Form 11-K
Table of Contents

 

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, 2004

 

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

 


 


Table of Contents

Baxter International Inc.

and Subsidiaries

Incentive Investment Plan

 

Financial Statements and Supplemental Schedule

 

December 31, 2004 and 2003

 


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

 

Index to Financial Statements and Supplemental Schedule

 

     Page(s)

Report of Independent Registered Public Accounting Firm

   1

Financial Statements:

    

Statements of Net Assets Available for Benefits as of December 31, 2004 and 2003

   2

Statements of Changes in Net Assets Available for Benefits for the years ended December 31, 2004 and 2003

   3

Notes to Financial Statements

   4-10

Supplemental Schedule:*

    

Exhibit I: Schedule of Assets (Held at End of Year) at December 31, 2004

    

 

* Other schedules required by Section 2520.103-10 of the Department of Labor Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974 (“ERISA”) have been omitted because they are not applicable.

 


Table of Contents

Report of Independent Registered Public Accounting Firm

 

To the Participants and Administrative Committee

of the Baxter International Inc. and

Subsidiaries Incentive Investment Plan

 

In our opinion, the accompanying statements of net assets available for benefits and the related statements of changes in net assets available for benefits present fairly, in all material respects, the net assets available for benefits of the Baxter International Inc. and Subsidiaries Incentive Investment Plan (the “Plan”) at December 31, 2004 and 2003, and the changes in net assets available for benefits for the years then ended in conformity with accounting principles generally accepted in the United States of America. These financial statements are the responsibility of the Plan’s management. Our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these statements 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, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.

 

Our audits were conducted for the purpose of forming an opinion on the basic financial statements taken as a whole. The supplemental 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 Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. This supplemental schedule is the responsibility of the Plan’s management. The supplemental schedule has been subjected to the auditing procedures applied in the audits of the basic financial statements and, in our opinion, is fairly stated in all material respects in relation to the basic financial statements taken as a whole.

 

/s/ PricewaterhouseCoopers LLP

 

PricewaterhouseCoopers LLP

Chicago, Illinois

June 27, 2005

 


Table of Contents

 

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Statements of Net Assets Available for Benefits

As of December 31, 2004 and 2003

 

     2004

   2003

Assets

             

Investments:

             

At fair value

             

Cash and cash equivalents

   $ 17,031,156    $ 18,305,854

Common stock (including securities on loan of $4,588,738 in 2004 and $ 1,070,572 in 2003)

     443,706,240      426,344,970

Fixed income securities (including securities on loan of $27,263,093 in 2004 and $20,909,386 in 2003)

     75,208,509      67,396,181

Commingled investments

     293,316,377      237,176,048

Participant loans

     28,645,973      30,196,773

Collateral held on loaned securities

     179,421,136      62,173,854
    

  

       1,037,329,391      841,593,680

At contract value

             

Guaranteed investment contracts (including securities on loan of $144,401,414 in 2004 and $53,225,167 in 2003)

     556,651,032      547,149,889
    

  

Total investments

     1,593,980,423      1,388,743,569
    

  

Receivables:

             

Accrued interest and dividends

     3,611,550      3,707,941

Due from brokers for securities sold

     879,289      3,407,478
    

  

       4,490,839      7,115,419
    

  

Total assets

     1,598,471,262      1,395,858,988
    

  

Liabilities

             

Accounts payable

     2,522,813      3,055,001

Due to brokers for securities purchased

     1,903,664      1,577,827

Collateral to be paid on loaned securities

     179,421,136      62,173,854
    

  

Total liabilities

     183,847,613      66,806,682
    

  

Net assets available for benefits

   $ 1,414,623,649    $ 1,329,052,306
    

  

 

The accompanying notes are an integral part of these financial statements.

 

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Table of Contents

 

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Statements of Changes in Net Assets Available for Benefits

For the Years Ended December 31, 2004 and 2003

 

     2004

   2003

Additions to net assets attributed to:

             

Investment income:

             

Interest

   $ 33,257,675    $ 33,836,243

Participant loan interest

     1,710,343      2,041,464

Dividends

     6,821,490      6,333,771

Net appreciation in fair value of investments

     76,889,214      123,924,690
    

  

       118,678,722      166,136,168
    

  

Contributions:

             

Employer’s

     22,282,826      23,169,330

Participants’

     56,024,604      57,564,561
    

  

       78,307,430      80,733,891
    

  

Transfers from other plans

     2,694,678      8,696,353
    

  

Total additions

     199,680,830      255,566,412
    

  

Deductions from net assets attributed to:

             

Benefits paid

     109,774,106      84,284,175

Plan expenses

     4,335,381      4,447,003
    

  

Total deductions

     114,109,487      88,731,178
    

  

Net increase

     85,571,343      166,835,234

Net assets available for benefits:

             

Beginning of year

     1,329,052,306      1,162,217,072
    

  

End of year

   $ 1,414,623,649    $ 1,329,052,306
    

  

 

The accompanying notes are an integral part of these financial statements.

 

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Table of Contents

 

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Notes to Financial Statements

December 31, 2004 and 2003

 

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 agreement for more complete information.

 

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 20% of their eligible annual compensation, as defined in the Plan agreement. The Plan sponsor, Baxter International Inc. (“Baxter”), matches participant contributions up to a maximum of 3% of the employees’ compensation. Participant contributions and Plan sponsor matching contributions are fully vested and nonforfeitable. Participants may borrow up to the lesser of $50,000 or 50% of their account balance. The loans are secured by the balance in the participant’s account and bear interest at variable rates as outlined in the Plan agreement.

 

Participants, or their beneficiaries, may elect lump-sum benefit payments or benefits may be paid in installments. Subject to certain provisions specified in the Plan agreement, employed participants may withdraw their pre-tax contributions and related earnings in cases of financial hardship.

 

Upon enrollment in the Plan, a participant may direct contributions in any of eight investment options: Stable Income Fund, Baxter Common Stock Fund, Composite Fund, General Equity Fund, S&P 500 Equity Index Fund, International EAFE Equity Index Fund, Small Cap Fund and the Self-Managed Fund. In addition, certain participants may maintain shares received in connection with Baxter’s 1996 spin-off of Allegiance Corporation (“Allegiance”), which were subsequently converted into common shares of Cardinal Health Inc. (“Cardinal”) upon Cardinal’s 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 Baxter’s 2000 spin-off of its Cardiovascular Business Group. Participants are not able to make contributions to the Cardinal Health Common Stock Fund or the Edwards Lifesciences Common Stock Fund.

 

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Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Notes to Financial Statements

December 31, 2004 and 2003

 

2. Summary of Significant Accounting Policies

 

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. The valuation of Plan investments is determined as follows:

 

U.S. government and government agency issues    Value based on the last reported sale price from a national security exchange on the valuation date
Corporate and other bonds    Value based on the last reported sale price from a national security exchange on the valuation date
Common stock:     

Traded on national exchanges

   Value based on composite pricing of all national closing sales prices on the valuation date

Traded on over-the-counter market

   Value based on last reported sale price defaulting to bid quotations
Commingled investments    Value based on closing prices of the underlying securities on the valuation date
Guaranteed investment contracts    Value based on contract value
Short-term investments    Value based on cost which approximates fair value
Loan fund    Value based on cost which approximates fair value
Collateral    Value based on cost which approximates fair value

 

Plan investment return includes dividend and interest income, gains and losses on sales of investments and unrealized appreciation or depreciation of investments. The financial statements reflect the net appreciation or depreciation in the fair value of the Plan’s investments. This net appreciation or depreciation 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.

 

The Plan’s synthetic guaranteed investment contracts are credited monthly with earnings on the underlying investments and charged for Plan withdrawals and expenses. These contracts are fully benefit-responsive and are reported in the financial statements at contract value, which approximates fair value. Contract value represents contributions made under the contracts, plus earnings, less withdrawals and expenses. There are no reserves for credit risk of the contract issuer

 

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Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Notes to Financial Statements

December 31, 2004 and 2003

 

or otherwise. The Plan’s two contracts, Baxter Global Wrap Account and Pacific Investment Management Company, utilize wrapper contracts issued by Aegon Institutional Markets and Bank of America NT & SA, respectively. The average yield was 4.4% and 3.9% and the average crediting interest rate was 5.5% and 5.5% for the investment contracts for 2004 and 2003, respectively. The crediting interest rates are based on an agreed-upon formula with the issuers, Aegon Institutional Markets and Bank of America NT & SA, which are reset quarterly and monthly, respectively. These crediting interest rates cannot be less than zero percent.

 

Benefits are recorded when paid.

 

Due from or due to brokers for securities sold or purchased, respectively, represent the cash value of security trades initiated but not yet settled at each respective year-end.

 

Use of Estimates

 

The preparation of financial statements in conformity with accounting principles generally accepted in the United States of America requires management to make estimates and assumptions that affect the amounts reported in the financial statements and related notes to the financial statements. Changes in such estimates may affect amounts reported in future periods.

 

Risks and Uncertainties

 

The Plan provides for various investment options in any combination of registered investment entities, which invest in U.S. government and government agency issues, corporate and other bonds, common stock, commingled investments, guaranteed investment contracts and short-term investments. Investment securities are exposed to various risks, such as interest rate, market and credit risks. Due to the level of risk associated with certain investment securities 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 fund values.

 

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:

 

  1. U.S. employees of Baxter or its subsidiaries which have adopted the Plan.

 

  2. U.S. employees not covered by a collective bargaining agreement unless the agreement provides for coverage under the Plan.

 

  3. U.S. employees who are not leased employees.

 

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Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Notes to Financial Statements

December 31, 2004 and 2003

 

4. Administration of the Plan

 

State Street Bank and Trust Company (the “Trustee”) serves as trustee and CitiStreet LLC serves as record keeper 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. Investments

 

Investments representing five percent or more of the Plan’s net assets available for benefits at December 31, 2004 and 2003 are summarized as follows:

 

     2004

   2003

Baxter Common Stock, 3,670,951 shares and 4,223,772 shares at December 31, 2004 and 2003, respectively

   $ 126,794,642    $ 128,909,531

S&P 500 Equity Index Fund

     170,580,611      150,059,044

State Street Bank Short Term Investment Fund

     31,596,747      82,764,103

 

Investments as of December 31, 2004 and 2003 are segregated into various investment funds as follows:

 

     2004

   2003

Cash

   $ 1,352,665    $ 2,593,983

Stable Income Fund

     562,575,780      556,179,424

Baxter Common Stock Fund

     129,561,504      127,543,730

Composite Fund

     167,332,809      158,816,346

General Equity Fund

     185,698,581      168,792,569

Cardinal Health Common Stock Fund

     14,874,428      18,023,560

S&P 500 Equity Index Fund

     170,580,611      150,059,044

International EAFE Equity Index Fund

     50,754,913      32,558,027

Loan Fund

     28,645,973      30,196,773

Edwards Lifesciences Common Stock Fund

     12,637,409      10,711,243

Small Cap Fund

     57,508,895      42,677,228

Self-Managed Fund

     33,035,719      28,417,788

Collateral held on loaned securities

     179,421,136      62,173,854
    

  

Total Investments

   $ 1,593,980,423    $ 1,388,743,569
    

  

 

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Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Notes to Financial Statements

December 31, 2004 and 2003

 

The fund amounts above include $15,678,491 and $15,711,871 of cash and cash equivalents at December 31, 2004 and 2003, respectively, which are awaiting investment in their respective portfolios. These amounts are maintained in the State Street Bank Short Term Investment Fund.

 

Net appreciation (depreciation) for each respective year is comprised of:

 

     2004

   2003

 

Baxter common stock unrealized appreciation, net

   $ 14,596,120    $ 11,308,627  

Other unrealized appreciation, net

     59,718,803      109,719,425  

Baxter common stock realized gain (loss), net

     240,957      (1,260,241 )

Other realized gain, net

     2,333,334      4,156,879  
    

  


     $ 76,889,214    $ 123,924,690  
    

  


 

Net appreciation (depreciation) in fair value for each significant class of investment, which includes realized and unrealized gains and losses, is as follows:

 

     2004

    2003

 

U.S. government and government agency issues

   $ (194,059 )   $ (396,974 )

Corporate and other bonds

     2,537       1,695,092  

Common stock

     44,470,849       72,069,868  

Commingled investments

     32,609,887       50,556,704  
    


 


     $ 76,889,214     $ 123,924,690  
    


 


 

6. 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 Borrowers, pursuant to a security loan agreement, to deliver collateral to secure each loan. The Plan bears the risk of loss with respect to the 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 securities 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.

 

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Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Notes to Financial Statements

December 31, 2004 and 2003

 

The collateral received pursuant to securities lending transactions is reflected on the Statements of Net Assets Available for Benefits as both an asset and a liability, and has no effect on the net assets available for benefits of the Plan. The 2003 balances have been revised to conform to the 2004 presentation.

 

As of December 31, 2004 and 2003, the Plan had securities on loan with a market value of $176,253,245 and $75,205,125, respectively, with cash collateral held of $179,421,136 and $62,173,854, respectively. Non-cash collateral of $147,600 and $14,534,109 received for securities on loan at December 31, 2004 and 2003, respectively, consisted of U.S. government and government agency issues held by the Trustee on behalf of the Plan. 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 $79,541 and $155,585 for 2004 and 2003, respectively. Securities lending income allocated to the Trustee amounted to $79,666 and $155,722 for 2004 and 2003, respectively. Securities lending income is classified as interest income in the Statements of Changes in Net Assets Available for Benefits.

 

7. 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 ERISA. In the event of Plan termination, such termination would not reduce the interest of any participating employee or their beneficiaries accrued under the Plan up to the date of such termination.

 

8. Tax Status of the Plan

 

The Internal Revenue Service has determined and informed the Plan sponsor by a letter dated October 1, 2003 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 Plan’s financial statements.

 

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Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Notes to Financial Statements

December 31, 2004 and 2003

 

9. Related Parties

 

At December 31, 2004 and 2003, the Plan held units of participation in certain common/collective trust funds and short-term investment funds of State Street Bank and Trust Company, the Plan trustee, shares of common stock of Baxter, the Plan sponsor, loans with participants, and shares of common stock and fixed income securities in CitiGroup Inc., CitiBank Mortgage Securities Inc., CitiBank Credit Card Issuance Trust, Travelers Property Casualty Corporation, and CitiBank Credit Card Master Trust I, which are all affiliated with CitiStreet LLC, the record keeper. These transactions are allowable party-in-interest transactions under ERISA and the regulations promulgated thereunder.

 

10. Plan Mergers

 

During 2000, Baxter acquired North American Vaccine, Inc. The North American Vaccine, Inc. Retirement and Savings 401(k) Plan and Trust was merged into the Plan effective November 2004. As a result of this merger, total assets of approximately $2.7 million were transferred into the Plan.

 

During 2002, Baxter acquired Epic Therapeutics, Inc. The Epic Therapeutics, Inc. 401(k) Plan was merged into the Plan effective December 2003. As a result of this merger, total assets of approximately $1.0 million were transferred into the Plan.

 

In December 2002, Baxter acquired ESI Lederle. The American Home Projects Corporation Savings Plan (Wyeth 401(k) Plan) was merged into the Plan effective February 2003. As a result of this merger, total assets of approximately $7.7 million were transferred into the Plan.

 

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Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule of Assets (Held at End of Year) at December 31, 2004

(Schedule H, Part IV, Line 4i on Form 5500)

  

Exhibit I

Page 1 of 30

 

Identity of Issue


  

Description of Investment


   Current Value

Cash & Cash Equivalents:

           

*        State Street Bank + Trust Co

   Short-Term Investment Fund    $ 17,031,156
         

Common Stock:

           

3Com Corp

   Common Stock      12,927

3M Company

   Common Stock      12,111

8X8 Inc

   Common Stock      35,409

Abbott Laboratories

   Common Stock      287,663

Abn Amro Hldg

   Common Stock      1,330

Acacia Res Corp

   Common Stock      1,191

Accenture Ltd Bermuda

   Common Stock      6,750

Ace Comm Corp

   Common Stock      2,400

Adams Express Company

   Common Stock      60,680

Adaptive Broadband Corp

   Common Stock      6

Adc Telecommunications Inc

   Common Stock      620,571

Adept Technology Inc

   Common Stock      2,640

Advanced Digital Information Corp

   Common Stock      5,010

Advanced Micro Devices Inc

   Common Stock      1,205,464

Advanced Optics Electronics Inc

   Common Stock      10

Aeterna Zentaris Inc

   Common Stock      92,216

Aetna Inc

   Common Stock      1,910,688

Affymetrix Inc

   Common Stock      3,655

Aflac Inc

   Common Stock      423,971

Agere Sys Inc

   Common Stock      10,879

Agilent Tech Inc

   Common Stock      1,361,020

Airnet Communications Corp

   Common Stock      733

Airspan Networks Inc

   Common Stock      3,801

Akamai Tech

   Common Stock      4,339

Aksys Ltd

   Common Stock      3,058

Alamo Group Inc

   Common Stock      5,432

Albertsons Inc

   Common Stock      2,388

Alcoa Inc

   Common Stock      90,552

Alcon Inc

   Common Stock      2,365,559

Alderwoods Group Inc

   Common Stock      5,396

Alkermes Inc

   Common Stock      14,090

Alliance Pharmaceutical Corp

   Common Stock      428

Allos Therapeutics Inc

   Common Stock      19,752

Alloy Online Inc

   Common Stock      4,842

Alstom Sa Spons Adr

   Common Stock      283

Alteon Inc

   Common Stock      49,125

Altria Group Inc

   Common Stock      2,420,191

Alvarion Ltd

   Common Stock      2,652

Amarin Corp

   Common Stock      1,084

Ambac Finl Group Inc

   Common Stock      1,704,271

Amdocs Limited

   Common Stock      5,250

Amedisys Inc

   Common Stock      4,859

Amer Intl Group Inc

   Common Stock      4,925

Ameren Corp

   Common Stock      10,028

America Movil

   Common Stock      7,889

American Access Techs

   Common Stock      2,200

American Electric Power Inc

   Common Stock      2,295,782

American Intl Group Inc

   Common Stock      3,569,006

American Std Cos Inc

   Common Stock      612,448

American West Hldg Corp

   Common Stock      1,875

Americredit Corp

   Common Stock      7,580

Amgen Inc

   Common Stock      3,380,015

Amr Corp

   Common Stock      5,475

Anadarko Pete Corp

   Common Stock      6,495

Andrea Electronics Corp

   Common Stock      47

 


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule of Assets (Held at End of Year) at December 31, 2004

(Schedule H, Part IV, Line 4i on Form 5500)

  

Exhibit I

Page 2 of 30

 

Anheuser Busch Cos

   Common Stock    4,819

Anooraq Res Corp

   Common Stock    1,300

Apache Corp

   Common Stock    5,057

Apex Silver Mines Limited

   Common Stock    1,718

Apollo Group Inc

   Common Stock    2,906

Apple Computer

   Common Stock    1,731,283

Applera Corp Com Applied Biosystems Group

   Common Stock    24,807

Applied Digital Solutions Inc

   Common Stock    76,363

Applied Imaging Corp

   Common Stock    660

Applied Materials Inc

   Common Stock    38,988

Applied Micro Circuits Corp

   Common Stock    2,842

Apt Satellite Holding Ltd

   Common Stock    930

Aradigm Corp

   Common Stock    779

Archer Daniels Midland

   Common Stock    6,880

Ariba Inc

   Common Stock    8,549

Arm Holdings Plc Spons Adr

   Common Stock    3,461

Arotech Corp

   Common Stock    11,196

Arrow Electrs Inc

   Common Stock    1,594,380

Arrow Finl Corp

   Common Stock    4,915

Artemis Intl Solutions Corp

   Common Stock    295

Asia Pulp & Paper Co

   Common Stock    80

Ask Jeeves Inc

   Common Stock    5,350

Asta Funding Inc

   Common Stock    8,052

Astropower Inc

   Common Stock    1

At&T Corp

   Common Stock    32,402

Ati Technologies Inc

   Common Stock    1,939

Atlantis Plastics Inc

   Common Stock    4,272

Atsi Communications Inc

   Common Stock    67

Atx Communications Inc

   Common Stock    5

Au Optronics Corp

   Common Stock    215

Audiocodes Ltd

   Common Stock    3,322

Autodesk Inc

   Common Stock    15,180

Automatic Data Processing Inc

   Common Stock    13,305

Avaya Inc

   Common Stock    1,720

Avid Technology Inc

   Common Stock    1,853

Avnet Inc

   Common Stock    782,226

Avon Prods Inc

   Common Stock    2,107,076

Axonyx Inc

   Common Stock    620

Backweb Technologies Ltd

   Common Stock    3,074

Baker Hughes Inc

   Common Stock    430,071

Baker Hughes Inc

   Common Stock    14,935

Ballard Pwr Sys Inc

   Common Stock    271

Bank Amer Corp

   Common Stock    3,148,502

Bank New York Inc

   Common Stock    7,618

Bank Of America Corp

   Common Stock    16,447

Bank Of The Ozarks

   Common Stock    3,743

Barr Labs Inc

   Common Stock    10,201

*        Baxter Intl Inc

   Common Stock    126,794,642

Bayer Ag Sponsored Adr

   Common Stock    6,921

Bea Systems Inc

   Common Stock    89

Bed Bath & Beyond Inc

   Common Stock    2,669

Bema Gold Corp

   Common Stock    19,825

Berkshire Hathaway Inc

   Common Stock    2,678,269

Beverly Enterprises Inc

   Common Stock    9,150

Biocryst Pharmaceuticals Inc

   Common Stock    11,560

Biogen Idec Inc

   Common Stock    168,784

Biomerica Inc

   Common Stock    5,460

Biomet Inc

   Common Stock    47,729

Biomira Inc

   Common Stock    482

Bitstream Inc

   Common Stock    5,300

Black & Decker Corp

   Common Stock    10,158

Black Box Corp

   Common Stock    4,802

Blackrock Divid Achievers

   Common Stock    5,984

Block H & R Inc

   Common Stock    10,180

 


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule of Assets (Held at End of Year) at December 31, 2004

(Schedule H, Part IV, Line 4i on Form 5500)

  

Exhibit I

Page 3 of 30

 

Blue Nile Inc

   Common Stock    3,176

Boeing Co

   Common Stock    1,529,562

Bonso Electrs Intl

   Common Stock    10,578

Borg Warner Inc

   Common Stock    653,035

Boston Scientific

   Common Stock    2,190,884

Boyd Gaming Corp

   Common Stock    31,238

Bp Amoco Plc

   Common Stock    12,369

Bp Plc

   Common Stock    2,723,783

Bradley Pharmacetls Inc

   Common Stock    1,164

Brascan Corp

   Common Stock    4,501

Briggs & Stratton Corp

   Common Stock    8,316

Bristol Myers Squibb

   Common Stock    8,969

Britesmile Inc

   Common Stock    487

Broadcom Corp

   Common Stock    2,246,355

Broadwing Corp

   Common Stock    35,201

Brocade Communications Sys Inc

   Common Stock    2,368

Brookfield Homes Corp

   Common Stock    67

Bsi2000 Inc

   Common Stock    215

Burlington Northn Santa Fe

   Common Stock    1,435,188

C D W Corp

   Common Stock    23,471

Cabelas Inc

   Common Stock    17,055

Cable & Wireless Plc

   Common Stock    2,312

Calamos Asset Mgmt Inc

   Common Stock    2,646

Calamp Corp

   Common Stock    147,072

Calavo Growers Inc

   Common Stock    2,974

California Micro Devices Corp

   Common Stock    34,741

Calpine Corp

   Common Stock    44,325

Cambior Inc

   Common Stock    27,501

Campbell Soup Co

   Common Stock    6,017

Capstead Mtg Corp

   Common Stock    10,540

Capstone Turbine Corp

   Common Stock    5,490

Carbo Ceramics Inc

   Common Stock    6,900

Cardiac Science Inc

   Common Stock    642

Cardinal Health Inc

   Common Stock    15,238,162

Career Education Crp

   Common Stock    6,000

Caremark Rx Inc

   Common Stock    23,658

Carmax Inc

   Common Stock    3,105

Carnival Corp

   Common Stock    2,545,504

Carreker Antinori Inc

   Common Stock    1,720

Caterpillar Inc

   Common Stock    199,896

Celgene Corp

   Common Stock    1,591

Cell Genesys Inc

   Common Stock    486

Celsion Corp

   Common Stock    570

Central Securities Corp

   Common Stock    7,284

Centurytel Inc

   Common Stock    1,699,889

Cerus Corp

   Common Stock    12,611

Charter Comm Inc

   Common Stock    10,304

Chattem Inc

   Common Stock    7,348

Check Point Software Tech Ltd

   Common Stock    2,463

Chesapeake Energy Corporation Oklahoma

   Common Stock    829,868

Chevrontexaco Corp

   Common Stock    2,085,987

Chicago Mercantile Exchange Hldgs Inc

   Common Stock    26,987

Chicos Fas Inc

   Common Stock    19,714

China Fin Online Co

   Common Stock    1,708

China Peteroleum & Chem Corp

   Common Stock    3,855

China Southern Airlines

   Common Stock    7,448

China Yuchai International Ltd

   Common Stock    3,984

China.Com Corp

   Common Stock    9,220

Chubb Corp

   Common Stock    4,984,801

Ciena Corp

   Common Stock    11,072

Cigna Corp

   Common Stock    1,974,759

Ciphergen Biosystems Inc

   Common Stock    3,212

Circle Group Hldgs Inc

   Common Stock    2,220

Cisco Sys Inc

   Common Stock    2,200,263

 


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule of Assets (Held at End of Year) at December 31, 2004

(Schedule H, Part IV, Line 4i on Form 5500)

  

Exhibit I

Page 4 of 30

 

*        Citigroup Inc

   Common Stock    7,369,056

Click Comm Inc

   Common Stock    19,043

Cmg Information Svcs Inc

   Common Stock    10,200

Cms Energy Corp

   Common Stock    1,315

Cnooc Ltd

   Common Stock    5,961

Coca Cola Bottling Co

   Common Stock    5,705

Coca Cola Co

   Common Stock    11,148

Coeur D Alene Mines Corp

   Common Stock    590

Cognizant Tech Solutions Corp

   Common Stock    5,249

Cohen & Steers Prem Income Rlty Fd Inc

   Common Stock    11,543

Colgate-Palmolive Co

   Common Stock    12,790

Columbia Labs Inc

   Common Stock    2,647

Comcast Corp

   Common Stock    2,263,585

Comdisco Hldg Co Inc

   Common Stock    320

Comerica Inc

   Common Stock    1,597,849

Commtouch Software Ltd

   Common Stock    255

Compass Bancshares Inc

   Common Stock    5,137

Conagra Inc

   Common Stock    5,890

Conexant Sys Inc

   Common Stock    4,677

Conocophillips

   Common Stock    3,446,762

Continental Airls Inc

   Common Stock    339

Cooper Companies Inc

   Common Stock    7,483

Cooper Industries Ltd

   Common Stock    717,806

Cooper Tire & Rubr Co

   Common Stock    894,364

Corautus Genetics Inc

   Common Stock    1,146

Corinthian Colleges Inc

   Common Stock    2,902

Corning Inc

   Common Stock    2,813,846

Corporate Executive Brd Co

   Common Stock    3,682

Cortex Pharmaceuticals Inc

   Common Stock    6,504

Cotherix Inc

   Common Stock    1,192

Covad Communications Group Inc

   Common Stock    213

Coventry Health Care Inc

   Common Stock    5,308

Cree Resh Inc

   Common Stock    8,016

Crown Castle Intl Corp

   Common Stock    4,992

Crown Hldgs Inc

   Common Stock    6,870

Csx Corp

   Common Stock    2,807,964

Curagen Corp

   Common Stock    7,160

Curon Med Inc

   Common Stock    4,288

Cyber-Care Inc

   Common Stock    40

Cygnus Inc

   Common Stock    46

Cytec Inds Inc

   Common Stock    6,428

Cytogen Corp

   Common Stock    5,760

D R Horton Inc

   Common Stock    4,353

Dade Behring Hldgs Inc

   Common Stock    9,856

Daimlerchrysler Ag Ord

   Common Stock    5,431

Dan River Inc

   Common Stock    11

Dana Corp

   Common Stock    1,036,028

Data Race Inc

   Common Stock    2

Datastream Systems Inc

   Common Stock    866

Davita Inc

   Common Stock    20,358

Deere & Company

   Common Stock    4,163

Delcath Systems Inc

   Common Stock    6,020

Dell Inc

   Common Stock    5,103,955

Delphi Automotive Systems

   Common Stock    1,448

Delta Air Lines Inc

   Common Stock    7,899

Deltagen Inc

   Common Stock    550

Deluxe Corp

   Common Stock    99

Dendreon Corp

   Common Stock    37,730

Devon Energy Corp

   Common Stock    1,078,392

Digi Intl Inc

   Common Stock    3,696

Digital Angel Corp

   Common Stock    1,391

Digital Lightwave Inc

   Common Stock    32,010

Diomed Hldgs Inc

   Common Stock    2,074

Directtv Group Inc

   Common Stock    1,463,917

 


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule of Assets (Held at End of Year) at December 31, 2004

(Schedule H, Part IV, Line 4i on Form 5500)

  

Exhibit I

Page 5 of 30

 

Disney Walt Co

  

Common Stock

   48,289

Dobson Communcorp

  

Common Stock

   3,440

Dollar Gen Corp

  

Common Stock

   5,204

Dot Hill Sys Corp

  

Common Stock

   784

Dow Chemical Co

  

Common Stock

   19,804

Dr Reddys Labs Ltd Adr

  

Common Stock

   3,994

Dreamworks Animation Skg Inc

  

Common Stock

   9,152

Du Pont E I De Nemours & Co

  

Common Stock

   464

Dynamex Inc

  

Common Stock

   4,169

Dynegy Inc Hldg Co

  

Common Stock

   11,550

E Loan Inc

  

Common Stock

   5,070

E M C Corp Mass

  

Common Stock

   201,399

E*Trade Group Inc.

  

Common Stock

   14,950

Eastman Kodak Co

  

Common Stock

   22,575

Eaton Vance Ltd Duration Income Fd

  

Common Stock

   9,759

Eb2B Commerce Inc

  

Common Stock

   1

Ebay Inc

  

Common Stock

   6,141,880

Echostar Communications

  

Common Stock

   3,325

Edge Pete Corp

  

Common Stock

   1,458

Edwards Lifesciences Corp

  

Common Stock

   12,183,387

El Paso Corp

  

Common Stock

   1,906,628

Elan Corp Plc Adr

  

Common Stock

   8,175

Eldorado Gold Corp

  

Common Stock

   5,900

Electronic Arts Inc

  

Common Stock

   4,101,365

Emc Corp

  

Common Stock

   962,432

Emulex Corp

  

Common Stock

   19,147

Enbridge Energy Mgmt Llc

  

Common Stock

   12,561

Encore Medical Corp

  

Common Stock

   3,395

Encysive Pharmaceuticals Inc

  

Common Stock

   1,192

Enova Systems Inc

  

Common Stock

   2,200

Enpro Inds Inc

  

Common Stock

   798

Entergy Corp

  

Common Stock

   2,411,056

Enterra Energy

  

Common Stock

   12,158

Entravision Communications Corp

  

Common Stock

   1,253

Eon Labs Inc Com

  

Common Stock

   4,050

Epicor Software Corp

  

Common Stock

   7,045

Epimmune Inc

  

Common Stock

   872

Equifax Inc

  

Common Stock

   2,529

Eresearch Technology Inc

  

Common Stock

   24,694

Ericsson L M Tel Co

  

Common Stock

   441

Escalade Inc

  

Common Stock

   4,676

Espeed Inc

  

Common Stock

   6,185

Euro Tech Holding Co

  

Common Stock

   21,550

Euroweb Intl Corp

  

Common Stock

   7,920

Exxon Mobil Corp

  

Common Stock

   20,928

Eyetech Pharmaceuticals Inc

  

Common Stock

   45,500

Factset Research Sys Inc

  

Common Stock

   1,753

Famous Daves Amer Inc

  

Common Stock

   1,275

Faro Technologies Inc

  

Common Stock

   2,183

Federal Home Ln Mtg Corp

  

Common Stock

   3,539,332

Federal National Mtg Association

  

Common Stock

   2,371,311

Federated Dept Stores Inc

  

Common Stock

   936,514

Fedex Corp

  

Common Stock

   55,554

Fidelity Natl Finl Inc

  

Common Stock

   2,740

Fifth Third Bancorp

  

Common Stock

   11,825

Filenet Corp

  

Common Stock

   5,152

First Data Corp

  

Common Stock

   3,956

First Finl Fd Inc

  

Common Stock

   13,425

Fiserv Inc

  

Common Stock

   5,064

Flagstar Bancorp Inc

  

Common Stock

   2,260

Flaherty & Crumrine Pfd Income Fd Inc

  

Common Stock

   5,639

Flextronics International Ltd

  

Common Stock

   1,139,295

Flyi Inc

  

Common Stock

   1,770

Fonar Corp

  

Common Stock

   17,113

 


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule of Assets (Held at End of Year) at December 31, 2004

(Schedule H, Part IV, Line 4i on Form 5500)

  

Exhibit I

Page 6 of 30

 

Food Technology Svcs Inc

  

Common Stock

   2,540

Forbes Medi-Tech Inc

  

Common Stock

   23,713

Ford Mtr Co

  

Common Stock

   26,411

Forest Laboratories Inc

  

Common Stock

   8,389

Fortune Brands Inc

  

Common Stock

   2,315

Foster Wheeler Ltd

  

Common Stock

   390

Franklin Res Inc

  

Common Stock

   1,548,536

Freescale Semiconductor Inc

  

Common Stock

   12,595

Fresh Del Monte Produce Inc

  

Common Stock

   79

Frontline Ltd

  

Common Stock

   19,529

Futuremedia Plc

  

Common Stock

   1,020

Gallagher Arthur J & Co

  

Common Stock

   16,250

Gateway Inc

  

Common Stock

   8,414

Gehl Co

  

Common Stock

   7,005

Gemstar Tv Guide Intl Inc

  

Common Stock

   4,736

Genentech Inc

  

Common Stock

   42,681

General Dynamics

  

Common Stock

   3,243

General Elec Co

  

Common Stock

   7,809,324

General Mills Inc

  

Common Stock

   39,768

General Motors Corp

  

Common Stock

   4,006

Genesee And Wyoming Inc

  

Common Stock

   4,923

Genesis Microchip Inc

  

Common Stock

   4,866

Genta Inc

  

Common Stock

   7,814

Georgia Gulf Corp

  

Common Stock

   7,470

Georgia Pac Corp

  

Common Stock

   1,777,700

Geron Corp

  

Common Stock

   3,985

Getty Images Inc

  

Common Stock

   3,443

Gigamedia Ltd

  

Common Stock

   3,620

Gilead Sciences Inc

  

Common Stock

   27,502

Glaxosmithkline Plc

  

Common Stock

   852,267

Global High Inc Dlr Fd Inc

  

Common Stock

   10,939

Golden Star Res Ltd

  

Common Stock

   4,010

Goldman Sachs Group Inc

  

Common Stock

   1,629,192

Goodrich B F Co

  

Common Stock

   4,849

Google Inc

  

Common Stock

   1,833,892

Guangshen Rly Co Ltd

  

Common Stock

   3,480

Guilford Pharmaceutical Inc

  

Common Stock

   14,850

Halliburton Co

  

Common Stock

   2,996,580

Halozyme Therapeutics Inc

  

Common Stock

   2,200

Hancock John Pfd

  

Common Stock

   17,409

Hansen Natural Corp

  

Common Stock

   17,295

Harken Energy Corp

  

Common Stock

   520

Harley Davidson Inc

  

Common Stock

   8,201

Hartford Financial Svcs Grp

  

Common Stock

   856,098

Headwaters Inc

  

Common Stock

   34,200

Henry Jack & Assoc Inc

  

Common Stock

   3,703

Hewlett Packard Co

  

Common Stock

   5,938,460

Hilton Hotels Corp

  

Common Stock

   1,706

Hollis-Eden Pharma Inc

  

Common Stock

   659

Home Depot Inc

  

Common Stock

   147,757

Homestore.Com Inc

  

Common Stock

   1,818

Honda Motor Ltd

  

Common Stock

   1,184,540

Honeywell Intl Inc

  

Common Stock

   10,665

Hospira Inc

  

Common Stock

   42,411

Hovanian Enterprise Inc

  

Common Stock

   1,486

Hsbc Holdings Plc Spons Adr

  

Common Stock

   22,732

Huaneng Power Intl Inc—Adr

  

Common Stock

   4,203

I2 Tech Inc

  

Common Stock

   683

Icoria Inc

  

Common Stock

   1,300

Icos Corp

  

Common Stock

   56,560

Icts Intl N V Frmly Icts Holland Prod

  

Common Stock

   6,240

Ikon Office Solution Inc

  

Common Stock

   347

Imax Corp

  

Common Stock

   7,672

Immersion Corp

  

Common Stock

   7,290

 


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule of Assets (Held at End of Year) at December 31, 2004

(Schedule H, Part IV, Line 4i on Form 5500)

  

Exhibit I

Page 7 of 30

 

Immunogen Inc

  

Common Stock

   6,206

Immunomedics Inc

  

Common Stock

   608

Impac Mtg Hldgs Inc

  

Common Stock

   179

Impco Technologies Inc

  

Common Stock

   7,550

Inco Ltd

  

Common Stock

   7,356

Incyte Pharmaceuticals Inc

  

Common Stock

   49,950

Indevus Pharmaceuticals Inc

  

Common Stock

   107,280

Ing Clarion Real Estate

  

Common Stock

   5,066

Ingram Micro Inc

  

Common Stock

   762,526

Innodata Corp

  

Common Stock

   1,624

Insmed Inc

  

Common Stock

   275

Integra Lifesciences Holdings Corp

  

Common Stock

   10,931

Integrated Device Tech Inc

  

Common Stock

   2,659

Intel Corp

  

Common Stock

   259,364

Intellisync Corp

  

Common Stock

   2,040

Intermagnetics Genl Corp

  

Common Stock

   7,623

Internet Cap Group Inc

  

Common Stock

   2,925

Interpharm Hldgs Inc

  

Common Stock

   2,450

Interpublic Group Cos Inc

  

Common Stock

   1,873,608

Intervoice Inc

  

Common Stock

   16,020

Intl Fuel Tech Inc

  

Common Stock

   9,350

Intl Game Technology

  

Common Stock

   27,584

Intuitive Surgical Inc

  

Common Stock

   9,205

Ion Networks Inc

  

Common Stock

   110

Irvine Sensors Corporation

  

Common Stock

   2,620

Isco Intl Inc

  

Common Stock

   1,656

Ishares Inc Msci Australia Index Fund

  

Common Stock

   216,835

Isonics Corp

  

Common Stock

   2,333

Ivanhoe Energy

  

Common Stock

   10,710

Ivillage Inc

  

Common Stock

   24,720

J P Morgan Chase & Co

  

Common Stock

   1,296,321

Jabil Circuit Inc

  

Common Stock

   5,116

Jds Uniphase Corp N/C From 909149106

  

Common Stock

   65,882

Jetblue Awys Corp

  

Common Stock

   5,433

Johnson & Johnson

  

Common Stock

   85,110

Jones Apparel Group Inc

  

Common Stock

   1,022,655

Jp Moragn Chase + Co

  

Common Stock

   2,833,224

Juniper Networks Inc

  

Common Stock

   2,979,561

Kana Software Inc

  

Common Stock

   20,790

Kb Home

  

Common Stock

   4,176

Key Tech Inc

  

Common Stock

   2,086

Kimberly Clark Corp

  

Common Stock

   13,162

King Pharmaceuticals Inc

  

Common Stock

   2,406

Knightsbridge Tank Co

  

Common Stock

   8,358

Knology Inc

  

Common Stock

   7,800

Koala Corp

  

Common Stock

   5

Kohls Corp

  

Common Stock

   103,257

Kongzhong Corp Spons Adr

  

Common Stock

   4,565

Kopin Corp

  

Common Stock

   2,806

Krispy Kreme Doughnuts Inc

  

Common Stock

   20,916

Kronos Worldwide Inc

  

Common Stock

   41

L 3 Communications Holding Corp

  

Common Stock

   289,485

Labor Ready Inc

  

Common Stock

   1,692

Laboratory Corp Amer Hldgs

  

Common Stock

   1,779,718

Lannett Inc

  

Common Stock

   1,970

Las Vegas Sands Corp

  

Common Stock

   142,292

Lasercard Corp

  

Common Stock

   5,245

Latin Amern Discovery Fd Inc

  

Common Stock

   1,863

Leapfrog Enterprises Inc

  

Common Stock

   9,044

Lear Corp

  

Common Stock

   1,097,211

Legg Mason Inc

  

Common Stock

   311,281

Lehman Brothers Hldgs Inc

  

Common Stock

   769,337

Lennar Corp

  

Common Stock

   750,503

Lexar Media Inc

  

Common Stock

   4,077

 


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule of Assets (Held at End of Year) at December 31, 2004

(Schedule H, Part IV, Line 4i on Form 5500)

  

Exhibit I

Page 8 of 30

 

Liberate Techs Inc

  

Common Stock

   430

Liberty All Star Equity Fd Sbi

  

Common Stock

   153

Liberty Media Corp

  

Common Stock

   2,182,288

Lifecell Corp

  

Common Stock

   6,950

Lifestream Technologies Inc

  

Common Stock

   120

Lifeway Foods Inc

  

Common Stock

   9,140

Lilly Eli & Co

  

Common Stock

   568

Linear Technology Corp

  

Common Stock

   3,101

Linux Gold Corp

  

Common Stock

   190

Lipid Sciences Inc Ariz

  

Common Stock

   3,660

Liquidmetal Technologies

  

Common Stock

   10,750

Lj International Inc

  

Common Stock

   52,569

Lockheed Martin Corp

  

Common Stock

   5,555

Looksmart Ltd

  

Common Stock

   8,760

Loral Space & Communcations Ltd

  

Common Stock

   20

Loudeye Tech Inc

  

Common Stock

   8,200

Louisiana Pacific

  

Common Stock

   5,348

Lowes Companies

  

Common Stock

   3,763,486

Lsi Logic Corp

  

Common Stock

   5,480

Lucent Tech Inc

  

Common Stock

   155,363

M 2003 Plc

  

Common Stock

   4

Magna International Inc

  

Common Stock

   1,313,290

Marconi Corp

  

Common Stock

   42

Martha Stewart Living

  

Common Stock

   6,239

Martin Marietta Matls Inc

  

Common Stock

   456,002

Marvel Enterprises Inc

  

Common Stock

   12,370

Marvell Technology Group Ltd

  

Common Stock

   2,393,864

Massmutual Partn Invs

  

Common Stock

   26,620

Maxim Pharmaceutical Inc

  

Common Stock

   5,859

Maxtor Corp

  

Common Stock

   2,650

Mbna Corp

  

Common Stock

   2,965,403

Mcdata Corp Cl B

  

Common Stock

   5,630

Mcdonalds Corp

  

Common Stock

   3,352,992

Meadwestvaco Corp

  

Common Stock

   1,533,750

Medarex Inc

  

Common Stock

   93,786

Medco Health Solutions Inc

  

Common Stock

   2,051,216

Medical Action Inds Inc

  

Common Stock

   5,910

Medimmune Inc

  

Common Stock

   11,386

Medtronic Inc

  

Common Stock

   276,165

Merck & Co Inc

  

Common Stock

   174,906

Merge Technologies Inc

  

Common Stock

   6,675

Meritage Corp

  

Common Stock

   5,635

Merrill Lynch & Co

  

Common Stock

   4,474

Metlife Inc

  

Common Stock

   1,377,419

Metromedia Fiber Network Inc

  

Common Stock

   1

Micromuse Inc

  

Common Stock

   5,550

Microsoft Corp

  

Common Stock

   4,984,208

Middleby Corp

  

Common Stock

   7,666

Midway Games Inc

  

Common Stock

   5,250

Milacron Inc

  

Common Stock

   6,780

Millennium Pharm Inc

  

Common Stock

   35,995

Mindspeed Technologies Inc

  

Common Stock

   75

Minefinders Ltd Corp

  

Common Stock

   6,860

Mirant Corp

  

Common Stock

   35

Miravant Medical Technology

  

Common Stock

   162

Mks Instruments Inc

  

Common Stock

   7,179

Monarch Casino Resort Inc

  

Common Stock

   1,703

Monarch Services Inc

  

Common Stock

   16,520

Monsanto Co

  

Common Stock

   1,889

Morgan St Dean Witter Discover & Co

  

Common Stock

   19,432

Mothers Work Inc

  

Common Stock

   13,616

Motorola Inc

  

Common Stock

   971,861

Mpower Holding Corp

  

Common Stock

   151

Multi Fineline Electronix Inc

  

Common Stock

   21,487

 


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule of Assets (Held at End of Year) at December 31, 2004

(Schedule H, Part IV, Line 4i on Form 5500)

  

Exhibit I

Page 9 of 30

 

Multiband Corp

  

Common Stock

   1,610

Murphy Oil Corp

  

Common Stock

   4,023

Nabors Industries Ltd

  

Common Stock

   2,681,056

Nam Tai Electronics Inc

  

Common Stock

   674

Nanogen Inc

  

Common Stock

   34,393

Nara Bancorp Inc

  

Common Stock

   4,254

Nasdaq 100 Tr Unit Ser 1

  

Common Stock

   397,825

National City Corp

  

Common Stock

   2,278,266

National Grid Group Plc

  

Common Stock

   14,397

Navteq Corp

  

Common Stock

   5,563

Nec Corp Adr

  

Common Stock

   1,236

Neenah Paper Inc

  

Common Stock

   196

Neoforma Inc

  

Common Stock

   7,690

Netflix Com Inc

  

Common Stock

   1,726

Network Appliance Corp

  

Common Stock

   1,230,348

New Brunswick Scientific Co

  

Common Stock

   1,290

New Centy Finl Corp

  

Common Stock

   6,391

Newell Rubbermaid Inc

  

Common Stock

   14,514

Nextel Comm Inc

  

Common Stock

   45,105

Nii Hldgs Inc

  

Common Stock

   7,545

Nike Inc Class B

  

Common Stock

   1,814

Nissan Mtr Ltd Sponsored Adr

  

Common Stock

   64

Nl Inds Inc

  

Common Stock

   4,641

Nokia Corp Adr

  

Common Stock

   59,170

Nordic American Tanker Shipping Ltd

  

Common Stock

   3,905

Nordstrom Inc

  

Common Stock

   5,047

Norfolk Southn Corp

  

Common Stock

   1,709,362

Nortel Networks Corp

  

Common Stock

   476,812

Northfield Laboratories Inc

  

Common Stock

   226,718

Northgate Expl Ltd

  

Common Stock

   18,700

Novagold Resources

  

Common Stock

   13,950

Novamed Eyecare Inc

  

Common Stock

   1,974

Novartis Ag Adr

  

Common Stock

   27,140

Nps Pharmaceuticals Inc

  

Common Stock

   54,840

Ns Group Inc

  

Common Stock

   9,730

Ntl Inc

  

Common Stock

   5,472

Nuveen Quality

  

Common Stock

   161,280

Nve Corp

  

Common Stock

   13,925

Nvidia Corp

  

Common Stock

   10,720

O Reilly Automotive Inc

  

Common Stock

   22,525

Occidental Pete Corp

  

Common Stock

   2,360,138

Office Depot Inc

  

Common Stock

   1,128,738

Om Group Inc

  

Common Stock

   486

Omi Corporation

  

Common Stock

   44,702

Omni Energy Svcs Crp

  

Common Stock

   3,880

Omnicell Inc

  

Common Stock

   4,950

Omnivision Technologies Inc

  

Common Stock

   17,066

Oncolytics Biotech Inc

  

Common Stock

   222,386

Onscreen Technologies Inc

  

Common Stock

   380

Opentv Corp

  

Common Stock

   672

Oplink Communication S Inc

  

Common Stock

   5,910

Oracle Corporation

  

Common Stock

   146,530

Orange 21 Inc

  

Common Stock

   5,225

Orasure Technologies Inc

  

Common Stock

   17,472

Orchid Biosciences Inc

  

Common Stock

   460

Orezone Resources Inc

  

Common Stock

   3,024

Oshkosh Truck Cl B

  

Common Stock

   2,051

Overstock Com Inc

  

Common Stock

   19,665

P F Changs China Bistro Inc

  

Common Stock

   1,972

Paccar Inc

  

Common Stock

   171

Pacific Rim Mining Corp

  

Common Stock

   20,126

Pacific Sunwear Calif Inc

  

Common Stock

   6,010

Pain Therapeutics Inc

  

Common Stock

   7,210

Palmone Inc

  

Common Stock

   118,723

 


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule of Assets (Held at End of Year) at December 31, 2004

(Schedule H, Part IV, Line 4i on Form 5500)

  

Exhibit I

Page 10 of 30

 

Palmsource Inc

  

Common Stock

   5,325

Pan American Silver Corp

  

Common Stock

   3,596

Paradyne Networks Inc

  

Common Stock

   5,385

Parallel Pete Corp

  

Common Stock

   5,390

Parametric Tech Corp

  

Common Stock

   5,890

Parker Drilling Co

  

Common Stock

   1,179

Patina Oil & Gas Crp

  

Common Stock

   15,132

Patterson Cos Inc

  

Common Stock

   5,424

Paychex Inc

  

Common Stock

   3,408

Pdi Inc

  

Common Stock

   2,228

Pengrowth Energy

  

Common Stock

   28,254

Penn Natl Gaming Inc

  

Common Stock

   19,376

Pepsico Inc

  

Common Stock

   1,601,321

Peregrine Pharmaceut Icals Inc

  

Common Stock

   1,170

Perficient Inc

  

Common Stock

   27,946

Petrofund Energy

  

Common Stock

   456

Petrokazahstan Inc

  

Common Stock

   7,420

Petroleo Brasileiro

  

Common Stock

   995

Petroleum & Res Corp

  

Common Stock

   6,718

Petroleum Dev Corp

  

Common Stock

   11,571

Petsmart Inc

  

Common Stock

   2,487

Pfizer Inc

  

Common Stock

   2,472,261

Pharmaceutical Product Development Inc

  

Common Stock

   4,129

Pharmos Corp

  

Common Stock

   234

Physiometrix Inc

  

Common Stock

   1,744

Pimco Corporate Opportunity Fund

  

Common Stock

   5,486

Pioneer Drilling Co

  

Common Stock

   2,018

Pixar Inc

  

Common Stock

   12,499

Pmc-Sierra Inc

  

Common Stock

   13,500

Point.360

  

Common Stock

   5,794

Polaris Inds Inc

  

Common Stock

   6,802

Portalplayer Inc

  

Common Stock

   3,702

Powerwave Tech Inc

  

Common Stock

   4,240

Precision Drilling Corp

  

Common Stock

   2,512

Priceline Com Inc

  

Common Stock

   3,916

Primewest Energy

  

Common Stock

   27,057

Procter & Gamble Co

  

Common Stock

   2,599,311

Protein Design

  

Common Stock

   455

Provident Energy

  

Common Stock

   9,678

Proxim Corp

  

Common Stock

   2,290

Pulte Homes Inc

  

Common Stock

   617,823

Putnam High Income Conv

  

Common Stock

   20,100

Qlogic Corp

  

Common Stock

   9,293

Qualcomm Inc

  

Common Stock

   3,820,942

Quanex Corp

  

Common Stock

   13,714

Quantum Corp Dlt & Storage

  

Common Stock

   2,620

Quantum Fuel Sys Technologies Worldwide Inc

  

Common Stock

   6,020

Quest Diagnostics Inc

  

Common Stock

   7,166

Qwest Comm Intl Inc

  

Common Stock

   1,843

Radioshack Corp

  

Common Stock

   6,576

Radyne Comstream Inc

  

Common Stock

   748

Rambus Inc

  

Common Stock

   28,750

Rayonier Inc

  

Common Stock

   3,473

Red Hat Inc

  

Common Stock

   5,340

Redback Networks Inc

  

Common Stock

   107

Redenvelope Inc

  

Common Stock

   2,573

Renal Care Group Inc

  

Common Stock

   5,399

Rent A Center Inc

  

Common Stock

   15,900

Repligen Corp

  

Common Stock

   1,008

Research In Motion Inc

  

Common Stock

   1,115,760

Research In Motion Ltd

  

Common Stock

   57,694

Reynolds Amern Inc

  

Common Stock

   1,572

Rf Micro Devices Inc

  

Common Stock

   4,959

Rita Med Sys Inc

  

Common Stock

   7,740

 


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule of Assets (Held at End of Year) at December 31, 2004

(Schedule H, Part IV, Line 4i on Form 5500)

  

Exhibit I

Page 11 of 30

 

Rite Aid Corp

  

Common Stock

   15,617

Rockwell Intl Corp

  

Common Stock

   19,820

Rockwell Medical Tech Inc

  

Common Stock

   797

Rocky Shoes & Boots Inc

  

Common Stock

   7,450

Rogers Corp

  

Common Stock

   7,327

Ross Stores Inc

  

Common Stock

   3,753

Royal Dutch Pete Co

  

Common Stock

   1,219,036

Royal Dutch Petroleum Co

  

Common Stock

   1,435

Royce Value Tr Inc

  

Common Stock

   8,355

Rpm Inc

  

Common Stock

   3,539

Rubicon Minerals Corp

  

Common Stock

   1,020

S & P 500 Depository Receipt

  

Common Stock

   193,996

Saba Software Inc

  

Common Stock

   505

Safenet Inc

  

Common Stock

   2,719

Safeway Inc

  

Common Stock

   1,595,578

Sandisk Corp

  

Common Stock

   118,108

Sangamo Biosciences Inc

  

Common Stock

   36,600

Sanmina Corp

  

Common Stock

   1,364

Sanofi-Synthelabo Adr

  

Common Stock

   10,013

Sap Aktiengesellschaft

  

Common Stock

   1,288,725

Sara Lee Corp

  

Common Stock

   7,242

Sasol Ltd Spnsrd Adr

  

Common Stock

   7,594

Sbc Communications

  

Common Stock

   24,589

Schering Plough Corp

  

Common Stock

   41,760

Schlumberger Ltd

  

Common Stock

   198,468

Schnitzer Stl Inds

  

Common Stock

   55,985

Schwab Charles Corp

  

Common Stock

   848,926

Scripps E.W. Co Oh

  

Common Stock

   1,674,526

Seagate Technology Holdings

  

Common Stock

   7,772

Sears Roebuck & Co

  

Common Stock

   6,889

Sector Spdr

  

Common Stock

   40,324

Seebeyond Technology Corp

  

Common Stock

   2,864

Seitel Inc

  

Common Stock

   410

Sempra Energy

  

Common Stock

   565,420

Serena Software Inc

  

Common Stock

   4,322

Ship Finance International Limited

  

Common Stock

   7,387

Shuffle Master

  

Common Stock

   15,779

Siebel Systems Inc

  

Common Stock

   24,232

Silicon Image Inc

  

Common Stock

   6,584

Silicon Storage Tech Inc

  

Common Stock

   5,950

Silver Standard Res Inc

  

Common Stock

   4,231

Sina.Com

  

Common Stock

   11,445

Sinopec Beijing Yanhua Petrochemical Co Ltd

  

Common Stock

   2,337

Sirius Satellite Radio Inc

  

Common Stock

   382,974

Skyworks Solutions Inc

  

Common Stock

   1,150

Slm Corp

  

Common Stock

   9,076

Smucker J M Co

  

Common Stock

   99

Smurfit Stone Container Corp

  

Common Stock

   1,332,698

Socket Comm Inc

  

Common Stock

   3,000

Sohu.Com Inc

  

Common Stock

   4,605

Solectron Corp

  

Common Stock

   1,083,039

Sonicblue Inc

  

Common Stock

   5

Sontra Med Corp

  

Common Stock

   21,400

Sonus Networks Inc

  

Common Stock

   19,482

Southern Co

  

Common Stock

   3,352

Southwest Airlns Co

  

Common Stock

   6,512

Southwestern Energy

  

Common Stock

   10,138

Spacedev Inc

  

Common Stock

   1,750

Spacehab Inc

  

Common Stock

   959

Spectranetics Corp

  

Common Stock

   15,289

Speedus.Com Inc

  

Common Stock

   5,720

Spherix Inc

  

Common Stock

   1,950

Sprint Corp

  

Common Stock

   902,076

Spx Corp

  

Common Stock

   1,643,571

 


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule of Assets (Held at End of Year) at December 31, 2004

(Schedule H, Part IV, Line 4i on Form 5500)

  

Exhibit I

Page 12 of 30

 

Ss&C Tech Inc

  

Common Stock

   9,127

St Jude Med Inc

  

Common Stock

   2,976,653

St Paul Cos Inc

  

Common Stock

   3,294

Starbucks Corp

  

Common Stock

   1,589,803

Starcraft Corp

  

Common Stock

   4,407

*       State Street Corp

  

Common Stock

   9,962

Stemcells Inc

  

Common Stock

   2,115

Stericycle Inc

  

Common Stock

   15,164

Stocker And Yale Inc

  

Common Stock

   14,672

Stratex Networks Inc

  

Common Stock

   452

Stratos Lightwave Inc

  

Common Stock

   110

Streettracks Dow Jones Global Titans Index Fund

  

Common Stock

   16,130

Stryker Corp

  

Common Stock

   63,111

Sun Microsystems Inc

  

Common Stock

   110,527

Suncor Energy Inc Frmly Suncor Inc

  

Common Stock

   30,792

Suntrust Banks Inc

  

Common Stock

   1,752,087

Superconductor Technologies Inc

  

Common Stock

   11,259

Surebeam Corp

  

Common Stock

   245

Sycamore Networks Inc

  

Common Stock

   16,240

Symantec Corp

  

Common Stock

   1,050,028

Symbol Tech Inc

  

Common Stock

   2,943

Syngenta Ag Sponsored Adr

  

Common Stock

   21,350

Synnex Corp

  

Common Stock

   7,218

Sysco Corp

  

Common Stock

   21,375

Taiwan Semicndctr Mfg Co Ltd

  

Common Stock

   836,595

Talbots Inc

  

Common Stock

   2,723

Talk Amer Hldgs Inc

  

Common Stock

   2,648

Target Corp

  

Common Stock

   3,716,419

Targeted Genetics Corp

  

Common Stock

   8,680

Taser International Inc

  

Common Stock

   229,589

Team Inc

  

Common Stock

   622

Teamstaff Inc

  

Common Stock

   1,010

Tech Data Corp

  

Common Stock

   838,909

Tecumseh Prods Co

  

Common Stock

   14,340

Telik Inc

  

Common Stock

   3,828

Telkonet Inc

  

Common Stock

   11,120

Tellabs Inc

  

Common Stock

   1,494,900

Temple Inland

  

Common Stock

   698

Tenet Healthcare Corp

  

Common Stock

   4,447

Terayon Comm Sys

  

Common Stock

   1,355

Teva Pharmaceutical Inds Ltd

  

Common Stock

   1,776,249

Texas Instrs Inc

  

Common Stock

   1,017,316

Textron Inc

  

Common Stock

   3,128,465

The St Paul Travelers Cos Inc

  

Common Stock

   754,071

Thermo Electron Corp

  

Common Stock

   1,551,258

Third Wave Technologies Inc

  

Common Stock

   8,600

Tikcro Technologies Lts

  

Common Stock

   330

Time Warner Inc

  

Common Stock

   4,441,309

Titan Pharm Inc

  

Common Stock

   3,220

Tivo Inc

  

Common Stock

   11,740

Tom Online Inc Spon Adr

  

Common Stock

   6,867

Torchmark Inc

  

Common Stock

   1,812,437

Tractor Supply Co

  

Common Stock

   2,642

Transcanada Corp

  

Common Stock

   2,487

Transmeta Corp

  

Common Stock

   3,260

Transwitch Corp

  

Common Stock

   12,320

Travelzoo Inc

  

Common Stock

   9,543

Tribune Co

  

Common Stock

   4,214

Trimedyne Inc

  

Common Stock

   5,700

Triquint Semiconductor Inc

  

Common Stock

   9,123

Trm Corp

  

Common Stock

   14,238

Trw Automotive Hldgs Corp

  

Common Stock

   184,090

Tvi Corp

  

Common Stock

   2,225

Tyco Intl Ltd

  

Common Stock

   3,167,429

 


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule of Assets (Held at End of Year) at December 31, 2004

(Schedule H, Part IV, Line 4i on Form 5500)

  

Exhibit I

Page 13 of 30

 

Tyson Foods Inc

  

Common Stock

   96,784

Ual Corp

  

Common Stock

   1,107

Ugi Corp

  

Common Stock

   8,561

Ultimate Electrs Inc

  

Common Stock

   984

Ultra Petroleum Corp

  

Common Stock

   2,407

Unilever N V

  

Common Stock

   1,127,210

United Parcel Svc Inc

  

Common Stock

   1,030,245

Unitedhealth Group Inc

  

Common Stock

   3,414,084

Ununprovidnt Corp

  

Common Stock

   735,679

Urban Outfitters Inc

  

Common Stock

   13,320

Us Bancorp

  

Common Stock

   1,939,072

Usurf America Inc

  

Common Stock

   73

Utstarcom Inc

  

Common Stock

   33,225

V F Corp

  

Common Stock

   552,703

V I Technologies Inc

  

Common Stock

   2,925

Va Linux Sys Inc

  

Common Stock

   1,825

Valero Energy Corp

  

Common Stock

   15,907

Varian Inc

  

Common Stock

   1,230

Vasco Data Security Intl

  

Common Stock

   6,620

Vaso Active Pharmaceuticals Inc

  

Common Stock

   920

Vasogen Inc

  

Common Stock

   3,465

Ventiv Health Inc

  

Common Stock

   6,096

Verisign Inc

  

Common Stock

   33,936

Veritas Dgc Inc

  

Common Stock

   4,482

Verizon Communications

  

Common Stock

   24,306

Versant Object Tech

  

Common Stock

   2,880

Verticalnet Inc

  

Common Stock

   8,050

Via Net Works Inc

  

Common Stock

   10,200

Vintage Pete Inc

  

Common Stock

   2,269

Viragen Inc

  

Common Stock

   98

Viryanet Ltd

  

Common Stock

   59

Visual Networks Inc

  

Common Stock

   31,320

Vitesse Semiconductr Corp

  

Common Stock

   3,530

Vsource Inc

  

Common Stock

   2

Wachovia Corp

  

Common Stock

   2,967,833

Wal Mart Stores Inc

  

Common Stock

   444,831

Walgreen Company

  

Common Stock

   39,936

Warnaco Group Inc

  

Common Stock

   4,320

Washington Mutual Inc.

  

Common Stock

   30,111

Waste Mgmt Inc

  

Common Stock

   1,641,959

Watson Pharmaceuticals Inc

  

Common Stock

   1,734,513

Wave Systems Corp Cl A

  

Common Stock

   2,288

Webex Communications Inc

  

Common Stock

   3,567

Wellpoint Inc

  

Common Stock

   1,045,450

Wendys Intl Inc

  

Common Stock

   7,852

Wesco International Inc

  

Common Stock

   7,410

Westell Technologies Inc

  

Common Stock

   6,800

Western Digital Corp

  

Common Stock

   28,184

Western Silver Corp

  

Common Stock

   4,520

Wheaton River Minerals Ltd

  

Common Stock

   3,097

Wild Oats Markets Inc

  

Common Stock

   881

Williams Cos Inc

  

Common Stock

   4,887

Winn Dixie Stores

  

Common Stock

   2,275

Wireless Facilities Inc

  

Common Stock

   28,320

Wisconsin Energy Corp

  

Common Stock

   29,979

Wright Med Group Inc

  

Common Stock

   5,700

Wyndham Intl

  

Common Stock

   3,808

Wynn Resorts Ltd

  

Common Stock

   20,076

Xenova Group Plc

  

Common Stock

   1,950

Xerox Corp

  

Common Stock

   1,701

Xilinx Inc

  

Common Stock

   40,203

Xm Satellite Radio Hldgs Inc

  

Common Stock

   200,063

Xoma Ltd

  

Common Stock

   2,538

Xto Energy Inc

  

Common Stock

   29,656

 


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule of Assets (Held at End of Year) at December 31, 2004

(Schedule H, Part IV, Line 4i on Form 5500)

  

Exhibit I

Page 14 of 30

 

Xybernaut Corp

  

Common Stock

     42,189

Yahoo Inc

  

Common Stock

     5,545,128

Yamana Gold Inc

  

Common Stock

     3,020

Youthstream Media Networks Inc

  

Common Stock

     390

Zebra Technologies Corp

  

Common Stock

     44,321

Zhone Technologies Inc

  

Common Stock

     712

Zi Corp

  

Common Stock

     6,525

Zimmer Hldgs Inc

  

Common Stock

     2,138,782

Zomax Optical Media Inc

  

Common Stock

     4,110
         

Common Stock

        $ 443,706,240
         

Fixed Income Securities:

           

Altria Group Inc

  

NT 5.625 11/04/2008

     768,469

America Novil

  

Gtd SR NT 5.500 03/01/2014

     150,966

Americredit Automobile

  

Ser 2004 Df Cl A4 3.430 07/06/2011

     281,508

Axis Cap Hldgs Ltd

  

SR NT 5.750 12/01/2014

     455,286

Bank New York Inc

  

SR Hldg Co NT 5.200 07/01/2007

     532,998

Boeing Cap Corp

  

SR NT 5.650 05/15/2006

     355,817

Bowater Inc

  

NT 6.500 06/15/2013

     690,227

Capital Auto Receivables Asset

  

2004 2 Asset Backed NT Cl A 3 3.580 01/15/2009

     782,810

Capital Auto Receivables Asset

  

Ser 2004 2 Asset Bkd NT Cl A4 3.750 07/15/2009

     54,191

Capital One Bk

  

Tranche TR 00174 4.875 05/15/2008

     1,037,849

Chesapeake Energy Corp

  

SR NT 6.875 01/15/2016

     144,582

Chesapeake Energy Corp

  

SR NT 144A 6.375 06/15/2015

     313,932

Cia Paranaense De Energia

  

Preferred Stock

     447

*        CitiGroup Inc

  

SR NT 3.375 04/01/2009

     861,907

*        CitiGroup Inc

  

Global SR NT 5.750 05/10/2006

     295,247

Clear Channel Communications

  

SR NT 5.000 03/15/2012

     976,618

Comcast Corp

  

NT 5.500 03/15/2011

     729,435

Commercial Mtg Accep Corp

  

Ser 1998 C2 Cl A 2 6.030 09/15/2030

     725,032

Community Program Ln

  

Ser 87 A BD Cl A4 4.500 10/01/2018

     572,605

Continental Airls

  

Past Thru Ctf Ser 1997 4 6.900 01/02/2018

     898,057

Continental Airls Pass Thru

  

Ser 1998 1Pass Thru Cuf Cl A 6.648 09/15/2017

     113,395

Corning Inc

  

NT 6.200 03/15/2016

     741,293

Cox Communications Inc New

  

NT 144A 5.450 12/15/2014

     167,596

Cwabs Inc

  

2004 S1 Asset Bkd Ctf Cl A 3 4.615 2/25/2035

     285,900

Cwabs Inc

  

2004 S1 Cl A2 3.872 03/25/2020

     266,189

D R Horton Inc

  

NT 5.625 09/15/2014

     98,343

D R Horton Inc

  

SR NT 6.125 01/15/2014

     60,929

D R Horton Inc

  

SR NT 6.875 05/01/2013

     373,532

Daimlerchrysler Auto Tr

  

2004 C Asset Backed NT Cl A 4 3.280 12/08/2009

     527,204

Deere John Cap Corp

  

Global NT 3.900 01/15/2008

     595,742

Deutsche Telekom Intl

  

Global NT 3.875 07/22/2008

     590,521

Dominion Res Inc Del

  

NT 5.700 09/17/2012

     521,937

Dominion Res Inc Va New

  

SR NT 2003 Serd 5.000 03/15/2013

     133,914

Dow Chem Co

  

NT 6.000 10/01/2012

     538,570

Du Pont E I De Nemours + Co

  

NT 4.125 04/30/2010

     765,327

Eastman Chem Co

  

NT 3.250 06/15/2008

     865,962

Enron Cap Res L P

  

Preferred Stock

     2

Eop Oper Ltd Partnership

  

NT 6.800 01/15/2009

     810,493

Erac Usa Fin Co

  

Gtd NT 144A 7.350 06/15/2008

     462,890

Fed Hm Ln Pc Pool B11058

  

4.500 11/01/2018

     1,266,840

Fed Hm Ln Pc Pool B12373

  

4.500 02/01/2019

     2,194,649

Fed Hm Ln Pc Pool C48827

  

6.000 03/01/2031

     99,677

Fed Hm Ln Pc Pool E01344

  

4.500 04/01/2018

     1,495,984

Fed Hm Ln Pc Pool E01377

  

4.500 05/01/2018

     1,050,977

Fed Hm Ln Pc Pool E01378

  

5.000 05/01/2018

     1,589,678

Fed Hm Ln Pc Pool E01386

  

5.000 06/01/2018

     1,422,834

Firstenergy Corp

  

NT Ser B 6.450 11/15/2011

     856,919

Fnma Pool 254759

  

4.500 06/01/2018

     1,968,957

Fnma Pool 255080

  

5.500 02/01/2019

     584,816

Fnma Pool 323887

  

6.000 12/01/2013

     328,757

 


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule of Assets (Held at End of Year) at December 31, 2004

(Schedule H, Part IV, Line 4i on Form 5500)

  

Exhibit I

Page 15 of 30

 

Fnma Pool 581043

  

6.000 05/01/2016

     141,334

Fnma Pool 615005

  

6.000 12/01/2016

     188,658

Fnma Pool 641791

  

6.000 05/01/2017

     187,987

Fnma Pool 725098

  

5.500 12/01/2018

     1,624,868

Fnma Pool 743346

  

5.500 10/01/2018

     1,557,578

Fnma Tba Jan 30 Single Fam

  

6.000 12/01/2019

     1,100,707

Ford Mtr Co Del

  

Global Landmark Secs Globals 7.450 07/16/2031

     793,245

General Elec Cap Corp Mtn

  

Tranche Tr 00665 3.750 12/15/2009

     1,125,513

General Mtrs Accep Corp

  

NT 6.875 09/15/2011

     1,222,514

Goldman Sachs Group Inc

  

SR NT 4.125 01/15/2008

     1,347,691

Halliburton Co

  

SR NT Regs 5.500 10/15/2010

     1,038,425

Hca Inc

  

NT 6.25Pct13 6.250 02/15/2013

     1,193,452

Honda Auto Receivables

  

Asset Bkd NT Ser 2004 3 Cl A 3.280 02/18/2010

     715,074

Household Fin Corp

  

NT 4.125 12/15/2008

     1,138,420

International Business Machs

  

NT 4.250 09/15/2009

     498,780

International Paper Co

  

NT 4.000 04/01/2010

     966,573

Istar Finl Inc

  

SR NT 4.875 01/15/2009

     500,352

J.P. Morgan Chase & Co

  

Global SR NT 3.625 05/1/2008

     978,912

Kraft Foods Inc

  

NT 5.250 06/01/2007

     689,357

Kroger Co

  

NT 5.500 02/01/2013

     620,160

Lehman Bros Hldg

  

7.000 02/01/2008

     996,393

Lubrizol Corp

  

SR NT 5.500 10/01/2014

     381,808

Mbna Corp Sr Mtn

  

Tranche SR 00058 4.625 09/15/2008

     1,101,465

Midamerican Energy Hldgs Co

  

SR NT 5.875 10/01/2012

     522,349

Motorola Inc

  

NT 5.800 10/15/2008

     156,712

National Rural Utils Coop Fin

  

Global NT 5.750 08/28/2009

     1,053,759

Navistar Financial Corp Owner

  

Ser 2004 B Cl A4 3.530 10/15/2012

     593,868

Nisource Fin Corp

  

SR NT 6.150 03/01/2013

     935,166

Pacific Gas + Elec Co

  

1st Mtg BD 4.200 03/01/2011

     779,836

Pemex Proj Fdg Master Tr

  

Gtd NT 6.125 08/15/2008

     627,032

Penny J C Inc

  

Deb 7.125 11/15/2023

     136,498

Pioneer Nat Res Co

  

SR NT 6.500 01/15/2008

     264,203

Premcor Refng Group Inc

  

SR NT 6.750 02/01/2011

     390,929

Qwest Corp

  

NT 144A 7.875 09/01/2011

     390,441

Rogers Cable Inc

  

SR Secd 2nd Priority NT 144A 6.750 03/15/2015

     252,020

Salton Sea Fdg Corp

  

SR Secd Ser F BD 7.475 11/30/2018

     235,021

Sbc Communications Inc

  

Global NT 5.875 08/15/2012

     265,515

Shaw Communications Inc

  

SR NT 7.500 11/20/2013

     119,778

Simon Ppty Group Inc

  

NT 3.750 01/30/2009

     679,194

Southern Ca Edison Co

  

NT 6.650 04/01/2029

     661,127

Southwestern Pub Svc Co

  

NT Dtd 5.125 11/01/2006

     243,107

Sprint Cap Corp

  

NT 6.875 11/15/2028

     771,735

Telecom Italia Cap

  

Gtd SR NT Ser A 4.000 11/15/2008

     736,596

Telus Corp

  

NT 7.500 06/01/2007

     985,485

Texaco Cap Inc

  

GTDNT 7.090 02/01/2007

     79,410

Time Warner Inc

  

Deb 6.625 05/15/2029

     531,158

Transocean Sedco Forex Inc

  

NT 7.500 04/15/2031

     928,329

Txu Corp

  

SR NT Ser P 144A 5.550 11/15/2014

     73,455

Union Oil Co Ca

  

Gtd SR NT 5.050 10/01/2012

     1,135,234

Union Pac Corp

  

NT 3.625 06/01/2010

     616,670

United Mexican States

  

Tranche Tr 00012 4.625 10/08/2008

     299,467

United Mexican Sts Mtn

  

Tranche Tr 00008 7.500 01/14/2012

     391,303

United States Treas Bills

  

0.010 01/13/2005

     1,064,250

United States Treas Nts

  

Inflation Index Bond 2.000 07/15/2014

     762,175

United States Treas Nts

  

Inflation Indexed 3.375 01/15/2007

     2,264,235

Usaa Auto Owner Tr

  

2004 3 Asset Backed NT Cl A 4 3.530 06/15/2011

     873,442

Verizon Global Fdg Corp

  

NT 4.000 01/15/2008

     497,045

Wellpoint Inc

  

NT 144A 3.750 12/14/2007

     118,246

Wells Fargo & Co New

  

Global NT 3.500 04/04/2008

     979,710

Wells Fargo & Co New

  

NT 3.125 04/01/2009

     95,555

Weyerhaeuser Co

  

NT 6.750 03/15/2012

     1,110,942

Wfs Finl 2004 4 Owner Tr

  

Auto Receivable Bkd NT Cl A3 2.980 09/17/2009

     411,903

Wfs Finl 2004 4 Owner Tr

  

Auto Recvable SR 2004 4 C A4 3.440 05/17/2012

     289,638

Xto Energy Inc

  

SR NT 4.900 02/01/2014

     368,895
         

Fixed Income Securities

        $ 75,208,509
         

 


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule of Assets (Held at End of Year) at December 31, 2004

(Schedule H, Part IV, Line 4i on Form 5500)

  

Exhibit I

Page 16 of 30

 

Guaranteed Investment Contracts:

         

Cash & Cash Equivalents

         

ANZ Delaware Inc.

  

OTC MM1 Generic Cusip 2.015 2/14/2005

   292,326

Barclays U S Fdg LLC

  

DTC MM1 Generic Cusip 2.425 03/15/2005

   1,365,241

*        Citigroup Global Mkts Hldgs In

  

Dtc MMI Generic ST Cusips 0.010 01/13/2005

   1,395,072

Danske Corp Disc 3/A3 Ser A

  

DTC MM1 Generic St Cusip 2.440 03/23/2005

   780,002

Dexia Delaware

  

DTC MM1 CP 2.360 03/03/2005

   1,657,954

Federal Home LN BK Mtg Disc NTS

  

Disc Nts 0.010 03/15/2005

   780,164

Federal Natl Mtg Assn

  

Disc Nts 0.010 01/24/2005

   338,007

Federal Natl Mtg Assn

  

Disc NTS 0.010 02/16/2005

   975,723

Federal Natl Mtg Assn Disc NTS

  

0.010 01/24/2005

   195,015

General Elec Cap Corp Disc

  

DTC Generic CP Cusip 1.920 01/03/2005

   196,193

General Elec Cap Corp Disc

  

DTC Generic CP Cusip 2.040 02/04/2005

   1,656,562

HBOS Treas Svcs PLC

  

DTC MM1 Generic St IP 2.000 02/01/2005

   487,290

HBOS Treas Svcs PLC

  

DTC MM1 Generic St IP 2.370 03/08/2005

   195,048

*        State Street Bank & Trust Co

  

Short-Term Investment Fund

   14,565,591

SunTrust Bk Atlanta GA

  

DTC MMI Generics ST Cusip 4.415 06/15/2009

   186,413

UBS Fin Del LLC

  

DTC MM1 Generic Cusip 2.030 02/22/2005

   1,948,299

UBS Fin Del LLC

  

DTC MM1 Generic Cusip 2.200 01/03/2005

   98,094

UBS Fin Del LLC

  

DTC MM1 Generic Cusip 2.410 03/15/2005

   1,365,292

United States Treas Bills

  

0.010 05/05/2005

   582,335
         
          29,060,621
         

Fixed Income Securities

         

Advanta Mtg LN TR

  

CTF CL A 4 7.750 10/25/2026

   23,546

AID Inca Infrastructure

  

Fin Frn 1.000 03/26/2009

   1,960,820

AIG SunAmerica Global Fing XII

  

SR NT 144A 5.300 05/30/2007

   305,683

Albertsons Inc

  

NT 7.500 02/15/2011

   164,765

Alcoa Inc

  

NT 7.375 08/01/2010

   737,886

Allstate Life Global FDG II

  

Tranche SR 00002 4.250 09/10/2008

   511,312

Altria Group Inc

  

NT 5.625 11/4/2008

   1,019,659

Altria Group Inc

  

NT 7.000 11/04/2013

   451,814

AMB Ppty LP

  

2008 NT 7.100 06/30/2008

   2,153,716

Amerada Hess Corp

  

NT 6.650 08/15/2011

   420,776

Amerada Hess Corp

  

NT 7.300 08/15/2031

   394,034

American Gen Fin Corp Mtn

  

4.625 05/15/2009

   499,194

American Gen Fin Corp MTN

  

Tranche TR 00389 2.750 06/15/2008

   943,278

American Intl Group Inc

  

Global SR NT 2.875 05/15/2008

   1,045,896

American Intl Group Inc

  

Global SR NT 2.875 05/15/2008

   1,190,153

American Std Inc

  

Shelf 2 7.375 02/01/2008

   263,649

Americredit Automobile Rec Tr

  

Ser 2004 Df Cl A4 3.430 07/06/2011

   483,005

Ameriquest Mtg Secs Inc

  

Ser 2004 R4 Cl A2 1.000 06/25/2034

   157,420

Amgen Inc

  

4.0 Pct 18Nov09 SR NT 144A 4.000 11/18/2009

   880,266

Amoco Corp

  

Deb 6.500 08/01/2007

   489,057

Amsouth Bk NA Birmingham AL

  

Sub NT Accredited Invs 4.850 04/01/2013

   303,819

Amvescap Std Inc

  

SR NT 5.375 02/27/2013

   425,645

Anheuser Busch Cos Inc

  

DEB 4.375 01/15/2013

   213,043

AOL Time Warner Inc

  

6.150 05/1/2007

   518,991

AOL Time Warner Inc

  

NT 6.750 04/15/2011

   717,354

Appalachian Pwr Co

  

SR NT Ser H 5.950 05/15/2033

   94,171

Aramark Svcs Inc

  

Gtd NT 7.000 07/15/2006

   590,809

Aramark Svcs Inc

  

NT 6.375 02/15/2008

   157,450

Aramark Svcs Inc

  

NT 7.000 05/01/2007

   261,690

Archstone Smith Oper Tr

  

SR NT 5.625 08/15/2014

   81,544

Archstone Smith Tr

  

SR NT 5.000 08/15/2007

   378,167

Arden Rlty Ltd Partnership

  

Deb 5.200 09/01/2011

   257,355

Arizona \Pub Svc Co

  

NT 6.500 03/01/2012

   169,050

 


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule of Assets (Held at End of Year) at December 31, 2004

(Schedule H, Part IV, Line 4i on Form 5500)

  

Exhibit I

Page 17 of 30

 

Asif Global FING XCIII

  

SR NT 144A 3.850 11/25/2007

   310,233

Associates Corp North Amer

  

SR NT 6.250 11/01/2008

   1,063,530

Assurant Inc

  

SR NT 5.625 03/01/2007

   202,650

AT&T Wireless Svcs Inc

  

SR NT 8.750 03/01/2031

   231,500

AT&T Wireless Svcs Inc

  

NT 7.500 05/01/2007

   372,979

AT&T Wireless Svcs Inc

  

SR NT 7.875 03/01/2011

   208,146

Avalonbay Cmntys

  

Tranche Tr 00006 5.000 08/01/2007

   135,978

Axis Cap Hldgs Ltd

  

SR NT 5.750 12/01/2014

   773,189

Badger TOB Asset Securitization

  

Asset Bkd 6.125 06/01/2027

   273,203

Bank Amer Coml Mtg Inc

  

2004 1 Coml Mtg Pass Ctf Cl A 4.037 11/10/2039

   436,634

Bank Amer Coml Mtg Inc

  

2004 1 Coml Mtg Pass Ctf Cl A 4.760 11/10/2039

   612,592

Bank Amer Coml Mtg Inc

  

2004 3 Coml Mtg Pastr Ctf Cl A 1.000 06/10/2039

   693,511

Bank Amer Coml Mtg Inc

  

2004 6 Coml Mtg Ctf Cl A 2 4.161 12/10/2042

   549,694

Bank Amer Coml Mtg Inc

  

Ser 2004 4 Coml Mtg Ctf Cl A 4.128 07/10/2042

   421,712

Bank Amer Corp

  

SR NT 3.875 01/15/2008

   1,779,789

Bank Amer Corp

  

Sub NT 7.400 01/15/2011

   681,905

Bank Boston NA MTN

  

6.375 03/25/2008

   527,943

Bank of America

  

NT DTD 7.800 02/15/2010

   716,079

Bank of America

  

SR NT 6.250 04/15/2012

   162,533

Bank One Corp

  

7.875 08/01/2010

   503,539

BB&T Corp

  

Sub NT 4.750 10/01/2012

   419,092

Bear Stearns Coml Mtg Secs Inc

  

2003 Top 12 Pass Ctf Cl A 4.240 08/13/2039

   424,202

Bear Stearns Coml Mtg Secs Inc

  

2004 PWR5 Mtg Ctf Cl A5 1.000 07/11/2042

   654,700

Bear Stearns Cos Inc

  

Global NT 3.000 3/30/2005

   979,093

Bear Stearns Cos Inc

  

Global NT 4.500 10/28/2010

   262,224

BellSouth Corp

  

4.200 09/15/2009

   172,144

Berkshire Hathaway Fin Corp

  

4.200 12/15/2010

   268,076

BHP Billiton Fin USA Ltd

  

Gtd SR NT 4.800 04/15/2013

   422,455

BMW Veh Owner Tr

  

2004 A Asset Bkd NT Cl A 4 3.320 02/25/2009

   1,123,395

Boeing Cap Corp

  

SR NT 4.750 08/25/2008

   152,208

Boeing Cap Corp

  

SR NT 4.750 08/25/2008

   60,883

Boeing Cap Corp

  

SR NT 7.375 09/27/2010

   373,281

Boeing Cap Corp

  

SR NT 6.500 02/15/2012

   689,090

Bombardier Inc

  

NT 144A 6.300 05/01/2014

   144,691

Boston Pptys Ltd Partnership

  

NT 5.000 06012015

   162,648

Boston Pptys Ltd Partnership

  

SR NT 5.25 04.15.2015

   131,470

British Sky Broadcasting Group

  

Gtd NT 6.875 02/23/2009

   64,578

British Sky Broadcasting Group

  

USD NT 8.200 07/15/2009

   1,020,680

British Telecommunications PLC

  

NT 1.000 12/15/2010

   341,674

British Telecommunications PLC NT

  

PLC NT 1.000 12/15/2010

   732,857

Burlington Norhtn Santa Fe Co

  

NT 7.875 04/15/2007

   536,552

Burlington Res Fin Co

  

GTD NT 5.600 12/012006

   723,339

Cabot Fin BV

  

NT 144A 5.250 09/01/2008

   186,613

Cadbury Schweppes US Finance

  

GTD SR Note 144A 3.875 10/01/2008

   439,451

Caesar’s Entertainment Inc

  

SR NT 144A 4.700 06/01/2009

   166,668

Calwest Indl TR

  

2002 Calw Coml Mtg 144A CL A 6.127 02/15/2017

   277,497

Capco Amer Securitization Corp

  

Coml Mtg Ctf 1998 D7 A 1B 6.260 10/15/2030

   243,135

Capital Auto Receivables Asset

  

2003 2 Asset Backed NT Cl A3A 1.440 02/15/2007

   749,399

Capital Auto Receivables Asset

  

2004 2 Asset Backed Nt Cl A 3 3.580 01/15/2009

   1,327,756

Capital Auto Receivables Asset

  

Ser 2004 1 Asset Bkd NT Cl A 2.640 11/17/2008

   538,965

Capital Auto Receivables Asset

  

Ser 2004 2 Asset Bkd Nt Cl A4 3.750 07/15/2009

   93,148

Capital One BK

  

Tranche TR 00174 4.875 05/15/2008

   2,116,019

Capital One Bk

  

Tranche TR 00174 4.875 05/15/2008

   216,640

Capital One Prime Auto

  

2004 1 Nt Cl A 3 2.020 11/15/2007

   170,020

Carnival Corp

  

Gtd SR NT 3.750 11/15/2007

   245,569

Carolina Power + Lt Co

  

NT 6.500 07/15/2012

   707,362

Carolina Pwr + Lt Co

  

NT 6.500 07/15/2012

   223,091

Centex Home Equity Ln Tr

  

2003 C Asset Bkd Ctf Cl AV 1.000 09/25/2033

   189,507

Chase Coml Mtg Secs Corp

  

1996 1 MTG CTF CL E 7.600 07/18/2028

   360,619

Chase Coml Mtg Secs Corp

  

1997 1 Mtg Passthru Ctf Cl D 7.370 06/19/2029

   423,186

Chase Coml Mtg Secs Corp

  

1997 2 Mtg Passthru Ctf Cl C 6.600 12/19/2029

   368,825

Chase Manhattan Auto Owner

  

2003 A Asset Bkd NT Cl A3 1.520 05/15/2007

   768,946

Chase Manhattan Corp New

  

6.000 11/01/2005

   1,004,316

Chec Ln Tr

  

2004 2 Asset Bkd Ctf A1 1.000 01/25/2025

   413,223

 


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule of Assets (Held at End of Year) at December 31, 2004

(Schedule H, Part IV, Line 4i on Form 5500)

  

Exhibit I

Page 18 of 30

 

Chevrontexaco Cap Co

  

Gtd NT 3.500 09/17/2007

   763,743

Chevy Chase Bk FSB

  

Sub Deb 6.875 12/01/2013

   202,601

Cincinnati Financial Corp

  

SR NT 144A 6.125 11/01/2034

   394,404

CIT Group Inc Mtn

  

Tranche SR 00079 1.000 05/18/2007

   186,414

CIT Group Inc Reorganized

  

SR NT DTD 11/08/2003 3.875 11/03/2008

   2,043,843

*        Citibank Cr Card Issuance TR

  

2003 A 6 CL A6 NT 2.900 05/17/2010

   1,146,991

*        Citibank Cr Card Issuance TR

  

2003 A2 Cl A2 NT 2.700 01/15/2008

   1,103,734

*        Citibank Cr Card Issuance TR

  

2003 A3 NT CL 2003 A3 3.100 03/10/2010

   1,156,557

*        Citibank Cr Card Issuance TR

  

2004 A8 NT 4.900 12/12/2016

   780,288

*        CitiGroup Inc

  

Global SR NT 1.000 06/09/2009

   171,957

*        CitiGroup Inc

  

Global Sub NT 5.625 08/27/2012

   485,848

*        CitiGroup Inc

  

Sub NT 144A 5.000 09/15/2014

   1,186,967

City Natl Corp

  

SR NT 5.125 02/15/2013

   356,741

Clear Channel Communications

  

Global NT 4.250 05/15/2009

   437,036

Clorox Co

  

SR NT 144A 4.200 01/05/2010

   544,574

Coastal Corp

  

NT DTD 7.750 06/15/2010

   410,108

Coca Cola Enterprises Inc

  

8.500 01FEB22 8.500 02/01/2022

   163,524

Coca Cola Enterprises Inc

  

Deb 6.750 01/15/2038

   143,446

Comcast Cable Comm Inc

  

SR NT 6.875 06/15/2009

   555,885

Comcast Cable Communications

  

Exchanged NT 8.375 05/01/2007

   487,683

Comcast Corp

  

NT 7.050 03/15/2033

   312,569

Comcast Corp

  

NT 5.500 03/15/2011

   1,622,904

ComEd Transitional Funding Trust

  

Ser 1998 1 NT CL A 6 5.630 06/25/2009

   2,230,180

ComEd Transitional Funding Trust

  

Ser 1998 NT CL A 7 5.740 12/25/2010

   719,040

Community Program LN TR 1987 A

  

Ser 87 A Bd Cl A4 4.500 10/01/2018

   1,272,620

Connecticut RRB SPL Purp TR

  

CL&P CTF CL A5 6.210 12/30/2011

   429,220

Conoco Fdg Co

  

NT 6.350 10/15/2011

   815,852

Consumers Energy Co

  

1st Mtg Bd Ser C

   133,748

Consumers Energy Co

  

1st Mtg BD SER D 5.375 04/15/2013

   314,548

Consumers Energy Co

  

SR NT DTD 6.250 09/15/2006

   220,235

Countrywide FDB Corp Mtn

  

Tranche TR 00304 3.250 05/21/2008

   2,206,541

Countrywide Fdg Corp

  

Tranche Tr 00313 4.000 03/22/2032

   925,287

Countrywide Fdg Corp Mtn

  

Tranche Tr 00313 4.000 03/22/2011

   324,327

Credit Suisse First Boston Mtg

  

2001 CF2 MTG Passthru CTF CL A 6.505 02/15/2034

   641,034

Credit Suisse First Boston Mtg

   2002 HE4 CF2 MTG Passthru CTF CL A 6.505 02/15/2034    151,446

Credit Suisse First Boston Mtg

  

2003 CK2 Coml Mtg Cft Cl A 2 3.861 03/15/2036

   362,649

Credit Suisse First Boston Mtg

  

2004 5 Coml Mtg Ctf Cl A 2 1.000 12/19/2033

   466,010

Credit Suisse First Boston USA

  

NT 5.500 08/15/2013

   277,391

Credit Suisse First Boston USA

  

NT 5.750 04/15/2007

   1,028,365

CSX Corp

  

NT 6.250 10/15/2008

   148,095

CSX Corp

  

SR NT 6.750 03/15/2011

   411,808

CVS Corp

  

NT 4.000 09/15/2009

   151,359

CWABS Inc

  

2004 14 Asset Bkd Ctf Cl A 1 1.000 09/25/2022

   637,828

CWABS Inc

  

2004 S1 Asset Bkd Ctf Cl A 3 4.615 02/25/2035

   490,542

CWABS Inc

  

2004 S1 Cl A2 3.875 03/25/2020

   446,403

CWMBS Inc

  

2003 49 CHL MTG CTF A 1 1.000 12/19/2033

   181,458

D R Horton Inc

  

SR NT 8.500 04/15/2012

   120,334

Daimler Chrysler Holdings

  

NT 8.500 01/18/2031

   232,914

Daimlerchrysler Auto Tr

  

2003B NT CL A4 2.850 03/09/2009

   222,837

Daimlerchrysler Auto Tr

  

SER 2004 B CL A4

   741,672

Daimlerchrysler Auto Tr

  

Ser 2004 Cl A4 2.580 04/08/2009

   534,114

Deere John Cap Corp

  

Global NT 3.900 01/15/2008

   1,185,709

Deluxe Corp

  

NT 144A 3.500 10/01/2007

   184,012

Deutsch Telekom Intl Fin B V

  

Global NT 5.250 07/22/2013

   267,435

Deutsche Augleichsbank

  

1.85 Pct 20Sep10

   2,563,743

Deutsche Mtg Secs Inc Mtg Tr

  

2004 4 Mtg Pass Cl I A 1 1.000 04/25/2034

   183,017

Deutsche Telekom Intl

  

Gtd NT 1.000 06/15/2010

   403,264

Deutsche Telekom Intl Fin BV

  

Gtd NT 1.000 06/15/2030

   330,360

Diabeo Fin BV

  

NT 3.000 12/15/2008

   583,681

Diageo Cap PLC

  

Global NT 3.375 03/20/2008

   435,437

Diageo Fin BV

  

NT 3.000 12/15/2006

   296,215

DJL Coml Corp

  

Coml Mtg Passthru Ctf 1999 CG 6.080 03/10/2032

   232,426

DLJ Coml Mtg Corp

  

2025 Coml Mtg Ctf 98 CF2 A1B 6.240 11/12/2031

   755,224

DLJ Coml Mtg Corp

  

Coml Mtg Ctf 1998 CF2 B 1 1.000 11/12/2031

   160,487

 


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule of Assets (Held at End of Year) at December 31, 2004

(Schedule H, Part IV, Line 4i on Form 5500)

  

Exhibit I

Page 19 of 30

 

Dominion Res Inc Del

  

SR NT Ser F 5.250 08/01/2033

   378,414

Dominion Res Inc Del

  

SR NT Ser G 3.660 11/15/2006

   73,710

Domtar Inc

  

NT 5.375 12/01/2013

   228,271

Donaldson Lufkin & Jenrette Inc

  

2005 SR NT 5.875 11/01/2005

   836,868

Donnelley R R & Sons Co

  

SR NT 3.750 04/01/2009

   168,718

Donnelley R R & Sons Co

  

SR NT 4.950 04/01/2014

   615,410

Donohue Fst Prods Inc

  

SR NT 7.625 05/15/2007

   311,023

Dow Chem Co

  

Global NT 5.750 12/15/2008

   365,753

Duke Cap Corp

  

SR NT 8.000 10/01/2019

   257,419

Duke Rlty Corp

  

NT 5.875 08/15/2012

   258,928

Duke Rlty Ltd Partnership

  

Med Tern NT 3.500 11/01/2007

   122,276

Duke Weeks Rlty Ltd Prtnshp

  

Ser NT 7.750 11/15/2009

   308,839

Duke Weks Realty Corp

  

NT 6.950 03/15/2011

   109,607

Eastman Chem Co

  

NT 3.250 06/15/2008

   1,532,026

EOP Oper Ltd Partnership

  

Gtd NT 7.000 07/15/2011

   492,371

EOP Oper Ltd Partnership

  

Gtd NT 4.650 10/01/2010

   98,560

EOP Oper Ltd Partnership

  

NT 6.800 10/01/2008

   1,505,587

Equity One ABS Inc

  

2004 3 Mtg Passthru Ctf Cl AF 1.000 07/25/2034

   258,006

ERAC USA Fin Co

  

GTD NT 144A 7.350 06/15/2008

   1,083,875

ERAC USA Fin Co

  

NT 144A 3C7 7.950 0512/15/2009

   250,637

ERP Oper Ltd Partnership

  

NT 6.625 03/15/2012

   191,512

ERP Oper Ltd Partnership

  

SR NT 4.750 06/15/2009

   140,254

Exxon Capital Corp

  

6 1/8 BDS 8SEP2008 USD1000 6.125 09/08/2008

   396,260

Fairfax Cnty VA

  

Ref + Pub Impt Ser A 5.250 04/01/2013

   668,131

Fed HM LN PC Pool B16497

  

5.500 09/01/2019

   1,003,929

Fed HM LN PC Pool E01341

  

5.500 3/01/2018

   538,830

Fed HM LN PC Pool E01343

  

5.000 4/01/2018

   1,516,599

Fed HM LN PC Pool E01345

  

5.500 4/01/2018

   1,754,545

Fed HM LN PC Pool E01377

  

4.500 5/01/2018

   2,630,318

Fed Hm Ln PC Pool M90952

  

4.000 10/01/2009

   193,400

Fed Hm Ln PC Pool M90954

  

4.000 11/01/2009

   490,487

Fed Home Ln Mtge Corp

  

Deb DTD 06 04 2004 4.250 07/15/2009

   1,167,862

Federal Farm CR Bks

  

2.375 10/02/2006

   1,547,938

Federal Home LN Mtg Corp

  

Preassign 00249 6.000 7/15/2027

   1,106,038

Federal Home LN MTG Corp

  

Preassign 00329 Ser T59 CL 1A 6.000 10/15/2032

   878,927

Federal Home LN MTG Corp

  

Preassign 00329 Ser T59 CL 1A 7.500 10/25/2043

   242,252

Federal Home Ln Mtg Corp

  

Preassign 00891 5.125 11/07/2013

   1,364,287

Federal Home LN Mtg Corp

  

Ser 1819 Cl 1819 E 6.000 2/15/2011

   2,695,848

Federal Home LN MTG Corp

  

Ser 2677 CL MJ 3.500 06/15/2017

   7,302,775

Federal Home Ln Mtg Corp Mtn

  

Tranche Tr 00396 3.750 08/03/2007

   1,709,462

Federal Home LN Mtg PC GTD

  

Ser 1404 FA 4.500 11/15/2007

   299,606

Federal Home LN Mtg PC GTD

  

Ser 1629 Cl 1629 HA 3.500 12/15/2021

   173,282

Federal Home LN Mtg PC GTD

  

Ser 1673 Cl 1673 H 6.000 11/16/2022

   1,354,805

Federal Natl Mtg Assn

  

2003 92 BR 5.000 04/25/2014

   986,354

Federal Natl Mtg Assn

  

Pfd Ser O 144A

   111,234

Federal Natl Mtg Assn

  

Preassign 00361 3.250 06/28/2006

   951,363

Federal Natl Mtg Assn

  

Preassign 00371 3.410 08/30/2007

   2,635,197

Federal Natl Mtg Assn

  

Preassign 00387 3.550 11/16/2028

   1,006,368

Federal Natl Mtg Assn

  

Preassign 00533/2002 T11 CL A 4.768 04/25/2012

   677,727

Federal Natl Mtg Assn

  

Remic Tt 2002 T3 Cl A Prin on 5.139 12/25/2011

   774,237

Federal Natl MTG Assn Disc Nts

  

0.010 03/16/2005

   1,560,823

Federal Natl Mtg Assn Disc Nts

  

0.010 01/18/2005

   1,788,655

Federal Natl MTG Assn Disc Nts

  

Disc Nts 0.010 01/05/2005

   2,050,154

Federal Natl MTG Assn Disc Nts

  

Disc Nts 0.010 01/07/2005

   1,271,246

Federal Natl MTG Assn Disc Nts

  

Disc Nts 0.010 02/23/2005

   195,103

Federal Natl MTG Assn Disc Nts

  

Disc Nts 0.010 03/02/2005

   487,702

Federal Natl MTG Assn Disc Nts

  

Disc Nts 0.010 03/09/2005

   2,535,896

Federal Natl MTG Assn Disc Nts

  

Disc Nts 0.010 03/30/2005

   779,996

Federal Natl MTG Assn Disc Nts

  

Disc Nts 0.010 04/15/2005

   1,167,339

Federal Natl Mtg Assn Remic

  

PREASSIGN 00860 SER 2001 T6 A 5.703 05/25/2011

   999,149

Federal Natl Mtg Assn Remic

  

PREASSIGN 00861 6.088 05/25/2011

   1,022,347

FedEx Corp

  

NT 2.650 04/01/2007

   350,741

Financement Que

  

NT 5.000 10/25/2012

   197,582

Financing Corp

  

9.800 04/06/2018

   1,501,258

 


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule of Assets (Held at End of Year) at December 31, 2004

(Schedule H, Part IV, Line 4i on Form 5500)

  

Exhibit I

Page 20 of 30

 

Financing Corp CPN Fico Strips

  

Generic Int Pmt 0.010 04/06/2007

   762,316

Financing Corp CPN Fico Strips

  

Ser 1 Int Pmt on 10 2018 0.010 11/11/2006

   439,140

Financing Corp CPN Fico Strips

  

Ser 1 Int Pmt on 10 Pct 2018 0.010 05/11/2013

   189,181

Financing Corp CPN Fico Strips

  

Ser 15 Int Pmt on 9.65 2019 0.010 03/07/2007

   442,315

Financing Corp CPN Fico Strips

  

Ser 15 Int Pmt on 9.65 2019 0.010 09/07/2009

   2,159,564

First Data Corporation

  

SR NT 5.625 11/01/2011

   299,070

First Energy Corp

  

NT Ser B 6.450 11/15/2011

   90,606

First Energy Corp

  

NT Ser C 7.375 11/15/2031

   140,053

Firstbank PR

  

SUB CAP NT 7.625 12/20/2006

   1,811,023

FirstEnergy Corp

  

NT Ser B 6.450 11/15/2011

   1,598,936

FMR Corp

  

NT 144A 4.750 03/01/2013

   762,041

FNMA Pool 125420

  

5.500 5/01/2011

   58,803

FNMA Pool 254088

  

5.500 12/01/2016

   312,243

FNMA Pool 254140

  

5.500 1/01/2017

   883,362

FNMA Pool 254722

  

5.500 5/01/2018

   1,780,782

FNMA Pool 254753

  

4.000 05/01/2010

   670,092

FNMA Pool 313709

  

1.000 06/01/2007

   264,482

FNMA Pool 323348

  

8.500 06/01/2012

   93,873

FNMA Pool 343347

  

5.500 4/01/2011

   442,055

FNMA Pool 386225

  

3.530 07/1/2010

   532,036

FNMA Pool 386284

  

3.640 06/01/2010

   471,482

FNMA Pool 412590

  

6.500 02/01/2028

   150,279

FNMA Pool 415766

  

6.000 5/01/2028

   386,696

FNMA Pool 446562

  

6.500 10/01/2028

   67,485

FNMA Pool 456585

  

6.500 12/01/2028

   41,986

FNMA Pool 456654

  

5.500 02/01/2014

   215,889

FNMA Pool 479439

  

6.500 01/01/2029

   15,033

FNMA Pool 480021

  

6.500 02/01/2029

   4,436

FNMA Pool 499035

  

6.500 06/01/2029

   2,122

FNMA Pool 545296

  

6.000 11/01/2016

   542,008

FNMA Pool 545696

  

6.000 06/01/2022

   1,428,426

FNMA Pool 545904

  

5.500 9/01/2017

   1,558,022

FNMA Pool 555541

  

1.000 04/01/2033

   972,370

FNMA Pool 623505

  

6.000 12/01/2011

   1,383,317

FNMA Pool 627288

  

6.500 04/01/2032

   477,240

FNMA Pool 645836

  

6.500 06/01/2032

   162,833

FNMA Pool 687069

  

5.500 01/01/2013

   1,434,769

FNMA Pool 720947

  

6.500 07/01/2033

   514,663

FNMA Pool 722999

  

5.000 7/01/2018

   3,254,113

FNMA Pool 725098

  

5.500 12/01/2018

   3,078,130

FNMA Pool 725231

  

5.000 02/01/2034

   2,532,150

FNMA Pool 743132

  

5.000 10/01/2018

   3,410,534

FNMA TBA Jan 15 Single Fam

  

4.500 12/01/2099

   6,228,249

FNMA TBA Jan 15 Single Fam

  

5.500 12/01/2099

   4,520,744

FNMA TBA Jan 15 Single Fam

  

5.000 12/1/2099

   996,450

FNMA TBA Jan 30 Single Fam

  

5.000 12/01/2099

   5,872,951

FNMA TBA Jan 30 Single Fam

  

5.500 12/01/2099

   16,097,704

FNMA TBA Jan 30 Single Fam

  

6.000 12/01/2099

   9,635,213

FNMA TBA Jan 30 Single Fam

  

6.500 12/01/2099

   10,245,290

FNMA TBA Jan 30 Single Fam

  

5.000 12/1/2100

   9,244,911

FNMA TBA Jan 30 Single Fam

  

6.000 12/01/2099

   289,056

Ford Cr Auto Owner Tr

  

2004 A NT Cl A 4 3.540 11/15/2008

   318,035

Ford Cr Floorplan Master Ow Tr

  

Ser 2004 1 Asset Bk NT Cl A 1.000 07/15/2009

   436,925

Ford Mtr Co Del

  

BD 6.375 02/01/2029

   220,203

Ford Mtr Cr Co

  

5.700 01/15/2010

   44,552

Ford Mtr Cr Co

  

CDT 5.800 01/12/2009

   1,303,697

Ford Mtr Cr Co

  

Global Landmark Secs

   541,442

Ford Mtr Cr Co

  

Global Landmark Secs 7.875 06/15/2010

   216,192

Ford Mtr Cr Co

  

Global Landmark Secs Globls 7.250 10/25/2011

   526,089

Ford Mtr Cr Co

  

Global Landmark Secs Globls 7.375 02/01/2011

   486,405

Ford Mtr Cr Co

  

Global NT 5.625 10/01/2008

   847,424

Ford Mtr Cr Co

  

Global NT 7.000 10/01/2013

   161,218

Ford Mtr Cr Co

  

NT 7.200 06/15/2007

   701,160

Fortune Brands Inc

  

NT 2.875 12/01/2006

   165,228

 


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule of Assets (Held at End of Year) at December 31, 2004

(Schedule H, Part IV, Line 4i on Form 5500)

  

Exhibit I

Page 21 of 30

 

Fosters Fin Corp

  

NT 144A 6.875 6/15/2011

   527,072

France Telecom SA

  

NT 7.750 03/11/2011

   234,076

France Telecom SA

  

NT 700.750 03/01/2011

   733,599

Franklin Res Inc

  

SR NT 3.700 04/15/2008

   438,992

Freddie Mac

  

Ser 2411 CL FJ 1.000 12/15/2029

   197,345

Freescale Semiconductor Inc

  

SR NT 6.875 07/15/2011

   99,964

GE Coml Mtg Corp

  

2004 C1 Coml Mtg Ctf CL A 2 3.915 11/10/2038

   558,221

GE Coml Mtg Corp

  

Ser 2004 C3 Cl A4 5.189 07/10/2039

   474,155

General Dynamics Corp

  

Global NT 4.500 08/15/2010

   325,815

General Elec Cap Corp Mtn

  

Tranche Tr 00482 6.125 02/22/2011

   521,234

General Elec Cap Corp Mtn

  

Tranche TR 00443 7.375 01/19/2010

   478,171

General Elec Cap Corp Mtn

  

Tranche TR 00551 6.000 06/15/2012

   676,044

General Elec Cap Corp Mtn

  

Tranche TR 00605 3.500 08/15/2007

   1,958,271

General Elec Cap Corp Mtn

  

Tranche TR 00605 3.500 08/15/2007

   680,499

General Elec Cap Corp Mtn

  

Tranche TR 00635 3.125 04/01/2009

   394,439

General Elec Cap Corp Mtn

  

Tranche TR 00644 1.000 06/22/2007

   1,084,732

General Mls Inc

  

NT 6.000 2/15/2012

   874,167

General Motors Accep Corp Medium

  

Tranche Tr 00626 1.000 03/04/2005

   589,939

General Mtrs Accep Corp

  

Global BD 7.250 03/02/2011

   363,137

General Mtrs Accep Corp

  

Global NT 6.750 12/01/2014

   353,686

General Mtrs Accep Corp

  

NT 6.150 04/05/2007

   761,244

General Mtrs Accep Corp

  

NT 6.875 09/1/2011

   698,784

General Mtrs Accep Corp

  

NT 6.875 09/15/2011

   653,539

General Mtrs Accep Corp

  

SR NT 5.625 09/15/2006

   1,177,387

General Mtrs Corp

  

7.125 07/15/2013

   215,862

General Mtrs Corp

  

SR Deb 8.375 07/15/2033

   344,456

Georgia Pac Corp

  

SR NT 8.000 01/15/2024

   318,668

Georgia Pac Corp

  

SR NT 8.875 02/01/2010

   274,027

Glencore Fdg LLC

  

Gtd NT 144A 6.000 04/15/2014

   555,289

Glolden St Tob Securitization

  

Asset Bkd Ser A Cl 1 5.000 06/01/2021

   231,672

GNMA I TBA Jan 30 Single Fam

  

5.000 12/15/2099

   2,672,718

GNMA I TBA Jan 30 Single Fam

  

6.000 12/01/2099

   1,473,750

Goldman Sachs Group Inc

  

NT 6.875 01/15/2011

   349,515

Goldman Sachs Group Inc

  

SR NT 3.875 01/15/2009

   234,935

Goldman Sachs Group Inc

  

SR NT 4.125 01/15/2008

   2,483,627

Goldman Sachs Group Inc

  

SR NT 5.700 09/01/2012

   218,401

Goldman Sachs Group Inc

  

SR NT 5.250 04/01/2013

   511,638

Goldman Sachs Group Inc

  

SR NT 5.700 09/01/2012

   757,894

Gov Natl Mtg Assn

  

2004 057 Remic Cl A 3.022 01/06/2019

   259,516

Government Natl Mtg Assn

  

2003 088 Passthru Ctf Cl AC 2.914 06/16/2018

   243,878

Government Natl Mtg Assn

  

2003 72 Remic Passthru Cl A 3.206 04/16/2018

   414,021

Government Natl Mtg Assn

  

2004 012 Remic Pass Ctf Cl AC 3.110 01/16/2019

   489,744

Government Natl Mtg Assn

  

2004 097 Remic Pssthr Ctf Cla 3.084 04/16/2022

   358,029

Government Natl Mtg Assn

   REMIC 2004 51 PASSTHRU CTF CL A 4.145 02/16/2018    966,607

Government Natl Mtg Assn

  

Remic Tr 2003 096 Cl B 3.607 08/16/2018

   263,013

Government Natl Mtg Assn

  

Ser 2004 43 Cl A 2.822 12/16/2019

   514,669

Government Natl Mtg Assn

  

Series 2003 48 Ctf Class AC 2.712 02/16/2020

   692,319

Govt Natl MTG Assn Std Remic

  

Remic TR 1999 38 Sec Cl CB 6.750 5/16/2026

   47,635

Green Tree Finl Corp

  

1999 2 MFD HSG SR Sub PA 6.080 12/01/2030

   338,936

Greenwich Cap Coml Fdg Corp

  

2004 GG1 Coml Mtg Ctf CL A 5 4.883 06/10/2036

   387,010

Greenwich Capital Commercial

  

Ser 2003 C1C0ml Mtg Ctf Cl A4 4.111 07/05/2035

   430,767

Gvnmt Natl Mtg Assn Remic Mtg

  

2004 025 Remic Pass Ctf Cl AC 3.377 01/16/2023

   96,486

Halliburton Co

  

SR NT Regs 5.500 10/15/2010

   124,007

HBOS PLC

  

Tranche 00007 144A 1.000 12/29/2049

   437,588

HCA Inc

  

NT 5.250 11/6/2008

   1,480,256

Healthcare Rlty TR IN

  

SR NT 8.125 05/01/2011

   331,450

Heinz HJ Co

  

Dealer Remarkable Secs 144A 1.000 12/01/2005

   462,393

Honda Auto Receivables

  

Asset Bkd NT Ser 2004 3 Cl A 3.280 02/18/2010

   1,006,901

Honda Auto Receivables

  

Ser 2003 4 Cl A 3 2.190 11/20/2006

   243,455

Honda Auto Receivables 2002 1

  

NT Cl A4 4.220 04/16/2007

   231,788

Hospira Inc

  

NT 5.900 06/15/2014

   185,527

Household Fin Corp

  

NT 6.375 10/15/2011

   780,153

Household Fin Corp

  

NT 6.500 11/15/2008

   437,488

Household Fin Corp

  

NT 7.000 05/15/2012

   224,083

 


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule of Assets (Held at End of Year) at December 31, 2004

(Schedule H, Part IV, Line 4i on Form 5500)

  

Exhibit I

Page 22 of 30

 

Household Fin Corp

  

NT 4.125 12/15/2008

   1,228,668  

Huntington Natl Bank

  

Tranche Tr 00138 4.375 01/05/2010

   246,108  

Hutchinson Whampoa Intl 03 13 L

  

Gtd NT 144A 6.500 02/13/2013

   370,072  

Illinois EDL Facs Auth Revs

  

Univ Chicago Ser A 5.000 07/01/2033

   1,000,831  

Illinois Pwr Co

  

7.500 06/15/2009

   443,595  

Illinois St

  

Taxable Pension 5.100 06/01/2033

   1,244,014  

Illinoise Pwr SPL Purp TR

  

1998 1 Transitional Fdg Cl A 5.650 12/25/2010

   1,089,046  

Indianapolis Pwr + Lt Co

  

1st Mtg Bd 144A 6.600 01/01/2034

   73,576  

International Business Machs

  

Tranche Tr 00113 4.375 06/01/2009

   84,843  

International Flavors & Frag

  

NT 6.450 05/15/2006

   198,946  

International Paper Co

  

NT 3.800 04/01/2008

   683,962  

International Paper Co

  

NT 4.000 04/01/2010

   1,250,455  

International Paper Co

  

NT 5.300 04/01/2015

   456,611  

International Paper Co

  

NT 5.300 04/01/2015

   208,453  

International STL Group

  

SR NT 6.500 04/15/2014

   242,018  

IRS 3ML USD

  

SWPV41140/SWP041148 1.000 06/15/2006

   (98,799 )

IRS 3ML USD Swap

  

SWPV23171/SWP023179 1.000 06/15/2010

   (314,369 )

IRS 3ML USD Swap

  

SWPV23205/SWP023203 1.000 06/15/2010

   (21,479 )

IRS 3ML USD Swap

  

SWPV23346/SWP023344 1.000 06/15/2010

   (96,654 )

IRS 3ML USD Swap

  

SWPV41546/SWP041544 1.000 06/15/2010

   (9,763 )

IRS USD

  

SWP023310 5.000 06/15/2015

   (103,294 )

IRS USD

  

SWP023716 4.000 06/15/2007

   16,569  

IRS USD

  

SWP023740 6.000 06/15/2025

   (493,321 )

IRS USD

  

SWP023898 6.000 06/15/2025

   (208,713 )

IRS USD Swap

  

SWP0233401 5.000 06/15/2015

   (10,329 )

IRS USD Swap

  

SWP023518 5.000 06/15/2015

   (103,294 )

J P Morgan Chase Mtg Secs

  

2004 C1 Pass Ctf Cl A 2 4.302 01/15/2038

   505,507  

Jefferies Group Inc New

  

SR NT 5.500 03/15/2016

   341,379  

Jefferies Group Inc New

  

SR NT 7.750 03/15/2012

   228,210  

JP Morgan & Chase Co

  

Global Sub Hldg Co NT 5.125 09/05/2014

   686,352  

JP Morgan Chase

  

6.75 Pct 01Feb11 6.750 02/1/2011

   826,648  

JP Morgan Chase Coml Mtg Secs

  

2001 CIBC1 Mtb Passthru CL A3 6.260 3/15/2033

   808,722  

Keyspan Corp

  

NT 6.150 06/01/2006

   459,628  

Kraft Foods Inc

  

NT 4.000 10/01/2008

   834,615  

Kraft Foods Inc

  

NT 4.125 11/12/2009

   565,936  

Kraft Foods Inc

  

NT 5.250 06/01/2007

   1,931,008  

Kraft Foods Inc

  

NT 5.250 10/01/2013

   368,441  

Kroger Co

  

NT 8.050 02/01/2010

   28,712  

Kroger Co

  

SR Deb 8.000 09/15/2029

   219,901  

Kroger Co

  

SR NT Ser B 7.250 06/01/2009

   247,265  

L 3 Communications Corp

  

SR Sub NT 7.625 06/15/2012

   172,285  

Laboratory Corp Amer Hldgs

  

SR NT 5.500 02/01/2013

   167,852  

Lasmo USA Inc

  

Gtd NT 7.500 06/03/2006

   312,365  

LB UBS Coml Mtg Tr

  

2004 C7 Mtg Pass Ctf Cl A 2 3.992 10/15/2029

   599,201  

LB UBS Coml Mtg Tr

  

2004 C8 Coml Mtg Ctf Cl A2 4.201 12/15/2029

   437,625  

Lehman Bros Inc

  

NT 6.500 4/15/2008

   741,212  

Leucadia Natl Corp

  

SR NT 144A 7.000 08/15/2013

   237,480  

Lockheed Martin Corp

  

Deb 8.500 1/01/2029

   366,725  

Long Beach Mtg Ln Tr

  

Ser 2004 4 Cl IIA2 Asset Bkd 1.000 10/25/2034

   716,220  

Lubrizol Corp

  

SR NT 4.625 10/01/2009

   235,106  

Lubrizol Corp

  

SR NT 6.500 10/01/2034

   344,734  

Mach One 2004 1 LLC

  

Coml Mtg Passthru Ctf Cl A1 144A 3.890 05/28/2040

   321,590  

Massmutual Global FDB II Mtn

  

Tranche Tr 00016 144A 3.800 04/15/2009

   145,844  

May Dept Stores Co

  

SR NT 6.650 07/15/2024

   462,522  

May Dept Stores Co

  

SR NT 6.650 07/15/2024

   283,900  

MBNA Corp Sr Mtn

  

Tranche SR 00058 4.625 09/15/2008

   1,494,718  

MBNA Corp SR Mtn

  

Tranche SR 00058 4.625 09/15/2008

   303,926  

MeadWestvaco Corp

  

NT 6.800 11/15/2032

   230,586  

Merey Sweeny LP

  

SV BD 144A 8.850 12/18/2019

   1,169,021  

Merrill Lynch + Co Inc

  

Tranche TR 00355 3.700 4/21/2008

   1,467,685  

Merrill Lynch + Co Inc

  

Tranche Tr 00453 5.000 01/05/2015

   166,137  

Merrill Lynch Mtg Invs Inc

  

2004 Sl1 Mtg Ln Asset Bkd Cl 1.000 04/25/2035

   144,128  

Merrill Lynch Mtg TR

  

Ser 2004 Key2 Coml Mtg Cl A2 4.166 08/12/2039

   347,005  

Metlife Inc

  

NT 5 11/24/2013

   221,715  

 


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule of Assets (Held at End of Year) at December 31, 2004

(Schedule H, Part IV, Line 4i on Form 5500)

  

Exhibit I

Page 23 of 30

 

Metlife Inc

  

SR NT 5.375 12/15/2012

   101,741

MGM Grand Inc

  

SR Call BD 6.950 02/01/2005

   152,454

MGM Mirage

  

SR NT 6.000 10/01/2009

   100,565

Mid ST TR IV

  

Asset Backed NT 8.330 04/01/2030

   1,235,341

Midamerican Energy Hldgs Co

  

SR NT 5.875 10/01/2012

   150,747

MidAmerican Energy Hldgs Co

  

SR NT 3.5 5/15/2008

   443,885

MidAmerican Fdg LLC

  

SR Secd NT 6.570 03/01/2011

   489,955

Minnesota St

  

5.000 8/01/2012

   548,113

Monongahela Pwr Co

  

1st Mtg BD 144A 6.700 06/15/2014

   59,783

Morgan JP Coml Mtg Fin Corp

  

Mtg Passthru Ctf 97 C5 Cl A 2 7.088 09/15/2029

   215,953

Morgan Stanley Cap I Inc

  

2004 TP13 Coml Mtg Pass Cl A2 3.940 09/13/2045

   518,072

Morgan Stanley Cap I Inc

  

Coml Mtg Ctf 1998 HF1 Cl E 1.000 03/15/2030

   538,543

Morgan Stanley Cap I Inc

  

Coml Mtg Ctf 1999 RM1 CL E 1.000 12/15/2031

   514,551

Morgan Stanley Cap I Inc

  

Ser 2003 IQ6 Mtg Cl A 4 4.970 12/15/2041

   329,293

Morgan Stanley Group Inc

  

5.800 04/01/2007

   432,004

Morgan Stanley Group Inc

  

5.800 04/01/2007

   282,830

Morgan Stanley Group Inc

  

Global NT 6.750 04/15/2011

   506,212

Morgan Stanley Group Inc

  

Global NT 5.300 03/01/2013

   538,582

Motorola Inc

  

8.000 11/01/2011

   1,232,048

National City Bk

  

Tranche SB 00003 6.200 12/15/2011

   307,400

National City Corp

  

Sub Deb 6.875 05/15/2019

   112,120

National Westminster Bk PLC

  

Reset Sub NT 7.750 04/29/2049

   805,170

Nationwide Mut Ins Co

  

Surplus NT 6.600 04/15/2034

   304,499

Nationwide Mut Ins Co

  

Surplus NT 8.250 12/01/2031

   254,635

Navistar Finl 2002 A Owner TR

  

Asset Bkd NT Cl A4 4.760 04/15/2009

   1,789,738

Nevada Pwr Co

  

Gen + Ref Mtg NT Ser L 144A 5.875 01/15/2015

   64,251

New York Life Global Fdg Mtn

  

Tanche TR 00002 144A 3.875 01/15/2009

   761,637

New York St Environmental Facs

  

Revolving FDS 2nd Resolution 5.000 6/15/2033

   303,737

News Amer Hldgs Inc

  

STD SR DEB 9.5 07.15.2010

   290,810

News Amer Inc

  

BD 144A 5.300 12/15/2014

   129,051

News Amer Inc

  

Gtd SR NT 4.750 03/15/2010

   339,916

Niagara Mohawk Pwr Corp

  

SR NT Ser G 7.750 10/012008

   275,936

Nisource Fin Corp

  

Gtd NT 7.875 11/15/2010

   230,677

Nisource Fin Corp

  

Gtd NT 7.875 11/15/2010

   374,850

Nissan Auto Receivables

  

SER 2003 C NT CL A5 3.210 03/16/2009

   92,532

Nordea Bk Sweden A B

  

Sub NT 144A 5.250 11/30/2012

   650,173

Norfolk Southn Corp

  

SR NT 6.750 02/15/2011

   160,326

Northern Rock PLC Medium Term

  

Tranche SR 00021 5.600 04/30/2049

   212,730

Northrop Grumman Corp

  

NT 7.125 02/15/2011

   174,522

NWA TR

  

No 1 SR Aircraft NT Cl A 8.260 3/10/2006

   180,705

NWA TR

  

No 1 SR Aircraft NT Cl B 9.360 03/10/2006

   114,323

Pacific Gas & Elec Co

  

1st Mtg BD 1.000 04/03/2006

   607,813

Pacific Gas & Electric Co

  

1st Mtg BD 4.200 03/01/2011

   266,906

Pacific Gas + Elec Co

  

1st Mtg BD 3.600 03/01/2009

   173,669

Pacific Gas + Electric

  

1st Mtg Bd 4.800 03/01/2014

   395,961

Park Placr Ent

  

NT 8.500 11/15/2006

   116,827

PC Financial Partnership

  

Gtd SR NT 5.000 11/15/2014

   439,880

Pearson DLR Fin PLC

  

Gtd SR NT 144A 4.700 06/01/2009

   299,987

Pemex Proj FDG Master TR

  

GTD NT 144A 6.125 08/15/2008

   1,247,985

Pepco Hldgs Inc

  

NT 5.500 08/15/2007

   51,014

Phillips Pete Co

  

Deb 6.650 07/15/2018

   168,636

Pioneer Nat Res Co

  

SR NT 6.500 01/15/2008

   1,577,535

Potash Corp Sask Inc

  

NT 4.875 03/01/2013

   320,507

Praxair Inc

  

NT 6.375 04/01/2012

   465,524

Prdential Finl Inc

  

Tranche Tr 00005 5.100 09/20/2014

   369,683

Private Expt Fdg Corp

  

Secd NT Ser M 5.340 03/15/2006

   367,573

PSE&G Transition FDG LLC

  

2001 1 Transition BD CL A5 6.450 03/15/2013

   1,101,731

Public Svc Co Colo

  

1st Coll TR BD Ser 14 4.375 10/01/2008

   159,176

Public Svc Co Colo

  

1st Coll Tr Bd Ser No 8 7.785 10/01/2012

   178,270

Rabobank Cap Fdg III Tr

  

Gtd Tr Pfd Secs 144A 1.000 12/29/2049

   541,562

Railcar Leasing LLC

  

SR Secd NT CL A1 144A 6.750 07/15/2006

   595,543

Raytheon Co

  

DEB 6.000 12/15/2010

   135,889

Raytheon Co

  

NT 5.500 11/15/2012

   129,483

Raytheon Co

  

NT 6.750 08/15/2007

   107,811

 


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule of Assets (Held at End of Year) at December 31, 2004

(Schedule H, Part IV, Line 4i on Form 5500)

  

Exhibit I

Page 24 of 30

 

Regions Finl Corp

  

Sub NT 6.375 05/15/2012

   243,370  

Renaissance Equity Ln Tr

  

2004 3 Home Ln Eqty CL AV 2A 1.000 11/25/2034

   3,147,036  

Residential Asset Mtg Prods

  

2004 RS2 Ctf Cl AII 1.000 01/25/2024

   132,858  

Residential Asset Mtg Prods In

  

Ser 2004 RS6 Cl AI1 1.000 08/25/2022

   166,645  

Residential Asset Mtg Prods Inc

  

2004 SP1 Ln Bkd Ctf Cl AI 1 1.000 06/25/2013

   153,191  

Residential Asset Mtg Prodsinc

  

2004 RS12 Mtg Ctf A II 1 1.000 05/25/2027

   819,235  

Residential Asset Sec Mtg Pass

  

2004 KS10 Home Equity Cl AI1 1.000 10/25/2013

   348,509  

Residential Asset Sec Mtg Pass

  

2004 KS7 Mtg Ctf Cl AI 1 1.000 10/25/2021

   210,033  

Residential Asset Sec Mtg Pass

  

Ser 2002 KS7 Ctf Cl A II 1.000 11/25/2032

   261,088  

Residential Fdg Mtg Secs II IN

  

Ser 2003 K23 Cl A2 1.000 05/25/2033

   336,293  

Residential Fdg Mtg Secs Inc

  

2004 HS2 Ln Bkd Nt Cl AI 1 1.000 12/25/2018

   222,891  

Rogers Wireless Inc

  

SR Secd NT 144A 7.250 12/15/2012

   77,999  

Rogers Wireless Inc

  

SR Secd NT 144A 7.500 03/15/2015

   25,877  

Royal BK Scotland Group PLC

  

Global NT 5.000 10/01/2014

   584,710  

Royal Caribbean Cruises Ltd

  

SR NT 8.750 02/02/2011

   243,379  

RPM Intl Inc (formerly RPM Inc)

  

SR NT 6.250 1012/15/2013

   326,580  

Russell Frank Co

  

Gtd NT 144A 5.625 01/15/2009

   1,042,293  

Sacramento Cnty CA Pension Fdg

  

Cars Taxable SR C1 0.010 07/10/2030

   418,104  

Safeway Inc

  

NT 4.950 08/16/2010

   229,710  

Safeway Inc

  

NT 5.8 08/15/2012

   233,037  

Safeway Inc

  

NT 6.150 03/01/2006

   389,615  

Sapi Papier Hldg AG

  

Gtd NT 144A 6.750 06/15/2012

   267,082  

Saxon Asset Secs Tr

  

2002 2 Mtg Ln Ast Bk Ctf Clav 1.000 08/25/2032

   80,854  

SBC Communications Inc

  

Global NT 5.100 09/15/2014

   302,023  

SBC Communications Inc

  

Global NT 5.625 06/15/2016

   50,677  

SBC Communications Inc

  

Global NT 5.625 06/15/2016

   278,725  

SBC Communications Inc

  

Global NT 4.125 09/15/2009

   166,419  

Simon Ppty Group LP

  

NT 144A 4.875 08/15/2010

   390,014  

SLM Corp

  

Tranche 000031 5.000 10/01/2013

   779,911  

Small Business Admin

  

Deb Ser 1999 2D K 7.060 11/01/2019

   588,829  

Small Business Admin

  

Deb Ser 1999 2D L 7.190 12/01/2019

   1,044,330  

South Africa Rep

  

NT 8.500 06/23/2017

   2,708,873  

Southern CA Edison Co

  

1st + Ref Mtg Ser 2004 F 4.650 04/01/2015

   206,936  

Southern CA Edison Co

  

1st Mtg BD Ser 2003B 8.000 02/15/2007

   411,342  

Southtrust Corp

  

Sub NT 5.800 06/15/2014

   124,676  

Speciality Underwriting + Resid

  

2004 BC4 Mtg Ctf A2A 1.000 10/25/2035

   671,752  

Sprint Cap Corp

  

6.375 05/01/2009

   740,538  

Sprint Cap Corp

  

7.625 01/30/2011

   398,692  

Sprint Cap Corp

  

Gtd NT 6.000 01/15/2007

   359,393  

Sprint Cap Corp

  

NT 6.875 11/15/2028

   537,059  

Sprint Cap Corp

  

NT 8.750 03/15/2032

   941,152  

Sprint Cap Corp

  

NT 8.375 03/15/2012

   173,296  

St George Bk Ltd

  

Sub NT 144A 5.300 10/15/2015

   194,796  

Station Casinos Inc

  

SR NT 6.000 04/01/2012

   219,894  

Suprior Whsl Inventory Fing

  

2004 A 9 Bkd Term NT Cl A 1.000 05/15/2009

   623,592  

Swap Option 3MO Libor

  

Sep 4 Call 0.000 9/23/2005

   (16,615 )

Swap Option 3MO Libor 7

  

Sep. 7 Put 0.000 9/23/2005

   (777 )

Swap Option 3MO Libor P032097

  

Jan 4.0 Call 0.000 1/7/2005

   (3 )

TCI Communications Inc

  

DEB 7.875 02/15/2026

   90,363  

Teck Cominco Ltd

  

NT 7.000 09/15/2012

   266,424  

Telecom Italia Cap

  

Gtd SR Global NT 144B 4.000 01/15/2010

   533,897  

Telecom Italia Cap

  

Gtd SR Global NT SER B 5.250 11/15/2013

   361,953  

Telecom Italia Cap

  

Gtd SR NT SER A 4.000 11/15/2008

   1,270,578  

Telecom Italia Cap

  

Gts SR NT SER A 4.000 11/15/2008

   585,447  

Telekom Malaysia Berhad

  

Deb 144A 7.875 08/01/2025

   2,562,528  

Texas Eastn Transmission Corp

  

NT 7.3 12/1/2010

   503,164  

TIAA Global Mkts Inc

  

NT 144A 3.875 01/22/2008

   982,299  

Time Warner Entmt Co LP

  

SR Deb 7.250 09/01/2008

   1,068,207  

Time Warner Inc

  

DEB 6.625 5/15/2029

   845,100  

Time Warner Inc

  

NT 6.875 05/01/2012

   553,090  

Tobacco Settlement Fing Corp

  

Asset Bkd Ser B 5.875 5/15/2039

   265,815  

Tobacco Settlement Rev Mgmt AU Ser B

  

Ser B 6.375 5/1/2028

   287,131  

Tosco Corp

  

NT 7.250 01/01/2007

   450,052  

TXU Australia Hldgs Pty Ltd

  

Gtd SR NT 144A 6.150 11/15/2013

   95,381  

 


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule of Assets (Held at End of Year) at December 31, 2004

(Schedule H, Part IV, Line 4i on Form 5500)

  

Exhibit I

Page 25 of 30

 

TXU Corp

  

SR NT Ser Q 144A 6.500 11/15/2024

   280,086

TXU Energy Co LLC

  

SR NT Fltg Rate 144A 1.000 01/17/2006

   295,142

Tyco Intl Group S A

  

Gtd NT 6.750 02/15/2011

   468,207

Tyco Intl Group S A

  

SR NT 6.375 10/15/2011

   509,109

U S Bk Natl Assn Minneapolis

  

6.375 08/01/2011

   654,515

UFJ Fin Aruba A E C

  

Gtd NT 6.750 07/15/2013

   792,666

Union Oil Co CA

  

Gtd SR NT 5.050 10/01/2012

   1,506,307

Union Pac Corp

  

NT 3.625 06/01/2010

   127,457

Union Pac Corp

  

NT 3.875 02/15/2009

   389,622

Union Pac Corp

  

NT 6.625 2/1/2008

   716,161

Union Planters Corp

  

SR NT 4.375 12/01/2010

   318,292

Union Planters Corp

  

Sub NT 7.750 03/01/2011

   522,734

United Airls Pass Thru Trs

  

Pass Thru CTF Ser 1995 A2 9.560 10/19/2018

   306,139

United Mexican Sts

  

Tranche TR 00012 4.525 10/08/2008

   804,540

United Mexican Sts Mtn

  

Tranche TR 00008 7.500 01/14/2012

   745,435

United States Treas Bds

  

6.250 05/15/2030

   10,375,304

United States Treas Bds

  

12.750 11/15/2010

   1,048,095

United States Treas Bds

  

6.125 08/15/2029

   235,856

United States Treas Bds

  

Dtd 2/15/85 11.250 02/15/2015

   2,474,736

United States Treas Bds

  

Dtd 8/15/83 8/15/13 08 12.000 08/15/2013

   7,005,345

United States Treas Bds Strp Prn

  

Stripped Prin Pmt 10.75 0.010 08/15/2005

   7,539,046

United States Treas Bills

  

0.010 01/13/2005

   279,483

United States Treas Bills

  

0.010 01/06/2005

   15,594,201

United States Treas Bills

  

0.010 01/20/2005

   20,380,415

United States Treas Bills

  

0.010 02/17/2005

   17,098,783

United States Treas Bills

  

0.010 03/10/2005

   15,293,498

United States Treas Bills

  

0.010 3/03/2005

   975,897

United States Treas Bills

  

0.010 3/17/2005

   243,919

United States Treas Nts

  

1.625 01/31/2005

   4,399,637

United States Treas Nts

  

1.625 03/31/2005

   2,811,416

United States Treas Nts

  

2.000 05/15/02006

   8,512,613

United States Treas Nts

  

2.000 07/15/2014

   2,188,320

United States Treas Nts

  

2.500 09/30/2006

   3,355,643

United States Treas Nts

  

3.000 07/15/2012

   3,405,327

United States Treas Nts

  

4.250 08/15/2013

   1,849,172

United States Treas Nts

  

00042 3.375 12/15/2008

   8,019,730

United States Treas Nts

  

1.625 04/30/2005

   2,740,376

United States Treas Nts

  

4.875 02/15/2012

   829,598

United States Treas Nts

  

DTD 00865 6.500 02/15/2010

   2,999,088

United States Treas Nts

  

DYD 00039 3.375 11/15/2008

   2,935,428

United States Treas Nts

  

Inflation Index Bond 2.000 07/15/2014

   307,492

United States Treas Nts

  

Inflation Index Bond 2.000 07/15/2014

   1,296,592

United States Treas Nts

  

Inflation Indexed 3.375 01/15/2007

   1,439,583

United States Treas Nts

  

Inflation Indexed 3.625 1/15/2008

   126,260

United States Treas Nts

  

Inflation Indexed 4.250 1/15/2010

   516,434

United States Treas Nts

  

Inflation Indexed NT 3.500 01/15/2011

   244,393

Univision Communications Inc

  

SR NT 7.850 07/15/2011

   410,940

UPM Kymmene Corp

  

Global Med Term NT 2014 144A 5.625 12/01/2014

   168,844

US Bk Natl Assn Minneapolis

  

6.375 08/01/2011

   435,834

US Dept Veteran Affairs Remic

  

Vendee Mtg Tr 2002 3 Cl J 6.000 04/15/2009

   602,549

USA Waste Svcs Inc

  

7.000 07/15/2028

   99,594

USAA Auto Owner Tr

  

2004 3 Asset Backed NT Cl A 1 2.336 11/15/2005

   486,625

Valero Energy Corp New

  

NT 6.875 04/15/2012

   350,541

Verizon Global FDG Corp

  

BD 6.875 06/15/2012

   546,488

Verizon Global Fdg Corp

  

NT 7.750 06/15/2032

   214,223

Verizon Global Fdg Corp

  

NT 4.000 01/15/2008

   2,077,472

Verizon Global Fdg Corp

  

NT 4.375 06/01/2013

   640,537

Verizon Global FDG Corp

  

NT 7.250 12/01/2010

   364,531

Verizon Wireless Cap LLC

  

NT 5.375 12/15/2006

   532,857

Vodafone Airtouch PLC

  

NT 7.750 02/15/2010

   193,553

Vodafone Airtouch PLC

  

NT 7.750 2/15/2010

   1,070,712

Wachovia Corp 2nd New

  

NT 3.500 08/15/2008

   524,505

Wachovia Corp 2nd New

  

NT 4.875 02/15/2014

   816,514

WAMU Mtg Pass Through CTFS

  

2004 AR10 Passthru Ctf Cl A2C

   365,316

 


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule of Assets (Held at End of Year) at December 31, 2004

(Schedule H, Part IV, Line 4i on Form 5500)

  

Exhibit I

Page 26 of 30

 

WAMU Mtg

  

2003 AR10 Ctf Cl A 6 1.000 10/25/2033

     486,485  

WAMU Mtg Pass Through CTFS

  

2004 AR9 Mtg Ctf Cl A 7 1.000 08/25/2034

     333,844  

Washington Mut Inc

  

Sub NT 4.625 04/01/2014

     853,583  

Waste Mgmt Inc Del

  

SR NT 6.875 05/15/2009

     548,965  

Waste Mgmt Inc Del

  

SR NT 7.375 05/15/2029

     40,340  

Waste Mgmt Inc Del

  

SR NT 7.375 08/01/2010

     112,461  

Wellpoint Inc

  

NT 144A 3.750 12/14/2007

     84,332  

Wells Fargo & Co New

  

Global NT 5.125 2/15/2007

     213,158  

Wells Fargo & Co New

  

Sub Global NT 6.375 08/01/2011

     282,423  

Wells Fargo & Co New

  

Sub NT 5.000 11/15/2014

     545,767  

Wells Fargo + Co New

  

Global New 3.500 04/04/2008

     1,169,954  

Wells Fargo + Co New

  

NT 4.200 01/15/2010

     206,873  

Wells Fargo BK N A

  

NT DTD 6.450 2/1/2011

     956,318  

Weyerhaeuser Co

  

NT 6.750 03/15/2012

     409,056  

Weyerhaeuser Co

  

NT 6.750 03/15/2012

     1,934,726  

WFS Finl 2003 2 Owner TR

  

2003 2 CL A4 NT 2.410 12/20/2010

     406,406  

WFS Finl 2003 4 Owner TR

  

Auto Receivable Bkd NT Cl C 3.210 05/17/2012

     488,343  

WFS Finl 2004 2 Owner Tr

  

Auto Receivable Bkd Nt Cl A 4

     1,960,668  

WFS Finl Owner TR

  

Auto Rec Bkd Cl A 2 Ser 2004 2.500 12/17/2007

     341,791  

Whole Auto Ln Tr

  

2004 1 Cl A1 2.150 11/15/2005

     868,426  

WPP Fin UK

  

NT 144A 5.875 06/15/2014

     178,691  

Wyeth

  

SR NT 5.500 02/01/2014

     233,463  

Xcel Energy Inc

  

SR NT 7.000 12/01/2010

     237,779  

XTO Energy Inc

  

SR NT 7.500 04/15/2012

     487,948  

Zions Bancorporation

  

Sub NT 6.000 09/15/2015

     439,269  
         


            556,559,391  
         


Commingled Investments

             

Mellon Instl FDS Invt Tr

  

Standish Mellon Intl Fxd Inc

     3,399,835  

Pimco FDS Pac Invt Mgmt

  

Private Acct Portfolio

     215,942  

Pimco FDS Pac Invt Mgmt Ser

  

Emerging Mkts Portfolio

     5,717,530  

Pimco FDS Pac Invt Mgmt Ser

  

Intl Porpfolio Instl Cl

     6,555,279  

Pimco FDS Pac Invt Mgmt Ser

  

Invt Grade Corp Port Instl Cl

     6,745,387  

Pimco FDS Pac Invt Mgmt Ser

  

Mtg Portfolio Instl CL

     16,239,079  

Pimco FDS Pac Invt Mgmt Ser

  

Real Return BD Portfolio CL

     4,409,083  

Pimco FDS Pac Invt Mgmt Ser

  

U S Govt Sector Port Instl CL

     8,465,362  
         


            51,747,497  
         


Benefit Responsive Interest Rate Wrapper Contracts

             

Aegon Institutional Markets

  

Open Ended Maturity

     (48,185,089 )

Bank of America NT & SA

  

Open Ended Maturity

     (32,531,388 )
         


            (80,716,477 )
         


Guaranteed Investment Contracts

        $ 556,651,032  
         


Commingled Investments:

             

Abn Amro Talon Mid Cap Cl N N/C

  

Commingled Investments

     11,261  

Aegis Value Fund Inc

  

Commingled Investments

     67,651  

Aim Real Estate Class C

  

Commingled Investments

     31,317  

Alliance Resource Partners

  

Commingled Investments

     7,400  

Alpine Dynamic Divid Fund

  

Commingled Investments

     532  

Alpine Us Real Estate Equity Y

  

Commingled Investments

     3,600  

American Aadvantage Small Cap Val Instl

  

Commingled Investments

     27,867  

American Capital World Grwth & Inc F

  

Commingled Investments

     10,465  

American Century 20Th Century Ultra

  

Commingled Investments

     7,101  

American Century Benham Euro Gov’T Bd

  

Commingled Investments

     13,950  

American Century Equity Income

  

Commingled Investments

     3,829  

American Europacific Growth Class F

  

Commingled Investments

     26,441  

 


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule of Assets (Held at End of Year) at December 31, 2004

(Schedule H, Part IV, Line 4i on Form 5500)

  

Exhibit I

Page 27 of 30

 

American High-Income Class F

  

Commingled Investments

   16,745

Ameristock Mutual Fund

  

Commingled Investments

   54,827

Annaly Mortgage Management Inc

  

Commingled Investments

   8,829

Ariel Appreciation Class B

  

Commingled Investments

   210,106

Ariel Growth Class A

  

Commingled Investments

   122,134

Artisan Internat’L

  

Commingled Investments

   43,277

Artisan Mid Cap

  

Commingled Investments

   28,607

Atlantic Whitehall Growth N/C

  

Commingled Investments

   2,297

Baron Growth & Inc

  

Commingled Investments

   419

Berkshire Focus Fund

  

Commingled Investments

   33,961

Bjurman Micro Cap Growth

  

Commingled Investments

   4,203

Black Oak Emerging Technology Fund

  

Commingled Investments

   185

Boston Partners Sml Cap Val Ii Instl

  

Commingled Investments

   7,937

Brazos Micro Cap Growth

  

Commingled Investments

   562

Bridgeway Aggressive Growth

  

Commingled Investments

   63,075

Bridgeway Aggressive Investor 2

  

Commingled Investments

   86,493

Brown Capital Mgmt Small Company Inst.

  

Commingled Investments

   2,599

Buffalo Small Cap Growth

  

Commingled Investments

   68,470

Calamos Growth And Income Class C

  

Commingled Investments

   52,659

Calamos Growth Class A

  

Commingled Investments

   61,651

Calamos Growth Fund Class C

  

Commingled Investments

   39,346

Calvert Social Invst Managed Growth Cl A

  

Commingled Investments

   50,630

Clipper

  

Commingled Investments

   298,280

Columbia Acorn Class Z N/C

  

Commingled Investments

   4,100

Cross Timbers Royalty Trust

  

Commingled Investments

   20,873

Daily Eafe Fund

  

Commingled Investments

   50,754,913

Delaware Emerging Markets Class A

  

Commingled Investments

   10,556

Dodge & Cox Balance

  

Commingled Investments

   113,338

Dodge & Cox Income

  

Commingled Investments

   103,723

Dodge & Cox Internatl Stock Fund

  

Commingled Investments

   84,302

Dodge & Cox Stock

  

Commingled Investments

   232,406

Dreyfus Emerging Markets

  

Commingled Investments

   18,267

Dreyfus Midcap Value Fund

  

Commingled Investments

   10,865

Dreyfus Premier Enterprise Cl B

  

Commingled Investments

   5,541

Dreyfus Premier Ltd Term Income Cl R

  

Commingled Investments

   3,220

Driehaus European Opportunity

  

Commingled Investments

   11,677

Duke Realty Invst Co New

  

Commingled Investments

   10,242

Eaton Vance Worldwide Health Sciences Class A

  

Commingled Investments

   1,439

Excelsior Income Business & Indl Restructing Fd

  

Commingled Investments

   11,921

Excelsior Real Estate

  

Commingled Investments

   37,973

Exeter Maximum Horizon

  

Commingled Investments

   3,568

Fbr Small Cap Class A N/C

  

Commingled Investments

   23,707

Fbr Small Cap Financial Class A N/C

  

Commingled Investments

   24,201

Federated Market Opportunity Cl A

  

Commingled Investments

   30,527

Fidelity Advisor Diversified Int’L I

  

Commingled Investments

   11,165

Fidelity Advisor Short Fixed Inc Cl A

  

Commingled Investments

   3

Fidelity Capital Appreciation

  

Commingled Investments

   22,672

Fidelity Contrafund

  

Commingled Investments

   209,287

Fidelity Convertible Securities

  

Commingled Investments

   17,464

Fidelity Diversified International

  

Commingled Investments

   89,903

Fidelity Dividend Growth

  

Commingled Investments

   279,307

Fidelity Intern’Tl Small Cap

  

Commingled Investments

   1,328

Fidelity Japan Small Companies

  

Commingled Investments

   1,288

Fidelity Large Capital Stock

  

Commingled Investments

   7,911

Fidelity Leveraged Company Stock

  

Commingled Investments

   14,522

Fidelity Low Priced Stock

  

Commingled Investments

   68,553

Fidelity Mid Cap Stock

  

Commingled Investments

   37,705

Fidelity Real Estate Investment

  

Commingled Investments

   50,154

Fidelity Select Wireless Portfolios

  

Commingled Investments

   1,157

Fidelity Short Term Bond

  

Commingled Investments

   8,460

Fidelity Small Cap Stock

  

Commingled Investments

   11,286

Fidelity Strategic Income

  

Commingled Investments

   16,413

Fidelity Us Bond Index

  

Commingled Investments

   5,606

Fidelity Worldwide

  

Commingled Investments

   6,688

 


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule of Assets (Held at End of Year) at December 31, 2004

(Schedule H, Part IV, Line 4i on Form 5500)

  

Exhibit I

Page 28 of 30

 

Firsthand Global Technology

  

Commingled Investments

   238

Firsthand Technology Value

  

Commingled Investments

   372

Foster Wheeler Ltd

  

Commingled Investments

   300

Franklin Income Class C

  

Commingled Investments

   27,498

Franklin Large Cap Value Class C

  

Commingled Investments

   22,541

Franklin Real Estate Securities Class C

  

Commingled Investments

   45,023

Fremont Us Micro Capital

  

Commingled Investments

   58,768

Fundamental Investors

  

Commingled Investments

   17,264

Gabelli Westwood Equity Retail Class

  

Commingled Investments

   76,531

Gartmore Micro Cap Equity Class A

  

Commingled Investments

   5,707

Growth Fund Of America

  

Commingled Investments

   9,391

Hancock Horizon Burkenroad Fund Cl D

  

Commingled Investments

   68,450

Harbor International

  

Commingled Investments

   26,858

Heartland Group Value Income

  

Commingled Investments

   16,461

Hennessy Cornerstone Growth N/C

  

Commingled Investments

   14,180

Hussman Strategic Growth

  

Commingled Investments

   12,576

Icon Energy

  

Commingled Investments

   23,220

Icon Technology

  

Commingled Investments

   40,337

Invesco Leisure N/C

  

Commingled Investments

   301

Janus Flexible Income

  

Commingled Investments

   67,233

Janus Inv’T Equity Income

  

Commingled Investments

   52,209

Janus Inv’T Growth & Income

  

Commingled Investments

   9,932

Janus Inv’T Mercury

  

Commingled Investments

   2,035

Janus Mid Cap Value Invst Shs N/C

  

Commingled Investments

   78,453

Janus Risk Managed Stock Fund

  

Commingled Investments

   19,557

Jensen Portfolio, Inc.

  

Commingled Investments

   54,508

Jp Morgan Mid Cap Value Instl

  

Commingled Investments

   27,706

Julius Baer Int’L Equity

  

Commingled Investments

   13,999

Kinder Morgan Energy Partners L P

  

Commingled Investments

   22,396

Kinetics Small Cap Opportunities

  

Commingled Investments

   4,057

Leuthold Grizzly Short Fund

  

Commingled Investments

   25,000

Longleaf Partners

  

Commingled Investments

   34,148

Loomis Sayles Bond Instl N/C

  

Commingled Investments

   7,297

Lord Abbett Affiliated Class C

  

Commingled Investments

   26,480

Lord Abbett Research Small Cap Class C

  

Commingled Investments

   37,695

Magellan Midstream Partners Lp Com Unit

  

Commingled Investments

   1,467

Managers Intermediat Duration Government

  

Commingled Investments

   15,743

Marsico Focus

  

Commingled Investments

   28,546

Marsico Growth And Income

  

Commingled Investments

   54,675

Masters Select Equity

  

Commingled Investments

   58,022

Matrix Advisors Value

  

Commingled Investments

   5,282

Matthews Dragon Century China

  

Commingled Investments

   32,668

Matthews Intl Fds Pac Tiger Fd

  

Commingled Investments

   42,293

Meridian Fund

  

Commingled Investments

   149,847

Meridian Value Fund

  

Commingled Investments

   9,519

Mfs High Yield Opportunities Cl C

  

Commingled Investments

   26,758

Mfs International New Discovery Cl C

  

Commingled Investments

   23,589

Mfs Research Bond Cl C

  

Commingled Investments

   25,723

Mills Corp

  

Commingled Investments

   6,444

Needham Growth Fund

  

Commingled Investments

   1,681

Neuberger & Berman Genesis Trust

  

Commingled Investments

   32,632

Novastar Financial Inc

  

Commingled Investments

   693

Oakmark Balanced

  

Commingled Investments

   187,188

Oakmark Fund

  

Commingled Investments

   359,500

Oakmark Internat’L

  

Commingled Investments

   68,354

Oakmark Internat’L Small Cap

  

Commingled Investments

   4,660

Oakmark Select

  

Commingled Investments

   53,174

Oppenheimer Int’L Bond Class C

  

Commingled Investments

   28,553

Pbhg Mid Cap Value

  

Commingled Investments

   4,074

Pimco All Asset Inst Class

  

Commingled Investments

   7,636

Pimco Commodity Real Return Cl D

  

Commingled Investments

   22,725

Pimco Rcm Biotechnology Cl D N/C

  

Commingled Investments

   385

Pimco Rcm Global Healthcare Class D N/C

  

Commingled Investments

   57,406

Pimco Rcm Global Technology Class D N/C

  

Commingled Investments

   1,408

 


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule of Assets (Held at End of Year) at December 31, 2004

(Schedule H, Part IV, Line 4i on Form 5500)

  

Exhibit I

Page 29 of 30

 

Pimco Rcm Global Technology Instl N/C

  

Commingled Investments

   12,088

Pimco Real Return Class C

  

Commingled Investments

   50,472

Pimco Value Institutional

  

Commingled Investments

   5,600

Pin Oak Aggressive Stock

  

Commingled Investments

   434

Pioneer High Yield Class A

  

Commingled Investments

   6,078

Potomac Us Short

  

Commingled Investments

   6,024

Pro Funds Ultra Shrt Small Cap-Serv Shs

  

Commingled Investments

   1,334

Red Oak Technology Select

  

Commingled Investments

   299

Redback Networks Inc $5.00 Wts Exp 01/02/2010

  

Commingled Investments

   57

Redback Networks Inc $9.50 Wts Exp 01/02/2010

  

Commingled Investments

   54

Rowe T Price High Yield Fd Inc

  

Commingled Investments

   6,301

Royce Low Priced Stock Fund

  

Commingled Investments

   144,526

Royce Microcap

  

Commingled Investments

   44,636

Royce Opportunity Fund

  

Commingled Investments

   65,798

Royce Pa Mutual

  

Commingled Investments

   106,564

Royce Premier Series

  

Commingled Investments

   30,194

Royce Special Equity

  

Commingled Investments

   43,067

Royce Total Return

  

Commingled Investments

   133,959

Rydex Biotechnology Inv Class

  

Commingled Investments

   346

Rydex Juno Fund Advisor Class

  

Commingled Investments

   22,667

S&P 500 Flagship Fund

  

Commingled Investments

   170,580,611

San Juan Basin Rty Tr Unit Ben Int

  

Commingled Investments

   4,447

Select Energy

  

Commingled Investments

   1,096

Select Medical Equipment & Systems

  

Commingled Investments

   10,879

Select Natural Gas

  

Commingled Investments

   47,951

Selected American Shares

  

Commingled Investments

   65,009

Shurgard Storage Ctr Inc Cl A Wash Frmly Del

  

Commingled Investments

   47,797

Skyline Special Equities

  

Commingled Investments

   5,463

Spartan Market Index

  

Commingled Investments

   8,594

Spartan Total Market Index

  

Commingled Investments

   25,423

Ssga Aggressive Equity

  

Commingled Investments

   7,438

Ssga Life Solutions Growth Fund

  

Commingled Investments

   4,904

Ssga Life Solutions Income & Growth Fd

  

Commingled Investments

   790

Ssga Money Market Fund

  

Commingled Investments

   5,943,309

Ssga Small Cap Equity

  

Commingled Investments

   275,990

Strong Asia Pacific

  

Commingled Investments

   12,829

T Rowe Price Cap Appreciation

  

Commingled Investments

   57,378

T Rowe Price Equity Income

  

Commingled Investments

   127,260

T Rowe Price Health Sciences

  

Commingled Investments

   10,203

T Rowe Price International Bond

  

Commingled Investments

   55

T Rowe Price Mid Cap Growth

  

Commingled Investments

   3,930

T Rowe Price Mid Cap Value

  

Commingled Investments

   169,742

T Rowe Price New Era

  

Commingled Investments

   13,856

T Rowe Price Small Cap Stock

  

Commingled Investments

   3,655

Tcw Galileo Conv Secs Cl I

  

Commingled Investments

   7,049

Third Ave Small Cap Value Fd

  

Commingled Investments

   13,197

Third Avenue Real Estate Value

  

Commingled Investments

   65,181

Third Avenue Value Fd

  

Commingled Investments

   32,928

Thompson Plumb Growth Fund

  

Commingled Investments

   29,703

Thornberg Mtg Asset Corp

  

Commingled Investments

   146

Timothy Small Cap Value Cl C

  

Commingled Investments

   8,000

Tocqueville Gold Fund

  

Commingled Investments

   16,685

Transamerica Premier Balanced

  

Commingled Investments

   309

Tweedy Browne Global Value Fund

  

Commingled Investments

   142,385

Ultra Bear Pro Fund Investors Shares

  

Commingled Investments

   13,142

US Global Region East European

  

Commingled Investments

   12,056

US Small Cap Index Futures Fd

  

Commingled Investments

   57,508,895

Value Line Leveraged Growth Income

  

Commingled Investments

   43,183

Value Line Small Cap Growth

  

Commingled Investments

   36,661

Vanguard Bond Index Total Market

  

Commingled Investments

   62,970

Vanguard Explorer Income

  

Commingled Investments

   13,797

Vanguard Global Equity

  

Commingled Investments

   22,546

Vanguard Gnma Fixed Income Securities

  

Commingled Investments

   22,678

Vanguard High Yield Bond Fixed Income

  

Commingled Investments

   3,896

 


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule of Assets (Held at End of Year) at December 31, 2004

(Schedule H, Part IV, Line 4i on Form 5500)

  

Exhibit I

Page 30 of 30

 

Vanguard High Yield Tax Exempt

  

Commingled Investments

     3,008

Vanguard Index Trust S&P 500 Port

  

Commingled Investments

     231,929

Vanguard Index Trust Small Cap Growth

  

Commingled Investments

     28,513

Vanguard Inflation Protected Secs

  

Commingled Investments

     33,867

Vanguard Intl Equity Index Europe Port

  

Commingled Investments

     3,414

Vanguard Intl Equity Index Pacific Port Fund

  

Commingled Investments

     2,993

Vanguard Mid Cap Index

  

Commingled Investments

     61,281

Vanguard Muni Bond Intermediate Tm Port

  

Commingled Investments

     3,970

Vanguard Reit Index Fund

  

Commingled Investments

     54,889

Vanguard Short Term Corp Fixed Inc Secs

  

Commingled Investments

     18,284

Vanguard Specialized Energy Port

  

Commingled Investments

     107,402

Vanguard Specialized Utilities Port

  

Commingled Investments

     3,326

Vanguard Strategic Equity

  

Commingled Investments

     16,018

Vanguard Total Intl Stock Index Fund

  

Commingled Investments

     10,744

Vanguard Total Stock Market

  

Commingled Investments

     40,378

Vanguard Us Growth Portfolio

  

Commingled Investments

     2,033

Vanguard Us Value

  

Commingled Investments

     11,615

Vanguard/Wellesley Income

  

Commingled Investments

     11,465

Vanguard/Wellington Income

  

Commingled Investments

     88,758

Vanguard/Windsor Ii Portfolio

  

Commingled Investments

     70,376

Vice Fund

  

Commingled Investments

     11,213

Wasatch Aggressive Equity

  

Commingled Investments

     14,720

Wasatch Growth

  

Commingled Investments

     16,240

Wasatch Heritage Growth Fund

  

Commingled Investments

     7,018

Wasatch Microcap Value

  

Commingled Investments

     44,667

Weitz Partners Value

  

Commingled Investments

     5,671

Weitz Value

  

Commingled Investments

     126,955

Wells Fargo C&B Mid Cap Value Fd

  

Commingled Investments

     6,520

White Oak Growth Stock

  

Commingled Investments

     1,054

William Blair Int’L Growth Fund

  

Commingled Investments

     7,239
         

Commingled Investments

        $ 293,316,377
         

*  Participant Loans

  

Interest rates range from 5.00% to 10.00%

   $ 28,645,973
         

*  Collateral Held on Loaned Securities

        $ 179,421,136
         

Total Investments

        $ 1,593,980,423
         

 

* Party-in-interest

 


Table of Contents

 

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 28, 2005

      By:   /s/    JOHN J. GREISCH        
               

John J. Greisch

Corporate Vice President and

Chief Financial Officer