SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
Form 11-K
x | ANNUAL REPORT PURSUANT TO SECTION 15 (d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
For the year ended December 31, 2011
OR
¨ | TRANSITION REPORT PURSUANT TO SECTION 15 (d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
For the transition period from to
Commission file number 1-4448
A. | Full title of the plan and the address of the plan, if different from that of the issuer named below: |
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
B. | Name of issuer of the securities held pursuant to the plan and the address of its principal executive office: |
Baxter International Inc.
One Baxter Parkway
Deerfield, IL 60015
(847) 948-2000
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Financial Statements and Supplemental Schedule
December 31, 2011 and 2010
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Index
December 31, 2011 and 2010
Page(s) | ||||
1 | ||||
Financial Statements |
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Statements of Net Assets Available for Benefits as of December 31, 2011 and 2010 |
2 | |||
3 | ||||
4-14 | ||||
Supplemental Information |
||||
Schedule H, Line 4i: Schedule of Assets (Held at End of Year) as of December 31, 2011 |
16-70 |
Report of Independent Registered Public Accounting Firm
To the Participants and Administrative Committee of
the Baxter International Inc. and Subsidiaries Incentive Investment Plan
Deerfield, Illinois
We have audited the accompanying statements of net assets available for benefits of the Baxter International Inc. and Subsidiaries Incentive Investment Plan (the Plan) as of December 31, 2011 and 2010, and the related statements of changes in net assets available for benefits for the years then ended. These financial statements are the responsibility of the Plans management. Our responsibility is to express an opinion on these financial statements based on our audits.
We conducted our audits in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements. An audit also includes assessing the accounting principles used and significant estimates made by management, as well as evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.
In our opinion, the financial statements referred to above present fairly, in all material respects, the net assets available for benefits of the Plan as of December 31, 2011 and 2010, and the changes in net assets available for benefits for the years then ended, in conformity with U.S. generally accepted accounting principles.
Our audit was conducted for the purpose of forming an opinion on the basic financial statements taken as a whole. The supplemental Schedule H, Line 4i - Schedule of Assets (Held at End of Year) is presented for the purpose of additional analysis and is not a required part of the basic financial statements but is supplementary information required by the Department of Labors Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. The supplemental schedule is the responsibility of the Plans management. The supplemental schedule has been subjected to the auditing procedures applied in the audit of the basic 2011 financial statements and, in our opinion, is fairly stated in all material respects in relation to the basic 2011 financial statements taken as a whole.
/s/ Crowe Horwath LLP
Oak Brook, Illinois
June 27, 2012
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Statements of Net Assets Available for Benefits
December 31, 2011 and 2010 (in thousands)
2011 | 2010 | |||||||
Assets |
||||||||
Investments |
||||||||
Cash and cash equivalents |
$ | 55,858 | $ | 39,053 | ||||
Common stock (including securities on loan of $1,108 in 2011 and $6,821 in 2010) |
394,301 | 434,918 | ||||||
U.S. government and government agency issues (including securities on loan of $5,336 in 2011 and $4,523 in 2010) |
21,865 | 20,064 | ||||||
Corporate and other obligations (including securities on loan of $7,072 in 2011 and $3,035 in 2010) |
40,242 | 47,640 | ||||||
Commingled funds |
335,027 | 359,352 | ||||||
Registered investment companies |
214,074 | 185,116 | ||||||
Synthetic guaranteed investment contracts (including securities on loan of $214,376 in 2010) |
743,892 | 724,396 | ||||||
Collateral held on loaned securities |
13,782 | 230,444 | ||||||
|
|
|
|
|||||
Total investments at fair value |
1,819,041 | 2,040,983 | ||||||
|
|
|
|
|||||
Receivables |
||||||||
Notes receivables from participants |
40,514 | 39,926 | ||||||
Sponsor contributions |
15,102 | 14,503 | ||||||
Accrued interest and dividends |
1,869 | 1,901 | ||||||
Due from brokers for securities sold |
16 | 875 | ||||||
|
|
|
|
|||||
57,501 | 57,205 | |||||||
|
|
|
|
|||||
Total assets |
1,876,542 | 2,098,188 | ||||||
|
|
|
|
|||||
Liabilities |
||||||||
Accounts payable |
4,295 | 5,611 | ||||||
Due to brokers for securities purchased |
81 | | ||||||
Collateral to be paid on loaned securities |
13,782 | 232,887 | ||||||
|
|
|
|
|||||
Total liabilities |
18,158 | 238,498 | ||||||
|
|
|
|
|||||
Net assets available for benefits, reflecting investments at fair value |
1,858,384 | 1,859,690 | ||||||
Adjustment from fair value to contract value for fully benefit-responsive investment contracts |
(60,432 | ) | (49,603 | ) | ||||
|
|
|
|
|||||
Net assets available for benefits |
$ | 1,797,952 | $ | 1,810,087 | ||||
|
|
|
|
The accompanying notes are an integral part of these financial statements.
2
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Statements of Changes in Net Assets Available for Benefits
For the Years Ended December 31, 2011 and 2010 (in thousands)
2011 | 2010 | |||||||
Additions (reductions) to net assets attributed to |
||||||||
Investment income |
||||||||
Net (depreciation) appreciation in fair value of investments |
$ | (39,315 | ) | $ | 80,309 | |||
Interest |
30,742 | 33,469 | ||||||
Dividends |
12,405 | 10,717 | ||||||
|
|
|
|
|||||
Net investment income |
3,832 | 124,495 | ||||||
|
|
|
|
|||||
Participant loan interest |
1,811 | 1,999 | ||||||
Contributions |
||||||||
Sponsor |
53,357 | 53,270 | ||||||
Participant |
84,207 | 88,683 | ||||||
|
|
|
|
|||||
137,564 | 141,953 | |||||||
|
|
|
|
|||||
Net additions |
143,207 | 268,447 | ||||||
|
|
|
|
|||||
Deductions from net assets attributed to |
||||||||
Benefits paid |
148,773 | 118,199 | ||||||
Plan expenses |
6,569 | 5,610 | ||||||
|
|
|
|
|||||
Total deductions |
155,342 | 123,809 | ||||||
|
|
|
|
|||||
Net (decrease) increase |
(12,135 | ) | 144,638 | |||||
Net assets available for benefits |
||||||||
Beginning of year |
1,810,087 | 1,665,449 | ||||||
|
|
|
|
|||||
End of year |
$ | 1,797,952 | $ | 1,810,087 | ||||
|
|
|
|
The accompanying notes are an integral part of these financial statements.
3
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Notes to Financial Statements
December 31, 2011 and 2010
1. | General Description of the Plan |
The following description of the Baxter International Inc. and Subsidiaries Incentive Investment Plan (the Plan) is provided for general information purposes only. Participants should refer to the Plan document and summary plan description for more complete information. The Plan is subject to the provisions of the Employee Retirement Income Security Act of 1974 (ERISA).
The Plan allows tax deferred contributions in compliance with Section 401(k) of the Internal Revenue Code. Eligible participants may make pre-tax contributions of up to 50% of their eligible annual compensation within certain limitations. Newly hired employees are deemed to have elected to contribute 3% of compensation (increased by 1% per year to a total of 6%) unless they make a contrary election. The Plan sponsor, Baxter International Inc. (Baxter or the Company), matches participant contributions up to a maximum of 3.5% of the employees compensation. Participant contributions and Plan sponsor matching contributions are fully vested and nonforfeitable at all times. The Company also contributes an additional non-matching 3% of compensation for employees that are not eligible to participate in the Companys U.S. qualified defined benefit pension plan, which includes all new employees hired on or after January 1, 2007, and employees who had less than five years of service on January 1, 2007 and who elected to cease earning additional service in the pension plan and participate in the higher level of Company contributions in the Plan. The additional non-matching contribution becomes fully vested after three years of service. Forfeitures of nonvested accounts are used to reduce future employer contributions.
Participants may borrow up to the lesser of $50,000 or 50% of their vested account balance. The loans are secured by the balance in the participants account and bear interest at variable rates as outlined in the Plan agreement. The loans are reported at their unpaid principal balance plus any accrued but unpaid interest, with no allowance for credit losses, as repayments of principal and interest are received through payroll deductions and the notes are collateralized by the participants account balances.
Participants or their beneficiaries may elect lump-sum benefit payments, or benefits may be paid in installments. Shares of Baxter common stock may also be distributed in kind at the participants election. Subject to certain provisions specified in the Plan agreement, employed participants may withdraw their pre-tax contributions, matching contributions made prior to 2008, vested non-matching contributions and related earnings in cases of financial hardship and in certain other circumstances. In the case of a participant termination of death or disability, the entire vested amount is paid to the person or persons legally entitled thereto.
Each participants account is credited with the participants contributions and an allocation of the Companys contributions and Plan earnings, and is charged with his or her withdrawals and an allocation of Plan-related expenses. Allocations are based on participant earnings or account balances, as defined in the Plan document. The net income of the Plan is posted to the participants accounts on a daily basis. Each participant directs the investment of his or her account to any of the investment options available under the Plan.
Upon enrollment in the Plan, a participant may direct contributions to any of 18 investment options: Stable Income Fund, Baxter Common Stock Fund, Composite Fund, General Equity Fund, S&P 500 Flagship Fund, International EAFE Equity Index Fund, Small Cap Fund, ten different Target Retirement Funds and the Self-Managed Fund. However, non-matching contributions may not be invested in the Baxter Common Stock Fund. In addition, certain participants may maintain shares received in connection with Baxters 1996 spin-off of Allegiance Corporation (Allegiance), which were subsequently converted into common shares of Cardinal Health Inc. (Cardinal) upon Cardinals acquisition of Allegiance in 1999. These shares are maintained in the Cardinal Health Common Stock Fund. Additionally, certain participants maintain shares in Edwards Lifesciences Corporation. These shares were placed into the Edwards Lifesciences Common Stock Fund in connection with Baxters 2000 spin-off of its cardiovascular business. Participants are not able to make contributions or transfer existing account balances to the Cardinal Health Common Stock Fund or the Edwards Lifesciences Common Stock Fund, but may make transfers out of these funds at any time.
4
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Notes to Financial Statements
December 31, 2011 and 2010
2. | Summary of Significant Accounting Policies |
Basis of Accounting
The accompanying financial statements of the Plan have been prepared on the accrual basis of accounting. Accordingly, investment income is recognized when earned and expenses are recognized when incurred.
New Accounting Standards
In January 2010, the Financial Accounting Standards Board issued a new accounting standard effective for reporting periods beginning after December 15, 2010, which required an entity to separately present information related to purchases, sales, issuances and settlements in the reconciliation of fair value measurements classified as Level 3. The plan did not have any activity related to purchases, sales, issuances or settlements for fair value measurements classified as Level 3.
Valuation of Investments and Collateral
The fair value of Plan investments and collateral is determined as follows:
Cash and cash equivalents |
These largely consist of a short-term investment fund and a money market fund, the fair value of which is based on the net asset value. The investment objectives for these funds are to provide safety for principal, daily liquidity and a competitive yield by investing in high quality instruments. | |
Common stock |
Value based on closing prices on the valuation date in an active market on national securities exchanges. | |
U.S. government and government agency issues |
Value based on reputable pricing vendors that typically use pricing matrices or models. | |
Corporate and other obligations |
Value based on reputable pricing vendors that typically use pricing matrices or models. | |
Commingled funds |
Value based on net asset values reported by the fund managers as of the Plans financial statement dates and recent transaction prices. The investment objectives of these funds are to track the performances of the S&P 500 (S&P 500 Flagship Fund); Europe, Australasia and the Far East (EAFE) (International EAFE Equity Index Fund); or Russell 2000 (Small Cap Fund) indexes. The underlying investments vary, with some holding diversified portfolios of domestic stocks and government agency bonds, and others holding collective investment funds. Each fund provides for daily redemptions by the Plan at reported net asset values per share, with no advance notice requirement. Refer to Note 6 for amounts invested in each of these funds. |
5
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Notes to Financial Statements
December 31, 2011 and 2010
Registered investment companies |
Value based upon the closing price from a national security exchange on the valuation date. | |
Synthetic guaranteed investment contracts |
Value based on the fair value of the underlying securities in the contract on the valuation date plus the fair value of wrapper contracts, which is calculated using a replacement cost approach. The underlying securities are valued based upon the methodologies described above. See below for more information. | |
Collateral held on loaned securities |
Value based upon the net asset value per unit of the short-term investment funds where the collateral is invested. Refer to Note 7 for more information on the securities lending program. | |
Collateral to be paid on loaned securities |
Value based on the fair value of the underlying securities loaned on the valuation date, plus an incremental margin. |
Income Recognition
Plan investment return includes dividend and interest income, gains and losses on sales of investments and unrealized depreciation or appreciation of investments. Purchases and sales of investments are recorded on a trade date basis. Dividends are recorded on the ex-dividend date. Interest is earned on an accrual basis.
The financial statements reflect the net depreciation or appreciation in the fair value of the Plans investments. This net depreciation or appreciation consists of realized gains and losses calculated as the difference between proceeds from a sales transaction and cost determined on a moving average basis, and unrealized gains and losses calculated as the change in the fair value between beginning of the year (or purchase date if later) and the end of the year.
Synthetic Guaranteed Investment Contracts
The Plan holds synthetic guaranteed investment contracts (GICs) as part of the Stable Income Fund. The synthetic GICs provide for a fixed return on principal over a specified time through fully benefit-responsive contracts issued by Aegon Institutional Markets and Bank of America N.A. The portfolio of assets, overall of investment grade, underlying the synthetic GICs primarily includes cash and cash equivalents, U.S. government and government agency issues, and corporate and other obligations.
The fair value of the synthetic GICs equals the total of the fair value of the underlying assets plus the fair value of the wrapper contracts. The fair value of the wrapper contracts is computed using a replacement cost approach that incorporates a comparison of the current fee rate on similar wrapper contracts to the fee being paid by the Plan. Using this approach, the fair values of the wrapper contracts were a loss of $343,018 and a gain of $1.6 million at December 31, 2011 and 2010, respectively.
While Plan investments are presented at fair value in the Statements of Net Assets Available for Benefits, any material difference between the fair value of the Plans direct and indirect interests in fully benefit-responsive investment contracts and their contract value is presented as an adjustment line in the Statements of Net Assets Available for Benefits, because contract value is the relevant measurement attribute for that portion of the Plans net assets available for benefits. Contract value represents contributions, plus earnings, less participant withdrawals and administrative expenses. The wrapper contracts used by the Plan are fully benefit-responsive because the wrapper contract issuers are contractually obligated to make up any shortfall in the event that the underlying asset portfolio has been liquidated and is inadequate to cover participant withdrawals and transfers
6
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Notes to Financial Statements
December 31, 2011 and 2010
at contract value. There are currently no reserves against contract values for credit risk of the contract issuers or any other risk. The contract value for the synthetic GICs was $683.5 million and $674.8 million at December 31, 2011 and 2010, respectively.
The crediting interest rate, which is reset quarterly, can never fall below zero. The crediting rate formula smoothes the impact of interest rate changes on participant returns by amortizing any difference between market value and book value over a period of years equal to the duration of the portfolio benchmark. The average yield on the synthetic GICs was approximately 2.9% and 3.5% at December 31, 2011 and 2010, respectively. The average interest rate credited to participants on the synthetic GICs was approximately 3.7% and 4.1% for the years ended December 31, 2011 and 2010. The credit ratings for Aegon Institutional Markets were AA- at both December 31, 2011 and 2010, and the credit ratings for Bank of America N.A. were A and A+ at December 31, 2011 and 2010, respectively.
Events that lead to market value withdrawals that exceed 20 percent of the contract value would limit the ability of the Plan to transact at contract value with participants. These events include restructurings, early retirement plans, divestitures, bankruptcies, or legal, tax or regulatory changes. The Plan sponsor believes that the occurrence of any such event is remote.
The wrapper providers can only terminate at a value different than contract value under an event of default (that was not remedied) such as failure to follow the terms of the contract. If a wrapper provider would like to exit the contract for another reason, the Plan can maintain the contract through an extended termination process designed to ensure continued benefit-responsive treatment for withdrawals.
Payment of Benefits
Benefits are recorded when paid.
Use of Estimates
The preparation of financial statements in conformity with generally accepted accounting principles in the United States requires management to make estimates and assumptions that affect the amounts reported in the financial statements and related notes to the financial statements. Changes in such estimates may affect amounts reported in future periods.
Other
Due from or due to brokers for securities sold or purchased, respectively, represent the net cash value of security trades initiated but not yet settled at each respective year-end.
Risks and Uncertainties
The Plan provides for various investment options which invest in any combination of registered investment companies, U.S. government and government agency issues, corporate and other obligations, common stock, commingled funds, synthetic guaranteed investment contracts and short-term investments. Investment securities are exposed to various risks, such as interest rate, market, liquidity and credit risks. Due to the level of risk associated with certain investment securities and the level of uncertainty related to changes in the value of investment securities, it is at least reasonably possible that changes in risks in the near term could materially affect participants account balances and the amounts reported in the Statements of Net Assets Available for Benefits and the Statements of Changes in Net Assets Available for Benefits. Individual participants accounts bear the risk of loss resulting from fluctuations in investment values.
Investments underlying the Plans synthetic GICs include securities with contractual cash flows, such as asset-backed securities, collateralized mortgage obligations and commercial mortgage-backed securities, including securities backed by subprime mortgage loans. The value, liquidity and related income of these securities are sensitive to changes in economic conditions, including real estate values, delinquencies and/or defaults and may be adversely affected by shifts in the markets perception of the issuers and changes in interest rates.
7
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Notes to Financial Statements
December 31, 2011 and 2010
3. | Eligibility Requirements |
Employees become eligible to participate in the Plan as of the first day of the month following the completion of thirty days of employment. Eligible employees are those who meet the following requirements:
A. | U.S. employees of Baxter or its subsidiaries which have adopted the Plan; |
B. | U.S. employees not covered by a collective bargaining agreement unless the agreement provides for coverage under the Plan; and |
C. | U.S. employees who are not leased employees. |
4. | Administration of the Plan |
State Street Bank and Trust Company (the Trustee) serves as trustee and ING Institutional Plan Services, LLC serves as recordkeeper for the Plan.
The Administrative Committee administers the Plan. The Investment Committee has authority, responsibility and control over the management of the assets of the Plan. Members of both committees are appointed by the Board of Directors of Baxter and are employees of Baxter.
Substantially all investment manager, trustee and administrative fees incurred in the administration of the Plan were paid from the assets of the Plan.
5. | Fair Value Measurements |
The fair value hierarchy under the accounting standard for fair value measurements consists of the following three levels:
| Level 1 - Quoted prices in active markets that the Plan has the ability to access for identical assets or liabilities; |
| Level 2 - Quoted prices for similar instruments in active markets, quoted prices for identical or similar instruments in markets that are not active, and model-based valuations in which all significant inputs are observable in the market; and |
| Level 3 - Valuations using significant inputs that are unobservable in the market and include the use of judgment by the Plans management about the assumptions market participants would use in pricing the asset or liability. |
8
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Notes to Financial Statements
December 31, 2011 and 2010
The following tables summarize the bases used to measure the Plans financial instruments and liabilities that are carried at fair value on a recurring basis.
Basis of Fair Value Measurement | ||||||||||||||||
Balance at December 31, 2011 |
Quoted Prices in Active (Level 1) |
Significant (Level 2) |
Significant (Level 3) |
|||||||||||||
(in thousands) | ||||||||||||||||
Assets |
||||||||||||||||
Cash and cash equivalents |
$ | 55,858 | $ | | $ | 55,858 | $ | | ||||||||
Common stock: |
||||||||||||||||
Healthcare |
201,587 | 201,587 | | | ||||||||||||
Consumer products |
55,827 | 55,827 | | | ||||||||||||
Information technology |
47,938 | 47,938 | | | ||||||||||||
Financial services |
21,838 | 21,838 | | | ||||||||||||
Industrial services and materials |
20,624 | 20,624 | | | ||||||||||||
Energy |
16,602 | 16,602 | | | ||||||||||||
Other |
29,885 | 29,885 | | | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Total common stock |
394,301 | 394,301 | | | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||
U.S. government and government agency issues |
21,865 | | 21,865 | | ||||||||||||
Corporate and other obligations |
40,242 | | 40,242 | | ||||||||||||
Commingled funds |
335,027 | | 335,027 | | ||||||||||||
Registered investment companies: |
||||||||||||||||
Target retirement funds |
199,777 | 199,777 | | | ||||||||||||
Self-managed funds |
11,830 | 11,830 | | | ||||||||||||
Other |
2,467 | 2,467 | | | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Total registered investment companies |
214,074 | 214,074 | | | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Synthetic guaranteed investment contracts: |
||||||||||||||||
Corporate and other obligations |
257,547 | | 257,547 | | ||||||||||||
U.S. government and government agency issues |
463,348 | | 463,348 | | ||||||||||||
Cash and cash equivalents |
23,347 | 17 | 23,330 | | ||||||||||||
Wrapper contracts |
(343 | ) | | | (343 | ) | ||||||||||
Other |
(7 | ) | | (7 | ) | | ||||||||||
|
|
|
|
|
|
|
|
|||||||||
Total synthetic guaranteed investment contracts |
743,892 | 17 | 744,218 | (343 | ) | |||||||||||
|
|
|
|
|
|
|
|
|||||||||
Collateral held on loaned securities |
13,782 | | 13,782 | | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Total assets |
$ | 1,819,041 | $ | 608,392 | $ | 1,210,992 | $ | (343 | ) | |||||||
|
|
|
|
|
|
|
|
|||||||||
Liability |
||||||||||||||||
Collateral to be paid on loaned securities |
$ | 13,782 | $ | 1,135 | $ | 12,647 | $ | | ||||||||
|
|
|
|
|
|
|
|
9
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Notes to Financial Statements
December 31, 2011 and 2010
Basis of Fair Value Measurement | ||||||||||||||||
Balance at December 31, 2010 |
Quoted Prices in Active (Level 1) |
Significant (Level 2) |
Significant (Level 3) |
|||||||||||||
(in thousands) | ||||||||||||||||
Assets |
||||||||||||||||
Cash and cash equivalents |
$ | 39,053 | $ | | $ | 39,053 | $ | | ||||||||
Common stock: |
||||||||||||||||
Healthcare |
211,669 | 211,669 | | | ||||||||||||
Consumer products |
48,708 | 48,708 | | | ||||||||||||
Information technology |
46,526 | 46,526 | | | ||||||||||||
Financial services |
33,235 | 33,235 | | | ||||||||||||
Industrial services and materials |
35,358 | 35,358 | | | ||||||||||||
Energy |
28,737 | 28,737 | | | ||||||||||||
Other |
30,685 | 30,685 | | | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Total common stock |
434,918 | 434,918 | | | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||
U.S. government and government agency issues |
20,064 | | 20,064 | | ||||||||||||
Corporate and other obligations |
47,640 | | 47,640 | | ||||||||||||
Commingled funds |
359,352 | | 359,352 | | ||||||||||||
Registered investment companies: |
||||||||||||||||
Target retirement funds |
172,137 | 172,137 | | | ||||||||||||
Self-managed funds |
12,979 | 12,979 | | | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Total registered investment companies |
185,116 | 185,116 | | | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Synthetic guaranteed investment contracts: |
||||||||||||||||
Corporate and other obligations |
264,682 | | 264,682 | | ||||||||||||
U.S. government and government agency issues |
436,962 | | 436,962 | | ||||||||||||
Cash and cash equivalents |
21,120 | | 21,120 | | ||||||||||||
Wrapper contracts |
1,634 | | | 1,634 | ||||||||||||
Other |
(2 | ) | | (2 | ) | | ||||||||||
|
|
|
|
|
|
|
|
|||||||||
Total synthetic guaranteed investment contracts |
724,396 | | 722,762 | 1,634 | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Collateral held on loaned securities |
230,444 | | 230,444 | | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||
Total assets |
$ | 2,040,983 | $ | 620,034 | $ | 1,419,315 | $ | 1,634 | ||||||||
|
|
|
|
|
|
|
|
|||||||||
Liability |
||||||||||||||||
Collateral to be paid on loaned securities |
$ | 232,887 | $ | 6,929 | $ | 225,958 | $ | | ||||||||
|
|
|
|
|
|
|
|
There were no transfers from Level 1 to Level 2 investments in 2011 or 2010.
10
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Notes to Financial Statements
December 31, 2011 and 2010
The following table sets forth a summary of changes in the fair values of the Plans level 3 financial instruments.
(in thousands) | Wrapper Contracts |
|||
Balance at December 31, 2009 |
$ | 1,668 | ||
Unrealized losses (relating to assets held at end of year) |
(34 | ) | ||
|
|
|||
Balance at December 31, 2010 |
1,634 | |||
|
|
|||
Unrealized losses (relating to assets held at end of year) |
(1,977 | ) | ||
|
|
|||
Balance at December 31, 2011 |
$ | (343 | ) | |
|
|
The net unrealized losses from the wrapper contracts are excluded from the net (depreciation) appreciation reported for the plan, but instead are reflected in the change in the adjustment from fair value to contract value for fully benefit responsive contracts reported on the statements of net assets available for benefits.
See Valuation of Investments and Collateral in Note 2 above for a discussion of the methodologies used to determine the fair values of the Plans investments and collateral. These methods may produce a fair value calculation that may not be indicative of net realizable value or reflective of future fair values. Furthermore, while the Plan believes its valuation methods are appropriate and consistent with other market participants, the use of different methodologies or assumptions to determine the fair value of certain financial instruments could result in a different fair value measurement at the reporting date.
6. | Investments |
Investments representing five percent or more of the Plans net assets available for benefits at December 31, 2011 and 2010 are summarized as follows:
(in thousands, except per share data) | 2011 | 2010 | ||||||
Baxter common stock, 2,921,806 shares and 3,077,924 shares at December 31, 2011 and 2010, respectively |
$ | 144,571 | $ | 155,805 | ||||
State Street Global Advisors (SSgA) S&P 500 Flagship Fund |
173,817 | 176,772 | ||||||
SSgA International EAFE Equity Index Fund |
* | 94,567 | ||||||
Baxter International Savings Trust Separate Account (Collateral held on loaned securities) |
* | 215,921 |
* | Does not meet 5% threshold. |
11
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Notes to Financial Statements
December 31, 2011 and 2010
Investments as of December 31, 2011 and 2010 are segregated into various investment fund options as follows:
2011 | 2010 | |||||||
(in thousands) | ||||||||
Cash (available for investment) |
$ | 6,861 | $ | 6,637 | ||||
Stable Income Fund |
775,335 | 737,052 | ||||||
Baxter Common Stock Fund |
144,639 | 157,521 | ||||||
Composite Fund |
140,853 | 150,741 | ||||||
General Equity Fund |
137,841 | 154,195 | ||||||
Cardinal Health Common Stock Fund |
5,243 | 5,308 | ||||||
SSgA S&P 500 Flagship Fund |
173,954 | 177,001 | ||||||
SSgA International EAFE Equity Index Fund |
80,053 | 94,603 | ||||||
Edwards Lifesciences Common Stock Fund |
17,747 | 22,526 | ||||||
SSgA Small Cap Fund |
81,274 | 88,103 | ||||||
Self-Managed Fund |
41,682 | 44,715 | ||||||
Target Retirement Funds |
199,777 | 172,137 | ||||||
Collateral held on loaned securities |
13,782 | 230,444 | ||||||
|
|
|
|
|||||
Total investments at fair value |
1,819,041 | 2,040,983 | ||||||
Adjustment from fair value to contract value for Stable Income Fund |
(60,432 | ) | (49,603 | ) | ||||
|
|
|
|
|||||
Total investments |
$ | 1,758,609 | $ | 1,991,380 | ||||
|
|
|
|
Net (depreciation) appreciation in fair value for each significant class of investment, which includes realized and unrealized gains and losses, is as follows:
2011 | 2010 | |||||||
(in thousands) | ||||||||
Baxter common stock |
$ | (1,295 | ) | $ | (22,002 | ) | ||
Other common stock |
(22,315 | ) | 34,999 | |||||
U.S. government and government agency issues |
1,154 | 205 | ||||||
Corporate and other obligations |
1,031 | 2,549 | ||||||
Commingled funds |
(11,490 | ) | 45,909 | |||||
Registered investment companies |
(7,314 | ) | 17,535 | |||||
Collateral held on loaned securities |
914 | 1,114 | ||||||
|
|
|
|
|||||
$ | (39,315 | ) | $ | 80,309 | ||||
|
|
|
|
7. | Securities Lending Transactions |
The Plan participates in a securities lending program with the Trustee. The program allows the Trustee to loan securities, which are assets of the Plan, to approved brokers (the Borrowers).
The Trustee requires the Borrowers, pursuant to a security loan agreement, to deliver collateral to secure each loan in an amount that is at least equal to the fair value of the securities loaned. The Plan bears the risk of loss with respect to any unfavorable change in fair value of the invested cash collateral. However, the Borrower bears the risk of loss related to the decrease in the fair value of the non-cash collateral and, therefore, would have to deliver additional securities to maintain the required collateral. In the event of default by the Borrower, the Trustee shall indemnify the Plan by purchasing replacement securities equal to the number of unreturned loaned securities or, if replacement securities are not able to be purchased, the Trustee shall credit the Plan for the market value of the unreturned securities. In each case, the Trustee would apply the proceeds from the collateral for such a loan to make the Plan whole.
12
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Notes to Financial Statements
December 31, 2011 and 2010
The fair value of the investment of cash collateral received pursuant to securities lending transactions is reflected on the Statements of Net Assets Available for Benefits as an asset and the obligation to return the amount received is reflected as a liability.
As of December 31, 2010, the Plan had securities on loan with a fair market value of $228.8 million, with cash collateral received of $232.9 million, which was reflected at its fair value of $230.4 million. During 2010, $218.4 million was redeemed from the State Street Quality D Short-Term Investment Fund and held in a separate fund (Baxter International Savings Trust Separate Account) for liquidation due to an agreement between the Plan and the Trustee to terminate the securities lending program for the securities within the Stable Income Fund. As of December 31, 2010, the net asset value of the Baxter International Savings Trust Separate Account was $0.9929. As a result of the liquidation of this fund in 2011, a realized gain of $913,841 is reflected in the 2011 Statement of Changes in Net Assets Available for Benefits. As of December 31, 2011, the Plan had securities on loan with a fair market value of $13.5 million with cash collateral received of $13.8 million, which was invested in the State Street Quality D Short-Term Investment Fund. Investments underlying this fund primarily consisted of cash and cash equivalents and asset-backed securities and as of December 31, 2011, the net asset value of this fund was approximately $1.00 per unit. As of December 31, 2011 the cash collateral received is reflected at its fair value of $13.8 million in the 2011 Statements of Net Assets Available for Benefits.
Non-cash collateral of $2.0 million and $6.7 million received for securities on loan at December 31, 2011 and 2010, respectively, consisted of U.S. government and government agency issues held by the Trustee on behalf of the Plan. Non-cash collateral is not included with the collateral balance on the 2011 and 2010 Statement of Net Assets Available for Benefits because it may not be sold or repledged. A portion of the income generated upon investment of cash collateral is remitted to the Borrowers, and the remainder is allocated between the Plan and the Trustee in its capacity as a security agent. Securities lending income allocated to the Plan amounted to $57,249 and $424,446 for 2011 and 2010, respectively. Securities lending income is classified as interest income in the Statements of Changes in Net Assets Available for Benefits.
8. | Plan Termination |
Although it has not expressed any intent to do so, the Plan sponsor has the right under the Plan to reduce, suspend or discontinue its contributions at any time and to terminate the Plan subject to the provisions of the ERISA. In the event the Plan terminates, the interest of each participating employee in the Plan shall become fully vested and such termination of the Plan would not reduce the interest of any participating employee or their beneficiaries accrued under the Plan up to the date of such termination.
9. | Tax Status of the Plan |
The Internal Revenue Service (IRS) has determined and informed the Plan sponsor by a letter dated July 19, 2006 that the Plan is designed in accordance with applicable sections of the Internal Revenue Code (the IRC). The Plan has been amended since the date of the determination letter. The Plan sponsor believes that the Plan is currently designed and being operated in compliance with the applicable requirements of the IRC. Therefore, no provision for income taxes has been included in the Plans financial statements. The Plan has requested from the IRS an updated determination letter, but has not yet received it as of the date of this report.
13
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Notes to Financial Statements
December 31, 2011 and 2010
10. | Related Parties |
Parties-in-interest are defined under Department of Labor regulations as any fiduciary of the Plan, any party rendering service to the Plan, the employer, and certain others.
At December 31, 2011 and 2010, the Plan held units of participation in certain commingled funds, shares of common stock, units of registered investment companies, and short-term investment funds of State Street Bank and Trust Company, the Plan trustee; shares of common stock and bonds of Baxter, the Plan sponsor; loans with participants; units of registered investment companies managed by Pacific Investment Management Company, an investment manager for the Plan; shares of common stock and units of registered investment companies managed by AllianceBernstein, an investment manager for the Plan; units of registered investment companies managed by Loomis Sayles, an investment manager for the Plan; shares of common stock, bonds, and interest rate wrapper contracts of Bank of America, issuer of the Plans fully benefit-responsive contracts; interest rate wrapper contracts of Aegon Institutional Markets, issuer of the Plans fully benefit-responsive contracts; and units of registered investment companies in various affiliates of ING Institutional Plan Services, LLC, the recordkeeper. These transactions are allowable party-in-interest transactions under ERISA and the regulations promulgated thereunder.
Fees paid by the Plan for investment management, recordkeeping and consulting services, also qualify as party-in-interest transactions and are included in Plan expenses in the accompanying financial statements. The Company pays certain expenses for the administration of the Plan. These transactions are exempt from the party-in interest transaction prohibitions of ERISA.
14
SUPPLEMENTAL SCHEDULE
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Cash & Cash Equivalents: |
||||||||||||
* | SSGA Money Market Fund | Short-Term Investment Fund | | 8,494,617 | ||||||||
* | State Street Bank & Trust Co | Short-Term Investment Fund | | 47,363,765 | ||||||||
|
|
|||||||||||
Cash and cash equivalents |
$ | 55,858,382 | ||||||||||
** | Common Stock: | |||||||||||
3Dicon Corp | Common Stock | | 10,094 | |||||||||
3M Company | Common Stock | | 10,295 | |||||||||
8X8 Inc | Common Stock | | 3,170 | |||||||||
ABB Ltd Sponsored ADR | Common Stock | | 16,368 | |||||||||
Abbott Laboratories | Common Stock | | 150,962 | |||||||||
Abbott Laboratories | Common Stock | | 1,111,005 | |||||||||
Acadia Pharmaceuticals Inc | Common Stock | | 243 | |||||||||
Access Pharmaceuticals Inc | Common Stock | | 14,033 | |||||||||
Acclaim Entertainment Inc | Common Stock | | | |||||||||
Accretive Health Inc | Common Stock | | 5,745 | |||||||||
ACE Ltd | Common Stock | | 1,489,355 | |||||||||
Acme Packet Inc | Common Stock | | 12,364 | |||||||||
AcordaTherapeutics Inc | Common Stock | | 11,920 | |||||||||
Activision Blizzard Inc | Common Stock | | 26,389 | |||||||||
Adaptive Broadband Corp | Common Stock | | | |||||||||
Adarna Energy Corp | Common Stock | | | |||||||||
Adept Technology Inc | Common Stock | | 1,176 | |||||||||
Adolor Corp | Common Stock | | 2,315 | |||||||||
Advanced Micro Devices Inc | Common Stock | | 5,940 | |||||||||
Advanced Optics Electronics Inc | Common Stock | | | |||||||||
Advansource Biomaterials Corp | Common Stock | | 65 | |||||||||
Advanta Corp | Common Stock | | | |||||||||
Advantage Oil & Gas Ltd | Common Stock | | 1,035 | |||||||||
Adventrx Pharmaceuticals Inc | Common Stock | | 590 | |||||||||
Aegean Marine Petroleum Network Inc | Common Stock | | 4,080 | |||||||||
AES Corp | Common Stock | | 1,149,802 | |||||||||
Aeterna Zentaris Inc | Common Stock | | 924 | |||||||||
Affymax Inc | Common Stock | | 6,610 | |||||||||
Aflac Inc | Common Stock | | 24,483 | |||||||||
Agco Corp | Common Stock | | 12,891 | |||||||||
Agenus Inc New | Common Stock | | 1,474 | |||||||||
Agilent Technologies | Common Stock | | 1,770,247 | |||||||||
AGL Res Inc | Common Stock | | 16,904 | |||||||||
Agnico Eagle Mines Ltd | Common Stock | | 68,667 | |||||||||
Agrium Inc I | Common Stock | | 8,389 | |||||||||
AK Steel Hldg Corp | Common Stock | | 4,144 | |||||||||
Aksys Ltd | Common Stock | | 2 | |||||||||
Alcatel Lucent Spon ADR | Common Stock | | 6,087 | |||||||||
Alcoa Inc | Common Stock | | 41,960 | |||||||||
Alexco Resource Corp | Common Stock | | 20,430 |
16
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Alexion Pharmaceuticals | Common Stock | | 933,874 | |||||||||
Alexza Pharmaceuticals Inc | Common Stock | | 1,411 | |||||||||
ALJ Regl Hldgs Inc | Common Stock | | 390 | |||||||||
All Amern Gold Corp | Common Stock | | 115 | |||||||||
Allergan Inc | Common Stock | | 2,182,499 | |||||||||
Alliance Pharmaceutical Corp New | Common Stock | | 5 | |||||||||
* | AllianceBernstein Hldg L P Unit Ltd | Common Stock | | 5,958 | ||||||||
Allied Irish Banks | Common Stock | | 136 | |||||||||
Alliqua Inc | Common Stock | | 300 | |||||||||
Allos Therapeutics Inc | Common Stock | | 7,121 | |||||||||
Allscripts Healthcare Solutions Inc | Common Stock | | 9,129 | |||||||||
Allstate Corp | Common Stock | | 11,061 | |||||||||
Almaden Minerals Ltd | Common Stock | | 12,600 | |||||||||
Alnylam Pharmaceuticals Inc | Common Stock | | 815 | |||||||||
Alon USA Energy Inc | Common Stock | | 4,791 | |||||||||
Alpha Nat Res Inc | Common Stock | | 6,129 | |||||||||
Altair Nanotechnologies Inc | Common Stock | | 165 | |||||||||
Alternative Living Services | Common Stock | | | |||||||||
Altria Group Inc | Common Stock | | 153,792 | |||||||||
Aluminum Corp China | Common Stock | | 184 | |||||||||
Alvarion Ltd | Common Stock | | 455 | |||||||||
Amarin Corp | Common Stock | | 8,876 | |||||||||
Amazon.com Inc | Common Stock | | 52,796 | |||||||||
Amazon.com Inc | Common Stock | | 4,377,448 | |||||||||
Amcore Finl Inc | Common Stock | | | |||||||||
Amdocs Ltd | Common Stock | | 5,706 | |||||||||
Ameren Corp | Common Stock | | 3,353 | |||||||||
American Cap Agy Corp | Common Stock | | 25,333 | |||||||||
American Cap Ltd | Common Stock | | 18,044 | |||||||||
American Elec Pwr Co | Common Stock | | 37,909 | |||||||||
American Express Co | Common Stock | | 5,612 | |||||||||
American Express Co | Common Stock | | 1,943,117 | |||||||||
American Intl Group Inc | Common Stock | | 1,394 | |||||||||
American Intl Group Inc | Common Stock | | 6,450 | |||||||||
American Lithium Minerals Inc | Common Stock | | 390 | |||||||||
American Tower Corp | Common Stock | | 4,829 | |||||||||
American Tower Corp | Common Stock | | 2,329,883 | |||||||||
Amerigas Partners LP Uts Rpstg Ltd | Common Stock | | 9,641 | |||||||||
Amern Super Conductor Corp | Common Stock | | 11,070 | |||||||||
Amgen Inc | Common Stock | | 62,757 | |||||||||
Amn Healthcare Svcs Inc | Common Stock | | 5,759 | |||||||||
Ampliphi Biosciences Corp | Common Stock | | 1,072 | |||||||||
AMR Corp | Common Stock | | 2,546 | |||||||||
Amstem Corp | Common Stock | | 30 | |||||||||
Amwest Imaging Inc | Common Stock | | 350 | |||||||||
Amylin Pharm Inc | Common Stock | | 5,690 | |||||||||
Anadarko Petroleum | Common Stock | | 3,817 | |||||||||
Anadarko Petroleum | Common Stock | | 719,838 | |||||||||
Andrea Electronics Corp | Common Stock | | 47 |
17
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Annaly Mortgage Management Inc | Common Stock | | 257,908 | |||||||||
Anthera Pharmaceuticals Inc | Common Stock | | 107,450 | |||||||||
Anworth Mtg Asset Corp | Common Stock | | 1,922 | |||||||||
AOL Inc | Common Stock | | 211 | |||||||||
Apache Corp | Common Stock | | 9,966 | |||||||||
Apollo Group Inc | Common Stock | | 3,232 | |||||||||
Apollo Invt Corp | Common Stock | | 14,575 | |||||||||
Apple Inc | Common Stock | | 2,764,935 | |||||||||
Apple Inc | Common Stock | | 6,201,612 | |||||||||
Applied Materials Inc | Common Stock | | 10,282 | |||||||||
Applied Materials Inc | Common Stock | | 808,352 | |||||||||
Applied Materials Inc | Common Stock | | 1,036,892 | |||||||||
Apptech Corp | Common Stock | | | |||||||||
Apricus Biosciences Inc | Common Stock | | 4,644 | |||||||||
Aqua America Inc | Common Stock | | 2,560 | |||||||||
Aradigm Corp | Common Stock | | 368 | |||||||||
Arch Coal Inc | Common Stock | | 6,971 | |||||||||
Archer Daniels Midland | Common Stock | | 23,183 | |||||||||
Archer Daniels Midland | Common Stock | | 1,062,360 | |||||||||
Ar Cos Dorados Holdings Inc | Common Stock | | 35,027 | |||||||||
Arena Pharmaceuticals Inc | Common Stock | | 9,350 | |||||||||
Ariad Pharmaceutical Inc | Common Stock | | 37,791 | |||||||||
Arm Holdings Plc | Common Stock | | 11,068 | |||||||||
ARM Holdings Plc | Common Stock | | 492,039 | |||||||||
Arrowhead Resh Corp | Common Stock | | 1,994 | |||||||||
Artificial Life Inc | Common Stock | | 140 | |||||||||
AsiaPulp & Paper Co Ltd | Common Stock | | | |||||||||
Aspenbio Pharma Inc | Common Stock | | 155 | |||||||||
Astrazeneca Plc | Common Stock | | 2,083 | |||||||||
Astropower Inc | Common Stock | | | |||||||||
AT&T Inc | Common Stock | | 167,733 | |||||||||
Atlantic Power Corp | Common Stock | | 2,935 | |||||||||
ATP Oil & Gas Corp | Common Stock | | 44,160 | |||||||||
Atwood Oceanics Inc | Common Stock | | 3,979 | |||||||||
ATX Communications Inc | Common Stock | | | |||||||||
Augme Technologies Inc | Common Stock | | 56,280 | |||||||||
Aurico Gold Inc | Common Stock | | 16,781 | |||||||||
Aurizon Mines Ltd | Common Stock | | 9,860 | |||||||||
Automatic Data Processing Inc | Common Stock | | 37,662 | |||||||||
Avago Technologies | Common Stock | | 989,222 | |||||||||
Avalon Rare Metals Inc | Common Stock | | 474 | |||||||||
Avanir Pharmaceuticals | Common Stock | | 2,440 | |||||||||
AVI Biopharma Inc | Common Stock | | 10,281 | |||||||||
Axia Group Inc | Common Stock | | | |||||||||
Axion Power International Inc | Common Stock | | 1,080 | |||||||||
Babcock & Wilcox Co | Common Stock | | 9,656 | |||||||||
Babson Cap Partn Invs Tr | Common Stock | | 31,700 | |||||||||
Backweb Technologies Ltd | Common Stock | | 170 | |||||||||
Baidu Inc | Common Stock | | 2,055,238 |
18
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Baidu Inc | Common Stock | | 83,742 | |||||||||
Banco Latino-Americano De ercio Exterior Sa | Common Stock | | 14,124 | |||||||||
Banco Santander SA | Common Stock | | 6,836 | |||||||||
Bank New York Mellon Corp | Common Stock | | 15,825 | |||||||||
* | Bank of America Corp | Common Stock | | 358,790 | ||||||||
* | Bank of America Corp | Common Stock | | 713,513 | ||||||||
Barclays | Common Stock | | 33,388 | |||||||||
Bard CR Inc | Common Stock | | 47,453 | |||||||||
Barrick Gold Corp | Common Stock | | 339,743 | |||||||||
* | Baxter International Inc | Common Stock | | 143,185,079 | ||||||||
* | Baxter International Inc | Common Stock | | 1,385,860 | ||||||||
Bayer AG | Common Stock | | 16,495 | |||||||||
BB Liquidating Inc | Common Stock | | 2 | |||||||||
BB Liquidating Inc | Common Stock | | 105 | |||||||||
BB&T Corp | Common Stock | | 1,167,446 | |||||||||
BCE Inc | Common Stock | | 1,667,233 | |||||||||
Beacon Pwr Corp | Common Stock | | 79 | |||||||||
Bed Bath & Beyond Inc | Common Stock | | 923,638 | |||||||||
Benchmark Electrs Inc | Common Stock | | 1,616 | |||||||||
Berkshire Hathaway Inc | Common Stock | | 186,935 | |||||||||
Best Buy Inc | Common Stock | | 16,542 | |||||||||
Beyond Corp New | Common Stock | | | |||||||||
Big Bear Mng Corp | Common Stock | | 26 | |||||||||
Biodel Inc | Common Stock | | 732 | |||||||||
Bioelectronics Corp | Common Stock | | 308 | |||||||||
Biomedical Technology Solutions Hldgs Inc | Common Stock | | 76 | |||||||||
Biomerica Inc | Common Stock | | 6,720 | |||||||||
Biomoda Inc | Common Stock | | 297 | |||||||||
Biosante Pharmaceuticals Inc | Common Stock | | 5,974 | |||||||||
Bizauctions Inc | Common Stock | | | |||||||||
Black Hills Corp | Common Stock | | 3,694 | |||||||||
Blackrock Inc | Common Stock | | 1,109,337 | |||||||||
Blackstone Group LP | Common Stock | | 22,416 | |||||||||
Blavod Extreme Spirits | Common Stock | | 50 | |||||||||
BMW | Common Stock | | 915,785 | |||||||||
Boeing Co | Common Stock | | 33,543 | |||||||||
Boeing Co | Common Stock | | 1,950,132 | |||||||||
Bombardier Inc | Common Stock | | 3,987 | |||||||||
Borgwarner Inc | Common Stock | | 1,397,922 | |||||||||
Boston Scientific | Common Stock | | 1,068 | |||||||||
BP Amoco Plc | Common Stock | | 40,524 | |||||||||
Brandywine Rlty Tr | Common Stock | | 2,421 | |||||||||
Bridgepoint Ed Inc | Common Stock | | 9,729 | |||||||||
Briggs & Stratton Corp | Common Stock | | 2,788 | |||||||||
Bristol Myers Squibb | Common Stock | | 42,406 | |||||||||
Bristol Myers Squibb | Common Stock | | 1,520,501 | |||||||||
Broad Corp | Common Stock | | 17,029 | |||||||||
Broadridge Financial Solutions LLC | Common Stock | | 1,691 | |||||||||
Broadwind Energy Inc | Common Stock | | 68 |
19
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Brookfield Asset Mgmt Inc | Common Stock | | 6,870 | |||||||||
Brookfield Infrastructure Partners LP | Common Stock | | 9,376 | |||||||||
Brookfield Residential Pptys Inc | Common Stock | | 8 | |||||||||
Brooks Automation Inc | Common Stock | | 2,587 | |||||||||
Buckeye Partners LP | Common Stock | | 25,592 | |||||||||
Burberry Group | Common Stock | | 953,118 | |||||||||
Cadence Pharmaceuticals Inc | Common Stock | | 9,954 | |||||||||
Calamp Corp | Common Stock | | 115,816 | |||||||||
Calgon Carbon Corp | Common Stock | | 1,885 | |||||||||
Camden Ppty | Common Stock | | 11,699 | |||||||||
Cameco Corp | Common Stock | | 18,953 | |||||||||
Cameron Intl Corp | Common Stock | | 3,837 | |||||||||
Canadian Natural Resources | Common Stock | | 7,474 | |||||||||
Canadian Solar Inc | Common Stock | | 40 | |||||||||
Cannabis Science Inc | Common Stock | | 86 | |||||||||
Capital One Financial Corp | Common Stock | | 1,036,113 | |||||||||
Capitalsource Inc | Common Stock | | 13,052 | |||||||||
Capitol Bancorp Ltd | Common Stock | | 67 | |||||||||
Capstead Mtg Corp | Common Stock | | 12,439 | |||||||||
Capstone Turbine Corp | Common Stock | | 116 | |||||||||
Carbonite Inc | Common Stock | | 1,110 | |||||||||
Cardinal Communications Inc | Common Stock | | | |||||||||
Cardinal Health Inc | Common Stock | | 5,206,974 | |||||||||
Cardinal Health Inc | Common Stock | | 80,012 | |||||||||
Carefusion Corp | Common Stock | | 25,918 | |||||||||
Carmax Inc | Common Stock | | 6,096 | |||||||||
Carnival Corp | Common Stock | | 9,792 | |||||||||
Cast Corp | Common Stock | | 2,371 | |||||||||
Caterpillar Inc | Common Stock | | 190,558 | |||||||||
CBL & Assoc Pptys Inc | Common Stock | | 1,727 | |||||||||
CDC Corporation | Common Stock | | 106 | |||||||||
Cedar Fair LP | Common Stock | | 1,109 | |||||||||
Celgene Corp | Common Stock | | 2,364,111 | |||||||||
Celgene Corp | Common Stock | | 28,933 | |||||||||
Cell Israel Ltd | Common Stock | | 7,842 | |||||||||
Cell Therapeutics Inc | Common Stock | | 5,624 | |||||||||
Cemex SA | Common Stock | | 3,127 | |||||||||
Cenovus Energy Inc | Common Stock | | 5,069 | |||||||||
Central Fd Cda | Common Stock | | 30,414 | |||||||||
Centurytel Inc | Common Stock | | 8,932 | |||||||||
Ceragon Networks Ltd | Common Stock | | 2,695 | |||||||||
Cereplast Inc | Common Stock | | 5,400 | |||||||||
Cerner Corp | Common Stock | | 11,025 | |||||||||
Cerus Corp | Common Stock | | 3,640 | |||||||||
Charles Schwab Corp | Common Stock | | 935,518 | |||||||||
Charter Inc | Common Stock | | | |||||||||
Cheniere Energy Partners L P | Common Stock | | 813 | |||||||||
Chesapeake Energy Corporation | Common Stock | | 367,344 | |||||||||
Chevron Corp | Common Stock | | 225,995 |
20
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Chevron Corp | Common Stock | | 136,681 | |||||||||
Chimera Invt Corp | Common Stock | | 32,586 | |||||||||
China Automotive Sys Inc | Common Stock | | 2,376 | |||||||||
China Direct Inc | Common Stock | | 84 | |||||||||
China Energy Svgs Technology Inc | Common Stock | | | |||||||||
China Green Agriculture Inc | Common Stock | | 4,686 | |||||||||
China Shen Zhou Mng & Res Inc | Common Stock | | 756 | |||||||||
China Sunergy Co Ltd | Common Stock | | 15 | |||||||||
China Yuchai International Ltd | Common Stock | | 41,370 | |||||||||
Chipotle Mexican Grill Inc | Common Stock | | 11,821 | |||||||||
Chipotle Mexican Grill Inc | Common Stock | | 1,679,630 | |||||||||
Churchill Downs Inc | Common Stock | | 5,416 | |||||||||
Ciena Corp New Delaware | Common Stock | | 24 | |||||||||
Cigna Corp | Common Stock | | 4,200 | |||||||||
Cintas Corp | Common Stock | | 2,785 | |||||||||
Cintas Corp | Common Stock | | 422,987 | |||||||||
Circuit City Stores Inc | Common Stock | | | |||||||||
Cisco Systems | Common Stock | | 211,858 | |||||||||
Cisco Systems | Common Stock | | 2,024,593 | |||||||||
Citadel Broadcasting Corp | Common Stock | | | |||||||||
Citigroup Inc | Common Stock | | 1,078,666 | |||||||||
Citigroup Inc | Common Stock | | 154,068 | |||||||||
CitrixSystems Inc | Common Stock | | 12,144 | |||||||||
City Bank | Common Stock | | 32 | |||||||||
Clarent Corp | Common Stock | | | |||||||||
Clean Energy Fuels Corp | Common Stock | | 79,121 | |||||||||
Cleco Corp | Common Stock | | 114,300 | |||||||||
Cliffs Nat Res Inc | Common Stock | | 75 | |||||||||
Cloud Peak Energy Inc | Common Stock | | 2,898 | |||||||||
Coach Inc | Common Stock | | 1,532,879 | |||||||||
Coca Cola Co | Common Stock | | 155,546 | |||||||||
Coca Cola Co | Common Stock | | 960,826 | |||||||||
Coeur D Alene Mines Corp | Common Stock | | 21,123 | |||||||||
Cognex Corp | Common Stock | | 7,158 | |||||||||
Cognizant Tech Solutions | Common Stock | | 1,151,210 | |||||||||
Coinstar Inc | Common Stock | | 5,477 | |||||||||
Coldwater Creek Inc | Common Stock | | 2,360 | |||||||||
Collective Brands Inc | Common Stock | | 20,837 | |||||||||
Colonial Bancgroup | Common Stock | | | |||||||||
Columbia Laboratories Inc | Common Stock | | 1,500 | |||||||||
Comcast Corp | Common Stock | | 1,077,475 | |||||||||
Commtouch Software Limited | Common Stock | | 1,352 | |||||||||
Concho Resources | Common Stock | | 1,347,387 | |||||||||
Conoco Phillips | Common Stock | | 200,772 | |||||||||
Consol Energy Inc | Common Stock | | 953 | |||||||||
Consolidated Edison Hldg Co Inc | Common Stock | | 77,264 | |||||||||
Constellation Brands Inc | Common Stock | | 6,201 | |||||||||
Constellation Energy Group | Common Stock | | 1,626 | |||||||||
Constellation Energy Partners LLC | Common Stock | | 11,760 |
21
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Corelogic Inc | Common Stock | | 647 | |||||||||
Corning Inc | Common Stock | | 16,117 | |||||||||
Corporate Executive Brd Co | Common Stock | | 1,715 | |||||||||
Cortex Pharmaceuticals Inc | Common Stock | | 383 | |||||||||
Costco Wholesale Corp | Common Stock | | 7,895 | |||||||||
Costco Wholesale Corp | Common Stock | | 2,454,896 | |||||||||
Covidien Plc | Common Stock | | 893,764 | |||||||||
Covidien Plc | Common Stock | | 7,742 | |||||||||
Credit Suisse | Common Stock | | 6,570 | |||||||||
Credit Suisse | Common Stock | | 797,948 | |||||||||
Cree Inc | Common Stock | | 61,712 | |||||||||
Crocs Inc | Common Stock | | 13,958 | |||||||||
Cross Timbers Royalty Trust | Common Stock | | 733 | |||||||||
Cryptologic Limited Shs | Common Stock | | 474 | |||||||||
CSX Corp | Common Stock | | 5,613 | |||||||||
Ctrip Intl Ltd | Common Stock | | 25,272 | |||||||||
Cui Global Inc | Common Stock | | 95 | |||||||||
Cummins Inc | Common Stock | | 8,802 | |||||||||
CVR Partners LP | Common Stock | | 12,410 | |||||||||
CVS Caremark Corp | Common Stock | | 1,212,639 | |||||||||
CVS Corp | Common Stock | | 26,021 | |||||||||
Cyber-Care Inc | Common Stock | | | |||||||||
Cyclacel Pharmaceuticals Inc | Common Stock | | 590 | |||||||||
Cytori Therapeutics Inc | Common Stock | | 935 | |||||||||
Cytosorbents Corp | Common Stock | | 1,200 | |||||||||
Cytrx Corp | Common Stock | | 2,520 | |||||||||
Dan River Inc | Common Stock | | | |||||||||
Daulton Cap Corp | Common Stock | | 30 | |||||||||
Daystar Technologies Inc | Common Stock | | 3 | |||||||||
Decisionpoint Sys Inc | Common Stock | | 8 | |||||||||
Deckers Outdoor | Common Stock | | 34,007 | |||||||||
Deere & Co | Common Stock | | 85,126 | |||||||||
Delcath Systems Inc | Common Stock | | 4,188 | |||||||||
Dell Inc | Common Stock | | 2,414 | |||||||||
Delta Airlines Inc | Common Stock | | 710,507 | |||||||||
Delta Pete Corp | Common Stock | | 14 | |||||||||
Denbury Res Inc | Common Stock | | 20,219 | |||||||||
Dendreon Corp | Common Stock | | 135,759 | |||||||||
Denison Mines Corp | Common Stock | | 5,000 | |||||||||
Derma Sciences Inc | Common Stock | | 90,581 | |||||||||
Devon Energy Corp | Common Stock | | 1,047,383 | |||||||||
Devon Energy Corp | Common Stock | | 20,770 | |||||||||
Devry Inc | Common Stock | | 1,942 | |||||||||
Diamond Offshore Drilling Inc | Common Stock | | 829 | |||||||||
Diana Containerships Inc | Common Stock | | 218 | |||||||||
Diana Shipping Inc | Common Stock | | 16,678 | |||||||||
Digerati Technologies Inc | Common Stock | | 20 | |||||||||
Digital Angel Corp New | Common Stock | | 1,278 | |||||||||
Discover Finl Svcs | Common Stock | | 6,960 |
22
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Discovery Laboratories Inc | Common Stock | | 64 | |||||||||
Divine Inc | Common Stock | | | |||||||||
Dolby Laboratories Inc | Common Stock | | 4,577 | |||||||||
Dollar General Corp | Common Stock | | 165 | |||||||||
Dollar Tree Inc | Common Stock | | 12,467 | |||||||||
Dominion Resources Inc | Common Stock | | 52,709 | |||||||||
Doral Finl Corp | Common Stock | | 48 | |||||||||
Dow Chemical Co | Common Stock | | 37,688 | |||||||||
Downey Finl Corp | Common Stock | | | |||||||||
Dryships Inc | Common Stock | | 15,202 | |||||||||
DuPont | Common Stock | | 16,801 | |||||||||
Duke Energy Corp New | Common Stock | | 145,549 | |||||||||
Duke Realty Corp | Common Stock | | 5,423 | |||||||||
Dunkin Brands Group | Common Stock | | 608,264 | |||||||||
Dupont | Common Stock | | 762,249 | |||||||||
Dynamic Materials Corp | Common Stock | | 32,578 | |||||||||
Dynegy Incl | Common Stock | | 69 | |||||||||
ETrade Finl Corp | Common Stock | | 5,906 | |||||||||
Eagle Bulk Shipping Inc | Common Stock | | 94 | |||||||||
Eagle Rock Energy Partners LP | Common Stock | | 17,802 | |||||||||
Eastman Kodak Co | Common Stock | | 22,978 | |||||||||
Eaton Corp | Common Stock | | 13,059 | |||||||||
Eb2B commerce Inc | Common Stock | | | |||||||||
Ebay Inc | Common Stock | | 8,007 | |||||||||
Ecolocap Solutions Inc | Common Stock | | 6 | |||||||||
E-commerce China Dangdang Inc | Common Stock | | 3,960 | |||||||||
Ecopetrol SA Spon | Common Stock | | 11,130 | |||||||||
EDAP Tms S.A. | Common Stock | | 51,038 | |||||||||
Edwards Lifesciences Corp | Common Stock | | 17,579,717 | |||||||||
Edwards Lifesciences Corp | Common Stock | | 245,046 | |||||||||
Elan Corp Plc | Common Stock | | 14,015 | |||||||||
Eldorado Gold Corp | Common Stock | | 13,710 | |||||||||
Elephant Talk Communications Corp | Common Stock | | 7,950 | |||||||||
Eline Entertainment Group Inc | Common Stock | | | |||||||||
EMC Corp | Common Stock | | 2,442,899 | |||||||||
EMC Corp | Common Stock | | 21,325 | |||||||||
Emcore Corp | Common Stock | | 1,726 | |||||||||
Emergent Biosolutions Inc | Common Stock | | 5,052 | |||||||||
Emerson Electric Co | Common Stock | | 55,193 | |||||||||
Emulex Corp New | Common Stock | | 789 | |||||||||
Enbridge Energy Partners L P | Common Stock | | 3,319 | |||||||||
Enbridge Inc | Common Stock | | 3,741 | |||||||||
Encana Corp | Common Stock | | 14,883 | |||||||||
Energy Conversion Devices Inc | Common Stock | | 2 | |||||||||
Energy Transfer Partners LP | Common Stock | | 54,113 | |||||||||
Energysolutions Inc Depositary Sh | Common Stock | | 309 | |||||||||
Enerplus Corporation | Common Stock | | 12,888 | |||||||||
Enron Corp | Common Stock | | | |||||||||
Ens Co Plc Sponsored | Common Stock | | 2,399 |
23
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Enterprise Products Pptns LP | Common Stock | | 71,468 | |||||||||
Entravision Conmunications Corp | Common Stock | | 234 | |||||||||
Entremed Inc | Common Stock | | 35 | |||||||||
EOG Resources Inc | Common Stock | | 1,352,055 | |||||||||
Epix Pharmaceuticals Inc | Common Stock | | 7 | |||||||||
Estee Lauder Companies | Common Stock | | 1,956,374 | |||||||||
Evergreen Solar Inc | Common Stock | | 84 | |||||||||
Exelixis Inc | Common Stock | | 8,234 | |||||||||
Exelon Corp | Common Stock | | 48,149 | |||||||||
Exelon Corp | Common Stock | | 1,024,012 | |||||||||
Exeter Resource Corp | Common Stock | | 10,440 | |||||||||
Exide Technologies | Common Stock | | 2,630 | |||||||||
Expedia Inc | Common Stock | | 900 | |||||||||
Express Scripts Inc | Common Stock | | 1,818,970 | |||||||||
Express Scripts Inc | Common Stock | | 4,469 | |||||||||
Extorre Gold Mines Limited | Common Stock | | 29,520 | |||||||||
Exxon Mobil Corp | Common Stock | | 62,258 | |||||||||
Exxon Mobil Corp | Common Stock | | 2,671,158 | |||||||||
Fairpoint Communications Inc | Common Stock | | | |||||||||
Family Dollar Stores Inc | Common Stock | | 2,998 | |||||||||
Fastenal Co | Common Stock | | 6,542 | |||||||||
Federal Natl Mtg Assn | Common Stock | | 4,024 | |||||||||
Fedex Corp | Common Stock | | 8,351 | |||||||||
Ferrellgas Partners LP | Common Stock | | 5,971 | |||||||||
Fifth St Fin Corp | Common Stock | | 28,710 | |||||||||
Finisar Corp | Common Stock | | 4,186 | |||||||||
First American Financial Corp | Common Stock | | 634 | |||||||||
First China Pharmaceutical Group Inc | Common Stock | | 540 | |||||||||
First Physicians Cap Group Inc | Common Stock | | | |||||||||
First Solar Inc | Common Stock | | 12,322 | |||||||||
Flagstar Bancorp Inc | Common Stock | | 508 | |||||||||
Flextronics International | Common Stock | | 5,660 | |||||||||
Flextronics Ltd | Common Stock | | 876,200 | |||||||||
Fluor Corp New | Common Stock | | 2,554 | |||||||||
Fmi Holdings Ltd | Common Stock | | 3 | |||||||||
Focus Gold Corp | Common Stock | | 405 | |||||||||
Food Technology Svc Inc | Common Stock | | 2,600 | |||||||||
Ford Motor Co | Common Stock | | 208,141 | |||||||||
FortressInvt Group LLC | Common Stock | | 1,690 | |||||||||
Forward Inds | Common Stock | | 167 | |||||||||
Foster Wheeler AG | Common Stock | | 16,269 | |||||||||
Franklin Res Inc | Common Stock | | 25,555 | |||||||||
Freddie Mac | Common Stock | | 3,869 | |||||||||
Freeport Mcmoran Copper & Gold Inc. | Common Stock | | 66,110 | |||||||||
Fresenius Kabi Pharmaceuticals Hldg Inc | Common Stock | | | |||||||||
Frontier Communications Corp | Common Stock | | 8,139 | |||||||||
Fuel Sys Solutions Inc | Common Stock | | 2,061 | |||||||||
Fuel Tech Inc | Common Stock | | 513 | |||||||||
Fusion-Io | Common Stock | | 1,694 |
24
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Futuremedia Plc | Common Stock | | | |||||||||
Gamco Global Gold Nat Res | Common Stock | | 3,685 | |||||||||
Gas Nat Inc | Common Stock | | 3,426 | |||||||||
Gazoo Energy Group Inc | Common Stock | | 25 | |||||||||
Geeknet Inc | Common Stock | | 3,802 | |||||||||
General Dynamics Corp | Common Stock | | 9,962 | |||||||||
General Electric Co | Common Stock | | 1,173,078 | |||||||||
General Electric Co | Common Stock | | 430,004 | |||||||||
General Mills Inc | Common Stock | | 72,738 | |||||||||
General Motors Co | Common Stock | | 817,018 | |||||||||
General Motors Co | Common Stock | | 20,270 | |||||||||
General Steel Hldgs Inc | Common Stock | | 890 | |||||||||
Generex Biotechnology Corp | Common Stock | | 975 | |||||||||
Genetic Technologies Ltd | Common Stock | | 30 | |||||||||
Geopharma Inc | Common Stock | | 4 | |||||||||
Geron Corp | Common Stock | | 1,480 | |||||||||
Giant Interactive Group Inc | Common Stock | | 1,416 | |||||||||
Gilead Sciences Inc | Common Stock | | 56,770 | |||||||||
Glaxosmithkline Plc | Common Stock | | 2,282 | |||||||||
GMX Res Inc | Common Stock | | 250 | |||||||||
Gold Amern Mng Corp | Common Stock | | 155 | |||||||||
Goldbrook Ventures Inc | Common Stock | | 6,776 | |||||||||
Gold Corp Inc New | Common Stock | | 13,357 | |||||||||
Goldman Sachs Group | Common Stock | | 532,894 | |||||||||
Goldman Sachs Group | Common Stock | | 88,616 | |||||||||
Google Inc | Common Stock | | 4,182,054 | |||||||||
Google Inc | Common Stock | | 54,902 | |||||||||
Grace W R & Co Del | Common Stock | | 9,184 | |||||||||
Grand Pacaraima Gold Corp | Common Stock | | 2 | |||||||||
Great Basin Gold | Common Stock | | 12,754 | |||||||||
Great Wolf Resorts Inc | Common Stock | | 290 | |||||||||
Green Earth Technologies Inc | Common Stock | | 5,400 | |||||||||
Green Mtn Coffee Roasters Inc | Common Stock | | 11,213 | |||||||||
Greenhunter Energy Inc | Common Stock | | | |||||||||
Grid Pete Corp | Common Stock | | 5 | |||||||||
GSI Technology Inc | Common Stock | | 2,340 | |||||||||
Guess? Inc | Common Stock | | 1,074 | |||||||||
Halliburton Co | Common Stock | | 17,255 | |||||||||
Halozyme Therapeutics Inc | Common Stock | | 71,648 | |||||||||
Hansen Natural Corp | Common Stock | | 2,211 | |||||||||
Hanwha Solarone Company Ltd | Common Stock | | 10 | |||||||||
Harley Davidson Inc | Common Stock | | 1,261,751 | |||||||||
Harley Davidson Inc | Common Stock | | 3,887 | |||||||||
Hartford Finl Svcs Group Inc | Common Stock | | 2,099 | |||||||||
Hasbro Inc | Common Stock | | 2,870 | |||||||||
Hauppague Digital | Common Stock | | 1,200 | |||||||||
HCP Inc | Common Stock | | 17,556 | |||||||||
Headwaters Inc | Common Stock | | 2,775 | |||||||||
Health Care Reit Inc | Common Stock | | 5,452 |
25
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Healthwarehouse | Common Stock | | 148 | |||||||||
Hecla Mining Co | Common Stock | | 5,230 | |||||||||
Helix Energy Solutions Group Inc | Common Stock | | 3,555 | |||||||||
Hellenic Telem | Common Stock | | 164 | |||||||||
Henry Jack & Associates Inc | Common Stock | | 6,251 | |||||||||
Hercules Offshore Inc | Common Stock | | 35,964 | |||||||||
Hewlett-Packard Co | Common Stock | | 36,097 | |||||||||
Hollyfrontier Corporation | Common Stock | | 7,020 | |||||||||
Home Depot Inc | Common Stock | | 118,132 | |||||||||
Home Solutions Amer Inc | Common Stock | | | |||||||||
Honeywell International Inc | Common Stock | | 1,983,955 | |||||||||
Honeywell International Inc | Common Stock | | 32,721 | |||||||||
Horizon Lines Inc | Common Stock | | 174 | |||||||||
Hospira Inc | Common Stock | | 7,350 | |||||||||
Howard Hughes Corp | Common Stock | | 1,148 | |||||||||
HPC Pos Sys | Common Stock | | 1,312 | |||||||||
HSBC Holdings Plc | Common Stock | | 23,451 | |||||||||
HSN Inc Del | Common Stock | | 435 | |||||||||
Hugoton Rty Tr Tex | Common Stock | | 12,362 | |||||||||
Human Genome Sciences Inc | Common Stock | | 50,429 | |||||||||
Huntington Bancshares Inc | Common Stock | | 25,926 | |||||||||
Hydrogenics Corporation | Common Stock | | 378 | |||||||||
Hyperdynamics Corp | Common Stock | | 12,740 | |||||||||
Iac/Interactivecrp | Common Stock | | 1,321 | |||||||||
IBM | Common Stock | | 3,221,144 | |||||||||
IBM | Common Stock | | 27,582 | |||||||||
ICG Group Inc | Common Stock | | 579 | |||||||||
Idearc Inc | Common Stock | | | |||||||||
IGO Inc | Common Stock | | 39 | |||||||||
Illinois Tool Works | Common Stock | | 13,798 | |||||||||
Illumina Inc | Common Stock | | 635,353 | |||||||||
Imaging3 Inc | Common Stock | | 18,177 | |||||||||
Imation Corp | Common Stock | | 573 | |||||||||
Imax Corp | Common Stock | | 3,666 | |||||||||
Immunocellular Therapeutics Ltd | Common Stock | | 490 | |||||||||
Immunomedics Inc | Common Stock | | 3,330 | |||||||||
Incyte Genomics Inc | Common Stock | | 26,943 | |||||||||
Indevus Pharmaceuticals Inc | Common Stock | | | |||||||||
India Globalization Cap Inc | Common Stock | | 2,890 | |||||||||
Indymac Bancorp Inc | Common Stock | | | |||||||||
Infinera Corp | Common Stock | | 18,758 | |||||||||
Infosys Technologies Limited | Common Stock | | 2,569 | |||||||||
ING Prime Rate Tr | Common Stock | | 6,277 | |||||||||
Ingles Mkts Inc | Common Stock | | 15,060 | |||||||||
Inhibitex Inc | Common Stock | | 32,820 | |||||||||
Inovio Biomedical Corp | Common Stock | | 2,054 | |||||||||
Inplay Technologies Inc | Common Stock | | | |||||||||
Insmed Incorporated | Common Stock | | 756 | |||||||||
Insys Therapeutics Inc | Common Stock | | 288 |
26
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Intel Corp | Common Stock | | 135,002 | |||||||||
Intermune Inc | Common Stock | | 378 | |||||||||
International Game Technology | Common Stock | | 1,204 | |||||||||
International Tower Hill Mines | Common Stock | | 4,360 | |||||||||
Internet Holders | Common Stock | | 14,042 | |||||||||
Interoil Corp | Common Stock | | 19,429 | |||||||||
Interval Leisure Group Inc | Common Stock | | 163 | |||||||||
Intl Fuel Tech Inc | Common Stock | | 884 | |||||||||
Intl Speedway | Common Stock | | 1,014 | |||||||||
Intuitive Surgical Inc | Common Stock | | 926 | |||||||||
Invensense Inc | Common Stock | | 5,976 | |||||||||
Invesco Ltd | Common Stock | | 1,167,012 | |||||||||
Invesco Van Kampen Sr Ine | Common Stock | | 12,134 | |||||||||
Invo Bioscience Inc | Common Stock | | 20 | |||||||||
IPG Photonics Corp | Common Stock | | 6,435 | |||||||||
Ironwood Gold Corp | Common Stock | | 1,707 | |||||||||
Irvine Sensors Corp | Common Stock | | 60 | |||||||||
Ivanhoe Energy | Common Stock | | 7,616 | |||||||||
Ivax Diagnostics Inc | Common Stock | | 2,200 | |||||||||
JA Solar Hldgs Co Ltd | Common Stock | | 1,777 | |||||||||
Jabil Circuit Inc | Common Stock | | 19,713 | |||||||||
JDS Uniphase Corp | Common Stock | | 9,260 | |||||||||
Jensen Portfolio Inc | Common Stock | | 62,891 | |||||||||
Jetblue Awys Corp | Common Stock | | 11,180 | |||||||||
John Bean Technologies Corp | Common Stock | | 343 | |||||||||
Johnson & Johnson | Common Stock | | 152,466 | |||||||||
Johnson & Johnson | Common Stock | | 1,182,367 | |||||||||
Johnson & Johnson | Common Stock | | 1,736,297 | |||||||||
Johnson Controls | Common Stock | | 1,514,767 | |||||||||
Johnson Ctls Inc | Common Stock | | 38,773 | |||||||||
Joy Global Inc | Common Stock | | 5,623 | |||||||||
JPMorgan Chase & Co | Common Stock | | 2,259,946 | |||||||||
JPMorgan Chase & Co | Common Stock | | 50,028 | |||||||||
Juniper Networks Inc | Common Stock | | 48,372 | |||||||||
K Swiss Inc | Common Stock | | 5,840 | |||||||||
Kandi Technologies Corp | Common Stock | | 7,400 | |||||||||
KB Homes | Common Stock | | 8,569 | |||||||||
Keegan Res Inc | Common Stock | | 13,405 | |||||||||
Kellogg Company | Common Stock | | 14,296 | |||||||||
Kennametal Inc | Common Stock | | 6,099 | |||||||||
Keryx Biopharmaceuticals Inc | Common Stock | | 3,985 | |||||||||
Key Corp New | Common Stock | | 7,690 | |||||||||
Khd Humboldt Wedag Intl (Dt) Ag | Common Stock | | 2,229 | |||||||||
Kilroy Realty Corp | Common Stock | | 2,423 | |||||||||
Kimberly Clark Corp | Common Stock | | 29,424 | |||||||||
Kinder Morgan Energy Partners | Common Stock | | 265,284 | |||||||||
Kinder Morgan Mgmt | Common Stock | | 7,852 | |||||||||
Kinross Gold Corp | Common Stock | | 20,520 | |||||||||
Knightsbridge Tank | Common Stock | | 14,746 |
27
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Kobex Minerals Inc | Common Stock | | 610 | |||||||||
Kodiak Oil & Gas Corp | Common Stock | | 30,400 | |||||||||
Kohls Corp | Common Stock | | 56,903 | |||||||||
Kraft Foods Inc | Common Stock | | 63,216 | |||||||||
Krispy Kreme Doughnuts Inc | Common Stock | | 6,540 | |||||||||
Kronos Worldwide Inc | Common Stock | | 75 | |||||||||
KV Pharmaceutical Co | Common Stock | | 1,029 | |||||||||
L-3 Communications Hldgs Inc | Common Stock | | 36,728 | |||||||||
Laboratory Corp of America Hldgs | Common Stock | | 17,194 | |||||||||
Lakes Entmt Inc | Common Stock | | 9,250 | |||||||||
LDK Solar Co Ltd | Common Stock | | 3,264 | |||||||||
Leap Wireless Intl Inc | Common Stock | | | |||||||||
Legacy Resvs LP | Common Stock | | 2,823 | |||||||||
Lehman Bros Hldgs Corp | Common Stock | | 52 | |||||||||
Level 3 Communications Inc | Common Stock | | 5,658 | |||||||||
Liberator Med Hldgs Inc | Common Stock | | 618 | |||||||||
Life Technologies Corp | Common Stock | | 1,010,962 | |||||||||
Life Technologies Corp | Common Stock | | 3,891 | |||||||||
Lifeline Biotechnologies Inc | Common Stock | | | |||||||||
Li-Ion Motors Corp | Common Stock | | 348 | |||||||||
Lilly Eli & Co | Common Stock | | 2,551 | |||||||||
Limelight Networks Inc | Common Stock | | 2,146 | |||||||||
Limited Brands Inc | Common Stock | | 10,088 | |||||||||
Linkedin Corp | Common Stock | | 659,770 | |||||||||
Linkedin Corp | Common Stock | | 945 | |||||||||
Linn Energy LLC | Common Stock | | 113,730 | |||||||||
Linux Gold Corp | Common Stock | | 150 | |||||||||
Live Nation Entertainment Inc | Common Stock | | 141 | |||||||||
Lloyds Banking Group | Common Stock | | 3,140 | |||||||||
Loral Space & Communcations Ltd | Common Stock | | | |||||||||
Lowes Cos | Common Stock | | 34,730 | |||||||||
Lowes Cos | Common Stock | | 600,102 | |||||||||
Lowes Cos | Common Stock | | 1,070,625 | |||||||||
LPBP Inc | Common Stock | | | |||||||||
LSI Logic Corp | Common Stock | | 541 | |||||||||
Lululemon Athletica | Common Stock | | 1,132,024 | |||||||||
Lumber Liquidators Hldgs Inc | Common Stock | | 20,397 | |||||||||
LVMH Moet Hennessy | Common Stock | | 352,417 | |||||||||
Lynas Corporation | Common Stock | | 536 | |||||||||
LyondellBasell | Common Stock | | 276,036 | |||||||||
LyondellBasell | Common Stock | | 16,245 | |||||||||
M2003 Plc Sponsored ADR | Common Stock | | | |||||||||
Mahanagar Tel Nigam Ltd | Common Stock | | 161 | |||||||||
Mako Surgical Corp | Common Stock | | 7,563 | |||||||||
Mammoth Energy Group Inc New | Common Stock | | | |||||||||
Manhattan Pharmaceuticals Inc | Common Stock | | 1 | |||||||||
Manhattan Scientific Inc | Common Stock | | 4,539 | |||||||||
Manitex Intl Inc | Common Stock | | 2,968 | |||||||||
Manitowoc Inc | Common Stock | | 1,746 |
28
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Mannkind Corp | Common Stock | | 26,250 | |||||||||
Marathon Oil Corp | Common Stock | | 41,980 | |||||||||
Marathon Oil Corp | Common Stock | | 547,961 | |||||||||
Marathon Petroleum Corp | Common Stock | | 198,970 | |||||||||
Marathon Petroleum Corp | Common Stock | | 23,852 | |||||||||
Markel Corp Hldg Co | Common Stock | | 34,832 | |||||||||
Marsh & McLennan Cos | Common Stock | | 1,033,970 | |||||||||
Masco Corp | Common Stock | | 4,978 | |||||||||
Mastercard Inc | Common Stock | | 3,292,719 | |||||||||
Mastercard Inc | Common Stock | | 29,826 | |||||||||
Maxwell Tech Inc | Common Stock | | 9,744 | |||||||||
McDonalds Corp | Common Stock | | 36,504 | |||||||||
McDonalds Corp | Common Stock | | 2,031,901 | |||||||||
Mead Johnson Nutrition Co | Common Stock | | 1,486,991 | |||||||||
Medclean Technologies Inc | Common Stock | | 240 | |||||||||
Medical Marijuana Inc | Common Stock | | 187 | |||||||||
Medicines Co | Common Stock | | 9,320 | |||||||||
Medtronic Inc | Common Stock | | 8,408 | |||||||||
Melco Pbl Entmnt Ltd | Common Stock | | 3,367 | |||||||||
Merck & Co Inc | Common Stock | | 1,443,215 | |||||||||
Merck & Co Inc | Common Stock | | 119,858 | |||||||||
Merge Healthcare Inc | Common Stock | | 2,425 | |||||||||
Metabolix Inc | Common Stock | | 2,275 | |||||||||
Metalico Inc | Common Stock | | 1,935 | |||||||||
MetLife Inc | Common Stock | | 942,574 | |||||||||
MetLife Inc | Common Stock | | 1,507,810 | |||||||||
MetLife Inc | Common Stock | | 312 | |||||||||
MFA Finl Inc | Common Stock | | 8,091 | |||||||||
MFC Industrial Ltd | Common Stock | | 720 | |||||||||
Mgic Invst Corp | Common Stock | | 41,969 | |||||||||
MGM Mirage | Common Stock | | 8,688 | |||||||||
Micro Imaging Technology Inc | Common Stock | | 120 | |||||||||
Micron Technology | Common Stock | | 629 | |||||||||
Microsoft Corp | Common Stock | | 107,958 | |||||||||
Microsoft Corp | Common Stock | | 1,146,384 | |||||||||
Microsoft Corp | Common Stock | | 2,551,794 | |||||||||
Microvision Inc | Common Stock | | 7,200 | |||||||||
Miller Energy Res Inc | Common Stock | | 29,295 | |||||||||
Miller Herman Inc | Common Stock | | 1,845 | |||||||||
Mindspeed Technologies Inc | Common Stock | | 27 | |||||||||
Minefinders Ltd Corp | Common Stock | | 10,600 | |||||||||
Mirant Corp | Common Stock | | | |||||||||
Miravant Medical Technology | Common Stock | | | |||||||||
Modern Energy Corp | Common Stock | | 20 | |||||||||
Molecular Insight Pharmaceuticals Inc | Common Stock | | | |||||||||
Moly Corp Inc | Common Stock | | 2,878 | |||||||||
Momenta Pharmaceuticals Inc | Common Stock | | 3,443 | |||||||||
Monsanto Co | Common Stock | | 1,017,577 | |||||||||
Monsanto Co | Common Stock | | 2,360,502 |
29
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Monsanto Co | Common Stock | | 3,403 | |||||||||
Morgan Stanley | Common Stock | | 38,849 | |||||||||
Morgan Stanley | Common Stock | | 918,768 | |||||||||
Morgan Stanley | Common Stock | | 20,879 | |||||||||
Morningstar Inc | Common Stock | | 7,729 | |||||||||
Mosaic Co New | Common Stock | | 3,027 | |||||||||
Motorola Mobility Hldgs Inc | Common Stock | | 2,406 | |||||||||
Motorola Solutions Inc | Common Stock | | 3,287 | |||||||||
Motricity Inc | Common Stock | | 13,500 | |||||||||
Mueller Wtr Prods Inc | Common Stock | | 6,100 | |||||||||
Multiband Corp | Common Stock | | 646 | |||||||||
Multicell Technologies Inc | Common Stock | | 14 | |||||||||
Myriad Genetics Inc | Common Stock | | 461 | |||||||||
Nanogen Inc | Common Stock | | 10 | |||||||||
Nanosphere Inc | Common Stock | | 110 | |||||||||
NatcoreTechnology Inc | Common Stock | | 1,226 | |||||||||
National Bank of Greece | Common Stock | | 792 | |||||||||
National Grid | Common Stock | | 9,696 | |||||||||
National Oilwell | Common Stock | | 1,130,439 | |||||||||
Navios Maritime Holdings Inc | Common Stock | | 19,953 | |||||||||
Navios Maritime Partners LP | Common Stock | | 7,370 | |||||||||
Neon Communications Inc | Common Stock | | | |||||||||
Nestle SA | Common Stock | | 5,775 | |||||||||
Netapp Inc | Common Stock | | 17,410 | |||||||||
Netflix Inc | Common Stock | | 26,122 | |||||||||
Netgear Inc | Common Stock | | 3,357 | |||||||||
Netlist Inc | Common Stock | | 5,020 | |||||||||
Neumedia Inc | Common Stock | | 18 | |||||||||
New Centy Finl Corp Md | Common Stock | | | |||||||||
New Ireland Fd Inc | Common Stock | | 4,916 | |||||||||
Newcastle Invt Corp | Common Stock | | 930 | |||||||||
Nextera Energy Inc | Common Stock | | 41,403 | |||||||||
Nielsen Holdings | Common Stock | | 11,876 | |||||||||
Nike Inc | Common Stock | | 2,465,809 | |||||||||
Nike Inc | Common Stock | | 5,725 | |||||||||
Nokia Corp | Common Stock | | 20,915 | |||||||||
Nordic American Tanker Shipping Ltd | Common Stock | | 35,970 | |||||||||
Nortel Networks Corp | Common Stock | | 1 | |||||||||
North American Palladium | Common Stock | | 5,100 | |||||||||
Northern Oil & Gas Inc | Common Stock | | 10,911 | |||||||||
Northfield Laboratories Inc | Common Stock | | | |||||||||
Novartis AG | Common Stock | | 511,134 | |||||||||
Novartis AG | Common Stock | | 920,606 | |||||||||
Novartis AG | Common Stock | | 20,219 | |||||||||
Novatel Wireless Inc | Common Stock | | 3,756 | |||||||||
Novavax Inc | Common Stock | | 1,008 | |||||||||
Novelos Therapeutics Inc New | Common Stock | | 23 | |||||||||
Novo Nordisk | Common Stock | | 1,946,664 | |||||||||
Novo Nordisk A/S | Common Stock | | 6,339 |
30
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
NPS Pharmaceuticals Inc | Common Stock | | 7,249 | |||||||||
NRG Energy Inc | Common Stock | | 6,958 | |||||||||
Nuance Communications Inc | Common Stock | | 12,580 | |||||||||
Nucor Corp | Common Stock | | 74,455 | |||||||||
Nutracea | Common Stock | | 2,331 | |||||||||
Nvidia Corp | Common Stock | | 26,334 | |||||||||
Nxstage Med Inc | Common Stock | | 6,845 | |||||||||
NYSE Euronext | Common Stock | | 1,984 | |||||||||
O Reilly Automotive Inc | Common Stock | | 7,036 | |||||||||
Occidental Petroleum | Common Stock | | 1,173,753 | |||||||||
Occidental Petroleum | Common Stock | | 6,612 | |||||||||
Occidental Petroleum | Common Stock | | 1,383,881 | |||||||||
Ocean Rig Udw Inc | Common Stock | | 586 | |||||||||
Oclaro Inc | Common Stock | | 764 | |||||||||
Odyssey Marine Exploration Inc | Common Stock | | 822 | |||||||||
Oilsands Quest Inc | Common Stock | | 208 | |||||||||
Olin Corp New | Common Stock | | 2,135 | |||||||||
Olympic Steel Inc | Common Stock | | 23,320 | |||||||||
Omega Navigation Enterprises Inc | Common Stock | | 569 | |||||||||
Omnitek Engr Corp | Common Stock | | 3,680 | |||||||||
Oncogenex Pharmaceuticals Inc | Common Stock | | 200 | |||||||||
Oncolytics Biotech Inc | Common Stock | | 607,620 | |||||||||
Opexa Therapeutics Inc | Common Stock | | 27,900 | |||||||||
Optigenex Inc | Common Stock | | | |||||||||
Oracle Corp | Common Stock | | 2,092,647 | |||||||||
Oracle Corp. | Common Stock | | 43,354 | |||||||||
Orbital Sciences Corp | Common Stock | | 11,624 | |||||||||
Orchid Cellmark Inc | Common Stock | | 223 | |||||||||
Orexigen Therapeutics Inc | Common Stock | | 1,610 | |||||||||
Origin Agritech Limited | Common Stock | | 2,360 | |||||||||
Osi Systems Inc | Common Stock | | 12,195 | |||||||||
Osiris Therapeutics Inc | Common Stock | | 5,912 | |||||||||
Otelco Inc | Common Stock | | 3,349 | |||||||||
Owens Illinois Inc | Common Stock | | 461,412 | |||||||||
Owens Illinois Inc | Common Stock | | 779,231 | |||||||||
Oxigene Inc | Common Stock | | 99 | |||||||||
Pace Oil & Gas Ltd | Common Stock | | 334 | |||||||||
Pacific Ethanol Inc | Common Stock | | 36,527 | |||||||||
Palatin Technologies Inc | Common Stock | | 20 | |||||||||
Panacos Pharmaceuticals Inc | Common Stock | | 1 | |||||||||
Pass Minerals Intl Inc | Common Stock | | 7,797 | |||||||||
Patriot Coal Corp | Common Stock | | 22,446 | |||||||||
Patterson-Uti Energy Inc | Common Stock | | 11,988 | |||||||||
Pay Chest Inc | Common Stock | | | |||||||||
Paychex Inc | Common Stock | | 12,150 | |||||||||
PDI Inc | Common Stock | | 642 | |||||||||
PDL Biopharma Inc | Common Stock | | 9,436 | |||||||||
Peabody Energy Corp | Common Stock | | 16,577 | |||||||||
Penn Va Resource Partners LP | Common Stock | | 1,300 |
31
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Penn West Petroleum Ltd | Common Stock | | 10,371 | |||||||||
Pennymac Mortgage Investment | Common Stock | | 13,929 | |||||||||
Pepco Hldgs Inc | Common Stock | | 21,151 | |||||||||
Pepisco Inc | Common Stock | | 1,068,431 | |||||||||
Pepsico Inc | Common Stock | | 30,795 | |||||||||
Permian Basin Rty | Common Stock | | 7,130 | |||||||||
Petmedexpress Inc | Common Stock | | 1,076 | |||||||||
Petrochina Co Ltd | Common Stock | | 1,492 | |||||||||
Petroleo Brasileiro SA Petrobras | Common Stock | | 8,735 | |||||||||
Petsmart Inc | Common Stock | | 3,590 | |||||||||
Pfizer Inc | Common Stock | | 126,320 | |||||||||
Pfizer Inc | Common Stock | | 1,113,814 | |||||||||
Pfizer Inc | Common Stock | | 2,639,163 | |||||||||
Pharmos Corp | Common Stock | | 2 | |||||||||
Philip Morris Intl Inc | Common Stock | | 123,952 | |||||||||
Pilgrims Pride Corp | Common Stock | | 1,584 | |||||||||
Pilot Gold Inc | Common Stock | | 950 | |||||||||
Pioneer Drilling Co | Common Stock | | 968 | |||||||||
Pitney Bowes Inc | Common Stock | | 12,978 | |||||||||
Platinum Studios Inc | Common Stock | | 20 | |||||||||
Plum Creek Timber CoInc | Common Stock | | 10,968 | |||||||||
Pluristem Therapeutics Inc | Common Stock | | 1,195 | |||||||||
PMC-Sierra Inc | Common Stock | | 3,857 | |||||||||
PMI Group Inc | Common Stock | | 263 | |||||||||
PNC Finl Svcs Group | Common Stock | | 7,901 | |||||||||
Polymedix Inc | Common Stock | | 7,650 | |||||||||
Polymet Mining Corp | Common Stock | | 20,967 | |||||||||
Pop3 Media Corp | Common Stock | | | |||||||||
Portfolio Recovery Assocs Inc | Common Stock | | 1,080 | |||||||||
Positiveid Corp | Common Stock | | 1,350 | |||||||||
Potash Corp Sask Inc | Common Stock | | 270,280 | |||||||||
Power 3 Med Prods Inc | Common Stock | | 14 | |||||||||
Powerwave Technologies Inc | Common Stock | | 208 | |||||||||
PPG Industries | Common Stock | | 33,396 | |||||||||
Prana BiotechnologyLtd | Common Stock | | 1,470 | |||||||||
Praxair Inc | Common Stock | | 2,916 | |||||||||
Precision Castparts Corp | Common Stock | | 1,977 | |||||||||
Precision Castparts Corp | Common Stock | | 3,152,418 | |||||||||
Priceline.com Inc | Common Stock | | 1,246,627 | |||||||||
Primero Mining Corp | Common Stock | | 4,508 | |||||||||
Procter & Gamble Co | Common Stock | | 116,433 | |||||||||
Procter & Gamble Co | Common Stock | | 883,108 | |||||||||
Proctor & Gamble Co | Common Stock | | 2,296,739 | |||||||||
Progress Energy Inc | Common Stock | | 7,666 | |||||||||
Prologis Inc | Common Stock | | 277 | |||||||||
Prospect Energy Corp | Common Stock | | 10,748 | |||||||||
Protalix Biotherapeutics Inc | Common Stock | | 1,997 | |||||||||
Provident Energy Ltd | Common Stock | | 85 | |||||||||
Proxim Wireless Corp | Common Stock | | 112 |
32
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Prudential Finl Inc | Common Stock | | 516 | |||||||||
PT Telekomunikasi Indonesia | Common Stock | | 20,227 | |||||||||
Public Service Enterprise | Common Stock | | 384,809 | |||||||||
Qualcomm Inc | Common Stock | | 1,967,010 | |||||||||
Quality Systems | Common Stock | | 34,171 | |||||||||
Qualm Inc | Common Stock | | 54,720 | |||||||||
Quantum Fuel Sys TechnologiesWorldwide Inc | Common Stock | | 237 | |||||||||
Quepasa Corp | Common Stock | | 16,600 | |||||||||
Quest Diagnostics Inc | Common Stock | | 14,515 | |||||||||
Quest Rare Minerals Ltd | Common Stock | | 2,200 | |||||||||
Radian Group Inc | Common Stock | | 1,189 | |||||||||
Radient Pharmaceuticals Corp | Common Stock | | 30 | |||||||||
Ralph Lauren Corp | Common Stock | | 2,192,803 | |||||||||
Rambus Inc | Common Stock | | 7,550 | |||||||||
Ramp Corp | Common Stock | | | |||||||||
Randgold Res Ltd | Common Stock | | 5,105 | |||||||||
Range Resources Corp | Common Stock | | 15,495 | |||||||||
Rayonier Inc | Common Stock | | 17,406 | |||||||||
Raystream Inc | Common Stock | | 180 | |||||||||
Raytheon Co | Common Stock | | 2,454 | |||||||||
Realty Ine Corp | Common Stock | | 5,289 | |||||||||
Red Hat Inc | Common Stock | | 1,156,829 | |||||||||
Regions Finl Corp | Common Stock | | 3,353 | |||||||||
Renren Inc | Common Stock | | 266 | |||||||||
Repligen Corp | Common Stock | | 1,215 | |||||||||
Research in Motion Ltd | Common Stock | | 30,900 | |||||||||
Resource Cap Corp | Common Stock | | 101,836 | |||||||||
Retail Opportunity Invts Corp | Common Stock | | 7,329 | |||||||||
Reynolds Amern Inc | Common Stock | | 54,199 | |||||||||
Rino Intl Corp | Common Stock | | 18 | |||||||||
Rio Tinto Plc | Common Stock | | 2,470 | |||||||||
Rock-Tenn Co | Common Stock | | 8,655 | |||||||||
Rockwell Automation Inc | Common Stock | | 29,348 | |||||||||
Rockwell Medical Tech Inc | Common Stock | | 2,143 | |||||||||
Roper Industries | Common Stock | | 322,854 | |||||||||
Rosetta Stone Inc | Common Stock | | 763 | |||||||||
Royal Bk Scotland Group Plc | Common Stock | | 319 | |||||||||
Royal Dutch Shell | Common Stock | | 7,309 | |||||||||
Royal Gold Inc | Common Stock | | 13,486 | |||||||||
Rubicon Minerals Corp | Common Stock | | 73,710 | |||||||||
Ryland Group Inc | Common Stock | | 3,940 | |||||||||
Saba Software Inc | Common Stock | | 986 | |||||||||
Safer Shot Inc | Common Stock | | 20 | |||||||||
Saks Inc | Common Stock | | 4,875 | |||||||||
Salesforce.com Inc | Common Stock | | 1,918,669 | |||||||||
Samson Oil & Gas Ltd | Common Stock | | 1,950 | |||||||||
San Gold Corporation | Common Stock | | 6,868 | |||||||||
San Juan Basin Rty Tr | Common Stock | | 20,476 | |||||||||
Sandisk Corp | Common Stock | | 19,684 |
33
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Sandridge Energy Inc | Common Stock | | 59,160 | |||||||||
Sandridge Mississippian Tr | Common Stock | | 6,318 | |||||||||
Sanmina-Sci Corp | Common Stock | | 1,862 | |||||||||
Sanofi ADR | Common Stock | | 945,775 | |||||||||
Sanofi ADR | Common Stock | | 1,494,469 | |||||||||
Sanofi ADR | Common Stock | | 13,203 | |||||||||
Santarus Inc | Common Stock | | 1,655 | |||||||||
Satcon Technology Corp | Common Stock | | 600 | |||||||||
Satyamputer Svcs Ltd | Common Stock | | 69 | |||||||||
Savient Pharmaceuticals Inc | Common Stock | | 2,230 | |||||||||
Schlumberger Ltd | Common Stock | | 1,944,018 | |||||||||
Schlumberger Ltd | Common Stock | | 98,101 | |||||||||
Seadrill Ltd | Common Stock | | 43,099 | |||||||||
Seagate Technology Plc | Common Stock | | 3,317 | |||||||||
Sears Hldgs Corp | Common Stock | | 9,534 | |||||||||
Seattle Genetics Inc | Common Stock | | 1,672 | |||||||||
Seawright Hldgs Inc | Common Stock | | 45 | |||||||||
Senior Housing Prop Trust | Common Stock | | 22,440 | |||||||||
Sequans Communications | Common Stock | | 3,336 | |||||||||
Ship Finance International Limited | Common Stock | | 266 | |||||||||
Shire Plc | Common Stock | | 2,868,488 | |||||||||
Sigma Designs | Common Stock | | 600 | |||||||||
Silicon Image Inc | Common Stock | | 1,410 | |||||||||
Silver Wheaton Corp | Common Stock | | 5,586 | |||||||||
Silver Wheaton Corp | Common Stock | | 47,807 | |||||||||
Silver Corp Metals Inc | Common Stock | | 38,400 | |||||||||
Sirius XM Radio Inc | Common Stock | | 162,109 | |||||||||
Skyworks Solutions Inc | Common Stock | | 35,441 | |||||||||
Smith & Wesson Hldg Corp | Common Stock | | 2,180 | |||||||||
Smurfit Stone Container | Common Stock | | | |||||||||
Sociedad Quimica Minera De Chile | Common Stock | | 269,250 | |||||||||
Socket Mobile Inc | Common Stock | | 15,613 | |||||||||
Solar Cap Ltd | Common Stock | | 9,075 | |||||||||
Sonic Corp | Common Stock | | 6,730 | |||||||||
Sothebys Hldgs Inc | Common Stock | | 1,141 | |||||||||
Southern Co | Common Stock | | 236,698 | |||||||||
Southern Copper Corp | Common Stock | | 47,516 | |||||||||
Southwest Airlines Co | Common Stock | | 939,519 | |||||||||
Southwest Airlines Co | Common Stock | | 6,849 | |||||||||
Southwestern Energy Co | Common Stock | | 441,754 | |||||||||
Spectra Energy Corp | Common Stock | | 36,826 | |||||||||
Spectranetics Corp | Common Stock | | 16,750 | |||||||||
Spirit Aerosystems Hldgs Inc | Common Stock | | 1,559 | |||||||||
Spongetech Delivery Sys Inc | Common Stock | | | |||||||||
Sports Concepts Inc | Common Stock | | | |||||||||
Sprint Corp | Common Stock | | 24,044 | |||||||||
Sprott Physical Silver Trust | Common Stock | | 54,808 | |||||||||
St Jude Medical Inc | Common Stock | | 19,679 | |||||||||
Standard Pkg Corp | Common Stock | | 5,361 |
34
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Stanley Black & Decker | Common Stock | | 397,358 | |||||||||
Star Bulk Carriers Corp Shs | Common Stock | | 225 | |||||||||
Starbucks Corp | Common Stock | | 2,949,951 | |||||||||
* | State Street Corp | Common Stock | | 122 | ||||||||
* | State Street Corp | Common Stock | | 1,107,071 | ||||||||
Statoil Asa | Common Stock | | 5,950 | |||||||||
Stem Cell Innovations Inc | Common Stock | | | |||||||||
Stemcells Inc | Common Stock | | 148 | |||||||||
Sterlite Inds India Ltd | Common Stock | | 499 | |||||||||
Stevia Corp | Common Stock | | 346 | |||||||||
Stonemor Partners LP | Common Stock | | 7,034 | |||||||||
Strategic Amern Oil Corp | Common Stock | | 990 | |||||||||
Strategic Hotel & Resort Inc | Common Stock | | 2,148 | |||||||||
Stryker Corp | Common Stock | | 1,591 | |||||||||
Subjex Corp | Common Stock | | 3 | |||||||||
Sulphco Inc | Common Stock | | 6 | |||||||||
Suncor Energy | Common Stock | | 3,147 | |||||||||
Sunesis Pharmaceuticals Inc | Common Stock | | 2,143 | |||||||||
Sunoco Inc | Common Stock | | 1,317,034 | |||||||||
Suntech Pwr Hldgs Co | Common Stock | | 608 | |||||||||
Suntrust Banks Inc | Common Stock | | 3,975 | |||||||||
Surebeam Corp | Common Stock | | | |||||||||
Surewest Communications | Common Stock | | 670 | |||||||||
Symantec Corp | Common Stock | | 790,047 | |||||||||
Synovus Finl Corp | Common Stock | | 4,134 | |||||||||
Syntax Brillian Corp | Common Stock | | | |||||||||
Sysco Corp | Common Stock | | 756,259 | |||||||||
Sysco Corp | Common Stock | | 12,436 | |||||||||
Taiwan Semiconductor Manufacturing | Common Stock | | 5,190 | |||||||||
Talon Therapeutics Inc | Common Stock | | 5,944 | |||||||||
Target Corp | Common Stock | | 19,976 | |||||||||
Taseko Mines Ltd | Common Stock | | 43,923 | |||||||||
Taser International Inc | Common Stock | | 12,288 | |||||||||
Tata Mtrs Ltd | Common Stock | | 14,944 | |||||||||
Te Connectivity Ltd | Common Stock | | 678 | |||||||||
Teck Inc Ltd | Common Stock | | 7,059 | |||||||||
Telefonica SA | Common Stock | | 10,896 | |||||||||
Telestone Technologies Corp | Common Stock | | 4,160 | |||||||||
Tencent Holdings Ltd | Common Stock | | 20,124 | |||||||||
Tencent Holdings Ltd | Common Stock | | 614,803 | |||||||||
Tenet Healthcare Corp | Common Stock | | 12,825 | |||||||||
Terex Corp New | Common Stock | | 1,013 | |||||||||
Terra Nitrogen Co | Common Stock | | 11,541 | |||||||||
Tesla Motors Inc | Common Stock | | 2,856 | |||||||||
Tesoro Pete Corp | Common Stock | | 748 | |||||||||
Teva Pharmaceutical Inds Ltd | Common Stock | | 36,430 | |||||||||
Texas Instruments | Common Stock | | 1,138,821 | |||||||||
Texas Instruments | Common Stock | | 1,696,728 | |||||||||
Texas Pacific Land Trust | Common Stock | | 12,262 |
35
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
TGC Industries Inc | Common Stock | | 7,140 | |||||||||
Theragenics Corp | Common Stock | | 2,688 | |||||||||
Thomas Pptys Group Inc | Common Stock | | 1,338 | |||||||||
Thompson Creek Metals CoInc | Common Stock | | 87,696 | |||||||||
Thornburg Mtg Inc | Common Stock | | | |||||||||
THQ Inc | Common Stock | | 4,940 | |||||||||
Threshold Pharmaceuticals Inc New | Common Stock | | 61 | |||||||||
Tiffany & Co | Common Stock | | 1,381,185 | |||||||||
Time Warner Cable Inc | Common Stock | | 2,479 | |||||||||
Time Warner Inc | Common Stock | | 1,303,163 | |||||||||
Time Warner Inc | Common Stock | | 2,424,241 | |||||||||
Time Warner Inc | Common Stock | | 5,710 | |||||||||
Titanium Metals Corp | Common Stock | | 1,498 | |||||||||
Torch Energy Royalty Trust | Common Stock | | 295 | |||||||||
Torchlight Energy Res Inc | Common Stock | | 18,000 | |||||||||
Toro Co | Common Stock | | 16,035 | |||||||||
Total ADR | Common Stock | | 1,134 | |||||||||
ToUSA Inc | Common Stock | | 4 | |||||||||
Toyota Motor Corp | Common Stock | | 23,303 | |||||||||
Transcanada Corp | Common Stock | | 8,734 | |||||||||
Transcontinental Realty Invs | Common Stock | | 1,639 | |||||||||
Transmeridian Expl Inc | Common Stock | | | |||||||||
Transocean Ltd Zug Namen | Common Stock | | 65,320 | |||||||||
Transwitch Corp | Common Stock | | 4,192 | |||||||||
Travelers Cos Inc | Common Stock | | 1,361 | |||||||||
Tree Inc | Common Stock | | 11 | |||||||||
Trimedyne Inc | Common Stock | | 700 | |||||||||
Tripadvisor Inc | Common Stock | | 782 | |||||||||
TRW Automotive Hldgs Corp | Common Stock | | 3,260 | |||||||||
Turkcell Iletisim Hizmet | Common Stock | | 669 | |||||||||
Tyco International Ltd | Common Stock | | 1,028 | |||||||||
US Airways Group Inc | Common Stock | | 2,535 | |||||||||
US Energy Corp | Common Stock | | 757 | |||||||||
US Geothermal Inc | Common Stock | | 144 | |||||||||
US Shipping Partner | Common Stock | | | |||||||||
UAL Corp New | Common Stock | | | |||||||||
Ultra Petroleum Corp | Common Stock | | 3,556 | |||||||||
Ultra Petroleum Corp | Common Stock | | 288,327 | |||||||||
Umpqua Holdings Corp | Common Stock | | 1,859 | |||||||||
Under Armour Inc | Common Stock | | 6,102 | |||||||||
Unilever Plc | Common Stock | | 2,763 | |||||||||
Union Pacific Corp | Common Stock | | 2,129 | |||||||||
Union Pacific Corp | Common Stock | | 1,756,183 | |||||||||
Uniroyal Tech Corp | Common Stock | | | |||||||||
United Parcel Svc Inc | Common Stock | | 12,222 | |||||||||
United States Steel Corp | Common Stock | | 91,813 | |||||||||
United Sts Gasoline | Common Stock | | 4,832 | |||||||||
United Sts Nat Gas Fd LP | Common Stock | | 92,378 | |||||||||
United Technologies Corp | Common Stock | | 11,649 |
36
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
United Technologies Corp | Common Stock | | 1,192,778 | |||||||||
United Health Group | Common Stock | | 140,189 | |||||||||
United Health Group | Common Stock | | 1,131,522 | |||||||||
United Health Group | Common Stock | | 22,992 | |||||||||
Universal Display Corp | Common Stock | | 8,439 | |||||||||
Universal Ins Hldgs Inc | Common Stock | | 4,843 | |||||||||
Uranerz Energy Corp | Common Stock | | 819 | |||||||||
Uranium One Inc | Common Stock | | 244 | |||||||||
Uranium Res Inc | Common Stock | | 1,452 | |||||||||
US Bancorp | Common Stock | | 422,223 | |||||||||
USEC Inc | Common Stock | | 1,767 | |||||||||
Vale SA | Common Stock | | 2,709 | |||||||||
Valeant Pharmaceuticals | Common Stock | | 636,533 | |||||||||
Valero Energy Corp | Common Stock | | 11,901 | |||||||||
Vasco Data Security Intl | Common Stock | | 2,830 | |||||||||
Vaso Active Pharmaceuticals Inc | Common Stock | | 20 | |||||||||
Velatel Global Communications Inc | Common Stock | | 700 | |||||||||
Ventas Inc | Common Stock | | 3,729 | |||||||||
Veolia Environnement | Common Stock | | 11,050 | |||||||||
Verenium Corp | Common Stock | | 89 | |||||||||
Verifone Hldgs Inc | Common Stock | | 15,984 | |||||||||
Verisign Inc | Common Stock | | 357 | |||||||||
Verizon Communications | Common Stock | | 252,459 | |||||||||
Vertex Pharmaceuticals | Common Stock | | 956,434 | |||||||||
Vertex Pharmaceuticals | Common Stock | | 19,926 | |||||||||
Via Networks Inc | Common Stock | | 396 | |||||||||
Via Pharmaceuticals Inc | Common Stock | | | |||||||||
Viacom Inc | Common Stock | | 1,740,609 | |||||||||
Vimpel Ltd | Common Stock | | 17,093 | |||||||||
Viragen Inc | Common Stock | | | |||||||||
Viral Genetics Inc | Common Stock | | 190 | |||||||||
Virexx Med Corp | Common Stock | | | |||||||||
Viropharma Inc | Common Stock | | 2,739 | |||||||||
Viropro Inc | Common Stock | | 16,875 | |||||||||
Visa Inc | Common Stock | | 1,223,692 | |||||||||
Visa Inc | Common Stock | | 1,240,944 | |||||||||
VMware Inc | Common Stock | | 2,095,700 | |||||||||
VMware Inc | Common Stock | | 14,142 | |||||||||
Vodafone Group | Common Stock | | 7,008 | |||||||||
Vodafone Inc | Common Stock | | 2,125,296 | |||||||||
Vulcan Materials Co | Common Stock | | 1,377 | |||||||||
W & T Offshore Inc | Common Stock | | 6,363 | |||||||||
Walgreen Company | Common Stock | | 71,556 | |||||||||
Walmart Stores Inc | Common Stock | | 1,050,869 | |||||||||
Walmart Stores Inc | Common Stock | | 18,651 | |||||||||
Walt Disney | Common Stock | | 1,265,440 | |||||||||
Walt Disney | Common Stock | | 90,608 | |||||||||
Warner Chilcott Plc | Common Stock | | 3,310 | |||||||||
Washington Mutual Inc | Common Stock | | 1,303 |
37
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Washington Real Estate Invt | Common Stock | | 8,457 | |||||||||
Waste Management Inc | Common Stock | | 32,845 | |||||||||
Weatherford Int Ltd | Common Stock | | 29,280 | |||||||||
Weatherford Int Ltd | Common Stock | | 977,700 | |||||||||
Weingarten Rlty Invs | Common Stock | | 10,960 | |||||||||
Wells Fargo & Co | Common Stock | | 1,892,265 | |||||||||
Wells Fargo & Co | Common Stock | | 48,459 | |||||||||
Wellstar Intl Inc | Common Stock | | | |||||||||
Wendys Company | Common Stock | | 4,690 | |||||||||
Westell Technologies Inc | Common Stock | | 2,220 | |||||||||
Western Asset High | Common Stock | | 10,268 | |||||||||
Western Cap Res Inc | Common Stock | | | |||||||||
Western Digital Corp | Common Stock | | 15,475 | |||||||||
Western Pac Minerals Ltd | Common Stock | | | |||||||||
Western Refng Inc | Common Stock | | 26,580 | |||||||||
Western Union Co | Common Stock | | 1,826 | |||||||||
Westport Innovations Inc | Common Stock | | 36,564 | |||||||||
Weyerhaeuser Co | Common Stock | | 14,936 | |||||||||
Whiting Pete Corp New | Common Stock | | 14,007 | |||||||||
Whole Foods Market Inc | Common Stock | | 1,931,424 | |||||||||
Williams Cos Inc | Common Stock | | 7,066 | |||||||||
Windstream Corp | Common Stock | | 80,332 | |||||||||
Winn Dixie Stores Inc | Common Stock | | 938 | |||||||||
Winner Med Group Inc | Common Stock | | 516 | |||||||||
Wintrust Financial Corp | Common Stock | | 14,043 | |||||||||
Women First Healthcare Inc | Common Stock | | | |||||||||
Wonder Auto Technology Inc | Common Stock | | 442 | |||||||||
Wuxi Pharmatech Cayman Inc | Common Stock | | 4,416 | |||||||||
Wynn Resorts Ltd | Common Stock | | 5,807 | |||||||||
Xenoport Inc | Common Stock | | 12,764 | |||||||||
Xerox Corp | Common Stock | | 2,401 | |||||||||
Xinyuan Real Estate Co Ltd | Common Stock | | 263 | |||||||||
Xoma Ltd | Common Stock | | 1,111 | |||||||||
XPO Logistics Inc | Common Stock | | 27,788 | |||||||||
Xybernaut Corp | Common Stock | | | |||||||||
Yahoo Inc | Common Stock | | 9,872 | |||||||||
Yamana Gold Inc | Common Stock | | 8,943 | |||||||||
Yingli Green Energy Hldg Co Ltd | Common Stock | | 760 | |||||||||
YM Biosciences Inc | Common Stock | | 8,700 | |||||||||
Yongye Intl Inc | Common Stock | | 9,138 | |||||||||
Youku.com Inc | Common Stock | | 7,835 | |||||||||
Youku.com Inc | Common Stock | | 222,920 | |||||||||
YRC Worldwide Inc | Common Stock | | 459 | |||||||||
Yum! Brands Inc | Common Stock | | 90,841 | |||||||||
Zalicus Inc | Common Stock | | 992 | |||||||||
Zap | Common Stock | | 154 | |||||||||
Zimmer Holdings Inc | Common Stock | | 53 | |||||||||
Zion Oil & Gas Inc | Common Stock | | 72 | |||||||||
Zion Oil & Gas Inc | Common Stock | | 150 |
38
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Zion Oil & Gas Inc | Common Stock | | 3,868 | |||||||||
Zoltek Cos Inc | Common Stock | | 15,240 | |||||||||
Zynex Inc | Common Stock | | 612 | |||||||||
|
|
|||||||||||
Common Stock |
$ | 394,301,012 | ||||||||||
|
|
|||||||||||
** |
U.S. Government and Government Agency Issues: |
|||||||||||
Fed HM LN Pool A58677 | 5.5% 01 Mar 2037 | | 528,672 | |||||||||
Fed HM LN Pool C48827 | 6.0% 01 Mar 2031 | | 10,306 | |||||||||
Fed HM LN Pool C91370 | 4.5% 01 May 2031 | | 516,352 | |||||||||
Fed HM LN Pool G12334 | 5.0% 01 Sep 2021 | | 199,092 | |||||||||
Federal Home LN Mtg | 5.0% 15 Jan 2030 | | 62,951 | |||||||||
FNMA Pool 256398 | 6.0% 01 Sep 2021 | | 42,616 | |||||||||
FNMA Pool 323887 | 6.0% 01 Dec 2013 | | 16,965 | |||||||||
FNMA Pool 581043 | 6.0% 01 May 2016 | | 17,678 | |||||||||
FNMA Pool 615005 | 6.0% 01 Dec 2016 | | 26,994 | |||||||||
FNMA Pool 694448 | 5.5% 01 Apr 2033 | | 319,466 | |||||||||
FNMA Pool 725690 | 6.0% 01Aug2034 | | 245,180 | |||||||||
FNMA Pool 745418 | 5.5% 01 Apr 2036 | | 143,435 | |||||||||
FNMA Pool 748115 | 6.0% 01 Oct 2033 | | 88,397 | |||||||||
FNMA Pool 815316 | 5.5% 01 May 2035 | | 411,623 | |||||||||
FNMA Pool 822979 | 5.5% 01 Apr 2035 | | 392,523 | |||||||||
FNMA Pool 885504 | 6.0% 01 Jun 2021 | | 140,293 | |||||||||
FNMA Pool 888102 | 5.5% 01 May 2036 | | 22,743 | |||||||||
FNMA Pool 902793 | 6.5% 01 Nov 2036 | | 197,427 | |||||||||
FNMA Pool AH2899 | 4.5% 01Jan2041 | | 541,971 | |||||||||
FNMA Pool AH3765 | 4.0% 01 Jan2041 | | 1,279,854 | |||||||||
FNMA Pool AH9374 | 4.5% 01 Apr 2041 | | 645,602 | |||||||||
FNMA Pool AL0920 | 5.0% 01 Jul 2037 | | 808,068 | |||||||||
FNMA Pool MA0734 | 4.5% 01 May 2031 | | 509,972 | |||||||||
FNMA Pool MA0918 | 4.0% 01 Dec 2041 | | 1,338,228 | |||||||||
Mexico St | 8.0% 17 Dec 2015 | | 108,231 | |||||||||
TSY Infl IX N/B | 0.625% 15 Jul 2021 | | 1,885,046 | |||||||||
US Treasury N/B | 4.5% 15 Aug 2039 | | 333,272 | |||||||||
US Treasury N/B | 3.125% 15 Nov 2041 | | 481,375 | |||||||||
US Treasury N/B | 3.125% 15 May 2021 | | 485,453 | |||||||||
US Treasury N/B | 4.375% 15 May 2040 | | 571,217 | |||||||||
US Treasury N/B | 1.125% 15 Jan 2012 | | 701,815 | |||||||||
US Treasury N/B | 3.375% 15 Nov 2019 | | 782,837 | |||||||||
US Treasury N/B | 4.375% 05 May 2041 | | 907,684 | |||||||||
US Treasury N/B | 1.0% 31 Dec 2011 | | 1,259,858 | |||||||||
US Treasury N/B | 0.875% 29 Feb 2012 | | 1,271,426 | |||||||||
US Treasury N/B | 0.375% 30 Sep 2012 | | 1,470,173 | |||||||||
US Treasury N/B | 1.375% 15 Sep 2012 | | 3,100,075 | |||||||||
|
|
|||||||||||
U.S. Government and Government Agency Issues |
$ | 21,864,870 | ||||||||||
|
|
39
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
** | Corporate and Other Obligations: | |||||||||||
USG Corp | 9.75% 15 Jan 2018 | | 133,594 | |||||||||
AES Corp | 7.75% 15 Oct 2015 | | 161,188 | |||||||||
Agilent Technologies Inc | 6.5% 01 Nov 2017 | | 268,909 | |||||||||
Albertson's Inc | 6.625% 01 Jun 2028 | | 17,601 | |||||||||
Alcoa Inc | 5.95% 01 Feb 2037 | | 140,572 | |||||||||
Alcoa Inc | 5.87% 23Feb2022 | | 323,479 | |||||||||
Ally Financial Inc | 6.25% 01 Dec 2017 | | 328,835 | |||||||||
Ally Financial Inc | 6.75% 01 Dec 2014 | | 347,573 | |||||||||
Alta Wind Holdings | 7.0% 30 Jun 2035 | | 200,069 | |||||||||
Altria Group Inc | 4.75% 05 May 2021 | | 54,398 | |||||||||
Altria Group Inc | 9.25% 06 Aug 2019 | | 72,975 | |||||||||
Altria Group Inc | 9.95% 10 Nov2038 | | 413,303 | |||||||||
American Express Credit | 2.8% 19 Sep2016 | | 362,433 | |||||||||
American Movil SAB | 2.375% 08 Sep 2016 | | 295,611 | |||||||||
American Tower Corp | 4.625% 01 Apr 2015 | | 148,310 | |||||||||
American Tower Corp | 4.5% 15 Jan 2018 | | 211,088 | |||||||||
Amgen Inc | 2.5% 15 Nov 2016 | | 484,988 | |||||||||
Anheuser Busch Cos | 4.95% 15 Jan 2014 | | 21,298 | |||||||||
Anheuser Busch Cos | 6.5% 01 May 2042 | | 66,059 | |||||||||
Anheuser Busch In Bev | 4.125% 15 Jan 2015 | | 580,620 | |||||||||
Arcelor Mittal | 5.5% 01 Mar 2021 | | 285,708 | |||||||||
Arcelor Mittal | 3.75% 05 Aug 2015 | | 363,680 | |||||||||
Aristotle Holding Inc | 4.75% 15 Nov 2021 | | 327,194 | |||||||||
Associates Corp | 6.95% 01 Nov 2018 | | 375,805 | |||||||||
AT&T Corp | 6.5% 15 Mar 2029 | | 23,628 | |||||||||
AT&T Inc | PreferredStock | | 22,738 | |||||||||
AT&T Inc | 4.45% 15 May 2021 | | 439,595 | |||||||||
Baker Hughes Inc | 3.2% 15 Aug 2021 | | 352,233 | |||||||||
* | Bank of America | 5.625% 01 Jul 2020 | | 155,170 | ||||||||
* | Bank of America Coml Mtg | 1.0% 10 Apr 2049 | | 158,411 | ||||||||
Barrick NA | 4.4% 30 May 2021 | | 347,794 | |||||||||
* | Baxter International Inc | 1.85% 15 Jan 2017 | | 67,715 | ||||||||
Bear Stearns Coml Mtg | 1.0% 11 Jun 2040 | | 189,317 | |||||||||
Bemis Company Inc | 5.65% 01 Aug 2014 | | 57,743 | |||||||||
BG Energy Capital | 4.0% 15 Oct 2021 | | 305,558 | |||||||||
Biomed Realty LP | 6.125% 15 Apr 2020 | | 93,345 | |||||||||
Biomed Rlty Tr Inc | PreferredStock | | 7,629 | |||||||||
Bottling Group LLC | 5.125% 15 Jan 2019 | | 92,224 | |||||||||
BP Capital Markets Plc | 4.5% 01 Oct 2020 | | 451,641 | |||||||||
Brocade Communications | 6.875% 15 Jan 2020 | | 47,356 | |||||||||
Brocade Communications | 6.625% 15 Jan 2018 | | 143,871 | |||||||||
Bunge Limited Finance | 4.1% 15 Mar 2016 | | 76,742 | |||||||||
Camden PPTY | 5.375% 15 Dec 2013 | | 25,818 | |||||||||
Camden PPTY | 5.0% 15 Jun 2015 | | 26,237 | |||||||||
Cameron Intl Corp | 6.375% 15 Jul 2018 | | 12,872 | |||||||||
Cameron Intl Corp | 7.0% 15 Jul 2038 | | 48,043 | |||||||||
Canadian Pacific RR Co | 7.25% 15 May 2019 | | 98,481 |
40
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Capital One Financial Co | 2.125% 15 Jul 2014 | | 360,919 | |||||||||
Case New Holland Inc | 7.75% 01 Sep 2013 | | 62,993 | |||||||||
CBS Corp | 5.75% 15 Apr 2020 | | 138,866 | |||||||||
CC Holdings GS | 7.75% 01 May 2017 | | 181,000 | |||||||||
CF Industries Holdings | 6.875% 01 May 2018 | | 84,855 | |||||||||
Chevron Phillips Chemical | 7.0% 15 Jun 2014 | | 185,256 | |||||||||
Cincinnati Bell Inc | 8.75% 15 Mar 2018 | | 151,424 | |||||||||
Citigroup Commercial Mortgage | 5.431% 15 Oct 2049 | | 54,877 | |||||||||
Citigroup/Deutsche Bank | 5.322% 11 Dec 2049 | | 576,431 | |||||||||
Colorado Intst Gas Co | 6.8% 15 Nov 2015 | | 17,014 | |||||||||
Colorado Intst Gas Co | 5.95% 15 Mar 2015 | | 22,380 | |||||||||
Comcast Corp | 5.65% 15 Jun 2035 | | 99,336 | |||||||||
Comcast Corp | 6.45% 15 Mar 2037 | | 113,795 | |||||||||
Comcast Corp | 6.4% 01 Mar 2029 | | 194,071 | |||||||||
Comcast Corp | 6.4% 15 May 2038 | | 225,561 | |||||||||
Commerical Mortgage Passthru | 1.0% 15 Dec 2049 | | 55,148 | |||||||||
Contl Airlines | 5.983% 19 Oct 2023 | | 286,884 | |||||||||
Corning Inc | 6.85% 01 Mar 2029 | | 18,219 | |||||||||
Corning Inc | 7.25% 15 Aug 2036 | | 71,522 | |||||||||
Covidien Intl Finance SA | 6.0% 15 Oct 2017 | | 271,655 | |||||||||
Credit Suisse Coml Mtg | 1.0% 15 Jan 2049 | | 125,521 | |||||||||
Crown Castle Towers LLC | 3.214% 15 Aug 2035 | | 99,917 | |||||||||
CSC Hldgs Inc | 7.875% 15 Feb 2018 | | 169,624 | |||||||||
Delta Air Lines | 6.821% 10 Feb 2024 | | 218,405 | |||||||||
Direc TV Holdings | 5.0% 01 Mar 2021 | | 444,154 | |||||||||
Dow Chemical Co | 4.25% 15 Nov 2020 | | 215,690 | |||||||||
Duke Energy Co | 6.25% 15 Jan 2012 | | 29,691 | |||||||||
Eastman Chemical Co | 4.5% 15 Jan 2021 | | 218,958 | |||||||||
Echostar DBS Corp | 7.0% 01 Oct 2013 | | 284,802 | |||||||||
Ecolab Inc | 4.35% 08 Dec 2021 | | 110,797 | |||||||||
Embarq Corp | 7.995% 01 Jun 2036 | | 645,046 | |||||||||
Enel Fin Intl | 6.25% 15 Sep 2017 | | 314,042 | |||||||||
Enron Cap Res LP | PreferredStock | | | |||||||||
Ensco Plc | 4.7% 15 Mar 2021 | | 452,777 | |||||||||
EQT Corp | 8.125% 01 Jun 2019 | | 97,359 | |||||||||
Equifax Inc | 7.0% 01 Jul 2037 | | 172,941 | |||||||||
ERAC USA Fin Co | 7.0% 15 Oct 2017 | | 11,888 | |||||||||
ERAC USA Fin Co | 6.375% 15 Oct 2017 | | 610,879 | |||||||||
ERP OPER Ltd Partnership | 5.75% 15 Jun 2017 | | 38,345 | |||||||||
Expedia Inc | 5.95% 15 Aug 2020 | | 44,841 | |||||||||
Express Scripts Inc | 7.25% 15 Jun 2019 | | 35,326 | |||||||||
Express Scripts Inc | 3.125% 15 May 2016 | | 268,272 | |||||||||
Fidelity National Inform | 7.875% 15 Jul 2020 | | 48,023 | |||||||||
Florida Gas Transmission Co | 7.9% 15 May 2019 | | 55,516 | |||||||||
Ford Motor Company | 7.0% 15 Apr 2015 | | 141,445 | |||||||||
Ford Motor Company | 7.45% 16 Jul 2031 | | 284,580 | |||||||||
Ford Motor Company | 5.75% 01 Feb 2021 | | 308,926 | |||||||||
Frontier Communications | 7.875% 15 Jan 2027 | | 243,573 | |||||||||
General Elec Cap Corp | 2.95% 09 May 2016 | | 193,091 |
41
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
General Elec Cap Corp | 3.75% 14 Nov 2014 | | 442,659 | |||||||||
General Elec Cap Corp | PreferredStock | | 12,825 | |||||||||
Georgia Pac Corp | 7.375% 01 Dec 2025 | | 158,427 | |||||||||
Georgia Pac Corp | 7.25% 01 Jun 2028 | | 220,546 | |||||||||
Georgia Pac Corp | 7.75% 15 Nov 2029 | | 230,068 | |||||||||
Georgia Pac Corp | 8.875% 15 May 2031 | | 6,791 | |||||||||
Georgia Pwr Co | PreferredStock | | 13,315 | |||||||||
Gilead Sciences Inc | 5.65% 01 Dec 2041 | | 114,872 | |||||||||
Greenwich Capital Commercial | 1.0% 10 Jul 2038 | | 54,885 | |||||||||
Greenwich Capital Commercial | 5.736% 15 Dec 2049 | | 245,172 | |||||||||
GS Mortgage Securities | 1.0% 10 Aug 2045 | | 493,621 | |||||||||
Hasbro Inc | 6.125% 15 May 2014 | | 64,678 | |||||||||
Hasbro Inc | 6.3% 15 Sep 2017 | | 107,921 | |||||||||
Hewlett Packard Co | 4.375% 15 Sep 2021 | | 188,661 | |||||||||
Hewlett Packard Co | 4.65% 09 Dec 2021 | | 271,063 | |||||||||
Home Depot Inc | 5.4% 01 Mar 2016 | | 28,531 | |||||||||
Hospira Inc | 6.05% 30 Mar 2017 | | 119,998 | |||||||||
Incitec Pivot Fin LLC | 6.0% 15 Dec 2019 | | 107,965 | |||||||||
Ingersoll Rand Global Hldg | 6.875% 15 Aug 2018 | | 125,674 | |||||||||
Intel Corp | 1.95% 01 Oct 2016 | | 370,770 | |||||||||
International Paper Co | 4.75% 15 Feb 2022 | | 267,834 | |||||||||
International Paper Co | 7.95% 15 Jun 2018 | | 270,624 | |||||||||
Ipalco Enterprises Inc | 5.0% 01 May 2018 | | 33,893 | |||||||||
Jabil Circuit Inc | 5.625% 15 Dec 2020 | | 115,623 | |||||||||
John Deere Capital Corp | 1.85% 15 Sep 2016 | | 259,129 | |||||||||
JPMorgan Chase Coml Mtg | 1.0% 12 Feb 2049 | | 69,490 | |||||||||
JPMorgan Chase Coml Mtg | 5.44% 12 Jun 2047 | | 132,384 | |||||||||
JPMorgan Chase Coml Mtg | 1.0% 15 Jun 2049 | | 210,021 | |||||||||
JPMorgan Chase & Co | 4.625% 10 May 2021 | | 71,565 | |||||||||
JPMorgan Chase & Co | 3.7% 20 Jan 2015 | | 568,593 | |||||||||
KLA Tencor Corp | 6.9% 01 May 2018 | | 216,497 | |||||||||
Kraft Foods Inc | 6.5% 01 Nov 2031 | | 79,849 | |||||||||
Kraft Foods Inc | 6.5% 11 Aug 2017 | | 152,807 | |||||||||
Kraft Foods Inc | 2.625% 08 May 2013 | | 388,655 | |||||||||
Lear Corp | 8.125% 15 Mar 2020 | | 43,477 | |||||||||
Lear Corp | 7.875% 15 Mar 2018 | | 133,706 | |||||||||
Life Technologies Corp | 4.4% 01 Mar 2015 | | 118,084 | |||||||||
McDonalds Corp Medium Note | 5.0% 01 Feb 2019 | | 70,351 | |||||||||
McKesson Corp | 6.5% 15 Feb 2014 | | 109,354 | |||||||||
Merrill Lynch & Co Inc | 5.0% 15 Jan 2015 | | 61,873 | |||||||||
Merrill Lynch & Co Inc | 6.4% 28 Aug 2017 | | 339,666 | |||||||||
Midwest Banc Hldgs Inc | PreferredStock | | | |||||||||
ML CFC Coml Mtg | 1.0% 12 Mar 2051 | | 25,983 | |||||||||
ML CFC Coml Mtg | 1.0% 12 Dec 2049 | | 186,161 | |||||||||
Modern Energy Corp | PreferredStock | | | |||||||||
Morgan Stanley | 5.375% 15 Oct 2015 | | 62,759 | |||||||||
Morgan Stanley | 5.55% 27 Apr 2017 | | 238,339 | |||||||||
Morgan Stanley | 5.5% 24 Jul 2020 | | 260,545 | |||||||||
Nabors Industries | 6.15% 15 Feb 2018 | | 16,557 |
42
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Nabors Industries | 9.25% 15 Feb 2019 | | 573,003 | |||||||||
New Field Exploration Co | 5.75% 30 Jan 2022 | | 240,114 | |||||||||
Newmont Mining Corp | 5.875% 01 Apr 2035 | | 128,656 | |||||||||
News America Inc | 6.15% 01 Mar 2037 | | 307,837 | |||||||||
Nextera Energy Capital | 4.5% 01 Jun 2021 | | 321,045 | |||||||||
NGN 2010 R3 | 1.0% 08 Dec 2020 | | 986,977 | |||||||||
NiSource Finance Corp | 5.45% 15 Sep 2020 | | 125,868 | |||||||||
NiSource Finance Corp | 6.125% 01 Mar 2022 | | 159,263 | |||||||||
Norfolk Southern Corp | 5.75% 15 Jan 2016 | | 314,567 | |||||||||
Occidental Petroleum | 1.75% 15 Feb 2017 | | 385,316 | |||||||||
Omnicare Inc | 7.75% 01 Jun 2020 | | 164,455 | |||||||||
Oneok Partners LP | 8.625% 01 Mar 2019 | | 279,057 | |||||||||
Orcale Corp | 5.0% 08 Jul 2019 | | 448,525 | |||||||||
Owens Corning New | 7.0% 01 Dec 2036 | | 100,993 | |||||||||
Pepisco Inc | 0.8% 25 Aug 2014 | | 325,808 | |||||||||
Petrobras Intl Fin | 5.875% 01 Mar 2018 | | 513,652 | |||||||||
PNC Funding Corp | 3.625% 08 Feb 2015 | | 503,403 | |||||||||
Pride International Inc | 8.5% 15 Jun 2019 | | 97,890 | |||||||||
Procter & Gamble Co | 1.45% 15 Aug 2016 | | 299,913 | |||||||||
QEP Resources Inc | 6.875% 01 Mar 2021 | | 175,676 | |||||||||
Quest Diagnostics Inc | 4.75% 30 Jan 2020 | | 120,241 | |||||||||
Regions Fing Tr | PreferredStock | | 5,060 | |||||||||
Reynolds Amern Inc | 7.25% 15 Jun 2037 | | 343,858 | |||||||||
Reynolds Group | 6.875% 15 Feb 2021 | | 98,318 | |||||||||
Rowan Companies Inc | 5.0% 01 Sep 2017 | | 124,594 | |||||||||
Royal Bk Scotland Group Plc | PreferredStock | | 5,312 | |||||||||
RPM International Inc | 6.125% 15 Oct 2019 | | 244,876 | |||||||||
RR Donnelley & Sons | 7.25% 15 May 2018 | | 378,600 | |||||||||
Schlumberger Investment | 1.95% 14 Sep 2016 | | 94,976 | |||||||||
Schlumberger Norge | 1.95% 14 Sep 2016 | | 179,955 | |||||||||
Snap On Inc | 4.25% 15 Jan 2018 | | 122,241 | |||||||||
Southern Nat Gas | 7.35% 15 Feb 2031 | | 220,740 | |||||||||
Sprint Capital Corp | 6.875% 15 Nov2028 | | 201,003 | |||||||||
Talisman Energy Inc | 7.75% 01 Jun 2019 | | 36,553 | |||||||||
Talisman Energy Inc | 5.85% 01 Feb 2037 | | 72,337 | |||||||||
Talisman Energy Inc | 6.25% 01 Feb 2038 | | 178,384 | |||||||||
Textron Inc | 4.625% 21Sep2016 | | 306,860 | |||||||||
Time Warner Cable Inc | 5.85% 01 May 2017 | | 101,277 | |||||||||
Time Warner Cable Inc | 6.55% 01 May 2037 | | 168,586 | |||||||||
Time Warner Cable Inc | 6.625% 15 May 2029 | | 425,158 | |||||||||
Treehouse Foods Inc | 7.75% 01 Mar 2018 | | 187,188 | |||||||||
Tyco International | 4.125% 15 Oct 2014 | | 152,704 | |||||||||
United Health Group Inc | 6.0% 15 Feb 2018 | | 317,207 | |||||||||
United Parcel Service | 3.875% 01 Apr 2014 | | 237,219 | |||||||||
Unum Group | 5.625% 15 Sep 2020 | | 142,442 | |||||||||
US Steel Corp | 6.65% 01 Jun 2037 | | 227,367 | |||||||||
US Steel Corp | 7.375% 01 Apr 2020 | | 130,062 | |||||||||
Vale Overseas Limited | 6.875% 21 Nov 2036 | | 191,255 | |||||||||
Valero Energy Corp | 6.625% 15 Jun 2037 | | 275,471 |
43
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Votorantim Cimentos SA | 7.25% 05 Apr 2041 | | 191,202 | |||||||||
WAMU Mortgage Pass Thru | 1.0% 25 Mar 2035 | | 76,402 | |||||||||
Waste Management Inc | 6.375% 11 Mar 2015 | | 124,011 | |||||||||
WellPoint Inc | 6.0% 15 Feb 2014 | | 290,795 | |||||||||
Wells Fargo & Company | 4.6% 01 Apr 2021 | | 455,136 | |||||||||
Wells Fargo Mtg Bkd | 1.0% 25 Oct 2035 | | 356,099 | |||||||||
Western Union Co | 5.93% 01 Oct 2016 | | 178,141 | |||||||||
Willis North America Inc | 7.0% 29 Sep 2019 | | 39,598 | |||||||||
Windstream Corp | 8.125% 01 Sep 2018 | | 68,804 | |||||||||
Wyndham Worldwide | 7.375% 01 Mar 2020 | | 372,181 | |||||||||
Xerox Corp | 6.4% 15 Mar 2016 | | 179,115 | |||||||||
|
|
|||||||||||
Corporate and Other Obligations |
$ | 40,241,693 | ||||||||||
|
|
|||||||||||
Synthetic Guaranteed Investment Contracts: | ||||||||||||
Cash & Cash Equivalents | ||||||||||||
Australian Dollar | Cash | 16,758 | ||||||||||
Lehman Bankruptcy | Cash Collateral | (31,355 | ) | |||||||||
* | State Street Bank & Trust Co | Short-Term Investment Fund | 566,898 | |||||||||
* | State Street Bank & Trust Co | Short-Term Investment Fund | 3,529,239 | |||||||||
* | State Street Bank & Trust Co | Short-Term Investment Fund | 17,741,758 | |||||||||
* | State Street Bank & Trust Co | Short-Term Investment Fund | 1,524,081 | |||||||||
|
|
|||||||||||
23,347,379 | ||||||||||||
|
|
|||||||||||
U.S. Government and Government Agency Issues | ||||||||||||
Australian Government | 4.75% 15 Jun 2016 | | 743,209 | |||||||||
Australian Government | 5.25% 15 Mar 2019 | | 1,556,549 | |||||||||
Australian Government | 6.0% 15 Feb 2017 | | 2,591,412 | |||||||||
California St | 5.75% 01 Mar 2017 | | 448,099 | |||||||||
California St | 5.0% 01 Nov 2037 | | 497,907 | |||||||||
Fannie Mae | 1.0% 18Oct2012 | | 586,241 | |||||||||
Fannie Mae | 1.0% 17 Sep 2012 | | 1,817,172 | |||||||||
Fannie Mae | 2.625% 20 Nov 2014 | | 6,428,703 | |||||||||
Fed HM LN PC Pool 1J1214 | 4.0% 01 Mar 2025 | | 25,410 | |||||||||
Fed HM LN PC Pool A34902 | 5.5% 01 May 2035 | | 562,869 | |||||||||
Fed HM LN PC Pool B12817 | 4.0% 01 Mar 2014 | | 4,334 | |||||||||
Fed HM LN PC Pool B14039 | 4.0% 01 May 2014 | | 13,047 | |||||||||
Fed HM LN PC Pool B17493 | 4.0% 01 Dec 2014 | | 790,320 | |||||||||
Fed HM LN PC Pool E01343 | 5.0% 01 Apr 2018 | | 1,525,690 | |||||||||
Fed HM LN PC Pool E01377 | 4.5% 01 May 2018 | | 299,560 | |||||||||
Fed HM LN PC Pool E02697 | 4.0% 01 Jun 2025 | | 53,846 | |||||||||
Fed HM LN PC Pool E02783 | 4.0% 01 Sep 2025 | | 54,171 | |||||||||
Fed HM LN PC Pool E02883 | 4.0% 01 Apr 2026 | | 692,839 | |||||||||
Fed HM LN PC Pool E99842 | 4.0% 01 Oct 2013 | | 15,551 | |||||||||
Fed HM LN PC Pool G01843 | 6.0% 01 Jun 2035 | | 1,108,968 |
44
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Fed HM LN PC Pool G01890 | 4.0% 01 Nov 2013 | | 510,206 | |||||||||
Fed HM LN PC Pool G08084 | 4.0% 01 Apr 2026 | | 981,723 | |||||||||
Fed HM LN PC Pool G11542 | 4.0% 01 Apr 2014 | | 770,307 | |||||||||
Fed HM LN PC Pool G12743 | 5.5% 01Aug2022 | | 297,673 | |||||||||
Fed HM LN PC Pool G14093 | 4.5% 01 Oct 2035 | | 753,543 | |||||||||
Fed HM LN PC Pool G18268 | 5.0% 01Aug 2023 | | 1,054,780 | |||||||||
Fed HM LN PC Pool G18385 | 1.0% 01 Sep 2035 | | 65,202 | |||||||||
Fed HM LN PC Pool J11872 | 4.0% 01 Mar 2026 | | 53,840 | |||||||||
Fed HM LN PC Pool J14641 | 4.0% 01 Mar 2025 | | 760,259 | |||||||||
Fed HM LN PC Pool J15157 | 4.0% 01 Apr 2026 | | 30,422 | |||||||||
Fed HM LN PC Pool Q00628 | 4.5% 01 May 2041 | | 525,519 | |||||||||
Fed HM LN PC Pool Q01947 | 4.5% 01 Jul 2042 | | 2,069,330 | |||||||||
Fed HM LN PC Pool Q03572 | 4.0% 01 Sep 2041 | | 4,621,197 | |||||||||
Fed HM LN PC Pool Q03681 | 4.0% 01 Oct 2041 | | 4,022,034 | |||||||||
Fed HM LN PC Pool Q03780 | 4.0% 01 Oct 2017 | | 55,076 | |||||||||
Fed HM LN Pool 1N1417 | 1.0% 01 Feb 2037 | | 133,695 | |||||||||
Fed HM LN Pool 1Q0669 | 1.0% 01 Nov 2037 | | 110,853 | |||||||||
Fed HM LN Pool 1Q1159 | 1.0% 01 May 2038 | | 1,054,549 | |||||||||
Fed HM LN Pool A89385 | 4.5% 01 Oct 2039 | | 5,128,386 | |||||||||
Fed HM LN Pool G03205 | 5.5% 01 Jul 2035 | | 216,992 | |||||||||
Fed HM LN Pool G04731 | 5.5% 01 Apr 2038 | | 2,349,688 | |||||||||
Federal Farm Credit Bank | 1.0% 29 Sep 2014 | | 839,913 | |||||||||
Federal Farm Credit Bank | 1.0% 12 Oct 2012 | | 1,172,367 | |||||||||
Federal Farm Credit Bank | 1.0% 26 Jun 2013 | | 2,444,507 | |||||||||
Federal Farm Credit Bank | 1.0% 13 Nov 2012 | | 2,637,786 | |||||||||
Federal Farm Credit Bank | 1.0% 20 Sep 2012 | | 2,930,940 | |||||||||
Federal Farm Credit Bank | 1.0% 26 Apr 2013 | | 5,191,097 | |||||||||
Federal Home Loan Bank | 3.625% 18 Oct 2013 | | 7,778,308 | |||||||||
Federal Natl Mtg Assn | 1.0% 25 May 2030 | | 1,133,540 | |||||||||
Federal Natl Mtg Assn | 3.0% 01 Dec 2099 | | 8,039,296 | |||||||||
FHLMC TBA | 4.0% 31 Dec 2099 | | (4,097,125 | ) | ||||||||
FHLMC TBA | 3.5% 01 Dec 2099 | | | |||||||||
FHLMC TBA | 4.5% 01 Dec 2099 | | 1,034,195 | |||||||||
FICO Strip | 0.01% 06 Oct 2015 | | 187,914 | |||||||||
FICO Strip | 0.01% 07 Mar 2019 | | 281,015 | |||||||||
FICO Strip | 0.01% 07 Mar 2019 | | 299,890 | |||||||||
FICO Strip | 0.01% 26 Sep 2019 | | 352,193 | |||||||||
FICO Strip | 0.01% 08 Aug 2015 | | 414,620 | |||||||||
FICO Strip | 0.01% 26 Sep 2014 | | 694,537 | |||||||||
FICO Strip | 0.01% 11 May 2013 | | 779,616 | |||||||||
FICO Strip | 0.01% 27 Dec 2012 | | 1,796,010 | |||||||||
FICO Strip | 0.01% 03 Feb 2017 | | 2,616,124 | |||||||||
FICO Strip | 0.01% 30 Nov 2017 | | 2,675,707 | |||||||||
Financing Corp | 9.8% 06 Apr 2018 | | 350,104 | |||||||||
Financing Corp | 0.01% 27 Dec 2018 | | 509,232 | |||||||||
FNMA Pool 254088 | 5.5% 01 Dec 2016 | | 45,165 | |||||||||
FNMA Pool 254140 | 5.5% 01 Jan 2017 | | 130,049 | |||||||||
FNMA Pool 254693 | 5.5% 01 Apr 2033 | | 422,140 | |||||||||
FNMA Pool 254722 | 5.5% 01 May 2018 | | 373,639 |
45
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
FNMA Pool 255364 | 6.0% 01 Sep 2034 | | 372,781 | |||||||||
FNMA Pool 255765 | 5.0% 01 Jul 2020 | | 93,945 | |||||||||
FNMA Pool 256101 | 5.5% 01 Feb 2036 | | 1,205,762 | |||||||||
FNMA Pool 256925 | 6.0% 01 Oct 2037 | | 1,178,022 | |||||||||
FNMA Pool 323348 | 8.5% 01 Jun 2012 | | 12 | |||||||||
FNMA Pool 545904 | 5.5% 01 Sep 2017 | | 232,900 | |||||||||
FNMA Pool 555541 | 1.0% 01 Apr 2033 | | 62,655 | |||||||||
FNMA Pool 722999 | 5.0% 01 Jul 2018 | | 800,668 | |||||||||
FNMA Pool 725027 | 5.0% 01 Nov 2033 | | 225,389 | |||||||||
FNMA Pool 725222 | 5.5% 01 Feb 2034 | | 523,544 | |||||||||
FNMA Pool 725423 | 5.5% 01 May 2034 | | 384,310 | |||||||||
FNMA Pool 725424 | 5.5% 01 Apr 2034 | | 188,386 | |||||||||
FNMA Pool 725690 | 6.0% 01Aug 2034 | | 145,561 | |||||||||
FNMA Pool 725946 | 5.5% 01 Nov 2034 | | 498,658 | |||||||||
FNMA Pool 735141 | 5.5% 01 Jan 2035 | | 735,064 | |||||||||
FNMA Pool 735224 | 5.5% 01 Feb 2035 | | 958,334 | |||||||||
FNMA Pool 735592 | 5.0% 01 May 2034 | | 993,761 | |||||||||
FNMA Pool 735667 | 5.0% 01 Jul 2035 | | 3,446,935 | |||||||||
FNMA Pool 743132 | 5.0% 01 Oct 2018 | | 795,943 | |||||||||
FNMA Pool 745275 | 5.0% 01 Feb 2036 | | 1,735,091 | |||||||||
FNMA Pool 745275 | 5.0% 01 Feb 2036 | | 3,311,681 | |||||||||
FNMA Pool 745327 | 6.0% 01 Mar 2036 | | 263,152 | |||||||||
FNMA Pool 756363 | 1.0% 01 Dec 2033 | | 168,313 | |||||||||
FNMA Pool 770946 | 5.0% 01 Apr 2034 | | 660,132 | |||||||||
FNMA Pool 77691 | 5.0% 01 Apr 2034 | | 739,679 | |||||||||
FNMA Pool 831540 | 6.0% 01 Jun 2036 | | 905,473 | |||||||||
FNMA Pool 837220 | 4.5% 01Aug 2020 | | 1,746,035 | |||||||||
FNMA Pool 841068 | 4.5% 01 Feb 2039 | | 402,441 | |||||||||
FNMA Pool 844444 | 5.0% 01 Dec 2035 | | 1,280,643 | |||||||||
FNMA Pool 848647 | 5.5% 01 Jan 2036 | | 744,758 | |||||||||
FNMA Pool 871117 | 5.5% 01 Dec 2036 | | 995,979 | |||||||||
FNMA Pool 871288 | 6.0% 01 May 2036 | | 451,772 | |||||||||
FNMA Pool 880611 | 5.5% 01 Apr 2036 | | 927,158 | |||||||||
FNMA Pool 880626 | 5.5% 01 Apr 2036 | | 1,651,372 | |||||||||
FNMA Pool 881655 | 1.0% 01 Mar 2036 | | 108,654 | |||||||||
FNMA Pool 888340 | 5.0% 01Aug 2036 | | 871,371 | |||||||||
FNMA Pool 888521 | 1.0% 01 Mar 2034 | | 286,106 | |||||||||
FNMA Pool 888789 | 5.0% 01 Jul 2036 | | 262,810 | |||||||||
FNMA Pool 889004 | 1.0% 01Aug 2037 | | 535,873 | |||||||||
FNMA Pool 889040 | 5.0% 01 Jun 2037 | | 569,219 | |||||||||
FNMA Pool 889190 | 6.0% 01 Mar 2038 | | 84,642 | |||||||||
FNMA Pool 889361 | 6.0% 01 Mar 2038 | | 653,215 | |||||||||
FNMA Pool 889369 | 6.0% 01 Feb 2038 | | 843,085 | |||||||||
FNMA Pool 889544 | 5.5% 01 May 2038 | | 658,543 | |||||||||
FNMA Pool 889579 | 6.0% 01 May 2038 | | 902,167 | |||||||||
FNMA Pool 889750 | 6.0% 01 May 2038 | | 271,679 | |||||||||
FNMA Pool 902397 | 1.0% 01 Nov 2036 | | 102,725 | |||||||||
FNMA Pool 930612 | 4.0% 01 May 2024 | | 278,528 | |||||||||
FNMA Pool 931252 | 3.5% 01 Dec 2040 | | 21,795 |
46
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
FNMA Pool 931745 | 5.0% 01 Aug 2024 | | 3,866,770 | |||||||||
FNMA Pool 932847 | 4.0% 01 Apr 2024 | | 1,001,082 | |||||||||
FNMA Pool 986148 | 5.5% 01 Jan 2038 | | 2,525,164 | |||||||||
FNMA Pool 995018 | 5.5% 01 Jun 2038 | | 1,953,891 | |||||||||
FNMA Pool 995051 | 6.0% 01 Mar 2037 | | 1,713,906 | |||||||||
FNMA Pool AA2549 | 4.0% 01 Apr 2039 | | 816,686 | |||||||||
FNMA Pool AA4302 | 4.5% 01 Apr 2039 | | 508,881 | |||||||||
FNMA Pool AA5780 | 4.5% 01 Jul 2040 | | 933,506 | |||||||||
FNMA Pool AA6450 | 4.5% 01 Sep 2040 | | 2,298,758 | |||||||||
FNMA Pool AB1250 | 3.5% 01 Oct 2025 | | 690,250 | |||||||||
FNMA Pool AB1600 | 4.0% 01 Oct 2025 | | 946,563 | |||||||||
FNMA Pool AB1609 | 3.5% 01 Dec 2040 | | 5,749,527 | |||||||||
FNMA Pool AB1949 | 4.0% 01 Mar 2039 | | 487,022 | |||||||||
FNMA Pool AD1593 | 3.5% 01 Nov 2041 | | 36,734 | |||||||||
FNMA Pool AD1910 | 4.0% 01 Sep 2040 | | 1,002,830 | |||||||||
FNMA Pool AD5026 | 4.0% 01 Sep 2025 | | 268,126 | |||||||||
FNMA Pool AD8265 | 4.5% 01 Sep 2040 | | 94,212 | |||||||||
FNMA Pool AD8529 | 4.5% 01 Aug 2040 | | 1,019,444 | |||||||||
FNMA Pool AD9843 | 3.5% 01 Dec 2025 | | 87,713 | |||||||||
FNMA Pool AE0061 | 6.0% 01 Feb 2040 | | 427,805 | |||||||||
FNMA Pool AE0349 | 6.0% 01 Apr 2040 | | 1,477,146 | |||||||||
FNMA Pool AE0368 | 4.5% 01 Dec 2040 | | 905,906 | |||||||||
FNMA Pool AE0480 | 6.0% 01 Jul 2039 | | 189,351 | |||||||||
FNMA Pool AE0824 | 3.5% 01 Feb 2041 | | 203,914 | |||||||||
FNMA Pool AE0828 | 3.5% 01 Mar 2041 | | 971,802 | |||||||||
FNMA Pool AE0898 | 1.0% 01 Oct 2039 | | 876,061 | |||||||||
FNMA Pool AE0981 | 3.5% 01 Oct 2025 | | 960,298 | |||||||||
FNMA Pool AE1016 | 4.0% 01 Aug 2025 | | 943,004 | |||||||||
FNMA Pool AE1332 | 4.0% 01 Oct 2040 | | 249,245 | |||||||||
FNMA Pool AE1807 | 3.5% 01 Sep 2040 | | 1,049,074 | |||||||||
FNMA Pool AE2570 | 3.5% 01 Jan 2026 | | 93,245 | |||||||||
FNMA Pool AE3771 | 3.5% 01 Sep 2040 | | 28,465 | |||||||||
FNMA Pool AE4287 | 4.0% 01 Sep 2040 | | 30,043 | |||||||||
FNMA Pool AE4705 | 3.5% 01 Oct 2025 | | 321,863 | |||||||||
FNMA Pool AE4877 | 3.5% 01 Nov 2040 | | 407,349 | |||||||||
FNMA Pool AE8392 | 3.5% 01 Nov 2040 | | 1,969,018 | |||||||||
FNMA Pool AE8394 | 4.5% 01 Nov 2040 | | 318,011 | |||||||||
FNMA Pool AE8442 | 3.5% 01 Dec 2025 | | 423,163 | |||||||||
FNMA Pool AE9449 | 10.7% 06 Oct 2017 | | 897,494 | |||||||||
FNMA Pool AH1105 | 3.5% 01 Dec 2025 | | 576,565 | |||||||||
FNMA Pool AH1318 | 3.5% 01 Jan 2026 | | 85,779 | |||||||||
FNMA Pool AH1882 | 3.5% 01 Jan 2027 | | 21,722 | |||||||||
FNMA Pool AH2680 | 3.5% 01 Jan 2041 | | 92,432 | |||||||||
FNMA Pool AH2815 | 3.5% 01 Mar 2026 | | 2,347,941 | |||||||||
FNMA Pool AH2857 | 3.5% 01 Jan 2026 | | 288,344 | |||||||||
FNMA Pool AH5463 | 4.5% 01 Jul 2041 | | 78,956 | |||||||||
FNMA Pool AH6737 | 4.0% 01 Feb 2026 | | 999,654 | |||||||||
FNMA Pool AH8702 | 3.5% 01 May 2026 | | 316,576 | |||||||||
FNMA Pool AH9523 | 4.5% 01 Aug 2041 | | 851,023 |
47
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
FNMA Pool AH9706 | 3.5% 01 Jan 2026 | | 941,710 | |||||||||
FNMA Pool AI0344 | 3.5% 01 Oct 2041 | | 107,076 | |||||||||
FNMA Pool AI0477 | 3.5% 01 Sep 2041 | | 188,890 | |||||||||
FNMA Pool AI0828 | 3.5% 01 Oct 2041 | | 876,406 | |||||||||
FNMA Pool AI2897 | 4.5% 01 May 2041 | | 147,155 | |||||||||
FNMA Pool AI3654 | 4.5% 01 May 2042 | | 823,985 | |||||||||
FNMA Pool AL0270 | 1.0% 01 Aug 2038 | | 820,929 | |||||||||
FNMA Pool AL030 | 4.5% 01 Jun 2026 | | 3,089,671 | |||||||||
FNMA Pool AL0920 | 5.0% 01 Jul 2037 | | 2,206,272 | |||||||||
FNMA Pool AL0921 | 4.5% 01 Jun 2038 | | 3,470,734 | |||||||||
FNMA Pool MA0006 | 4.0% 01 Feb 2026 | | 251,013 | |||||||||
FNMA Pool MA0614 | 4.0% 01 Jan 2041 | | 1,342,943 | |||||||||
FNMA Pool MA0649 | 4.5% 01 Jun 2041 | | 240,572 | |||||||||
FNMA Pool MA0694 | 4.5% 01 Jun 2041 | | 270,337 | |||||||||
FNMA Pool MA0755 | 3.5% 01 Oct 2041 | | 386,501 | |||||||||
FNMA Pool MA0914 | 4.5% 01 Feb 2040 | | 793,866 | |||||||||
FNMA Pool MA0932 | 3.5% 01 Dec 2041 | | 2,866,277 | |||||||||
FNMA TBA | 3.5% 01 Dec 2099 | | (4,015,378 | ) | ||||||||
FNMA TBA | 4.0% 01 Dec 2099 | | (3,076,047 | ) | ||||||||
FNMA TBA | 3.5% 01 Dec 2099 | | (2,041,242 | ) | ||||||||
FNMA TBA | 4.0% 01 Dec 2099 | | 2,050,698 | |||||||||
FNMA TBA | 4.5% 01 Dec 2099 | | 3,115,853 | |||||||||
FNMA TBA | 4.0% 01 Dec 2099 | | 1,794,361 | |||||||||
FNMA TBA Single Fam | 6.0% 01 Dec 2099 | | | |||||||||
FNMA TBA Single Fam | 4.5% 01 Dec 2099 | | 1,188,191 | |||||||||
FNMA TBA Single Fam | 4.0% 01 Dec 2099 | | 7,080,034 | |||||||||
Freddie Mac | 1.0% 15 Dec 2029 | | 34,583 | |||||||||
Freddie Mac | 5.5% 18 Jul 2016 | | 442,316 | |||||||||
Freddie Mac | 4.875% 13 Jun 2018 | | 4,304,554 | |||||||||
Freddie Mac | 3.75% 27 Mar 2019 | | 4,685,352 | |||||||||
GNMA II TBA | 4.0% 01 Dec 2099 | | 1,837,362 | |||||||||
Illinois St | 4.421% 01 Jan 2015 | | 263,990 | |||||||||
Illinois St | 4.421% 01 Jan 2015 | | 507,673 | |||||||||
Illinois St | 4.95% 01 Jun 2023 | | 1,638,506 | |||||||||
Illinois St | 3.321% 01 Jan 2015 | | 2,195,471 | |||||||||
Irvine Ranch CA | 2.605% 15 Mar 2014 | | 1,420,158 | |||||||||
Japan Treasury Disc Bill | 0.01% 20 Feb 2012 | | 3,298,007 | |||||||||
Kentucky ST Property | 5.373% 01 Nov 2025 | | 329,915 | |||||||||
New York City Transitional | 5.075% 01 Nov 2025 | | 110,792 | |||||||||
New York City Transitional | 4.725% 01 Nov 2023 | | 114,170 | |||||||||
New York City Transitional | 4.905% 01 Nov 2024 | | 115,690 | |||||||||
North Carolina State Education | 1.0% 25 Jul 2025 | | 1,351,108 | |||||||||
Overseas Private Inv Corp | 0.01% 12 Jul 2016 | | 3,408,946 | |||||||||
Province of Ontario | 4.1% 16 Jun 2014 | | 875,781 | |||||||||
Province of Ontario | 4.5% 03 Feb 2015 | | 1,286,192 | |||||||||
Province of Quebec | 4.6% 26 May 2015 | | 1,292,589 | |||||||||
Republic of Poland | 6.375% 15 Jul 2019 | | 43,241 | |||||||||
Republic of Poland | 3.875% 16 Jul 2015 | | 427,971 | |||||||||
Resolution Funding Strip | 0.01% 15 Jan 2014 | | 365,678 |
48
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Resolution Funding Strip | 0.01% 15 Apr 2015 | | 824,177 | |||||||||
Resolution Funding Strip | 0.01% 15 Jan 2017 | | 920,441 | |||||||||
RFSCP Strip Principal | 0.01% 15 Jul 2020 | | 3,494,386 | |||||||||
Russian Foreign Bond | 1.0% 31Mar2030 | | 207,100 | |||||||||
Small Business Administration | 7.06% 01 Nov 2019 | | 80,827 | |||||||||
Small Business Administration | 7.19% 01 Dec 2019 | | 156,965 | |||||||||
Small Business Administration | 5.68% 01 Jun 2028 | | 865,658 | |||||||||
South Carolina St Public Svc | 1.0% 02 Jun 2014 | | 1,465,858 | |||||||||
State of Qatar | 4.5% 20 Jan 2022 | | 281,503 | |||||||||
Tobacco Settlement | 5.875% 15 May 2039 | | 293,503 | |||||||||
Treasury Bill | 0.01% 12 Jan 2012 | | 3,660,315 | |||||||||
Treasury INFL IX N/B | 1.25% 15 Jul 2020 | | | |||||||||
Treasury INFL IX N/B | 0.625% 15 Jul 2021 | | 734,343 | |||||||||
Treasury INFL IX N/B | 1.125% 15 Jan 2021 | | 3,605,746 | |||||||||
United States Treasury Bill | 0.042% Jun 21 2012 | | 1,756,684 | |||||||||
US Treasury N/B | 1.375% 30 Nov 2015 | | 15,087 | |||||||||
US Treasury N/B | 2.5% 30 Apr 2015 | | 119,792 | |||||||||
US Treasury N/B | 6.125% 15 Nov 2027 | | 145,071 | |||||||||
US Treasury N/B | 7.875% 15 Feb 2021 | | 148,952 | |||||||||
US Treasury N/B | 6.25% 15 Aug 2023 | | 279,405 | |||||||||
US Treasury N/B | 1.875% 30 Sep 2017 | | 306,163 | |||||||||
US Treasury N/B | 2.125% 15 Aug 2021 | | 555,610 | |||||||||
US Treasury N/B | 1.375% 31 Dec 2018 | | 586,750 | |||||||||
US Treasury N/B | 3.75% 15 Aug 2041 | | 688,782 | |||||||||
US Treasury N/B | 2.75% 15 Feb 2019 | | 855,235 | |||||||||
US Treasury N/B | 3.125% 15 Nov 2041 | | 956,134 | |||||||||
US Treasury N/B | 2.25% 31 Jul 2018 | | 1,245,792 | |||||||||
US Treasury N/B | 2.375% 31Mar2016 | | 1,254,302 | |||||||||
US Treasury N/B | 2.625% 15 Nov 2020 | | 1,260,982 | |||||||||
US Treasury N/B | 1.375% 15 Feb 2013 | | 1,270,979 | |||||||||
US Treasury N/B | 2.375% 31 Jul 2017 | | 1,489,672 | |||||||||
US Treasury N/B | 1.875% 31 Aug 2017 | | 1,634,580 | |||||||||
US Treasury N/B | 3.375% 15 Nov 2019 | | 1,891,527 | |||||||||
US Treasury N/B | 1.0% 30 Sep 2016 | | 1,972,305 | |||||||||
US Treasury N/B | 2.0% 15 Nov 2021 | | 2,068,226 | |||||||||
US Treasury N/B | 1.0% 30 Apr 2012 | | 2,584,922 | |||||||||
US Treasury N/B | 2.625% 15 Aug 202 | | 2,737,086 | |||||||||
US Treasury N/B | 3.625% 15 Feb 2021 | | 3,626,408 | |||||||||
US Treasury N/B | 1.875% 30 Jun 2015 | | 3,661,465 | |||||||||
US Treasury N/B | 1.75% 15 Apr 2013 | | 3,857,394 | |||||||||
US Treasury N/B | 0.875% 30 Nov 2016 | | 4,719,074 | |||||||||
US Treasury N/B | 2.0% 15 Nov 2021 | | 4,837,379 | |||||||||
US Treasury N/B | 2.625% 29 Feb 2016 | | 4,948,370 | |||||||||
US Treasury N/B | 2.125% 31 Dec 2015 | | 5,077,961 | |||||||||
US Treasury N/B | 1.125% 15 Aug 2021 | | 5,506,045 | |||||||||
US Treasury N/B | 1.75% 15 Apr 2013 | | 6,883,581 | |||||||||
US Treasury N/B | 1.375% 15 Sep 2012 | | 7,045,284 | |||||||||
US Treasury N/B | 1.5% 30 Jun 2016 | | 10,195,057 | |||||||||
US Treasury N/B | 3.625% 15 Feb 2020 | | 12,797,627 |
49
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
US Treasury N/B | 2.625% 15 Aug 2020 | | 14,222,320 | |||||||||
US Treasury N/B | 2.625% 29 Feb 2016 | | 14,771,253 | |||||||||
US Treasury N/B | 3.625% 15 May 2013 | | 16,735,364 | |||||||||
US Treasury N/B | 2.125% 31 May 2015 | | 41,506,845 | |||||||||
US Treasury NTS | 1.875% 15 Jul 2013 | | 5,656,494 | |||||||||
US Treasury NTS | 2.625% 15 Nov 2020 | | 11,047,566 | |||||||||
WI Treasury Sec | 1.0% 31 Aug 2016 | | 22,473,536 | |||||||||
|
|
|||||||||||
463,347,720 | ||||||||||||
|
|
|||||||||||
Corporate and Other Obligations | ||||||||||||
ACE Ina Hldg Inc | 5.6% 15 May 2015 | | 201,441 | |||||||||
Agilent Technologies Inc | 6.5% 01 Nov 2017 | | 570,828 | |||||||||
Agilent Technologies | 5.0% 15 Jul 2020 | | 78,693 | |||||||||
Alcoa Inc | 6.15% 15 Aug 2020 | | 365,087 | |||||||||
Allied World Assurance | 7.5% 01 Aug 2016 | | 181,760 | |||||||||
Allstate Corp | 5.0% 15 Aug 2014 | | 474,003 | |||||||||
Ally Auto Receivables Trust | 0.8% 16 Jun 2014 | | 643,805 | |||||||||
Altria Group Inc | 4.75% 05 May 2021 | | 961,864 | |||||||||
Altria Group Inc | 9.25% 06 Aug 2019 | | 432,513 | |||||||||
Ameren Corporation | 8.875% 15 May 2014 | | 229,692 | |||||||||
America Movil SAB | 3.625% 30 Mar 2015 | | 731,311 | |||||||||
American Express | 1.0% 17 Apr 2017 | | 951,711 | |||||||||
American Express Bank | 5.55% 17 Oct 2012 | | 403,467 | |||||||||
American Express Bank | 5.5% 16 Apr 2013 | | 255,064 | |||||||||
American Express Centurion Bank | 5.55% 17 Oct 2012 | | 578,565 | |||||||||
American Express Co | 5.5% 12 Sep 2016 | | 381,923 | |||||||||
American Express Co | 6.15% 28 Aug 2017 | | 608,387 | |||||||||
American Express Cr Corp | 7.3% 20 Aug 2013 | | 481,985 | |||||||||
American Intl Group | 3.65% 15 Jan 2014 | | 511,902 | |||||||||
American Intl Group | 4.875% 15 Sep 2016 | | 369,472 | |||||||||
American Tower Corp | 5.05% 01 Sep 2020 | | 376,473 | |||||||||
Americredit Auto Receivables | 1.39% 08 Sep 2015 | | 409,705 | |||||||||
Americredit Auto Receivables | 1.55% 08 Jul 2016 | | 892,403 | |||||||||
Americredit Automobile | 1.39% 08 Sep 2015 | | 438,970 | |||||||||
Americredit Automobile Receivables | 0.92% 09 Mar 2015 | | 341,144 | |||||||||
Americredit Automobile Receivables | 1.19% 08 Aug 2015 | | 229,621 | |||||||||
Ameriprise Financial Inc | 5.3% 15 Mar 2020 | | 252,079 | |||||||||
Amgen Inc | 2.5% 15 Nov 2016 | | 1,368,095 | |||||||||
Amgen Inc | 3.875% 15 Nov 2021 | | 684,564 | |||||||||
Anadarko Petroleum Corp | 5.95% 15 Sep 2016 | | 85,196 | |||||||||
Anglogold Holdings Plc | 5.375% 15 Apr 2020 | | 300,607 | |||||||||
Anheuser Busch Cos | 5.05% 15 Oct 2016 | | 1,556,403 | |||||||||
Aon Corp | 3.5% 30 Sep 2015 | | 485,786 | |||||||||
ArcelorMittal | 5.5% 01 Mar 2021 | | 528,616 | |||||||||
ArcelorMittal | 6.125% 01 Jun 2018 | | 174,474 | |||||||||
ArcelorMittal | 6.5% 15 Apr 2014 | | 206,390 | |||||||||
Asciano Finance | 3.125% 23 Sep 2015 | | 457,800 |
50
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
AT&T Inc | 5.8% 15 Feb 2019 | | 1,693,162 | |||||||||
AT&T Inc | 5.8% 15 Feb 2019 | | 472,242 | |||||||||
AT&T Inc | 5.625% 15 Jun 2016 | | 459,092 | |||||||||
Autozone Inc | 5.75% 15 Jan 2015 | | 551,065 | |||||||||
Banc of America Commerical Mtg | 5.414% 10 Sep 2047 | | 1,777,219 | |||||||||
Banc of America Funding Corp | 1.0% 25 May 2035 | | 203,385 | |||||||||
* | Bank Amer NA | 6.1% 15 Jun 2017 | | 293,890 | ||||||||
* | Bank of America Corp | 5.75% 01 Dec 2017 | | 1,014,128 | ||||||||
* | Bank of America Corp | 1.0% 30 Jan 2014 | | 1,674,342 | ||||||||
* | Bank of America Corp | 5.65% 01 May 2018 | | 869,522 | ||||||||
* | Bank of America Corp | 3.75% 12 Jul 2016 | | 275,652 | ||||||||
* | Bank of America Corp | 5.65% 01 May 2018 | | 125,546 | ||||||||
* | Bank of America Corp | 7.625% 01 Jun 2019 | | 171,613 | ||||||||
* | Bank of America Corp | 5.625% 01 Jul 2020 | | 761,890 | ||||||||
* | Bank of America Corp | 7.375% 15 May 2014 | | 485,791 | ||||||||
* | Bank of America Corp | 3.75% 12 Jul 2016 | | 402,181 | ||||||||
* | Bank of America Corp | 5.42% 15 Mar 2017 | | 264,191 | ||||||||
* | Bank of America Corp | 5.49% 15 Mar 2019 | | 757,170 | ||||||||
Barclays Bank Plc | 2.375% 13 Jan 2014 | | 1,624,128 | |||||||||
* | Baxter International Inc | 1.85% 15 Jan 2017 | | 216,408 | ||||||||
Bay View Fincl Secs Co | 5.208% 28 Apr 2039 | | 279,462 | |||||||||
Beam Inc | 5.375% 15 Jan 2016 | | 34,295 | |||||||||
Bear Stearns Coml Mth Secs | 5.533% 21 Oct 2041 | | 204,756 | |||||||||
Bear Stearns Coml Mth Secs | 1.0% 13 Aug 2038 | | 108,343 | |||||||||
Bear Stearns Coml Mth Secs | 1.0% 11 Sep 2038 | | 209,743 | |||||||||
Bear Stearns Commercial Mtg | 1.0% 11 Sep 2038 | | 277,641 | |||||||||
Bear Stearns Commercial Mtg | 5.54% 11 Sep 2041 | | 744,379 | |||||||||
Bear Stearns Commercial Mtg | 1.0% 11 Jun 2040 | | 1,084,660 | |||||||||
Bear Stearns Cos | 5.3% 30 Oct 2015 | | 839,739 | |||||||||
Bear Stearns Cos | 6.4% 02 Oct 2017 | | 1,090,513 | |||||||||
Bear Stearns Cos | 7.25% 01 Feb 2018 | | 863,959 | |||||||||
Bear Stearns Cos | 5.55% 22 Jan 2017 | | 345,692 | |||||||||
Bears Sterns Adjustable Rate | 1.0% 25 Aug 2033 | | 118,073 | |||||||||
Berkshire Hathaway Fin Corp | 5.4% 15 May 2018 | | 660,232 | |||||||||
BHP Billiton Finance | 7.25% 01 Mar 2016 | | 282,972 | |||||||||
BMW Vehicle Lease Trust | 0.64% 22 Apr 2013 | | 746,422 | |||||||||
Boeing Capital Corp | 2.125% 15 Aug 2016 | | 962,220 | |||||||||
Boeing Co | 5.125% 15 Feb 2013 | | 465,623 | |||||||||
Boston PPTYS Ltd | 6.25% 15 Jan 2013 | | 74,054 | |||||||||
Boston PPTYS Ltd | 5.0% 01 Jun 2015 | | 179,703 | |||||||||
Boston PPTYS Ltd | 5.625% 15 Apr 2015 | | 139,984 | |||||||||
BP Capital Markets | 3.125% 01 Oct 2015 | | 899,691 | |||||||||
BP Capital Markets | 3.125% 01 Oct 2015 | | 1,022,376 | |||||||||
BP Capital Markets | 4.5% 01 Oct 2020 | | 752,524 | |||||||||
BPCE SA | 1.0% 07 Feb 2014 | | 1,021,773 | |||||||||
Bunge Limited | 5.875% 15 May 2013 | | 116,831 | |||||||||
Bunge Limited | 8.5% 15 Jun 2019 | | 298,221 | |||||||||
Burlington North Santa Fe | 7.0% 01 Feb 2014 | | 322,624 | |||||||||
Cameron Intl Corp | 1.0% 02 Jun 2014 | | 945,668 |
51
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Canadian Natl Railway | 1.45% 15 Dec 2016 | | 922,584 | |||||||||
Canadian Pacific RR | 6.5% 15 May 2018 | | 67,567 | |||||||||
Capital One Bank | 8.8% 15 Jul 2019 | | 569,483 | |||||||||
Capital One Financial | 5.25% 21 Feb 2017 | | 390,661 | |||||||||
Capital One Financial | 7.375% 23 May2014 | | 627,376 | |||||||||
Capital One Financial | 2.125% 15 Jul 2014 | | 934,666 | |||||||||
Capital One Multi Asset | 1.0% 15 Mar 2017 | | 559,669 | |||||||||
Carmax Auto Owner Trust | 2.82% 15 Dec 2014 | | 215,627 | |||||||||
Carmax Auto owner Trust | 1.410% 16 Feb 2016 | | 923,755 | |||||||||
Carmax AutoTrust | 1.29% 15 Sep 2015 | | 848,659 | |||||||||
Carolina Power & Light | 6.5% 15 Jul 2012 | | 643,368 | |||||||||
CBS Corp | 8.875% 15 May 2019 | | 213,125 | |||||||||
Cellco Part/Veri Wireless | 5.55% 01 Feb 2014 | | 392,378 | |||||||||
Centerpoint Energy | 4.5% 15 Jan 2020 | | 103,379 | |||||||||
Chase Issuance Trust | 1.0% 16 Jun 2014 | | 1,260,167 | |||||||||
Cincinnati Finl Corp | 6.125% 01 Nov 2034 | | 121,419 | |||||||||
Cincinnati Finl Corp | 6.920% 15 May 2028 | | 700,857 | |||||||||
Citibank Omni Master Trust | 1.0% 15 Aug 2018 | | 849,855 | |||||||||
Citifinancial Mortgage Security | 1.0% 25 Jan 2033 | | 68,048 | |||||||||
Citigroup Inc | 6.125% 21 Nov 2017 | | 2,708,447 | |||||||||
Citigroup Inc | 5.5% 11 Apr 2013 | | 199,302 | |||||||||
Citigroup Inc | 6.01% 15 Jan 2015 | | 871,863 | |||||||||
Citigroup Inc | 5.3% 07 Jan 2016 | | 283,390 | |||||||||
Citigroup Inc | 6.5% 19 Aug 2020 | | 284,500 | |||||||||
Citigroup Inc | 5.375% 09 Aug 2020 | | 197,725 | |||||||||
Citigroup Inc | 5.85% 02 Jul 2013 | | 797,723 | |||||||||
Citigroup Inc | 5.5% 11 Apr 2013 | | 508,220 | |||||||||
Citigroup Inc | 5.375% 09 Aug 2020 | | 431,583 | |||||||||
Citigroup Inc | 4.5% 14 Jan 2022 | | 394,388 | |||||||||
Citigroup Mortgage Loan Trust | 1.0% 25 May 2037 | | 11,815 | |||||||||
Citigroup/Deutsche Bank Comm | 5.322% 11 Dec 2049 | | 1,449,405 | |||||||||
Citigroup/Deutsche Bank Comm | 5.431% 15 Oct 2049 | | 249,360 | |||||||||
Cleveland Elec Illum Co | 5.7% 01 Apr 2017 | | 429,494 | |||||||||
Clorox Company | 5.95% 15 Oct 2017 | | 536,029 | |||||||||
CNH 2010 A | 2.49% 15 Jan 2016 | | 1,267,974 | |||||||||
CNH 2010 B | 1.74% 17 Jan 2017 | | 1,030,684 | |||||||||
Coca Cola Co | 3.3% 01 Sep 2021 | | 1,438,988 | |||||||||
Comcast Corp | 4.95% 15 Jun 2016 | | 697,240 | |||||||||
Comcast Corp | 5.85% 15 Nov 2015 | | 1,043,890 | |||||||||
Comcast Corp | 5.15% 01 Mar 2020 | | 555,019 | |||||||||
Comcast Corp | 4.95% 15 Jun 2016 | | 178,364 | |||||||||
Comcast Corp | 6.5% 15 Jan 2017 | | 200,909 | |||||||||
Comcast Corp | 6.3% 15 Nov 2017 | | 542,621 | |||||||||
Comcast Corp | 5.15% 01 Mar 2020 | | 455,115 | |||||||||
Consolidated Edison Co | 5.3% 01 Dec 2016 | | 911,176 | |||||||||
Constellation Energy | 5.15% 01 Dec 2020 | | 412,513 | |||||||||
Consumers Energy Co | 5.375% 15 Apr 2013 | | 318,384 | |||||||||
Countrywide Alternative Loan | 1.0% 25 Dec 2035 | | 61,390 | |||||||||
Countrywide Asset Backed | 1.0% 25 Feb 2035 | | 242,406 |
52
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Countrywide Finl Corp | 6.25% 15 May 2016 | | 67,131 | |||||||||
Coventry Health Care Inc | 6.125% 15 Jan 2015 | | 32,058 | |||||||||
Coventry Health Care Inc | 5.95% 15 Mar 2017 | | 93,140 | |||||||||
Coventry Health Care Inc | 6.3% 15 Aug 2014 | | 276,132 | |||||||||
Cox Communications | 5.45% 15 Dec 2014 | | 1,056,396 | |||||||||
Credit Based Asset Servicing | 1.0% 25 Jan 2033 | | 171,208 | |||||||||
Credit Suisse Mortgage | 1.0% 15 Jun 2038 | | 629,717 | |||||||||
Credit Suisse Mortgage | 5.46715 Sep 2039 | | 788,942 | |||||||||
Credit Suisse Mortgage | 5.467% 15 Sep 2039 | | 1,411,790 | |||||||||
CS First Boston Mortgage | 1.0% 15 Jan 2037 | | 327,194 | |||||||||
CS First Boston Mortgage | 1.0% 15 Feb 2038 | | 315,264 | |||||||||
CVS Caremark | 6.6% 15 Mar 2019 | | 600,829 | |||||||||
CVS Pass Thru Trust | 6.036% 15 Dec 2028 | | 451,717 | |||||||||
Delta Airlines | 7.75% 17 Dec 2019 | | 699,571 | |||||||||
Deutsche Bank AG | 5.375% 12 Oct 2012 | | 388,345 | |||||||||
Diaego Cap Plc | 4.828% 15 Jul 2020 | | 1,197,588 | |||||||||
Diaego Cap Plc | 7.375% 15 Jan 2014 | | 341,513 | |||||||||
Directv Holdings | 4.75% 01 Oct 2014 | | 152,879 | |||||||||
Directv Holdings | 4.6% 15 Feb 2021 | | 253,721 | |||||||||
Discover Card Master Trust | 1.0% 15 Dec 2014 | | 157,097 | |||||||||
Discover Card Master Trust | 1.0% 17Feb2015 | | 172,116 | |||||||||
Discover Card Master Trust | 1.0% 15 Sep 2015 | | 151,311 | |||||||||
Discover Financial Svc | 10.25% 15 Jul 2019 | | 474,734 | |||||||||
Discover Card | 1.0% 16 Oct 2014 | | 580,680 | |||||||||
Dominion Resources Inc | 5.7% 17 Sep 2012 | | 443,878 | |||||||||
Dominion Resources Inc | 1.95% 15 Aug 2016 | | 922,041 | |||||||||
Dow Chemical Co | 8.55% 15 May 2019 | | 305,213 | |||||||||
Dow Chemical Co | 2.5% 15 Feb 2016 | | 446,052 | |||||||||
Dow Chemical Co | 4.125% 15 Nov 2021 | | 916,091 | |||||||||
Duke Cap LLC | 5.668% 15 Aug 2014 | | 721,116 | |||||||||
Duke Energy | 5.65% 15 Jun 2013 | | 847,320 | |||||||||
Duke Energy | 5.1% 15 Apr 2018 | | 568,354 | |||||||||
Duke Realty LP | 8.25% 15 Aug 2019 | | 321,139 | |||||||||
Duke Realty LP | 6.75% 15 Mar 2020 | | 32,128 | |||||||||
Ecolab Inc | 4.35% 08 Dec 2021 | | 187,623 | |||||||||
Ecolab Inc | 4.35% 08 Dec 2021 | | 177,200 | |||||||||
Embarq Corp | 7.995% 01 Jun 2036 | | 642,245 | |||||||||
Energy Transfer Partners | 6.0% 01 Jul 2013 | | 693,597 | |||||||||
Energy Transfer Partners | 6.7% 01 Jul 2018 | | 532,784 | |||||||||
EneterpriseProds | 5.6% 15 Oct 2014 | | 513,334 | |||||||||
Ensco Plc | 3.25% 15 Mar 2106 | | 876,260 | |||||||||
EQT Corp | 8.125% 01 Jun 2019 | | 240,433 | |||||||||
EQT Corp | 8.125% 01 Jun 2019 | | 606,807 | |||||||||
ERAC USA Finance | 2.25% 10 Jan 2014 | | 1,652,465 | |||||||||
ERAC USA Finance | 2.25% 10 Jan 2014 | | 928,296 | |||||||||
ERP Operating LP | 5.75% 15 Jun 2017 | | 200,212 | |||||||||
ERP Operating LP | 5.5% 01 Oct 2012 | | 450,393 | |||||||||
ERP Operating LP | 5.25% 15 Sep 2014 | | 431,082 | |||||||||
ESA 2010 ESHA | 2.95% 05 Nov 2027 | | 249,163 |
53
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
ExelonGeneration Co | 4.0% 01 Oct 2020 | | 441,498 | |||||||||
Expedia Inc | 5.95% 15 Aug 2020 | | 113,196 | |||||||||
ExpressScripts Inc | 6.25% 15 Jun 2014 | | 101,068 | |||||||||
ExpressScripts Inc | 3.125% 15 May 2016 | | 902,978 | |||||||||
Federal Realty Invs Trust | 5.4% 01 Dec 2013 | | 663,607 | |||||||||
Federal Rlty Invt Tr | 5.65% 01 Jun 2016 | | 295,159 | |||||||||
Federal Rlty Invt Tr | 6.0% 15 Jul 2012 | | 124,129 | |||||||||
FHLMC Multifamily Structured | 3.154% 25 Feb 2018 | | 1,428,791 | |||||||||
FHLMC Multifamily Structured | 3.23% 25 Jul 2021 | | 3,808,357 | |||||||||
FHLMC Multifamily Structured | 2.412% 25 Aug 2018 | | 1,189,058 | |||||||||
FHLMC Multifamily Structured | 2.746% 25 Dec 2019 | | 976,625 | |||||||||
Ford Credit Auto | 4.2% 15 Feb 2017 | | 1,363,796 | |||||||||
Ford Credit Auto Lease Trust | 0.74% 15 Sep 2013 | | 697,236 | |||||||||
Ford Credit Auto Lease Trust | 0.68% 15 Jan 2014 | | 654,051 | |||||||||
Ford Credit Auto Lease Trust | 0.82% 15 Jan 2014 | | 291,523 | |||||||||
Gazprom | 6.212% 22 Nov 2016 | | 309,136 | |||||||||
GE Equipment Mid Ticket LLC | 1.0% 24 Aug 2015 | | 198,224 | |||||||||
General Elec Cap Corp | 1.0% 07 Jan 2014 | | 961,717 | |||||||||
General Elec Cap Corp | 5.5% 08 Jan 2020 | | 1,133,050 | |||||||||
General Elec Cap Corp | 5.5% 08 Jan 2020 | | 2,454,046 | |||||||||
General Elec Cap Corp | 4.375% 16 Sep 2020 | | 443,865 | |||||||||
General Elec Cap Corp | 1.0% 07 Apr 2014 | | 653,479 | |||||||||
General Elec Cap Corp | 4.65% 17 Oct 2021 | | 911,745 | |||||||||
General Elec Cap Corp | 4.8% 01 May 2013 | | 1,261,982 | |||||||||
General Mills Inc | 5.25% 15 Aug 2013 | | 177,331 | |||||||||
Genworth Financial Inc | 6.515% 22 May 2018 | | 252,616 | |||||||||
Gilead Sciences Inc | 4.4% 01 Dec 2021 | | 403,016 | |||||||||
Goldman Sachs Group | 6.75% 01 Oct 2037 | | 181,652 | |||||||||
Goldman Sachs Group | 6.25% 01 Sep 2017 | | 918,394 | |||||||||
Goldman Sachs Group | 7.5% 15 Feb 2019 | | 431,200 | |||||||||
Goldman Sachs Group | 6.0% 15 Jun 2020 | | 309,959 | |||||||||
Goldman Sachs Group | 5.25% 27 Jul 2021 | | 149,497 | |||||||||
Goldman Sachs Group | 5.25% 27 Jul 2021 | | 704,637 | |||||||||
Greenwich Capital Commercial | 5.444% 10 Mar 2039 | | 1,193,848 | |||||||||
GS Mortgage Securities Corp | 4.751% 10 Jul 2039 | | 781,490 | |||||||||
GS Mortgage Securities Corp | 1.0% 06 Mar 2020 | | 151,288 | |||||||||
GS Mortgage Securities Corp | 1.0% 10 Aug 2038 | | 381,485 | |||||||||
Guardian Life Insurance | 7.375% 30 Sep 2039 | | 242,284 | |||||||||
H.J. Heinz Co | 6.0% 15 Mar 2012 | | 325,116 | |||||||||
Hanover Ins Group | 7.625% 15 Oct 2025 | | 149,998 | |||||||||
Hartford Finl Svcs | 4.0% 30 Mar 2015 | | 78,465 | |||||||||
Hartford Finl Svcs | 5.5% 30 Mar 2020 | | 236,766 | |||||||||
HCP Inc | 5.375% 01 Feb 2021 | | 340,764 | |||||||||
Healthcare Realty Trust | 5.125% 01 Apr 2014 | | 177,213 | |||||||||
Healthcare Realty Trust | 5.125% 01 Apr 2014 | | 325,391 | |||||||||
Hess Corp | 7.0% 15 Feb 2014 | | 211,271 | |||||||||
Hess Corp | 8.125% 15 Feb 2019 | | 432,274 | |||||||||
Hewlett Packard Co | 1.0% 24 May 2013 | | 1,739,663 | |||||||||
Hewlett Packard Co | 1.0% 30 May 2014 | | 868,229 |
54
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Hewlett Packard Co | 3.3% 09 Dec 2016 | | 468,443 | |||||||||
Hewlett Packard Co | 4.65% 09 Dec 2021 | | 225,537 | |||||||||
HOLCIM US Finance | 6.0% 30 Dec 2019 | | 407,360 | |||||||||
Humana Inc | 7.2% 15 Jun 2018 | | 495,278 | |||||||||
Huntington Auto Trust | 1.01% 15 Jan 2016 | | 296,806 | |||||||||
Hyundai Auto Lease Securitization | 0.69% 15 Nov 2013 | | 328,395 | |||||||||
Hyundai Auto Receivables | 1.65% 15 Feb 2017 | | 728,430 | |||||||||
Hyundai Capital Services | 4.375% 27 Jul 2016 | | 497,736 | |||||||||
Intel Corp | 1.95% 01 Oct 2016 | | 461,580 | |||||||||
International Paper Co | 4.75% 15 Feb 2022 | | 409,826 | |||||||||
INTL BK Recon & Develop | 9.25% 15 Jul 2017 | | 171,334 | |||||||||
Intl Paper Co | 5.3% 01 Apr 2015 | | 316,691 | |||||||||
Intl Paper Co | 7.95% 15 Jun 2018 | | 249,505 | |||||||||
Inves Co Inc | 5.375% 15 Dec 2014 | | 163,231 | |||||||||
IRO USD 10Y Swaption | 10 Jul 2012 | | | |||||||||
John Deere Corp | 3.15% 15 Oct 2021 | | 935,100 | |||||||||
John Deere Owner Trust | 0.64% 16 Jun 2014 | | 536,502 | |||||||||
JPMorgan Chase Coml Mtg | 4.302% 15 Jan 2038 | | 66,300 | |||||||||
JPMorgan Chase Coml Mtg | 5.198% 15 Dec 2044 | | 417,456 | |||||||||
JPMorgan Chase Coml Mtg | 1.0% 12 Dec 2044 | | 155,608 | |||||||||
JPMorgan Chase & Co | 3.7% 20 Jan 2015 | | 1,315,615 | |||||||||
JPMorgan Chase & Co | 3.45% 01 Mar 2016 | | 495,829 | |||||||||
JPMorgan Chase & Co | 6.0% 15 Jan 2018 | | 969,210 | |||||||||
JPMorgan Chase & Co | 4.75% 01 May 2013 | | 362,248 | |||||||||
JPMorgan Chase & Co | 4.4% 22 Jul 2020 | | 284,087 | |||||||||
JPMorgan Chase & Co | 4.35% 15 Aug 2021 | | 152,792 | |||||||||
JPMorgan Chase & Co | 5.75% 02 Jan 2013 | | 526,518 | |||||||||
JPMorgan Chase & Co | 5.125% 15 Sep 2014 | | 663,763 | |||||||||
JPMorgan Chase & Co | 6.0% 15 Jan 2018 | | 903,870 | |||||||||
JPMorgan Chase & Co | 4.35% 15 Aug 2021 | | 197,151 | |||||||||
JPMorgan Chase Bank | 6.0% 01 Oct 2017 | | 419,993 | |||||||||
JPMorgan Chase Commercial Mortgage | 5.42% 15 Jan 2049 | | 1,435,072 | |||||||||
JPMorgan Chase Commercial Mortgage | 1.0% 12 Dec 2044 | | 249,447 | |||||||||
JPMorgan Chase Commercial Mortgage | 1.0% 12 Jun 2043 | | 733,748 | |||||||||
JPMorgan Chase Commercial Mortgage | 5.552% 12 May 2045 | | 562,467 | |||||||||
Kazmunaygas National | 7.0% 05 May 2020 | | 211,603 | |||||||||
Kellogg Co | 5.125% 03 Dec 2012 | | 674,599 | |||||||||
Kinder Morgan Energy | 6.85% 15 Feb 2020 | | 711,578 | |||||||||
Kinder Morgan Energy | 5.3% 15 Sep 2020 | | 446,461 | |||||||||
Kinder Morgan Energy | 4.15% 01 Mar 20222 | | 189,627 | |||||||||
Korea National Oil Corp | 4.0% 27 Oct 2016 | | 210,499 | |||||||||
Kraft Foods Inc | 6.0% 11 Feb 2013 | | 123,401 | |||||||||
Kraft Foods Inc | 6.5% 11 Aug 2017 | | 290,280 | |||||||||
Kraft Foods Inc | 6.125% 01 Feb 2018 | | 978,233 | |||||||||
Kroger Co | 6.4% 15 Aug 2017 | | 133,502 | |||||||||
L3 Communications Corp | 3.95% 15 Nov 2016 | | 674,853 | |||||||||
LB UBS Commercial Mortgage | 5.3% 15 Nov 2038 | | 402,428 | |||||||||
LB UBS Commercial Mortgage | 4.647% 15 Jul 2030 | | 311,644 | |||||||||
LB UBS Commercial Mortgage | 1.0% 15 Jun 2029 | | 193,511 |
55
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
LB UBS Commercial Mortgage | 1.0% 15 Jun 2038 | | 771,767 | |||||||||
Liberty PPTY Ltd | 5.5% 15 Dec 2016 | | 73,877 | |||||||||
Liberty PPTY Ltd | 6.625% 01 Oct 2017 | | 44,149 | |||||||||
Lincoln National Corp | 4.3% 15 Jun 2015 | | 141,523 | |||||||||
Lincoln National Corp | 8.75% 01 Jul 2019 | | 121,102 | |||||||||
Lincoln National Corp | 6.25% 15 Feb 2020 | | 420,665 | |||||||||
Lloyds TSB Bank | 1.0% 24 Jan2014 | | 1,569,685 | |||||||||
Lloyds TSB Bank | 4.375% 12 Jan2015 | | 418,138 | |||||||||
LSI Open Position | 0.01% 31 Dec 2060 | | 24,435 | |||||||||
Mack Cali Rlty LP | 5.125% 15 Jan 2015 | | 204,789 | |||||||||
Mack Cali Rlty LP | 5.25% 15 Jan 2012 | | 195,363 | |||||||||
MacQuarie Group Ltd | 4.875% 10 Aug 2017 | | 441,865 | |||||||||
Manufacturers & Traders Tr | 1.0% 28 Dec 2020 | | 242,624 | |||||||||
Marathon Petroleum Corp | 5.125% 01 Mar 2021 | | 104,008 | |||||||||
Marathon Petroleum Corp | 3.5% 01 Mar 2016 | | 59,613 | |||||||||
Markel Corp | 7.125% 30 Sep 2019 | | 216,472 | |||||||||
McKesson Corp | 3.25% 01 Mar 2016 | | 1,069,171 | |||||||||
McKesson Corp | 6.5% 15 Feb 2014 | | 259,253 | |||||||||
Merecedes Benz Auto Lease Trust | 0.79% 15 Apr 2013 | | 625,722 | |||||||||
Merill Lynch Mortgage | 1.0% 25 Aug 2036 | | 115,861 | |||||||||
Merill Lynch Mortgage | 4.9612 Jul 2038 | | 913,746 | |||||||||
Merill Lynch/Countrywide Mortgage | 1.0% 12 Jun 2046 | | 414,002 | |||||||||
Merill Lynch/Countrywide Mortgage | 1.0% 12 Jul 2046 | | 944,325 | |||||||||
Merill Lynch/Countrywide Mortgage | 5.7% 12 Sep 2049 | | 768,767 | |||||||||
Merrill Lynch & Co | 6.875% 25 Apr 2018 | | 1,154,835 | |||||||||
Merrill Lynch & Co | 6.4% 28 Aug 2017 | | 311,899 | |||||||||
Merrill Lynch & Co | 6.875% 25 Apr 2018 | | 144,354 | |||||||||
Merrill Lynch & Co | 6.05% 16 May 2016 | | 372,608 | |||||||||
Merrill Lynch/Countrywide Comm | 1.0% 12 Mar 2051 | | 1,154,984 | |||||||||
Merrill Lynch/Countrywide Comm | 1.0% 12 Feb 2039 | | 2,953,082 | |||||||||
MetLife Inc | 4.75% 08 Feb 2021 | | 934,493 | |||||||||
MetLife Inc | 7.171% 15 Feb 2019 | | 144,427 | |||||||||
MetLife Inc | 5.0% 15 Jun 2015 | | 701,806 | |||||||||
MetLife Inc | 6.75% 01 Jun 2016 | | 342,969 | |||||||||
Mid StateTrust | 8.33% 01 Apr 2030 | | 298,448 | |||||||||
Morgan Stanley | 6.25% 28 Aug 2017 | | 95,524 | |||||||||
Morgan Stanley | 6.625% 01 Apr 2018 | | 1,252,979 | |||||||||
Morgan Stanley | 1.0% 15 Oct 2015 | | 1,148,794 | |||||||||
Morgan Stanley | 3.45% 02 Nov 2015 | | 606,605 | |||||||||
Morgan Stanley | 1.0% 29 Apr 2013 | | 643,893 | |||||||||
Morgan Stanley | 5.95% 28 Dec 2017 | | 134,843 | |||||||||
Morgan Stanley | 6.625% 01 Apr 2018 | | 1,002,383 | |||||||||
Morgan Stanley | 5.45% 09 Jan 2017 | | 291,320 | |||||||||
Morgan Stanley | 5.5% 24 Jul 2020 | | 443,744 | |||||||||
Morgan Stanley | 5.95% 28 Dec 2017 | | 646,317 | |||||||||
Morgan Stanley | 5.5% 28 Jul 2021 | | 324,909 | |||||||||
Morgan Stanley | 5.55% 27 Apr 2017 | | 193,057 | |||||||||
Morgan Stanley Capital I | 1.0% 11 Jun 2042 | | 589,308 | |||||||||
Morgan Stanley Capital I | 4.89% 12 Jun 2047 | | 1,325,135 |
56
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Morgan Stanley Capital I | 4.989% 13 Aug 2042 | | 1,115,520 | |||||||||
Morgan Stanley Capital I | 1.0% 12 Aug 2041 | | 286,740 | |||||||||
Morgan Stanley Capital I | 5.325% 15 Dec 2043 | | 246,353 | |||||||||
Nabors Industries Inc | 9.25% 15 Jan 2019 | | 367,117 | |||||||||
National Grid Plc | 6.3% 01 Aug 2016 | | 560,044 | |||||||||
NBC Universal | 3.65% 30 Apr 2015 | | 417,243 | |||||||||
NBC Universal | 4.375% 01 Apr 2021 | | 515,055 | |||||||||
NCUA Guaranteed Notes | 1.0% 07 Oct 2020 | | 1,146,622 | |||||||||
NCUA Guaranteed Notes | 1.0% 08 Dec 2020 | | 3,322,064 | |||||||||
NCUA Guaranteed Notes | 2.9% 29 Oct 2020 | | 731,701 | |||||||||
Nevada PWR Co | 6.5% 01 Aug 2018 | | 294,264 | |||||||||
New York Life Global | 3.0% 04 May 2015 | | 490,690 | |||||||||
News America Inc | 9.25% 01 Feb 2013 | | 247,073 | |||||||||
News America Inc | 7.7% 30 Oct 2025 | | 466,273 | |||||||||
News America Inc | 6.65% 15 Nov 2037 | | 436,807 | |||||||||
Niagara Mohawk Power | 3.553% 01 Oct 2014 | | 384,502 | |||||||||
NiSource Finance Corp | 5.25% 15 Sep 2017 | | 377,113 | |||||||||
NiSource Finance Corp | 6.8% 15 Jan 2019 | | 422,998 | |||||||||
Nissan Auto Receivables | 5.05% 17 Nov 2014 | | 153,245 | |||||||||
Noble Energy | 8.25% 01 Mar 2019 | | 440,446 | |||||||||
Noble Holding Intl | 4.9% 01 Aug 2020 | | 38,258 | |||||||||
Nordea Bank AB | 4.875% 14 Jan 2021 | | 1,197,212 | |||||||||
Nordea Bank AB | 1.0% 14 Jan 2014 | | 756,039 | |||||||||
Norfolk Southern Corp | 5.75% 01 Apr 2018 | | 224,391 | |||||||||
Occidental Petroleum | 1.75% 15 Feb 2017 | | 954,028 | |||||||||
Orange & Rockland Utility | 2.5% 15 Aug 2015 | | 1,697,573 | |||||||||
Orix Corp | 4.71% 27 Apr 2015 | | 325,722 | |||||||||
Owens Corning Inc | 6.5% 01 Dec 2016 | | 222,644 | |||||||||
Packaging Corp of America | 5.75% 01 Aug 2013 | | 36,002 | |||||||||
Penarthmaster | 1.0% 18 Dec 2014 | | 1,026,173 | |||||||||
Petrobras Intl | 5.75% 20 Jan 2020 | | 376,031 | |||||||||
Petronas Capital Ltd | 5.25% 12 Aug 2019 | | 432,358 | |||||||||
Plains All Amer Pipeline | 5.75% 15 Jan 2020 | | 468,424 | |||||||||
Principal Financial Group | 7.875% 15 May 2014 | | 266,633 | |||||||||
Principal Financial Group | 7.875% 15 May 2014 | | 897,844 | |||||||||
Prudential Financial | 5.375% 21 Jun2020 | | 1,248,343 | |||||||||
Questar Corp | 2.75% 01 Feb 2016 | | 548,544 | |||||||||
Rabobank Nederland | 4.5% 11 Jan 2021 | | 1,014,003 | |||||||||
Raytheon Co | 3.125% 15 Oct 2020 | | 939,421 | |||||||||
Reed Elsevier Capital | 8.625% 15 Jan 2019 | | 476,332 | |||||||||
Regency Centers LP | 5.25% 01 Aug 2015 | | 63,450 | |||||||||
Regency Centers LP | 5.875% 15 Jun 2017 | | 154,128 | |||||||||
Renaissance Home Equity | 1.0% 25 Nov 2034 | | 204,387 | |||||||||
Republic Services Inc | 5.0% 01 Mar 2020 | | 390,135 | |||||||||
Republic Services Inc | 3.8% 15 May 2018 | | 13,144 | |||||||||
Residential Asset Securities | 1.0% 25 May 2033 | | 7,762 | |||||||||
Rio Tinto Fin USA Ltd | 6.5% 15 Jul 2018 | | 664,714 | |||||||||
Rowan Companies Inc | 5.0% 01 Sep 2017 | | 364,099 | |||||||||
Royal Bank of Canada | 1.45% 30 Oct 2014 | | 917,379 |
57
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Royal Bank Scotland Plc | 2.625% 11 May 2012 | | 766,276 | |||||||||
Royal Bank Scotland Plc | 5.0% 01 Oct 2014 | | 290,058 | |||||||||
RSHB Cap SA | 7.75% 29 May 2018 | | 379,429 | |||||||||
RyderSystem Inc | 7.2% 01 Sep 2015 | | 171,881 | |||||||||
Santander Drive Auto Receivable | 1.37% 16 Mar 2013 | | 259,474 | |||||||||
Santander Holdings | 4.625% 19Apr216 | | 121,855 | |||||||||
Saxon Assets | 1.0% 25 Aug 2032 | | 780 | |||||||||
SCSLC 2010 | 1.0% 25 Jul 2025 | | 2,117,207 | |||||||||
Sempra Energy | 6.5% 01 Jun 2016 | | 335,889 | |||||||||
Simon Property Group | 4.2% 01 Feb 2015 | | 667,618 | |||||||||
SLH Open Position | 0.01% 31 Dec 2060 | | 2,478 | |||||||||
SLM Corp | 5.0% 01 Oct 2013 | | 97,609 | |||||||||
SLM Corp | 8.45% 15 Jun 2018 | | 402,148 | |||||||||
SLM Corp | 5.125% 27 Aug 2012 | | 176,592 | |||||||||
SLM Corp | 5.375% 15 Jan 2013 | | 147,423 | |||||||||
Smart Trust | 1.22% 14 Nov 2013 | | 618,455 | |||||||||
Snap On Inc | 4.25% 15 Jan 2018 | | 336,005 | |||||||||
Societe Generale | 2.5% 15 Jan 2014 | | 216,926 | |||||||||
Southern Cal Edison | 5.75% 15 Mar 2014 | | 467,707 | |||||||||
Southern Cal Edison | 5.75% 15 Mar 2014 | | 731,128 | |||||||||
Southern Co | 1.95% 01 Sep 2016 | | 926,180 | |||||||||
Southwest Airlines Co | 5.25% 01 Oct 2014 | | 192,714 | |||||||||
Southwest Airlines Co | 5.75% 15 Dec 2016 | | 162,416 | |||||||||
Southwestern Elec Power | 5.875% 01 Mar 2018 | | 865,406 | |||||||||
Spectra Energy Capital | 8.0% 01 Oct 2019 | | 429,913 | |||||||||
SPI Electricity | 6.15% 15 Nov 2013 | | 258,981 | |||||||||
Staples Inc | 9.75% 15 Jan 2014 | | 306,935 | |||||||||
Stryker Corp | 2.0% 30 Sep 2016 | | 938,929 | |||||||||
SWPC831N2 | 1.0% 20 Sep 2012 | | (7,320 | ) | ||||||||
Taqa Abu Dhabi Natl Energy | 4.125% 13 Mar 2017 | | 259,297 | |||||||||
Teck Resources Limited | 4.5% 15 Jan 2021 | | 672,745 | |||||||||
Teco Finance Inc | 4.0% 15 Mar 2016 | | 503,017 | |||||||||
Telecom Italia Capital | 6.175% 18 Jun 2014 | | 305,131 | |||||||||
Thomson Reuters Corp | 5.95% 15 Jul 2013 | | 712,407 | |||||||||
Time Warner Cable Inc | 8.25% 14 Feb 2014 | | 693,127 | |||||||||
Time Warner Cable Inc | 4.0% 01 Sep 2021 | | 928,282 | |||||||||
Time Warner Cable Inc | 7.5% 01 Apr 2014 | | 371,579 | |||||||||
Time Warner Cable Inc | 5.0% 01 Feb 2020 | | 336,871 | |||||||||
Time Warner Cable Inc | 5.85% 01 May 2017 | | 200,087 | |||||||||
Time Warner Cable Inc | 6.75% 01 Jul 2018 | | 731,527 | |||||||||
Time Warner Cable Inc | 4.0% 01 Sep 2021 | | 444,391 | |||||||||
Time Warner Inc | 4.7% 15 Jan 2021 | | 520,231 | |||||||||
Time Warner Inc | 4.7% 15 Jan 2021 | | 446,663 | |||||||||
Total Capital SA | 3.0% 24 Jun 2015 | | 1,444,278 | |||||||||
Toyota Motor Credit Corp | 2.0% 15 Sep 2016 | | 926,652 | |||||||||
Trans Canada Pipelines | 3.4% 01 Jun 2105 | | 299,820 | |||||||||
Travelrs Cos | 5.75% 15 Dec 2017 | | 421,552 | |||||||||
Tyco International | 4.125% 15 Oct 2014 | | 353,704 | |||||||||
UBS AG | 5.875% 20 Dec 2017 | | 508,077 |
58
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
UBS AG | 1.0% 28 Jan 2014 | | 570,309 | |||||||||
UBS AG | 2.25% 28 Jan 2014 | | 379,939 | |||||||||
UBS AG | 5.875% 15 Jul 2016 | | 520,086 | |||||||||
UFJ Finance Aruba | 6.75% 15 Jul 2013 | | 161,666 | |||||||||
Unicredito Luxem Fin | 6.0% 31 Oct 2017 | | 168,949 | |||||||||
Union Bank | 5.95% 11 May 2016 | | 306,333 | |||||||||
Union Bank | 1.0% 06 Jun 2014 | | 673,221 | |||||||||
Union Electric Co | 6.7% 01 Feb 2019 | | 47,432 | |||||||||
Union Pac Corp | 5.45% 31 Jan2013 | | 465,872 | |||||||||
United Health Group | 6.0% 15 Feb 2018 | | 348,159 | |||||||||
Unum Group | 5.625% 15 Sep 220 | | 381,918 | |||||||||
US Bancorp | 2.2% 15 Nov 2016 | | 936,192 | |||||||||
US Cellular Corp | 6.7% 15 Dec 2033 | | 396,924 | |||||||||
Valero Energy Corp | 6.125% 01 Feb 2020 | | 412,577 | |||||||||
Verizon Communications | 1.95% 28 Mar 2014 | | 1,320,030 | |||||||||
Verizon Communications | 6.35% 1 Apr 2019 | | 220,033 | |||||||||
Verizon Communications | 2.0% 01 Nov 2016 | | 592,206 | |||||||||
Viacom Inc | 5.625% 15 Sep 2019 | | 531,471 | |||||||||
Virgin Media | 5.25% 15 Jan 2021 | | 211,999 | |||||||||
Virginia Elec & Pwr Co | 5.1% 30 Nov 2012 | | 304,160 | |||||||||
Vodafone Group | 5.35% 27 Feb2012 | | 624,042 | |||||||||
Wachovia Bank | 4.8% 01 Nov 2014 | | 410,272 | |||||||||
Wachovia Bank | 1.0% 15 Mar 2016 | | 262,134 | |||||||||
Wachovia Corp | 5.5% 01 May 2013 | | 1,853,763 | |||||||||
Wachovia Corp | 5.5% 01 May 2013 | | 345,006 | |||||||||
Wachovia Corp | 4.875% 15 Feb 2014 | | 111,994 | |||||||||
WAMU Mortgage Pass Thru | 1.0% 25 Oct 2045 | | 22,176 | |||||||||
Waste Mgmt Inc | 7.375% 15 May 2029 | | 62,055 | |||||||||
Waste Mgmt Inc | 4.75% 30 Jun 2020 | | 449,739 | |||||||||
Weatherford Bermuda | 6.0% 15 Mar 2018 | | 23,893 | |||||||||
Wellpoint Inc | 6.0% 15 Feb 2014 | | 760,686 | |||||||||
Wellpoint Inc | 4.35% 15 Aug 2020 | | 912,066 | |||||||||
Wells Fargo & Company | 3.625% 15 Apr 2015 | | 485,361 | |||||||||
Wells Fargo & Company | 4.95% 16 Oct 2013 | | 307,344 | |||||||||
Wells Fargo & Company | 5.625% 11 Dec 2017 | | 422,666 | |||||||||
Wells Fargo Bank | 4.75% 09 Feb 2015 | | 509,180 | |||||||||
WFRBS Commercial Mortgage | 3.24% 15 Mar 2044 | | 779,231 | |||||||||
WFRBS Commercial Mortgage | 1.0% 15 Nov 2044 | | 1,183,996 | |||||||||
Willis North America Inc | 7.0% 29 Sep 2019 | | 86,924 | |||||||||
Willis North America Inc | 6.2% 28 Mar 2017 | | 338,065 | |||||||||
Willis North America Inc | 7.0% 29 Sep 2019 | | 201,011 | |||||||||
World Omni Auto Trust | 1.11% 15 May 2015 | | 807,679 | |||||||||
WPP Finance | 4.75% 21 Nov 2021 | | 187,981 | |||||||||
Xerox Corp | 5.5% 15 May 2012 | | 124,034 | |||||||||
Xerox Corp | 5.65% 15 May 2013 | | 184,445 | |||||||||
Xerox Corp | 8.25% 15 May 2014 | | 242,308 | |||||||||
Xerox Corp | 1.0% 16 May 2014 | | 384,701 | |||||||||
Xerox Corporation | 8.25% 15 May 2014 | | 341,433 | |||||||||
XL Group Plc | 5.25% 15 Sep 2014 | | 345,796 |
59
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
XTO Energy | 4.9% 01 Feb 2014 | | 736,498 | |||||||||
|
|
|||||||||||
257,539,924 | ||||||||||||
|
|
|||||||||||
Benefit Responsive Interest Rate Wrapper Contracts | ||||||||||||
* | Aegon Institutional Markets | Open Ended Maturity | | (170,905 | ) | |||||||
* | Bank of America NT & SA | Open Ended Maturity | | (172,113 | ) | |||||||
|
|
|||||||||||
(343,018 | ) | |||||||||||
|
|
|||||||||||
Synthetic Guaranteed Investment Contracts (contract value equals $683,460,094) |
$ | 743,892,005 | ||||||||||
|
|
|||||||||||
Commingled Investments: | ||||||||||||
* | Daily EAFE Fund | Commingled Investments | | 79,987,136 | ||||||||
* | S & P 500 Flagship Fund | Commingled Investments | | 173,817,205 | ||||||||
* | US Small CAP Index Futures FD CMT4 | Commingled Investments | | 81,223,030 | ||||||||
|
|
|||||||||||
Commingled Investments |
$ | 335,027,371 | ||||||||||
|
|
|||||||||||
Registered Investment Companies: | ||||||||||||
Aberdeen Asia Pacific Ine Fd | Registered Investment Company | | 40,032 | |||||||||
Acadian Emerging Markets Port Instl | Registered Investment Company | | 3,199 | |||||||||
Aegis Value Fund Inc | Registered Investment Company | | 3,935 | |||||||||
Aim European Growth Investors | Registered Investment Company | | 760 | |||||||||
Amana Mutual Fund Trust Ine | Registered Investment Company | | 15,135 | |||||||||
Amer Century Target Maturities Tr 2020 | Registered Investment Company | | 41,017 | |||||||||
American Capital Ine Builder Cl F | Registered Investment Company | | 21,917 | |||||||||
American Capital Ine Builder Cl R2 | Registered Investment Company | | 5,488 | |||||||||
American Capital World Grth & Inc A | Registered Investment Company | | 7,998 | |||||||||
American Capital World Grwth & Inc F1 | Registered Investment Company | | 11,162 | |||||||||
American Century Diversified Bond | Registered Investment Company | | 26,668 | |||||||||
American Century Equity | Registered Investment Company | | 35,168 | |||||||||
American Century Heritage | Registered Investment Company | | 1,815 | |||||||||
American Europacific Growth Class A | Registered Investment Company | | 19,325 | |||||||||
American Europacific Growth Class F | Registered Investment Company | | 7,42 | |||||||||
American Fundamental Investors Cl F | Registered Investment Company | | 8,548 | |||||||||
American High-Ine Class F | Registered Investment Company | | 11,478 | |||||||||
American Ine Fund of America Class A | Registered Investment Company | | 6,796 | |||||||||
American Ine Fund of America Class F | Registered Investment Company | | 12,657 | |||||||||
American Investmnt Co of America Cl A | Registered Investment Company | | 14,271 | |||||||||
American Mutual Fund Class A | Registered Investment Company | | 6,948 | |||||||||
American New Economy Fund Class A | Registered Investment Company | | 6,432 | |||||||||
American New Perspective Class A | Registered Investment Company | | 24,033 | |||||||||
American New Perspective R2 | Registered Investment Company | | 2,701 | |||||||||
American New World Fund Class A | Registered Investment Company | | 7,918 | |||||||||
American New World Fund R2 | Registered Investment Company | | 10,464 |
60
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
American Smallcap World Class F1 | Registered Investment Company | | 6,766 | |||||||||
Arbitrage Fund Class R | Registered Investment Company | | 2,029 | |||||||||
Ariel Appreciation | Registered Investment Company | | 16,913 | |||||||||
Ariel Growth Class A | Registered Investment Company | | 9,348 | |||||||||
Artio International Equity Fund | Registered Investment Company | | 5,742 | |||||||||
Artisan Intl Investor Class | Registered Investment Company | | 12,070 | |||||||||
Artisan Intl Value Fund | Registered Investment Company | | 13,528 | |||||||||
Artisan Small Cap Growth | Registered Investment Company | | 12,652 | |||||||||
Barclays Bank Plc Ipath Etn | Registered Investment Company | | 1,242 | |||||||||
Barclays Bank Plc Ipath Etns | Registered Investment Company | | 7,459 | |||||||||
Barclays Bank Plc Ipath Index | Registered Investment Company | | 11,236 | |||||||||
Barclays Global Investors Funds Inc | Registered Investment Company | | 396 | |||||||||
Baron Asset | Registered Investment Company | | 2,698 | |||||||||
Baron Partners Fund | Registered Investment Company | | 17,445 | |||||||||
Berkshire Focus Fund | Registered Investment Company | | 2,586 | |||||||||
Berwyn Ine Fund | Registered Investment Company | | 50,581 | |||||||||
Blackrock Energy & Resources A | Registered Investment Company | | 37,145 | |||||||||
Blackrock Equity Dividend Fd-Instl | Registered Investment Company | | 22,746 | |||||||||
Blackrock Global Allocation Fd-Instl | Registered Investment Company | | 17,852 | |||||||||
Blackrock Intl Opport Class C | Registered Investment Company | | 7,505 | |||||||||
Blackrock Latin America Fd Cl C | Registered Investment Company | | 8,283 | |||||||||
Bldrs Emerging Mkts 50 Adr Index Fd | Registered Investment Company | | 3,888 | |||||||||
Brandywine Blue | Registered Investment Company | | 8,095 | |||||||||
Bridgeway Aggressive Investor 2 | Registered Investment Company | | 113,770 | |||||||||
Bridgeway Small Cap Growth Cl N | Registered Investment Company | | 14,606 | |||||||||
Brown Capital Mgt Small pany Inv | Registered Investment Company | | 25,601 | |||||||||
Buffalo Mid Cap Fund | Registered Investment Company | | 5,792 | |||||||||
Buffalo Small Cap Growth | Registered Investment Company | | 18,198 | |||||||||
Calamos Growth Class A | Registered Investment Company | | 54,215 | |||||||||
Calamos Growth Fund Class C | Registered Investment Company | | 66,147 | |||||||||
Clipper | Registered Investment Company | | 8,318 | |||||||||
Cohen & Steers Realty Shares | Registered Investment Company | | 10,970 | |||||||||
Columbia Acorn Class Z | Registered Investment Company | | 3,670 | |||||||||
Columbia Acorn International | Registered Investment Company | | 7,181 | |||||||||
Columbia Marsico Intl Opp Prim Z | Registered Investment Company | | 3,871 | |||||||||
Columbia Real Estate Equity Cl Z | Registered Investment Company | | 52,335 | |||||||||
Columbia Small Cap Core Cl Z | Registered Investment Company | | 8,016 | |||||||||
Columbia Value and Restructuring Cl Z | Registered Investment Company | | 41,857 | |||||||||
Credit Suisse Nassau Brh Elements | Registered Investment Company | | | |||||||||
CRM Mid Cap Value Investor Shares | Registered Investment Company | | 15,590 | |||||||||
Delaware Mid Cap Growth Class I | Registered Investment Company | | 32,167 | |||||||||
Deutsche Bank Ag London Powershares | Registered Investment Company | | 9,801 | |||||||||
Direxion Daily Energy Bull | Registered Investment Company | | 469 | |||||||||
Direxion Latin America Bull | Registered Investment Company | | 1 | |||||||||
Direxion Shs Etf Tr Daily Finl Bear | Registered Investment Company | | 29,503 | |||||||||
Direxion Shs Etf Tr Daily Gold Miners Bull | Registered Investment Company | | 1,580 | |||||||||
Direxion Shs Etf Tr Daily Nat Gas Related Bull | Registered Investment Company | | 396 | |||||||||
Direxion Shs Etf Tr Daily Small Cap Bear | Registered Investment Company | | 13,240 | |||||||||
Dodge & Cox Ine | Registered Investment Company | | 90,653 |
61
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Dodge & Cox Intl Stock Fund | Registered Investment Company | | 73,404 | |||||||||
Dodge & Cox Stock | Registered Investment Company | | 96,740 | |||||||||
Dreyfus Appreciation Fund | Registered Investment Company | | 4,179 | |||||||||
Dreyfus Bond Market Index Class R | Registered Investment Company | | 41,522 | |||||||||
Dreyfus Opportunistic Midcap Value Cl A | Registered Investment Company | | 10,305 | |||||||||
Dreyfus Premier Greater China Cl A | Registered Investment Company | | 7,364 | |||||||||
Dreyfus Premier Greater China Cl R | Registered Investment Company | | 714 | |||||||||
Driehaus Intl Discovery | Registered Investment Company | | 9,848 | |||||||||
DWs Dreman Intl Value Class S | Registered Investment Company | | 4,260 | |||||||||
DWS International Class | Registered Investment Company | | 4,086 | |||||||||
DWS S & P 500 Plus Class S | Registered Investment Company | | 1,601 | |||||||||
DWS Select Alternati Ve Allocation Fund S | Registered Investment Company | | 7,864 | |||||||||
Eagle Small Cap Growth Fund Cl I | Registered Investment Company | | 5,948 | |||||||||
Eaton Vance Ltd Duration Ine Fd | Registered Investment Company | | 7,615 | |||||||||
Eaton Vance Worldwide Health Sciences | Registered Investment Company | | 1,958 | |||||||||
Fairholme Fund | Registered Investment Company | | 6,216 | |||||||||
Fam Value | Registered Investment Company | | 60,465 | |||||||||
FBR Balanced Investor Class | Registered Investment Company | | 7,253 | |||||||||
FBR Focus Fund | Registered Investment Company | | 2,464 | |||||||||
FBR Gas Utility Index | Registered Investment Company | | 2,232 | |||||||||
Federated Prudent Bear Class C | Registered Investment Company | | 55,206 | |||||||||
Federated Prudent Bear Fund Class A | Registered Investment Company | | 1,327 | |||||||||
Fidelity Advisor Mid Cap | Registered Investment Company | | 4,435 | |||||||||
Fidelity Advisor New Insights Cl I | Registered Investment Company | | 42,762 | |||||||||
Fidelity Advisor Strategic Inc Cl I | Registered Investment Company | | 43,516 | |||||||||
Fidelity Blue Chip Growth | Registered Investment Company | | 1,943 | |||||||||
Fidelity Canada | Registered Investment Company | | 42,185 | |||||||||
Fidelity Capital & Ine | Registered Investment Company | | 38,558 | |||||||||
Fidelity Capital Appreciation | Registered Investment Company | | 14,926 | |||||||||
Fidelity Contrafund | Registered Investment Company | | 157,952 | |||||||||
Fidelity Convertible Securities | Registered Investment Company | | 9,888 | |||||||||
Fidelity Diversified International | Registered Investment Company | | 51,935 | |||||||||
Fidelity Dividend Growth | Registered Investment Company | | 21,250 | |||||||||
Fidelity Emerging Markets | Registered Investment Company | | 26,868 | |||||||||
Fidelity Freedom 2025 | Registered Investment Company | | 6,225 | |||||||||
Fidelity High | Registered Investment Company | | 70,074 | |||||||||
Fidelity Intl Discovery | Registered Investment Company | | 40,236 | |||||||||
Fidelity Intl Real Estate Fund | Registered Investment Company | | 10,585 | |||||||||
Fidelity Large Capital Stock | Registered Investment Company | | 2,721 | |||||||||
Fidelity Latin America | Registered Investment Company | | 57,294 | |||||||||
Fidelity Leveraged Company Stock | Registered Investment Company | | 24,035 | |||||||||
Fidelity Low Priced Stock | Registered Investment Company | | 31,746 | |||||||||
Fidelity Mid Cap Growth | Registered Investment Company | | 8,866 | |||||||||
Fidelity New Markets | Registered Investment Company | | 21,298 | |||||||||
Fidelity Real Estate Investment | Registered Investment Company | | 2,982 | |||||||||
Fidelity Select Biotechnology | Registered Investment Company | | 5,166 | |||||||||
Fidelity Select Chemicals | Registered Investment Company | | 7,473 | |||||||||
Fidelity Select Energy Service | Registered Investment Company | | 7,344 | |||||||||
Fidelity Select Materials Portfolio | Registered Investment Company | | 2,412 |
62
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Fidelity Select Natural Resources | Registered Investment Company | | 24,580 | |||||||||
Fidelity Select Technology | Registered Investment Company | | 2,472 | |||||||||
Fidelity Select Transport | Registered Investment Company | | 7,669 | |||||||||
Fidelity Small Cap Stock | Registered Investment Company | | 6,733 | |||||||||
Fidelity Small Cap Value | Registered Investment Company | | 3,081 | |||||||||
Fidelity Southeast Asia | Registered Investment Company | | 14,209 | |||||||||
Fidelity Strategic | Registered Investment Company | | 15,424 | |||||||||
Fidelity Strategic Real Return | Registered Investment Company | | 6,239 | |||||||||
Fidelity US Bond Index | Registered Investment Company | | 8,700 | |||||||||
Fidelity Value | Registered Investment Company | | 5,627 | |||||||||
First Eagle Global Class C | Registered Investment Company | | 137,804 | |||||||||
First Eagle Global Class I | Registered Investment Company | | 6,999 | |||||||||
First Exchange Traded Internet Index Fd | Registered Investment Company | | 12,920 | |||||||||
FMI Large Cap Fund | Registered Investment Company | | 5,843 | |||||||||
Forward Global Emerg Markets Instl Cl | Registered Investment Company | | 685 | |||||||||
Forward Intl Equity Fund | Registered Investment Company | | 37,076 | |||||||||
Franklin Global Real Estate Adv Cl | Registered Investment Company | | 5,668 | |||||||||
Franklin Growth Class C | Registered Investment Company | | 6,266 | |||||||||
Franklin Strategic Inc Cl R | Registered Investment Company | | 2,016 | |||||||||
Franklin Strategic Ine Class A | Registered Investment Company | | 14,869 | |||||||||
Franklin Temp Mutual Series Class R | Registered Investment Company | | 15,924 | |||||||||
Franklin Utilities Advisor Class | Registered Investment Company | | 7,443 | |||||||||
Fund*X Upgrader Fund | Registered Investment Company | | 34,315 | |||||||||
Fundamental Investors | Registered Investment Company | | 28,450 | |||||||||
Fundx Aggressive Upgrader Fund | Registered Investment Company | | 1,528 | |||||||||
Fundx Etf Upgrader Fund | Registered Investment Company | | 1,609 | |||||||||
Gabelli Equity Ine Fund | Registered Investment Company | | 13,768 | |||||||||
Gabelli Utilities Fund Class C | Registered Investment Company | | 9,657 | |||||||||
Gamco Growth Fund | Registered Investment Company | | 9,680 | |||||||||
Gamco Westwood Equity | Registered Investment Company | | 940 | |||||||||
Global Resources Fund | Registered Investment Company | | 12,935 | |||||||||
Global X Fds Global X Lithium Etf | Registered Investment Company | | 4,299 | |||||||||
Global X Fds Global X Uranium Etf | Registered Investment Company | | 3,260 | |||||||||
Goldman Sachs Asset Alloc Growth Strat | Registered Investment Company | | 12,928 | |||||||||
Goldman Sachs Mid Cap Val Fd | Registered Investment Company | | 3,082 | |||||||||
Greenspring Fund | Registered Investment Company | | 18,052 | |||||||||
Growth Fund of America | Registered Investment Company | | 14,996 | |||||||||
Guggenheim Bric Etf | Registered Investment Company | | 10,509 | |||||||||
Hancock Horizon Burkenroad Sml Cap D | Registered Investment Company | | 101,428 | |||||||||
Hancock John Pfd Equity Ine Fd | Registered Investment Company | | 4,296 | |||||||||
Harbor Bond Inst. | Registered Investment Company | | 141,981 | |||||||||
Harbor International | Registered Investment Company | | 83,549 | |||||||||
Harbor International Investor Shares | Registered Investment Company | | 43,695 | |||||||||
Heartland Value | Registered Investment Company | | 19,595 | |||||||||
Hussman Strategic Growth | Registered Investment Company | | 19,059 | |||||||||
Hussman Strategic Total Return | Registered Investment Company | | 29,643 | |||||||||
Icon Energy Cl S | Registered Investment Company | | 8,129 | |||||||||
Icon Healthcare Cl S | Registered Investment Company | | 8,311 | |||||||||
Icon Materials Cl S | Registered Investment Company | | 4,254 |
63
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Intrepid Small Cap Fund Investor Class | Registered Investment Company | | 2,532 | |||||||||
Inves Co Intl Growth Fund Class A | Registered Investment Company | | 5,124 | |||||||||
Inves Co Van Kampen Equity | Registered Investment Company | | 16,853 | |||||||||
Ishares Barclays US Aggregate Bd Fd | Registered Investment Company | | 43,245 | |||||||||
Ishares ex Gold Trust Ishares Etf | Registered Investment Company | | 18,657 | |||||||||
Ishares Iboxx $ Investment Grade Bd Fund | Registered Investment Company | | 47,964 | |||||||||
Ishares Inc Mcsi Bric Index Fd | Registered Investment Company | | 5,210 | |||||||||
Ishares Inc Msci Australia Index Fund | Registered Investment Company | | 2,680 | |||||||||
Ishares Inc Msci Brazil Free Index Fu Nd | Registered Investment Company | | 29,830 | |||||||||
Ishares Inc Msci Malaysia Free Index Fd | Registered Investment Company | | 11,524 | |||||||||
Ishares Inc Msci Singapore Index Fd | Registered Investment Company | | 30,099 | |||||||||
Ishares Inc Msci Turkey Index Fd | Registered Investment Company | | 4,221 | |||||||||
Ishares Russell 1000 Growth | Registered Investment Company | | 2,466,519 | |||||||||
Ishares S & P Gsti Software Index Fund | Registered Investment Company | | 18,401 | |||||||||
Ishares S & P North American Index Fd | Registered Investment Company | | 26,638 | |||||||||
Ishares Silver Tr Ishares | Registered Investment Company | | 52,937 | |||||||||
Ishares Tr Cohen & Steers Realty Index Fd | Registered Investment Company | | 32,057 | |||||||||
Ishares Tr Dow Jones US Consumer Goods Fd | Registered Investment Company | | 8,659 | |||||||||
Ishares Tr Dow Jones US Energy Sector Index Fd | Registered Investment Company | | 6,019 | |||||||||
Ishares Tr Dow Jones US Medical Devices Fd | Registered Investment Company | | 11,752 | |||||||||
Ishares Tr Dow Jones Us Oil & Gas Index Fd | Registered Investment Company | | 2,127 | |||||||||
Ishares Tr Dow Jones US Technology Index Fd | Registered Investment Company | | 9,617 | |||||||||
Ishares Tr Ftse Nareit Mtg Plus Capped Index Fd | Registered Investment Company | | 5,969 | |||||||||
Ishares Tr Iboxx $ High Yield Corp Bd Fd | Registered Investment Company | | 17,886 | |||||||||
Ishares Tr Msci Eafe Index Fd | Registered Investment Company | | 34,630 | |||||||||
Ishares Tr Msci Eafe Value Index Fd | Registered Investment Company | | 5,904 | |||||||||
Ishares Tr Msci Emerging Mkts Index Fd | Registered Investment Company | | 80,630 | |||||||||
Ishares Tr Nasdaq Biotechnology Index Fd | Registered Investment Company | | 5,218 | |||||||||
Ishares Tr Russell 1000 Growth Index Fd | Registered Investment Company | | 18,927 | |||||||||
Ishares Tr Russell 1000 Index Fd | Registered Investment Company | | 12,270 | |||||||||
Ishares Tr Russell 1000 Value Index Fd | Registered Investment Company | | 16,621 | |||||||||
Ishares Tr Russell 2000 Value Index Fd | Registered Investment Company | | 4,979 | |||||||||
Ishares Tr Russell Midcap Value Index Fd | Registered Investment Company | | 5,487 | |||||||||
Ishares Tr S & P 500 Index Fd | Registered Investment Company | | 15,854 | |||||||||
Ishares Tr S & P Latin Amer 40 Index Fd | Registered Investment Company | | 11,345 | |||||||||
Ishares Tr S & P Micap 400/Growth Index Fund | Registered Investment Company | | 19,847 | |||||||||
Ishares Tr S & P Midcap 400 Index Fd | Registered Investment Company | | 15,451 | |||||||||
Ishares Tr S & P Midcap 400/Value Index Fd | Registered Investment Company | | 64,608 | |||||||||
Ishares Tr S & P US Pfd Stk Index Fd | Registered Investment Company | | 1,781 | |||||||||
Ishares Tr U S Treas Inflation Protected Secs Fd | Registered Investment Company | | 167,143 | |||||||||
Ishares Trust S & P Smallcap 600 Index Fd | Registered Investment Company | | 28,994 | |||||||||
Iva International Fund Cl A | Registered Investment Company | | 8,502 | |||||||||
Ivy Asset Strategy Class R | Registered Investment Company | | 15,085 | |||||||||
Ivy Global Natural Resources Class C | Registered Investment Company | | 31,984 | |||||||||
Ivy Mid Cap Growth Cl I | Registered Investment Company | | 6,724 | |||||||||
Janus Balanced | Registered Investment Company | | 43,268 | |||||||||
Janus Mercury | Registered Investment Company | | 10,334 | |||||||||
Janus Orion Fund | Registered Investment Company | | 6,622 | |||||||||
Janus Overseas | Registered Investment Company | | 50,754 |
64
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Janus Triton Fund Class T Shares | Registered Investment Company | | 46,997 | |||||||||
Janus Worldwide Fund Class T | Registered Investment Company | | 5,601 | |||||||||
John Hancock Patriot Prem Divid Fd | Registered Investment Company | | 10,392 | |||||||||
JPMorgan Mid Cap Value Instl | Registered Investment Company | | 339 | |||||||||
JPMorgan Small Cap Equity Fnd Select Cl | Registered Investment Company | | 26,805 | |||||||||
Kinetics Small Cap Opportunities | Registered Investment Company | | 7,345 | |||||||||
Lazard Developing Mrkts Eq Cl Shares | Registered Investment Company | | 1,568 | |||||||||
Liberty All Star Equity Fd Sbi | Registered Investment Company | | 92 | |||||||||
* | Loomis Sayles Bond Retail Shares | Registered Investment Company | | 44,329 | ||||||||
* | Loomis Sayles Global Bond Retail | Registered Investment Company | | 10,457 | ||||||||
* | Loomis Sayles Invst Grade Bond Cl A | Registered Investment Company | | 7,648 | ||||||||
Lord Abbett Short Duration Ine Cl A | Registered Investment Company | | 16,092 | |||||||||
Managers Fremont Micro-Cap Fund | Registered Investment Company | | 19,218 | |||||||||
Managers Intermediat Duration Government | Registered Investment Company | | 22,955 | |||||||||
Manning & Napier Equity Series | Registered Investment Company | | 67,147 | |||||||||
Manning & Napier Overseas Series | Registered Investment Company | | 2,536 | |||||||||
Manning & Napier Pro Blend Max Term Ser | Registered Investment Company | | 853 | |||||||||
Market Vectors Agribusiness Etf | Registered Investment Company | | 9,490 | |||||||||
Market Vectors Solar Energy Etf | Registered Investment Company | | 785 | |||||||||
Market Vectors Uranium Nuclear Energy Etf | Registered Investment Company | | 8,908 | |||||||||
Marshall Mid Cap Value Cl Y | Registered Investment Company | | 4,829 | |||||||||
Marsico InternatL Opportunities | Registered Investment Company | | 24,067 | |||||||||
Matthews Asia Dividend Fund | Registered Investment Company | | 10,258 | |||||||||
Matthews Dragon Century China | Registered Investment Company | | 5,486 | |||||||||
Matthews India Fund | Registered Investment Company | | 6,569 | |||||||||
Matthews Pacific Tiger | Registered Investment Company | | 46,853 | |||||||||
Merger Fund | Registered Investment Company | | 51,772 | |||||||||
Meridian Fund | Registered Investment Company | | 63,977 | |||||||||
Meridian Value Fund | Registered Investment Company | | 6,100 | |||||||||
Metropolitan West Tot Return Bond Cl M | Registered Investment Company | | 1,059 | |||||||||
Nasdaq Prem Ine & Growth Fd Inc | Registered Investment Company | | 7,462 | |||||||||
Needham Growth Fund | Registered Investment Company | | 1,200 | |||||||||
Neuberger Berman Real Estate Trust Cl | Registered Investment Company | | 21,251 | |||||||||
Northern Global Fixed Ine | Registered Investment Company | | 1,985 | |||||||||
Nuveen Insd Mun Oppty Fd Inc | Registered Investment Company | | 15,306 | |||||||||
Nuveen Mun Value Fd | Registered Investment Company | | 10,066 | |||||||||
Nuveen Quality Pfd Ine Fd 2 | Registered Investment Company | | 121,365 | |||||||||
Oakmark Equity & Ine Fd | Registered Investment Company | | 231,281 | |||||||||
Oakmark Fund | Registered Investment Company | | 70,329 | |||||||||
Oakmark Intl | Registered Investment Company | | 27,703 | |||||||||
Oakmark Intl Small Cap | Registered Investment Company | | 13,786 | |||||||||
Oppenheimer IntL Growth Class A | Registered Investment Company | | 6,893 | |||||||||
Parnassus Equity Ine Portfolio | Registered Investment Company | | 47,092 | |||||||||
Parnassus Small Cap | Registered Investment Company | | 1,624 | |||||||||
Parnassus Workplace | Registered Investment Company | | 1,849 | |||||||||
Perkins Mid Cap Value Class I | Registered Investment Company | | 5,914 | |||||||||
Permanent Portfolio Family Fds | Registered Investment Company | | 297,196 | |||||||||
* | Pimco All Asset Inst Class | Registered Investment Company | | 107,552 | ||||||||
* | Pimco Emerging Markets Bond Fund D | Registered Investment Company | | 16,680 |
65
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
* | Pimco Investment Grade Corp Bond Cl D | Registered Investment Company | | 21,502 | ||||||||
* | Pimco Real Return Class D | Registered Investment Company | | 49,111 | ||||||||
* | Pimco Stocksplus Tr Short Strategy Cl A | Registered Investment Company | | 16,806 | ||||||||
* | Pimco Total Return Class A | Registered Investment Company | | 25,016 | ||||||||
* | Pimco Total Return Class D | Registered Investment Company | | 15,432 | ||||||||
Powershares Db Modity Index Tracking Fd | Registered Investment Company | | 2,738 | |||||||||
Powershares Db Multi Sector Db Agric Fd | Registered Investment Company | | 4,070 | |||||||||
Powershares Db Multi Sector Base Metals Fd | Registered Investment Company | | 7,460 | |||||||||
Powershares Exchange Dynamic Basic Matls | Registered Investment Company | | 6,978 | |||||||||
Powershares Exchange Golden Dragon Halter | Registered Investment Company | | 1,627 | |||||||||
Powershares Ftse Rafi US 1000 | Registered Investment Company | | 36,566 | |||||||||
Powershares Qqq Tr Unit Ser 1 | Registered Investment Company | | 96,865 | |||||||||
Primecap Odyssey Aggressive Grwth Fd | Registered Investment Company | | 1,484 | |||||||||
Proshares Tr Ii Proshares Ultra Gold | Registered Investment Company | | 632 | |||||||||
Proshares Tr Ii Proshares Ultrashort Euro | Registered Investment Company | | 1,547 | |||||||||
Proshares Tr Proshares Ultrashort S & P 500 | Registered Investment Company | | 47,451 | |||||||||
Proshares Tr Short Real Estate Fd | Registered Investment Company | | 10,287 | |||||||||
Proshares Tr Ultrapro Midcap400 | Registered Investment Company | | 8,250 | |||||||||
Proshares Tr Ultrapro Russell2000 | Registered Investment Company | | 7,019 | |||||||||
Proshares Tr Ultrashort Financials New | Registered Investment Company | | 3,856 | |||||||||
Proshares Trust Ultra Financials | Registered Investment Company | | 18,789 | |||||||||
Proshares Ultra Gas Proshares | Registered Investment Company | | 4,132 | |||||||||
Proshares Ultra Qqq Proshares | Registered Investment Company | | 28,511 | |||||||||
Proshares Ultra S & P 500 Proshares | Registered Investment Company | | 23,687 | |||||||||
Proshares Ultrashort 20+ Yr Treas | Registered Investment Company | | 3,614 | |||||||||
Prudential Jennison Natural Resources R | Registered Investment Company | | 6,199 | |||||||||
Putnam High Ine Conv & Bd Fd | Registered Investment Company | | 19,200 | |||||||||
Rainier Small Mid Cap Equity | Registered Investment Company | | 6,751 | |||||||||
Reaves Util Ine Fd Sh Ben Int | Registered Investment Company | | 180 | |||||||||
Rivernorth Core Oppportunity Fund | Registered Investment Company | | 20,599 | |||||||||
Royce Low Priced Stock Fund | Registered Investment Company | | 168,079 | |||||||||
Royce Microcap | Registered Investment Company | | 84,060 | |||||||||
Royce Opportunity Fund | Registered Investment Company | | 7,164 | |||||||||
Royce Pa Mutual | Registered Investment Company | | 148,551 | |||||||||
Royce Premier Series | Registered Investment Company | | 50,216 | |||||||||
Royce Special Equity | Registered Investment Company | | 16,732 | |||||||||
Royce Total Return Fund | Registered Investment Company | | 30,599 | |||||||||
Rs Global Natural Resources Fund Cl Y | Registered Investment Company | | 5,485 | |||||||||
Russell Emerging Markets | Registered Investment Company | | 4,742 | |||||||||
Rydex Etf S & P 500 Equal Weighted Index Fd | Registered Investment Company | | 9,363 | |||||||||
Schroder Emerging Market Equity Adv Cl | Registered Investment Company | | 46,691 | |||||||||
Schwab Fundamental Emg Mkts Index Instl | Registered Investment Company | | 6,566 | |||||||||
Schwab Strategic Tr Us Dividend Equity Etf | Registered Investment Company | | 78,540 | |||||||||
Scout International Fund | Registered Investment Company | | 875 | |||||||||
Sector Spdr Tr Shs Ben Int Financial | Registered Investment Company | | 4,085 | |||||||||
Sector Spdr Tr Shs Ben Int Technology | Registered Investment Company | | 6,453 | |||||||||
Sector Spdr Tr Shs Ben Int Utilities | Registered Investment Company | | 23,637 | |||||||||
Select Energy | Registered Investment Company | | 13,911 | |||||||||
Select Medical Delivery | Registered Investment Company | | 47,236 |
66
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Select Natural Gas | Registered Investment Company | | 2,144 | |||||||||
Select Sector Spdr Tr Health Care | Registered Investment Company | | 26,814 | |||||||||
Selected American Shares | Registered Investment Company | | 76,489 | |||||||||
Shelton S & P Mid Cap Index | Registered Investment Company | | 10,550 | |||||||||
Skyline Special Equities | Registered Investment Company | | 7,315 | |||||||||
Sound Shore Fd Inc | Registered Investment Company | | 3,217 | |||||||||
Spartan 500 Index Fd Advantage Class | Registered Investment Company | | 96,535 | |||||||||
Spartan Ext Mkt Indx Fd Advantage Class | Registered Investment Company | | 90,360 | |||||||||
Spartan Total Market Index | Registered Investment Company | | 29,892 | |||||||||
Spdr Dow Jones Indl Average Etf | Registered Investment Company | | 34,338 | |||||||||
Spdr Gold Tr Gold Shs | Registered Investment Company | | 460,682 | |||||||||
Spdr Index Wilshire Intl Real Estate Etf | Registered Investment Company | | 12,771 | |||||||||
Spdr S & P 500 Etf Trust Unit Ser 1 S & P | Registered Investment Company | | 123,776 | |||||||||
Spdr Ser Tr DJ Wilshire Mid Cap Growth Etf | Registered Investment Company | | 7,369 | |||||||||
Spdr Ser Tr DJ Wilshire Reit Etf | Registered Investment Company | | 41,086 | |||||||||
Spdr Ser Tr DJ Mid Cap Etf | Registered Investment Company | | 7,863 | |||||||||
Spdr Ser Tr S & P Pharmeceuticals Etf | Registered Investment Company | | 9,966 | |||||||||
Spdr Ser Tr Wells Fargo Pfd Stock Etf | Registered Investment Company | | 17,198 | |||||||||
* | SSGA Emerging Markets | Registered Investment Company | | 25,091 | ||||||||
* | SSGA International Stock Selection | Registered Investment Company | | 6,135 | ||||||||
Star Bulk Carriers Corp Shs | Registered Investment Company | | 15,022 | |||||||||
T Rowe Price Cap Appreciation | Registered Investment Company | | 190,269 | |||||||||
T Rowe Price Corporate | Registered Investment Company | | 109,585 | |||||||||
T Rowe Price Emerg Euro & Mediterranean | Registered Investment Company | | 2,064 | |||||||||
T Rowe Price Equity | Registered Investment Company | | 9,577 | |||||||||
T Rowe Price Growth Stock | Registered Investment Company | | 7,866 | |||||||||
T Rowe Price Growth Stock Advisor Cl | Registered Investment Company | | 2,690 | |||||||||
T Rowe Price Health Sciences | Registered Investment Company | | 16,712 | |||||||||
T Rowe Price International Bond | Registered Investment Company | | 8,482 | |||||||||
T Rowe Price Intl Discovery Fund | Registered Investment Company | | 70,223 | |||||||||
T Rowe Price Intl Emerging Market Bond | Registered Investment Company | | 7,243 | |||||||||
T Rowe Price Latin America Fund | Registered Investment Company | | 11,290 | |||||||||
T Rowe Price Media & Telemunications | Registered Investment Company | | 2,799 | |||||||||
T Rowe Price Mid Cap Growth | Registered Investment Company | | 21,027 | |||||||||
T Rowe Price Mid Cap Value | Registered Investment Company | | 18,156 | |||||||||
T Rowe Price New Horizons Fd Inc | Registered Investment Company | | 1,062 | |||||||||
T Rowe Price Ret 2040 Fd | Registered Investment Company | | 4,420 | |||||||||
T Rowe Price Rtmt 2015 Advisor Class | Registered Investment Company | | 21,098 | |||||||||
T Rowe Price Rtmt 2025 Fund Adv Shrs | Registered Investment Company | | 21,447 | |||||||||
T Rowe Price Rtmt Fund 2040 Adv Shrs | Registered Investment Company | | 4,449 | |||||||||
T Rowe Price Small Cap Value Fund | Registered Investment Company | | 2,485 | |||||||||
Target Moderate Allocation Cl C | Registered Investment Company | | 15,555 | |||||||||
Target Retirement 2010 Fd | Registered Investment Company | | 5,343,270 | |||||||||
Target Retirement 2015 Fd | Registered Investment Company | | 18,341,730 | |||||||||
Target Retirement 2020 Fd | Registered Investment Company | | 21,454,676 | |||||||||
Target Retirement 2025 Fd | Registered Investment Company | | 24,688,195 | |||||||||
Target Retirement 2030 Fd | Registered Investment Company | | 27,153,084 | |||||||||
Target Retirement 2035 Fd | Registered Investment Company | | 30,062,077 | |||||||||
Target Retirement 2040 Fd | Registered Investment Company | | 22,422,639 |
67
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Target Retirement 2045 Fd | Registered Investment Company | | 19,142,442 | |||||||||
Target Retirement 2050 Fd | Registered Investment Company | | 15,533,070 | |||||||||
TCW Emerging Mkts Ine Cl I | Registered Investment Company | | 5,095 | |||||||||
TCW Select Equities Class N | Registered Investment Company | | 6,184 | |||||||||
TCW Total Return Bond Class I | Registered Investment Company | | 50,372 | |||||||||
Templeton China World Fund Adv Class | Registered Investment Company | | 9,478 | |||||||||
Templeton Emerging Mrtks Small Cap A | Registered Investment Company | | 4,887 | |||||||||
Templeton Global Bond Advisor Class | Registered Investment Company | | 16,124 | |||||||||
Templeton Global Bond Class A | Registered Investment Company | | 8,224 | |||||||||
Templeton Global Bond Class C | Registered Investment Company | | 48,060 | |||||||||
The Contrarian Fund | Registered Investment Company | | 19,318 | |||||||||
The Delafield Fund | Registered Investment Company | | 1,807 | |||||||||
Third Ave Small Cap Value Fd | Registered Investment Company | | 19,790 | |||||||||
Third Avenue Value | Registered Investment Company | | 4,061 | |||||||||
Thompson Plumb Growth Fund | Registered Investment Company | | 255 | |||||||||
Thornburg Intl Value Cl Instl | Registered Investment Company | | 15,043 | |||||||||
Timothy Plan Conserv Growth Cl C | Registered Investment Company | | 19,006 | |||||||||
Timothy Plan Fixed Ine Class C | Registered Investment Company | | 4,092 | |||||||||
Timothy Plan Strateg Growth Cl C | Registered Investment Company | | 9,575 | |||||||||
Tocqueville Fund | Registered Investment Company | | 7,979 | |||||||||
Tocqueville Gold Fund | Registered Investment Company | | 14,967 | |||||||||
Touchstone Small Cap Value Cl A | Registered Investment Company | | 8,625 | |||||||||
Transamerica Systmtc Small/Mid Cap Value C | Registered Investment Company | | 17,613 | |||||||||
Tributary Growth Oppt Instl | Registered Investment Company | | 4,571 | |||||||||
Tweedy Browne Global Value Fund | Registered Investment Company | | 86,953 | |||||||||
UnDiscovered Mgrs Behavior Value Instl | Registered Investment Company | | 13,551 | |||||||||
United Sts Modity Index Fd | Registered Investment Company | | 3,502 | |||||||||
United Sts Oil Fd LP | Registered Investment Company | | 47,066 | |||||||||
US Global Region East European | Registered Investment Company | | 2,013 | |||||||||
Value Line | Registered Investment Company | | 1,928 | |||||||||
Value Line Small Cap Growth | Registered Investment Company | | 27,075 | |||||||||
Van Eck Global Hard Assets Class C | Registered Investment Company | | 9,002 | |||||||||
Vanguard 500 Index Fd Investor Shs | Registered Investment Company | | 132,143 | |||||||||
Vanguard Balanced Index Investor Class | Registered Investment Company | | 6,573 | |||||||||
Vanguard Chester Fds | Registered Investment Company | | 15,635,972 | |||||||||
Vanguard Developed Mrkts Index Inv | Registered Investment Company | | 20,572 | |||||||||
Vanguard Dividend Growth Investor Cl | Registered Investment Company | | 38,727 | |||||||||
Vanguard Energy Investor Fund | Registered Investment Company | | 185,467 | |||||||||
Vanguard Equity Ine Investor Cl | Registered Investment Company | | 10,065 | |||||||||
Vanguard Fi High Yld Corp Investor Cl | Registered Investment Company | | 5,757 | |||||||||
Vanguard Global Equity Investor Cl | Registered Investment Company | | 18,388 | |||||||||
Vanguard GNMA Investor Cl | Registered Investment Company | | 20,244 | |||||||||
Vanguard Growth Index Investor Cl | Registered Investment Company | | 6,729 | |||||||||
Vanguard Index Fds Vanguard Growth Vipers | Registered Investment Company | | 9,264 | |||||||||
Vanguard Index Fds Vanguard Large Cap Vipers | Registered Investment Company | | 5,666 | |||||||||
Vanguard Index Fds Vanguard Reit Etf | Registered Investment Company | | 5,800 | |||||||||
Vanguard Index Fds Vanguard Total Stk Mkt Etf | Registered Investment Company | | 39,373 | |||||||||
Vanguard Index Trust Sm Cap Grwth Inv Cl | Registered Investment Company | | 44,728 | |||||||||
Vanguard Inflation Protected Secs Inv | Registered Investment Company | | 51,714 |
68
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
Vanguard Intermed Term Tax Exempt Inv |
Registered Investment Company | | 1,333 | |||||||||
Vanguard Inter-Term Bond Index Port Inv |
Registered Investment Company | | 75,027 | |||||||||
Vanguard Msci Emerging Mkts Etf |
Registered Investment Company | | 79,908 | |||||||||
Vanguard Intl Value Port Inv Cl |
Registered Investment Company | | 1,697 | |||||||||
Vanguard Long Term US Treasury Investor |
Registered Investment Company | | 30,842 | |||||||||
Vanguard Mid Cap Grwth Indx Cl Inves |
Registered Investment Company | | 979 | |||||||||
Vanguard Mid Cap Index Investor Cl |
Registered Investment Company | | 158,204 | |||||||||
Vanguard Mid Cap Value Index Inv |
Registered Investment Company | | 5,909 | |||||||||
Vanguard Reit Index Investor |
Registered Investment Company | | 110,955 | |||||||||
Vanguard Sector Index Fds |
Registered Investment Company | | 8,510 | |||||||||
Vanguard Finls Vipers |
Registered Investment Company | | 9,858 | |||||||||
Vanguard Short Term Bond Index Investor |
Registered Investment Company | | 169,965 | |||||||||
Vanguard Small Cap Stock Ind Trust Inv |
Registered Investment Company | | 61,067 | |||||||||
Vanguard Appreciation Index Fd Viper Shs |
Registered Investment Company | | 27,758 | |||||||||
Vanguard Strategic Equity Investor |
Registered Investment Company | | 3,237 | |||||||||
Vanguard Target Ret 2025 Fd Investor Cl |
Registered Investment Company | | 194,966 | |||||||||
Vanguard Target Ret 2035 Fd Investor Cl |
Registered Investment Company | | 116,027 | |||||||||
Vanguard Target Retirement 2040 Fd |
Registered Investment Company | | 4,414 | |||||||||
Vanguard Telemunication Svcs Vipers |
Registered Investment Company | | 11,361 | |||||||||
Vanguard Total Intl Stock Index Inv |
Registered Investment Company | | 5,257 | |||||||||
Vanguard Total Stock Market Investor |
Registered Investment Company | | 46,825 | |||||||||
Vanguard Total Stock Mrkt Signal Cl Shs |
Registered Investment Company | | 88,158 | |||||||||
Vanguard Value Index Investor |
Registered Investment Company | | 10,682 | |||||||||
Vanguard Wellington Investor |
Registered Investment Company | | 95,373 | |||||||||
Vanguard Windsor II Admiral |
Registered Investment Company | | 128,320 | |||||||||
Vanguard Windsor II Investor |
Registered Investment Company | | 48,588 | |||||||||
Virtus Alternatives Diversifier Cl I |
Registered Investment Company | | 5,975 | |||||||||
Wasatch Micro-Cap Value Fund |
Registered Investment Company | | 2,151 | |||||||||
Wells Fargo Asia Pacific Fd-Investor |
Registered Investment Company | | 81 | |||||||||
Wells Fargo C & B Mid Cap Value Fd |
Registered Investment Company | | 135 | |||||||||
Wells Fargo Growth Fund-Investor Class |
Registered Investment Company | | 1,891 | |||||||||
William Blair Intl Growth Fund |
Registered Investment Company | | 19,150 | |||||||||
Wisdomtree Tr Defa High Yielding Equity Fd |
Registered Investment Company | | 5,484 | |||||||||
Wisdomtree Tr Japan Smallcap Divid Fd |
Registered Investment Company | | 12,766 | |||||||||
World Precious Minerals Fund |
Registered Investment Company | | 658 | |||||||||
Yacktman Focused Fd |
Registered Investment Company | | 53,389 | |||||||||
Yacktman Fund |
Registered Investment Company | | 194,639 | |||||||||
|
|
|||||||||||
Registered Investment Companies |
$ | 214,074,004 | ||||||||||
|
|
69
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Schedule H, Line 4i Schedule of Assets (Held at End of Year)
Employer Identification Number: 36-0781620 and Plan Number 023
December 31, 2011
Identity of Issue |
Description of Investment |
Cost (1) | Current Value | |||||||||
* | Notes Receivables from Participants | Interest rates range from 4.25% to 10.5% |
$ | 40,514,342 | ||||||||
|
|
|||||||||||
Collateral Held on Loaned Securities |
||||||||||||
* Quality D Short-term Investment Fund |
| $ | 13,782,088 | |||||||||
|
|
|||||||||||
Total Investments and Notes Receivables from Participants |
| $ | 1,859,555,767 | |||||||||
|
|
* | Party-in-interest |
** | These investments include securities that were loaned to brokers under the securities lending program with the Trustee. |
(1) | Cost information not required for participant-directed investments. |
70
SIGNATURE
Pursuant to the requirements of the Securities and Exchange Act of 1934, the Plan Administrator has duly caused this annual report to be signed on its behalf by the undersigned thereunto duly authorized.
BAXTER INTERNATIONAL INC. AND SUBSIDIARIES | ||||||
INCENTIVE INVESTMENT PLAN | ||||||
Date: June 27, 2012 | By: | /s/ Robert J. Hombach | ||||
Robert J. Hombach | ||||||
Member of the Administrative Committee |