 and requires new qualitative and quantitative disclosure about an entity’s derivative instruments and hedging activities to be provided for every reporting period (both interim and annual). It is effective for financial statements issued for fiscal years and interim periods beginning after Nov. 15, 2008, with early application encouraged. The Plan is currently evaluating the impact of SFAS 161 on the financial statements.
In February 2007, the FASB issued SFAS No. 159, The Fair Value Option for Financial Assets and Financial Liabilities (SFAS 159). SFAS 159 permits entities to choose to measure many financial instruments and certain other items at fair value. The objective is to improve financial reporting by providing entities with the opportunity to mitigate volatility in reported earnings caused by measuring related assets and liabilities using different measurement techniques. SFAS 159 requires additional disclosures related to the fair value measurements included in the entity’s financial statements. This statement is effective for financial statements issued for fiscal years beginning after Nov. 15, 2007.

8


 

MONSANTO SAVINGS AND INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS (continued)
YEAR ENDED DEC. 31, 2007

 
Accordingly, the Plan will adopt SFAS 159 in 2008. The Plan is currently evaluating the impact of SFAS 159 on the financial statements.
In September 2006, the FASB issued SFAS No. 157, Fair Value Measurements (SFAS 157). SFAS 157 defines fair value, establishes a framework for measuring fair value in generally accepted accounting principles, and expands disclosures about fair value measurements. To the extent required, this statement will be prospectively adopted by the Plan effective Jan. 1, 2008. SFAS 157 is not presently expected to have a material impact on the Plan’s net assets available for benefits or changes therein.
NOTE 3. NONPARTICIPANT-DIRECTED INVESTMENTS
 
All funds in the Plan are participant-directed except as noted below. Common stock — Monsanto Company includes both participant and nonparticipant-directed investments and only the non-participant-directed portion is shown below. Additionally, the Plan’s ESOP debt and related principal and interest payments are nonparticipant-directed. Information about the net assets and the significant components of the changes in net assets relating to the nonparticipant-directed investment amounts in the Plan (as of Dec. 31, 2007, and Dec. 31, 2006, and the year ended Dec. 31, 2007,) is outlined in the table below.
                 
    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  
 
     
NOTE 4. GUARANTEED INVESTMENT CONTRACTS
 
The Fixed Income Fund invests in synthetic guaranteed investment contracts (“synthetic GICs”). A single uniform synthetic GIC was in place on Dec. 31, 2007, and Dec. 31, 2006, with Commonwealth General Corporation, J.P. Morgan Chase Bank and State Street Bank. A synthetic GIC includes underlying fixed income assets which are held by the trustee and owned by the plan, utilizing a benefit-responsive wrapper contract issued by financial services companies. The contract provides that participants execute plan transactions at contract value. Contract value represents contributions made to the fund, plus earnings, less participant withdrawals. The interest rates are reset quarterly based on the current yield of the underlying investments, the duration of the underlying investments and the spread between the market value and contract value, but the rate cannot be less than zero percent. Certain events such as a plan merger could limit

9


 

MONSANTO SAVINGS AND INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS (continued)
YEAR ENDED DEC. 31, 2007

 
the ability of the plan to transact at contract value. Certain events such as plan termination may under certain circumstances allow for the termination of the wrapper contract at less than contract value. The plan sponsor does not believe that any events that may limit the ability of the plan to transact at contract value are probable.
The following summarizes the contract value of the synthetic GICs as of Dec. 31, 2007, and Dec. 31, 2006.
                 
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  
     
The rate of return for the synthetic GICs currently in place generally fluctuates with the return on the underlying assets. The 12-month average yield for such contracts, net of all applicable administrative and investment fees, was 5.06 percent for the period from Jan. 1, 2007, to Dec. 31, 2007. Participant accounts are credited with an interest rate which is determined quarterly by the issuers of the benefit responsive contracts based on the investments in the underlying fixed income portfolio. The annual crediting interest rates as of Dec. 31, 2007, and Dec. 31, 2006 were 5.49 percent and 5.60 percent, respectively.
NOTE 5. INVESTMENTS
 
Investments that represent more than 5% of the net assets available for benefits as of either Dec. 31, 2007, or Dec. 31, 2006, were as follows:
                 
    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  
The Plan participates in a securities lending program through Northern, the Plan’s trustee, whereby the Plan’s investment securities are loaned to broker-dealers for a fee. Securities so loaned are fully collateralized primarily by cash and U.S. government securities. U.S. securities are loaned and collateralized by securities valued at 102 percent of the market value of the securities plus any accrued interest (105 percent for non-U.S. securities). As the market value of the securities loaned changes, the borrower must adjust the collateral accordingly. Northern pools all collateral received from securities lending transactions and invests any cash collateral. The Plan holds a prorated share of the collateral provided to Northern by the borrowers of the securities. Monsanto or the borrower has the right to close the loan at any time. When the loan closes, the borrower returns the securities to Northern who returns the associated collateral to the borrower. The Plan cannot pledge or sell the collateral unless Northern fails to return the securities borrowed. At Dec. 31, 2007, and 2006, approximately $165 million and $169 million, respectively, of the Plan’s securities were on loan under these programs, and collateral held was $170 million and $173 million, respectively. Income from this program was $0.6 million for the year ended Dec. 31, 2007.
NOTE 6. INFORMATION REGARDING TAX STATUS
 
On Oct. 17, 2003, the IRS issued Monsanto a favorable determination letter stating that the Plan as then designed, was qualified for federal income tax purposes in compliance with section 401(a) of the Internal Revenue Code (“IRC”). As required by the IRS procedures, on Jan. 28, 2008, Monsanto filed an application for a new determination letter for the amended and restated Plan. That application is still pending review by the IRS. The Plan administrator and the Plan’s tax

10


 

MONSANTO SAVINGS AND INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS (continued)
YEAR ENDED DEC. 31, 2007

 
counsel believe that the Plan is currently designed and being operated in compliance with the applicable requirements of the IRC. Therefore, no provision for income taxes has been included in the Plan’s financial statements.
NOTE 7. PRIORITIES UPON TERMINATION OF THE PLAN
 
If the Plan is terminated, all participants’ account balances will be fully vested, and all participants would then be entitled to a full distribution of their account balances as more fully described and set forth in the Plan document.
NOTE 8. PARTY-IN-INTEREST INVESTMENTS AND TRANSACTIONS
 
There were no nonexempt prohibited transactions with parties-in-interest during the period from Jan. 1, 2007, to Dec. 31, 2007. As of Dec. 31, 2007, and 2006, the Plan holds $1,509 million and $741 million, respectively, of common stock of Monsanto Company, the sponsoring employer.
Monsanto Company is the holder of the Plan’s ESOP debt.
Certain Plan investments are units of Collective Investment Funds managed by Northern specifically for employee benefit trusts. Northern is also the Plan trustee as defined by the Plan and, therefore, these Collective Investment Funds qualify as exempt party-in-interest investments. Fees for Northern’s investment management services are paid by the Plan as described in Note 2.
NOTE 9. RECONCILIATION OF FINANCIAL STATEMENTS TO FORM 5500
 
The following is a reconciliation of fully benefit-responsive investment contracts stated at fair value per the financial statements to the fully benefit-responsive investment contracts stated at contract value on the Form 5500 as of Dec. 31, 2007, and 2006.
                 
    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  
     
NOTE 10. RISKS AND UNCERTAINTIES
 
The Plan invests in various investment securities. Investment securities are exposed to various risks such as interest rate, market, and credit risks. Due to the level of risk associated with certain investment securities, it is at least reasonably possible that changes in the values of investment securities will occur in the near term and that such changes could materially affect participants’ account balances and the amounts reported in the statement of net assets available for benefits.
*****

11


 

MONSANTO SAVINGS AND INVESTMENT PLAN
EIN 43-1878297
SUPPLEMENTAL SCHEDULE 1

 
Form 5500, Schedule H, Part IV, Line 4i —
Schedule of Assets (Held at End of Year) as of Dec. 31, 2007

12


 

     
5500 Supplemental Schedules
  Account number 7879
31 DEC 07
  Account Name MONSANTO CONSOLIDATED
 
   
 
  Page 94 of 133
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
Security Description / Asset ID   Shares/Par Value     Historical Cost     Current Value  
 
U.S. Government Securities
                       
 
United States — USD
                       
 
FHLMC 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
w   Schedule of Assets Held for Investment Purposes
                         
Security Description / Asset ID   Shares/Par Value     Historical Cost     Current Value  
 
U.S. Government Securities
                       
 
United States — USD
                       
 
                       
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
w   Schedule of Assets Held for Investment Purposes
                         
Security Description / Asset ID   Shares/Par Value     Historical Cost     Current Value  
 
U.S. Government Securities
                       
 
United States — USD
                       
 
                       
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
w   Schedule of Assets Held for Investment Purposes
                         
Security Description / Asset ID   Shares/Par Value     Historical Cost     Current Value  
 
U.S. Government Securities
                       
 
United States — USD
                       
 
                       
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
Security Description / Asset ID   Shares/Par Value     Historical Cost     Current Value  
 
Corporate Debt Instruments — Other
                       
 
United States — USD
                       
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
w   Schedule of Assets Held for Investment Purposes
                         
Security Description / Asset ID   Shares/Par Value     Historical Cost     Current Value  
 
Corporate Debt Instruments — Other
                       
 
United States — USD
                       
 
                       
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
w   Schedule of Assets Held for Investment Purposes
                         
Security Description / Asset ID   Shares/Par Value     Historical Cost     Current Value  
 
Corporate Debt Instruments — Other
                       
 
United States — USD
                       
 
                       
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
Security Description / Asset ID   Shares/Par Value     Historical Cost     Current Value  
 
Corporate Stock — Common
                       
 
United States — USD
                       
 
                       
OCCIDENTAL PETE CORP COM CUSIP: 674599105
    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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
Security Description / Asset ID   Shares/Par Value     Historical Cost     Current Value  
 
Non-Interest Bearing Cash — USD
                       
 
 
                       
USD — United States dollar
    -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
w   Schedule of Assets Held for Investment Purposes
                         
Security Description / Asset ID   Shares/Par Value     Historical Cost     Current Value  
 
U.S. Government Securities
                       
 
United States — USD
                       
 
                       
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
w   Schedule of Assets Held for Investment Purposes
                         
Security Description / Asset ID   Shares/Par Value     Historical Cost     Current Value  
 
U.S. Government Securities
                       
 
United States — USD
                       
 
                       
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
w   Schedule of Assets Held for Investment Purposes
                         
Security Description / Asset ID   Shares/Par Value     Historical Cost     Current Value  
 
U.S. Government Securities
                       
 
United States — USD
                       
 
                       
FHLMC 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
w   Schedule of Assets Held for Investment Purposes
                         
Security Description / Asset ID   Shares/Par Value     Historical Cost     Current Value  
 
U.S. Government Securities
                       
 
United States — USD
                       
 
                       
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
w   Schedule of Assets Held for Investment Purposes
                         
Security Description / Asset ID   Shares/Par Value     Historical Cost     Current Value  
 
U.S. Government Securities
                       
 
United States — USD
                       
 
                       
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
w   Schedule of Assets Held for Investment Purposes
                         
Security Description / Asset ID   Shares/Par Value     Historical Cost     Current Value  
 
U.S. Government Securities
                       
 
United States — USD
                       
 
                       
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
w   Schedule of Assets Held for Investment Purposes
                         
Security Description / Asset ID   Shares/Par Value     Historical Cost     Current Value  
 
U.S. Government Securities
                       
 
United States — USD
                       
 
                       
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
w   Schedule of Assets Held for Investment Purposes
                         
Security Description / Asset ID   Shares/Par Value     Historical Cost     Current Value  
 
U.S. Government Securities
                       
 
United States — USD
                       
 
                       
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
Security Description / Asset ID   Shares/Par Value     Historical Cost     Current Value  
 
Corporate Debt Instruments — Other
                       
 
United States — USD
                       
 
                       
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
w   Schedule of Assets Held for Investment Purposes
                         
Security Description / Asset ID   Shares/Par Value     Historical Cost     Current Value  
 
Corporate Debt Instruments — Other
                       
 
United States — USD
                       
 
                       
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
w   Schedule of Assets Held for Investment Purposes
                         
Security Description / Asset ID   Shares/Par Value     Historical Cost     Current Value  
 
Corporate Debt Instruments — Other
                       
 
United States — USD
                       
 
                       
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
w   Schedule of Assets Held for Investment Purposes
                         
Security Description / Asset ID   Shares/Par Value     Historical Cost     Current Value  
 
Corporate Debt Instruments — Other
                       
 
United States — USD
                       
 
                       
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
w   Schedule of Assets Held for Investment Purposes
                         
Security Description / Asset ID   Shares/Par Value     Historical Cost     Current Value  
 
Corporate Debt Instruments — Other
                       
 
United States — USD
                       
 
                       
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
w   Schedule of Assets Held for Investment Purposes
                         
Security Description / Asset ID   Shares/Par Value     Historical Cost     Current Value  
 
Corporate Debt Instruments — Other
                       
 
United States — USD
                       
 
                       
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
w   Schedule of Assets Held for Investment Purposes
                         
Security Description / Asset ID   Shares/Par Value     Historical Cost     Current Value  
 
Corporate Debt Instruments — Other
                       
 
United States — USD
                       
 
                       
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
w   Schedule of Assets Held for Investment Purposes
                         
Security Description / Asset ID   Shares/Par Value     Historical Cost     Current Value  
 
Value of Interest in Common/Collective Trusts
                       
 
United States — USD
                       
 
                       
COLTV STIF CUSIP: 195997KR1
    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
w   Schedule of Assets Held for Investment Purposes
                         
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
w   Schedule of Assets Held for Investment Purposes
                         
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


 

MONSANTO SAVINGS AND INVESTMENT PLAN
Schedule of Assets Held for Investment Purposes
As of Dec. 31, 2007
(Dollars in thousands)
 
                 
    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


 

MONSANTO SAVINGS AND INVESTMENT PLAN
EIN 43-1878297
SUPPLEMENTAL SCHEDULE 2
 
Form 5500, Schedule H, Part IV, Line 4j —
Schedule of Reportable Transactions for the Year Ended Dec. 31, 2007

80


 

     
5500 Supplemental Schedules
  Account number 7879
1 JAN 07 — 31 DEC 07
  Account Name MONSANTO CONSOLIDATED
 
   
 
  Page 62 of 133
w   5% Report — Part C Summary
Series of Transactions by Issue in Excess of 5%
                                                                 
            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  
NOTE: TRANSACTIONS ARE BASED ON THE VALUE (INCLUDING ACCRUALS) OF 3,198,178,414.55
     
Northern Trust
  Generated by Northern Trust from periodic data on 13 May 08

81


 

SIGNATURE
Pursuant to the requirements of the Securities Exchange Act of 1934, the trustees (or other persons who administer the employee benefit plan) have duly caused this annual report to be signed on its behalf by the undersigned hereunto duly authorized.
         
  MONSANTO SAVINGS AND INVESTMENT PLAN
 
 
  By:   /s/ WILMA K. SCHOPP    
    Wilma K. Schopp, Chairperson of the   
    Monsanto Company Employee Benefits Plan Committee,
Administrator of the Plan 
 
 
June 18, 2008

82


 

EXHIBIT INDEX
     
Exhibit    
Number   Description
 
   
23
  Consent of Independent Registered Public Accounting Firm

83