Form 11-K
Table of Contents

 

 

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

WASHINGTON, D.C. 20549

 

 

FORM 11-K

FOR ANNUAL REPORTS OF EMPLOYEE STOCK

REPURCHASE SAVINGS AND SIMILAR PLANS

PURSUANT TO SECTION 15(d) OF THE

SECURITIES EXCHANGE ACT OF 1934

 

x ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

For the fiscal year ended December 31, 2007.

 

¨ TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

For the transition period from                      to                     

Commission File Number 1-13699

RAYTHEON SAVINGS AND INVESTMENT PLAN

(Full title of the plan)

RAYTHEON COMPANY

(Name of issuer of the securities held pursuant to the plan)

870 WINTER STREET, WALTHAM, MASSACHUSETTS 02451

(Address of issuer’s principal executive offices)

 

 

 


Table of Contents

TABLE OF CONTENTS

 

     Page(s)

Report of Independent Registered Public Accounting Firm

   2

Financial Statements

  

Statements of Net Assets Available for Benefits

   3

Statement of Changes in Net Assets Available for Benefits

   4

Notes to Financial Statements

   5-17

Supplemental Schedule*

  

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

   18-50

Signatures

   51

Exhibit Index

   52

 

* Other supplemental schedules required by Section 2520.103-10 of the Department of Labor’s Rules and Regulations and Disclosure under the Employee Retirement Income and Security Act of 1974 have been omitted because they are not applicable.


Table of Contents

Raytheon Savings and

Investment Plan

Financial Statements and Supplemental Schedule

To Accompany 2007 Form 5500

Annual Report of Employee Benefit Plan

Under ERISA of 1974

December 31, 2007 and 2006


Table of Contents

Raytheon Savings and Investment Plan

Table of Contents to Financial Statements and Supplemental Schedule

December 31, 2007

 

     Page(s)

Report of Independent Registered Public Accounting Firm

   2

Financial Statements

  

Statements of Net Assets Available for Benefits

   3

Statement of Changes in Net Assets Available for Benefits

   4

Notes to Financial Statements

   5–17

Supplemental Schedule*

  

Schedule H, Line 4i - Schedule of Assets (Held at End of Year)

   18–50

 

   

Other supplemental schedules required by Section 2520.103-10 of the Department of Labor’s Rules and Regulations and Disclosure under the Employee Retirement Income Security Act of 1974 have been omitted because they are not applicable.

 

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Table of Contents

Report of Independent Registered Public Accounting Firm

To the Participants and Administrator of

The Raytheon Savings and Investment Plan

In our opinion, the accompanying statements of net assets available for benefits and the related statement of changes in net assets available for benefits present fairly, in all material respects, the net assets available for benefits of the Raytheon Savings and Investment Plan (the “Plan”) at December 31, 2007 and December 31, 2006, and the changes in net assets available for benefits for the year ended December 31, 2007 in conformity with accounting principles generally accepted in the United States of America. 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

Boston, Massachusetts

June 26, 2008

 

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Table of Contents

Raytheon Savings and Investment Plan

Statements of Net Assets Available for Benefits

December 31, 2007 and 2006

 

 

     2007     2006

Assets

    

Investments

    

At fair value (Notes 2 and 4)

    

Investment contracts

   $ 1,884,927,550     $ 1,923,023,816

Registered investment companies

     5,998,492,694       5,424,491,652

Common collective trusts

     811,426,221       821,036,498

Raytheon Company common stock

     1,895,116,460       2,001,686,438

Common stock

     —         73,685,978

Other investments

     455,510,421       419,746,216

Participant loans

     208,034,801       230,513,292
              

Total investments

     11,253,508,147       10,894,183,890
              

Interest bearing cash and cash equivalents

     49,353,704       52,944,590
              

Receivables

    

Receivable for investments sold on a delayed delivery basis (Note 7)

     68,968,205       24,067,293

Employer contributions

     36,783       464,742

Accrued investment income and other receivables

     10,341,397       11,986,831
              

Total receivables

     79,346,385       36,518,866
              

Total assets

     11,382,208,236       10,983,647,346

Liabilities

    

Payable for investments purchased on a delayed delivery basis (Note 7)

     41,447,846       —  

Payables for securities purchased

     2,629,280       2,644,828

Accrued expenses

     117,419       414,350

Other payables

     4,126,893       4,069,188
              

Total liabilities

     48,321,438       7,128,366
              

Net assets available for benefits at fair value

     11,333,886,798       10,976,518,980

Adjustment from fair value to contract value for interest in fully benefit-responsive investment contracts

     (23,559,372 )     7,312,707
              

Net assets available for benefits

   $ 11,310,327,426     $ 10,983,831,687
              

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

 

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Table of Contents

Raytheon Savings and Investment Plan

Statement of Changes in Net Assets Available for Benefits

Year Ended December 31, 2007

 

Additions to net assets attributable to

  

Net appreciation of investments (Notes 2 and 3)

   $ 259,502,756

Interest and dividends (Notes 2 and 4)

     669,612,475
      
     929,115,231
      

Contributions and deferrals

  

Employee deferrals

     589,465,706

Employer contributions

     220,062,111
      
     809,527,817
      

Transfers in from affiliated benefit plan (Note 1)

     7,190,910
      

Total additions

     1,745,833,958
      

Deductions from net assets attributable to

  

Distributions to participants

     1,418,796,937

Administrative expenses

     541,282
      

Total deductions

     1,419,338,219
      

Increase in net assets

     326,495,739

Net assets, beginning of year

     10,983,831,687
      

Net assets, end of year

   $ 11,310,327,426
      

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

 

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Table of Contents

Raytheon Savings and Investment Plan

Notes to Financial Statements

December 31, 2007 and 2006

 

1. Description of Plan

General

The following description of the Raytheon Savings and Investment Plan (the “Plan”) provides only general information. Participants should refer to the Plan document for a complete description of the Plan’s provisions. The Plan is a defined contribution plan covering the majority of employees of Raytheon Company (the “Company” or the “Plan Sponsor”). Most employees are immediately eligible to enroll in the Plan on the first day of service. The purpose of the Plan is to provide participants with a tax-effective means of meeting both short-term and long-term investment objectives. From January 1, 2000 until December 31, 2001, the entire Plan was an employee stock ownership plan (ESOP) that included a qualified cash or deferred arrangement under the Internal Revenue Code (the “Code”). Effective January 1, 2002, the portion of the Plan that is invested in Raytheon Company stock is an ESOP that includes a cash or deferred arrangement, and the remaining portion of the Plan is a profit-sharing plan that includes a cash or deferred arrangement. The ESOP is intended to be an employee stock ownership arrangement in compliance with all of the related requirements for a qualified stock bonus plan as defined in the Code. The Plan is subject to the provisions of the Employee Retirement Income Security Act of 1974 (ERISA).

The Plan’s investments are principally held in the Raytheon Savings and Investment Plan Trust (the “Trust”).

In 2006, the Plan Sponsor acquired Virtual Technology Corporation. In May, 2007 the net assets of the Virtual Technology Corporation 401(k) Plan, amounting to $7,190,910, were merged into the Plan.

Contributions and Deferrals

Eligible employees may contribute to the Plan up to 50% of their compensation, as defined in the Plan document. The Code limits the compensation the Plan may take into account to $225,000 for the 2007 plan year. Employee contributions, including rollovers, are invested based on participant elections. For 2007, the annual employee pre-tax elective deferral contributions for a participant cannot exceed $15,500, except for catch-up contributions. Participants also may make after-tax contributions, but total employee (pre-tax and after-tax) contributions and employer contributions may not exceed $45,000 for the 2007 plan year, except for catch-up contributions. A participant who is eligible to make elective pre-tax contributions and is at least age 50 by the end of 2007 may make pre-tax catch-up contributions up to $5,000.

For most employees, the Company matches 100% of the first 4% of compensation that a participant contributes to the Plan each pay period. Matching Company contributions made before January 1, 2005, were invested in the Raytheon Common Stock Fund and were required to be held in that fund until the beginning of the fifth plan year following the plan year for which the contribution was made or January 1 of the year the employee turns age 55, if earlier. For most participants, matching Company contributions made after December 31, 2004, are made in cash and are invested based on the investment allocation for employee contributions.

Effective January 1, 2007, eligible employees hired or rehired on or after January 1, 2007 participate in the Retirement Income Savings Program (“RISP”) (subject to any applicable collective bargaining agreements), in addition to having the right to participate in the other features of the Plan. Under RISP, the Company contributes a percentage of each RISP-eligible participant’s compensation to the participant’s RISP account in the Plan. The percentage contribution varies according to a schedule based on the participant’s age at the most recent date of hire and years of service since the most recent date of hire.

Before January 1, 2005, the Company also made an ESOP contribution equal to one-half of one percent of the participant’s compensation up to the applicable IRS limitation. The Company ceased to make that contribution for most participants effective December 31, 2004. The portion of the Plan consisting of ESOP contributions and earnings provided for investment primarily in the Raytheon Common Stock Fund; however, the Plan permitted limited diversification among other investment options, after a participant attained age 55 and completed 10 years of plan participation (including participation in the prior ESOP plans).

 

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Table of Contents

Raytheon Savings and Investment Plan

Notes to Financial Statements

December 31, 2007 and 2006

 

Effective July 1, 2006, the Plan eliminated the restrictions described above on participants’ moving investments out of the Raytheon Common Stock Fund.

Participants may invest contributions in increments of 1% in any combination of investment alternatives available, subject to percentage limitations applicable to some funds. The investment objectives range from investments with an emphasis on preservation of capital to equity investments with an emphasis on capital gains. The underlying investments include cash and equivalents, investment contracts, registered investment companies, common collective trusts, common stock, Raytheon Company common stock, bonds and other investments.

Participant Accounts

Each participant’s account is credited with the participant’s contributions, the Company’s contributions and an allocation of Plan earnings. Plan earnings are allocated based on account balances by investment option. Expenses payable by the Plan are charged to participant accounts.

Participants are not permitted to make a direct exchange from the Fixed Income Fund to the Fidelity Institutional Money Market Fund because they are competing funds. All money has to be exchanged to a noncompeting fund for at least 90 days before being exchanged into the Fidelity Institutional Money Market Fund.

Vesting

With the exception of RISP participants and certain union groups, all employee and most employer contributions including ESOP contributions and earnings thereon are immediately 100% vested for each participant who performs an hour of service on or after January 1, 1999. Most RISP participants who did not perform an hour of service before January 1, 2007, become 100% vested in the employer RISP contributions after three years of service. Forfeitures of the nonvested portions of terminated participants’ accounts are available to reduce Company contributions. At December 31, 2007 and 2006, unallocated plan forfeitures were $1,484,727 and $996,368, respectively. During 2007, the total amount of forfeitures created was $352,412.

Distributions to Participants

A participant may make certain in-service withdrawals, including all or a portion of participant after-tax contributions and related earnings at any time and all or a portion of participant pre-tax contributions, employer contributions and related earnings upon attainment of age 59  1/ 2. For reasons of financial hardship, a participant may withdraw all or a portion of participant pre-tax contributions and related earnings subject to a reduction in the maximum participant pre-tax contribution rate for the next six months. On termination of employment, a participant will receive a lump-sum distribution unless the vested account is valued in excess of $1,000, and the participant elects to defer distribution. Otherwise, a terminated participant may defer the distribution until April 1 of the year following the year in which the participant reaches age 70 1/2 .

Participants who have investments in the Raytheon Common Stock Fund may elect to reinvest dividends within the Plan or receive dividends in cash. Any dividends received in cash by participants will be subject to taxes in the year of receipt. In 2007, the Company’s Board of Directors declared dividends of $1.02 per share. Of the $33,957,321 in dividends paid to the Plan, approximately $1,185,195 was received in cash by participants who elected the cash payment option.

Loans to Participants

A participant may borrow a portion of the balance in the participant’s account, other than the RISP account, subject to certain restrictions. The maximum amount of a loan is the lesser of one-half of the participant’s account balance or $50,000. The minimum loan is $500. Loans are secured by the balance in the participant’s account and bear interest equal to the prime rate published in The Wall Street Journal on the first business day of the calendar quarter in which the loan is made. Loans must be repaid over a period of up to five years by means of payroll deductions, except that if the loan is used to acquire a dwelling which is to be used as a

 

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Table of Contents

Raytheon Savings and Investment Plan

Notes to Financial Statements

December 31, 2007 and 2006

 

principal residence of the participant, the repayment period may extend to up to 15 years. Loan payments and interest payments are credited to the borrower’s account in the investment fund or funds according to the participant’s current investment election. Loans are valued at principal outstanding. As of December 31, 2007 and December 31, 2006, the interest rates on the outstanding loans ranged from 4.00% to 10.25% and 4.00% to 10.33%, respectively.

Administrative Expenses

Substantially all expenses of administering the Plan, such as legal and other administration fees, are charged to participant accounts, usually allocated evenly among all accounts based on the number of participants. Administrative expenses not paid by the Plan are paid by the Company.

 

2. Summary of Significant Accounting Policies

The accompanying financial statements are prepared on the accrual basis of accounting.

Plan investments are stated at fair value including the Plan’s benefit-responsive investment contracts.

Investments in registered investment companies and common collective trusts are valued at the closing net asset value reported on the last business day of the year. Investments in securities (common stocks) traded on a national securities exchange are valued at the last reported sales price on the last business day of the year. Investments in fixed income securities (U.S. government, domestic bonds) are valued by a pricing service based upon market transactions at fair value as determined in good faith by the trustee of the trust. Future contracts are valued at the last settlement price at the end of each day on the exchange upon which they are traded. Cash equivalents are short-term money market instruments and are valued at cost, which approximates fair value. Investments denominated in foreign currencies are translated into U.S. dollars using the last reported exchange rate.

As described in Financial Accounting Standards Board Staff Position, FSP AAG INV-1 and SOP 94-4-1, Reporting of Fully Benefit-Responsive Investment Contracts Held by Certain Investment Companies Subject to the AICPA Investment Company Guide and Defined-Contribution Health and Welfare and Pension Plans (the “FSP”), investment contracts held by a defined-contribution plan are required to be reported at fair value. However, contract value is the relevant measurement attribute for that portion of the net assets available for benefits of a defined-contribution plan attributable to fully benefit-responsive investment contracts because contract value is the amount participants would receive if they were to initiate permitted transactions under the terms of the Plan. The Plan invests in investment contracts through a stable value fund, the Raytheon Fixed Income Fund (the “Fund”), a fund specifically managed for the Plan. As required by the FSP, the statements of net assets available for benefits presents the fair value of the fully benefit responsive investment contracts in the Fund and the adjustment from fair value to contract value relating to the investment contracts. The statement of changes in net assets available for benefits is prepared on a contract value basis.

Individual assets of the synthetic investment contract are valued at representative quoted market prices. The fair value of the wrap contract for the synthetic GIC is determined using a discounted cash flow model which considers recent rebids as determined by recognized dealers, discount rate and the duration of the underlying portfolio.

Security transactions are recorded on the trade date. Payables for outstanding purchases represent trades which have occurred but have not yet settled and are recorded on the statements of net assets available for benefits.

The Plan presents in the statement of changes in net assets available for benefits the net appreciation (depreciation) in the fair value of its investments, excluding fully benefit-responsive investment contracts which consists of the realized gains or losses and the unrealized appreciation (depreciation) on those investments.

 

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Raytheon Savings and Investment Plan

Notes to Financial Statements

December 31, 2007 and 2006

 

Dividend income is recorded on the ex-dividend date. Income from other investments is recorded as earned on an accrual basis.

Distributions are recorded when paid.

The preparation of financial statements in conformity with generally accepted accounting principles, requires the plan administrator to make estimates and assumptions that affect the reported amounts of net assets and liabilities and changes therein, and disclosure of contingent assets and liabilities. Actual results could differ from the estimates included in the financial statements.

The Plan provides for various investment options in any combination of stocks, mutual funds, common collective trusts, investment contracts and other investment securities. Investment securities are exposed to various risks, such as interest rate, market and credit risk. 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 would materially affect participants’ account balances and the amounts reported in the statement of net assets available for benefits and the statements of changes in net assets available for benefits. Other investments consist of the Plan’s interest in the Raytheon Company Combined DB/DC Master Trust, which primarily consists of common stock. Please refer to the Raytheon Company Defined Benefit Plan financials for further details.

The Plan invests a portion of its assets in securities with contractual cash flows such as asset backed securities, collateralized mortgage obligations and commercial mortgage backed securities. The value, liquidity and related income of these securities are sensitive to changes in economic conditions, including real estate value, delinquencies and/or defaults, and may be adversely affected by shifts in the market’s perception of the issuer and changes in interest rates.

Certain reclassifications have been made to the presentation of prior year financial statements to conform to the current year presentation.

The Plan adopted Financial Accounting Standards Board (“FASB”) Interpretation No. 48, Accounting for Uncertainty in Income Taxes, an interpretation of FASB Statement No. 109 (“FIN 48”), as required, on January 1, 2007. FIN 48 requires the Plan Sponsor to determine whether a tax position of the Plan is more likely than not to be sustained upon examination by the applicable taxing authority, including resolution of any related appeals or litigation processes, based on the technical merits of the position. The tax benefit to be recognized is measured as the largest amount of benefit that is greater than fifty percent likely of being realized upon ultimate settlement which could result in the Plan recording a tax liability that would reduce net assets. FIN 48 must be applied to all existing tax positions upon initial adoption and the cumulative effect, if any, is to be reported as an adjustment to net assets as of January 1, 2007.

Based on its analysis, the Plan Sponsor has determined that the adoption of FIN 48 did not have a material impact to the Plan’s financial statements upon adoption.

In September 2006, the FASB issued Statements of Financial Accounting Standards No. 157, Fair Value Measurements (“FAS 157”). FAS 157 defines fair value, sets out a framework for measuring fair value and requires additional disclosures about fair value measurements. FAS 157 applies to fair value measurements already required or permitted by existing standards. FAS 157 is effective for financial statements issued for fiscal years beginning after November 15, 2007. Management is currently evaluating what impact the adoption of FAS 157 will have on the Plan’s financial statements.

In March 2008, the FASB issued Statement of Financial Accounting Standards No. 161 (FAS 161) Disclosures about Derivative Instruments and Hedging Activities - an amendment of FASB Statement No. 133 (“FAS 133”), which expands the disclosure requirements in FAS 133 about an entity’s derivative instruments and hedging activities. FAS 161 is effective for fiscal years and interim periods beginning after November 15, 2008. Management is currently evaluating the impact the adoption of these accounting pronouncements on the Plan’s financial statements and related disclosures.

 

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Table of Contents

Raytheon Savings and Investment Plan

Notes to Financial Statements

December 31, 2007 and 2006

 

3. Investments

The following presents investments that represent five percent or more of the Plan’s net assets:

 

     2007    2006

Raytheon Stock Fund

   $ 1,912,531,979    $ 2,017,993,345

Fidelity Equity Income Fund

     867,019,875      985,956,134

S&P 500 Index Fund

     757,772,014      779,202,459

Fidelity Balanced

     621,828,737      599,633,383

Fidelity Institutional Money Market

     587,021,227      N/A

State Street Bank and Trust GIC*

     N/A      584,503,401

 

* Presented at contract value

During the year ended December 31, 2007 the Plan’s investments (including gains and losses on investments bought and sold, as well as held during the year) appreciated in value by $259,502,756 as follows:

 

Registered investment companies

   $ (87,892,458 )

Common collective trusts

     48,714,787  

Raytheon Company common stock

     269,277,907  

Other investments

     29,402,520  
        
   $ 259,502,756  
        

 

4. Investment Contracts

The Plan invests in benefit-responsive synthetic guaranteed investment contracts (Synthetic “GICs”) with financial institutions. Income from Synthetic GICs is reported net of administrative expenses. The GIC issuer is contractually obligated to repay the principal and a specified interest rate that is guaranteed by the Plan. Participants may ordinarily direct the withdrawal or transfer of all or a portion of their investment at contract value with limited restrictions related to the transfer of funds into a competing fund investment option. The Plan considers such factors as the benefit responsiveness of the investment contracts, the ability of the parties to the contracts to perform in accordance with the terms of the contracts and the likelihood of default by an issuer of an investment security.

Synthetic GICs represent individual assets, usually a portfolio of high quality fixed income securities placed in a trust, with ownership by the Plan. The Plan purchases a third party issued benefit-responsive wrapper contract that guarantees that participant transactions are executed at contract value. Individual assets of the synthetic GICs are valued based on the policy in Note 2.

 

   

Wrap contracts accrue interest using a formula called the “crediting rate.” Wrap contracts use the crediting rate formula to convert market value changes in the covered assets into income distributions in order to minimize the difference between the market and contract value of the covered assets over time. Using the crediting rate formula, an estimated future market value is calculated by compounding the Fund’s current market value at the Fund’s current yield to maturity for a period equal to the Fund’s duration. The crediting rate is the discount rate that equates estimated future market value with the Fund’s current contract value. The crediting rate is most impacted by the change in the annual effective yield to maturity of the underlying securities, but is also affected by the differential between the contract value and the market value of the covered investments. The difference is amortized over the duration of the investments. Depending on the change in duration from reset period to reset period, the magnitude of the impact to the crediting rate of the contract “contract to market” difference is heightened or

 

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Raytheon Savings and Investment Plan

Notes to Financial Statements

December 31, 2007 and 2006

 

 

lessened. Crediting rates are reset quarterly. The wrap contracts provide a guarantee that the crediting rate will not fall below 0%. Events disqualifying an underlying investment from being wrapped include but are not limited to bankruptcy of the security issuer or the default or restricted liquidity of the security issuer.

 

   

If the Fund experiences significant redemptions when the market value is below the contract value, the Fund’s yield may be reduced significantly, to a level that is not competitive with other investment options. This may result in additional redemptions, which would tend to lower the crediting rate further. If redemptions continued, the Fund’s yield could be reduced to zero. If redemptions continued thereafter, the Fund might have insufficient assets to meet redemption requests, at which point the Fund would require payments from the wrap issuer to pay further shareholder redemptions.

 

   

The crediting rate, and hence the Fund’s return, may be affected by many factors, including purchases and redemptions by participants. The precise impact on the Fund depends on whether the market value of the covered assets is higher or lower than the contract value of those assets. If the market value of the covered assets is higher than their contract value, the crediting rate will ordinarily be higher than the yield of the covered assets. Under these circumstances, cash from new investors will tend to lower the crediting rate and the Fund’s return, and redemptions by existing participants will tend to increase the crediting rate and the Fund’s return.

 

   

The Fund and the wrap contracts purchased by the Fund are designed to pay all participant-initiated transactions at contract value. Participant-initiated transactions are those transactions allowed by the Plan (typically this would include withdrawals for benefits, loans, or transfers to non-competing funds within the Plan). However, the wrap contracts limit the ability of the Fund to transact at contract value upon the occurrence of certain events. At this time, management believes the occurrence of any of these events is not probable. These events include:

 

  1. The Plan’s failure to qualify under Section 401(a) or Section 401(k) of the Internal Revenue Code.

 

  2. The establishment of a defined contribution plan that competes with the Plan for employee contributions.

 

  3. Any substantive modification of the Plan or the administration of the Plan that is not consented to by the wrap issuer.

 

  4. Complete or partial termination of the Plan.

 

  5. Any change in law, regulation or administrative ruling applicable to the Plan that could have a material adverse effect on the Fund’s cashflow.

 

  6. Merger or consolidation of the Plan with another plan, the transfer of Plan assets to another Plan, or the sale, spin-off or merger of a subsidiary or division of the plan Sponsor.

 

  7. Any communication given to participants by the Plan Sponsor or any other plan fiduciary that is designed to induce or influence participants not to invest in the Fund or to transfer assets out of the Fund.

 

  8. Exclusion of a group of previously eligible employees from eligibility in the Plan.

 

  9. Any early retirement program, group termination, group layoff, facility closing, or similar program.

 

  10. Any transfer of assets from the Fund directly to a competing option.

 

  11. Bankruptcy of the Plan Sponsor or other Plan Sponsor events which cause a significant withdrawal from the Plan.

 

   

A wrap issuer may terminate a wrap contract at any time. In the event that the market value of the Fund’s covered assets is below their contract value at the time of such termination, Fidelity Management Trust Company (“FMTC”), the trustee, may elect to keep the wrap contract in place until such time as the market value of the Fund’s covered assets is equal to their contract value.

 

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Table of Contents

Raytheon Savings and Investment Plan

Notes to Financial Statements

December 31, 2007 and 2006

 

 

A wrap issuer may also terminate a wrap contract if FMTC’s investment management authority over the Fund is limited or terminated as well as if all of the terms of the wrap contract fail to be met. In the event that the market value of the Fund’s covered assets is below their contract value at the time of such termination, the terminating wrap provider would not be required to make a payment to the Fund.

 

   

Synthetic investment contracts generally impose conditions on both the Plan and the issuer. If an event of default occurs and is not cured, the non-defaulting party may terminate the contract. The following may cause the Plan to be in default: a breach of material obligation under the contract; a material misrepresentation; or a material amendment to the Plan agreement. The issuer may be in default if it breaches a material obligation under the investment contract; makes a material misrepresentation; has a decline in its long term credit rating below a threshold set forth in the contract; is acquired or reorganized and the successor issuer does not satisfy the investment or credit guidelines applicable to issuers. If, in the event of default of an issuer, the Plan were unable to obtain a replacement investment contract, withdrawing plans may experience losses if the value of the Plan’s assets no longer covered by the contract is below contract value. The Plan may seek to add additional issuers over time to diversify the Plan’s exposure to such risk, but there is no assurance Plan may be able to do so. The combination of the default of an issuer and an inability to obtain a replacement agreement could render the Plan unable to achieve its objective of maintaining a stable contract value. The terms of an investment contract generally provide for settlement of payments only upon termination of the contract or total liquidation of the covered investments. Generally, payments will be made pro-rata, based on the percentage of investments covered by each issuer. Contract termination occurs whenever the contract value or market value of the covered investments reaches zero or upon certain events of default. If the contract terminates due to issuer default (other than a default occurring because of a decline in its rating), the issuer will generally be required to pay to the Plan the excess, if any, of contract value over market value on the date of termination. If a synthetic GIC terminates due to a decline in the ratings of the issuer, the issuer may be required to pay to the Plan the cost of acquiring a replacement contract (i.e. replacement cost) within the meaning of the contract. If the contract terminates when the market value equals zero, the issuer will pay the excess of contract value over market value to the Plan to the extent necessary for the Plan to satisfy outstanding contract value withdrawal requests. Contract termination also may occur by either party upon election and notice.

The crediting interest rates are adjusted quarterly to reflect the experienced and anticipated yields to be earned on such investments, based on their book value. The average yield and crediting interest rates were as follows:

 

     Average
Yield
    Crediting
Interest
Rate
 

December 31, 2007

    

JP Morgan Chase (ARAYTHEON-2-07)

   4.87 %   5.05 %

State Street Bank and Trust (107046)

   4.87 %   5.06 %

AIG Financial Products Corp (969481)

   4.87 %   5.05 %

RaboBank (RTN040701)

   4.87 %   5.05 %

December 31, 2006

    

Chase Manhattan Bank (429666)

   4.91 %   5.01 %

State Street Bank and Trust (99054)

   4.91 %   5.02 %

AIG Financial Products Corp (541687)

   4.91 %   5.01 %

UBS Warburg (3088)

   4.91 %   5.00 %

 

5. Future Contracts

A future contract is a contractual agreement to make or take delivery of a standardized quantity of a specified grade or type of commodity or financial instrument at a specified future date in accordance with terms specified by a regulated future exchange.

 

11


Table of Contents

Raytheon Savings and Investment Plan

Notes to Financial Statements

December 31, 2007 and 2006

 

As described in Note 4, the synthetic GICs represent individual assets placed in a trust, with ownership by the Plan. As of December 31, 2007 and 2006, the synthetic GICs contained future contracts. The Plan uses fixed income future contracts to manage exposure to the market. Buying futures tends to increase the Plan’s exposure to the underlying instrument. Selling futures tends to decrease the Plan’s exposure to the underlying instrument held, or hedge the fair value of other fund investments. The Plan does not employ leverage in its use of futures, thus cash balances are maintained at a level at least equal to the contract value of the futures.

Future contracts are valued at the last settlement price at the end of each day on the exchange upon which they are traded. Upon entering into a future contract, the Plan is required to deposit either in cash or securities an amount equal to a certain percentage of the nominal value of the contract (“initial margin”). Pursuant to the future contract, the Plan agrees to receive from, or pay to, the broker an amount of cash equal to the daily fluctuation in the value of the future contract. Such receipts or payments are known as “variation margin” which are settled daily and are included in the realized gains (losses) on future contracts. In addition, the Plan pledges collateral, generally U.S. government bonds, for open fixed income future positions.

Future contracts involve, to varying degrees, credit and market risks. The Plan enters into future contracts on exchanges where the exchange acts as the counterparty to the transaction. Thus, credit risk on such transactions is limited to the failure of the exchange. The daily settlement on the future contracts serves to greatly reduce credit risk. Losses in value may arise from changes in the value of the underlying instrument or if there is an illiquid secondary market for the contracts. In addition, there is the risk that there may not be an exact correlation between a future contract and the underlying index or security.

A summary of the open fixed income futures as of December 31, 2007 and 2006 is presented below:

 

     Long Contracts    Short Contracts
     2007    2006    2007    2006
     Number of
Contracts
   Aggregate
Face Value
   Number of
Contracts
   Aggregate
Face Value
   Number of
Contracts
   Aggregate
Face Value
   Number of
Contracts
   Aggregate
Face Value

10 Yr SWAP Note Future Exp Mar 2008

               80    $ 8,837,500      

3 Month Euro Euribor Future Exp Mar 2008

   20    $ 6,966,446                  

3 Month Euro Euribor Future Exp Jun 2009

   9      3,152,436                  

3 Month Euro Euribor Future Exp Mar 2009

   13      4,551,855                  

3 Month Euro Euribor Future Exp Sep 2009

   13      4,553,518                  

30-day Fed Fund Future Exp Jan 2008

               186      74,281,942      

30-day Fed Fund Future Exp Feb 2008

               5      1,999,743      

30-day Fed Fund Future Exp Mar 2008

   5      2,001,514                  

5 Yr SWAP Note Future Exp Mar 2008

               39      4,215,656      

90-day Eurodollar Future Exp Dec 2007

         1,438    $ 341,704,750          79    $ 18,772,375

90-day Eurodollar Future Exp Dec 2008

   398      96,146,850                  

90-day Eurodollar Future Exp Dec 2009

   44      10,579,800                  

90-day Eurodollar Future Exp Jun 2008

   506      121,762,575                  

90-day Eurodollar Future Exp Jun 2009

   244      58,871,100          334      80,585,850      

90-day Eurodollar Future Exp Mar 2008

   112      26,814,200    734      174,526,850            

90-day Eurodollar Future Exp Mar 2009

   244      58,944,300          10      2,415,750      

90-day Eurodollar Future Exp Sep 2008

   1,120      270,228,000                  

90-day Eurodollar Future Exp Sep 2009

   244      58,773,500          171      41,189,625      

BOBL Eurodollar Future Exp Mar 2008

   22      3,465,608          115      18,148,573      

Euro-Bond Future Exp Mar 2008

   38      6,272,764                  

Euro-Schatz Future Exp Mar 2008

   280      42,310,850                  

US 10 Yr Treasury Note Future Exp Mar 2007

         321      34,497,469          120      12,896,250

US 10 Yr Treasury Note Future Exp Mar 2007

         39      7,922            

US 10 Yr Treasury Note Future Exp Mar 2008

   1,695      192,197,110                  

US 2 Yr Treasury Note Future Exp Mar 2008

               113      23,758,250      

US 20 Yr Treasury Note Future Exp Mar 2007

                     8      891,500

US 20 Yr Treasury Note Future Exp Mar 2007

                     132      14,709,750

US 20 Yr Treasury Note Future Exp Mar 2008

               181      21,063,875      

US 5 Yr Treasury Note Future Exp Mar 2007

         23      2,416,438          93      9,770,813

US 5 Yr Treasury Note Future Exp Mar 2008

               170      18,747,812      

US Treasury BD Future Exp Mar 2008

               275      32,003,126      
                                               
   5,007    $ 967,592,426    2,555    $ 553,153,429    1,679    $ 327,247,702    432    $ 57,040,688
                                               

 

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Table of Contents

Raytheon Savings and Investment Plan

Notes to Financial Statements

December 31, 2007 and 2006

 

6. Swaps and Swaptions

The Plan may invest in interest rate swap contracts and swaptions. A swaption is an option to enter into a swap contract at an exercise price. As described in Note 4, the synthetic GICs represent individual assets placed in a trust, with ownership by the Plan. As of December 31, 2007 and 2006, the synthetic GICs contained contracts and swaptions. The Plan uses interest rate swap contracts to manage its exposure to interest rates. Interest rate swap contracts entered into by the Plan typically represent the exchange by the Plan with a counterparty of a commitment to make variable rate and fixed rate payments with respect to a notional amount of principal. Such contracts may have a term of one to ten years, but typically require periodic interim settlement in cash, at which time both the value of the index or security and the specified interest rate are reset for the next settlement period. During the period that the swap contract is open, the contract is marked-to-market as the net amount due to or from the Plan in accordance with the terms of the contract based on the closing level of the relevant index or security and interest accrual through the valuation date. Changes in the value of the swap contract are recorded as unrealized gains or losses, while periodic cash settlements are recorded as realized gains or losses. Swaption contracts are marked-to market as the net amount due to or from the Plan in accordance with the terms of the contract based on the closing level of the relevant market rate of interest.

The Plan may also invest in credit default swaps. Credit default swap contracts entered into by the Plan typically represent the exchange by the Plan with a counterparty of a commitment to provide a level of credit protection for a commitment to receive interest at a fixed rate based on the potential risk of default of the relevant underlying issuer. Providing credit protection to a counterparty tends to increase a Plan’s exposure to the underlying instrument. Receiving credit protection from a counterparty tends to decrease a Plan’s exposure to the underlying instrument held by a Plan, or hedge the fair value of other Plan investments. Such contracts may have a term of one to ten years, but typically require periodic interim settlement in cash. During the period that the credit default swap contract is open, the contract is marked-to-market in accordance with the terms of the contract based on the current interest rate spreads and credit risk of the referenced obligation of the underlying issuer and interest accrual through valuation date. Changes in the value of the credit default swap are recorded as unrealized gains or losses, while periodic cash settlements are recorded as realized gains or losses.

Entering into a swap contract involves, to varying degrees, elements of credit, market and interest rate risk in excess of the amounts reported in the statement of net assets available for benefits. Notional principal amounts are used to express the extent of involvement in the transactions, but are not delivered under the contracts. Accordingly, credit risk is limited to any amounts receivable from the counterparty. To reduce credit risk from potential counterparty default, the Plan enters into swap contracts with counterparties whose creditworthiness has been approved by the trustee of the Trust. The Plan bears the market risk arising from any change in index or security values or interest rates.

At December 31, 2007, the Plan had the following swap contracts outstanding:

 

 

Counterparty

     Fixed Payer      Fixed Rate     Floating
Payer
   Floating
Rate
   Settlement
Period
   Effective
Date
   Maturity
Date
   Notional
Amount
   Unrealized
Gain/(Loss)
 
Interest Rate Swaps                          

Merrill Lynch

   Counterparty    4.00 %   Plan    3-Month LIBOR    Semi-annual    6/17/2009    6/17/2011    $ 36,300,000    $ (5,764 )

Barclays

   Counterparty    5.00 %   Plan    3-Month LIBOR    Semi-annual    6/18/2008    6/18/2018      51,100,000      346,173  

Citibank

   Counterparty    5.00 %   Plan    3-Month LIBOR    Semi-annual    6/18/2008    6/18/2028      300,000      (7,538 )

Deutsche Bank

   Counterparty    5.00 %   Plan    3-Month LIBOR    Semi-annual    6/18/2008    6/18/2038      10,500,000      (294,051 )

JP Morgan Chase

   Counterparty    5.00 %   Plan    3-Month LIBOR    Semi-annual    6/18/2008    6/18/2018      3,900,000      (64,569 )

Merrill Lynch

   Counterparty    5.00 %   Plan    3-Month LIBOR    Semi-annual    6/18/2008    6/18/2018      21,700,000      (300,463 )

Merrill Lynch

   Counterparty    5.00 %   Plan    3-Month LIBOR    Semi-annual    6/18/2008    6/18/2038      3,900,000      (112,456 )

Merrill Lynch

   Counterparty    5.00 %   Plan    3-Month LIBOR    Semi-annual    6/18/2008    6/18/2038      100,000      (2,827 )

Bank of Scotland

   Counterparty    5.00 %   Plan    3-Month LIBOR    Semi-annual    6/18/2008    6/18/2018      3,700,000      (5,599 )

Bank of America

   Counterparty    5.00 %   Plan    3-Month LIBOR    Semi-annual    12/21/2011    12/21/2016      46,100,000      (24,700 )

Goldman Sachs

   Counterparty    5.00 %   Plan    3-Month LIBOR    Semi-annual    12/21/2011    12/21/2016      1,800,000      (4,024 )

Morgan Stanley

   Counterparty    5.00 %   Plan    3-Month LIBOR    Semi-annual    12/21/2011    12/21/2016      8,900,000      (9,397 )

Morgan Stanley

   Counterparty    5.00 %   Plan    3-Month LIBOR    Semi-annual    6/18/2008    6/18/2010      57,000,000      (1,242,159 )

Barclays

   Plan    4.00 %   Counterparty    3-Month LIBOR    Semi-annual    6/18/2008    6/18/2010      60,400,000      61,575  

Deutsche Bank

   Plan    4.00 %   Counterparty    3-Month LIBOR    Semi-annual    6/18/2008    6/18/2009      53,900,000      90,482  

Deutsche Bank

   Plan    4.00 %   Counterparty    3-Month LIBOR    Semi-annual    6/18/2008    6/18/2013      54,100,000      140,844  

JP Morgan Chase

   Plan    4.00 %   Counterparty    3-Month LIBOR    Semi-annual    6/18/2008    6/18/2008      5,200,000      1,289  

 

13


Table of Contents

Raytheon Savings and Investment Plan

Notes to Financial Statements

December 31, 2007 and 2006

 

Counterparty

  Fixed Payer   Fixed Rate     Floating
Payer
  Floating Rate   Settlement
Period
  Effective
Date
  Maturity
Date
  Notional
Amount
  Unrealized
Gain/ (Loss)
 

Merrill Lynch

  Plan   4.00 %   Counterparty   3-Month LIBOR   Semi-annual   6/18/2008   6/18/2010     19,800,000     (12,302 )

Morgan Stanley

  Plan   4.00 %   Counterparty   3-Month LIBOR   Semi-annual   6/18/2008   6/18/2013     61,500,000     585,315  

Bank of Scotland

  Plan   4.00 %   Counterparty   3-Month LIBOR   Semi-annual   6/18/2008   6/18/2013     37,300,000     410,976  

Barclays

  Plan   5.00 %   Counterparty   3-Month LIBOR   Semi-annual   6/18/2008   6/18/2013     1,900,000     3,676  

Barclays

  Plan   5.00 %   Counterparty   3-Month LIBOR   Semi-annual   6/18/2008   6/18/2010     23,400,000     72,830  

Merrill Lynch

  Plan   5.00 %   Counterparty   3-Month LIBOR   Semi-annual   6/18/2008   6/18/2015     900,000     5,044  

Bank of Scotland

  Plan   5.00 %   Counterparty   3-Month LIBOR   Semi-annual   6/18/2008   6/18/2009     1,100,000     (433 )

UBS AG

  Plan   5.00 %   Counterparty   3-Month LIBOR   Semi-annual   6/18/2008   6/18/2009     107,400,000     (52,970 )

Citibank

  Counterparty   4.55 %   Plan   3-Month LIBOR   Semi-annual   10/3/2005   10/3/2010     1,600,000     28,260  

Deutsche Bank

  Plan   5.00 %   Counterparty   3-Month LIBOR   Semi-annual   11/7/2005   11/7/2010     1,800,000     52,950  

Bank of America

  Counterparty   5.63 %   Plan   3-Month LIBOR   Semi-annual   7/12/2006   7/12/2009     4,100,000     105,976  

Deutsche Bank

  Counterparty   5.64 %   Plan   3-Month LIBOR   Semi-annual   7/14/2006   7/14/2010     4,100,000     176,090  

Deutsche Bank

  Counterparty   5.16 %   Plan   3-Month LIBOR   Semi-annual   9/12/2006   9/12/2009     3,600,000     75,449  

Deutsche Bank

  Counterparty   5.23 %   Plan   3-Month LIBOR   Semi-annual   10/16/2006   10/16/2011     5,000,000     211,476  

Barclays

  Counterparty   5.03 %   Plan   3-Month LIBOR   Semi-annual   11/21/2006   11/21/2011     1,200,000     42,337  

Bank of America

  Counterparty   4.95 %   Plan   3-Month LIBOR   Semi-annual   12/12/2006   12/12/2011     7,600,000     242,032  

Deutsche Bank

  Counterparty   5.41 %   Plan   3-Month LIBOR   Semi-annual   4/30/2007   4/30/2027     900,000     49,702  

Citibank

  Counterparty   5.27 %   Plan   3-Month LIBOR   Semi-annual   8/6/2007   8/6/2012     13,200,000     627,440  

Barclays

  Counterparty   5.32 %   Plan   3-Month LIBOR   Semi-annual   8/28/2007   8/28/2017     8,000,000     417,164  

Deutsche Bank

  Counterparty   4.86 %   Plan   3-Month LIBOR   Semi-annual   10/19/2007   10/19/2012     6,200,000     184,219  

Deutsche Bank

  Counterparty   4.03 %   Plan   3-Month LIBOR   Semi-annual   12/11/2007   12/11/2009     9,900,000     32,214  

Barclays

  Counterparty   4.05 %   Plan   3-Month LIBOR   Semi-annual   12/11/2007   12/11/2009     3,400,000     12,071  

Lehman Brothers

  Counterparty   4.10 %   Plan   3-Month LIBOR   Semi-annual   12/12/2007   12/12/2009     7,700,000     36,717  

Deutsche Bank

  Counterparty   6.65 %   Plan   3-Month LIBOR   Semi-annual   12/23/2007   12/23/2015     1,450,000     (78,481 )

Deutsche Bank

  Counterparty   4.49 %   Plan   3-Month LIBOR   Semi-annual   8/29/2007   8/29/2010     37,100,000     (28,689 )

Deutsche Bank

  Plan   5.07 %   Counterparty   3-Month LIBOR   Semi-annual   4/30/2007   4/30/2009     7,000,000     (101,315 )

Citibank

  Plan   5.64 %   Counterparty   3-Month LIBOR   Semi-annual   7/5/2007   7/5/2017     4,300,000     (334,132 )

Deutsche Bank

  Plan   5.78 %   Counterparty   3-Month LIBOR   Semi-annual   7/9/2007   7/9/2017     8,100,000     (712,235 )

Deutsche Bank

  Plan   4.98 %   Counterparty   3-Month LIBOR   Semi-annual   8/28/2007   8/29/2010     5,570,000     (152,841 )

Citibank

  Plan   5.31 %   Counterparty   3-Month LIBOR   Semi-annual   10/15/2007   10/16/2017     17,500,000     (893,736 )
                           

Subtotal

                $ 831,520,000   $ (428,380 )

Total Return Swaps

                 

Bank of America

  Counterparty/Plan   —       Counterparty/Plan   Index   Monthly   8/1/2007   1/31/2008   $ 2,395,000   $ 37,709  

Citibank

  Counterparty/Plan   —       Counterparty/Plan   Index   Monthly   8/3/2007   1/31/2008     2,890,000     57,434  

Deutsche Bank

  Counterparty/Plan   —       Counterparty/Plan   Index   Monthly   8/6/2007   1/31/2008     2,905,000     57,733  
                           

Subtotal

                $ 8,190,000   $ 152,876  

Swaptions

                 

Deutsche Bank

  Plan   5.78 %   Counterparty   3-Month LIBOR   Semi-annual   8/11/2010   8/11/2020   $ 7,800,000   $ (92,898 )

Deutsche Bank

  Counterparty   5.78 %   Plan   3-Month LIBOR   Semi-annual   8/11/2010   8/11/2020     7,800,000     258,180  

Citibank

  Counterparty   3.75 %   Plan   3-Month LIBOR   Semi-annual   5/19/2009   5/15/2009     111,600,000     10,864  

Goldman Sachs

  Counterparty   4.50 %   Plan   3-Month LIBOR   Semi-annual   12/23/2008   12/23/2010     42,000,000     401,361  

Morgan Stanley

  Counterparty   4.50 %   Plan   3-Month LIBOR   Semi-annual   12/23/2008   12/23/2010     12,000,000     107,175  

Bank of Scotland

  Counterparty   5.00 %   Plan   3-Month LIBOR   Semi-annual   12/17/2008   12/17/2010     18,900,000     369,605  

Goldman Sachs

  Plan   4.77 %   Counterparty   3-Month LIBOR   Semi-annual   3/10/2008   3/10/2010     27,000,000     (120,658 )

Goldman Sachs

  Counterparty   5.04 %   Plan   3-Month LIBOR   Semi-annual   3/10/2008   3/10/2010     54,000,000     121,705  

Lehman Brothers

  Plan   5.30 %   Counterparty   3-Month LIBOR   Semi-annual   5/19/2009   5/19/2039     8,900,000     (181,451 )

Lehman Brothers

  Counterparty   5.30 %   Plan   3-Month LIBOR   Semi-annual   5/19/2009   5/19/2039     8,900,000     37,014  

Goldman Sachs

  Counterparty   5.10 %   Plan   3-Month LIBOR   Semi-annual   3/18/2009   3/18/2014     8,800,000     (19,649 )

Goldman Sachs

  Plan   5.00 %   Counterparty   3-Month LIBOR   Semi-annual   12/23/2008   12/23/2015     14,000,000     (260,857 )

Morgan Stanley

  Plan   5.00 %   Counterparty   3-Month LIBOR   Semi-annual   12/23/2008   12/23/2015     4,000,000     (66,931 )

Bank of Scotland

  Plan   5.20 %   Counterparty   3-Month LIBOR   Semi-annual   12/17/2008   12/17/2015     6,300,000     (223,605 )

Goldman Sachs

  Plan   4.75 %   Counterparty   3-Month LIBOR   Semi-annual   2/4/2008   2/4/2015     3,000,000     (7,668 )
                           

Subtotal

                $ 335,000,000   $ 332,187  
                           

Total

                $ 1,174,710,000   $ 56,683  
                           

Credit Default Swaps

 

               

Counterparty

  Fund
Receives/
Provides Credit

Protection
  In Exchange
for Premium
Payments of
(per annum)
    Issuer   Premium
Payment
Frequency
  Effective
Date
  Maturity
Date
  Notional
Amount
  Value  

Morgan Stanley

  Receive   1.40 %   CDX North American High Vol. 9   Semi-annual   9/21/2007   12/20/2012   $ 8,400,000   $ 218,553  

Goldman Sachs

  Receive   0.60 %   CDX North American 8   Semi-annual   3/21/2007   6/20/2017     2,200,000     55,595  

Morgan Stanley

  Receive   0.60 %   CDX North American 9   Semi-annual   9/21/2007   12/20/2012     10,100,000     75,658  

Bank of Scotland

  Receive   0.28 %   Glitnir Bank HF   Quarterly   4/18/2007   6/20/2012     1,300,000     86,332  

Lehman Brothers

  Receive   0.45 %   International Paper Company   Quarterly   3/24/2007   6/20/2012     900,000     1,335  

Lehman Brothers

  Receive   0.51 %   Meadwestvaco Company   Quarterly   3/24/2007   6/20/2012     900,000     5,172  

Lehman Brothers

  Receive   0.45 %   Weyerhaeuser Company   Quarterly   3/24/2007   6/20/2012     900,000     15,429  
                           

Subtotal

                $ 24,700,000   $ 458,074  
                           

Total

                $ 24,700,000   $ 458,074  
                           

 

14


Table of Contents

Raytheon Savings and Investment Plan

Notes to Financial Statements

December 31, 2007 and 2006

 

At December 31, 2006, the Plan had the following swap contracts outstanding:

 

Counterparty

     Fixed Payer      Fixed Rate     Floating
Payer
   Floating Rate    Settlement
Period
   Effective
Date
   Maturity
Date
   Notional
Amount
   Unrealized
Gain/(Loss)
 
Interest Rate Swaps                                           

Citibank

   Counterparty    4.550 %   Plan    3-Month LIBOR    Semi-annual    10/3/2005    10/4/2010    $ 1,600,000    $ (33,008 )

Deutsche Bank

   Counterparty    5.000 %   Plan    3-Month LIBOR    Semi-annual    11/7/2005    11/7/2010      1,800,000      (7,344 )

Bank of America

   Counterparty    5.63 %   Plan    3-Month LIBOR    Semi-annual    7/12/2006    7/13/2009      4,100,000      108,650  

Deutsche Bank

   Counterparty    5.64 %   Plan    3-Month LIBOR    Semi-annual    7/14/2006    7/14/2010      4,100,000      136,079  

Deutsche Bank

   Counterparty    5.16 %   Plan    3-Month LIBOR    Semi-annual    9/12/2006    9/12/2009      3,600,000      49,428  

Deutsche Bank

   Counterparty    5.231 %   Plan    3-Month LIBOR    Semi-annual    10/16/2006    10/16/2011      5,000,000      24,578  

Barclays

   Counterparty    5.025 %   Plan    3-Month LIBOR    Semi-annual    11/21/2006    11/21/2011      1,200,000      (4,620 )

Bank of America

   Counterparty    4.948 %   Plan    3-Month LIBOR    Semi-annual    12/12/2006    12/12/2011      7,600,000      (52,677 )

Citibank

   Counterparty    6.65 %   Plan    3-Month LIBOR    Semi-annual    12/23/2005    12/23/2015      1,450,000      (18,551 )

Merrill Lynch

   Counterparty    5.00 %   Plan    3-Month LIBOR    Semi-annual    6/20/2007    6/20/2017      600,000      8,093  

Bank of America

   Counterparty    5.00 %   Plan    3-Month LIBOR    Semi-annual    12/21/2011    12/21/2016      55,000,000      531,773  

Goldman Sachs

   Counterparty    5.00 %   Plan    3-Month LIBOR    Semi-annual    12/21/2011    12/21/2016      1,800,000      17,403  

Merrill Lynch

   Counterparty    5.00 %   Plan    3-Month LIBOR    Semi-annual    12/21/2011    12/21/2016      8,900,000      86,051  

Merrill Lynch

   Plan    5.00 %   Counterparty    3-Month LIBOR    Semi-annual    6/18/2008    6/18/2018      18,200,000      269,833  

Barclays

   Counterparty    5.00 %   Plan    3-Month LIBOR    Semi-annual    6/20/2007    6/20/2009      51,500,000      (74,124 )

Goldman Sachs

   Counterparty    5.00 %   Plan    3-Month LIBOR    Semi-annual    6/20/2007    6/20/2037      2,100,000      (93,916 )

Goldman Sachs

   Counterparty    5.00 %   Plan    3-Month LIBOR    Semi-annual    12/15/2015    12/15/2035      800,000      (27,544 )

Deutsche Bank

   Counterparty    5.00 %   Plan    3-Month LIBOR    Annual    12/19/2007    12/19/2008      55,200,000      3,119  

UBS AG

   Counterparty    5.00 %   Plan    3-Month LIBOR    Semi-annual    12/19/2007    12/19/2008      107,400,000      6,068  

PIMG

   Counterparty    5.00 %   Plan    3-Month LIBOR    Semi-annual    12/20/2006    12/20/2011      8,700,000      (38,106 )

Lehman Brothers

   Counterparty    5.00 %   Plan    3-Month LIBOR    Semi-annual    6/20/2007    6/20/2012      1,500,000      (4,585 )

Merrill Lynch

   Counterparty    5.00 %   Plan    3-Month LIBOR    Semi-annual    6/20/2007    2/20/2009      56,200,000      (51,120 )

Merrill Lynch

   Counterparty    5.00 %   Plan    3-Month LIBOR    Semi-annual    6/20/2007    6/20/2012      8,800,000      (26,898 )

UBS AG

   Counterparty    5.00 %   Plan    3-Month LIBOR    Semi-annual    6/20/2007    6/20/2012      11,600,000      (35,457 )
                                   

Subtotal

                       $ 418,750,000    $ 773,125  

Swaptions

                         

Deutsche Bank

   Counterparty    4.4 %   Plan    3-Month LIBOR    Semi-annual    12/17/2007    12/17/2017    $ 3,200,000    $ (13,483 )

Deutsche Bank

   Counterparty    5.4 %   Plan    3-Month LIBOR    Semi-annual    12/17/2007    12/17/2017      3,200,000      (44,682 )
                                   

Subtotal

                       $ 6,400,000    $ (58,165 )
                                   

Total

                       $ 425,150,000    $ 714,960  
                                   

 

7. Securities on a Delayed Delivery

The Plan may purchase securities on a delayed delivery (“TBA securities”) when issued, or forward commitment basis. Payment and delivery may take place one month or more after the date of the transaction. The price of the underlying securities and the date when the securities will be delivered and paid for are fixed at the time the transaction is negotiated. The underlying securities are valued at current market value with daily fluctuations in the market value recorded as unrealized gains or losses. Losses may arise due to changes in the market value of the underlying securities or if the counterparty does not perform under contract.

 

8. Plan Termination

Although it has not expressed any intention to do so, the Company reserves the right under the Plan at any time to discontinue its contributions and to terminate the Plan subject to the provisions of ERISA. Upon termination of the Plan, all participants become fully vested in their accounts. In the event of plan termination, after payment of all expenses and adjustment of accounts to reflect such expenses, fund losses or profits, and reallocations, each participant shall be entitled to receive all amounts then in his or her account.

 

9. Federal Income Tax Status

The Internal Revenue Service has determined and informed the Company by letter dated July 8, 2003 that the design of the Plan meets the requirements for qualification under Code section 401(a), on which the tax exemption of the Trust under Code section 501(a) is based. The Plan has been amended since receiving the determination letter. The plan administrator and the Company’s benefits counsel believe that the current design and operation of the Plan are consistent with continued qualification of the Plan and exemption of the Trust.

 

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Raytheon Savings and Investment Plan

Notes to Financial Statements

December 31, 2007 and 2006

 

10. Related Party Transactions

The trustee of the Plan is Fidelity Management Trust Company (the “Trustee”). Certain plan investments are shares of registered investment companies managed by affiliates of the Trustee and therefore, these transactions in addition to participant loans qualify as party-in-interest transactions. The Plan also pays a fee to the trustee and the trustee also is a security lending agent. These transactions qualify as party-in-interest transactions as well. In addition, Mellon Trust of New England. N.A. (the “Custodian”) serves as custodian for certain assets of the Plan. Certain plan investments are issued by this Custodian and therefore, these transactions qualify as party-in-interest transactions.

In accordance with the provisions of the Plan, the Trustee acts as the Plan’s agent for purchases and sales of shares of Raytheon Company common stock. Purchases amounted to $299,950,469 and sales amounted to $644,629,604 for the year ended December 31, 2007. Dividend income from shares of Raytheon Company common stock amounted to $33,957,213 for the year ended December 31, 2007.

 

11. Commitments and Contingencies

In September 2007, the Plan received proceeds from the settlement of class action lawsuits filed in 2003 on behalf of participants and beneficiaries in the Plan against the Company, its Pension and Investment Group and its Investment Committee. The Complaint, as amended, alleged that the defendants breached their ERISA fiduciary duties by failing to (1) prudently and loyally manage plan assets, (2) monitor the Pension and Investment Group and the Investment Committee and provide them with accurate information, (3) provide complete and accurate information to plan participants and beneficiaries, and (4) avoid conflicts of interest. On February 6, 2007, the District Court issued a final order approving a settlement and plaintiffs’ attorneys’ fees and expenses, pursuant to a settlement agreement that the parties had reached. In accordance with the settlement, by April 2007 the Company paid to the Escrow Fund established under the settlement agreement $5.5 million, with part of that amount payable from the Escrow Fund directly to the Plan, part payable directly to certain participants and beneficiaries, and part payable for expenses. The Company also paid plaintiffs’ attorneys’ fees of $1,400,000 and expenses of $60,916.29, which were determined by a federal Magistrate. The class for purposes of the settlement consisted of any person who was a participant or beneficiary at any time between October 7, 1998, and April 30, 2006, and whose Plan accounts included investments in the Raytheon Common Stock Fund. In September 2007, the Settlement Claims Administrator distributed settlement proceeds in accordance with the Plan of Allocation provided in the settlement agreement. Included in the Plan of Allocation was $2,229,393 which was allocated to participants’ accounts and is included in employer contributions in the Statement of Changes in Net Assets Available for Plan Benefits.

In June 2006 the Plan, as a member of the plaintiff class, received proceeds from the settlement of a class action lawsuit filed in 1999 against the Company, certain Company officers and directors, and the Company’s independent auditor, PricewaterhouseCoopers LLP. The Complaint alleged that the Company and certain officers and directors made material misrepresentations and omissions regarding certain business transactions. The plaintiff class included all persons who, with certain exceptions, purchased the Company’s Class A or Class B common stock between October 7, 1998, and October 12, 1999. In accordance with a Stipulation and Settlement Agreement executed by the parties and a Distribution Order of the District Court, in June 2006, the Company paid the class members $210 million in cash and issued 5-year warrants to purchase Raytheon common stock with a strike price of $37.50 per share with a stipulated value upon issuance of $200 million as calculated using the methodologies and criteria set forth in the Agreement. In addition, PricewaterhouseCoopers LLP paid the class members $50 million in cash. In June 2006, the Plan received approximately $25,623,164 in cash and 254,602 warrants in accordance with the Distribution Order. The cash component of settlement proceeds included amounts paid, in accordance with the Distribution Order, in lieu of warrants to any claimant (including any Plan participant’s account) who would otherwise have received fewer than 100 warrants (with the exception of four class members who had objected to such cash payment in lieu of warrants). The settlement proceeds, net of expenses incurred in connection with the Plan’s claim and the handling of settlement proceeds, was allocated among participants’ accounts in accordance with the Distribution Order. Cash proceeds from disposition of warrants was only allocated to participants’ accounts

 

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Table of Contents

Raytheon Savings and Investment Plan

Notes to Financial Statements

December 31, 2007 and 2006

 

after the Plan, upon direction of U.S. Trust Company, N.A. (“US Trust”), an independent fiduciary, disposed of all the warrants. The Company obtained an individual prohibited transaction exemption from the United States Department of Labor, effective February 13, 2006, with respect to the Plan’s holding and exercise or other disposition of the warrants issued to the Plan.

In January 2006 five individuals, who are currently on leave from the Company while serving as business representatives of Electronic and Space Technicians Union Local 1553, sued the Company. The Complaint alleged that the termination of plaintiffs’ ability to make contributions to, and receive matching contributions under, the Plan as of December 31, 2005 violated ERISA. The plaintiffs filed two amended complaints (the first of which added the Plan as a defendant). In response to the Complaint and the Amended Complaints, the defendants filed three Motions to Dismiss, the last one on June 22, 2006. On July 17, 2006, the Court granted defendants’ Motion to Dismiss. On March 26, 2008, the Ninth Circuit Court of Appeals affirmed the District Court’s July 17, 2006 grant of defendants’ Motion to Dismiss.

On April 12, 2006, the Company filed an application with the Internal Revenue Service to avail the Plan of the Voluntary Correction Procedure (“VCP”) within the Employee Plans Compliance Resolution System. The application seeks voluntary correction of the fact that until December 31, 2005, the Plan accepted contributions by or on behalf of, and made matching contributions for, individuals on leave from the Company while serving as union business representatives in situations the same as or similar to the situations involved in the lawsuit described in the preceding paragraph. In the VCP application, the Company proposed that cessation of these contributions constitutes adequate correction. On May 28, 2008, the IRS sent the Plan a Compliance Statement that is consistent with the method of correction proposed by the Plan.

 

12. Subsequent Event

In 2005, the Plan Sponsor acquired UTD, Incorporated. In April, 2008 the net assets of the UTD, Incorporated 401K Profit Sharing Plan, amounting to $12,328,213, were merged into the Plan.

 

17


Table of Contents

Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,
rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value

*Fidelity

   Fidelity Equity Inc    15,718,272    $ 867,019,875

*Fidelity

   Fidelity Balanced    31,709,778      621,828,737

*Fidelity

   Fidelity Inst Mmkt    587,021,227      587,021,227

*Fidelity

   Fidelity Blue Chip    8,372,549      368,894,507

*Fidelity

   Fid Freedom Income    238,970      2,736,212

*Fidelity

   Fid Freedom 2000    121,019      1,496,999

*Fidelity

   Fid Freedom 2005    474,032      5,588,839

*Fidelity

   Fid Freedom 2010    2,505,571      37,132,562

*Fidelity

   Fid Freedom 2015    3,761,613      46,907,316

*Fidelity

   Fid Freedom 2020    3,466,649      54,807,728

*Fidelity

   Fid Freedom 2025    3,121,518      41,141,611

*Fidelity

   Fid Freedom 2030    1,571,091      25,954,424

*Fidelity

   Fid Freedom 2035    1,474,050      20,165,010

*Fidelity

   Fid Freedom 2040    2,639,028      25,677,745

*Fidelity

   Fidelity STIF    52,084,785      52,084,785

*FIDELITY INSTL CSH M CL A

   FIDELITY INSTL CSH M CL A    36,736,706      36,736,706

*Interest in Raytheon Company Combined DB/DC Master Trust

   Investment in Master Trust    25,606,365      455,510,421

*MELLON FDG CORP GTD SR NT

   3.250% 04/01/2009 DD 03/23/04    150,000      147,164

*RAYTHEON CO. Common Stock

   RAYTHEON CO (Cost of $1,093,547,863)    31,221,029      1,895,116,460

*The Common Trust Cash Investment Fund Of Mellon Trust of New England, N.A.

   VAR RT 12/31/2049 DD 08/06/03    62,269,485      6,269,485

*The Common Trust Cash Investment Fund Of Mellon Trust of New England, N.A.

   VAR RT 12/31/2049 DD 08/06/03    5,045,466      5,045,466

*The Common Trust Cash Investment Fund Of Mellon Trust of New England, N.A.

   VAR RT 12/31/2049 DD 08/06/03    4,362,907      4,362,907

*The Common Trust Cash Investment Fund Of Mellon Trust of New England, N.A.

   VAR RT 12/31/2049 DD 08/06/03    2,991,903      2,991,903

1ST EAGLE OVERSEAS I

   1ST EAGLE OVERSEAS I    7,418,187      173,511,396

AABST

   06-1 A1 1ML+8 1/37    857,080      834,515

ABBOTT LABS

   5.6% 5/15/11    275,000      284,802

ABSHE

   04-HE2 M1 1ML+55 4/34    410,000      350,818

ABU DHABI NATL ENERGY MTN 144A

   5.620% 10/25/2012 DD 10/25/07    1,650,000      1,674,998

ACCR

   03-2 A1 4.23% 10/33    283,045      246,028

ACE

   06-HE1 A2A 1ML+8 2/36    254,867      253,829

ACE INA HLDG INC SR NT

   5.700% 02/15/2017 DD 02/08/07    1,415,000      1,402,180

ADELPHIA RECOVERY TRUST

   8.750% 10/01/2007 DD 09/29/97    250,094      107,540

ADELPHIA RECOVERY TRUST ESCROW

   ADELPHIA RECOVERY TRUST ESCROW    294,426      10,305

AEGON NV GLBL

   4.75% 6/01/13    855,000      837,045

AIG SUN VII

   5.85% 8/01/08 144A    1,385,000      1,388,737

AIM BASIC VALUE INST

   AIM BASIC VALUE INST    1,198,756      38,923,622

ALABAMA POWER

   4.85% 12/15/12    925,000      918,999

ALCOA INC NT

   5.550% 02/01/2017 DD 01/25/07    210,000      203,734

ALLISON TRANSMISSION

   11.000% 11/01/2015 DD 10/16/07    490,000      445,900

ALLISON TRANSMISSION INC

   11.250% 11/01/2015 DD 10/17/07    125,000      110,313

ALTERNATIVE LN P/T

   6.000% 09/25/2037 DD 07/01/07    500,000      433,630

ALTERNATIVE LN TR

   VAR RT 08/25/2036 DD 06/01/06    2,678,532      2,783,905

ALTRIA GROUP INC

   7% 11/04/13    230,000      257,218

AM CENT SM CAP VAL I

   AM CENT SM CAP VAL I    11,941,329      90,634,685

AMB PROPERTY LP

   5.9% 8/15/13    390,000      401,525

AMCAR

   05-DA A4 5.02 11/12    805,000      807,114

AMCAR

   04-1 D 5.07% 7/10    390,000      389,275

AMCAR

   06-1 D 5.49 4/12    345,000      331,391

AMCAR

   06-1 C 5.28 11/11    300,000      295,121

AMCAR

   06-1 B 5.2 3/11    50,000      49,615

AMCAR

   04-1 C 4.22% 7/09    16,087      16,065

AMCAR

   06-1 A3 5.11 10/10    10,746      10,736

AMEREN UNION ELEC

   6.4% 6/15/17    1,006,000      1,054,307

AMERICA MOVIL

   4.125 3/1/09    340,000      337,860

AMERICAN ELEC PWR INC SR NT

   5.375% 03/15/2010 DD 03/14/03    200,000      202,876

AMERICAN EXPRESS CENTURION BK

   6.000% 09/13/2017 DD 09/13/07    2,500,000      2,514,050

AMERICAN EXPRESS CR CORP NT

   3.000% 05/16/2008 DD 05/16/03    200,000      198,978

AMERICAN EXPRESS CR TR 04-3 A

   4.350% 12/15/2011 DD 06/02/04    300,000      300,669

AMERICAN GEN FIN CORP MEDIUM

   6.900% 12/15/2017 DD 12/17/07    930,000      930,865

AMERICAN GEN FIN MTN

   5.375% 10/01/2012 DD 09/30/02    230,000      221,404

AMERICAN HOME

   VAR RT 09/25/2035 DD 09/01/05    700,000      693,637

AMERICAN INTL

   5.85% 1/16/18    1,990,000      2,003,031

AMERICAN INTL GRP INC

   4.250% 05/15/2013 DD 11/15/03    400,000      380,500

AMERICAN REAL ESTATE

   8.125% 06/01/2012 DD 12/01/04    175,000      169,531

AMERICAN WTR CAP 144A

   6.085% 10/15/2017 DD 10/22/07    150,000      149,484

AMERICREDIT AUTO

   5.210% 10/06/2011 DD 09/26/06    1,500,000      1,498,530

AMERICREDIT AUTO

   5.160% 04/06/2012 DD 04/19/07    1,010,000      1,015,161

AMERICREDIT AUTO

   5.210% 09/06/2013 DD 09/26/06    840,000      842,680

AMGEN INC SR NT

   VAR RT 11/28/2008 DD 05/30/07    1,200,000      1,198,500

AMR PASS TH

   7.858 04/1/13 CL A    565,000      593,075

AMR PASS THRU

   7.024% 4/15/2011    400,000      401,500

AMR PTC

   01-2A1 6.978% 10/01/12    62,376      63,118

AMR PTC

   99-1A1 6.855% 10/15/10    29,962      30,186

ANADARKO PETR0

   5.95% 9/15/16    925,000      941,863

 

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Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value

AOL TIME WARNER

   6.875% 5/01/12    575,000    605,480

AOL TIME WARNER

   6.75% 4/15/11    500,000    520,769

ARAMARK CORP SR NT

   8.500% 02/01/2015 DD 08/01/07    445,000    450,563

ARDEN REALTY LTD

   5.2% 9/01/11    340,000    349,601

ARKLE

   2006-1A 3C 3ML+39 2/52    150,000    141,060

ARMT

   04-1 9A2 1ML+40 1/34    41,616    40,825

ARMT

   05-2 6A2 1ML+28 6/35    26,188    25,118

ARSI

   04-W7 M1 1ML+55 5/34    295,000    257,763

ARSI

   04-W7 M2 1ML+60 5/34    240,000    218,236

ASIF GLOBAL FING XXIII SR NT

   3.900% 10/22/2008 DD 10/22/03    100,000    98,843

ASSOCIATES CORP NORTH AMER DEB

   8.150% 08/01/2009    200,000    208,844

ASTRAZENECA

   5.900% 09/15/2017 DD 09/12/07    1,100,000    1,155,000

ASTRAZENECA

   PLC 5.9% 9/15/17    1,015,000    1,065,806

AT & T INC GLOBAL

   4.950% 01/15/2013 DD 12/06/07    1,230,000    1,236,531

AT&T BROADBAND

   8.375% 3/15/13    1,275,000    1,430,401

AT&T BROADBAND

   8.375% 3/15/13    1,048,000    1,175,733

AT&T BROADBAND

   8.375% 03/15/2013 DD 11/18/02    250,000    280,470

AT&T WIRE GLBL

   8.125 5/1/12 DT    485,000    539,281

AT&T WIRELESS

   7.875% 03/01/2011 DD 09/01/01    640,000    693,101

AT&T WIRELESS

   7.875% 3/01/11    485,000    525,239

ATOMS ENERGY CORP

   5.125% 01/15/2013 DD 01/16/03    290,000    284,246

AUSTRALIAN DOLLAR CURRENCY

   AUSTRALIAN DOLLAR CURRENCY    125    109

AVALONBAY COMM

   5.5% 1/15/12    685,000    683,727

AXA FINL INC SR NT

   7.750% 08/01/2010 DD 07/28/00    480,000    515,472

AXIS CAP HLDGS

   5.75% 12/01/14    80,000    78,418

BACM

   04-2 A3 4.05% 11/38    2,415,000    2,382,627

BACM

   2007-3 A3 CSTR 6/49    1,000,000    1,014,138

BACM

   05-1 ASB 4.8594% 11/42    800,000    800,926

BACM

   05-1 A3 4.877% 11/42    585,000    583,432

BACM

   04-4 A3 4.128% 7/42    445,000    441,407

BACM

   07-2 A1 5.421% 1/12    376,291    379,663

BACM

   06-5 A1 5.185% 7/11    215,644    216,258

BACM

   07-2 C 5.6984 4/49    220,000    199,245

BACM

   07-2 D 5.6984 4/49    110,000    94,863

BACM

   03-2 XP CSTR 3/41    9,990,449    83,182

BACM

   07-2 B 5.6984 4/49    80,000    73,454

BAE SYS HDLG

   4.75 8/15/10 144A    565,000    569,004

BAFU

   2001-3 H 6.562% 4/37    760,000    806,612

BALL

   03-BBA2 K 1ML+260 11/15    58,191    57,618

BALTA

   04-13 A1 1ML+37 11/34    716,366    698,772

BANC AMER COML MTG

   5.889% 07/10/2044 DD 08/01/06    3,800,000    3,805,092

BANC AMER COML MTG

   5.182% 09/10/2047 DD 12/01/05    400,000    399,460

BANC AMER FDG

   VAR RT 03/20/2035 DD 06/01/05    255,003    251,841

BANC AMER FDG

   0.000% 11/25/2035 DD 11/01/05    179,401    123,249

BANC AMER MTG

   VAR RT 07/25/2034 DD 06/01/04    1,900,000    1,837,072

BANC AMER MTG

   VAR RT 06/25/2034 DD 05/01/04    750,000    738,030

BANC AMER MTG

   5.000% 12/25/2018 DD 11/01/03    251,431    248,877

BANC AMER MTG

   VAR RT 11/25/2034 DD 10/01/04    202,469    201,781

BANC AMER MTG

   0.000% 05/25/2034 DD 04/01/04    72,951    54,285

BANK AMER CORP NT

   7.800% 02/15/2010 DD 02/14/00    200,000    211,968

BANK AMER CORP SR GLOBAL NT

   6.000% 09/01/2017 DD 08/23/07    300,000    306,513

BANK AMER CORP SR GLOBAL NT

   5.125% 11/15/2014 DD 11/07/02    250,000    246,095

BANK AMER CORP SR NT

   3.875% 01/15/2008 DD 11/26/02    500,000    499,845

BANK AMER CORP SR NT

   4.875% 01/15/2013 DD 01/23/03    300,000    299,067

BANK AMER CORP SUB NT

   5.750% 08/15/2016 DD 08/14/06    250,000    250,428

BANK AMER CORP SUB NT

   7.400% 01/15/2011 DD 01/23/01    200,000    214,968

BANK AMER FDG CORP

   VAR RT 05/25/2035 DD 06/01/05    2,564,852    2,525,815

BANK AMER N A CHARLOTTE N C

   5.300% 03/15/2017 DD 03/13/07    800,000    777,872

BANK AMERICA CORP SUB NTS

   7.125% 10/15/2011 DD 10/24/96    217,000    233,140

BANK NY MELLO GLB

   4.95 11/12    917,000    916,990

BANK OF AMERICA

   6% 9/01/17    640,000    653,870

BANK OF AMERICA CORP SR NT

   5.625% 10/14/2016 DD 10/26/06    250,000    251,445

BANK ONE

   3.7% 1/15/08    1,000,000    999,453

BANKAMER

   5.75% 12/1/17    1,630,000    1,633,739

BANKAMER

   4.875% 1/15/13    640,000    633,976

BANKAMER

   4.5% 8/01/10    418,000    418,205

BANKAMER GLBL

   7.4% 1/15/11 DT    3,630,000    3,901,553

BANKAMERICA CORP SR NTS

   5.875% 02/15/2009 DD 02/08/99    365,000    370,249

BARCLAYS BANK PLC

   5.450% 09/12/2012 DD 09/12/07    2,200,000    2,255,638

BARCLAYS BANK PLC

   5.450% 09/12/2012 DD 09/12/07    250,000    256,323

BARCLAYS BK

   6.05% 12/4/17 144A    1,000,000    990,202

BARCLAYS BK PLC CALL PEPR 144A

   VAR RT 12/31/2049 DD 09/28/06    415,000    386,141

BARCLAYS BK PLC SUB HYBRID TIE

   VAR RT 09/29/2049 DD 09/25/07    600,000    623,526

BARCLAYS BK PLC SUB HYBRID TIE

   VAR RT 09/29/2049 DD 09/25/07    260,000    270,195

 

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Table of Contents

Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value

BARCLAYS BK PLC SUB NT 144A

   6.050% 12/04/2017 DD 12/04/07    3,600,000    3,627,540

BARCLAYS BK PLC SUB NT 144A

   6.050% 12/04/2017 DD 12/04/07    250,000    251,913

BARCLAY’S EAFE INDEX FUND E

   BARCLAY’S EAFE INDEX FUND E    938,546    32,088,871

BASAT

   2006-G1 A4 5.17 12/10    1,990,000    2,006,140

BAYC

   05-4A A2 1ML+39 1/36    396,074    373,299

BAYC

   04-3 A1 1ML+37 1/35    247,461    240,539

BAYC

   04-1 A 1ML+36 4/34    219,498    213,633

BAYC

   04-2 A 1ML+43 8/34    215,744    210,114

BAYC

   05-4A M1 1ML+45 1/36    158,429    149,147

BAYC

   07-3 B2 1ML+160 7/37    114,776    111,906

BAYC

   07-3 M4 1ML+50 7/37    105,594    104,010

BAYC

   04-1 IO 1.25 4/34    2,340,892    74,674

BAYC

   05-4A M2 1ML+47 1/36    79,215    73,893

BAYC

   05-4A M3 1ML+50 1/36    79,215    72,321

BAYC

   04-2 M1 1ML+58 8/34    70,490    67,847

BAYC

   07-3 M3 1ML+37 7/37    64,274    63,551

BAYC

   07-3 B3 1ML+400 7/37    59,683    57,893

BAYC

   07-2 M-6 1ML+100 7/37    62,751    51,603

BAYC

   07-2 M4 1ML+65 7/37    57,924    49,498

BAYC

   07-3 M5 1ML+60 7/37    50,501    49,491

BAYC

   04-3 M1 1ML+50 1/35    49,492    47,505

BAYC

   07-3 M2 1ML+34 7/37    41,319    40,906

BAYC

   07-3 M6 1ML+80 7/37    41,319    40,493

BAYC

   07-3 B1 1ML+95 7/37    41,319    40,286

BAYC

   07-2 M-5 1ML+75 7/37 144A    48,270    40,245

BAYC

   07-2 B-1 1M+160 7/37    48,270    37,047

BAYC

   07-3 M1 1ML+31 7/37    36,728    36,361

BAYC

   04-1 M1 1ML+56 4/34    36,583    35,234

BAYC

   04-1 B 1ML+190 4/34    36,583    31,593

BAYC

   07-2 B-3 1ML+335 7/37    43,443    30,892

BAYC

   07-2 B-2 1ML+225 7/37    38,616    27,049

BAYC

   07-2 M2 1ML+41 7/37    28,962    26,717

BAYC

   07-2 M3 1ML+49 7/37 144A    28,962    26,591

BAYC

   04-3 A2 1ML+42 1/35    24,746    23,880

BAYC

   04-3 M2 1ML+100 1/35    24,746    22,960

BEAR STEARNS

   6.95% 8/10/12    1,120,000    1,151,584

BEAR STEARNS

   6.95% 8/10/12    845,000    868,829

BEAR STEARNS

   MTN 4.55% 6/23/10    125,000    120,870

BEAR STEARNS & CO INC

   5.700% 11/15/2014 DD 11/06/02    500,000    474,545

BEAR STEARNS 05-PWR9 CL A-AB

   4.804% 09/15/2042 DD 09/01/05    200,000    196,816

BEAR STEARNS 06-SD1 CL A

   VAR RT 04/25/2036 DD 03/14/06    164,715    150,922

BEAR STEARNS ARM 03-4 CL III

   VAR RT 07/25/2033 DD 05/01/03    1,501,677    1,478,206

BEAR STEARNS ARM TR 04-7 1-A-1

   VAR RT 10/25/2034 DD 08/01/04    1,247,506    1,252,109

BEAR STEARNS ARM TR 2006-1 1A1

   VAR RT 11/25/2035 DD 02/01/06    997,744    982,728

BEAR STEARNS CO

   6.4% 10/2/17    650,000    628,004

BEAR STEARNS COML 04-TOP14 A3

   4.800% 01/12/2041 DD 05/01/04    100,000    99,561

BEAR STEARNS COML 04-TOP16 A-2

   3.700% 08/13/2046 DD 11/01/04    3,849    3,841

BEAR STEARNS COML 06-PWR11 A4

   VAR RT 03/11/2039 DD 03/01/06    320,000    324,771

BEAR STEARNS COML MTG 00WF1 A1

   7.640% 02/15/2032 DD 02/01/00    24,404    24,608

BEAR STEARNS COS INC GLOBAL NT

   VAR RT 04/29/2008 DD 04/29/05    2,085,000    2,064,150

BEAR STEARNS COS INC GLOBAL NT

   VAR RT 01/31/2011 DD 01/31/06    600,000    541,686

BEAR STEARNS COS INC GLOBAL NT

   4.000% 01/31/2008 DD 12/26/02    400,000    399,376

BEAR STEARNS COS INC MTN

   6.950% 08/10/2012 DD 08/10/07    400,000    411,248

BEAR STEARNS COS INC NT

   3.250% 03/25/2009 DD 03/25/04    500,000    484,140

BEAR STEARNS COS INC SR NT

   6.400% 10/02/2017 DD 10/02/07    700,000    676,263

BEAR STEARNS COS INC SR NT

   5.350% 02/01/2012 DD 01/25/07    300,000    292,173

BEAR STEARNS COS INC SR NT

   6.400% 10/02/2017 DD 10/02/07    300,000    289,827

BEAR STEARNS MTG 2006-PW14 A1

   5.044% 12/01/2038 DD 12/01/06    450,298    449,443

BEAR STERNS CO GLB

   5.5 8/15/11    1,025,000    1,012,078

BEARS STEARNS 03-7 MTCL III-A

   VAR RT 10/25/2033 DD 09/01/03    240,448    238,871

BELLSOUTH CORP

   VAR RT 004/26/2021 DD 04/26/05    2,100,000    2,092,440

BELLSOUTH CORP NT

   4.200% 09/15/2009 DD 09/13/04    1,260,000    1,252,516

BELLSOUTH CORP NT

   5.200% 09/15/2014 DD 09/13/04    250,000    249,493

BELLSOUTH GLBL

   4.2% 9/15/09 DT    585,000    581,518

BERRY PLASTICS HLDG CORP 2ND

   8.875% 09/15/2014 DD 09/20/06    310,000    294,500

BF SAUL REAL ESTATE

   7.500% 03/01/2014 DD 02/25/04    500,000    460,000

BGI US DEBT INDEX FUND CL F

   BGI US DEBT INDEX FUND CL F    1,361,369    28,302,861

BHP FIN USA LTD GTD DEB

   7.250% 03/01/2016 DD 03/01/96    162,000    176,883

BMW VEH OWNER TR 2006 A CL A3

   5.130% 09/27/2010 DD 09/22/06    595,000    596,529

BNP PARIBAS SUB NT

   VAR RT 06/29/2049 DD 06/29/05    1,800,000    1,638,270

BOAMS

   2004-A 2A2 CSTR 2/34    700,225    686,913

BOAMS

   05-E 2A7 CSTR 6/35    425,000    414,763

BOAMS

   03-J 2A2 CSTR 11/33    278,110    273,573

 

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Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value

BOAMS

   04-J 2A1 CSTR 11/34    254,575    250,379

BOAMS

   04-A 2A1 CSTR 2/34    162,483    158,749

BOAMS

   05-H 2A2 CSTR 9/35    91,217    90,589

BOAMS

   05-H 1A1 CSTR 9/35    87,265    86,105

BOAMS

   04-D 2A1 CSTR 5/34    80,068    78,027

BOIT

   02-A6 A 1ML+19 6/12    1,650,000    1,648,195

BOIT

   04-B2 B2 4.37% 4/12    1,300,000    1,280,907

BONY INC

   3.4/3ML+148 3/15/13    1,000,000    994,175

BONY INC

   6.375% 4/01/12    625,000    654,805

BOSTON PPTY LTD

   6.25% 1/15/13    780,000    783,428

BOSTON SCIENTIFIC CORP NT

   6.400% 06/15/2016 DD 06/09/06    300,000    282,000

BOWATER INC DEB

   9.000% 08/01/2009 DD 08/01/89    790,000    766,300

BRANCH BKG & TR CO MTN TR00028

   4.875% 01/15/2013 DD 12/23/02    150,000    146,272

BRANDYWIN

   5.625% 12/15/10    580,000    585,628

BRANDYWIN RLTY

   4.5% 11/01/09    1,280,000    1,266,388

BRANDYWIN RLTY

   5.75% 4/1/12    215,000    212,831

BRE PROPERTIES

   4.875% 5/15/10    515,000    522,051

BRITISH G STEP

   12/10 DT    1,175,000    1,289,385

BRITISH TELECOMMUNICATIONS NT

   STEP UP 12/15/2010 DD 12/12/00    90,000    98,761

BRITISH TELECOMMUNICATIONS PLC

   5.150% 01/15/2013 DD 12/12/07    1,000,000    997,810

BROADVIEW NETWORKS HLDGS INC

   11.375% 09/01/2012 DD 09/01/07    215,000    224,138

BSABS

   06-3 A1 1ML+15 5/36    653,676    636,985

BSARM

   05-6 1A1 CSTR 8/35    629,145    621,782

BSCMS

   03-T12 A4 4.68% 8/39    750,000    740,470

BSCMS

   2007-PW15 X2 CSTR 2/44    24,910,000    442,180

BSCMS

   04-PWR5 A2 4.254 7/42    415,000    412,662

BSCMS

   07-PW15 A1 5.016% 2/44    339,739    339,691

BSCMS

   04-ESA E 5.064% 5/16    305,000    309,571

BSCMS

   03-T12 X2 CSTR 8/39    7,750,997    110,418

BSCMS

   03-PWR2 X2 CSTR 5/39    7,096,268    107,304

BSCMS

   04-ESA D 4.986% 5/16    100,000    101,395

BSCMS

   04-ESA F 5.182% 5/16    75,000    76,242

BSCMS

   04-ESA C 4.937% 5/16    40,000    40,532

*BSDT-LATE MONEY DEPOSIT ACCT

   0.550% 12/31/2049 DD 06/26/97    7,900,000    7,900,000

*BSDT-LATE MONEY DEPOSIT ACCT

   0.550% 12/31/2049 DD 06/26/97    10,503    10,503

BUCKEYE OHIO TOB SETTLEMENT

   5.875% 06/01/2047 DD 10/29/07    900,000    862,119

BURLINGTON NORTH SANTE FE

   6.125% 03/15/2009 DD 03/10/99    155,000    157,035

BURLINGTON NORTHN SANTA FE COR

   6.150% 05/01/2037 DD 04/13/07    700,000    680,533

C BASS MTG LN 07-CB2 CL A2C

   VAR RT 02/25/2037 DD 02/01/07    1,000,000    890,290

CAF GLBL

   6.875% 3/15/12    445,000    474,826

CALPINE CORP 2ND PRIORITY 144A

   VAR RT 007/15/2007 DD 07/16/03    288,363    304,222

CAMDEN PROPERTY

   5.875 11/30/12    550,000    555,728

CAMDEN PROPERTY

   4.375% 1/15/10    430,000    419,319

CANADA NATURAL

   5.7% 5/15/17    200,000    198,782

CANADIAN NAT RES LTD NT

   5.700% 05/15/2017 DD 03/19/07    695,000    690,767

CANADIAN NATL RAIL

   4.25 8/1/09    485,000    482,688

CANADIAN OIL

   4.8% 8/10/09 144A    615,000    618,593

CAPITAL ONE

   4.950% 08/15/2012 DD 10/19/07    3,700,000    3,724,642

CAPITAL ONE AUTO 07-B CL A3A

   5.030% 04/15/2012 DD 05/10/07    400,000    401,164

CAPITAL ONE AUTO FIN 05-C A4A

   4.710% 06/15/2012 DD 10/12/05    2,440,000    2,419,162

CAPITAL ONE AUTO FIN 2006-A A3

   5.330% 11/15/2010 DD 05/04/06    1,682,299    1,682,535

CAPITAL ONE BK MTN SR #TR00176

   5.750% 09/15/2010 DD 09/08/03    65,000    65,010

CAPITAL ONE FIN

   5.7% 9/15/11    1,300,000    1,255,879

CAPITAL ONE FINL CORP SR NT

   6.250% 11/15/2013 DD 11/06/03    325,000    312,507

CAPITAL ONE FINL CORP SR NT

   6.750% 09/15/2017 DD 09/04/07    100,000    95,906

CAPITAL ONE VIRGINIA C/D

   VAR RT 03/13/2009 DD 03/15/07    3,200,000    3,199,398

CAPMARK FINL

   5.875% 5/12 144A    600,000    474,938

CARAT

   07-SN1 D 6.05% 1/17/12    270,000    269,992

CARAT

   07-SN1 B 5.52% 3/15/11    190,000    188,902

CARAT

   06-1 B 5.26 10/10    155,000    156,760

CARAT

   06-1 A3 5.03 10/09    139,645    139,725

CARAT

   2006-SN1A D 6.15% 4/11    115,000    115,178

CARAT

   07-SN1 C 5.73% 3/15/11    110,000    110,391

CARAT

   2006-SN1A B 5.5% 4/10    70,000    70,566

CARAT

   2006-SN1A C 5.77% 5/10    70,000    70,236

CARMAX AUTO OWNER 2006-2 A-3

   5.150% 02/15/2011 DD 09/14/06    960,000    960,797

CARMX

   07-2 ABS 5.61% 11/13    720,000    706,227

CAROLINA PWR & LT CO 1ST MTG

   5.125% 09/15/2013 DD 09/11/03    160,000    160,301

CARR

   07-RFC1 A1 1ML+5 12/36    1,209,368    1,181,695

CARR

   2006-NC5 A1 1ML+5 1/37    990,251    968,781

CARR

   06-NC3 A1 1ML+5 9/25/36    388,111    381,523

CARR

   06-FRE1 A1 1ML+6.5 7/36    160,246    159,231

CARROLS CORP SR SUB NT

   9.000% 01/15/2013 DD 07/15/05    675,000    614,250

CASELLA WASTE SYS INC SR SUB

   9.750% 02/01/2013 DD 08/01/03    700,000    714,000

CATERPILLAR FINL MTN #TR 00762

   3.450% 01/15/2009 DD 01/16/04    120,000    118,850

 

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Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value

CATERPILLAR FINL SVCS CORP MTN

   5.500% 03/15/2016 DD 03/10/06    75,000    75,457

CBA CAP TR II TR PFD SECS 144A

   6.024% 03/29/2049 DD 03/15/06    735,000    685,042

CCCIT

   05-B1 B1 4.4 9/10    2,146,000    2,139,459

CCCIT

   03-A1 A1 3ML+10 1/10    1,750,000    1,750,414

CCCIT

   06-B2 B2 5.15% 3/11    360,000    360,534

CCH I HLDGS LLC / CAP CORP

   STEP 01/15/2014 DD 01/15/06    650,000    465,563

CCI

   05-1A B 4.878% 6/35    335,000    329,921

CCI

   05-1A C 5.074% 6/35    304,000    296,923

CD 2007-CD4

   5.293% 12/49    1,010,000    1,003,345

CD 2007-CD4

   4.977% 12/49    542,525    541,122

CD 2007-CD5

   5.866% 11/44    450,000    462,814

CDCMT

   02-FX1 XCL CSTR 5/35    6,449,566    304,029

CDTIM

   05-1A A1 4.67 5/17    105,267    103,376

CENTENNIAL COMMUNICATIONS CORP

   VAR RT 01/01/2013 DD 12/21/05    290,000    296,525

CENTERPOINT ENERGY HOUSTON

   5.750% 01/15/2014 DD 09/09/03    250,000    252,110

CENTERPOINT ENERGY RES CORP

   6.125% 11/01/2017 DD 10/23/07    50,000    50,883

CHAIT

   05-A1 A1 1ML+1 12/10    1,665,000    1,664,224

CHAIT

   2007-A17 A 5.12% 10/14    1,600,000    1,638,698

CHAIT

   05-A5 A5 0% 2/12    1,000,000    996,875

CHARTER COMMN HLDGS SR DISC NT

   STEP UP 01/15/2011    825,000    680,625

CHARTER COMMUNICATIONS INC DEL

   CL A    13,500    15,795

CHASE

   07-A2 3A1 CSTR 7/37    446,313    439,614

CHASE

   07-A1 5A1 CSTR 2/37    434,754    425,533

CHASE

   07-A2 2A1 CSTR 7/37    248,729    247,445

CHASE

   2007-A1 1A5 CSTR 2/37    50,662    49,914

CHESAPEAKE ENERGY CORP SR NT

   6.625% 01/15/2016 DD 07/15/05    430,000    420,325

CHICAGO ILL PJ-SER C

   5.000% 01/01/2035 DD 11/13/03    3,600,000    3,705,156

CISCO SYSTEMS INC

   5.500% 02/22/2016 DD 02/22/06    80,000    81,362

CIT GROUP FDG CO CDA SR NT

   STEP 07/01/2010 DD 10/15/05    150,000    142,664

CIT GROUP INC MTN #SR00111

   VAR RT 02/21/2008 DD 02/21/06    2,000,000    1,982,180

CIT GROUP INC SR NT

   VAR RT 06/08/2009 DD 06/08/06    2,300,000    2,151,926

CIT GROUP INC SR NT

   7.625% 11/30/2012 DD 11/30/07    400,000    405,436

CITEC

   06-VT1 A3 5.13 12/08    358,691    359,856

CITGROUP COML MTG 06-C5 CL A4

   5.431% 10/15/2049 DD 11/01/06    2,500,000    2,514,300

CITGROUP INC NEW GLOBAL SR NT

   5.000% 02/13/2014 DD 02/13/04    455,000    400,541

CITIBANK

   CITIBANK OMNI M 0% 12/23/13    1,850,000    1,850,000

CITIBANK CR 2005-B1

   4.400% 09/15/2010 DD 09/15/05    250,000    248,435

CITIBANK CR CARD 2006-A2 A2

   4.850% 02/10/2011 DD 02/06/06    3,200,000    3,206,560

CITIBANK CR CARD ISSUANCE 04A8

   4.900% 12/12/2016 DD 12/09/04    975,000    963,261

CITICORP MTG

   5.500% 12/25/2033 DD 12/01/03    1,048,182    1,049,471

CITICORP MTG

   4.500% 08/25/2034 DD 08/01/04    1,007,541    984,216

CITICORP MTG

   4.750% 01/25/2034 DD 01/01/04    584,399    574,009

CITIGROUP

   4.625% 8/03/10    325,000    323,228

CITIGROUP

   5.125% 2/14/11    250,000    251,397

CITIGROUP

   VAR RT 03/15/2049 DD 06/01/06    226,004    229,141

CITIGROUP

   3.5% 2/01/08    220,000    219,717

CITIGROUP GLBL

   4.125% 2/22/10    1,050,000    1,034,635

CITIGROUP INC

   5.3% 10/17/12    3,250,000    3,292,283

CITIGROUP INC GLB

   6.2% 3/15/09    110,000    111,511

CITIGROUP INC GLOBAL NT

   VAR RT 01/30/2009 DD 01/31/06    1,900,000    1,884,249

CITIGROUP INC GLOBAL NT

   4.250% 07/29/2009 DD 07/29/04    100,000    99,250

CITIGROUP INC GLOBAL SR NT

   VAR RT 05/18/2011 DD 05/18/06    1,900,000    1,856,053

CITIGROUP INC GLOBAL SR NT

   6.000% 08/15/2017 DD 08/15/07    1,190,000    1,214,169

CITIGROUP INC GLOBAL SR NT

   5.125% 05/05/2014 DD 05/05/04    335,000    326,886

CITIGROUP INC GLOBAL SR NT

   6.000% 08/15/2017 DD 08/15/07    210,000    214,265

CITIGROUP INC GLOBAL SR NT

   3.500% 02/01/2008 DD 01/31/03    185,000    184,776

CITIGROUP INC GLOBAL SR NT

   6.125% 11/21/2017 DD 11/21/07    165,000    169,486

CITIGROUP INC GLOBAL SR NT

   6.125% 11/21/2017 DD 11/21/07    140,000    143,807

CITIGROUP INC GLOBAL SR NT

   4.700% 05/29/2015 DD 05/31/05    100,000    94,563

CITIGROUP INC GLOBAL SUB NT

   5.500% 02/15/2017 DD 02/12/07    400,000    388,752

CITIGROUP INC GLOBAL SUB NT

   5.625% 08/27/2012 DD 08/26/02    200,000    202,594

CITIGROUP INC NT

   6.200% 03/15/2009 DD 03/31/99    115,000    116,581

CITIGROUP INC SUB NT

   5.000% 09/15/2014 DD 09/16/04    188,000    179,128

CITIGROUP MTG 02-11 CL IIA-1

   5.250% 11/25/2032 DD 11/01/02    1,132,868    1,128,903

CITIGROUP MTG 04-UST1 CL A-6

   VAR RT 08/25/2034 DD 10/01/04    1,167,285    1,162,300

CITIGROUP MTG LN 2005-1 CL 21A

   VAR RT 04/25/2035 DD 03/01/05    141,705    144,549

CITIGROUP MTG LN TR 03-UP3 A-3

   7.000% 09/25/2033 DD 11/01/03    98,112    100,381

CITIGROUP MTG LN TR 03-UST1 A1

   5.500% 09/25/2033 DD 11/01/03    528,401    531,207

CITIGROUP MTG LN TR 05-6 CL A2

   VAR RT 08/25/2035 DD 08/01/05    234,273    230,874

CITIGROUP MTG LN TR 05-6 CL A3

   VAR RT 08/25/2035 DD 08/01/05    82,432    81,060

CITIGROUP MTG SECS 04-2 CL A-1

   5.000% 03/25/2034 DD 03/01/04    750,823    742,646

CLEVELAND ELEC

   5.65% 12/15/13    640,000    632,551

CMAOT

   05-B A4 4.88 6/12    1,800,000    1,802,439

CMAT

   99-C2 A2 CSTR 11/32    491,089    506,461

 

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Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value

CMLTI

   07-AHL2 A3A 1ML+9 5/37    1,508,690    1,449,050

CMLTI

   2004-UST1 A4 CSTR 8/34    723,946    710,776

CMLTI

   07-AMC3 A2A 1ML+11 3/37    648,937    619,329

CMLTI

   06-HE2 A2A 1ML+5 8/36    535,118    526,005

CNH

   06-A A3 5.2 8/10    381,469    381,901

CNH EQUIP TR 07-A CL A-3

   5.047% 10/15/2010 DD 03/16/07    385,000    388,827

CNH EQUIP TR 2003-B NT CL A-4B

   3.380% 02/15/2011 DD 11/25/03    50,871    50,640

CODELCO

   6.375% 11/30/12 144A    1,135,000    1,214,856

COL/ACRON SELECT Z

   COL/ACRON SELECT Z    4,997,923    141,991,002

COLONIAL PROPS

   4.75% 2/1/10    1,205,000    1,176,442

COLONIAL RLTY

   6.05% 9/01/16    220,000    204,054

COMCAST CORP

   5.45% 11/15/10    1,200,000    1,224,488

COMCAST CORP

   5.9% 3/15/16    1,150,000    1,157,005

COMCAST CORP

   4.95% 6/15/16    510,000    480,249

COMCAST CORP NEW GTD NT

   5.900% 03/15/2016 DD 03/02/06    100,000    100,488

COMCAST CORP NEW NT

   5.500% 03/15/2011 DD 03/14/03    600,000    605,718

COMCAST CORP NEW NT

   6.300% 11/15/2017 DD 08/23/07    530,000    549,875

COMCAST CORP NEW NT

   5.300% 01/15/2014 DD 05/15/03    100,000    98,062

COMET

   04-B6 B6 4.155 7/12    750,000    741,755

COMET

   03-B5 B5 4.79 8/13    395,000    393,450

COMM

   05-C6 A2 CSTR 6/44    900,000    899,323

COMM

   99-1 A2 6.455 5/32    472,066    473,442

COMM

   04-LBN2 X2 CSTR 3/39    1,118,150    22,596

COMMERCIAL CR GROUP INC NT

   8.700% 06/15/2009    91,000    96,161

COMMERCIAL CREDIT MTN

   6.250% 01/01/2008 DD 01/01/98    674,000    674,000

COMMERCIAL MTG 07-GG9 CL A4

   5.444% 01/10/2017 DD 03/01/07    950,000    955,605

COMMERICAL MTG 07 C4 CL A-3

   VAR RT 09/15/2039 DD 09/01/07    1,750,000    1,789,620

COMPAGNIE GENERALE DE GEOPHYS

   7.750% 05/15/2017 DD 02/09/07    75,000    75,750

COMPTON PETE FIN CORP SR NT

   7.625% 12/01/2013 DD 11/22/05    500,000    465,000

COMWLTH EDISON

   6.15% 9/15/17    450,000    463,731

COMWLTH EDISON

   5.4% 12/15/11    377,000    380,999

CONOCO FDG CO NT

   6.350% 10/15/2011 DD 10/11/01    130,000    138,085

CONOCOPHILLIPS CDA FDG CO I NT

   5.625% 10/15/2016 DD 10/13/06    275,000    283,506

CONOCOPHILLIPS CDA FDG CO II

   5.300% 04/15/2012 DD 10/13/06    160,000    164,299

CONSOLIDATED EDISON NY DEC 04C

   4.700% 06/15/2009 DD 06/17/04    50,000    50,235

CONSTELATION EC

   7% 4/01/12    1,300,000    1,390,506

CONSTELLATION BRANDS SR SUB NT

   8.125% 01/15/2012 DD 01/23/02    505,000    506,263

CONTL AIR

   991B 6.795% 8/02/18    813,922    724,797

CONTL AIR

   981A 6.648% 9/15/17    336,151    337,832

COOPER STANDARD AUTO INC SR

   8.375% 12/15/2014 DD 12/23/04    540,000    427,950

COUNTRYWIDE FINL CORP MEDIUM

   5.800% 06/07/2012 DD 06/07/07    440,000    321,407

COUNTRYWIDE HOME LNS MTN #0034

   3.250% 05/21/2008 DD 05/21/03    100,000    91,181

COUNTRYWIDE HOME MTN #TR00313

   4.000% 03/22/2011 DD 03/22/04    500,000    361,015

COUNTRYWIDE HOME MTN #TR00324

   4.125% 09/15/2009 DD 09/16/04    80,000    58,687

COVIDIEN INT

   5.45 10/15/12 144A    325,000    334,616

COX COMM

   4.625% 1/15/10    200,000    198,448

COX COMM INC

   4.625% 6/01/13    795,000    760,584

COX COMM INC

   6.75 3/15/11    700,000    734,338

COX COMM INC

   5.45% 12/15/14    700,000    686,023

CPG INTL I INC

   10.500% 07/01/2013 DD 07/01/06    325,000    307,125

CRC HEALTH CORP SR SUB NT

   10.750% 02/01/2016 DD 08/01/06    570,000    584,250

CREDIT AGRICOLE S A NT 144A

   VAR RT 05/29/2049 DD 05/31/07    535,000    496,378

CREDIT SUISSE

   5.86/VAR PERP    805,000    720,634

CREDIT SUISSE 98-2 CL A2

   6.300% 11/15/2030 DD 11/11/98    790,974    795,593

CREDIT SUISSE FB

   4.875% 01/15/2015 DD 12/15/04    200,000    195,532

CREDIT SUISSE FB 03-23 CL 2A5

   5.000% 10/25/2018 DD 09/01/03    704,202    690,836

CREDIT SUISSE FB INC NT

   6.125% 11/15/2011 DD 11/06/01    350,000    364,165

CREDIT SUISSE FB SR NT

   5.125% 01/15/2014 DD 01/09/04    200,000    199,468

CREDIT SUISSE FB USA INC

   4.700% 06/01/2009 DD 05/27/04    225,000    225,070

CREDIT SUISSE FB USA INC NT

   6.500% 01/15/2012 DD 01/11/02    180,000    189,760

CREDIT SUISSE FB USA INC SR NT

   5.125% 08/15/2015 DD 08/17/05    125,000    124,160

CREDIT SUISSE USA INC

   5.500% 08/16/2011 DD 08/16/06    400,000    411,000

CREDIT SUISSE USA INC

   5.500% 08/16/2011 DD 08/16/06    230,000    236,325

CRICKET COMMUNICATIONS INC SR

   9.375% 11/01/2014 DD 05/01/07    325,000    304,688

CSFB

   99-C1 A2 7.29 9/41    1,191,814    1,227,722

CSFB

   98-C1 C 6.78 5/40    1,000,000    1,010,471

CSFB

   2002-CKS4 A2 5.183 11/36    855,000    865,472

CSFB

   2002-CKP1 A3 6.439 12/35    750,000    794,072

CSFB

   98-C1 A1B 6.48% 5/40    442,543    443,423

CSFB

   01-CKN5 AX CSTR 9/34    6,813,755    326,155

CSFB

   04-AR7 2A1 CSTR 11/34    270,374    265,825

CSFB

   04-C1 ASP CSTR 1/37    5,568,992    117,175

CSFB

   03-C4 ASP CSTR 8/36    5,254,542    58,814

CSFB

   04-AR6 9A2 1ML+37 10/34    32,387    32,103

 

23


Table of Contents

Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value  

CSFB

   04-AR5 11A2 1ML+37 6/34    20,213    19,979  

CSFB

   04-AR3 6A2 1ML+37 4/34    5,793    5,713  

CSMC

   07-C3 A4 CSTR 6/39    1,475,000    1,516,743  

CSMC

   07-C1 A1 5.227 2/40    213,884    214,495  

CSMC

   07-C2 A1 5.237 1/49    196,791    197,523  

CSX CORP MTN TR 00037

   6.500% 06/02/2008 DD 06/01/98    200,000    200,280  

CURRENCY CONTRACT - EUR

   CURRENCY CONTRACT - EUR    335,475    489,804  

CURRENCY CONTRACT - EUR

   CURRENCY CONTRACT - EUR    497,430    (497,430 )

CURRENCY CONTRACT - USD

   CURRENCY CONTRACT - USD    867,204    867,204  

CURRENCY CONTRACT - USD

   CURRENCY CONTRACT - USD    612,000    (893,540 )

CVS CAREMARK

   MTN 3ML+30 6/1/10    2,295,000    2,270,384  

CVS CAREMARK

   6.302 6/1/37    660,000    637,918  

CWABS ASSET BKD 06-26 CL 2A1

   VAR RT 06/25/2037 DD 12/29/06    2,986,682    2,908,430  

CWABS INC 03-5 ASSET CL MF-1

   5.413% 01/25/2034 DD 11/01/03    724,358    706,155  

CWABS INC 04-1 3A

   VAR RT 04/25/2034 DD 02/26/04    1,725    1,532  

CWABS INC 04-AB2 ASSET CL A-2

   VAR RT 10/25/2033 DD 12/29/04    76,182    76,139  

CWALT

   05-20CB 2A3 5.5 7/35    1,010,149    1,013,602  

CWALT

   06-OC11 2A1 1ML+10 3/28    968,140    956,541  

CWALT

   06-OC10 2A1 1ML+7 11/36    748,993    736,544  

CWALT INC 04-16CB CL 2-A-2

   5.000% 08/25/2019 DD 06/01/04    302,976    299,104  

CWALT INC 05-22T1 MTG A2 IO

   VAR RT 06/25/2035 DD 04/25/05    1,250,383    17,105  

CWALT INC 05-28CB CL 1A4

   5.500% 08/25/2035 DD 06/01/05    500,000    474,370  

CWALT INC 05-36 CB P/T CL A-10

   VAR RT 07/25/2035 DD 05/25/05    134,671    134,233  

CWALT INC 05-J1 MTG P/T 1-A-4

   VAR RT 02/25/2035 DD 01/25/05    954,830    14,351  

CWALT INC 2004-2 1-A-9 04-2CB

   5.750% 03/25/2034 DD 01/01/04    625,952    518,682  

CWALT INC 2005-54CB CL 1A11

   5.500% 11/25/2035 DD 09/01/05    500,000    464,200  

CWALT INC 2005-5R CL A1

   5.250% 12/25/2018 DD 01/01/05    231,071    231,226  

CWL

   07-5 2A1 1ML+10 4/37    1,793,215    1,741,946  

CWL

   07-6 2A1 1ML+10 9/37    1,518,938    1,485,947  

CWL

   07-7 2A1 1ML+8 2/25/37    1,361,876    1,322,982  

CWL

   07-1 2A1 1ML+5 7/37    1,202,986    1,164,583  

CWL

   06-22 2A1 1ML+5 5/37    849,226    837,247  

CWL

   06-14 2A1 1ML+5 10/36    804,515    793,706  

CWL

   06-19 2A1 1ML+6 7/36    812,045    790,145  

CWMBS INC 03-34 CL A-11

   5.250% 09/25/2033 DD 07/01/03    74,470    69,093  

CWMBS INC 04-7 2A1

   VAR RT 06/25/2034 DD 04/01/04    145,535    143,123  

CWMBS INC 05-R1 TR 144A CL 2A1

   6.000% 03/25/2035 DD 03/01/05    4,653,432    4,695,685  

CWMBS INC 05-R2 MTG 1AF

   VAR RT 06/25/2035 DD 06/25/05    2,060,675    2,014,804  

CWMBS INC 2003-J14 2A-1

   6.250% 12/25/2033 DD 11/01/03    1,116,868    1,123,569  

CWMBS INC 2004-12CHL CL 11A2

   4.431% 08/25/2034 DD 06/01/04    1,031,719    1,025,374  

CWMBS INC 2004-HYB1 CL 2-A

   VAR RT 05/20/2034 DD 02/01/04    227,933    225,061  

CWMBS INC 2005-22 CL 2A1

   VAR RT 11/25/2035 DD 09/01/05    684,576    681,331  

CWMBS INC PASS THRU 03-J2 A-17

   VAR RT 04/25/2033 DD 02/25/03    165,355    6,479  

DAIMLER CHRYSLER NORTH AMER

   4.750% 01/15/2008 DD 01/16/03    250,000    249,960  

DAIMLER CHRYSLER NT

   7.750% 01/18/2011 DD 01/18/01    90,000    96,708  

DAIMLERC NA MTN

   5.75% 9/08/11    525,000    532,796  

DAIMLERCHRYSLER

   4.875% 6/15/10    475,000    472,889  

DAIMLERCHRYSLER N A HLDG CORP

   5.875% 03/15/2011 DD 03/14/06    1,865,000    1,892,397  

DAIMLERCHRYSLER NORTH AMER

   VAR RT 03/13/2009 DD 03/14/06    2,100,000    2,085,552  

DCAT

   06-D A4 0% 2/12    1,450,000    1,460,042  

DCMT

   03-2 A 1ML+13 8/10    1,685,000    1,685,467  

DCMT

   05-1 A 1ML+1 9/10    825,000    824,611  

DEERE JOHN CAP MTN #TR00330

   4.400% 07/15/2009 DD 07/15/05    200,000    200,844  

DEL LABS INC SR SUB NT

   8.000% 02/01/2012 DD 01/27/05    270,000    280,800  

DELPHI CORPORATION NT

   6.500% 05/01/2009 DD 05/04/99    105,000    63,000  

DELTA AIR

   6.821% 8/10/22 144A    450,000    453,478  

DELTA AIR

   00-1A2 7.57 11/18/10    425,000    429,250  

DENNYS HLDGS INC SR NT

   10.000% 10/01/2012 DD 04/01/05    575,000    552,719  

DEUTSCHE BK AG

   5.375% 10/12/12    1,325,000    1,357,672  

DEUTSCHE BK AG GLOBAL MEDIUM

   5.375% 10/12/2012 DD 10/12/07    1,110,000    1,137,395  

DEUTSCHE BK AG LONDON SR NT

   6.000% 09/01/2017 DD 08/29/07    5,500,000    5,703,665  

DEUTSCHE BK AG MTN

   MTN 5% 10/12/10    1,035,000    1,055,866  

DEUTSCHE BK CAP FDG TR VII

   VAR RT 01/19/2049 DD 01/19/06    720,000    654,523  

DEUTSCHE TEL GLB

   5.25 7/22/13DT    390,000    388,432  

DEVELOPERS DIV

   4.625% 8/01/10    815,000    793,751  

DEVELOPERS DIV

   5% 5/03/10    405,000    398,519  

DEVELOPERS DIV

   3.875 1/30/09    160,000    156,339  

DEVON FING CORP

   6.875% 9/30/11    1,200,000    1,285,069  

DEX MEDIA WEST LLC

   9.875% 08/15/2013 DD 02/15/04    300,000    312,000  

DIAGEO CAP PLC

   5.75% 10/23/17    1,200,000    1,206,815  

DIAGEO CAP PLC GLOBAL NT

   3.375% 03/20/2008 DD 03/20/03    350,000    349,346  

DIAGEO CAP PLC GTD NT

   5.200% 01/30/2013 DD 10/26/07    495,000    497,242  

DIAGEO CPTL GLB

   5.2 1/30/13    1,325,000    1,331,049  

DIAGEO CPTL GLB

   5.2 1/30/13    555,000    557,534  

 

24


Table of Contents

Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value

DIGICEL GROUP LTD SR NT 144A

   8.875% 01/15/2015 DD 02/27/07    350,000    320,250

DIGICEL LTD GTD SR NT 144A

   9.250% 09/01/2012 DD 07/28/05    375,000    382,031

DISCOVER FIN

   FRN3ML+55 6/10144    1,175,000    1,118,295

DLJ COML MTG 99-CG2 CL A-1B

   7.300% 06/10/2032 DD 06/01/99    222,534    228,743

DLJCM

   1998-CG1 B1 6.91 6/31    970,000    976,631

DLJCM

   00-CKP1 A1B 7.18% 11/33    718,868    757,303

DODGE & COC INTL STK

   DODGE & COC INTL STK    3,500,331    161,085,241

DOMINION RES INC

   4.75 12/15/10    580,000    581,122

DOMINION RESOURCE

   7.5/VAR 6/66    595,000    588,255

DOMINION RESOURCE

   6.3/VAR 9/66    295,000    286,867

DOMINION RESRCE

   6.25% 6/30/12    1,107,000    1,159,799

DONALDSON LUFKIN & JEN SR NTS

   6.500% 06/01/2008 DD 06/08/98    175,000    175,929

DOW CHEM CO NT

   6.000% 10/01/2012 DD 08/29/02    210,000    218,301

DOW CHEM CO NT

   6.125% 02/01/2011 DD 02/08/01    150,000    155,625

DRIVE

   06-2 A-3 5.33% 4/14    790,000    794,657

DRIVE

   06-1 A4 5.54% 12/13    630,000    640,181

DTAOT

   07-A A3 XCLA 5.60% 3/13    865,000    852,431

DTE ENERGY CO

   7.05% 6/01/11    590,000    626,507

DUKE CAP CORP

   6.25% 2/15/13    2,600,000    2,695,350

DUKE CAP CORP

   4.37% 3/01/09    620,000    615,090

DUKE ENERGY CORP SR NT

   4.200% 10/01/2008 DD 09/23/03    300,000    298,125

DUKE REALTY

   4.625 5/15/13    145,000    137,435

DUKE REALTY LP

   5.625% 8/15/11    355,000    357,003

DUKE REALTY LP

   6.95% 3/15/11    260,000    272,554

DUKE REALTY LP

   5.5% 3/01/16    200,000    189,387

DUKE REALTY LP

   5.95% 2/15/17    60,000    58,085

DYNEGY HLDGS INC SR NT

   7.750% 06/01/2019 DD 05/24/07    135,000    124,538

E TRADE FINL CORP SR NT

   8.000% 06/15/2011 DD 12/15/04    640,000    555,200

ECLSR VAL & RSTG IS

   ECLSR VAL & RSTG IS    3,300,510    187,468,982

EDP FINANCE

   BV5.375 11/12 144A    2,825,000    2,827,862

EDP FINANCE

   BV5.375 11/12 144A    1,000,000    1,001,013

EDUCATION MGMT LLC/ED MGMT FIN

   10.250% 06/01/2016 DD 12/01/06    445,000    458,350

ELWOOD ENERGY LLC SR SECD BD

   8.159% 07/05/2026 DD 12/23/01    348,687    348,575

EMBARQ CORP

   6.738% 6/01/13    595,000    615,454

EMPRESA NACL

   6.75 11/15/12144A    415,000    442,499

ENCANA HLDGS

   5.8 5/1/14    430,000    440,602

ENCANA HLDGS

   5.8 5/1/14    215,000    220,301

ENEL FIN INTL

   6.25% 9/15/17 144    2,431,000    2,459,963

ENEL FIN INTL S A GTD NT 144A

   6.250% 09/15/2017 DD 09/20/07    1,000,000    1,011,870

ENERGY FUTURE HLDGS CORP 144A

   10.875% 11/01/2017 DD 10/31/07    245,000    246,225

ENERGY PARTNERS LTD SR NT

   9.750% 04/15/2014 DD 10/15/07    365,000    344,925

ENTERPRISE GLBL

   4.625% 10/15/09    410,000    409,355

ENTERPRISE PROD

   4.95% 6/01/10    775,000    775,516

ENTERPRISE PRODS OPER LLC NT

   6.300% 09/15/2017 DD 09/04/07    545,000    557,606

EQUITY ONE INC

   6% 9/15/17 WI    295,000    276,879

EQUITY ONE INC

   6.25% 1/15/17    180,000    175,480

ERP OPER LTD PARTNERSHIP SR NT

   4.750% 06/15/2009 DD 06/04/04    45,000    44,395

ERP OPERAT LP

   5.5% 10/1/12    265,000    262,696

EURO MONETARY UNIT.

   EURO MONETARY UNIT.    20,461    29,861

EVERGREEN INTL BOND I

   EVERGREEN INTL BOND I    2,427,598    27,334,751

EXCO RES INC SR NT

   7.250% 01/15/2011 DD 01/20/04    735,000    707,438

EXELON CORP

   6.75% 5/01/11    750,000    783,866

EXELON CORP

   4.9% 6/15/15    825,000    776,587

EXELON GENERATION CO LLC SR NT

   6.950% 06/15/2011 DD 12/15/01    335,000    349,549

EX-IMP BK KOR

   5.125% 2/14/11    815,000    817,183

FARMER MAC GTD NTS 07-1 144A

   5.125% 04/19/2017 DD 04/19/07    2,730,000    2,826,833

FBG FIN LTD

   5.125% 6/15/15 144A    360,000    350,032

FED DEPT ST DEL

   6.625% 9/01/08    250,000    251,904

FED REALTY TR

   6% 7/15/12    595,000    610,679

FED REALTY TR

   5.4% 12/01/13    220,000    217,488

FED REALTY TR

   6.2% 1/15/17    105,000    104,698

FEDERAL HOME LN BKS

   4.720% 09/20/2012 DD 09/20/05    780,619    780,814

FEDERAL HOME LN BKS CONS BD

   4.430% 04/07/2008 DD 04/07/05    2,800,000    2,798,740

FEDERAL HOME LN MTG CORP DEBS

   4.500% 07/15/2013 DD 07/18/03    1,500,000    1,539,930

FEDERAL HOME LN MTG CORP MTN

   5.500% 01/18/2008 DD 07/12/06    3,550,000    3,551,420

FEDERAL HOME LN MTG CORP MTN

   4.000% 06/12/2013 DD 06/12/03    3,000,000    2,970,990

FEDERAL HOME LN MTG CORP MTN

   4.250% 06/23/2008 DD 06/23/05    1,000,000    998,700

FEDERAL HOME LN MTG DEB

   4.125% 07/12/2010 DD 06/21/05    2,736,000    2,771,158

FEDERAL HOME LN MTG DEBS

   6.875% 09/15/2010 DD 09/22/00    914,000    989,590

FEDERAL NATL MTG ASSN

   6.625% 11/15/2010 DD 11/03/00    4,000,000    4,336,560

FEDERAL NATL MTG ASSN

   6.625% 11/15/2010 DD 11/03/00    2,000,000    2,168,280

FEDERAL NATL MTG ASSN

   6.000% 05/15/2011 DD 05/25/01    1,000,000    1,063,800

FEDERAL NATL MTG ASSN DEBS

   7.125% 06/15/2010 DD 06/09/00    3,400,000    3,686,178

FEDERAL NATL MTG ASSN DEBS

   4.750% 03/12/2010 DD 03/08/07    2,550,000    2,612,201

 

25


Table of Contents

Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value

FEDERAL NATL MTG ASSN DEBS

   5.750% 02/15/2008 DD 02/05/98    1,500,000    1,503,930

FEDERAL NATL MTG ASSN DEBS

   7.250% 01/15/2010 DD 1/14/2000    1,200,000    1,283,736

FEDERAL NATL MTG ASSN DEBS

   5.125% 01/02/2014 DD 11/06/03    1,000,000    1,029,920

FEDERAL NATL MTG ASSN DEBS

   6.125% 03/15/2012 DD 03/26/02    500,000    543,775

FEDERAL NATL MTG ASSN DEBS

   6.625% 09/15/2009 DD 09/01/99    400,000    420,052

FHLB

   5.375% 8/19/11    1,135,000    1,197,588

FHLG

   5.50% 1/38    4,000,000    3,992,051

FHLG

   6.00% 8/26 #G00587    257,161    265,317

FHLG

   6.00% 8/28 #C13910    249,974    254,963

FHLM

   ARM 6.54% 2/37 #1J1516    2,104,276    2,148,820

FHLM

   ARM 6.39% 5/37 #1N1477    1,316,371    1,338,470

FHLM

   4.75% 1/18/11    1,065,000    1,099,162

FHLM

   ARM 6.74% 1/37 #1N0345    864,643    882,808

FHLM

   ARM 6.85% 10/36 #1J1345    841,937    858,317

FHLM

   ARM 6.64% 7/36 #1J1302    774,467    792,901

FHLM

   ARM 6.74%10/36 #1A1096    633,767    647,429

FHLM

   ARM 6.52% 10/36 #1N0247    601,701    613,053

FHLM

   ARM 6.04% 7/37 #1J1803    602,238    610,240

FHLM

   ARM 5.57% 1/36 #1N0107    324,513    327,876

FHLM

   ARM 5.15% 4/35 #1N0006    262,200    263,981

FHLM

   ARM 5.034% 4/35 #1N0002    257,361    260,419

FHLM

   ARM 6.08% 4/36 #1G1886    183,465    186,550

FHLM

   4.77% 10/34 #1B2053    179,687    179,989

FHLM

   ARM 4.232% 1/35 #782988    127,445    128,347

FHLM

   ARM 5.451% 11/35 #1G1790    125,641    126,960

FHLM

   ARM 5.87% 6/36 #1G1894    117,731    119,458

FHLM

   ARM 4.401% 2/35 #1G0103    118,220    117,678

FHLM

   ARM 6.04% 6/36 #1G2426    112,368    113,946

FHLM

   ARM 6.10% 6/36 #1G2425    106,390    108,394

FHLM

   ARM 4.55% 2/35 #1G0068    103,481    103,236

FHLM

   ARM 6.70% 8/36 #1N0188    99,890    102,116

FHLM

   ARM 4.37% 3/35 #1G0125    99,970    99,509

FHLM

   ARM 4.434% 2/35 #783032    97,357    97,707

FHLM

   ARM 5.21% 3/36 #1G1851    92,266    92,813

FHLM

   ARM 5.78% 10/35 #1N0063    89,631    90,788

FHLM

   4.82% 9/34 #1B1946    86,642    86,892

FHLM

   ARM 4.444% 3/35 #1G0133    72,586    72,264

FHLM

   ARM 4.504% 3/35 #1G0145    59,642    59,422

FHLM

   ARM 4.314% 12/34 #1B2670    57,120    56,855

FHLM

   ARM 4.497% 6/35 #1B2907    52,053    52,378

FHLM

   ARM 4.441% 2/34 #781229    51,543    51,321

FHLM

   ARM 4.307% 3/35 #783067    46,281    46,418

FHLM

   ARM 4.889% 3/33 #847126    17,677    17,939

FHLMC

   5.25% 7/18/11    7,027,000    7,384,492

FHLMC

   4.75% 3/5/12    5,300,000    5,472,250

FHLMC

   5.5% 8/23/17    4,230,000    4,538,676

FHLMC

   5% 1/30/14-07    1,580,000    1,653,167

FHLMC POOL #1B-1513

   4.518% 02/01/2034 DD 02/01/04    1,694,206    1,680,788

FHLMC POOL #1B-1665

   VAR RT 04/01/2034 DD 04/01/04    402,445    398,151

FHLMC POOL #1B-2892

   VAR RT 04/01/2035 DD 04/01/05    1,222,020    1,231,173

FHLMC POOL #1B-3485

   VAR RT 07/01/2037 DD 07/01/07    795,337    802,773

FHLMC POOL #1J-0282

   VAR RT 02/01/2037 DD 02/01/07    932,986    951,804

FHLMC POOL #1Q-0105

   VAR RT 09/01/2036 DD 08/01/06    389,447    399,409

FHLMC POOL #78-1087

   VAR RT 12/01/2033 DD 11/01/03    381,263    377,832

FHLMC POOL #78-1385

   VAR RT 04/01/2034 DD 03/01/04    1,223,014    1,265,232

FHLMC POOL #78-1605

   VAR RT 06/01/2034 DD 05/01/04    1,007,975    1,028,860

FHLMC POOL #84-7415

   VAR RT 06/01/2035 DD 06/01/05    1,413,762    1,413,224

FHLMC POOL #A2-1170

   6.500% 04/01/2034 DD 04/01/04    491,018    505,827

FHLMC POOL #A2-8796

   6.500% 11/01/2034 DD 11/01/04    200,703    206,576

FHLMC POOL #A4-0503

   5.000% 12/01/2035 DD 12/01/05    439,204    429,028

FHLMC POOL #A4-6973

   5.000% 09/01/2035 DD 09/01/05    865,930    845,996

FHLMC POOL #A4-6987

   5.500% 07/01/2035 DD 09/01/05    389,256    389,416

FHLMC POOL #A5-4679

   6.500% 06/01/2036 DD 06/01/06    454,707    467,634

FHLMC POOL #B1-2459

   4.500% 10/01/2018 DD 02/01/04    272,875    269,101

FHLMC POOL #B1-3051

   4.500% 04/01/2019 DD 03/01/04    224,887    221,427

FHLMC POOL #B1-4730

   4.000% 05/01/2014 DD 05/01/04    1,022,830    1,004,685

FHLMC POOL #B1-4961

   4.500% 06/01/2019 DD 06/01/04    616,511    607,028

FHLMC POOL #C0-2660

   6.500% 11/01/2036 DD 11/01/06    825,710    849,036

FHLMC POOL #C9-0781

   3.500% 10/01/2023 DD 10/01/03    352,430    333,959

FHLMC POOL #C9-0985

   6.500% 08/01/2026 DD 08/01/06    416,148    427,962

FHLMC POOL #D9-5395

   6.500% 05/01/2022 DD 05/01/02    353,262    361,613

FHLMC POOL #E0-1205

   6.500% 08/01/2017 DD 08/01/02    2,097,805    2,168,627

FHLMC POOL #E0-1254

   6.500% 10/01/2017 DD 10/01/02    81,642    84,377

 

26


Table of Contents

Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value

FHLMC POOL #E8-3211

   6.500% 04/01/2016 DD 04/01/01    53,847    55,732

FHLMC POOL #E9-0325

   6.500% 06/01/2017 DD 06/01/02    194,554    200,444

FHLMC POOL #E9-6973

   4.000% 06/01/2018 DD 06/01/03    941,043    908,973

FHLMC POOL #E9-9955

   5.000% 10/01/2018 DD 10/01/03    261,350    262,712

FHLMC POOL #G0-1864

   5.000% 01/01/2034 DD 07/01/05    3,009,769    2,942,124

FHLMC POOL #G1-1406

   4.000% 06/01/2013 DD 06/01/03    339,883    334,914

FHLMC POOL #G1-1565

   4.500% 01/01/2019 DD 05/01/04    573,808    565,786

FHLMC POOL #J0-2203

   6.000% 04/01/2020 DD 06/01/05    555,252    564,730

FHLMC POOL #J0-2204

   6.500% 01/01/2020 DD 06/01/05    350,423    359,264

FHLMC POOL #P6-0089

   7.000% 12/01/2014 DD 01/01/03    61,017    64,192

FHLMC POOL #P6-0090

   7.000% 03/01/2016 DD 01/01/03    54,874    57,675

FHLMC GROUP #C0-0710

   5.500% 11/01/2028 DD 11/01/98    1,621,924    1,625,655

FHLMC GROUP #E2-0252

   7.000% 07/01/2011 DD 07/01/96    40,501    41,663

FHLMC GROUP #E2-0257

   7.000% 08/01/2011 DD 08/01/96    85,903    88,390

FHLMC INT PMT

   5.750% 01/15/2012 DD 01/14/02    800,000    852,984

FHLMC MULTI MTG 3068 AO PO

   0.000% 01/15/2035 DD 11/01/05    681,931    580,794

FHLMC MULTICLAS MTG

   0.000% 09/15/2036 DD 09/15/06    469,346    369,047

FHLMC MULTICLASS 04-21 CO PO

   0.000% 04/25/2034 DD 03/01/04    62,767    27,013

FHLMC MULTICLASS CTF 2344 ZJ

   6.500% 08/15/2031 DD 08/01/01    45,541    47,634

FHLMC MULTICLASS CTF 2362 PD

   6.500% 06/15/2020 DD 09/01/01    89,590    90,130

FHLMC MULTICLASS CTFS 1617 PM

   6.500% 11/15/2023 DD 11/01/93    473,326    490,318

FHLMC MULTICLASS CTFS 1671 I

   7.000% 02/15/2024 DD 02/01/94    1,000,000    1,065,960

FHLMC MULTICLASS CTFS 2169 TB

   7.000% 06/15/2029 DD 06/01/99    300,000    313,677

FHLMC MULTICLASS CTFS 2262 Z

   7.500% 10/15/2030 DD 10/01/00    211,962    223,935

FHLMC MULTICLASS CTFS 2355 BP

   6.000% 09/15/2016 DD 09/01/01    291,682    300,823

FHLMC MULTICLASS CTFS 2399 OH

   6.500% 01/15/2032 DD 01/01/02    452,899    462,292

FHLMC MULTICLASS CTFS 2410 NG

   6.500% 02/15/2032 DD 02/01/02    803,664    820,316

FHLMC MULTICLASS CTFS 2425 OB

   6.000% 03/15/2017 DD 03/01/02    333,793    341,036

FHLMC MULTICLASS CTFS 2460 VZ

   6.000% 11/15/2029 DD 06/01/02    347,456    360,694

FHLMC MULTICLASS CTFS 2474 NR

   6.500% 07/15/2032 DD 07/01/02    300,000    306,426

FHLMC MULTICLASS CTFS 2484 LZ

   6.500% 07/15/2032 DD 07/01/02    426,203    444,474

FHLMC MULTICLASS CTFS 2494 VA

   6.000% 03/15/2014 DD 04/01/03    161,753    164,330

FHLMC MULTICLASS CTFS 2557 WJ

   5.000% 07/15/2014 DD 01/01/03    510,956    510,410

FHLMC MULTICLASS CTFS 2565 MB

   6.000% 05/15/2030 DD 01/01/03    162,894    164,777

FHLMC MULTICLASS CTFS 2619 HR

   3.500% 11/15/2031 DD 05/01/03    279,625    265,738

FHLMC MULTICLASS CTFS 2628 WA

   4.000% 07/15/2028 DD 06/01/03    500,000    485,810

FHLMC MULTICLASS CTFS 2686 GB

   5.000% 05/15/2020 DD 10/01/03    653,100    657,156

FHLMC MULTICLASS CTFS 2695 DE

   4.000% 01/15/2017 DD 10/01/03    500,000    489,670

FHLMC MULTICLASS CTFS 2769 PO

   0.000% 03/15/2034 DD 03/01/04    39,830    20,999

FHLMC MULTICLASS CTFS 2780 JG

   4.500% 04/15/2019 DD 04/01/04    268,151    258,093

FHLMC MULTICLASS CTFS 2841 YA

   5.500% 07/15/2027 DD 08/01/04    1,053,665    1,060,946

FHLMC MULTICLASS CTFS 2931 GA

   5.000% 11/15/2028 DD 02/01/05    788,123    788,485

FHLMC MULTICLASS CTFS 2989 PO

   0.000% 06/15/2023 DD 05/01/05    66,067    48,124

FHLMC MULTICLASS CTFS 3047 OB

   5.500% 12/15/2033 DD 10/01/05    300,000    305,172

FHLMC MULTICLASS CTFS 3110 TU

   5.500% 08/15/2013 DD 02/01/06    826,662    840,930

FHLMC MULTICLASS CTFS 3138 PO

   0.000% 04/15/2036 DD 04/01/06    362,898    285,673

FHLMC MULTICLASS CTFS T-54 3A

   7.000% 02/25/2043 DD 02/01/03    98,035    103,502

FHLMC MULTICLASS CTS 2752 JB

   4.500% 02/15/2019 DD 02/01/04    1,000,000    956,470

FHLMC MULTICLASS MTG

   6.000% 01/15/2017 DD 01/01/02    1,094,586    1,133,662

FHLMC MULTICLASS MTG

   5.000% 11/15/2022 DD 09/01/03    1,000,000    999,730

FHLMC MULTICLASS MTG

   4.500% 05/15/2018 DD 05/01/03    1,000,000    952,540

FHLMC MULTICLASS MTG

   4.500% 07/15/2018 DD 07/01/03    975,539    950,546

FHLMC MULTICLASS MTG

   4.500% 06/15/2018 DD 06/01/03    800,000    789,352

FHLMC MULTICLASS MTG

   VAR RT 07/15/2036 DD 07/15/06    6,905,034    647,623

FHLMC MULTICLASS MTG

   4.500% 05/15/2018 DD 05/01/06    560,000    532,454

FHLMC MULTICLASS MTG

   VAR RT 05/15/2036 DD 04/15/06    4,176,021    390,834

FHLMC MULTICLASS MTG

   5.000% 02/15/2022 DD 09/01/02    369,875    370,777

FHLMC MULTICLASS MTG

   6.500% 08/15/2028 DD 08/01/98    325,625    335,472

FHLMC MULTICLASS MTG

   0.000% 02/15/2036 DD 02/01/06    424,817    327,326

FHLMC MULTICLASS MTG

   VAR RT 05/15/2030 DD 02/15/04    260,865    252,137

FHLMC MULTICLASS MTG

   VAR RT 10/15/2015 DD 09/15/03    209,506    198,538

FHLMC MULTICLASS MTG

   0.000% 12/15/2032 DD 07/01/03    231,477    189,714

FHLMC MULTICLASS MTG

   VAR RT 05/15/2036 DD 04/15/06    1,877,896    171,846

FHLMC MULTICLASS MTG

   VAR RT 01/15/2019 DD 07/15/04    113,891    116,743

FHLMC MULTICLASS MTG

   10.000% 11/15/2022 DD 06/01/98    98,075    108,515

FHLMC MULTICLASS MTG

   VAR RT 02/15/2032 DD 02/15/02    100,000    102,796

FHLMC MULTICLASS MTG

   VAR RT 08/15/2036 DD 07/15/06    771,783    83,430

FHLMC MULTICLASS MTG

   6.500% 05/15/2008 DD 05/01/93    50,897    50,918

FHLMC MULTICLASS MTG

   VAR RT 03/15/2033 DD 05/15/03    641,792    45,490

FHLMC MULTICLASS MTG

   VAR RT 10/15/2021 DD 10/15/03    487,641    35,817

FHLMC MULTICLASS MTG

   VAR RT 06/15/2023 DD 06/15/03    433,966    29,974

FHLMC MULTICLASS MTG

   VAR RT 02/15/2025 DD 08/15/03    28,737    28,727

FHLMC MULTICLASS MTG

   VAR RT 10/15/2033 DD 10/15/03    36,888    27,070

 

27


Table of Contents

Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value

FHLMC MULTICLASS MTG

   VAR RT 08/15/2008 DD 08/15/93    24,828    24,661

FHLMC MULTICLASS MTG

   VAR RT 02/15/2033 DD 04/15/03    394,892    22,051

FHLMC MULTICLASS MTG

   VAR RT 02/15/2033 DD 04/15/03    276,568    18,287

FHLMC MULTICLASS MTG

   6.500% 03/15/2033 DD 03/01/03    79,009    17,548

FHLMC MULTICLASS MTG 1837 Z

   6.500% 04/15/2026 DD 04/01/96    394,422    407,604

FHLMC MULTICLASS MTG 2102 TC

   6.000% 12/15/2013 DD 12/01/98    747,022    768,275

FHLMC MULTICLASS MTG 2505 KE

   6.000% 06/15/2031 DD 09/01/02    1,037,915    1,039,347

FHLMC MULTICLASS MTG 2508 AQ

   5.500% 10/15/2017 DD 10/01/02    1,000,000    1,013,040

FHLMC MULTICLASS MTG 2513 TG

   6.000% 02/15/2032 DD 10/01/02    318,119    321,374

FHLMC MULTICLASS MTG 2513 YO

   0.000% 02/15/2032 DD 10/01/02    147,962    129,230

FHLMC MULTICLASS MTG 2519 BT

   8.500% 09/15/2031 DD 11/01/02    22,175    24,003

FHLMC MULTICLASS MTG 2527 TB

   6.000% 11/15/2032 DD 11/01/02    100,000    99,426

FHLMC MULTICLASS MTG 2537 TE

   5.500% 12/15/2017 DD 12/01/02    1,000,000    1,008,890

FHLMC MULTICLASS MTG 2591 QU

   3.750% 06/15/2017 DD 03/01/03    1,084,359    1,066,760

FHLMC MULTICLASS MTG 2645 DA

   4.500% 07/15/2018 DD 07/01/03    868,935    835,768

FHLMC MULTICLASS MTG 2650 QN

   4.500% 01/15/2033 DD 07/01/03    629,377    612,655

FHLMC MULTICLASS MTG 2657 MD

   5.000% 12/15/2020 DD 08/01/03    1,000,000    1,000,510

FHLMC MULTICLASS MTG 2684 PO

   0.000% 01/15/2033 DD 10/01/03    500,000    343,725

FHLMC MULTICLASS MTG 2766 SW I

   VAR RT 09/15/2029 DD 03/15/04    1,041,936    57,536

FHLMC MULTICLASS MTG 3036 NS I

   VAR RT 08/15/2035 DD 09/15/05    672,379    63,762

FHLMC MULTICLASS MTG 3117 OK

   0.000% 02/15/2036 DD 02/01/06    165,730    121,142

FHLMC MULTICLASS MTG 3134 PO

   0.000% 03/15/2036 DD 03/01/06    224,371    178,395

FHLMC MULTICLASS MTG 3150 PO

   0.000% 05/15/2036 DD 05/01/06    274,196    215,672

FHLMC MULTICLASS MTG 3158 LX

   VAR RT 05/15/2036 DD 05/01/06    227,984    204,937

FHLMC MULTICLASS MTG 3260 CS I

   VAR RT 01/15/2037 DD 01/15/07    422,728    18,862

FHLMC MULTICLASS MTG 3274 JO P

   0.000% 02/15/2037 DD 02/01/07    490,877    357,628

FHLMC MULTICLASS MTG 3299 KA

   5.000% 12/15/2027 DD 04/01/07    6,536,721    6,597,512

FHLMC MULTICLASS MTG 3331 PO P

   0.000% 06/15/2037 DD 06/15/07    358,162    271,666

FHLMC MULTICLASS MTG GTD 3117

   VAR RT 02/15/2036 DD 02/15/06    2,207,644    205,995

FHLMC MULTICLASS MTG P/C 1668D

   6.500% 02/15/2014    354,930    365,947

FHLMC MULTICLASS MTG T-61 1A1

   VAR RT 07/25/2044 DD 06/01/04    2,421,426    2,479,540

FHLMC MULTICLASS PO 3179 OA

   0.000% 07/15/2036 DD 07/01/06    200,000    161,792

FHLMC MULTICLASS SER T-54 2A

   6.500% 02/25/2043 DD 02/01/03    213,180    218,443

FHLT

   05-E 2A2 1ML+17 1/36    435,241    432,453

FHLT

   04-A M1 1ML+55 1/34    281,414    259,015

FHLT

   06-2 2A1 1ML+6 2/36    221,455    220,070

FHLT

   05-A M2 1ML+46 1/35    150,000    136,757

FHLT

   05-A M1 1ML+43 1/35    100,000    85,890

FHLT

   05-A M3 1ML+49 1/35    75,000    69,028

FHLT

   05-A M4 1ML+68 1/35    75,000    62,831

FHR

   2760 EB 4.5 9/2016    2,500,000    2,499,822

FHR

   3200 AD 5.5% 5/29    2,250,786    2,275,704

FHR

   3294 NA 5.5% 7/27    1,596,179    1,622,095

FHR

   2965 GC 4.5 11/18    1,545,000    1,545,315

FHR

   2866 XE 4 12/18    1,365,000    1,335,926

FHR

   2892 QR 4 11/23    1,225,000    1,220,215

FHR

   3242 QA 0 3/30    1,148,244    1,167,336

FHR

   2770 UD 4.5% 5/17    1,135,000    1,131,302

FHR

   2553 FB 1ML+50 3/29    919,340    921,930

FHR

   3013 VJ 5 1/14    870,156    877,372

FHR

   2626 NA 5 6/23    803,218    806,454

FHR

   2952 EC 5.5% 11/28    755,000    767,146

FHR

   2777 AB 4.5 6/29    760,194    753,851

FHR

   3049 DB 5.5 6/31    675,000    687,060

FHR

   2643 LC 4.5% 7/18    700,000    684,794

FHR

   2577 FW 1ML+50 1/30    628,354    629,871

FHR

   2543 QT 5.5 4/22    585,000    593,164

FHR

   3018 UD 5.5 9/30    470,000    478,368

FHR

   2810 PD 6 6/33    465,000    477,225

FHR

   2104 PG 6% 12/28    351,047    360,082

FHR

   2363 PF 6% 9/16    308,969    316,619

FHR

   3033 UD 5.5% 10/30    290,000    295,182

FHR

   2356 GD 6% 9/16    224,369    230,024

FHR

   2809 UA 4 12/14    153,234    152,262

FHR

   2861 GF 1ML+30 1/21    143,659    143,887

FHR

   2399 PG 6% 1/17    138,928    141,975

FHR

   2516 AH 5% 1/16    116,111    116,081

FHR

   2640 QG 2% 4/22    25,652    25,465

FHR

   2625 QX 2.25% 3/22    12,566    12,501

FIFTH THIRD BANCORP SUB NT

   5.450% 01/15/2017 DD 12/20/06    300,000    286,734

FIRST DATA CORP BANK LOAN

   VAR RT 09/24/2014 DD 09/24/07    625,000    592,356

FIRST DATA CORP SR NT 144A

   9.875% 09/24/2015 DD 10/24/07    325,000    302,250

FIRST HORIZON 2004-AA4 A-1

   VAR RT 10/25/2034 DD 09/01/04    361,996    361,453

 

28


Table of Contents

Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value

FIRST HORIZON MTG 04-AR7 2A1

   VAR RT 02/25/2035 DD 12/01/04    300,181    297,611

FIRST HORIZON MTG P/T 05-AR1

   VAR RT 04/25/2035 DD 02/01/05    293,547    291,568

FIRST HORIZON P/T 06-FA4 1A1

   6.000% 08/25/2036 DD 06/01/06    136,691    135,906

FIRST UN NATL BK 99-C2 CL A2

   6.645% 06/15/2031 DD 05/01/99    196,022    198,812

FIRSTENERGY 6.45% 11/15/11

   6.45% 11/15/11    2,095,000    2,163,331

FLEETBOSTON FINL CORP SR NT

   3.850% 02/15/2008 DD 02/13/03    385,000    384,338

FMIC 06-2 2A1 1ML+9 7/36

   06-2 2A1 1ML+9 7/36    996,856    974,834

FNGT 02-T6 A1 3.31 2/32

   02-T6 A1 3.31 2/32    393,912    374,063

FNMA

   4.375% 10/15/15    10,600,000    10,686,125

FNMA

   5% 2/16/12    7,000,000    7,295,313

FNMA

   5.000% 02/01/2036 DD 01/01/06    7,079,933    6,925,307

FNMA

   5.50% 11/32 #254548    4,317,699    4,321,431

FNMA

   6.50% 9/36 #831799    4,165,000    4,283,534

FNMA

   5.50% 6/36 #888877    4,100,000    3,952,656

FNMA

   5.00% 5/36 #745515    3,865,044    3,773,389

FNMA

   4.500% 12/01/2018 DD 11/01/07    3,506,435    3,457,321

FNMA

   6.000% 10/01/2026 DD 09/01/06    3,346,799    3,405,000

FNMA

   5.50% 9/36 #888635    3,090,398    3,093,069

FNMA

   ARM 4.63% 2/35 #810417    3,070,354    3,078,712

FNMA

   5.68 2/23/17    2,775,000    2,822,675

FNMA

   5.50% 5/33 #888876    2,800,000    2,699,375

FNMA

   4.500% 04/01/2019 DD 03/01/04    2,222,420    2,196,995

FNMA

   5.500% 02/01/2037 DD 02/01/07    1,983,569    1,982,022

FNMA

   4.000% 12/01/2018 DD 04/01/05    1,953,137    1,883,098

FNMA

   5.500% 06/01/2036 DD 06/01/06    1,807,290    1,806,585

FNMA

   5.000% 11/01/2035 DD 12/01/06    1,836,802    1,800,856

FNMA

   ARM 4.41% 12/33 #888158    1,775,919    1,774,250

FNMA

   7.000% 04/01/2037 DD 04/01/07    1,562,347    1,627,075

FNMA

   VAR RT 10/01/2035 DD 06/01/07    1,603,023    1,620,484

FNMA

   5.50% 1/37 #906274    1,555,017    1,553,446

FNMA

   ARM 5.81% 7/46 #887094    1,514,850    1,544,543

FNMA

   4.000% 07/01/2019 DD 07/01/04    1,586,791    1,530,886

FNMA

   ARM 5.72% 8/36 #884762    1,429,897    1,456,674

FNMA

   ARM 4.02% 4/34 #766924    1,459,666    1,455,764

FNMA

   5.000% 07/01/2033 DD 07/01/03    1,459,002    1,430,887

FNMA

   6.500% 06/01/2022 DD 05/01/02    1,369,431    1,413,184

FNMA

   5.000% 01/01/2018 DD 01/01/03    1,358,171    1,367,067

FNMA

   4.500% 08/01/2018 DD 08/01/03    1,245,057    1,232,445

FNMA

   VAR RT 11/01/2034 DD 09/01/05    1,146,782    1,176,599

FNMA

   4.500% 08/01/2028 DD 09/01/03    1,184,468    1,128,916

FNMA

   ARM 4.61% 7/34 #735737    1,108,055    1,115,881

FNMA

   6.500% 11/01/2022 DD 12/01/04    1,067,114    1,102,905

FNMA

   6.50% 7/32 #545891    1,059,732    1,095,853

FNMA

   ARM 4.78% 5/35 #888548    1,076,128    1,086,154

FNMA

   5.500% 09/01/2036 DD 03/01/07    1,079,952    1,081,065

FNMA

   15YR 5.50% 1/18 #684247    1,010,684    1,028,841

FNMA

   ARM 3.854% 10/33 #879906    983,200    990,013

FNMA

   5.500% 04/01/2037 DD 03/01/07    989,029    988,287

FNMA

   5.500% 02/01/2037 DD 02/01/07    987,221    986,422

FNMA

   5.500% 01/01/2037 DD 01/01/07    975,059    974,328

FNMA

   6.000% 12/01/2036 DD 12/01/06    935,605    950,790

FNMA

   5.000% 12/01/2034 DD 07/01/07    967,053    948,418

FNMA

   VAR RT 04/01/2035 DD 04/01/05    948,967    944,830

FNMA

   6.000% 01/01/2037 DD 01/01/07    926,352    941,322

FNMA

   6.000% 02/01/2036 DD 02/01/06    922,621    938,085

FNMA

   6.000% 05/01/2036 DD 05/01/06    882,880    897,536

FNMA

   6.000% 01/01/2037 DD 01/01/07    881,772    896,022

FNMA

   6.000% 10/01/2036 DD 10/01/06    867,980    882,163

FNMA

   6.000% 02/01/2036 DD 02/01/06    865,067    879,523

FNMA

   6.000% 02/01/2036 DD 02/01/06    864,714    879,207

FNMA

   5.500% 06/01/2036 DD 06/01/06    872,518    872,178

FNMA

   VAR RT 02/01/2036 DD 12/01/06    852,520    861,702

FNMA

   5.500% 11/01/2036 DD 10/01/06    860,272    859,989

FNMA

   5.000% 07/01/2033 DD 07/01/03    864,665    848,003

FNMA

   6.000% 03/01/2036 DD 03/01/06    813,421    826,965

FNMA

   4.971% 07/01/2033 DD 07/01/03    739,343    739,572

FNMA

   6.000% 04/01/2024 DD 02/01/06    707,982    721,604

FNMA

   4.902% 08/01/2035 DD 08/01/05    723,203    720,889

FNMA

   ARM 5.50% 2/36 #880373    707,376    716,947

FNMA

   5.000% 11/01/2018 DD 10/01/03    713,616    716,847

FNMA

   ARM 5.238% 4/36 #745670    692,445    699,852

FNMA

   4.500% 08/01/2033 DD 08/01/03    731,984    693,635

FNMA

   VAR RT 06/01/2035 DD 07/01/06    683,824    680,323

 

29


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Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value

FNMA

   4.500% 03/01/2019 DD 03/01/04    686,905    678,903

FNMA

   4.000% 06/01/2019 DD 06/01/04    674,338    649,360

FNMA

   5.118% 11/01/2033 DD 10/01/03    644,893    649,156

FNMA

   5.245% 08/01/2034 DD 09/01/04    642,089    648,427

FNMA

   6.50% 3/35 #735723    607,012    627,702

FNMA

   15YR 4.00% 3/19 #773886    645,766    622,677

FNMA

   ARM 6.64% 9/36 #898176    597,481    613,719

FNMA

   VAR RT 05/01/2035 DD 05/01/05    592,516    596,806

FNMA

   4.500% 11/01/2014 DD 11/01/04    598,385    596,248

FNMA

   4.580% 08/01/2035 DD 08/01/05    601,778    596,103

FNMA

   6.50% 7/32 #545759    572,453    591,965

FNMA

   4.000% 09/01/2018 DD 08/01/03    608,517    586,696

FNMA

   5.500% 04/01/2033 DD 03/01/03    580,858    581,887

FNMA

   ARM 4.526% 2/35 #745226    576,440    576,824

FNMA

   ARM 4.68% 5/35 #824488    559,848    565,306

FNMA

   5.000% 05/01/2033 DD 05/01/03    570,319    559,448

FNMA

   ARM 5.10% 5/35 #827782    549,312    556,795

FNMA

   4.625% 5/01/13 SUBS    535,000    543,090

FNMA

   5.000% 06/01/2018 DD 06/01/03    534,864    537,286

FNMA

   4.500% 08/01/2018 DD 08/01/03    544,001    536,382

FNMA

   4.500% 07/01/2018 DD 07/01/03    526,282    521,182

FNMA

   ARM 5.31% 2/36 #822116    507,514    514,223

FNMA

   VAR RT 01/01/2035 DD 12/01/04    503,892    504,058

FNMA

   5.000% 07/01/2033 DD 06/01/03    511,563    501,705

FNMA

   ARM 5.84% 3/36 #865958    484,456    493,636

FNMA

   4.500% 06/01/2018 DD 06/01/03    498,184    493,357

FNMA

   4.109% 09/01/2033 DD 09/01/03    496,353    492,109

FNMA

   5.000% 03/01/2018 DD 03/01/03    469,688    471,816

FNMA

   ARM 5.221% 5/35 #827786    463,416    468,578

FNMA

   5.25% 8/01/12 SUBS    450,000    467,770

FNMA

   ARM 3.83% 10/33 #879911    459,556    458,816

FNMA

   6.000% 02/01/2036 DD 01/01/06    449,403    456,913

FNMA

   ARM 4.87% 10/34 #803596    453,929    456,405

FNMA

   15YR 5.50% 4/18 #254686    448,583    456,081

FNMA

   5.500% 04/01/2036 DD 04/01/06    456,227    456,077

FNMA

   15YR 6.00% 4/16 #725336    444,826    455,352

FNMA

   ARM 4.587% 2/35 #735355    444,503    445,126

FNMA

   5.500% 06/01/2036 DD 05/01/06    443,564    443,440

FNMA

   ARM 3.841% 4/22 #556945    423,518    428,465

FNMA

   4.000% 06/01/2018 DD 05/01/03    442,932    427,221

FNMA

   ARM 5.177% 5/35 #827784    419,635    423,769

FNMA

   15YR 5.00% 2/18 #703710    413,810    416,779

FNMA

   4.000% 09/01/2013 DD 01/01/04    422,625    415,673

FNMA

   5.500% 02/01/2037 DD 01/01/07    414,148    413,825

FNMA

   5.844% 12/01/2036 DD 12/01/06    404,550    413,208

FNMA

   6.00% 5/36 #891172    403,273    409,682

FNMA

   VAR RT 04/01/2035 DD 08/01/06    399,962    400,282

FNMA

   7.000% 12/01/2036 DD 12/01/06    380,030    399,636

FNMA

   ARM 4.96% 8/34 #796987    395,167    397,666

FNMA

   VAR RT 05/01/2035 DD 05/01/05    388,951    390,433

FNMA

   5.00% 3/37 #914071    391,698    382,226

FNMA

   VAR RT 11/01/2033 DD 11/01/03    375,034    379,231

FNMA

   5.000% 06/01/2018 DD 06/01/03    375,572    377,751

FNMA

   15YR 6.50% 6/14 #323794    336,180    346,884

FNMA

   6.500% 05/01/2022 DD 04/01/02    333,440    344,110

FNMA

   6.50% 12/31 #545333    332,737    344,078

FNMA

   ARM 6.18% 4/36 #891328    331,644    338,380

FNMA

   ARM 5.541% 11/36 #745972    322,152    325,796

FNMA

   15YR 5.00% 6/18 #721630    321,580    323,183

FNMA

   4.500% 12/01/2019 DD 02/01/05    322,194    318,369

FNMA

   ARM 3.592% 4/16 #556948    317,830    318,250

FNMA

   6.50% 1/33 #555254    306,800    317,257

FNMA

   VAR RT 11/01/2033 DD 10/01/03    309,018    313,551

FNMA

   4.000% 07/01/2018 DD 07/01/03    321,338    311,220

FNMA

   ARM 5.08% 9/34 #790765    304,128    306,098

FNMA

   7.000% 07/01/2017 DD 09/01/02    294,005    305,991

FNMA

   VAR RT 05/01/2035 DD 04/01/05    294,388    294,477

FNMA

   ARM 5.15% 1/36 #846594    284,255    286,527

FNMA

   5.00% 5/37 #919381    291,422    284,374

FNMA

   3.500% 04/01/2019 DD 04/01/04    300,968    283,316

FNMA

   7.000% 05/01/2017 DD 05/01/02    271,123    282,234

FNMA

   ARM 4.725% 3/35 #820598    267,892    271,956

FNMA

   15YR 5.50% 9/14 #545728    263,591    268,290

 

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Table of Contents

Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value

FNMA

   ARM 5.59% 9/36 #893081    258,473    261,634

FNMA

   5.000% 11/01/2018 DD 10/01/03    252,159    253,472

FNMA

   ARM 5.30% 12/35 #850837    248,387    251,445

FNMA

   15YR 5.50% 3/20 #735521    234,055    237,748

FNMA

   4.000% 07/01/2018 DD 07/01/03    235,454    227,072

FNMA

   ARM 5.8170% 5/35 #827781    216,793    219,734

FNMA

   15YR 5.50% 4/17 #633279    212,243    216,056

FNMA

   ARM 5.63% 1/36 #880368    210,845    214,105

FNMA

   6.000% 05/01/2033 DD 05/01/03    209,573    213,766

FNMA

   ARM 5.73% 9/35 #843020    206,394    209,553

FNMA

   15YR 5.50% 3/17 #629035    204,357    208,822

FNMA

   ARM 3.791% 6/34 #783545    209,224    208,219

FNMA

   6.000% 03/01/2018 DD 03/01/03    197,641    202,669

FNMA

   ARM 4.573% 2/35 #816591    197,369    200,498

FNMA

   ARM 3.75% 9/33 #751927    178,131    178,850

FNMA

   ARM 4.81% 6/35 #828449    177,149    178,785

FNMA

   15YR 5.50% 2/18 #555249    173,019    176,127

FNMA

   8.000% 09/01/2015 DD 08/01/00    166,902    173,850

FNMA

   6.50% 9/32 #646562    166,017    171,676

FNMA

   ARM 5.26% 11/36 #901494    167,755    169,555

FNMA

   ARM 5.203% 6/35 #830605    161,754    163,914

FNMA

   15YR 6.50% 5/13 #420033    158,512    163,448

FNMA

   15YR 5.50% 9/19 #725796    159,328    161,842

FNMA

   ARM 5.92% 1/1 #745376    157,463    160,232

FNMA

   ARM 4.499% 3/35 #783587    154,659    154,750

FNMA

   5.500% 09/01/2017 DD 09/01/02    151,733    151,097

FNMA

   ARM 4.694% 11/34 #813184    149,630    150,149

FNMA

   ARM 5.65% 7/37 #942609    144,061    146,340

FNMA

   ARM 4.53% 3/35 #735448    144,362    144,452

FNMA

   ARM 4.085% 10/29 #556946    141,152    143,286

FNMA

   15YR 6.50% 6/15 #555720    139,091    143,219

FNMA

   ARM 4.74% 10/34 #794794    141,312    141,684

FNMA

   5.500% 05/01/2013 DD 05/01/03    138,554    140,288

FNMA

   ARM 4.555% 7/35 #832099    138,991    139,957

FNMA

   ARM 4.584% 7/35 #815646    137,869    138,425

FNMA

   6.50% 4/32 #254311    133,843    138,405

FNMA

   7.000% 09/01/2031 DD 08/01/01    129,680    135,681

FNMA

   ARM 4.57% 9/34 #794611    133,358    133,663

FNMA

   ARM 5.180% 5/35 #827785    129,064    130,325

FNMA

   15YR 5.50% 10/19 #795064    127,450    129,342

FNMA

   7.000% 03/01/2017 DD 03/01/02    123,347    128,414

FNMA

   ARM 5.81% 2/36 #865519    125,280    127,605

FNMA

   5.500% 04/01/2034 DD 03/01/04    126,953    127,071

FNMA

   ARM 4.85% 11/34 #799812    123,462    123,914

FNMA

   ARM 4.67% 11/34 #799727    121,137    121,203

FNMA

   ARM 4.748% 7/34 #793028    120,396    120,890

FNMA

   15YR 5.50% 9/19 #725793    118,188    120,163

FNMA

   ARM 4.625% 2/35 #809931    117,845    118,048

FNMA

   ARM 4.493% 8/34 #735360    117,231    117,347

FNMA

   5.500% 03/01/2017 DD 03/01/02    116,855    116,365

FNMA

   ARM 3.828% 4/33 #688969    113,951    114,467

FNMA

   ARM 4.409% 5/35 #829985    111,271    111,684

FNMA

   4.000% 09/01/2018 DD 10/01/03    114,803    110,671

FNMA

   ARM 4.255% 1/34 #736515    109,646    109,847

FNMA

   15YR 5.00% 1/18 #254590    106,413    107,176

FNMA

   6.500% 03/01/2017 DD 03/01/02    99,840    103,288

FNMA

   ARM 6.12% 4/36 #891326    101,130    103,251

FNMA

   5.500% 03/01/2034 DD 03/01/04    102,880    102,975

FNMA

   ARM 4.893% 10/35 #847787    101,801    102,527

FNMA

   6.000% 03/01/2033 DD 03/01/03    99,748    101,754

FNMA

   5.500% 05/01/2013 DD 04/01/03    98,842    100,064

FNMA

   6.500% 03/01/2029 DD 02/01/99    95,023    98,418

FNMA

   ARM 4.202% 1/35 #797418    97,350    96,953

FNMA

   ARM 6.31% 4/36 #868955    93,973    96,105

FNMA

   ARM 4.825% 12/34 #800297    91,145    91,412

FNMA

   5.50% 12/17 #676658    89,750    91,362

FNMA

   6.000% 11/01/2017 DD 11/01/02    85,479    87,633

FNMA

   15YR 5.50% 12/16 #616425    85,345    87,188

FNMA

   ARM 4.368% 2/34 #769940    85,769    85,975

FNMA

   7.000% 05/01/2017 DD 04/01/02    76,563    79,709

FNMA

   6.000% 09/01/2033 DD 03/01/04    76,513    77,736

FNMA

   15YR 5.50% 1/18 #680143    76,159    77,432

FNMA

   6.000% 06/01/2016 DD 06/01/01    73,425    75,355

 

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Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value

FNMA

   ARM 4.305% 8/33 #555696    73,768    74,020

FNMA

   ARM 4.455% 3/35 #773281    72,071    72,022

FNMA

   15YR 4.00% 8/18 #728852    73,921    71,347

FNMA

   8.500% 11/01/2012 DD 11/01/03    68,910    71,345

FNMA

   5.500% 03/01/2034 DD 03/01/04    66,923    66,985

FNMA

   ARM 4.4% 2/35 #783588    66,001    65,924

FNMA

   ARM 5.409% 2/36 #865319    64,582    65,160

FNMA

   ARM 4.118% 1/35 #807221    63,046    63,900

FNMA

   6.50% 3/32 #636870    58,695    60,696

FNMA

   ARM 4.801% 2/33 #695019    59,600    60,510

FNMA

   ARM 5.349% 12/34 #843013    59,375    59,961

FNMA

   ARM 6.25% 6/36 #886983    53,097    53,896

FNMA

   ARM 5.229% 8/33 #735030    52,900    53,307

FNMA

   5.00% 8/37 #256877    54,210    52,899

FNMA

   ARM 4.351 1/35 #783580    52,155    52,132

FNMA

   6.000% 03/01/2033 DD 03/01/03    50,949    51,974

FNMA

   ARM 4.5% 5/35 #820996    49,682    50,200

FNMA

   ARM 4.302% 1/35 #827592    49,356    49,294

FNMA

   5.00% 1/37 #909428    49,697    48,495

FNMA

   ARM 4.25% 2/35 #255658    46,633    46,492

FNMA

   6.50% 11/32 #671506    44,592    46,140

FNMA

   6.50% 10/21 #254044    41,382    43,403

FNMA

   6.50% 8/32 #545819    40,008    41,371

FNMA

   ARM 4.319% 5/35 #735538    39,913    40,438

FNMA

   ARM 3.750% 1/34 #761058    40,278    40,318

FNMA

   ARM 4.293% 3/35 #815586    39,291    39,526

FNMA

   ARM 3.752% 10/33 #755148    38,970    39,166

FNMA

   5.500% 12/01/2036 DD 12/01/06    37,802    37,774

FNMA

   ARM 4.292% 3/33 #701296    36,943    37,385

FNMA

   ARM 4.57% 2/35 #811803    36,905    37,376

FNMA

   ARM 3.753% 10/33 #746320    35,809    35,821

FNMA

   ARM 5.106% 9/34 #790762    35,112    35,367

FNMA

   6.50% 4/31 #535889    31,828    32,933

FNMA

   ARM 4.845% 12/34 #800335    32,743    32,829

FNMA

   8.000% 06/01/2027 DD 04/01/03    30,687    32,404

FNMA

   ARM 4.832% 8/34 #725858    29,568    29,618

FNMA

   ARM 4.055% 10/18 #749296    24,795    24,852

FNMA

   ARM 5.280% 3/35 #843014    22,589    22,790

FNMA

   ARM 4.372% 4/35 #820407    21,412    21,661

FNMA

   ARM 5.344% 7/35 #834917    20,693    20,954

FNMA

   6.50% 10/32 #662208    19,755    20,428

FNMA

   ARM 4.318% 3/33 #694530    20,410    20,345

FNMA

   ARM 5.05% 7/34 #801635    19,814    19,931

FNMA

   ARM 4.115% 2/35 #735343    19,551    19,795

FNMA

   ARM 4.639% 2/35 #816599    19,261    19,560

FNMA

   ARM 4.351% 6/33 #720921    18,184    18,392

FNMA

   ARM 4.358% 10/33 #754672    17,097    17,207

FNMA

   20YR 6.50% 12/21 #545419    13,510    14,169

FNMA

   ARM 4.653% 3/35 #816322    10,533    10,701

FNMA

   6.50% 1/29 #323621    9,902    10,258

FNMA

   6.50% 11/31 #607400    9,426    9,748

FNMA

   6.00% 4/08 #251725    8,668    8,644

FNMA

   ARM 3.984% 5/33 #703915    8,424    8,505

FNMA

   6.50% 4/32 #642821    6,586    6,811

FNMA

   ARM 4.079% 4/33 #708221    6,707    6,772

FNMA

   6.50% 8/32 #645174    6,468    6,688

FNMA

   6.50% 5/31 #580862    6,213    6,425

FNMA

   6.50% 12/31 #610362    5,277    5,456

FNMA

   6.00% 7/08 #426525    4,329    4,322

FNMA GTD REM P/T 06-115 OK PO

   0.000% 12/25/2036 DD 11/25/06    955,397    700,201

FNMA GTD REMIC CTF 329 1 PO

   0.000% 12/01/2032 DD 12/01/02    49,175    37,265

FNMA GTD REMIC CTF93-217H PO

   0.000% 08/25/2023 DD 10/01/93    53,769    46,074

FNMA GTD REMIC P/T

   4.000% 10/25/2019 DD 09/01/04    2,000,000    1,896,780

FNMA GTD REMIC P/T

   7.000% 12/25/2023 DD 12/01/93    1,042,255    1,074,117

FNMA GTD REMIC P/T

   6.000% 03/25/2017 DD 02/01/02    1,000,000    1,019,710

FNMA GTD REMIC P/T

   6.000% 12/25/2016 DD 11/01/01    660,319    681,700

FNMA GTD REMIC P/T

   VAR RT 07/25/2034 DD 06/25/04    287,735    284,101

FNMA GTD REMIC P/T

   5.500% 06/25/2022 DD 12/01/02    17,720    2,479

FNMA GTD REMIC P/T 01-44 PD

   7.000% 09/25/2031 DD 08/01/01    79,850    83,533

FNMA GTD REMIC P/T 01-7 PF

   7.000% 03/25/2031 DD 02/01/01    37,255    38,766

FNMA GTD REMIC P/T 01-81 SL IO

   VAR RT 01/18/2032 DD 12/18/01    499,053    49,641

FNMA GTD REMIC P/T 02-58 HC

   5.500% 09/25/2017 DD 08/01/02    662,055    669,019

FNMA GTD REMIC P/T 02-63 KC

   5.000% 10/25/2017 DD 09/01/02    987,671    985,350

 

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Table of Contents

Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value

FNMA GTD REMIC P/T 02-80 A1

   6.500% 11/25/2042 DD 10/01/02    3,096,325    3,242,286

FNMA GTD REMIC P/T 02-81 SJ IO

   VAR RT 04/25/2032 DD 11/25/02    2,771,941    173,052

FNMA GTD REMIC P/T 02-94 BK

   5.500% 01/25/2018 DD 12/01/02    1,611,454    1,624,265

FNMA GTD REMIC P/T 03-106 US

   VAR RT 11/25/2023 DD 10/01/03    50,000    34,852

FNMA GTD REMIC P/T 03-113 PC

   4.000% 03/25/2015 DD 10/01/03    500,000    496,945

FNMA GTD REMIC P/T 03-35 BC

   5.000% 05/25/2018 DD 04/01/03    1,000,000    978,370

FNMA GTD REMIC P/T 03-35 UC

   3.750% 05/25/2033 DD 04/01/03    178,337    167,726

FNMA GTD REMIC P/T 03-47 PE

   5.750% 06/25/2033 DD 05/01/03    300,000    281,844

FNMA GTD REMIC P/T 03-52 SX

   VAR RT 10/25/2031 DD 05/25/03    125,770    140,143

FNMA GTD REMIC P/T 03-55 CD

   5.000% 06/25/2023 DD 05/01/03    1,124,343    1,103,149

FNMA GTD REMIC P/T 03-57 NK

   5.000% 06/25/2018 DD 05/01/03    331,991    331,828

FNMA GTD REMIC P/T 03-68 QP

   3.000% 07/25/2022 DD 06/01/03    221,418    210,276

FNMA GTD REMIC P/T 03-71 PS

   VAR RT 08/25/2033 DD 07/01/03    55,127    38,765

FNMA GTD REMIC P/T 03-80 SV IO

   VAR RT 06/25/2023 DD 07/25/03    504,420    50,038

FNMA GTD REMIC P/T 03-91 SD

   VAR RT 09/25/2033 DD 08/25/03    56,309    53,479

FNMA GTD REMIC P/T 03-W4 2A

   6.500% 10/25/2042 DD 03/01/03    45,572    47,639

FNMA GTD REMIC P/T 03-W6 1A41

   5.398% 10/25/2032 DD 04/01/03    545,506    556,754

FNMA GTD REMIC P/T 04-14 SD

   VAR RT 03/25/2034 DD 02/25/04    98,944    74,746

FNMA GTD REMIC P/T 04-27 HB

   4.000% 05/25/2019 DD 04/01/04    500,000    463,055

FNMA GTD REMIC P/T 04-3 HA

   4.000% 07/25/2017 DD 01/01/04    2,403,611    2,368,951

FNMA GTD REMIC P/T 04-36 PC

   5.500% 02/25/2034 DD 04/01/04    600,000    601,098

FNMA GTD REMIC P/T 04-36 SA

   VAR RT 05/25/2034 DD 04/25/04    241,960    253,419

FNMA GTD REMIC P/T 04-36 SN

   VAR RT 07/25/2033 DD 04/25/04    294,726    279,877

FNMA GTD REMIC P/T 04-4 QM

   VAR RT 06/25/2033 DD 01/25/04    190,381    188,256

FNMA GTD REMIC P/T 04-70 BA

   4.500% 11/25/2017 DD 09/01/04    377,306    373,491

FNMA GTD REMIC P/T 04-70 JA

   4.500% 10/25/2019 DD 09/01/04    356,058    339,530

FNMA GTD REMIC P/T 05-116 PB

   6.000% 04/25/2034 DD 12/01/05    1,000,000    1,023,850

FNMA GTD REMIC P/T 05-56 S IO

   VAR RT 07/25/2035 DD 06/25/05    542,327    32,442

FNMA GTD REMIC P/T 05-84 XM

   5.750% 10/25/2035 DD 09/01/05    1,000,000    1,020,900

FNMA GTD REMIC P/T 06-110 PO

   0.000% 11/25/2036 DD 10/01/06    901,028    681,466

FNMA GTD REMIC P/T 06-22 AO

   0.000% 04/25/2036 DD 03/01/06    170,586    124,224

FNMA GTD REMIC P/T 06-43 CL G

   6.500% 09/25/2033 DD 05/01/06    898,290    916,372

FNMA GTD REMIC P/T 06-44 P PO

   0.000% 12/25/2033 DD 05/01/06    334,993    241,051

FNMA GTD REMIC P/T 06-56 PO

   0.000% 07/25/2036 DD 06/01/06    200,000    156,024

FNMA GTD REMIC P/T 06-59 DA

   6.500% 12/25/2033 DD 06/01/06    832,147    852,268

FNMA GTD REMIC P/T 06-59 QD PO

   0.000% 01/25/2033 DD 06/01/06    417,657    343,431

FNMA GTD REMIC P/T 06-63 AE

   6.500% 10/25/2033 DD 06/01/06    850,055    870,728

FNMA GTD REMIC P/T 06-63 CL AB

   6.500% 10/25/2033 DD 06/01/06    839,975    860,403

FNMA GTD REMIC P/T 06-65 QO PO

   0.000% 07/25/2036 DD 06/01/06    416,912    323,165

FNMA GTD REMIC P/T 06-78 BC

   6.500% 01/25/2034 DD 07/01/06    808,118    828,855

FNMA GTD REMIC P/T 06-90 AO PO

   0.000% 09/25/2036 DD 08/01/06    850,017    660,030

FNMA GTD REMIC P/T 07-106 A7

   VAR RT 10/25/2037 DD 10/01/07    978,614    981,687

FNMA GTD REMIC P/T 07-14 OP PO

   0.000% 03/25/2037 DD 02/01/07    385,633    288,939

FNMA GTD REMIC P/T 07-51 PA

   5.500% 05/25/2037 DD 05/01/07    968,344    979,015

FNMA GTD REMIC P/T 07-79 PB

   5.000% 04/25/2029 DD 07/01/07    500,000    498,285

FNMA GTD REMIC P/T 1994-34 DZ

   6.000% 03/25/2009    108,051    108,526

FNMA GTD REMIC P/T 2003-74 KQ

   4.000% 08/25/2018 DD 07/01/03    977,663    914,936

FNMA GTD REMIC P/T 2003-92 PC

   4.500% 05/25/2015 DD 08/01/03    500,000    497,975

FNMA GTD REMIC P/T 2005-110 GJ

   5.500% 11/25/2030 DD 11/01/05    1,000,000    1,013,430

FNMA GTD REMIC P/T 2005-68 PG

   5.500% 08/25/2035 DD 07/01/05    1,000,000    1,016,560

FNMA GTD REMIC P/T 2006-72 GO

   VAR RT 08/25/2036 DD 07/01/06    839,622    653,637

FNMA GTD REMIC P/T 2006-WI 1A1

   6.500% 12/25/2045 DD 03/01/06    769,781    806,815

FNMA GTD REMIC P/T 2006-WI 1A2

   7.000% 12/25/2045 DD 03/01/06    898,756    958,271

FNMA GTD REMIC P/T 2007-47 PC

   5.000% 07/25/2033 DD 04/01/07    500,000    490,665

FNMA GTD REMIC P/T 99-15 S IO

   VAR RT 02/25/2024 DD 02/25/94    499,664    40,043

FNMA GTD REMIC P/T CTF 92-205Z

   7.00% 11/25/2022    564,050    597,910

FNMA GTD REMIC P/T CTF 94-40-Z

   6.500% 03/25/2024    1,171,374    1,230,107

FNMA STRPD SMBA 000340 CL 1 PO

   0.000% 08/01/2033 DD 08/01/03    88,392    64,490

FNR

   06-26 QA 5.5 6/26    1,090,688    1,100,358

FNR

   05-29 WB 4.75% 4/35    833,218    824,798

FNR

   05-109 PV 6% 10/32    788,765    806,889

FNR

   05-67 HD 5.5% 12/30    770,000    782,712

FNR

   2006-4 PB 6% 9/35    743,519    761,477

FNR

   04-95 AN 5.5% 1/25    647,502    655,267

FNR

   05-57 PA 5.5% 5/27    642,137    646,058

FNR

   05-41 LA 5.5% 5/35    608,379    616,618

FNR

   05-29 AT 4.5% 4/35    539,623    534,456

FNR

   03-84 GC 4.5 5/15    425,000    424,042

FNR

   04-91 AH 4.5% 5/29    320,928    318,279

FNR

   04-45 AV 4.5 10/22    244,260    243,044

FNR

   2002-56 MC 5.5% 9/17    209,752    212,391

FNR

   02-73 QC 5.5 1/26    129,513    129,174

FNR

   03-131 FM 1ML+40 12/29    111,990    112,318

 

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Table of Contents

Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value

FNR

   2004-3 BA 4% 7/17    25,709    25,329

FNS

   378 19 IO 5% 6/1/35    2,015,639    484,689

FONTAINEBLEAU LAS VEGAS 144A

   10.250% 06/15/2015 DD 06/06/07    625,000    542,188

FORD CR AUTO 06-B A-4

   5.250% 09/15/2011 DD 08/29/06    700,000    708,169

FORD MOTOR COMPANY TERM LOAN

   VAR RT 12/15/2013 DD 12/12/06    348,250    320,609

FORD MOTOR CR CO NT

   9.875% 08/10/2011 DD 08/10/06    285,000    269,547

FORD MTR CO DEL GBL LANDMARK

   7.450% 07/16/2031 DD 07/16/99    225,000    167,063

FORD MTR CR CO GLOBAL LAND SEC

   7.375% 10/28/2009 DD 10/28/99    325,000    305,906

FORD MTR CR CO NT

   VAR RT 01/13/2012 DD 12/18/06    150,000    126,000

FORDO

   2006-B A2A 5.42% 7/09    561,431    562,122

FORDO

   06-A A3 5.05% 03/10    265,929    266,363

FORTUNE BRANDS

   5.125% 1/15/11    1,655,000    1,651,642

FOSSE

   06-1 M2 3ML+25 10/54 144    400,000    364,240

FOSSE

   06-1 C2 3ML+47 10/54 144    255,000    228,506

FOSTER WHEELER LTD

   COMM STOCK    502    77,789

FREDDIE MAC

   FXD PFD SHS    5,950    155,593

FREEPORT MCMORAN COPPER & GOLD

   8.250% 04/01/2015 DD 03/19/07    350,000    371,000

FREESCALE SEMICONDUCTOR INC SR

   10.125% 12/15/2016 DD 06/15/07    1,050,000    866,250

FTI CONSULTING INC SR NT

   7.625% 06/15/2013 DD 12/15/05    500,000    512,500

FUBOA

   2001-C1 D 6.484 3/33    485,000    510,143

FUBOA

   01-C1 G 6.936 3/33    155,000    162,015

FUJI JGB INVT LLC PFD SEC 144A

   VAR RT 112/31/2049 DD 03/16/98    3,700,000    3,733,522

FUJI JGB INVT LLC PFD SEC 144A

   VAR RT 112/31/2049 DD 03/16/98    700,000    706,342

FUNBC

   2001-C3 A3 6.423 8/33    1,515,847    1,585,723

FUNBC

   2001-C4 A2 6.223 12/33    775,000    811,708

G E EQUIP SMALL 05-1 CL A-3

   4.380% 07/22/2009 DD 09/01/05    131,204    131,039

GALAXY ENTMT FIN CO LTD 144A

   9.875% 12/15/2012 DD 12/14/05    550,000    580,250

GAYLORD ENTMT CO NEW SR NT

   8.000% 11/15/2013 DD 05/15/04    325,000    323,375

GAZPROM INTL SA

   7.201% 01-FEB-2020    385,222    393,042

GAZSTREAM (DB)

   5.625 7/13 144A    951,482    937,210

GCCFC

   04-GG1 A4 4.755 6/36    665,000    666,701

GCCFC

   04-GG1 A4 4.755 6/36    580,000    581,484

GCCFC

   05-GG3 XP CSTR 8/42    16,562,044    344,684

GCCFC

   07-GG9 A1 5.233% 03/39    265,614    266,649

GCCFC

   03-C1 XP CSTR 7/35    3,721,392    155,458

GCCFC

   03-C2 XP CSTR 1/36    6,499,011    152,933

GCOSL 06-1A NOTE

   06-1A NOTE 5.72 3/22    380,500    386,341

GE CAP COML MTG CORP 02-1A A3

   6.269% 12/10/2035 DD 04/01/02    715,000    752,859

GE CAP SER A MTN

   5% 12/1/10    5,725,000    5,825,628

GE-CAP CORP GLBL

   6% 6/15/12 DT    3,500,000    3,669,183

GE-CAP CORP GLBL

   6% 6/15/12 EC    650,000    681,420

GECAP MTN

   4.875% 10/21/10    765,000    776,372

GECAP MTN GLOBAL

   5% 11/15/11    110,000    111,333

GECMC

   2002-2A A3 5.349 8/36    925,000    943,367

GECMC

   4.97% 8/36    788,111    794,454

GECMC

   04-C3 A2 4.433 7/39    600,000    597,687

GECMC

   04-C2 A2 4.119% 3/40    375,000    371,503

GE-CORP

   5.25% 12/6/17    1,500,000    1,496,799

GENERAL DYNAMICS CORP NT

   4.250% 05/15/2013 DD 05/15/03    190,000    186,348

GENERAL ELEC CAP CORP #TR00747

   5.650% 06/09/2014 DD 06/09/06    650,000    675,896

GENERAL ELEC CAP CORP MEDIUM

   5.250% 10/19/2012 DD 10/19/07    2,515,000    2,572,367

GENERAL ELEC CAP MTN #TR 00443

   7.375% 01/19/2010 DD 01/19/00    560,000    593,600

GENERAL ELEC CAP MTN #TR 00551

   6.000% 06/15/2012 DD 06/07/02    510,000    534,623

GENERAL ELEC CAP MTN #TR 00775

   5.400% 02/15/2017 DD 02/13/07    1,000,000    1,011,090

GENERAL ELEC CAP MTN #TR00482

   6.125% 02/22/2011 DD 02/21/01    585,000    611,506

GENERAL ELEC CAP MTN #TR00635

   3.125% 04/01/2009 DD 03/29/04    400,000    394,688

GENERAL ELEC CAP MTN TR 00521

   5.875% 02/15/2012 DD 02/15/02    1,340,000    1,396,119

GENERAL ELEC CO NT

   5.250% 12/06/2017 DD 12/06/07    6,600,000    6,585,546

GENERAL ELEC CO NT

   5.250% 12/06/2017 DD 12/06/07    520,000    518,861

GENERAL ELEC CORP MTN #TR00590

   3.500% 05/01/2008 DD 05/02/03    200,000    199,408

GENERAL MILLS INC NT

   5.650% 09/10/2012 DD 08/29/07    75,000    76,219

GENERAL MTRS ACCEP CORP GLOBAL

   5.125% 05/09/2008 DD 05/09/03    175,000    173,058

GENERAL MTRS ACCEP CORP NT

   8.000% 11/01/2031 DD 11/02/01    450,000    377,505

GENERAL MTRS CORP SR DEB

   8.375% 07/15/2033 DD 07/03/03    650,000    523,250

GENERAL MTRS CORP SR DEB

   8.250% 07/15/2023 DD 07/03/03    170,000    135,150

GENWORTH FINL INC SR NT

   5.231% 05/16/2009 DD 05/16/07    1,940,000    1,954,240

GENWORTH GLOBAL FDG TRS SECD

   5.200% 10/08/2010 DD 10/11/07    650,000    659,341

GEORGIA PAC CORP DEB

   9.500% 12/01/2011 DD 12/01/91    350,000    367,500

GEORGIA PAC CORP NT

   8.875% 05/15/2031 DD 05/08/01    200,000    193,000

GERMANY BUNDES

   4.25% 7/4/39 07    300,000    412,610

GLITNIR BANKI HF MTN 144A

   VAR RT 01/21/2011 DD 11/21/06    960,000    932,246

GMACC

   2004-C3 A3 CSTR 12/41    805,000    799,272

GMACC

   04-C2 A2 CSTR 8/38    285,000    285,670

 

34


Table of Contents

Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value

GMACC

   03-C3 X2 CSTR 12/38    6,342,486    99,863

GMACC

   4-C3 X2 CSTR 12/41    3,212,206    58,272

GMACM MTG LN TR

   VAR RT 06/25/2034 DD 04/01/04    416,956    413,457

GMACM MTG LN TR

   VAR RT 06/19/2035 DD 05/01/05    300,000    296,754

GMFM

   06-1 D2 3ML+47 11/20/2056    630,000    509,922

GNII

   ARM 4.50% 10/34 #081113    1,375,093    1,383,350

GNII

   ARM 4.50% 2/37 #081844    1,131,708    1,127,887

GNII

   ARM 3.750% 1/34 #080817    263,509    264,724

GNMA

   7.00% 7/28 #462643    333,441    350,571

GNMA

   7.00% 10/28 #481353    148,680    156,318

GNMA

   7.00% 5/32 #552576    79,131    82,899

GNMA

   7.00% 8/28 #416611    75,143    79,003

GNMA

   15YR 6.50% 7/09 #780470    49,317    50,968

GNMA

   7.00% 2/28 #468709    22,860    24,034

GNMA

   8.00% 11/29 #186997    17,384    19,076

GNMA

   7.00% 8/28 #458917    12,504    13,147

GNMA

   7.00% 2/28 #462548    6,220    6,540

GNMA

   8.00% 8/30 #536951    5,687    5,965

GNMA POOL #0466542

   6.500% 02/15/2029 DD 02/01/99    7,646    7,927

GNMA POOL #0479334

   8.500% 05/15/2030 DD 05/01/00    2,275    2,436

GNMA POOL #0486123

   8.500% 08/15/2030 DD 08/01/00    9,408    10,072

GNMA POOL #0489890

   8.500% 06/15/2030 DD 06/01/00    6,727    7,203

GNMA POOL #0490157

   6.500% 03/15/2029 DD 03/01/99    1,668    1,729

GNMA POOL #0491155

   6.500% 01/15/2029 DD 01/01/99    53,155    55,110

GNMA POOL #0491603

   8.500% 11/15/2029 DD 11/01/99    27,366    29,284

GNMA POOL #0497229

   6.500% 05/15/2029 DD 05/01/99    1,598    1,657

GNMA POOL #0502020

   8.500% 10/15/2029 DD 10/01/99    19,679    21,067

GNMA POOL #0506244

   8.500% 06/15/2030 DD 06/01/00    3,400    3,637

GNMA POOL #0507880

   6.500% 05/15/2029 DD 05/01/99    10,548    10,935

GNMA POOL #0508360

   8.500% 07/15/2030 DD 07/01/00    7,106    7,600

GNMA POOL #0515099

   7.000% 02/15/2015 DD 02/01/00    85,576    89,209

GNMA POOL #0520979

   8.500% 09/15/2030 DD 09/01/00    14,667    15,694

GNMA POOL #0522578

   8.500% 01/15/2030 DD 01/01/00    1,941    2,070

GNMA POOL #0522679

   8.500% 03/15/2030 DD 03/01/00    2,551    2,732

GNMA POOL #0522730

   8.500% 04/15/2030 DD 04/01/00    396    424

GNMA POOL #0529295

   8.500% 03/15/2030 DD 03/01/00    21,764    23,303

GNMA POOL #0529481

   8.500% 07/15/2030 DD 07/01/00    1,810    1,937

GNMA POOL #0530795

   6.500% 01/15/2023 DD 01/01/03    505,976    518,028

GNMA POOL #0531251

   8.500% 07/15/2030 DD 07/01/00    15,119    16,189

GNMA POOL #0531778

   8.500% 07/15/2030 DD 07/01/00    7,726    8,268

GNMA POOL #0532248

   8.500% 05/15/2030 DD 07/01/00    388    415

GNMA POOL #0532746

   8.500% 07/15/2030 DD 07/01/00    4,130    4,421

GNMA POOL #0532769

   8.500% 08/15/2030 DD 08/01/00    24,656    26,392

GNMA POOL #0537549

   8.500% 07/15/2030 DD 07/01/00    3,277    3,508

GNMA POOL #0540101

   8.500% 12/15/2030 DD 12/01/00    3,829    4,100

GNMA POOL #0540964

   8.500% 10/15/2030 DD 10/01/00    1,236    1,324

GNMA POOL #0541025

   8.500% 02/15/2031 DD 02/01/01    32,785    35,015

GNMA POOL #0593677

   6.500% 04/15/2023 DD 04/01/03    282,300    289,039

GNMA POOL #0641437

   6.500% 06/15/2020 DD 06/01/05    291,261    301,237

GNMA POOL #0780462

   7.500% 06/15/2009 DD 11/01/96    4,698    4,698

GNMA POOL #0780470

   6.500% 07/15/2009 DD 11/01/96    42,884    43,645

GNMA POOL #0781163

   8.500% 04/15/2030 DD 04/01/00    867    928

GNMA POOL #0781570

   8.000% 01/15/2016 DD 03/01/03    61,475    64,067

GNMA GTD P/T 06-028 GO PO

   0.000% 03/20/2035 DD 06/01/06    182,988    144,120

GNMA GTD REMIC 00-9 CL ZJ

   8.500% 02/16/2030 DD 02/01/00    321,729    348,101

GNMA GTD REMIC 02-47 PG

   6.500% 07/16/2032 DD 07/01/02    500,000    510,390

GNMA GTD REMIC 02-51 SG

   VAR RT 04/20/2031 DD 07/20/02    14,383    16,332

GNMA GTD REMIC 03-18 OV

   7.000% 10/20/2031 DD 03/01/03    401,724    417,018

GNMA GTD REMIC 2000-27 CL Z

   7.500% 09/20/2030    72,376    73,385

GNMA GTD REMIC 2002-54 GB

   6.500% 08/20/2032 DD 08/01/02    243,612    248,459

GNMA GTD REMIC P/T 02-24 AG IO

   VAR RT 04/16/2032 DD 04/16/02    170,020    16,721

GNMA GTD REMIC P/T 02-31 S IO

   VAR RT 01/16/2031 DD 05/16/02    104,247    14,120

GNMA GTD REMIC P/T 02-60 KZ

   6.000% 08/20/2032 DD 08/01/02    1,409,055    1,434,347

GNMA GTD REMIC P/T 02-79 KV

   6.000% 11/20/2013 DD 11/01/02    307,386    312,529

GNMA GTD REMIC P/T 03-24 PO

   0.000% 03/16/2033 DD 03/01/03    17,025    13,853

GNMA GTD REMIC P/T 03-4 NI

   5.500% 01/20/2032 DD 01/01/03    148,903    20,339

GNMA GTD REMIC P/T 03-52 PA PO

   ZEROCPN 06/16/2033 DD 06/01/03    67,468    51,795

GNMA GTD REMIC P/T 04-73 AE

   VAR RT 08/17/2034 DD 09/17/04    174,444    173,875

GNMA GTD REMIC P/T 07-49 NO

   0.000% 12/20/2035 DD 08/01/07    986,772    794,105

GNMA GTD REMIC P/T 2002-40 UK

   6.500% 06/20/2032 DD 06/01/02    482,955    505,668

GNMA GTD REMIC P/T 94-7 PQ

   6.500% 10/16/2024 DD 10/01/94    1,000,000    1,037,830

GNMA GTD REMIC TR 2000-14 PD

   7.000% 02/16/2030    212,632    222,581

GNMA GTD REMIC TR 2000-6 Z

   7.500% 02/20/2030    75,091    78,150

 

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Table of Contents

Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value

GNMA II POOL #0080395

   VAR RT 04/20/2030 DD 04/01/00    312,911    318,969

GNR

   05-58 NJ 4.5 8/35    1,470,000    1,463,739

GNR

   03-47 C 4.227 10/27    821,174    814,200

GNR

   02-35 C CSTR 10/23    30,832    31,169

GOLDEN WEST FINL CORP DEL SR

   4.750% 10/01/2012 DD 09/26/02    200,000    197,468

GOLDMAN SACH GLB

   5.25 10/15/13    1,980,000    1,980,679

GOLDMAN SACHS

   6.6% 1/15/12    750,000    793,499

GOLDMAN SACHS

   4.5% 6/15/10    405,000    403,668

GOLDMAN SACHS CAPITAL II

   VAR RT 12/29/2049 DD 05/15/07    545,000    485,219

GOLDMAN SACHS GLB

   5.7% 9/01/12    600,000    617,293

GOLDMAN SACHS GROUP INC

   5.750% 10/01/2016 DD 09/19/06    1,625,000    1,649,375

GOLDMAN SACHS GROUP INC

   5.350% 01/15/2016 DD 01/17/06    220,000    218,007

GOLDMAN SACHS GROUP INC NT

   6.875% 01/15/2011 DD 01/16/01    275,000    291,673

GOLDMAN SACHS GROUP INC NT

   7.350% 10/01/2009 DD 09/29/99    150,000    156,704

GOLDMAN SACHS GROUP INC SR NT

   6.250% 09/01/2017 DD 08/30/07    5,400,000    5,617,674

GOLDMAN SACHS GROUP INC SR NT

   4.500% 06/15/2010 DD 06/28/05    1,755,000    1,759,969

GOLDMAN SACHS GROUP INC SR NT

   6.600% 01/15/2012 DD 01/10/02    1,110,000    1,174,347

GOLDMAN SACHS GROUP INC SR NT

   5.500% 11/15/2014 DD 11/15/02    700,000    706,125

GOLDMAN SACHS GROUP INC SR NT

   6.250% 09/01/2017 DD 08/30/07    400,000    416,124

GOLDMAN SACHS GROUP INC SR NT

   5.150% 01/15/2014 DD 01/13/04    400,000    395,936

GOLDMAN SACHS GROUP INC SR NT

   3.875% 01/15/2009 DD 01/13/04    135,000    133,608

GOLDMAN SACHS GROUP INC SR NT

   4.750% 07/15/2013 DD 07/15/03    100,000    97,953

GOLDMAN SACHS GROUP MTN 00226

   VAR RT 12/22/2008 DD 12/22/05    1,900,000    1,894,642

GOLDMAN SACHS GRP MTN #TR00207

   VAR RT 07/23/2009 DD 07/23/04    1,800,000    1,798,308

GOODYEAR 2ND LIEN TERM LOAN

   VAR RT 04/30/2010 DD 04/15/05    150,000    150,813

GOODYEAR TIRE & RUBR CO SR

   8.625% 12/01/2011 DD 06/01/07    146,000    152,205

GRANM

   07-1 1C1 3ML+30 12/20/54    320,000    241,344

GRANM

   06-1A C2 1ML+60 12/54    300,000    178,740

GRANM

   07-1 2C1 3ML+43 12/54    170,000    97,580

GREEN TREE FINL 98-3 CTF A5

   6.220% 03/01/2030 DD 04/28/98    792,410    827,617

GS MTG SECS CORP 04-10F 1A-1

   4.500% 08/25/2019 DD 08/01/04    403,322    400,858

GS MTG SECS CORP 04-10F CL 2A1

   5.000% 08/25/2019 DD 08/01/04    572,188    571,833

GS MTG SECS CORP 04-6F IIIA-4

   6.500% 05/25/2034 DD 05/01/04    717,000    732,215

GS MTG SECS TR 06-GG8 P/T A-AB

   5.572% 10/15/2048 DD 10/01/06    3,600,000    3,654,413

GSAMP

   06-HE4 A2A 1ML+7 6/36    457,005    452,939

GSAMP

   02-HE M1 1ML+125 11/32    212,317    196,725

GSBA

   6.344% 8/01/11    590,756    605,972

GSMS

   04-C1 A1 3.659% 10/28    1,140,551    1,129,113

GSMS

   07-GG10 A4 CSTR 8/45    1,030,000    1,060,776

GSMS

   98-C1 A3 6.135% 10/30    760,470    761,195

GSMS

   06-GG6 A2 CSTR 4/38    745,000    753,332

GSMS

   07-GG10 B CSTR 8/45    765,000    709,153

GSMS

   2007-GG10 A1 5.69% 8/45    326,417    331,003

GSMS

   05-GG4 XP CSTR 7/39    12,123,058    295,198

GSMS

   01-LIBA C 6.733% 2/16    275,000    293,877

GSMS

   03-C1 A2A 3.59% 1/40    276,060    275,506

GSMS

   07-EOP C 1ML+32 3/20    285,000    275,025

GSMS

   2007-EOP E 1ML+44 3/20    140,000    134,400

GSMS

   2007-EOP D 1ML+37 3/20    85,000    81,508

GSMS

   2007-EOP J 1ML+85 3/20    85,000    80,750

GSMS

   2007-EOP F 1ML+48 3/20    70,000    67,025

GSMS

   2007-EOP H 1ML+65 3/20    60,000    57,150

GSMS

   2007-EOP G 1ML+52 3/20    35,000    32,988

GSR

   05-AR2 2A1 CSTR 4/35    261,954    257,879

GTE CORP

   8.750% 11/01/2021 DD 11/01/91    150,000    183,386

HALLIBURTON GLBL

   5.5 10/15/10    250,000    256,988

HANCOCK JOHN GBL MTN #TR00046

   3.500% 01/30/2009 DD 01/27/04    200,000    197,218

HANCOCK JOHN II MTN 00001 144A

   7.900% 07/02/2010 DD 06/30/00    815,000    888,725

HANCOCK JOHN MTN TR 00008 144A

   6.500% 03/01/2011 DD 02/28/01    170,000    178,340

HARBORVIEW MTG 05-4 CL 3-A1

   VAR RT 07/19/2035 DD 05/01/05    568,314    567,462

HARRAHS OPER INC GTD SR NT

   6.500% 06/01/2016 DD 06/09/06    475,000    353,875

HART

   06-1 A-3 5.13 6/10    80,765    80,939

HART

   06-1 A-3 5.13 6/10    63,649    63,204

HART

   06-1 A-3 5.13 6/10    48,961    49,187

HARTFORD CAP APP IA

   HARTFORD CAP APP IA    5,174,779    271,468,900

HASC

   06-OPT4 2A1 1ML+6 3/36    137,531    136,632

HAWKER BEECHCRAFT ACQUISITION

   9.750% 04/01/2017 DD 03/26/07    395,000    393,025

HBOS PLC ADR PREF SER B 144A

   VAR RT 12/31/2049 DD 09/29/05    600,000    523,308

HBOS PLC ADR REPSTG PREF 144A

   VAR RT 05/29/2049 DD 05/21/07    1,300,000    1,076,959

HBOS PLC MTN

   3.75 9/30/08 144A    330,000    327,575

HCA INC SR SECD TOGGLE NT

   9.625% 11/15/2016 DD 05/15/07    250,000    264,375

HDMOT

   07-2 A3 5.09% 5/12    2,350,000    2,362,445

HDMOT

   2007-1 A3 0 3/12    1,325,000    1,336,147

 

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Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value

HEALTHSOUTH CORP SR NT

   10.750% 06/15/2016 DD 12/15/06    600,000    627,000

HEAT

   03-2 M1 1ML+88 8/33    194,823    179,565

HEINZ CO

   6.428 12/01/08 144A    460,000    468,303

HELIX ENERGY SOLUTIONS 144A

   9.500% 01/15/2016 DD 12/21/07    360,000    366,300

HEWLETT PACKARD CO GLOBAL NT

   5.400% 03/01/2017 DD 02/27/07    300,000    299,343

HFCHC

   05-2 M1 1ML+46 1/35    72,703    67,483

HFCHC

   04-1 M 1ML+52 9/33    66,683    64,814

HFCHC

   05-2 M2 1ML+49 1/35    54,527    51,564

HHPT

   00-HLTA A1 7.055 10/15    520,204    541,662

HILCORP ENERGY I LP 144A

   9.000% 06/01/2016 DD 06/27/06    325,000    336,375

HMI

   07-2 2C1 3ML+41 7/21    325,000    300,008

HMPT

   99-HMTA B 7.3% 8/15    155,000    161,798

HMPT

   99-HMTA D 7.97 8/15    140,000    147,356

HOME DEPOT INC SR NT

   5.250% 12/16/2013 DD 12/19/06    715,000    695,559

HOME EQ MTG LN INABS 06 C 3A1

   VAR RT 08/25/2036 DD 06/15/06    104,325    103,872

HOSPITAL PROP

   5.625% 3/15/17    715,000    661,651

HOUSEHOLD FIN CORP

   4.750% 05/15/2009 DD 05/26/04    300,000    299,016

HOUSEHOLD FIN CORP #TR 00107

   7.100% 12/15/2011 DD 12/27/01    250,000    261,953

HOUSEHOLD FIN CORP GLOBAL NT

   4.625% 01/15/2008 DD 01/14/03    660,000    659,894

HOUSEHOLD FIN CORP GLOBAL NT

   4.750% 07/15/2013 DD 07/21/03    400,000    385,564

HOUSEHOLD FIN CORP NT

   6.375% 11/27/2012 DD 11/27/02    600,000    631,602

HOUSEHOLD FIN CORP NT

   6.375% 10/15/2011 DD 10/23/01    250,000    257,578

HOUSTON TEX INDPT SCH SER 494

   VAR RT 02/15/2022 DD 05/10/01    750,000    778,380

HRPT PPTYS TR SR NT

   6.650% 01/15/2018 DD 09/18/07    225,000    227,742

HRPT PROPERTIES

   6.25% 6/15/17    730,000    685,340

HRPT PROPERTIES

   5.75 11/1/15    105,000    98,298

HRTFRD MIDCAP HLS IA

   HRTFRD MIDCAP HLS IA    7,362,602    193,930,947

HSBC AUTO TR SER 2005-1 CL A-4

   4.350% 06/18/2012 DD 06/22/05    220,000    219,032

HSBC AUTO USA 2006 1 A-3

   5.430% 06/17/2011 DD 06/08/06    382,991    387,005

HSBC AUTOMOTIVE 07-1 CL A3

   5.300% 11/17/2011 DD 01/31/07    4,300,000    4,360,028

HSBC AUTOMOTIVE TR 05-3 CL A4

   4.940% 11/19/2012 DD 11/03/05    500,000    502,800

HSBC FIN CORP NT

   5.000% 06/30/2015 DD 06/27/05    400,000    381,500

HSBC FIN CORP NT

   5.250% 01/15/2014 DD 11/21/06    350,000    345,408

HSBC FIN CORP NT

   6.750% 05/15/2011 DD 05/09/01    250,000    259,335

HSBC FINANCE CO

   5% 6/30/15    500,000    476,860

HSBC USA ASSET BKD A

   5.100% 06/15/2012 DD 09/15/06    600,000    605,622

HTFD INT; CAPAPPR IA

   HTFD INT; CAPAPPR IA    3,380,773    48,919,780

HUB INTL HLDGS INC SR SUB 144A

   10.250% 06/15/2015 DD 06/13/07    550,000    467,500

HUGHES NETWORK SYS LLC

   9.500% 04/15/2014 DD 10/15/06    565,000    572,063

HUTCH WHAMPOA 3/33 GTD NT

   5.450% 24-NOV-2010    1,000,000    1,018,650

HUTCHISON WH

   6.5 2/13/13 144DT    2,105,000    2,212,864

HUTCHISON WH

   5.45 11/24/10 144    500,000    504,951

IBJ PFD CAP UC PFD SECS A 144A

   VAR RT 12/29/2049 DD 02/23/98    600,000    605,250

IBJ PFD CAP UC PFD SECS SER A

   VAR RT 12/29/2049 DD 02/23/98    110,000    110,963

IBM

   5.7% 9/14/17    600,000    620,257

IDEARC INC SR NT

   8.000% 11/15/2016 DD 05/15/07    255,000    233,963

IMMARSAT FIN II PLC SR DISC NT

   VAR RT 11/15/2012 DD 11/24/04    610,000    592,463

INABS

   2007-B 2A1 1ML+8 7/37    2,084,259    2,041,821

INDEPENDENCE

   3.75%VAR 4/1/14    755,000    745,646

INDEPENDENCE COM

   3.5/VR 6/20/13    140,000    138,992

INDUSTRIAL BK KOREA 144A

   VAR RT 05/19/2014 DD 03/16/04    315,000    311,850

INDX

   06-AR41 A3 1ML+18 1/37    1,012,267    876,181

INDX

   06-AR27 1A1 1ML+7 10/36    671,673    668,093

INDYMAC

   06-D 2A1 1ML+5 11/36    420,596    415,263

INDYMAC MBS INC

   VAR RT 07/25/2035 DD 06/29/05    544,211    515,613

INDYMAC MBS INC

   6.000% 05/25/2036 DD 03/01/06    373,549    379,997

INERGY L P & INERGY FIN CORP

   6.875% 12/15/2014 DD 06/15/05    250,000    243,453

INERGY LP & INERGY FIN CORP SR

   8.250% 03/01/2016 DD 03/01/06    75,000    77,625

ING CAP FDG TR III GTD TR

   VAR RT 12/29/2049 DD 12/15/00    860,000    911,058

INGLES MKTS INC SR SUB NT

   8.875% 12/01/2011 DD 12/11/01    350,000    355,250

INTELSAT/ZEUS LTD SR NTS

   VAR RT 02/01/2015 DD 02/11/05    790,000    645,825

INTERATIONAL LEASE #TR 00583

   5.625% 09/20/2013 DD 09/19/06    330,000    330,772

INTERFACE INC SR NT

   10.375% 02/01/2010 DD 01/17/02    510,000    534,225

INTERNATIONAL BUSINESS MACHS

   5.700% 09/14/2017 DD 09/14/07    1,200,000    1,240,500

INTERNATIONAL LEASE CORP

   4.875% 09/01/2010 DD 08/23/05    1,365,000    1,360,086

INTERNATIONAL LEASE FIN CORP

   5.875% 05/01/2013 DD 04/29/03    575,000    584,522

INTERNATIONAL LEASE FIN CORP

   6.375% 03/15/2009 DD 03/08/02    450,000    455,063

INTERNATIONAL LEASE FIN CORP

   5.300% 05/01/2012 DD 04/24/07    250,000    249,490

INTERNATIONAL LEASE FIN CORP

   3.500% 04/01/2009 DD 03/24/04    200,000    196,592

INTERNATIONAL PAPER CO NT

   4.000% 04/01/2010 DD 03/18/04    125,000    123,770

INTERNATIONAL PAPER CO SR NT

   4.250% 01/15/2009 DD 12/15/03    80,000    79,254

INTERTAPE POLYMER

   8.500% 08/01/2014 DD 07/28/04    210,000    191,888

INTL LEASE FIN

   4.375% 11/01/09    750,000    743,905

 

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Table of Contents

Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value  

INTL LEASE FIN CORP NT

   4.500% 05/01/2008 DD 04/29/03    75,000    74,867  

INTL PAPER CO

   4.25% 1/15/09    320,000    316,760  

IRS NZD

   6.65% 12/23/15    1,450,000    (81,290 )

IRS USD

   4.948% 12/12/11    7,600,000    240,236  

IRS USD

   3ML BBA 11/07/10 DB    1,800,000    53,046  

IRS USD

   3ML BBA 10/03/2007    1,600,000    25,136  

ISRAEL GLBL

   4.625% 6/15/13 DT    90,000    91,368  

ISTAR FINANCIAL

   5.375 4/15/10    190,000    175,896  

ISTAR FINL INC

   5.8% 3/15/11    765,000    685,319  

ISTAR FINL INC

   5.65% 9/15/11    100,000    89,362  

JANUS CAPITAL

   6.25% 6/15/12    1,005,000    1,028,993  

JANUS CAPITAL

   5.875% 9/15/11    325,000    328,455  

JP MORGAN CHASE

   6.625% 3/15/12    975,000    1,028,116  

JP MORGAN CHASE

   5.75% 1/02/13    500,000    509,528  

JP MORGAN CHASE

   5.6% 6/01/11    1,780,000    1,836,798  

JP MORGAN CHASE NK NA NEW YORK

   6.000% 10/01/2017 DD 09/24/07    3,500,000    3,559,605  

JP MORGAN CHSE

   5.375% 10/01/12    1,350,000    1,374,017  

JPMCC

   04-CB9 A2 CSTR 6/41    1,950,000    1,971,536  

JPMCC

   2001-CIB3 A3 6.465 11/35    1,010,000    1,066,502  

JPMCC

   04-CB8 A2 3.837 1/39    1,030,000    1,006,526  

JPMCC

   07-CB18 A3 CSTR 6/47    935,000    931,328  

JPMCC

   06-LDP9 A2 CSTR 05/47    800,000    783,600  

JPMCC

   06-LDP9 A3 CSTR 5/47    640,000    637,614  

JPMCC

   2001-CIB2 A2 6.244 4/35    553,132    558,973  

JPMCC

   07-CB19 D 5.7462% 2/49    345,000    311,256  

JPMCC

   07-CB19 C 5.746% 2/49    330,000    301,848  

JPMCC

   07-CB19 B 5.744% 2/49    125,000    115,605  

JPMCC

   04-CB8 X2 CSTR 1/39    1,741,241    45,853  

JPMCC

   04-C1 X2 CSTR 1/38    1,440,610    32,790  

JPMMT

   2007-A1 3A2 CSTR 7/35    1,367,011    1,349,069  

JPMMT

   06-A3 3A3 CSTR 5/36    1,285,000    1,244,523  

JPMMT

   06-A2 5A3 CSTR 11/33    996,070    988,396  

JPMMT

   06-A3 6A1 CSTR 8/34    427,834    417,266  

JPMMT

   05-A8 2A3 CSTR 11/35    120,000    117,555  

JPMMT

   06-A4 1A1 CSTR 6/36    85,408    85,245  

JPMORGAN CHAS

   6% 10/1/17    800,000    813,617  

JPMORGAN CHAS

   4.891/VAR 9/15    355,000    341,863  

JPMORGAN CHASE & CO SR NT

   01/15/2018 DD 12/20/07    2,900,000    2,950,286  

JPMRGN-CHS BANK

   6% 7/05/17    1,025,000    1,037,939  

JPY/USD SPOT OPTION

   CALL MAR 07 104.000 ED 3/17/10    14    74,075  

JPY/USD SPOT OPTION

   PUT MAR 10 104.000 ED 03/17/10    14    63,305  

JPY/USD SPOT OPTION

   PUT MAR 10 104.000 ED 03/17/10    5,000    (22,609 )

JPY/USD SPOT OPTION

   CALL MAR 10 104.000 ED 3/17/10    5,000    (26,455 )

KANSAS CITY SOUTHN RY CO SR NT

   7.500% 06/15/2009 DD 06/12/02    125,000    125,156  

KAR HLDGS INC SR SUB NT

   10.000% 05/01/2015 DD 04/20/07    525,000    468,563  

KAUPTHING BK HF MTN

   5.750% 10/04/2011 DD 10/04/06    500,000    470,230  

KELLOGG CO SR NT

   5.125% 12/03/2012 DD 12/03/07    60,000    60,506  

KEY BK NA

   7% 2/01/11    845,000    901,275  

KEYBANK NATL ASSN CLEVELAND

   5.500% 09/17/2012 DD 09/10/07    250,000    254,140  

KEYCORP MEDIUM TRM SR

   4.700% 05/21/2009 DD 05/21/04    300,000    299,295  

KEYSPAN GAS EAST MTN

   7.875% 02/01/2010 DD 02/01/00    125,000    132,675  

KINDER MORGAN

   6.5% 9/01/12    1,365,000    1,356,809  

KINDER MORGAN

   5.125% 11/15/14    440,000    428,714  

KINDER MORGAN ENERGY PARTNERS

   7.125% 03/15/2012 DD 03/14/02    3,000,000    3,206,730  

KINDER MORGAN ENERGY PARTNERS

   5.850% 09/15/2012 DD 08/28/07    1,280,000    1,317,798  

KINDER MORGAN ENERGY PARTNERS

   6.950% 01/15/2038 DD 06/21/07    1,000,000    1,049,530  

KOHLS CORP NT

   6.250% 12/15/2017 DD 09/28/07    565,000    567,650  

KOREA DEV BANK

   3.875% 3/02/09    1,420,000    1,406,230  

KOREA DEV BK USD NT

   VAR RT 04/03/2010 DD 04/03/07    1,800,000    1,794,366  

KRAFT FOOD INC BD

   6.000% 02/11/2013 DD 08/13/07    780,000    801,941  

KRAFT FOODS INC

   6.5% 8/11/17    1,400,000    1,448,364  

KRAFT FOODS INC

   6.125% 2/1/18    895,000    901,842  

KRAFT FOODS INC

   6% 2/11/13    315,000    323,853  

KRAFT FOODS INC NT

   6.125% 02/01/2018 DD 12/12/07    1,900,000    1,914,535  

KRAFT FOODS INC NT

   6.125% 02/01/2018 DD 12/12/07    500,000    503,825  

KROGER CO SR NT

   6.400% 08/15/2017 DD 08/15/07    320,000    334,701  

LABRANCHE & CO INC SR NT

   9.500% 05/15/2009 DD 05/18/04    450,000    448,313  

LABRANCHE & CO INC SR NT

   11.000% 05/15/2012 DD 05/18/04    325,000    318,094  

LANDESBANKI IS HF

   6.100% 08/25/2011 DD 08/25/06    385,000    379,464  

LB UBS COML MTG TR

   5.430% 02/15/2040 DD 04/11/07    3,600,000    3,441,456  

LB UBS COML MTG TR

   3.973% 03/15/2029 DD 03/11/04    2,865,000    2,794,922  

LB UBS COML MTG TR

   5.156% 02/15/2031 DD 01/11/06    775,000    766,274  

LB UBS COML MTG TR

   VAR RT 06/15/2038 DD 06/11/06    595,000    594,703  

 

38


Table of Contents

Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value

LBCMT

   07-C3 G CSTR 7/44    515,000    414,824

LBCMT

   07-C3 F CSTR 7/44    290,000    240,067

LBFRC

   03-LLFA J 1ML+205 12/14    435,000    420,631

LBFRC

   03-LLFA K1 1ML+255 12/14    225,000    204,953

LBUBS

   00-C5 A2 6.51 12/26    1,385,000    1,447,849

LBUBS

   2000-C5 E 7.29% 12/32    1,000,000    1,055,318

LBUBS

   00-C3 A2 7.95 1/10    639,800    675,627

LBUBS

   04-C4 A2 CSTR 6/29    630,000    628,289

LBUBS

   03-C3 A2 3.086 5/27    595,000    590,557

LBUBS

   07-C2 XCP CSTR 2/40    18,490,000    473,806

LBUBS

   04-C6 A2 4.187% 8/29    475,000    471,611

LBUBS

   2001-C3 B 6.512 6/36    295,000    311,682

LBUBS

   2006-C6 A1 5.23 9/39    254,177    255,402

LBUBS

   01-C2 A2 6.653 11/27    215,000    227,156

LBUBS

   07-C1 A1 CSTR 2/15/40    174,166    175,509

LBUBS

   07-C2 A1 5.226 2/40    167,697    168,526

LBUBS

   2006-C7 A1 5.279 11/38    134,352    135,262

LBUBS

   04-C2 XCP CSTR 3/36    3,898,274    87,067

LEAR CORP SR NT SER B

   8.750% 12/01/2016 DD 11/24/06    590,000    536,900

LEHMAN BR HLDGS

   3ML+14 5/25/10    1,525,000    1,465,946

LEHMAN BR MTN

   5.75% 4/25/11    520,000    525,443

LEHMAN BR MTN

   5% 1/14/11    425,000    418,753

LEHMAN BR MTN

   6.625% 1/18/12    400,000    415,440

LEHMAN BR MTN

   7.19438% 9/15/22    375,000    370,514

LEHMAN BROS

   3ML+78 8/19/65    400,000    375,794

LEHMAN BROS HLD

   6.75% 12/28/17    725,000    747,257

LEHMAN BROS HLDGS INC DTD

   VAR RT 12/31/2049 DD 05/17/07    1,105,000    984,831

LEHMAN BROS HLDGS INC GBL NT

   4.000% 01/22/2008 DD 01/21/03    500,000    499,660

LEHMAN BROS HLDGS INC MEDIUM

   6.750% 12/28/2017 DD 12/21/07    50,000    51,531

LEHMAN BROS HLDGS INC NT

   7.875% 08/15/2010 DD 08/15/00    70,000    74,189

LEHMAN BROS HLDGS INC SR NTS

   7.200% 08/15/2009 DD 08/19/97    104,000    107,218

LEHMAN BROS HLDGS INC SUB NT

   5.750% 01/03/2017 DD 10/24/06    65,000    62,441

LEHMAN BROS MTN

   6.2% 9/26/14    1,240,000    1,262,900

LEHMAN BROS MTN

   5.75% 7/18/11    280,000    282,094

LEHMAN BROS MTN

   VAR RT 01/23/2009 DD 01/25/06    2,000,000    1,960,920

LEHMAN BROTHERS HLDGS

   5.500% 04/04/2016 DD 03/29/06    125,000    119,610

LEHMAN BROTHERS HLDGS INC

   5.250% 02/06/2012 DD 01/12/07    1,280,000    1,266,598

LEHMAN BROTHERS HLDGS INC MTN

   6.000% 07/19/2012 DD 07/19/07    400,000    407,312

LEHMAN BROTHERS HLDGS TR

   6.625% 01/18/2012 DD 01/10/02    125,000    129,824

LEHMAN BROTHERS MTN

   5.750% 05/17/2013 DD 05/16/06    320,000    321,750

LEHMAN BROTHERS MTN

   4.800% 03/13/2014 DD 02/25/04    200,000    191,089

LEHMAN MTG TR

   5.500% 01/25/2036 DD 12/01/05    1,187,415    1,183,734

LEHMAN MTG TR

   VAR RT 04/25/2036 DD 03/01/06    558,701    569,344

LENFEST COM

   7.625% 2/15/08    100,000    100,244

LEVEL 3 FING INC GTD SR NT

   8.750% 02/15/2017 DD 02/14/07    670,000    574,525

LIBERTY PROP LP

   5.5% 12/15/16    270,000    252,618

LIBERTY PROP LP

   5.125 3/2/15    210,000    195,375

LINCOLN NATIONAL

   7%/VAR5/17/66    305,000    306,227

LINCOLN NATL CORP IND

   VAR RT 05/17/2066 DD 05/17/06    610,000    612,477

MACDERMID INC SR SUB NT

   9.500% 04/15/2017 DD 04/12/07    565,000    531,100

MACK CALI LP

   5.05% 4/15/10    275,000    278,685

MACK CALI RLTY

   7.25% 3/15/09    395,000    405,629

MAJESTIC STAR CASINO

   9.500% 10/15/2010 DD 10/07/03    350,000    330,750

MANDALAY RESORT GRP SR SUB NT

   9.375% 02/15/2010 DD 12/20/01    125,000    129,375

MANUFACTURERS & TRADERS TR CO

   6.625% 12/04/2017 DD 12/04/07    350,000    349,888

MARATHON OIL CORP SR NT

   6.000% 10/01/2017 DD 09/27/07    300,000    305,484

MARINER ENERGY INC SR NT

   8.000% 05/15/2017 DD 04/30/07    250,000    237,813

MARISCO FOCUS

   MARISCO FOCUS    2,643,144    52,836,441

MARSH & MCLEN

   7.125% 6/15/09    1,140,000    1,178,686

MARSHALL & ILSLEY MTN

   5.350% 04/01/2011 DD 03/28/06    350,000    353,773

MASSMUTUAL GLOBAL FDG

   3.500% 03/15/2010 DD 03/15/04    200,000    198,000

MASSMUTUAL MTN

   2.55% 7/08 144A    500,000    494,179

MASTER ASSET SEC TR

   5.000% 05/25/2018 DD 04/01/03    183,997    182,969

MASTER ASSET SEC TR

   0.000% 09/25/2033 DD 07/01/03    77,130    54,337

MASTER ASSET SEC TR

   5.000% 12/25/2033 DD 12/01/03    663,376    635,528

MASTER ASSET SECUR

   5.000% 05/25/2018 DD 04/01/03    406,428    404,087

MASTR ADJ RATE MTGS

   VAR RT 01/25/2034 DD 11/01/03    1,483,627    1,486,045

MASTR ADJ RATE MTGS

   VAR RT 11/21/2034 DD 11/01/94    500,000    490,125

MASTR ADJ RT MTGS

   VAR RT 04/21/2034 DD 11/01/04    450,542    445,974

MASTR ALT LN TR

   6.000% 07/25/2034 DD 06/01/04    247,396    239,086

MASTR ALT LN TR

   VAR RT 01/25/2034 DD 12/01/03    219,585    212,793

MASTR ALTERNATIVE LN

   4.500% 09/25/2019 DD 09/01/04    323,769    316,688

MASTR ALTERNATIVE LN

   4.750% 06/25/2019 DD 05/01/04    476,275    467,602

 

39


Table of Contents

Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value

MASTR ASSET SEC

   4.000% 12/25/2033 DD 11/01/03    453,371    446,988

MASTR ASSET SECUR

   4.500% 04/25/2019 DD 03/01/04    535,836    521,818

MASTR ASSET SECUR

   5.000% 04/25/2018 DD 03/01/03    277,979    275,914

MASTR ASSET SECURITIZ

   4.500% 03/25/2018 DD 02/01/03    290,026    283,149

MASTR RESECUR

   0.000% 05/28/2035 DD 07/29/05    776,653    589,861

MAY DEPT STORES CO NTS

   7.625% 08/15/2013 DD 08/15/95    125,000    134,649

MAY DEPT STR GLBL

   4.8 7/15/09    850,000    845,177

MBNA CORP

   7.5% 3/15/12    400,000    436,288

MBNA CR CARD

   VAR RT 06/15/2012 DD 02/04/03    100,000    99,688

MBNA CR CARD MASTER NT

   3.300% 07/15/2010 DD 02/27/03    1,445,000    1,441,922

MBNAS

   2006-A4 A4 1ML-1 9/11    1,300,000    1,296,771

MBNAS

   05-A3 A3 4.1% 10/15/2012    1,100,000    1,097,759

MBNAS

   03-B2 B2 1ML+39 10/10    110,000    110,126

MCDONALDS CORP MEDIUM TERM NTS

   5.800% 10/15/2017 DD 10/18/07    950,000    983,545

MCFI

   98-MC2 A2 6.423 6/30    137,966    137,733

MEDIACOM LLC/MEDIACOM CAP

   9.500% 01/15/2013 DD 07/15/01    1,200,000    1,114,500

MEDTRONIC INC SR NT

   4.750% 09/15/2015 DD 09/15/05    250,000    241,250

MERRILL LYNCH

   4.25% 2/8/10    2,095,000    2,053,724

MERRILL LYNCH & CO

   4.125% 01/15/2009 DD 12/04/03    150,000    148,055

MERRILL LYNCH & CO INC MEDIUM

   6.050% 08/15/2012 DD 08/15/07    315,000    321,054

MERRILL LYNCH & CO INC MEDIUM

   6.050% 08/15/2012 DD 08/15/07    300,000    305,766

MERRILL LYNCH & CO INC MEDIUM

   6.050% 08/15/2012 DD 08/15/07    280,000    285,382

MERRILL LYNCH & CO INC MTN

   6.400% 08/28/2017 DD 08/28/07    1,100,000    1,117,534

MERRILL LYNCH & CO INC MTN

   6.400% 08/28/2017 DD 08/28/07    400,000    406,376

MERRILL LYNCH & CO INC NTS

   6.000% 02/17/2009 DD 02/17/99    1,490,000    1,502,114

MERRILL LYNCH & CO INC SUB NT

   6.050% 05/16/2016 DD 05/16/06    365,000    358,613

MERRILL LYNCH & CO MTN

   5.450% 07/15/2014 DD 07/19/04    550,000    540,722

MERRILL LYNCH & CO MTN

   5.000% 01/15/2015 DD 11/22/04    570,000    535,067

MERRILL LYNCH & CO MTN

   3.700% 04/21/2008 DD 04/21/03    400,000    397,124

MERRILL LYNCH CR CORP MTG LN

   FLTG RT 03/15/2025 DD 12/21/99    331,136    324,149

MERRILL LYNCH MTG

   VAR RT 05/12/2039 DD 05/01/06    380,000    374,061

MERRILL LYNCH MTG

   4.674% 05/12/2043 DD 06/01/05    350,000    338,041

MERRILL LYNCH MTG

   VAR RT 01/12/2044 DD 12/01/05    100,000    99,714

MET LIFE GBL

   4.25 7/30/09 144A    375,000    375,229

MEXICO (UTD MEX ST) MTN

   8.000% 24-SEPT-2022    415,000    510,035

MEXICO GOV GLB

   6.375 1/16/13DT    2,000,000    2,123,000

MEXICO GVT GLB

   5.875 1/15/14DT    150,000    156,000

MICHAELS STORES INC SR SUB NT

   11.375% 11/01/2016 DD 05/01/07    630,000    578,025

MIDAMERICAN ENERGY CO SR NT

   5.950% 07/15/2017 DD 06/29/07    530,000    550,119

MIDAMERICAN ENR

   5.875% 10/1/12    1,710,000    1,772,393

MIDWEST GENERATION CTF SER A

   8.300% 07/02/2009 DD 01/02/01    275,058    279,608

MIRANT AMERICAS GENERATION LLC

   8.300% 05/01/2011 DD 01/04/06    425,000    426,063

MIRANT CORP NEW

   MIRANT CORP NEW    2,147    83,690

MIZUHO CAP INVT

   VAR RT 06/30/2016 DD 03/13/06    178,000    166,540

ML CFC COML MTG

   5.485% 03/12/2051 DD 04/01/07    1,050,000    1,056,710

ML CFC COML MTG TR

   VAR RT 02/12/2039 DD 03/01/06    330,000    334,534

MLCC

   05-B A2 6ML+23 7/30    108,837    106,840

MLCC

   03-H XA1 1% 1/29    1,075,112    22

MLCFC

   2007-5 A1 4.275 12/11    156,409    154,193

MLCFC

   07-7 B 5.750 6/50    130,000    117,716

MLMI

   03-OPT1 M1 1ML+65 7/34    435,000    413,464

MLMI

   03-HE1 M1 1ML+70 7/34    205,000    192,776

MLMT

   04-MKB1 A2 4.353% 2/42    1,310,000    1,302,695

MLMT

   04-KEY2 A2 4.166% 8/39    813,404    806,269

MLMT

   05-MCP1 A2 4.556 6/43    725,000    717,049

MLMT

   07-C1 A4 CSTR 6/50    605,000    627,925

MOMENTIVE PERFORMANCE

   9.750% 12/01/2014 DD 12/04/06    745,000    684,625

MONSANTO CO NEW SR NT

   7.375% 08/15/2012 DD 08/14/02    300,000    327,093

MONUMENTAL GLOBAL FDG

   4.375% 07/30/2009 DD 07/22/04    300,000    301,263

MONY GROUP INC SR NT

   8.350% 03/15/2010 DD 03/08/00    570,000    621,118

MORGAN STANLEY

   5.05% 1/21/11    2,390,000    2,389,732

MORGAN STANLEY

   VAR RT 12/15/2043 DD 12/01/06    1,500,000    1,497,765

MORGAN STANLEY

   5.05% 1/21/11    575,000    574,936

MORGAN STANLEY

   VAR RT 12/15/2043 DD 12/01/06    345,898    347,174

MORGAN STANLEY

   5.682% 08/12/2041 DD 08/01/06    98,540    99,924

MORGAN STANLEY & CO INC SR NT

   4.250% 05/15/2010 DD 05/07/03    135,000    132,890

MORGAN STANLEY CAP

   4.490% 01/13/2041 DD 03/01/04    2,870,000    2,812,198

MORGAN STANLEY CAP

   5.731% 07/20/2044 DD 08/01/06    900,000    892,242

MORGAN STANLEY DW

   4.920% 03/12/2035 DD 03/01/03    455,000    443,302

MORGAN STANLEY DW & CO GL NT

   6.750% 04/15/2011 DD 04/23/01    700,000    731,374

MORGAN STANLEY DW & CO NT

   6.600% 04/01/2012 DD 04/03/02    300,000    314,114

MORGAN STANLEY FRN

   FRN 01/09/12    2,905,000    2,807,360

MORGAN STANLEY GLOBAL MTN

   5.750% 08/31/2012 DD 08/31/07    100,000    102,078

 

40


Table of Contents

Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value

MORGAN STANLEY GLOBAL NT

   5.300% 03/01/2013 DD 02/26/03    1,050,000    1,047,375

MORGAN STANLEY GLOBAL SUB NT

   4.750% 04/01/2014 DD 03/30/04    200,000    187,376

MORGAN STANLEY MTN SER F

   VAR RT 02/09/2009 DD 02/09/06    1,900,000    1,876,535

MORGAN STANLEY NT

   5.450% 01/09/2017 DD 01/09/07    1,405,000    1,362,850

MORGAN STANLEY NT

   4.000% 01/15/2010 DD 11/12/04    300,000    294,984

MORGAN STANLEY NT

   5.375% 10/15/2015 DD 10/21/05    300,000    291,657

MORGAN STANLEY SR MEDIUM TERM

   5.950% 12/28/2017 DD 12/28/07    145,000    144,885

MORGAN STANLEY SR MTN SER F

   5.625% 01/09/2012 DD 08/09/06    200,000    203,436

MORTGAGE IT TR

   VAR RT 02/25/2035 DD 01/19/05    248,884    242,896

MSAC

   07-HE4 A2A 1ML+11 2/37    1,928,739    1,863,945

MSAC

   03-NC7 M1 1ML+70 6/33    170,435    155,949

MSAC

   07-NC1 A2A 1ML+5 11/36    948,677    920,411

MSC

   07-IQ15 A4 6.078% 6/49    1,775,000    1,848,864

MSC

   05-HQ6 A2A 4.882 8/42    1,300,000    1,294,132

MSC

   07-T25 A3 5.514 11/49    1,150,000    1,163,347

MSC

   05-IQ9 A3 4.54% 7/56    910,000    887,888

MSC

   07-IQ16 A4 5.809% 12/49    825,000    844,019

MSC

   2007-HQ11 A31 CSTR 2/44    720,000    718,345

MSC

   07-T27 A4 5.804% 6/42    665,000    676,954

MSC

   07-IQ14 A1 5.38 4/49    657,201    661,402

MSC

   06-HQ10 A1 5.131% 11/41    621,047    622,013

MSC

   2006-IQ12 A4 CSTR 12/43    495,000    494,262

MSC

   07-IQ13 A1 5.05% 3/44    315,676    314,993

MSC

   2007-HQ11 A1 CSTR 2/44    290,574    291,573

MSC

   06-HE2 A2A 1ML+7 3/36    235,675    234,029

MSC

   98-HF2 A2 6.48 11/30    218,460    218,773

MSC

   2006-T23 A1 5.682% 8/41    181,313    183,861

MSC

   05-IQ9 X2 CSTR 7/56    4,180,202    137,119

MSC

   03-IQ6 X2 CSTR 12/41    5,085,228    100,656

MSC

   03-IQ5 X2 CSTR 4/38    2,859,646    71,268

MSDWC

   03-TOP9 A1 3.98 11/36    1,734,972    1,714,936

MSDWC

   01-NC4 M1 1ML+100 1/32    39,276    35,382

MSHEL

   07-2 A1 1ML+10 4/37    1,723,670    1,667,919

MSHEL

   05-1 M2 1ML+47 12/34    300,000    270,067

MSI SMALL CO GROWTH A

   MSI SMALL CO GROWTH A    3,071,792    40,301,916

MSSTR

   04-1 1A1 CSTR 8/17    237,457    243,877

MSTDW

   6.6% 4/01/12    450,000    472,825

MSTDW

   5.55% 4/27/17    385,000    375,440

MSTDW FRN

   3ML+30 1/9/14    825,000    785,660

MSTDW GLBL

   GLBL 6.75% 4/15/11    175,000    183,425

MSTDW MTN

   6.25% 8/28/17    1,600,000    1,626,565

MUFG CAP FIN 1 LTD USD

   VAR RT 07/29/2049 DD 03/17/06    760,000    719,857

MUNDER MDCPCORE GR Y

   MUNDER MDCPCORE GR Y    1,514,027    45,965,857

NATIONAL SEMI

   6.15% 6/15/12    885,000    902,153

NATIONSBANK CORP SUB NOTES

   7.750% 08/15/2015 DD 09/05/95    175,000    197,531

NATIONSBANK MTN SR

   7.230% 08/15/2012 DD 08/15/97    125,000    136,758

NCNB CORP SUB NT

   9.375% 09/15/2009 DD 09/27/89    150,000    160,769

NCSLT

   04-2 AIO 9.75% 10/14    580,000    186,853

NCSLT

   04-GT1 IO1 CSTR 6/10    605,000    108,995

NCSLT

   05-1 AIO 6.75% 12/09    300,000    37,641

NEW YORK LIFE GBL MTN

   3.875% 01/15/2009 DD 01/12/04    100,000    99,421

NEW YORK LIFE MTN

   5.375% 09/15/2013 DD 09/10/03    250,000    250,115

NEW YORK N Y CITY MUN WTR FIN

   5.000% 06/15/2038 DD 12/11/07    100,000    103,892

NEW ZEALAND DOLLAR CURRENCY

   NEW ZEALAND DOLLAR CURRENCY    17,176    13,164

NEWS AMER HLDGS

   9.5% 7/15/24    130,000    166,152

NEWS AMER HLDGS

   8.5% 2/23/25    200,000    238,337

NEWS AMER INC SR NTS

   6.625% 01/09/2008 DD 01/09/98    70,000    70,011

NEXEN INC

   5.05% 11/20/13    435,000    422,409

NEXEN INC

   5.2% 3/10/15    350,000    341,299

NGPL PIPECO LLC SR NT

   7.119% 12/15/2017 DD 12/21/07    1,100,000    1,127,841

NGTPLC MTN

   6.3% 8/01/16    1,365,000    1,393,526

NHEL

   06-WF1 A1 1ML+6.5 3/36    549,228    542,167

NHEL

   06-2 A2A 1ML+5 6/36    148,348    144,565

NISOURCE FIN

   6.4% 3/15/18    1,040,000    1,037,661

NISOURCE FIN

   3ML+57 11/23/09    800,000    792,274

NISOURCE FIN

   7.875% 11/15/10    660,000    700,141

NISOURCE FIN

   5.4% 7/15/14    625,000    612,174

NISOURCE FIN

   7.875% 11/15/10    325,000    344,767

NISSAY

   4.875% 08/09/2010 DD 08/09/05    225,000    227,320

NOMURA ASSET ACCEP

   6.000% 05/25/2033 DD 04/01/03    47,047    47,215

NOMURA ASSET ACCEP CORP

   7.000% 04/25/2033 DD 04/01/03    9,203    9,188

NORFOLK SOUTHERN CORP BDS

   7.700% 05/15/2017 DD 05/19/97    250,000    283,085

NORMURA ASSET ACCEP CORP

   5.500% 05/25/2033 DD 04/01/03    124,509    122,804

 

41


Table of Contents

Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value

NORSKE SKOG CDA LTD SR NT

   8.625% 06/15/2011 DD 06/15/03    690,000    572,700

NORTHRUP GRUMMAN CORP NT

   7.125% 02/15/2011 DD 02/27/01    250,000    266,445

NORTHWEST AIRLINES CRP SR ESC

   10.000% 02/01/2009 DD 01/29/04    70,000    2,275

NORTHWEST AIRLS CORP COM

   10.000% 02/01/2009 DD 01/29/04    1,924    27,917

NORWEST FINL INC NTS

   6.850% 07/15/2009 DD 07/17/97    115,000    119,115

NRG ENERGY INC SR NT

   7.375% 02/01/2016 DD 02/02/06    375,000    365,625

NSTAR

   8% 2/15/10    260,000    278,526

NSTR

   2006-B AV1 1ML+7 9/36    378,918    374,843

NTGI-QM COL DLY

   SP500 EQ INDX    185,330    751,034,489

NTL CABLE PLC SR NT

   9.125% 08/15/2016 DD 07/25/06    620,000    613,800

NUVEEN INVESTMENTS

   5% 9/15/10    145,000    132,313

NY LIFE GLBL

   5.25% 10/12 144A    1,305,000    1,335,250

NY SALE TX FGIC

   3.83% 10/15/09    415,000    409,783

O CHARLEYS INC SR SUB NT

   9.000% 11/01/2013 DD 05/01/04    475,000    457,188

OAKMARK EQ & INC

   OAKMARK EQ & INC    5,124,954    137,758,754

OAKMARK GLOBAL

   OAKMARK GLOBAL    7,402,665    178,404,225

OHIO PWR CO SR NT SER K

   6.000% 06/01/2016 DD 06/12/06    760,000    768,193

ONEOK INC

   5.51% 2/16/08    420,000    419,708

ONEOK PARTNERS LP GTD SR NT

   5.900% 04/01/2012 DD 09/25/06    285,000    293,017

ONYX

   05-B A4 4.34% 5/12    295,000    293,867

OOMLT

   07-5 2A1 1ML+12 5/25/37    1,530,337    1,488,014

OPMAC

   2006-2 A1A 1ML+6 7/36    460,614    454,393

OPMAC

   05-3 A1PT 1ML+29 7/35    184,473    148,095

OPPHMR INTL SM CO Y

   OPPHMR INTL SM CO Y    5,278,204    141,930,908

OPTI CDA INC GTD SR SECD

   8.250% 12/15/2014 DD 12/15/06    255,000    252,450

OR SCH TAX PEN A FGIC

   0% 6/09    1,600,000    1,501,360

ORACLE CORP

   5% 1/15/11    625,000    633,265

ORACLE CORP/OZARK HLDG INC

   5.250% 01/15/2016 DD 01/13/06    250,000    249,490

ORION PWR HLDGS INC SR NT

   12.000% 05/01/2010 DD 05/01/01    375,000    408,750

OWENS CORNING NEW SR NT

   6.500% 12/01/2016 DD 06/01/07    820,000    750,940

PACIFIC GAS & ELEC CO SR NT

   5.625% 11/30/2017 DD 12/04/07    200,000    200,592

PACIFIC LIFE GBL

   3.750% 01/15/2009 DD 01/15/04    100,000    98,828

PACIFICORP 1ST MTG

   4.950% 08/15/2014 DD 08/24/04    420,000    412,255

PACIFICORP AUSTRALIA LLC

   6.150% 01/15/2008 DD 01/15/98    820,000    820,254

PCAT

   2006-A B 5.51% 9/09    230,000    230,130

PCAT

   2006-A C 5.77% 5/10    215,000    215,261

PEMEX FINANCE A/BKD

   8.875% 15-NOV-2010 USD1000    712,000    751,295

PEMEX PR

   3ML+130 6/15/10 144A    500,000    502,000

PEMEX PROJ FD

   6.125% 8/15/08    17,000    17,053

PEMEX PROJ FRN

   3ML+60 12/12144A    300,000    295,350

PENN ELEC

   6.05% 9/1/17 144A    450,000    447,231

PENN MUTUAL

   6.65% 6/15/34    750,000    797,593

PEPCO HOLDINGS

   4% 5/15/10    350,000    343,965

PEPCO HOLDINGS

   6.45% 8/15/12    265,000    277,321

PETROHAWK ENERGY CORP SR NT

   9.125% 07/15/2013 DD 07/12/06    450,000    473,625

PETRONAS CAP

   7% 5/22/12 144A    1,370,000    1,489,520

PHILLIPS PETE GLB

   8.75 5/25/10    400,000    438,224

PIMCO

   5.0000% 06/18/2038    10,500,000    52,134

PIMCO FDS PAC INVT MGMT SER

   SHORT TERM PORTFOLIO INSTL CL    10,683,723    40,082,192

PIMCO SWAP

   5.000% 06/18/2009 DD 07/01/05    107,400,000    1,488,220

PIMCO SWAP

   CALL MAY 09 003.750 ED 5/15/09    111,600,000    922,525

PIMCO SWAP

   CALL DEC 08 004.500 ED 121908    42,000,000    716,361

PIMCO SWAP

   5.000% 06/18/2010 DD 07/01/07    23,400,000    587,513

PIMCO SWAP

   CALL DEC08 005.000 ED 12/15/08    18,900,000    447,766

PIMCO SWAP

   4.000% 06/18/2010 DD 06/18/08    60,400,000    385,273

PIMCO SWAP

   4.000% 06/18/2010 DD 07/01/07    53,900,000    343,812

PIMCO SWAP

   CALL FEB 07 005.000 ED 2/01/08    11,700,000    273,831

PIMCO SWAP

   4.0000% 06/18/2009    54,100,000    233,896

PIMCO SWAP

   1.4000% 12/20/2012    8,400,000    214,633

PIMCO SWAP

   CALL DEC 08 004.500 ED 121908    12,000,000    204,675

PIMCO SWAP

   5.000% 12/21/2016 DD 12/21/11    46,100,000    192,892

PIMCO SWAP

   4.000% 06/18/2010 DD 06/18/08    19,800,000    126,298

PIMCO SWAP

   0.2800% 06/20/2012    1,300,000    86,211

PIMCO SWAP

   0.6000% 12/20/2012    10,100,000    73,638

PIMCO SWAP

   5.0000% 06/18/2013    1,900,000    67,801

PIMCO SWAP

   0.600% 06/20/2017 DD 03/21/07    2,200,000    55,155

PIMCO SWAP

   5.000% 12/21/2016 DD 12/21/11    8,900,000    37,239

PIMCO SWAP

   W/MERRILL MAT 6/17/2011    36,300,000    32,351

PIMCO SWAP

   5.0000% 06/18/2015    900,000    29,641

PIMCO SWAP

   5.0000% 06/18/2038    3,900,000    19,364

PIMCO SWAP

   PUT JAN 08 004.750 ED 01/31/08    30    16,838

PIMCO SWAP

   0.450% 06/20/2012 DD 03/24/07    900,000    15,294

PIMCO SWAP

   5.000% 06/18/2009 DD 06/18/08    1,100,000    15,242

 

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Table of Contents

Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value  

PIMCO SWAP

   5.000% 12/21/2016 DD 12/21/11    1,800,000    7,532  

PIMCO SWAP

   0.510% 06/20/2012 DD 03/24/07    900,000    5,014  

PIMCO SWAP

   PUT MAR 10 004.770 ED 03/10/10    270    2,462  

PIMCO SWAP

   0.450% 06/20/2012 DD 03/24/07    900,000    1,200  

PIMCO SWAP

   5.0000% 06/18/2038    100,000    497  

PIMCO SWAP

   5.0000% 06/18/2028    300,000    (293 )

PIMCO SWAP

   PUT MAR 10 005.035 ED 03/06/10    540    (1,415 )

PIMCO SWAP

   4.000% 06/18/2013 DD 07/01/07    5,200,000    (43,353 )

PIMCO SWAP

   5.0000% 06/18/2018    3,700,000    (88,231 )

PIMCO SWAP

   PUT MAR 09 005.100 ED 03/16/09    8,800,000    (89,169 )

PIMCO SWAP

   5.0000% 06/18/2018    3,900,000    (93,000 )

PIMCO SWAP

   CALL DEC 08 005.000 ED 121908    4,000,000    (159,131 )

PIMCO SWAP

   CALL FEB 08 005.100 ED 2/01/08    5,100,000    (212,813 )

PIMCO SWAP

   CALL DEC08 005.200 ED 12/15/08    6,300,000    (297,439 )

PIMCO SWAP

   4.0000% 06/18/2013    37,300,000    (310,978 )

PIMCO SWAP

   PUT MAY 09 005.300 ED 05/15/09    8,900,000    (472,511 )

PIMCO SWAP

   4.0000% 06/18/2013    61,500,000    (512,738 )

PIMCO SWAP

   5.000% 06/18/2018 DD 06/18/08    21,700,000    (517,463 )

PIMCO SWAP

   CALL DEC 08 005.000 ED 121908    14,000,000    (556,957 )

PIMCO SWAP

   CALL MAY 09 005.300 ED 5/15/09    8,900,000    (690,976 )

PIMCO SWAP

   5.000% 06/18/2018 DD 06/18/08    51,100,000    (1,218,541 )

PIMCO SWAP

   5.000% 06/18/2018 DD 06/18/06    57,000,000    (1,359,233 )

PIMCO TOTAL RETURN INST

   PIMCO TOTAL RETURN INST    15,828,460    169,206,237  

PINNACLE FOODS FIN LLC 144A

   10.625% 04/01/2017 DD 04/02/07    550,000    473,000  

PMNT

   06-B1A B1 5.35 3/13    745,000    739,534  

PNC FDG CORP SUB NT

   5.250% 11/15/2015 DD 11/03/03    400,000    387,688  

POKAGON GAMING AUTH SR NT

   10.375% 06/15/2014 DD 06/22/06    600,000    645,000  

POPLR

   06-D A1 1ML+6 11/36    636,350    623,922  

POPULAR NORTH AMER INC MTN

   4.250% 04/01/2008 DD 03/28/03    100,000    99,511  

PORT TOWNSEND HLDGS CO INC COM

   COMM STOCK    525    465,925  

POST APT HOMES

   5.45% 6/01/12    525,000    533,142  

POTASH CORP OF SASKATCHEWAN

   7.750% 05/31/2011 DD 05/21/01    300,000    325,638  

POTLATCH CORP

   STEP 12/01/2009 DD 12/01/89    450,000    508,428  

PPL CAP FDG

   6.7/VAR 3/30/67    755,000    694,674  

PPL ENERGY SUPP

   5.7% 10/15/35    850,000    827,354  

PRICOA GLB FDG

   5.4% 10/12 144A    1,150,000    1,192,657  

PRICOA GLOBAL FDG

   3.900% 12/15/2008 DD 12/16/03    975,000    964,480  

PRIME PPTY FDG

   5.5 1/15/14 144    370,000    368,177  

PRIME PRTY FDG

   5.7 4/15/17 144    160,000    152,756  

PRINCIPAL LIFE

   6.25% 2/15/12    700,000    745,735  

PRINCIPAL LIFE GLOBAL

   2.800% 06/26/2008 DD 06/26/03    300,000    296,295  

PRINCIPAL LIFE GLOBAL FDG

   3.625% 04/30/2008 DD 04/11/03    435,000    432,281  

PRINCIPAL LIFE INC FDG

   3.200% 04/01/2009 DD 03/29/04    95,000    93,255  

PRINCIPAL LIFE INCOME FUNDINGS

   5.300% 12/14/2012 DD 12/14/07    300,000    300,702  

PRINICPAL LIFE

   6.250% 02/15/2012 DD 02/20/02    100,000    106,531  

PROCTER & GAMBLE ESOP DEB SR-A

   9.360% 01/01/2021 DD 12/04/90    285,474    363,800  

PROGRESS ENERGY

   7.1% 3/01/11    758,000    806,659  

PROGRESSIVE CORP OH FXD/VAR RT

   VAR RT 06/15/2037 DD 06/21/07    1,500,000    1,392,645  

PROTECTIVE LIFE MTN

   3.700% 11/24/2008 DD 11/24/03    740,000    729,943  

PROTECTIVE LIFE SECD

   4.000% 10/07/2009 DD 10/07/04    300,000    300,984  

PROTECTIVE LIFE SECS #TR00002

   4.000% 04/01/2011 DD 04/07/04    225,000    225,457  

PRUDENTIAL MTN

   5.8% 6/15/12    525,000    538,027  

PRUDENTIAL MTN

   6.6 5/15/08 144    450,000    451,670  

PSE&G TRANSITION FDG

   6.610% 06/15/2015 DD 01/31/01    430,000    460,208  

PSEG PWR LLC SR NT

   3.750% 04/01/2009 DD 03/30/04    95,000    93,901  

PSEG PWR LLC SR NT

   7.750% 04/15/2011 DD 10/15/01    40,000    43,037  

QBE CAP FDG II L P

   VAR RT 06/01/2049 DD 05/02/07    350,000    335,125  

QUEBEC PROV MTN

   6.35% 1/30/26A    1,375,000    1,583,038  

QUEBECOR WORLD CAP CORP

   4.875% 11/15/2008 DD 11/03/03    355,000    319,944  

QUEBECOR WORLD CAP CORP GTD

   6.125% 11/15/2013 DD 11/03/03    185,000    144,069  

QUEBECOR WORLD INC SR NT

   9.750% 01/15/2015 DD 12/18/06    290,000    217,863  

QWEST CORP NT

   7.500% 10/01/2014 DD 08/08/06    260,000    263,900  

QWEST CORP NT

   VAR RT 06/15/2013 DD 12/15/05    200,000    204,000  

RAINBOW NATL SVCS LLC

   8.750% 09/01/2012 DD 08/20/04    400,000    411,500  

RALI SER

   6.000% 06/25/2036 DD 06/01/06    3,246,250    3,226,286  

RALI SER

   6.000% 11/25/2036 DD 11/01/06    1,527,255    1,466,455  

RALI SER

   6.000% 01/25/2037 DD 01/01/07    414,896    427,575  

RAMP

   2006-EFC2 A1 1ML+7 12/36    743,753    726,565  

RAMP

   06-RS4 A1 1ML+8 7/36    438,506    430,582  

RAMP

   03-SL1 A31 7.125% 4/31    201,700    205,368  

RAMP

   04-SL2 A1I 6.5 10/16    33,973    34,903  

RAS LAF YANK

   8.294 3/15/14 144A    480,000    535,381  

RAS LAFFAN

   5.832% 9/30/16 144A    380,000    386,148  

 

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Table of Contents

Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value

RAS LAFFAN LIQ SER C

   5.832% 09/30/2016 DD 09/26/06    310,000    315,716

RAS LAFFAN LIQUEFIED NG

   3.437% 09/15/2009 DD 03/15/04    659,600    658,564

RAS LAFFAN LIQUEFIELD

   5.838% 09/30/2027 DD 08/09/05    900,000    849,654

RASC

   06-EMX7 A1 1ML+6 8/36    686,080    676,931

RASC

   06-KS7 A1 1ML+5 9/36    346,338    343,312

REABLE THERAPEUTICS

   10.875% 11/15/2014 DD 11/20/07    250,000    245,625

REALOGY CORP SR NT

   10.500% 04/15/2014 DD 04/10/07    525,000    392,438

REALOGY CORP SR SUB NT

   12.375% 04/15/2015 DD 04/10/07    300,000    189,000

RECKSON OPERATNG

   5.15% 1/15/11    125,000    126,002

REGENCY CTRS LP

   5.875% 6/15/17    500,000    483,171

REGENCY ENERGY PARTNERS LP/

   8.375% 12/15/2013 DD 06/15/07    341,000    351,230

REINSURANCE GROUP AMER INC

   VAR RT 12/15/2065 DD 12/08/05    375,000    336,911

REPUBLIC N Y CORP SUB NT

   9.700% 02/01/2009 DD 02/01/89    100,000    104,734

RESIDENTIAL

   6.000% 07/25/2036 DD 05/01/06    500,000    473,225

RESIDENTIAL ACCREDIT

   VAR RT 02/25/2018 DD 02/25/03    51,355    53,915

RESIDENTIAL ACCREDIT

   5.000% 07/25/2018 DD 07/01/03    847,033    838,724

RESIDENTIAL ACCREDIT

   VAR RT 10/25/2017 DD 10/25/02    37,332    39,267

RESIDENTIAL ACCREDIT

   VAR RT 05/25/2018 DD 05/25/03    519,752    35,172

RESIDENTIAL ACCREDIT

   VAR RT 02/25/2018 DD 02/25/03    327,859    19,993

RESIDENTIAL ASSET

   6.000% 08/25/2036 DD 06/01/06    1,552,522    1,429,563

RESIDENTIAL ASSET

   VAR RT 07/25/2032 DD 07/02/02    19,532    18,227

RESIDENTIAL ASSET SECURITIES

   VAR RT 07/25/2033 DD 06/27/03    30,828    29,884

RESIDENTIAL CAP CORP SUB

   VAR RT 04/17/2009 DD 04/17/06    75,000    36,938

RESIDENTIAL CAP LLC NT

   STEP 06/01/2012 DD 05/25/07    610,000    375,150

RESIDENTIAL CAP LLC NT

   VAR RT 05/22/2009 DD 05/25/07    300,000    213,000

RESIDENTIAL FDG

   VAR RT 09/25/2035 DD 08/01/05    538,712    544,471

RESIDENTIAL FDG

   0.000% 06/25/2034 DD 06/01/04    210,913    154,620

RESIDENTIAL FDG MTG

   5.250% 03/25/2034 DD 03/01/04    1,607,584    1,592,328

RESIDENTIAL FDG MTG

   4.500% 12/25/2032 DD 05/01/03    200,000    194,634

RESONA BK USD

   VAR RT 09/29/2049 DD 09/15/05    1,400,000    1,301,552

REYNOLDS AMERN

   6.75% 6/15/17    640,000    651,855

REYNOLDS AMERN

   7.25% 6/15/37    500,000    505,340

REYNOLDS AMERN INC SR SECD NT

   6.750% 06/15/2017 DD 06/21/07    1,000,000    1,018,590

RFSC

   03-RP2 A1 1ML+45 6/33    120,262    101,885

RH DONNELLEY CORP SR NT

   8.875% 01/15/2016 DD 07/15/06    165,000    154,275

RIDDELL BELL HLDGS INC SR SUB

   8.375% 10/01/2012 DD 04/01/05    210,000    189,000

ROGERS CABLE

   6.25% 6/15/13    700,000    710,500

ROUSE CO

   3.625% 3/15/09    450,000    428,741

ROUSE CO NT

   7.200% 09/15/2012 DD 09/10/02    75,000    71,414

ROYAL BK CDA MONTREAL QUE SR

   3.875% 05/04/2009 DD 04/29/04    190,000    188,325

ROYAL BK SCOTLAND GROUP

   VAR RT 10/29/2049 DD 10/04/07    600,000    598,218

ROYAL BK SCOTLAND GROUP

   VAR RT 10/29/2049 DD 10/04/07    400,000    398,812

ROYAL BK SCOTLAND GROUP PLC

   VAR RT 03/31/2049 DD 10/04/07    900,000    925,308

ROYAL BK SCOTLAND GROUP PLC

   VAR RT 03/31/2049 DD 10/04/07    400,000    411,248

RURAL CELLULAR CORP SR NT

   9.875% 02/01/2010 DD 08/01/03    250,000    259,375

RURAL CELLULAR CORP SR SUB NT

   VAR RT 11/01/2012 DD 05/01/06    75,000    76,500

RUSSIA FEDN BDS REG S

   12.750% 24-JUN-2028    250,000    454,750

RYERSON INC SR NT

   12.000% 11/01/2015 DD 10/19/07    425,000    419,688

SABR

   06-HE2 A2A 1ML+5 7/36    690,105    664,388

SACO I TR

   VAR RT 03/25/2034 DD 04/28/06    477,546    390,179

SAFEWAY INC NT

   6.350% 08/15/2017 DD 08/17/07    315,000    328,337

SALOMON BROS MTG

   0.000% 12/25/2018 DD 07/01/03    30,670    25,352

SALOMON SMITH BARNEY HLDGS NT

   6.500% 02/15 /2008 DD 02/06/01    350,000    350,655

SANTANDER

   5.805/VAR 6/20/16    675,000    688,858

SANTANDER PERP S A

   VAR RT 10/29/2049 DD 10/24/07    1,400,000    1,403,710

SANTANDER PERP S A

   VAR RT 10/29/2049 DD 10/24/07    700,000    701,855

SANTANDER US DEBT SA SR

   VAR RT 02/06/2009 DD 02/06/06    1,900,000    1,889,303

SAPPI PAPIER HLDG AG GTN

   7.500% 06/15/2032 DD 06/10/02    550,000    479,958

SARM

   05-14 A1 1ML+31 7/35    389,975    365,487

SARM

   04-13 2A1 1ML+30 9/34    229,930    224,268

SASC

   07-BC1 A2 1ML+5 2/37    950,074    923,126

SASCO

   03-AL1 A 3.3565 4/25    948,139    880,167

SB TREAS CO LLC PFD SER A

   VAR RT /12/29/2049 DD 02/18/98    200,000    203,936

SBC COMM GLBL

   5.875% 2/01/12    2,950,000    3,044,078

SBC COMMUNICATIONS

   5.100% 09/15/2014 DD 11/03/04    300,000    296,907

SBM7

   00-C3 A2 6.592 12/33    680,000    707,041

SBM7

   03-UP1 A 3.45% 4/32    139,670    128,628

SCHERING PLOUGH

   5.3% 12/01/13    255,000    258,004

SCOTLAND INTL

   7.7% 8/15/10144A    500,000    540,185

SCOTTISH POWR GLB

   4.91 3/15/10    550,000    547,498

SEABULK INTL INC SR NT

   9.500% 08/15/2013 DD 08/05/03    225,000    237,938

SEALED AIR

   6.95% 5/15/09 144A    355,000    362,100

SEITEL INC SR NT

   9.750% 02/15/2014 DD 08/15/07    490,000    417,725

 

44


Table of Contents

Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value

SEMT 04-10 A4

   04-10 A4 6ML+34 11/34    145,806    144,722

SHINSEI FIN II CAYMAN LTD PFD

   07/29/2049 DD 03/23/06    1,335,000    1,126,820

SIMON PPTY GLB

   5.375 6/1/11    980,000    967,601

SIMON PROP GROUP

   7.75% 1/20/11    95,000    101,666

SIMON PROPERTY

   4.875% 8/15/10    630,000    624,338

SIMON PROPERTY

   5.1% 6/15/15    365,000    343,169

SIMON PROPERTY

   5.6% 9/1/11    590,000    591,926

SIMON PROPERTY0

   4.6% 6/15/10    455,000    452,299

SLM CORP

   4.5% 7/26/10    245,000    224,714

SLM CORP FRN

   3ML+16 7/26/10    994,000    914,948

SLM CORP FRN

   CPI+212 1/31/14    925,000    756,798

SLM CORP MEDIUM TERM NTS BOOK

   VAR RT 03/15/2011 DD 03/17/06    1,900,000    1,729,285

SLM CORP MTN # TR 00013

   3.625% 03/17/2008 DD 02/20/03    1,285,000    1,269,452

SLM CORP MTN # TR 00077

   4.000% 01/15/2010 DD 12/20/04    300,000    276,327

SLMA

   05-8 A4 4.25% 1/28    1,650,000    1,636,140

SLMA

   05-10 A2 3ML+1 4/15    181,667    181,665

SMALL BUS ADMIN GTD

   5.120% 12/01/2026 DD 12/13/06    96,305    95,602

SMALL BUS CTF 2005-201

   4.760% 09/01/2025 DD 09/14/05    13,204,485    13,059,896

SMALL BUSINESS ADMIN 04-20 F

   5.520% 06/01/2024 DD 06/16/04    7,915,482    8,144,239

SMALL BUSINESS ADMIN 05-20E

   4.840% 05/01/2025 DD 05/11/05    4,253,637    4,176,434

SMALL BUSINESS ADMIN 06-20F

   5.820% 06/01/2026 DD 06/14/06    5,561,506    5,726,071

SMALL BUSINESS ADMIN GTD DEV

   4.890% 12/01/2023 DD 12/17/03    5,244,915    5,258,290

SMGF PFD CAP USD I LTD 144A

   VAR RT 01/29/2049 DD 12/18/06    365,000    336,256

SMRTF

   07-1 B 1ML+22 6/12    375,000    363,874

SMRTF

   07-1 C 1ML+50 6/12    225,000    218,836

SOCIETE GENERALE SUB NT 144A

   VAR RT 12/31/2049 DD 04/05/07    590,000    545,933

SOUTHERN CO SR NT SER 2007 A

   5.300% 01/15/2012 DD 01/18/07    2,015,000    2,051,532

SOUTHWESTERNBELL TEL CO DEB

   7.000% 07/01/2015 DD 07/01/93    255,000    276,038

SP POWERASSET 3.8 10/22/08 144

   3.8 10/22/08 144    700,000    695,386

SPRINT CAP CORP

   7.625% 01/30/2011 DD 01/25/01    300,000    312,609

SPRINT CAP CORP NT

   8.375% 03/15/2012 DD 03/14/02    300,000    324,891

SPRINT CAP GLBL

   7.625% 1/30/11    345,000    359,524

SPRINT CAP GLBL

   7.625% 1/30/11    350,000    364,735

SPRINT NEXTEL CORP NT

   6% 12/01/16    771,000    738,458

SPRINT NEXTEL CORP NT

   6.000% 12/01/2016 DD 11/20/06    670,000    641,733

SPRINT NEXTEL CORP NT

   6.000% 12/01/2016 DD 11/20/06    600,000    574,686

SSBK GOVT STIF FUND

   SSBK GOVT STIF FUND    877,971    877,971

ST PAUL COS

   8.125% 4/15/10    700,000    756,148

STALLION OILFIELD 144A

   9.750% 02/01/2015 DD 01/24/07    325,000    299,000

STALLION OILFIELD SERVICES

   5.320% 06/12/2013 DD 08/16/07    410,000    385,400

STANDARD CHARTERED PLC 144A

   6.409% 12/31/2049 DD 12/08/06    500,000    452,810

STARW

   99-C1A B 6.92 2/14    120,000    123,646

STATE STR SUB NT

   7.650% 06/15/2010 DD 06/20/00    100,000    106,719

STATION CASINOS INC SR SUB NT

   6.625% 03/15/2018 DD 03/13/06    825,000    565,125

STEEL DYNAMICS INC SR NT 144A

   6.750% 04/01/2015 DD 04/03/07    150,000    144,750

STONE CONTAINER CORP SR NT

   8.375% 07/01/2012 DD 06/26/02    570,000    565,725

STRUCTURED ADJ RATE MTG LN TR

   VAR RT 01/25/2035 DD 12/01/04    586,358    583,274

STRUCTURED ASSET 04-20 CL 1-A3

   5.250% 11/25/2034 DD 10/01/04    346,356    344,977

STRUCTURED ASSET MTG I-1A-1

   VAR RT 04/25/2036 DD 04/28/06    4,105,082    4,025,607

SUNGARD DATA SYS INC SR SUB NT

   10.250% 08/15/2015 DD 02/15/06    310,000    316,975

SUNTRUST BKS INC

   4% 10/15/08    255,000    253,352

SUNTRUST BKS INC SR NT

   5.250% 11/05/2012 DD 11/05/07    325,000    327,486

SUNTRUST BKS INC SR NT

   6.000% 09/11/2017 DD 09/10/07    110,000    110,515

SURFN 2006-AB2 N1

   2006-AB2 N1 5.75% 6/37    153,931    38,483

SVHE 07-OPT1

   07-OPT1 2A1 1ML+12 6/37    1,359,407    1,296,974

SWAP: USD

   USD 5.272% 8/06/12    13,200,000    807,840

SWAPTION

   10YR RTR 5.78 8/9/2010    7,800,000    556,920

SWAPTION

   10YR RTR 5.78 8/9/2010 PUT    7,800,000    200,460

SWEDEN (KINGDOM OF) MTN

   3.000% 22-DEC-2008 USD1000    2,845,000    2,821,956

SWEDISH KRONA CURRENCY

   SWEDISH KRONA CURRENCY    497    77

SWIFT

   05-A12 B 1ML+48 6/10    405,000    396,004

SWIFT

   05-A12 C 1ML+120 6/10    200,000    195,823

SWISS RE CAP I LP PFD 144A

   VAR RT 05/29/2049 DD 05/11/06    1,405,000    1,380,623

SWP SEK

   4.492 8/28/10    37,100,000    33,739

SWP: USD

   USD 4.1 12/12/09 SWP    7,700,000    30,877

SWP: USD

   USD 4.034 12/11/09 SWP    9,900,000    24,750

SWP: USD

   USD 4.05 12/11/09 SWP    3,400,000    9,520

SYMETRA

   6.125% 4/01/16    605,000    602,420

T. ROWE PRICE SMALL CAP STOCK

   T. ROWE PRICE SMALL CAP STOCK    8,798,638    104,087,887

TALECRIS BIOTHERAPEUTICS 2ND

   13.500% 12/06/2014 DD 12/06/06    175,000    173,688

TANGER PROP LTD

   9.125% 2/15/08    50,000    50,185

TANGER PROP LTD

   6.15% 11/15/15    1,180,000    1,196,880

TCW VALUE OPPS I

   TCW VALUE OPPS I    2,409,236    45,895,948

 

45


Table of Contents

Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value

TELE COMMUNICATIONS INC DEB

   7.875% 08/01/2013 DD 08/03/93    600,000    657,558

TELECOM ITALIA

   4.95% 9/30/14    1,340,000    1,290,530

TELECOM ITALIA

   6.2% 7/18/11    975,000    1,002,035

TELECOM ITALIA

   5.25% 11/15/13    815,000    805,489

TELECOM ITALIA

   4% 1/15/10    430,000    421,157

TELECOM ITALIA

   5.25% 10/01/15    175,000    170,494

TELECOM ITALIA CAP GTD SR NT B

   5.250% 11/15/2013 DD 05/15/04    210,000    207,539

TELEFONICA EMIS

   6.421% 6/20/16    2,140,000    2,252,050

TELEFONICA EMIS

   5.984% 6/20/11    800,000    822,950

TELEFONICA EMIS

   6.421% 6/20/16    325,000    342,017

TELEFONICA EMISI

   5.855% 2/4/13    800,000    823,139

TELEFONICA EMISIONES S A U

   VAR RT 06/19/2009 DD 06/20/06    1,900,000    1,886,035

TELEFONICA EMISIONES S A U SR

   5.855% 02/04/2013 DD 07/02/07    1,000,000    1,028,910

TELEFONICA GLBL

   7.75% 9/15/10    75,000    80,276

TELEFONOS MEXICO

   4.75% 1/27/10    715,000    715,765

TEMBEC INDUSTRIES INC

   NOW CUSIP 87974D100    600,000    289,500

TEVA PHARM FIN

   5.55% 2/01/16    350,000    345,866

TEXAS COMPETITIVE 144A

   10.250% 11/01/2015 DD 10/31/07    465,000    460,350

TEXAS EAST

   7.3% 12/01/10    505,000    541,342

TEXAS EASTN TRANSMISSION CORP

   7.300% 12/01/2010 DD 12/04/00    75,000    80,402

TEXTRON FINL CORP MTN #TR00641

   5.125% 02/03/2011 DD 02/03/06    165,000    166,800

TFM S A DE CV SR NT

   9.375% 05/01/2012 DD 11/01/05    650,000    680,875

THORNBURG MTG SECS 05-2 CL A-4

   VAR RT 07/25/2045 DD 06/29/05    1,226,089    1,225,721

TIAA

   07-C4 A1 CSTR 8/39    2,096,436    2,129,656

TIAA

   01-C1A A4 6.68% 6/31 144A    1,280,000    1,311,192

TIAA

   2007-C4 A3 CSTR 8/39    575,000    592,145

TIAA GLOBAL

   5.125% 10/10/12 144A    2,300,000    2,344,312

TIAA GLOBAL

   3.875 1/22/08 144A    90,000    89,987

TIAA GLOBAL MKTS INC NT

   3.875% 01/22/2008 DD 01/16/03    1,010,000    1,009,838

TIAA SEASONED COML 07-C4 CL A3

   VAR RT 08/15/2039 DD 07/10/07    1,240,000    1,247,217

TIM HELLAS TELE 144A

   VAR RT 01/15/2015 DD 12/21/06    500,000    471,250

TIME WARNER CAB

   5.85 5/1/17W/I    525,000    526,296

TIME WARNER CAB

   5.85 5/1/17W/I    415,000    416,024

TIME WARNER CABLE

   CL A W/I    6,112    168,691

TIME WARNER CABLE INC

   5.850% 05/01/2017 DD 04/09/07    300,000    300,750

TIME WARNER COS INC

   7.57% 2/24    500,000    542,275

TIME WARNER ENTMT CO LP SR DEB

   8.375% 03/15/2023 DD 09/15/93    300,000    353,388

TIME WARNER ENTMT CO LP SR NT

   10.150% 05/01/2012 DD 11/01/92    291,000    342,059

TIME WARNER INC NEW NT

   5.500% 11/15/2011 DD 11/13/06    1,340,000    1,345,440

TIME WARNER TELECOM HLDGS INC

   9.250% 02/15/2014 DD 02/20/04    290,000    296,525

TIME WARNR INC

   5.875% 11/15/16    740,000    735,453

TMTS

   03-4HE A 1ML+43 9/34    17,145    16,356

TOBACCO SETTLEMENT REV SER B

   6.375% 05/15/2028 DD 03/22/01    2,180,000    2,215,011

TOKAI PFD CAP CO LLC 144A BDS

   STEP 12/29/2049 DD 03/26/98    400,000    405,312

TOYOTA MTR CR CORP NT

   2.875% 08/01/2008 DD 07/14/03    100,000    98,687

TRANSATLANTIC HLDGS INC SR NT

   5.750% 12/14/2015 DD 12/14/05    615,000    639,022

TRANSCANADA PIPELINES LTD NT

   4.000% 06/15/2013 DD 06/12/03    175,000    167,097

TRANSOCEAN INC

   5.25% 3/15/13    1,275,000    1,277,825

TRANSOCEAN INC

   5.25% 3/15/13    575,000    576,274

TRANSOCEAN INC SR NT

   5.250% 03/15/2013 DD 12/11/07    405,000    405,883

TRINIDAD & TOGAGO REP NT 144A

   5.875% 05/17/2027 DD 05/17/07    325,000    320,479

TRITON PCS INC GTD SR NT

   8.500% 06/01/2013 DD 06/13/03    625,000    646,875

TRIZE

   01-TZHA C3 6.522 3/13    561,726    562,458

TRS BOA CMBS AAA

   10YR INDEX    2,395,000    37,721

TRS LEH CMBS AAA

   8.5+INDEX 1/8    2,905,000    53,452

TRS LEH CMBS AAA

   8.5% 1/31/08    2,890,000    53,176

TRUE MOVE CO LTD GTD NT 144A

   10.375% 08/01/2014 DD 08/01/07    300,000    297,000

TRUE MOVE CO LTD NT 144A

   10.750% 12/16/2013 DD 12/14/06    125,000    126,250

TRUE TEMPER SPORTS INC SR SUB

   8.375% 09/15/2011 DD 03/15/04    355,000    214,775

TUBE CITY IMS CORP SR SUB NT

   9.750% 02/01/2015 DD 01/25/07    345,000    310,500

TURNER EMERGING GROWTH

   TURNER EMERGING GROWTH    4,557,736    257,557,662

TWIN REEFS PASS THROUGH 144A

   VAR RT 12/31/2049 DD 12/10/04    200,000    130,156

TX EASTERN TRNSMSSN

   6% 9/15/17    950,000    974,596

TYCO ELECTRONICS GRP S A 144A

   6.000% 10/01/2012 DD 09/25/07    900,000    922,212

U S DEPT VETERANS 02-3 J

   6.000% 04/15/2009 DD 09/01/02    80,785    80,954

U S I HLDGS CORP SR SUB NT144A

   9.750% 05/15/2015 DD 05/04/07    475,000    382,375

U S TREAS BD STRIP PRIN PMT

   0.000% 05/15/2016 DD 05/15/86    5,000,000    3,542,000

U S TREAS NTS

   3.375% 11/30/2012 DD 11/30/07    805,000    802,505

U S TREAS STRIP GEN INT PMT

   0.000% 05/15/2017 DD 06/16/90    3,350,000    2,250,530

U S TREAS STRIP GENERIC TINT

   02/15/2014    9,300,000    7,399,080

U S TREAS STRIP GENERIC TINT

   11/15/2012    5,245,000    4,437,795

U S TREAS STRIP GENERIC TINT

   02/15/2011    4,680,000    4,235,868

U S TREAS STRIP GENERIC TINT

   0.000% 08/15/2012 DD 02/15/85    3,600,000    3,077,640

 

46


Table of Contents

Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value  

U S TREAS STRIP GENERIC TINT

   0.000% 05/15/2012 DD 11/15/85    3,150,000    2,745,225  

U S TREAS STRIP GENERIC TINT

   05/15/2014    2,850,000    2,238,105  

U S TREAS STRIP GENERIC TINT

   02/15/2016    1,250,000    896,875  

U S TREAS STRIP GENERIC TINT

   0.000% 02/15/2015 DD 02/15/85    900,000    680,670  

U S TREAS STRIP GENERIC TINT

   0.000% 08/15/2013 DD 02/15/85    600,000    490,920  

U S TREAS STRIP GENERIC TINT

   08/15/2011    520,000    462,540  

U S TREAS STRIP GENERIC TINT

   0.000% 11/15/2014 DD 11/15/85    550,000    422,345  

U S TREAS STRIP GENERIC TINT

   0.000% 08/15/2014 DD 02/15/85    300,000    233,340  

U S TREAS STRIP GENERIC TINT

   0.000% 08/15/2016 DD 12/11/90    300,000    210,180  

U S TREAS STRIP GENERIC TINT

   0.000% 05/15/2016 DD 08/15/87    250,000    176,950  

U S TREAS STRIP GENERIC TINT

   0.000% 11/15/2013 DD 11/15/85    200,000    161,920  

U S TREAS STRIP GENERIC TINT

   02/15/2023    200,000    99,220  

U S TREAS STRIP GENERIC TINT

   0.000% 11/15/2017 DD 05/15/87    150,000    98,370  

U S TREASURY BILL

   0.000% 03/13/2008 DD 09/13/07    5,970,000    5,927,493  

U S TREASURY BILL

   0.000% 02/28/2008 DD 08/30/07    2,345,000    2,328,244  

U S TREASURY BONDS

   11.250% 02/15/2015 DD 02/15/85    3,000,000    4,383,270  

U S TREASURY BONDS

   12.000% 08/15/2013 DD 08/15/83    3,900,000    4,103,541  

U S TREASURY BONDS

   9.875% 11/15/2015 DD 11/15/85    1,100,000    1,541,546  

U S TREASURY NOTES

   06.500% 02/15/2010 DD 02/15/00    14,800,000    15,831,412  

U S TREASURY NOTES

   4.500% 03/31/2012 DD 03/31/07    11,665,000    12,195,758  

U S TREASURY NOTES

   4.625% 02/29/2012 DD 02/28/07    9,470,000    9,940,659  

U S TREASURY NOTES

   4.750% 05/15/2014 DD 05/15/04    6,500,000    6,914,050  

U S TREASURY NOTES

   4.500% 09/30/2011 DD 09/30/06    4,000,000    4,174,400  

U S TREASURY NOTES

   4.875% 08/15/2016 DD 08/15/06    3,640,000    3,876,964  

U S TREASURY NOTES

   05.625% 05/15/2008 DD 05/15/98    3,650,000    3,680,806  

U S TREASURY NOTES

   4.750% 01/31/2012 DD 01/31/07    3,000,000    3,163,200  

U S TREASURY NOTES

   4.000% 02/15/2014 DD 02/15/04    3,000,000    3,065,700  

U S TREASURY NOTES

   4.625% 07/31/2009 DD 07/31/07    2,875,000    2,942,850  

U S TREASURY NOTES

   6.000% 08/15/2009 DD 08/15/99    2,400,000    2,510,256  

U S TREASURY NOTES

   5.125% 06/30/2011 DD 06/30/06    2,000,000    2,125,400  

U S TREASURY NOTES

   4.500% 05/15/2010 DD 05/15/07    1,285,000    1,328,305  

U S TREASURY NOTES

   4.500% 05/15/2017 DD 05/15/07    1,160,000    1,202,688  

U S TREASURY NOTES

   4.625% 02/15/2017 DD 02/15/07    1,100,000    1,150,380  

U S TREASURY NOTES

   5.000% 07/31/2008 DD 07/31/06    1,000,000    1,009,100  

U S TREASURY NOTES

   3.125% 09/15/2008 DD 09/15/03    700,000    699,090  

U S TREASURY NOTES

   3.375% 10/15/2009 DD 10/15/04    500,000    503,250  

U S TREASURY NOTES

   4.875% 02/15/2012 DD 02/15/02    400,000    424,438  

U S TREASURY NOTES

   4.750% 02/28/2009 DD 02/28/07    350,000    356,545  

U S TREASURY NOTES

   4.500% 04/30/2012 DD 04/30/07    305,000    318,695  

U S TREASURY NOTES

   3.250% 08/15/2008 DD 08/15/03    200,000    199,960  

U S TREASURY NOTES

   3.625% 01/15/2010 DD 01/15/05    150,000    151,785  

U S TREASURY NOTES

   4.750% 05/31/2012 DD 05/31/07    100,000    105,570  

U S TREASURY NOTES

   5.125% 05/15/2016 DD 05/15/06    85,000    92,021  

U S TREASURY NTS

   4.625% 10/31/2011 DD 10/31/06    10,900,000    11,426,470  

U S TREASURY NTS

   4.875% 05/31/2009 DD 05/31/07    1,440,000    1,476,000  

UBS AG STAM MTN

   5.875 12/20/17    1,205,000    1,213,489  

UBS FIN DEL INC DISC

   01/02/2008    7,900,000    7,898,244  

UDR INC MTN

   5.5% 4/1/14    460,000    433,055  

UMBRELLA ACQUISITION INC 144A

   9.750% 03/15/2015 DD 03/29/07    505,000    460,181  

UNION PAC CORP NT

   5.650% 05/01/2017 DD 04/18/07    100,000    98,703  

UNION PAC CORP SR NT

   4.875% 01/15/2015 DD 11/23/04    185,000    176,329  

UNITED AIR LINES

   6.636% 7/2/22    505,000    474,195  

UNITED DOM RLTY

   5.25% 1/15/15    140,000    130,077  

UNITED MEXICAN STS MTN TR00011

   6.625% 03/03/2015 DD 03/03/03    250,000    270,600  

UNITED MEXICAN STS MTN TR00012

   4.625% 10/08/2008 DD 04/11/03    125,000    124,375  

UNITED MEXICAN STS MTN TR00015

   5.875% 01/15/2014 DD 10/14/03    350,000    364,000  

UNITED MEXICAN STS TR# 00010

   6.375% 01/16/2013 DD 01/16/03    205,000    218,003  

UNITED STATES TREAS NTS

   4.625% 07/31/2012 DD 07/31/07    5,405,000    5,676,872  

UNITED STATES TREAS NTS

   4.750% 03/31/2011 DD 03/31/06    1,800,000    1,888,920  

UNITED STATES TREASURY NOTES

   4.750% 08/15/2017 DD 08/15/07    3,710,000    3,919,615  

UNITED STATES TREASURY NTS

   4.000% 04/15/2010 DD 04/15/05    2,000,000    2,041,160  

UNITED STS DEPT VET 94-1 CL2ZB

   6.500% 02/15/2024 DD 02/01/94    958,922    1,022,843  

UNITED STS DEPT VET 98-1 2E

   7.000% 09/15/2027    259,307    273,475  

UNITED TECH CORP

   3ML+7 6/01/09    400,000    397,470  

UNITEDHEALTH GRP

   5.25% 3/15/11    450,000    455,034  

UNIVISION COMM

   3.875% 10/15/08    440,000    429,550  

US 10 YR TREAS NTS FUT MAR 08

   CALL MAR 08 111.000 ED 2/22/08    5,500,000    (156,406 )

US 10 YR TREAS NTS FUTURE MAR

   PUT MAR 08 107.000 ED 02/22/08    19,500,000    (9,141 )

US AIRWAYS

   99-1A 8.36% 7/20/20    921,489    953,741  

US AIRWAYS

   98-1A 6.85% 7/30/19    247,763    244,666  

US CENTRAL CR UN

   2.75% 5/30/08    265,000    262,667  

US ONCOLOGY INC SR NT

   9.000% 08/15/2012 DD 02/15/05    50,000    49,313  

US ONCOLOGY INC SR SUB NT

   10.750% 08/15/2014 DD 02/15/05    500,000    493,750  

 

47


Table of Contents

Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

   Shares/
Units

/Principal
    Current Value  

US TREAS NTS STRIP PRIN PMT

   0.000% 11/15/2012 DD 11/15/02    5,420,000     4,594,534  

US TREAS-CPI INFLATION INDEX

   3.875% 01/15/2009 DD 01/15/99    52,904,944     54,475,692  

US TREAS-CPI INFLATION INDEX

   2.625% 07/15/2017 DD 07/15/07    1,592,687     1,718,988  

US TREAS-CPI INFLATION INDEX

   2.625% 07/15/2017 DD 07/15/07    404,372     436,439  

USB CAP IX NORMAL INCOME TR

   VAR RT 04/15/2049 DD 03/17/06    2,000,000     1,810,000  

USD SWAP

   USD 5.317500 08/28/17 SWP    8,000,000     524,320  

USD SWAP

   USD 5.64% SWP 7/14/10    4,100,000     235,504  

USD SWAP

   USD 5.231 SWAP 10/16/11    5,000,000     210,100  

USD SWAP

   USD 4.856 10/19/12 SWAP    6,200,000     178,188  

USD SWAP

   USD 5.63% SWAP 7/12/2009    4,100,000     165,927  

USD SWAP

   USD 5.16% SWAP 9/12/09 DB    3,600,000     121,428  

USD SWAP

   USD 5.409% 4/30/27    900,000     50,103  

USD SWAP

   USD 5.025% SWAP 11/21/11    1,200,000     42,228  

USD SWAP

   USD 5.0675 4/30/09    7,000,000     (100,380 )

USD SWAP

   USD 4.981000 8/29/10 SWP    5,570,000     (222,744 )

USD SWAP

   USD 5.6425 7/5/17    (4,300,000 )   (397,621 )

USD SWAP

   USD 3ML 7/9/17    8,100,000     (836,649 )

USD SWAP

   USD 5.30500 10/15/17 SWP    17,500,000     (890,925 )

UST

   5YR FUT MAR08 CAL 02/22/08 FVH8C    24     (10,500 )

USTB

   4.75% 5/15/14    51,488,000     54,750,228  

USTB

   4.75% 2/15/37    1,775,000     1,857,648  

USTB

   5% 5/15/37    1,025,000     1,115,648  

USTB

   6% 2/15/26    150,000     177,516  

USTN

   4.25% 8/15/13    21,546,000     22,332,084  

USTN

   3.375% 11/30/12    12,170,000     12,129,121  

USTN

   4.625% 11/15/16    11,000,000     11,519,926  

USTN

   4.5% 9/30/11    10,000,000     10,432,810  

USTN

   4.5% 2/28/11    9,215,000     9,598,722  

USTN

   5.125% 5/15/16    6,975,000     7,549,349  

USTN

   4.5% 4/30/12    3,074,000     3,211,128  

USTN

   4.25% 8/15/14    3,000,000     3,101,952  

USTN

   4.875% 6/30/12    1,640,000     1,739,425  

USTN

   4.25% 8/15/14    565,000     584,201  

USTN

   4.25% 11/15/17    450,000     457,840  

USTN TII

   2% 1/15/14    12,000,000     14,026,160  

USTN TII

   2% 7/15/14    12,000,000     13,742,926  

USTN TII

   .875% 4/15/2010    8,000,000     8,796,960  

USTN TII

   2.375% 1/15/27    1,825,000     2,000,097  

USTN TII

   2.375% 1/15/25    400,000     465,632  

VALERO ENERGY CORP NT

   6.625% 06/15/2037 DD 06/08/07    700,000     704,921  

VANGUARD HEALTH HLDG

   STEP 10/01/2015 DD 09/23/04    900,000     666,000  

VANGUARD MORGAN GROWTH ADM

   VANGUARD MORGAN GROWTH ADM    3,218,024     194,980,096  

VANGUARD PRIMECAP ADM

   VANGUARD PRIMECAP ADM    5,809,400     434,368,871  

VANGUARD WINDSOR ADM

   VANGUARD WINDSOR ADM    3,415,242     181,076,153  

VENTAS RLTY LTD PARTNERSHIP

   6.750% 06/01/2010 DD 06/07/05    700,000     705,250  

VERIZON COMMUNICATIONS INC NT

   5.550% 02/15/2016 DD 02/15/06    600,000     606,468  

VERIZON COMMUNICATIONS INC NT

   5.350% 02/15/2011 DD 02/15/06    575,000     589,019  

VERIZON COMMUNICATIONS INC NT

   5.500% 04/01/2017 DD 04/03/07    300,000     301,407  

VERIZON FLA INC DEB SER F

   6.125% 01/15/2013 DD 10/01/02    475,000     490,290  

VERIZON GLBL

   7.25% 12/1/10    430,000     460,930  

VERIZON MD INC DEB SER A

   6.125% 03/01/2012 DD 02/25/02    700,000     727,888  

VERIZON NEW YOR

   6.875% 4/01/12    340,000     360,742  

VERIZON NJ GLBL

   5.875% 1/17/12    1,200,000     1,235,758  

VERIZON VA INC DEB

   4.625% 03/15/2013 DD 03/14/03    275,000     265,634  

VIACOM INC

   5.75% 4/30/11    720,000     729,056  

VIACOM INC SR NT

   VAR RT 06/16/2009 DD 09/18/06    1,000,000     987,960  

VIRGINIA ELEC & PWR CO SR NT

   6.350% 11/30/2037 DD 12/04/07    1,200,000     1,230,552  

VIRGINIA ELEC & PWR CO SR NT

   5.100% 11/30/2012 DD 12/04/07    1,045,000     1,049,567  

VIRGINIA ELEC & PWR CO SR NT

   5.100% 11/30/2012 DD 12/04/07    300,000     301,311  

VIRGINIA ELEC & PWR CO SR NT

   5.950% 09/15/2017 DD 09/11/07    200,000     206,156  

VITRO S A B DE C V SR NT

   9.125% 02/01/2017 DD 08/01/07    315,000     289,800  

VODAFONE GLBL

   5% 12/16/13    365,000     358,843  

VODAFONE GROUP

   3.95% 1/30/08    375,000     374,665  

VODAFONE GRP

   7.75% 2/15/10 DT    375,000     395,583  

VODAFONE GRP

   7.75% 2/15/10 DT    345,000     363,937  

VODAFONE GRP PLC

   5.5% 6/15/11    655,000     661,950  

WACHOVIA ASSET SECS 02 HE2

   VAR RT 12/25/2032 DD 12/19/02    44,699     44,673  

WACHOVIA AUO TR 06 A A3

   5.350% 02/22/2011 DD 06/23/06    105,901     105,964  

WACHOVIA BANK NA

   4.875% 2/1/15    400,000     380,783  

WACHOVIA BK COML MTG 04-C15 A2

   4.039% 10/15/2041 DD 11/01/04    500,000     490,055  

WACHOVIA BK NATL ASSN #SB00005

   5.600% 03/15/2016 DD 03/09/06    100,000     98,125  

WACHOVIA CAP TR III FIXED FLTG

   VAR RT 03/15/2042 DD 02/01/06    725,000     647,853  

WACHOVIA CORP

   5.625% 12/15/08    600,000     598,834  

 

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Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,

rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value

WACHOVIA CORP

   4.875% 2/15/14    490,000    470,527

WACHOVIA CORP 2ND NEW NT

   3.625% 02/17/2009 DD 02/06/04    755,000    739,432

WACHOVIA CORP 2ND NEW NT

   4.875% 02/15/2014 DD 02/06/04    100,000    96,031

WACHOVIA CORP NEW SR NT

   5.750% 06/15/2017 DD 06/08/07    600,000    596,346

WAL MART STORES INC NT

   5.375% 04/05/2017 DD 04/05/07    540,000    551,308

WAL MART STORES INC NT

   5.800% 02/15/2018 DD 08/24/07    420,000    433,583

WAMMS

   04-RA2 2A 7% 7/33    66,998    68,819

WAMMS

   03-MS9 2A1 7.5% 12/33    57,361    60,464

WAMU

   04-AR7 A6 CSTR 7/34    120,000    118,617

WAMU MTG 2003-AR4 CL A-6

   VAR RT 05/25/2033 DD 03/01/03    125,572    125,411

WAMU MTG P/T 03-AR10 A-6

   VAR RT 10/25/2033 DD 09/01/03    930,000    924,569

WAMU MTG P/T 04-S3 MTG 2-A-3

   VAR RT 07/25/2034 DD 06/25/04    271,613    270,570

WAMU MTG P/T CTF 04-AR3 A2

   VAR RT 06/25/2034 DD 04/01/04    282,354    279,618

WAMU MTG P/T CTFS 05-AR13 A1A1

   VAR RT 10/25/2045 DD 10/25/05    344,699    323,883

WAMU MTG P/T CTFS 2006 AR9 2A

   VAR RT 08/25/2046 DD 07/01/06    1,423,365    1,390,585

WAMU MTG PASS THROUGH 03-AR7

   VAR RT 08/25/2033 DD 06/01/03    1,000,000    993,670

WAMU MTG PASS THROUGH 03-AR8 A

   VAR RT 08/25/2033 DD 07/01/03    53,329    54,585

WAMU MTG PASS THRU 04-AR9 A7

   VAR RT 08/25/2034 DD 07/01/04    858,000    844,212

WAMU MTG PASSTHRU 05-6 CL 2A4

   5.500% 08/25/2035 DD 07/01/05    196,975    192,395

WARNER MUSIC GROUP SR SUB NT

   7.375% 04/15/2014 DD 10/15/04    700,000    539,000

WASH MUTUAL INC

   4.625% 4/01/14    450,000    351,586

WASHINGTON MUN INC SUB NT

   8.250% 04/01/2010 DD 04/04/00    150,000    143,250

WASHINGTON MUT BK FA #SB00002

   5.650% 08/15/2014 DD 08/05/04    250,000    218,750

WASHINGTON MUT BK MTN #SB00001

   6.875% 06/15/2011 DD 06/20/01    250,000    233,750

WASHINGTON MUT FIN CORP SR NT

   6.875% 05/15/2011 DD 05/24/01    350,000    370,719

WASHINGTON MUT INC SR NT

   5.250% 09/15/2017 DD 09/26/05    250,000    208,515

WASHINGTON MUT INC SUB NT

   4.625% 04/01/2014 DD 03/24/04    400,000    312,500

WASHINGTON MUT INC SUB NT

   7.250% 11/01/2017 DD 11/01/07    125,000    110,098

WASHINGTON MUT MTG 03-MS7 CL P

   0.000% 03/25/2033 DD 02/01/03    97,621    75,560

WASHINGTON MUT MTG 05-2 1-A-4

   VAR RT 04/25/2035 DD 03/25/05    1,082,767    20,313

WASHINGTON MUT MTG 05-4 CL CB7

   5.500% 06/25/2035 DD 05/01/05    500,000    475,120

WASHINGTON MUT MTG 06-5 2-CB-1

   6.000% 07/25/2036 DD 06/01/06    836,693    829,741

WASHINGTON MUT PFD FDG 144A

   VAR RT 12/31/2049 DD 05/24/07    100,000    59,000

WASHINGTON MUT PFD IV 144A

   VAR RT 10/29/2049 DD 10/25/07    500,000    400,000

WASHINGTON REIT

   5.95% 6/15/11    290,000    288,370

WBCMT

   03-C8 A3 4.445% 11/35    1,000,000    994,145

WBCMT

   07-C30 D CSTR 12/43    965,000    831,222

WBCMT

   2007-C30 E CSTR 12/43    900,000    756,132

WBCMT

   05-C22 A4 CSTR 12/44    750,000    750,636

WBCMT

   2007-C33 B CSTR 2/51    765,000    707,570

WBCMT

   2007-C33 A4 CSTR 2/51    660,000    689,123

WBCMT

   2007-C30 A5 5.342 12/43    605,000    603,153

WBCMT

   05-C16 A2 4.38% 10/41    411,314    406,601

WBCMT

   05-C16 APB 4.692% 10/41    325,000    319,168

WBCMT

   2007-C31 A1 5.14% 4/47    204,940    205,124

WBCMT

   03-C8 XP CSTR 11/35    5,209,767    42,959

WBCMT

   03-C9 XP CSTR 12/35    2,827,102    33,380

WCA WASTE CORP SR NT

   9.250% 06/15/2014 DD 07/05/06    535,000    544,363

WEA FIN LLC/WCI FIN LLC 144A

   5.700% 10/01/2016 DD 09/28/06    1,260,000    1,205,266

WEATHERFORD INTL

   4.95 10/15/13    640,000    627,704

WELLPOINT INC GLBL

   5% 1/15/11    350,000    350,505

WELLS FARGO

   5.25% 10/23/12    3,100,000    3,151,559

WELLS FARGO

   5.25% 10/23/12    900,000    914,969

WELLS FARGO

   4.625% 8/09/10    350,000    350,271

WELLS FARGO & CO NEW NT

   3.125% 04/01/2009 DD 03/24/04    220,000    215,703

WELLS FARGO & CO NEW NT

   4.200% 01/15/2010 DD 12/06/04    125,000    124,219

WELLS FARGO & CO NEW SR NT

   5.250% 10/23/2012 DD 10/23/07    300,000    304,968

WELLS FARGO & CO NEW SUB NT

   5.000% 11/15/2014 DD 11/06/02    550,000    533,399

WELLS FARGO & CO NEW SUB NT

   4.950% 10/16/2013 DD 10/16/03    250,000    248,243

WELLS FARGO & CO NEW SUB NT

   6.375% 08/01/2011 DD 07/31/01    100,000    104,531

WELLS FARGO & CO SR NT

   5.300% 08/26/2011 DD 08/29/06    100,000    102,031

WELLS FARGO CO

   3.12% 8/15/08    730,000    720,063

WELLS FARGO MTG

   4.500% 02/25/2018 DD 02/01/03    444,381    436,653

WELLS FARGO MTG 03-11 CL 1A11

   4.750% 10/25/2018 DD 09/01/03    303,021    299,260

WELLS FARGO MTG 03-16 CL 2A1

   4.500% 12/25/2018 DD 11/01/03    620,017    602,718

WELLS FARGO MTG 04-7 CL 2A1

   4.500% 07/25/2019 DD 06/01/04    795,173    771,580

WELLS FARGO MTG 05 AR10 IIA12

   VAR RT 06/25/2035 DD 05/01/05    167,188    166,372

WELLS FARGO MTG 05-AR10 2A4

   VAR RT 06/25/2035 DD 05/01/05    210,409    207,659

WELLS FARGO MTG 07-7 CL A-7

   6.000% 06/25/2037 DD 05/01/07    500,000    484,935

WELLS FARGO MTG 2006-AR2 IIA1

   4.950% 03/25/2036 DD 02/01/06    400,986    396,531

WELLS FARGO MTG BACKED II-A-1

   VAR RT 09/25/2034 DD 08/01/04    288,776    282,871

WELLS FARGO MTG BKD 03-2 CL A6

   5.250% 02/25/2018 DD 02/01/03    429,824    428,405

WELLS FARGO MTG BKD 03-K IA2

   VAR RT 11/25/2033 DD 10/01/03    400,476    387,617

 

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Raytheon Savings and Investment Plan

Schedule H Line 4i - Schedule of Assets (Held at End of Year)

 

Identity of Issue, borrower, lessor, or similar party

  

Description of investment including maturity date,
rate of interest, collateral, par, or maturity value

  

Shares/ Units

/Principal

   Current Value  

WELLS FARGO MTG BKD 04-7 IIA2

   5.000% 07/25/2019 DD 06/01/04    265,058      264,313  

WELLS FARGO MTG BKD 04EE IIIA1

   VAR RT 01/25/2035 DD 12/01/04    620,897      612,552  

WELLS FARGO MTG BKD 04-S A5

   VAR RT 09/25/2034 DD 08/01/04    500,000      495,105  

WELLS FARGO MTG BKD 06-AR3 A-1

   VAR RT 03/25/2036 DD 02/01/06    576,049      573,250  

WELLS FARGO MTG BKD 2003 17

   5.500% 01/25/2034 DD 12/01/03    176,158      179,855  

WEST PENN PWR

   5.95% 12/17 144A    495,000      497,414  

WESTO

   04-3 A4 3.93% 2/12    506,812      504,879  

WESTO

   05-1 D 4.09% 8/12    65,986      65,792  

WESTO

   04-3 D 4.07% 2/12    64,568      64,325  

WFMBS

   04-H A1 CSTR 6/34    2,099,751      2,068,539  

WFMBS

   06-AR8 2A6 CSTR 4/36    980,000      968,696  

WFMBS

   05-AR10 2A2 CSTR 6/35    669,803      655,012  

WFMBS

   05-AR4 2A2 CSTR 4/35    557,487      546,609  

WFMBS

   2006-AR13 A4 CSTR 9/36    485,000      482,450  

WFMBS

   05-AR3 2A1 CSTR 3/35    133,812      132,742  

WFMBS

   05-AR12 2A6 CSTR 7/35    69,259      67,874  

WFS FINL 2005 1 OWNER A-4

   3.870% 08/17/2012 DD 01/28/05    500,000      493,520  

WHIRLPOOL CORP

   6.125% 6/15/11    840,000      874,795  

WI ST GEN REV TAX FSA

   4.8 5/13    915,000      917,040  

WIND ACQUISITIONS HOLDINGS FIN

   VAR RT 12/12/2011 DD 12/12/06    475,000      465,657  

WMALT

   07-OC1 A1 1ML+10 5/37    2,065,282      1,907,123  

WMCMS

   05-C1A A1 4.24 5/36    125,028      124,062  

WMLT

   05-B 2A4 CSTR 10/35    95,000      93,576  

WOART

   06-A A3 5.01 10/10    226,042      226,365  

WOORI BK KOREA SUB NT 144A

   VAR RT 03/13/2014 DD 02/13/04    1,170,000      1,171,463  

WORLD OMNI AUTO RECBLS 06-B A3

   5.150% 11/15/2010 DD 09/20/06    855,000      856,625  

WORLD SVGS BK FSG NT

   4.500% 06/15/2009 DD 06/02/04    250,000      249,729  

WORRI KOREA HYBRID I 144A

   VAR RT 05/02/2037 DD 05/02/07    500,000      434,060  

WPS RESOURCES

   6.11/VAR 12/1/66    365,000      336,122  

WYETH NT

   STEP 03/15/2013 DD 02/14/03    150,000      152,818  

XEROX CORP NT

   VAR RT 12/18/2009 DD 08/18/06    700,000      701,197  

XL CAP LTD PREF ORD SHS SER E

   VAR RT 12/31/2049 DD 03/15/07    1,125,000      983,666  

XL CAP LTD SR NT

   5.250% 09/15/2014 DD 08/23/04    50,000      48,617  

XSTRATA FIN CDA

   5.8 11/16 144A    515,000      505,048  

XTO ENERGY INC

   6.25% 8/01/17    675,000      708,155  

ZFS FIN USA TR II SER II 144A

   VAR RT 12/15/2065 DD 12/09/05    500,000      465,935  

ZURNVX

   6.5% 67-17    500,000      461,592  

LOANS TO PARTICIPANTS

   INTEREST RATE RANGE: 4.00% - 10.25%    —        208,034,801  
              
           11,302,861,851  

Adjustment from fair value to contract value for interest in fully benefit-responsive investment contracts

     (23,559,372 )
              
         $ 11,279,302,479  
              

 

* Party In Interest

 

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Table of Contents

SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934, the Raytheon Savings and Investment Plan has duly caused this report to be signed by the undersigned hereunto duly authorized.

 

    RAYTHEON SAVINGS AND INVESTMENT PLAN
Date:   June 30, 2008     By:   /s/ Michael J. Wood
        Michael J. Wood
       

Vice President and Chief Accounting Officer

Raytheon Company

 

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EXHIBIT INDEX

 

Exhibit No.

  

Description

23.1    Consent of PricewaterhouseCoopers LLP, Independent Registered Public Accounting Firm.