SECURITIES AND EXCHANGE COMMISSION
Form 11-K
(Mark One)
[x]
|
ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
For the fiscal year ended December 31, 2003
OR
[ ]
|
TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
For the transition period from to
Commission file number 1-82
PHELPS DODGE EMPLOYEE SAVINGS PLAN
PHELPS DODGE CORPORATION
One North Central Avenue
Phoenix, Arizona 85004
SIGNATURES
The Plan. Pursuant to the requirements of the Securities Exchange Act of 1934, the Benefits Administration Committee has duly caused this Annual Report to be signed by the undersigned hereunto duly authorized.
PHELPS DODGE EMPLOYEE SAVINGS PLAN | ||||||
Date: June 25, 2004
|
By: | /s/David L. Pulatie | ||||
David L. Pulatie, Chairman | ||||||
Benefits Administration Committee |
Phelps Dodge Employee Savings Plan
Index
December 31, 2003 and 2002
Page |
||||||||
1 | ||||||||
2 | ||||||||
3 | ||||||||
4 | ||||||||
10 | ||||||||
EX-23 |
* | Other schedules required by Section 2520.103-10 of the Department of Labors Rules and Regulations for Reporting and Disclosure under ERISA have been omitted because they are not applicable |
Report of Independent Registered Public Accounting Firm
To the Benefits Administration Committee and Participants
of the Phelps Dodge Employee Savings Plan
In our opinion, the accompanying statement 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 Phelps Dodge Employee Savings Plan at December 31, 2003 and 2002, and the changes in net assets available for benefits for the year ended December 31, 2003 in conformity with accounting principles generally accepted in the United States of America. These financial statements are the responsibility of the Benefits Administration Committee (the Committee); 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 the Committee, 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 Labors Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. The supplemental schedule is the responsibility of the Committee. 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
Phoenix, Arizona
June 18, 2004
Phelps Dodge Employee Savings Plan
2003 |
2002 |
|||||||
Assets |
||||||||
Investments |
$ | 541,806 | $ | 409,858 | ||||
Employee contributions receivable |
268 | 243 | ||||||
Employer contributions receivable |
490 | 499 | ||||||
Employer profit sharing contribution receivable |
5,234 | 4,067 | ||||||
Interest receivable |
| 361 | ||||||
Net assets available for benefits |
$ | 547,798 | $ | 415,028 | ||||
The accompanying notes are an integral part of these financial statements.
- 2 -
Phelps Dodge Employee Savings Plan
Additions to net assets attributed to: |
||||
Investment income: |
||||
Net appreciation in fair value of investments |
$ | 126,505 | ||
Interest and dividends |
11,012 | |||
137,517 | ||||
Contributions: |
||||
Participant contributions |
24,911 | |||
Employer matching contributions |
11,264 | |||
Employer profit sharing contribution |
5,234 | |||
41,409 | ||||
Total additions, net |
178,926 | |||
Deductions from net assets attributed to: |
||||
Distributions to participants and beneficiaries |
45,703 | |||
Administrative expenses |
453 | |||
Total deductions |
46,156 | |||
Increase in net assets |
132,770 | |||
Net assets available for benefits at December 31, 2002 |
415,028 | |||
Net assets available for benefits at December 31, 2003 |
$ | 547,798 | ||
The accompanying notes are an integral part of these financial statements.
- 3 -
Phelps Dodge Employee Savings Plan
1. | Description of Plan | |||
General | ||||
The Phelps Dodge Employee Savings Plan (the Plan) is a defined contribution plan established for the benefit of eligible employees (the Participants) of Phelps Dodge Corporation (the Corporation). The Plan is subject to the provisions of the Employee Retirement Income Security Act of 1974 (ERISA), as amended. A brief description of the Plan is included in the following paragraphs. Participants should refer to the Plan document for a complete description of Plan provisions. | ||||
Administration | ||||
The Plan is sponsored by the Corporation and administered by the Benefits Administration Committee (the Committee) composed of seven employees of the Corporation who are appointed by the Corporations Board of Directors. | ||||
Effective December 23, 2003, all plan assets are held by a trust (the Trust) administered by JPMorgan Chase Bank (the Trustee). Prior to that date, UMB Bank, N.A. served as the Trustee. JPMorgan Retirement Plan Services LLC serves as the Recordkeeper of the Plan. | ||||
Brokerage commissions, taxes and other expenses in connection with the purchase and sale of securities or other property for a fund are paid by such fund. All other fees and expenses of Plan administration are paid by the Trust unless the Corporation elects, in its sole discretion, to pay those expenses directly. The Trusts fees and expenses primarily relate to the administration of the Plans benefit-responsive guaranteed investment contracts (GICs). | ||||
Contributions | ||||
All Participants are eligible to make pretax deferral contributions (Pretax Contributions), subject to certain limitations, equal to 1 percent to 100 percent of their eligible pay. Participants 50 years or older may be eligible to make additional Pretax Contributions up to the annual catch-up limit, which may be eligible for a matching contribution from the Corporation (Company Matching Contribution). After-tax contributions are not permitted. The Company Matching Contribution is equal to 100 percent of the first 3 percent of eligible pay deferred and 50 percent of the next 2 percent of eligible pay deferred. Participants are eligible to make Pretax Contributions to the Plan immediately upon hire date, and those Pretax Contributions are eligible for the Company Matching Contribution. All contributions are invested in one or more of the investment vehicles available within the Plan as directed by Participants. Participants are always fully vested in their total account balances. | ||||
A profit sharing contribution for eligible employees may be made by the Corporation (Company Profit Sharing Contribution). Eligible employees are those Participants employed in a salaried job classification, have a year of service (1,000 hours of work) and employed on the last day of the plan year. However, if Participants retired, died or became disabled during the year, those Participants are still eligible to receive this contribution. The Company Profit Sharing Contribution is limited to the lesser of total |
- 4 -
Phelps Dodge Employee Savings Plan
Notes to Financial Statements
1. | Description of Plan (Continued) | |||
eligible pay of Participants multiplied by: |
| 6 percent; or | |||
| 8 percent of consolidated net income of the Corporation divided by aggregate eligible Participants pay; or | |||
| 4 percent of consolidated net income divided by the aggregate eligible pay of exempt salaried Participants. |
Company Profit Sharing Contributions can be made only to the extent that they do not reduce the Corporations consolidated net income below $0.50 per common share for such year after provision for payment of preferred and preference share dividends. A profit sharing contribution of $5,234,000 was made for 2003 and paid in March 2004. | ||||
Investments | ||||
Participants may direct the investment of their Pretax Contributions, Company Matching Contributions and Company Profit Sharing Contributions in a variety of investment vehicles comprised of common stocks, mutual funds, common/collective funds and GICs. The Plan is intended to comply with Section 404(c) of ERISA. | ||||
Distributions | ||||
Participants interests in the Trust become distributable upon severance from employment with the Corporation, upon attaining age 59 1/2 or to their beneficiaries in the event of their death. The distribution may be made in a single lump sum or a series of substantially equal annual, quarterly or monthly cash installments beginning no earlier than age 55 and continuing over a period not to exceed 10 years, at the election of the Participant or beneficiary. Cash distributions are based upon the underlying closing price of the mutual funds, common/collective funds or GICs. Distributions of investments in Phelps Dodge Common Stock, Occidental Petroleum Stock or BP Amoco Stock are based upon the actual price at which the stock is liquidated in the market three days prior to distribution. Distributions of investments in Phelps Dodge Common Stock, Occidental Petroleum Common Stock and BP Amoco Common Stock may also be made in shares. | ||||
After-tax contributions were permitted in certain plans that transferred assets into the Plan in prior years. Participants may withdraw such after-tax contributions and earnings thereon at any time. The Plan also provides, with certain limitations, for hardship withdrawals of Pretax Contributions, Company Pre-Safe Harbor Matching Contributions and Company Profit Sharing Contributions; however, earnings on any of these contributions are ineligible for hardship withdrawal. Hardship withdrawals are not granted unless other financial resources are not reasonably available, including after-tax savings or a loan from the Plan. All withdrawals and distributions are made in accordance with rules outlined in the Plan document. | ||||
Loans | ||||
Participants may borrow from their account balances as provided in the Plan. Loans are repayable over a maximum of 5 years with the exception of loans for the purchase of a primary residence that may extend to 15 years. The maximum loan amount is equal to $50,000 minus the Participants highest outstanding loan balance during the past 12 |
- 5 -
Phelps Dodge Employee Savings Plan
Notes to Financial Statements
1. | Description of Plan (Continued) | |||
months, limited to 50 percent of the Participants vested account balance. Loans bear interest at the prime rate as quoted by the Plans Trustee plus 2 percent. The prime rate at December 31, 2003, was 4.00 percent. | ||||
Loans are repaid by payroll deductions and interest is credited to the Participants accounts. Loans are generally secured by the Participants account balance. | ||||
Plan Termination | ||||
The Plan may be amended or terminated at any time by the Corporation. No such action may cause any portion of the Trust to revert to the Corporation or to be used or diverted for any purpose other than for the exclusive benefit of Participants or their beneficiaries. | ||||
2. | Summary of Significant Accounting Policies | |||
Basis of Presentation | ||||
The accompanying financial statements have been prepared on the accrual basis of accounting in conformity with accounting principles generally accepted in the United States of America. | ||||
Use of Estimates | ||||
The preparation of financial statements in conformity with accounting principles generally accepted in the United States of America requires management to make estimates and assumptions that affect the reported amounts of net assets available for benefits and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of additions to and deductions from net assets available for benefits during the reporting period. Actual results could differ from those estimates. | ||||
Investment Valuation and Income Recognition | ||||
Plan investments, other than GICs, are presented at fair value. The fair values of common stock, mutual funds and common/collective fund shares are based upon the closing market price on the valuation date. GICs are recorded at contract value and are based upon the respective face values plus accrued interest on the valuation date. Participant loans are valued at cost, which approximates fair value. | ||||
Security transactions are recorded on a trade date basis. Expenses paid by the Plan in connection with such transactions include brokerage commissions and taxes that are included in the cost of securities purchased and deducted from the proceeds of securities sold. Net appreciation (depreciation) in the fair value of the Plans investments consists of the realized gains (losses) and the unrealized appreciation (depreciation) on those investments. Dividend income is recognized on the ex-dividend date. Interest income is recognized as earned. Employer and Participant contributions are recognized on the accrual basis. | ||||
Risks and Uncertainties | ||||
Investments held by the Plan are exposed to various risks, such as interest rate, market and credit risks. Due to the level of risk associated with certain investments and the level of uncertainty related to changes in the value of such investments, it is at least |
- 6 -
Phelps Dodge Employee Savings Plan
Notes to Financial Statements
2. | Summary of Significant Accounting Policies (Continued) | |||
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 Statement of Changes in Net Assets Available for Benefits. | ||||
Payment of Benefits | ||||
Benefits are recorded when paid. | ||||
3. | Investments | |||
The following table presents investments that represent 5 percent or more of the Plans net assets at December 31: |
2003 |
2002 |
|||||||||||||||
(in thousands) | ||||||||||||||||
Phelps Dodge Common Stock Fund |
$ | 88,290 | $ | 46,854 | ||||||||||||
J.P. Morgan Interest Income Fund |
86,281 | 79,969 | ||||||||||||||
American Century Equity Growth Fund |
61,573 | 47,931 | ||||||||||||||
Moderate Investment Portfolio Fund |
61,011 | 49,861 | ||||||||||||||
American Century Income and Growth Fund |
50,685 | 38,773 | ||||||||||||||
Aggressive Investment Portfolio Fund |
45,173 | 32,453 | ||||||||||||||
J.P. Morgan Enhanced Index Fund |
36,325 | 26,782 | ||||||||||||||
T. Rowe Price Small Cap Stock Fund |
30,008 | 19,086 | * | |||||||||||||
Schwab Personal Choice Retirement Fund |
27,651 | 20,645 | ||||||||||||||
Participant Loans |
22,191 | * | 22,503 |
* | Amounts are less than 5 percent of the Plans net assets |
Certain of the Plans investments include GICs that are carried at contract value. The GICs are credited with earnings on the underlying investments and charged for Participant withdrawals and administration expenses. Participants may ordinarily direct the withdrawal or transfer of all or a portion of their investment at contract value. The contract value of the GICs within the respective funds as of December 31 was as follows: |
2003 |
2002 |
|||||||
(in thousands) | ||||||||
J.P. Morgan Interest Income Fund |
$ | 84,333 | $ | 78,252 | ||||
Moderate Investment Portfolio Fund |
23,862 | 20,088 | ||||||
Aggressive Investment Portfolio Fund |
8,771 | 6,553 | ||||||
Conservative Investment Portfolio Fund |
8,500 | 7,741 | ||||||
$ | 125,466 | $ | 112,634 | |||||
- 7 -
Phelps Dodge Employee Savings Plan
Notes to Financial Statements
3. | Investments (Continued) | |||
A reconciliation of the fair market value of investments in these contracts and the related contract value as reflected in the accompanying Statement of Net Assets Available for Benefits was as follows: |
December 31, | ||||||||
2003 |
2002 |
|||||||
(in thousands) | ||||||||
Fair market value of investments |
$ | 129,161 | $ | 117,958 | ||||
Synthetic wrapper value |
(3,695 | ) | (5,324 | ) | ||||
Carrying value (contract value) |
$ | 125,466 | $ | 112,634 | ||||
There were no reserves against contract value for credit risk of the contract issuers or otherwise at December 31, 2003 or 2002. The average yield and crediting interest rates were approximately 5.46 percent and 6.43 percent for 2003 and 2002, respectively. The crediting interest rates are based on a formula agreed upon by the issuers. Such interest rates are reviewed on a quarterly basis for resetting. | ||||
During 2003, the Plans investments (including gains and losses on investments bought and sold, as well as those held during the year) appreciated in value as follows (in thousands): |
Common stocks |
$ | 62,884 | ||
Mutual funds |
48,394 | |||
Common/collective funds |
15,227 | |||
$ | 126,505 | |||
4. | Related Party Transactions | |||
The Trustee invests in the Corporations common stock in accordance with the provisions of the Plan. The following is a summary of transactions in the Corporations common stock during 2003 (in thousands): |
Cost of shares purchased |
$ | 12,108 | ||
Number of shares purchased |
272 | |||
Proceeds from shares sold |
$ | 29,570 | ||
Number of shares sold |
579 | |||
Value of shares distributed |
$ | 528 | ||
Number of shares distributed |
11 |
Certain Plan investments are shares of mutual funds and common/collective trusts managed by American Century Investments and J.P. Morgan Investment Management while an affiliated company, JPMorgan Retirement Plan Services LLC, is the Recordkeeper as defined by the Plan. Therefore, these transactions qualify as party-in-interest. |
- 8 -
Phelps Dodge Employee Savings Plan
Notes to Financial Statements
5. | Tax Status | |||
The Plan received a determination letter from the Internal Revenue Service (IRS) dated October 16, 2002, which states that the Plan met the requirements of Section 401(a) of the Internal Revenue Code and that the earnings of the Trust are exempt from taxation under Section 501(a) of the Code. The Plan has been amended since receiving the determination letter, however, the Committee believes that the Plan, as amended and as operated, continues to satisfy IRS requirements for tax exemption. | ||||
6. | Reconciliation of the Financial Statements to the Form 5500 | |||
During 2002, the Corporation identified certain accounting matters related to its consolidated financial statements for years prior to 2002 that required restatement. The restated adjustments applicable to 2000 required the Corporation to make a profit sharing contribution of $4,067,000 to the Plan in 2003. The profit sharing contribution and related interest were reflected in the Plans financial statements as of December 31, 2002; however, were not recorded in the Form 5500 until 2003. | ||||
The following table presents a reconciliation of the Plans Net Assets Available for Benefits from the financial statements at December 31, 2002, to the amount included in the 2003 Form 5500 as of that date: |
December 31, | ||||
2002 |
||||
(in thousands) | ||||
Net assets available for benefits per the financial statements |
$ | 415,028 | ||
Profit sharing contribution receivable |
(4,067 | ) | ||
Interest receivable on related employer profit
sharing contribution |
(361 | ) | ||
Net assets available for benefits per the Form 5500 |
$ | 410,600 | ||
The following table presents a reconciliation of the Plans Changes in Net Assets Available for Benefits from the financial statements to the Form 5500 for the year ended December 31, 2003: |
Year Ended | ||||
December 31, | ||||
2003 |
||||
(in thousands) | ||||
Increase in net assets per the financial statements |
$ | 132,770 | ||
Prior year profit sharing contribution receivable |
4,428 | |||
Increase in net assets per the Form 5500 |
$ | 137,198 | ||
- 9 -
(c) Description of | ||||||||||||||||
investment including | ||||||||||||||||
maturity date, rate of | ||||||||||||||||
interest, collateral, | (d) | |||||||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||||||
(a) |
(b) Identity of issue, borrower, lessor or similar party |
or number of shares |
** |
Value |
||||||||||||
Cash and Short-Term Investments: |
||||||||||||||||
Cash |
| $ | 67,626 | |||||||||||||
Bank of
Oklahoma CD 1.20% Due 3/10/04 |
15,000 | 15,000 | ||||||||||||||
Ford Motor Credit Co Notes 4.05% Due 5/20/05 |
10,000 | 10,111 | ||||||||||||||
Ford Motor Credit Co Notes 4.70% Due 5/22/06 |
10,000 | 10,128 | ||||||||||||||
General Motors Acceptance Corporation
Smartnotes 5.0% Due 7/15/08 |
10,000 | 10,146 | ||||||||||||||
Schwab Money Market Fund |
91,454 | 91,456 | ||||||||||||||
Schwab U.S. Treasury Money Fund |
2,796,785 | 2,797,787 | ||||||||||||||
* | JPMorgan Chase Money Market Fund |
50,624 | 50,624 | |||||||||||||
U.S. Treasury Note 1.50% Due 7/31/05 |
290,000 | 289,774 | ||||||||||||||
U.S. Treasury Note 2.875% Due 6/30/04 |
300,000 | 302,742 | ||||||||||||||
Federated S-T U.S. Government Securities |
274 | 274 | ||||||||||||||
Total Cash and Short-Term Investments |
3,645,668 | |||||||||||||||
Common/Collective Funds: |
||||||||||||||||
* | JPMorgan Liquidity Fund |
2,484,889 | shares | 2,484,889 | ||||||||||||
* | JPMorgan Corporate High Yield Opportunity Fund |
274,042 | shares | 3,044,612 | ||||||||||||
* | JPMorgan Mortgage Private Placement Fund |
1,891,688 | shares | 38,628,269 | ||||||||||||
* | JPMorgan Public Bonds Fund |
4,292,147 | shares | 77,945,390 | ||||||||||||
* | JPMorgan Public Mortgage Fund |
358,893 | shares | 6,363,179 | ||||||||||||
* | JPMorgan Emerging Market Opportunity Fund |
137,720 | shares | 2,050,655 | ||||||||||||
* | JPMorgan U.S. Smart Index Fund |
3,292,776 | shares | 66,151,653 | ||||||||||||
Total Common/Collective Funds |
196,668,647 | |||||||||||||||
Common Stocks: |
||||||||||||||||
1-800-Flowers.Com Inc |
480 | shares | 5,309 | |||||||||||||
3Com Corporation |
279 | shares | 2,279 | |||||||||||||
3M Company |
224 | shares | 19,047 | |||||||||||||
3Wventures.Com Inc |
700 | shares | 1 | |||||||||||||
4 Kids Entertainment Inc |
500 | shares | 13,010 | |||||||||||||
8X8 Inc |
2,014 | shares | 8,967 | |||||||||||||
ADC Telecommunications Inc |
3,025 | shares | 8,984 | |||||||||||||
AM Communications Inc |
2,000 | shares | 2 | |||||||||||||
AMF Bowling Inc |
800 | shares | 2 | |||||||||||||
AMR Corporation |
100 | shares | 1,295 | |||||||||||||
AO Tatneft Sponsored Adr |
500 | shares | 11,400 | |||||||||||||
ASE Test Limited |
207 | shares | 3,099 | |||||||||||||
AT&T Corporation |
492 | shares | 9,994 | |||||||||||||
AT&T Wireless Services |
1,341 | shares | 10,714 | |||||||||||||
Aastrom Biosciences Inc |
200 | shares | 262 | |||||||||||||
Aberdeen
Asia-Pacific Prime Income Fund Inc |
3,235 | shares | 20,541 |
- 10 -
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2003 |
(c) Description of | ||||||||||||||||
investment including | ||||||||||||||||
maturity date, rate of | ||||||||||||||||
interest, collateral, | (d) | |||||||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||||||
(a) |
(b) Identity of issue, borrower, lessor or similar party |
or number of shares |
** |
Value |
||||||||||||
Ableauctions.Com Inc | 800 | shares | 544 | |||||||||||||
Access Power Inc | 250 | shares | 1 | |||||||||||||
Ace Communications Corporation | 100 | shares | 248 | |||||||||||||
Administaff Inc | 135 | shares | 2,346 | |||||||||||||
Adobe Systems Inc | 251 | shares | 9,858 | |||||||||||||
Advanced Neuromodulation Systems Inc | 200 | shares | 9,196 | |||||||||||||
Advanced Digital Information Corporation | 100 | shares | 1,400 | |||||||||||||
Advanced Micro Devices | 4,944 | shares | 73,666 | |||||||||||||
Advanced Viral Research | 2,300 | shares | 294 | |||||||||||||
Aeroflex Inc | 1,000 | shares | 11,690 | |||||||||||||
Aeropostale Inc | 490 | shares | 13,436 | |||||||||||||
Affiliated Computer Services Inc Class A | 20 | shares | 1,089 | |||||||||||||
Agere Systems Inc Class A | 443 | shares | 1,351 | |||||||||||||
Agere Systems Inc Class B | 5,233 | shares | 15,176 | |||||||||||||
Agnico-Eagle Mines Limited | 100 | shares | 1,207 | |||||||||||||
Air Canada Inc Class A | 15,500 | shares | 4,495 | |||||||||||||
Airlease Ltd Depository Units | 165 | shares | 275 | |||||||||||||
Akamai Technologies Inc | 846 | shares | 9,094 | |||||||||||||
Alcoa Inc | 882 | shares | 33,534 | |||||||||||||
Align Technology Inc | 300 | shares | 4,956 | |||||||||||||
Allegheny Technologies Incorporated | 238 | shares | 3,146 | |||||||||||||
Allstream Inc Class B | 54 | shares | 3,097 | |||||||||||||
Altria Group Inc | 23 | shares | 1,241 | |||||||||||||
Aluminum Corp Of China Ltd Adr | 56 | shares | 4,312 | |||||||||||||
Amazon.Com Inc | 528 | shares | 27,794 | |||||||||||||
America Service Group Inc | 86 | shares | 2,658 | |||||||||||||
America West Holdings Corporation Class B | 4,800 | shares | 59,520 | |||||||||||||
American Aircarriers Support Incorporated | 320 | shares | 1 | |||||||||||||
American Express Company | 200 | shares | 9,646 | |||||||||||||
American Software Inc Class A | 900 | shares | 6,443 | |||||||||||||
Americredit Corp | 70 | shares | 1,115 | |||||||||||||
Amern Tower Corp Class A | 1,390 | shares | 15,040 | |||||||||||||
Amersham Plc Adr | 31 | shares | 2,117 | |||||||||||||
Amgen Incorporated | 400 | shares | 24,720 | |||||||||||||
Amkor Technology Inc | 69 | shares | 1,256 | |||||||||||||
Anadigics Inc | 100 | shares | 596 | |||||||||||||
Angelciti Entertainment Inc | 6,000 | shares | 300 | |||||||||||||
Anglo American Plc Adr | 513 | shares | 11,347 | |||||||||||||
Anglo American Platinum Adr | 150 | shares | 6,510 | |||||||||||||
Anheuser Busch Company Inc | 321 | shares | 16,892 | |||||||||||||
Annaly Mortgage Management Inc | 150 | shares | 2,760 | |||||||||||||
Anthem Inc | 120 | shares | 9,007 | |||||||||||||
Antigenics Inc De | 40 | shares | 453 | |||||||||||||
Applebees International, Inc | 22 | shares | 870 | |||||||||||||
Applera Celera Genomics | 100 | shares | 1,391 | |||||||||||||
Applied Digital Solution | 400 | shares | 188 |
- 11 -
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2003 |
(c) Description of | ||||||||||||||||
investment including | ||||||||||||||||
maturity date, rate of | ||||||||||||||||
interest, collateral, | (d) | |||||||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||||||
(a) |
(b) Identity of issue, borrower, lessor or similar party |
or number of shares |
** |
Value |
||||||||||||
Applied Materials Inc | 404 | shares | 9,070 | |||||||||||||
Applied Micro Circuits | 10,422 | shares | 62,323 | |||||||||||||
Apria Healthcare Group Inc | 200 | shares | 5,694 | |||||||||||||
Aquantive Inc | 100 | shares | 1,025 | |||||||||||||
Aradigm Corporation | 270 | shares | 462 | |||||||||||||
Arch Coal Inc | 75 | shares | 2,338 | |||||||||||||
Ariba Inc | 5,500 | shares | 16,500 | |||||||||||||
ASA Limited | 440 | shares | 20,020 | |||||||||||||
Ascential Software Corporation | 124 | shares | 3,215 | |||||||||||||
Aspect Communications Corp | 100 | shares | 1,576 | |||||||||||||
Asta Funding Inc | 87 | shares | 2,980 | |||||||||||||
Astralis Ltd | 2,000 | shares | 1,480 | |||||||||||||
ASV Inc | 100 | shares | 3,736 | |||||||||||||
Atmel Corporation | 1,350 | shares | 8,113 | |||||||||||||
ATP Oil & Gas Corporation | 1,000 | shares | 6,280 | |||||||||||||
Audiocodes Ltd | 200 | shares | 2,088 | |||||||||||||
Audiovox Corporation Class A | 150 | shares | 1,926 | |||||||||||||
Aurora Platinum Corporation | 1,000 | shares | 2,310 | |||||||||||||
Autoimmune Inc | 1,000 | shares | 1,580 | |||||||||||||
Avaya Inc | 86 | shares | 1,113 | |||||||||||||
Avici System Inc | 7 | shares | 56 | |||||||||||||
Avid Technology Inc | 134 | shares | 6,432 | |||||||||||||
Avitar Inc De | 400 | shares | 92 | |||||||||||||
Axia Group Inc | 16 | shares | 2 | |||||||||||||
BGR Corp | 9,400 | shares | 1,410 | |||||||||||||
BMC Software Inc | 250 | shares | 4,662 | |||||||||||||
BP Plc Adr | 560 | shares | 27,636 | |||||||||||||
BP Amoco Corporation | 23,155 | shares | 1,134,090 | |||||||||||||
BTU International Inc | 1,250 | shares | 4,400 | |||||||||||||
Bank Of New York Company Inc | 100 | shares | 3,312 | |||||||||||||
Bed Bath & Beyond Inc | 2 | shares | 87 | |||||||||||||
Bell Microproducts Inc | 1,000 | shares | 9,060 | |||||||||||||
Bema Gold Corporation | 1,000 | shares | 3,720 | |||||||||||||
Benguet Corporation Class B | 1,000 | shares | 210 | |||||||||||||
Berkshire Hathaway Class B | 10 | shares | 28,150 | |||||||||||||
Best Buy Inc | 214 | shares | 11,165 | |||||||||||||
BHP Billiton Limited Adr | 1,000 | shares | 18,260 | |||||||||||||
BICO Inc | 9,000 | shares | 12 | |||||||||||||
Bindview Development Corporation | 20 | shares | 754 | |||||||||||||
Biomerica Inc | 100 | shares | 45 | |||||||||||||
Biomira Inc | 50 | shares | 74 | |||||||||||||
Biopure Corporation Class A | 25 | shares | 60 | |||||||||||||
Block H&R Incorporated | 100 | shares | 5,537 | |||||||||||||
Blockbuster Inc Class A | 1,000 | shares | 17,950 | |||||||||||||
Boeing Co | 242 | shares | 10,181 | |||||||||||||
Bombardier Inc CV Class B | 200 | shares | 836 |
- 12 -
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2003 |
(c) Description of | ||||||||||||||||
investment including | ||||||||||||||||
maturity date, rate of | ||||||||||||||||
interest, collateral, | (d) | |||||||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||||||
(a) |
(b) Identity of issue, borrower, lessor or similar party |
or number of shares |
** |
Value |
||||||||||||
Boston Life Sciences Inc | 16,000 | shares | 19,840 | |||||||||||||
Boston Properties Inc | 100 | shares | 4,819 | |||||||||||||
Boston Scientific Corporation | 100 | shares | 3,676 | |||||||||||||
Bottomline Home Loan Inc | 50 | shares | 1 | |||||||||||||
Bradley Pharmaceuticals Inc | 500 | shares | 12,715 | |||||||||||||
Brigham Exploration Company | 200 | shares | 1,606 | |||||||||||||
Brightpoint Inc | 100 | shares | 1,725 | |||||||||||||
Bristol-Myers Squibb Co | 406 | shares | 11,612 | |||||||||||||
Broadcom Corporation Class A | 88 | shares | 3,000 | |||||||||||||
Broadvision Inc | 15 | shares | 64 | |||||||||||||
Brocade Communications Systems Inc | 200 | shares | 1,156 | |||||||||||||
CMGI Inc | 175 | shares | 311 | |||||||||||||
CT Communications Inc | 400 | shares | 5,400 | |||||||||||||
CTS Corporation | 103 | shares | 1,189 | |||||||||||||
Caliper Technologies Corp | 30 | shares | 197 | |||||||||||||
Calpine Corporation | 5,500 | shares | 26,455 | |||||||||||||
Cambior Inc | 1,500 | shares | 4,650 | |||||||||||||
Cardiac Science Inc | 1,110 | shares | 4,429 | |||||||||||||
Cardstakes.Com | 84 | shares | 1 | |||||||||||||
Caredecision Corp | 10,000 | shares | 450 | |||||||||||||
Cascade Mountain Mining Co Inc | 47,716 | shares | 530 | |||||||||||||
Caterpillar Inc | .06 | share | 6 | |||||||||||||
Cdex Inc | 88 | shares | 1 | |||||||||||||
Cell Therapeutics Inc | 1,500 | shares | 13,050 | |||||||||||||
Cendant Corporation | 2,050 | shares | 45,653 | |||||||||||||
Central Wireless Inc | 5,000 | shares | 50 | |||||||||||||
Charter Communications | 120 | shares | 482 | |||||||||||||
Check Point Software Technologies | 175 | shares | 2,943 | |||||||||||||
Checkfree Corporation | 40 | shares | 1,106 | |||||||||||||
Chesapeake Corporation | 200 | shares | 5,296 | |||||||||||||
Chesapeake Energy Corporation | 300 | shares | 4,074 | |||||||||||||
Chevrontexaco Corp | 1,120 | shares | 96,798 | |||||||||||||
China Life Insurance Co Limited Adr | 61 | shares | 2,011 | |||||||||||||
China Wireless Communications Inc | 200 | shares | 94 | |||||||||||||
China Yuchai International Limited Adr | 131 | shares | 4,008 | |||||||||||||
Ciena Corporation | 2,445 | shares | 16,235 | |||||||||||||
Circuit City Stores Inc | 2,000 | shares | 20,260 | |||||||||||||
Cirrus Logic Inc | 1,000 | shares | 7,670 | |||||||||||||
Cisco Systems Inc | 18,247 | shares | 443,220 | |||||||||||||
Citigroup Capital Trust Ix 6% | 200 | shares | 5,076 | |||||||||||||
Citigroup Inc | 1,000 | shares | 48,553 | |||||||||||||
Citrix Systems Inc | 800 | shares | 16,968 | |||||||||||||
Clarent Corporation | 500 | shares | 6 | |||||||||||||
Coca Cola Company | 11 | shares | 535 | |||||||||||||
Coherent Inc | 50 | shares | 1,190 | |||||||||||||
Coinstar Inc | 96 | shares | 1,734 |
- 13 -
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2003 |
(c) Description of | ||||||||||||||||
investment including | ||||||||||||||||
maturity date, rate of | ||||||||||||||||
interest, collateral, | (d) | |||||||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||||||
(a) |
(b) Identity of issue, borrower, lessor or similar party |
or number of shares |
** |
Value |
||||||||||||
Comcast Corporation Class A | 790 | shares | 25,967 | |||||||||||||
Commerce One Inc Del | 1 | share | 1 | |||||||||||||
Commercial Capital Bancorp Inc | 142 | shares | 3,040 | |||||||||||||
Companhia Vale Do Rio Doce Adr | 200 | shares | 11,700 | |||||||||||||
Comtech Telecommunications Corp | 500 | shares | 14,435 | |||||||||||||
Conexant Systems Inc | 213 | shares | 1,058 | |||||||||||||
Conocophillips | 52 | shares | 3,431 | |||||||||||||
Constellation 3D Inc | 200 | shares | 1 | |||||||||||||
Consumer Direct of America | 1,800 | shares | 630 | |||||||||||||
Corbel Holdings Inc | 2,552 | shares | 2 | |||||||||||||
Corgenix Medical Corporation | 117 | shares | 117 | |||||||||||||
Corning Inc | 1,006 | shares | 10,491 | |||||||||||||
Corvis Corporation | 2,000 | shares | 3,400 | |||||||||||||
Costco Wholesale Corporation | 250 | shares | 9,295 | |||||||||||||
Credit Acceptance Corporation | 200 | shares | 3,060 | |||||||||||||
Cree Inc | 500 | shares | 8,845 | |||||||||||||
Cross Media Marketing | 27 | shares | 1 | |||||||||||||
Cryolife Inc | 285 | shares | 1,647 | |||||||||||||
Cybercare Inc | 50 | shares | 1 | |||||||||||||
Cyberoptics Corp | 200 | shares | 2,160 | |||||||||||||
Cygnus Inc | 8,300 | shares | 2,739 | |||||||||||||
Cytogenix Inc | 2,000 | shares | 1,600 | |||||||||||||
DPL Inc | 108 | shares | 2,249 | |||||||||||||
DR Horton Co | 300 | shares | 12,989 | |||||||||||||
Decorize Inc | 400 | shares | 400 | |||||||||||||
Dell Inc | 850 | shares | 28,886 | |||||||||||||
Delta Airlines Inc | 250 | shares | 2,952 | |||||||||||||
Deswell Industries Inc | 75 | shares | 1,950 | |||||||||||||
Detour Media Group Inc | 1,000 | shares | 1 | |||||||||||||
Diamondcluster International Inc | 323 | shares | 3,294 | |||||||||||||
Dicut Inc | 5,000 | shares | 550 | |||||||||||||
Digene Corp | 3,736 | shares | 149,814 | |||||||||||||
Digi International Inc | 334 | shares | 3,206 | |||||||||||||
Digital Generation System Inc | 1,000 | shares | 2,240 | |||||||||||||
Digital Insight Corporation | 185 | shares | 4,606 | |||||||||||||
Digital Lightwave Inc | 20 | shares | 16 | |||||||||||||
Dillards Inc Class A | 100 | shares | 1,646 | |||||||||||||
Dippy Foods Inc | 2,000 | shares | 1 | |||||||||||||
Disney, Walt Holding Company | 510 | shares | 11,898 | |||||||||||||
Ditech Communications Corporation | 162 | shares | 3,094 | |||||||||||||
Divine Inc Class A | 22,332 | shares | 201 | |||||||||||||
Dollar General Corporation | 37 | shares | 776 | |||||||||||||
Dollar Tree Stores | 230 | shares | 6,914 | |||||||||||||
Donaldson Company Inc | 20 | shares | 1,183 | |||||||||||||
Donegal Group Inc Class A | 138 | shares | 3,039 | |||||||||||||
Dow Chemical Company | 302 | shares | 12,545 |
- 14 -
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2003 |
(c) Description of | ||||||||||||||||
investment including | ||||||||||||||||
maturity date, rate of | ||||||||||||||||
interest, collateral, | (d) | |||||||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||||||
(a) |
(b) Identity of issue, borrower, lessor or similar party |
or number of shares |
** |
Value |
||||||||||||
Drkoop.Com Inc | 280 | shares | 1 | |||||||||||||
DRS Technologies Inc | 20 | shares | 555 | |||||||||||||
Du Pont E I De Nemour & Company | 42 | shares | 1,929 | |||||||||||||
Duke Energy Corporation | 160 | shares | 3,271 | |||||||||||||
Dynasil Corporation America | 2,000 | shares | 540 | |||||||||||||
Dynegy Inc Class A | 1,101 | shares | 4,713 | |||||||||||||
E-Com Technologies Corporation | 20,300 | shares | 406 | |||||||||||||
EMC Corporation Mass | 3,535 | shares | 45,672 | |||||||||||||
ESS Technology Inc | 100 | shares | 1,701 | |||||||||||||
E.Spire Communications Inc | 19,500 | shares | 10 | |||||||||||||
Eagle Broadband Inc | 500 | shares | 650 | |||||||||||||
Earthshell Corporation | 2,583 | shares | 4,649 | |||||||||||||
Eastman Chemical Company | 304 | shares | 12,016 | |||||||||||||
Ebay Inc | 170 | shares | 10,980 | |||||||||||||
Echostar Communications Corporation Class A | 150 | shares | 5,100 | |||||||||||||
Education Management Corporation | 250 | shares | 7,760 | |||||||||||||
El Paso Corporation | 249 | shares | 2,038 | |||||||||||||
Elan Corp Plc 05 Wts | 27,200 | shares | 4,624 | |||||||||||||
Elan Corp Plc Sponsored Adr | 200 | shares | 1,378 | |||||||||||||
Elcom International Inc | 500 | shares | 100 | |||||||||||||
Electric City Corp | 1,650 | shares | 3,960 | |||||||||||||
Electronic Data System Corp | 2,021 | shares | 4,974 | |||||||||||||
Embarcadero Technologies Inc | 191 | shares | 3,046 | |||||||||||||
Empire Energy Class B Vtg | 500 | shares | 1 | |||||||||||||
Empire Exchangeco Service A | 500 | shares | 1 | |||||||||||||
Emulex Corporation | 50 | shares | 1,334 | |||||||||||||
Endocardial Solutions Inc | 1,000 | shares | 7,200 | |||||||||||||
Endovasc Inc | 2,125 | shares | 1 | |||||||||||||
Endovasc Inc | 8,500 | shares | 2,635 | |||||||||||||
Endwave Corporation | 25 | shares | 185 | |||||||||||||
Ennis Business Forms Inc | 150 | shares | 2,295 | |||||||||||||
Enron Corporation | 3,316 | shares | 93 | |||||||||||||
Enterra Energy Trust | 425 | shares | 4,696 | |||||||||||||
Enviro-Energy Corporation | 55,800 | shares | 390 | |||||||||||||
Environmental Technologies International Inc | 5,000 | shares | 775 | |||||||||||||
Epicor Software Corporation | 230 | shares | 2,935 | |||||||||||||
Equinix Inc | 111 | shares | 3,130 | |||||||||||||
Ericsson Telefon Adr | 115 | shares | 2,035 | |||||||||||||
E-Trade Financial Corporation | 475 | shares | 6,009 | |||||||||||||
Eurotech Ltd | 1,500 | shares | 42 | |||||||||||||
Evolve One Inc | 78 | shares | 12 | |||||||||||||
Evolving Systems Inc | 2,400 | shares | 31,920 | |||||||||||||
Exxon Mobil Corporation | 2,409 | shares | 98,774 | |||||||||||||
Eyemakers Inc | 1,500 | shares | 22 | |||||||||||||
Ezenia Inc | 121,400 | shares | 30,350 |
- 15 -
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2003 |
(c) Description of | ||||||||||||||||
investment including | ||||||||||||||||
maturity date, rate of | ||||||||||||||||
interest, collateral, | (d) | |||||||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||||||
(a) |
(b) Identity of issue, borrower, lessor or similar party |
or number of shares |
** |
Value |
||||||||||||
F2 Broadcast Network New | 62 | shares | 1 | |||||||||||||
Factset Research Systems Inc | 180 | shares | 6,878 | |||||||||||||
Fargo Electronics Inc | 400 | shares | 5,088 | |||||||||||||
Federal-Mogul Corporation | 100 | shares | 23 | |||||||||||||
Fedex Corporation | 40 | shares | 2,700 | |||||||||||||
Filenet Corporation | 111 | shares | 3,006 | |||||||||||||
Findwhat.Com | 100 | shares | 1,875 | |||||||||||||
Finova Group Inc | 507 | shares | 329 | |||||||||||||
First American Corporation | 100 | shares | 2,977 | |||||||||||||
First Financial Bancorp | 200 | shares | 3,190 | |||||||||||||
First Mariner Bancorp | 300 | shares | 5,619 | |||||||||||||
First Tennessee National Corporation | 303 | shares | 13,351 | |||||||||||||
Flagstar Bancorp Inc | 455 | shares | 9,746 | |||||||||||||
Fleetboston Financial Corporation | 305 | shares | 13,316 | |||||||||||||
Flextronics International Ltd | 187 | shares | 2,775 | |||||||||||||
Flight Safety Technologies Inc | 6,591 | shares | 9,952 | |||||||||||||
Fly Networks Inc | 230 | shares | 69 | |||||||||||||
Fonix Corporation | 50 | shares | 22 | |||||||||||||
Ford Motor Company | 1,425 | shares | 22,799 | |||||||||||||
Forest Laboratories Inc | 204 | shares | 12,607 | |||||||||||||
Fortune Brands Inc | 117 | shares | 8,399 | |||||||||||||
Foundry Networks Inc | 231 | shares | 6,320 | |||||||||||||
Fpic Insurance Group Inc | 127 | shares | 3,186 | |||||||||||||
Freddie Mac Voting Shares | 202 | shares | 11,780 | |||||||||||||
Freemarkets Inc | 540 | shares | 3,613 | |||||||||||||
Friedman, Billings, Ramsey Group Inc | 150 | shares | 3,462 | |||||||||||||
Fuelcell Energy Inc | 352 | shares | 4,576 | |||||||||||||
GSI Commerce Inc | 94 | shares | 918 | |||||||||||||
GYK Ventures Inc | 200 | shares | 10 | |||||||||||||
Gabelli Equity Trust Inc | 1,341 | shares | 10,731 | |||||||||||||
Gap Inc | 153 | shares | 3,552 | |||||||||||||
Gateway Inc | 1,040 | shares | 4,784 | |||||||||||||
Gemstar-Tv Guide International Inc | 375 | shares | 1,894 | |||||||||||||
General Chemical Group Inc | 200 | shares | 8 | |||||||||||||
General Electric Company | 6,452 | shares | 199,897 | |||||||||||||
General Motors Corp | 433 | shares | 23,103 | |||||||||||||
Genome Therapeutics Corporation | 900 | shares | 2,817 | |||||||||||||
Genta Inc | 500 | shares | 5,205 | |||||||||||||
Genvec Inc | 19,000 | shares | 62,700 | |||||||||||||
Geocom Resources Inc | 1,500 | shares | 2,025 | |||||||||||||
Geron Corporation | 1,000 | shares | 9,970 | |||||||||||||
Global Bancorp Inc | 5 | shares | 1 | |||||||||||||
Global Escience Corporation | 260 | shares | 8 | |||||||||||||
Globalstar Telecom Ord | 1,489 | shares | 37 | |||||||||||||
Goamerica Inc | 175 | shares | 65 |
- 16 -
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2003 |
(c) Description of | ||||||||||||||||
investment including | ||||||||||||||||
maturity date, rate of | ||||||||||||||||
interest, collateral, | (d) | |||||||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||||||
(a) |
(b) Identity of issue, borrower, lessor or similar party |
or number of shares |
** |
Value |
||||||||||||
Goldcorp Inc | 100 | shares | 1,595 | |||||||||||||
Goldman Sachs Group Inc | 103 | shares | 10,164 | |||||||||||||
Goodyear Tire & Rubber | 500 | shares | 3,930 | |||||||||||||
Guidant Corporation | 502 | shares | 30,244 | |||||||||||||
Guilford Pharmaceuticals Inc | 300 | shares | 2,034 | |||||||||||||
HMS Holdings Corp | 500 | shares | 2,000 | |||||||||||||
Hain Celestial Group Inc | 142 | shares | 3,296 | |||||||||||||
Halliburton Company | 570 | shares | 14,820 | |||||||||||||
Harley Davidson Inc | 534 | shares | 25,372 | |||||||||||||
Harrahs Entertainment Inc | 20 | shares | 995 | |||||||||||||
Harvest Natural Resources Inc | 500 | shares | 4,975 | |||||||||||||
Health Care Property Investors Inc | 100 | shares | 5,080 | |||||||||||||
Healthcare Services Group Inc | 30 | shares | 579 | |||||||||||||
Healthetech Inc | 30 | shares | 21 | |||||||||||||
Hearusa Inc | 2,000 | shares | 4,500 | |||||||||||||
Hecla Mining Company | 1,000 | shares | 8,290 | |||||||||||||
Heilig-Meyers Company | 100 | shares | 1 | |||||||||||||
Hewlett-Packard Company | 3,637 | shares | 83,531 | |||||||||||||
Home Depot Inc | 2,056 | shares | 72,968 | |||||||||||||
Honda Motor Co Ltd Adr | 150 | shares | 3,375 | |||||||||||||
House2Home Inc | 1,000 | shares | 1 | |||||||||||||
Huaneng Power International Adr | 300 | shares | 20,823 | |||||||||||||
Humana Inc | 660 | shares | 15,081 | |||||||||||||
Hurry Inc Class A | 5,000 | shares | 275 | |||||||||||||
I2 Technologies Inc | 112 | shares | 186 | |||||||||||||
ICU Medical Inc | 100 | shares | 3,428 | |||||||||||||
iAsiaWorks Inc | 35,000 | shares | 245 | |||||||||||||
iBeam Broadcasting | 150 | shares | 1 | |||||||||||||
iGo Corporation | 265 | shares | 1 | |||||||||||||
iJoin Systems Inc | 10,000 | shares | 1 | |||||||||||||
Imax Corporation | 1,000 | shares | 7,910 | |||||||||||||
IPET Holdings Inc | 100 | shares | 1 | |||||||||||||
iShares MSCI EMU Index Fund | 278 | shares | 17,014 | |||||||||||||
iShares Trust DJ US Energy | 300 | shares | 14,817 | |||||||||||||
iShares Trust Dow Jones RE | 196 | shares | 19,484 | |||||||||||||
iShares Trust S&P Smallcap | 307 | shares | 41,138 | |||||||||||||
iShares Trust S&P 500 | 254 | shares | 28,250 | |||||||||||||
Imclone Systems Inc | 40 | shares | 1,586 | |||||||||||||
Immucor Inc | 210 | shares | 4,282 | |||||||||||||
Immunogen Inc | 3,900 | shares | 19,695 | |||||||||||||
Impath Inc | 500 | shares | 1,950 | |||||||||||||
INAMED Corporation | 75 | shares | 3,604 | |||||||||||||
Inco Limited | 1,240 | shares | 49,377 | |||||||||||||
Indo Pacific Energy | 300 | shares | 426 | |||||||||||||
Infonet Services Corporation | 152 | shares | 258 |
- 17 -
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2003 |
(c) Description of | ||||||||||||||||
investment including | ||||||||||||||||
maturity date, rate of | ||||||||||||||||
interest, collateral, | (d) | |||||||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||||||
(a) |
(b) Identity of issue, borrower, lessor or similar party |
or number of shares |
** |
Value |
||||||||||||
Infonow Corporation | 17,311 | shares | 51,414 | |||||||||||||
Infospace Inc | 125 | shares | 2,881 | |||||||||||||
Insmed Incorporated | 1,000 | shares | 2,976 | |||||||||||||
Integrated Device Technology Inc | 200 | shares | 3,434 | |||||||||||||
Intel Corporation | 9,077 | shares | 292,218 | |||||||||||||
Interamerican Resources Inc | 20 | shares | 1 | |||||||||||||
Interliant Inc | 100 | shares | 1 | |||||||||||||
Internap Network Services Corporation | 4,100 | shares | 10,036 | |||||||||||||
Internet Business | 60 | shares | 1 | |||||||||||||
Interpharm Holdings Inc | 1,500 | shares | 7,047 | |||||||||||||
Interpore International | 1,000 | shares | 13,000 | |||||||||||||
International Business Machines | 121 | shares | 11,177 | |||||||||||||
International Fibercom Inc | 2,000 | shares | 1 | |||||||||||||
International Game Technology Inc | 1,087 | shares | 38,792 | |||||||||||||
International Rectifier Corp | 354 | shares | 17,491 | |||||||||||||
Introgen Therapeutics Inc | 110 | shares | 930 | |||||||||||||
Intuit Inc | 50 | shares | 2,645 | |||||||||||||
Island Critical Care Corp | 19,500 | shares | 19 | |||||||||||||
Itronics Inc | 1,000 | shares | 150 | |||||||||||||
ITXC Corp | 500 | shares | 2,160 | |||||||||||||
Ivanhoe Energy Inc | 250 | shares | 935 | |||||||||||||
* |
JPMorgan Chase & Company | 641 | shares | 23,535 | ||||||||||||
Jabil Circuit Inc | 124 | shares | 3,509 | |||||||||||||
Jawz Inc | 150 | shares | 1 | |||||||||||||
JDS Uniphase Corporation | 4,910 | shares | 17,921 | |||||||||||||
Johnson & Johnson | 418 | shares | 21,593 | |||||||||||||
Juniper Networks Inc | 1,121 | shares | 20,940 | |||||||||||||
KCS Energy Inc | 30 | shares | 316 | |||||||||||||
Kaneb Pipe Line Partners Lp | 661 | shares | 33,576 | |||||||||||||
Kemet Corporation | 125 | shares | 1,711 | |||||||||||||
Kinder Morgan Energy Lp | 585 | shares | 28,803 | |||||||||||||
Kinross Gold Corporation | 200 | shares | 1,598 | |||||||||||||
Kirshner International Inc | 840 | shares | 1 | |||||||||||||
Knight Trading Group | 30 | shares | 439 | |||||||||||||
Koninklijke Philips Electronics Nv | 500 | shares | 14,545 | |||||||||||||
Krispy Kreme Doughnut Corporation | 85 | shares | 3,111 | |||||||||||||
Kronos Worldwide Inc | 141 | shares | 3,130 | |||||||||||||
LTX Corporation | 265 | shares | 3,983 | |||||||||||||
Lam Pharmaceutical Corporation | 478 | shares | 93 | |||||||||||||
Lam Research Corporation | 100 | shares | 3,230 | |||||||||||||
Liberty Media | 28 | shares | 333 | |||||||||||||
Lifestream Technologies Inc | 1,688 | shares | 203 | |||||||||||||
Liz Claiborne Inc | 100 | shares | 3,546 | |||||||||||||
Loral Space & Communications Ltd | 535 | shares | 169 | |||||||||||||
Lowes Companies Inc | 1,220 | shares | 67,580 | |||||||||||||
LSI Logic Corporation | 60 | shares | 532 | |||||||||||||
LTWC Corporation | 474 | shares | 1 |
- 18 -
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2003 |
(c) Description of | ||||||||||||||||
investment including | ||||||||||||||||
maturity date, rate of | ||||||||||||||||
interest, collateral, | (d) | |||||||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||||||
(a) |
(b) Identity of issue, borrower, lessor or similar party |
or number of shares |
** |
Value |
||||||||||||
Lucent Technologies Inc | 30,463 | shares | 86,515 | |||||||||||||
MBIA Inc | 150 | shares | 8,884 | |||||||||||||
MDC Holdings Inc | 200 | shares | 12,900 | |||||||||||||
MIV Therapeutics Inc | 2,500 | shares | 1,000 | |||||||||||||
MRV Communications Inc | 2,500 | shares | 9,400 | |||||||||||||
Macromedia Inc | 206 | shares | 3,675 | |||||||||||||
Macrovision Corporation | 500 | shares | 11,295 | |||||||||||||
Magellan Midstream Partners LP | 400 | shares | 20,000 | |||||||||||||
Mannatech Inc | 2,000 | shares | 21,720 | |||||||||||||
Manpower Inc | 20 | shares | 941 | |||||||||||||
Manugistics Group Inc | 800 | shares | 5,000 | |||||||||||||
Marchfirst Inc | 400 | shares | 1 | |||||||||||||
Marex Inc | 50 | shares | 1 | |||||||||||||
Martha Stewart Living Omni | 100 | shares | 985 | |||||||||||||
Marvel Enterprises Inc | 108 | shares | 3,144 | |||||||||||||
Marvell Technology Group Ltd | 250 | shares | 13,275 | |||||||||||||
Massey Energy Company | 79 | shares | 1,634 | |||||||||||||
Matritech Inc | 2,000 | shares | 3,780 | |||||||||||||
Matrix Service Co | 500 | shares | 9,075 | |||||||||||||
Matrixx Initiatives Inc | 172 | shares | 3,051 | |||||||||||||
Maxworldwide Inc | 1,000 | shares | 800 | |||||||||||||
Maytag Corporation | 300 | shares | 8,355 | |||||||||||||
Mcdata Corporation Class A | 11 | shares | 105 | |||||||||||||
Medco Health Solutions Inc | 36 | shares | 1,224 | |||||||||||||
Medcom USA Inc | 400 | shares | 260 | |||||||||||||
Mediax Corporation | 5,000 | shares | 1 | |||||||||||||
Medifast Inc | 500 | shares | 7,050 | |||||||||||||
Medimmune Inc | 750 | shares | 19,050 | |||||||||||||
Medquist Inc | 35 | shares | 562 | |||||||||||||
Medtronic Inc | 1,014 | shares | 49,284 | |||||||||||||
Merck & Co Inc | 517 | shares | 23,885 | |||||||||||||
Meritage Corporation | 100 | shares | 6,631 | |||||||||||||
Metrologic Instruments Inc | 146 | shares | 3,942 | |||||||||||||
Microsemi Corporation | 139 | shares | 3,417 | |||||||||||||
Microsoft Corporation | 7,160 | shares | 197,110 | |||||||||||||
Military Resale Group Inc | 2,000 | shares | 240 | |||||||||||||
Millennium Pharmaceuticals Inc | 300 | shares | 5,601 | |||||||||||||
Mills Corporation | 200 | shares | 8,800 | |||||||||||||
Mills Corporation 9% Series C Preferred | 200 | shares | 5,500 | |||||||||||||
Mindspeed Technology Inc | 70 | shares | 480 | |||||||||||||
Miracle Entertainment | 1,571 | shares | 1 | |||||||||||||
Mirant Corporation | 75 | shares | 29 | |||||||||||||
Mooney Aerospace Group A | 10,000 | shares | 201 | |||||||||||||
Motorola Incorporated | 2,205 | shares | 31,023 | |||||||||||||
Multimedia Games Inc | 100 | shares | 4,110 | |||||||||||||
Mylan Laboratories Inc | 226 | shares | 5,706 | |||||||||||||
Myriad Genetics Inc | 100 | shares | 1,286 |
- 19 -
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2003 |
(c) Description of | ||||||||||||||||
investment including | ||||||||||||||||
maturity date, rate of | ||||||||||||||||
interest, collateral, | (d) | |||||||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||||||
(a) |
(b) Identity of issue, borrower, lessor or similar party |
or number of shares |
** |
Value |
||||||||||||
Myturn.Com Inc | 24,000 | shares | 2 | |||||||||||||
NL Industries Inc | 584 | shares | 6,830 | |||||||||||||
NTL Incorporated | 56 | shares | 3,906 | |||||||||||||
NVE Corporation | 150 | shares | 7,695 | |||||||||||||
Nanobac Pharmaceuticals Inc | 98 | shares | 67 | |||||||||||||
Nasdaq 100 Shares | 2,089 | shares | 76,165 | |||||||||||||
Naspers Ltd Sponsored Adr | 44 | shares | 2,712 | |||||||||||||
National Residential Pptys Inc | 210,000 | shares | 42 | |||||||||||||
National Semiconductor Corporation | 70 | shares | 2,759 | |||||||||||||
Navisite Inc | 133 | shares | 874 | |||||||||||||
Nektar Therapeutics Inc | 450 | shares | 6,124 | |||||||||||||
Net Perceptions Inc | 1,580 | shares | 632 | |||||||||||||
Net2Phone Inc | 1,000 | shares | 6,800 | |||||||||||||
Network Appliance Inc | 813 | shares | 16,691 | |||||||||||||
Newell Rubbermaid Inc | 380 | shares | 8,653 | |||||||||||||
Newport Corporation | 100 | shares | 1,653 | |||||||||||||
Nexia Holdings Inc | 13,000 | shares | 1 | |||||||||||||
Nextel Communications A | 124 | shares | 3,479 | |||||||||||||
Niku Corporation | 213 | shares | 1,810 | |||||||||||||
Nisource Inc Holding Company | 32 | shares | 713 | |||||||||||||
Nokia Corporation Sponsored Adr | 690 | shares | 11,730 | |||||||||||||
Noranda Inc | 300 | shares | 4,758 | |||||||||||||
Nortel Networks Corporation | 4,198 | shares | 17,757 | |||||||||||||
North Star Diamonds Inc | 174,750 | shares | 7,689 | |||||||||||||
Northrop Grumman Corporation | 24 | shares | 2,329 | |||||||||||||
Nova Communications Ltd | 16,000 | shares | 432 | |||||||||||||
Novagold Resources Inc | 2,070 | shares | 10,309 | |||||||||||||
Novatel Wireless Inc New | 526 | shares | 3,151 | |||||||||||||
Novell Inc | 311 | shares | 3,272 | |||||||||||||
Nuvelo Inc | 5,000 | shares | 17,350 | |||||||||||||
Oakwood Homes Corporation | 500 | shares | 60 | |||||||||||||
Ocean Power Corporation | 3,400 | shares | 2 | |||||||||||||
On Semiconductor Corporation | 470 | shares | 3,031 | |||||||||||||
Oneok Inc | 60 | shares | 1,325 | |||||||||||||
Opentv Corp Class A | 62 | shares | 208 | |||||||||||||
Oracle Corporation | 9,860 | shares | 130,152 | |||||||||||||
Orasure Technologies Inc | 420 | shares | 3,343 | |||||||||||||
Owens Corning | 300 | shares | 126 | |||||||||||||
Oxy Corporation | 5,215 | shares | 220,274 | |||||||||||||
P.F. Chang's China Bistro Inc | 100 | shares | 5,088 | |||||||||||||
PMC-Sierra Inc | 523 | shares | 10,538 | |||||||||||||
Paccar Inc | 42 | shares | 3,575 | |||||||||||||
Palmone Inc | 941 | shares | 11,057 | |||||||||||||
Palmsource Inc | 30 | shares | 654 | |||||||||||||
Pan American Silver Corp | 867 | shares | 12,398 | |||||||||||||
Paradigm Advanced Technologies Inc | 1,200 | shares | 1 |
- 20 -
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2003 |
(c) Description of | ||||||||||||||||
investment including | ||||||||||||||||
maturity date, rate of | ||||||||||||||||
interest, collateral, | (d) | |||||||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||||||
(a) |
(b) Identity of issue, borrower, lessor or similar party |
or number of shares |
** |
Value |
||||||||||||
Paradigm Genetics Inc | 2,000 | shares | 2,940 | |||||||||||||
Patina Oil & Gas Corp | 100 | shares | 4,899 | |||||||||||||
PCCW Limited Ord | 60 | shares | 39 | |||||||||||||
Pengrowth Energy Trust | 1,000 | shares | 16,400 | |||||||||||||
Penton Media Inc | 100 | shares | 136 | |||||||||||||
Pepsico Incorporated | 80 | shares | 3,730 | |||||||||||||
Permian Basin Royalty Trust | 81 | shares | 669 | |||||||||||||
Petro-Canada Var Vtg | 17 | shares | 838 | |||||||||||||
Petrofund Energy Trust | 1,000 | shares | 14,460 | |||||||||||||
Petroleum Development Corporation | 196 | shares | 4,645 | |||||||||||||
Petroquest Energy Inc | 2,000 | shares | 6,240 | |||||||||||||
Pfizer Incorporated | 3,056 | shares | 107,972 | |||||||||||||
Pharmaceutical Product Development Inc | 266 | shares | 7,174 | |||||||||||||
Pharmos Corporation | 600 | shares | 2,100 | |||||||||||||
Phoenix Companies | 103 | shares | 1,235 | |||||||||||||
Pinnacle Business Management Inc | 257,142 | shares | 51 | |||||||||||||
Pipeline Technologies Inc | 3,000 | shares | 30 | |||||||||||||
Pixelworks Inc | 1,765 | shares | 19,486 | |||||||||||||
Playtex Products Inc | 220 | shares | 1,701 | |||||||||||||
Plug Power Inc | 146 | shares | 1,058 | |||||||||||||
Poore Brothers Inc | 60 | shares | 204 | |||||||||||||
Possis Medical Inc | 300 | shares | 5,925 | |||||||||||||
Powerwave Technologies Inc | 1,000 | shares | 7,650 | |||||||||||||
Pozen Inc | 132 | shares | 1,346 | |||||||||||||
Presstek Inc | 400 | shares | 2,908 | |||||||||||||
Primelink Sys Inc | 100 | shares | 1 | |||||||||||||
Primewest Energy Trust | 1,000 | shares | 21,270 | |||||||||||||
Procter & Gamble Company | 171 | shares | 17,101 | |||||||||||||
Proginet Corporation | 625 | shares | 406 | |||||||||||||
Provident Energy Trust | 400 | shares | 3,540 | |||||||||||||
Prudential Financial Inc | 100 | shares | 4,177 | |||||||||||||
Psychiatric Solutions Inc | 178 | shares | 3,720 | |||||||||||||
Qlogic Corporation | 70 | shares | 3,612 | |||||||||||||
Qualcomm Incorporated | 1,245 | shares | 67,162 | |||||||||||||
Quanta Services Inc | 400 | shares | 2,920 | |||||||||||||
Quentra Networks Inc | 700 | shares | 1 | |||||||||||||
Quest Communications International Inc | 1,000 | shares | 4,320 | |||||||||||||
Quintus Corporation | 400 | shares | 120 | |||||||||||||
Quokka Sports Inc | 1 | share | 1 | |||||||||||||
Quovadx Inc | 200 | shares | 980 | |||||||||||||
Qwest Communications International Inc | 12,827 | shares | 55,412 | |||||||||||||
RF Micro Devices Inc | 250 | shares | 2,512 | |||||||||||||
R.J. Reynolds Tobacco Holding Inc | 123 | shares | 7,152 | |||||||||||||
Radyne Comstream Inc 05 Wts | 18,546 | shares | 34,125 | |||||||||||||
Rambus Inc | 5 | shares | 153 | |||||||||||||
Ramtron International Corp | 60 | shares | 157 |
- 21 -
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2003 |
(c) Description of | ||||||||||||||||
investment including | ||||||||||||||||
maturity date, rate of | ||||||||||||||||
interest, collateral, | (d) | |||||||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||||||
(a) |
(b) Identity of issue, borrower, lessor or similar party |
or number of shares |
** |
Value |
||||||||||||
Rayonier Inc | 166 | shares | 6,891 | |||||||||||||
Raytheon Company | 4,388 | shares | 131,821 | |||||||||||||
Reality Wireless Networks Inc | 204 | shares | 5 | |||||||||||||
Recordlab Corporation | 450 | shares | 1 | |||||||||||||
Redhat Inc | 323 | shares | 6,063 | |||||||||||||
Reed Holdings Corporation | 94 | shares | 1 | |||||||||||||
Rite Aid Corporation | 22,300 | shares | 134,692 | |||||||||||||
Rockford Corporation | 20 | shares | 104 | |||||||||||||
Roxio Inc | 450 | shares | 2,155 | |||||||||||||
Royal Gold Inc | 200 | shares | 4,186 | |||||||||||||
Rudolph Technologies Inc | 178 | shares | 4,368 | |||||||||||||
SBC Communications Inc | 1 | share | 17 | |||||||||||||
SCO Group Inc | 87 | shares | 1,479 | |||||||||||||
SFBC International Inc | 444 | shares | 11,793 | |||||||||||||
Sify Limited Adr | 100 | shares | 518 | |||||||||||||
SPDR Trust Unit Series 1 | 91 | shares | 10,131 | |||||||||||||
Safeway Inc | 1,150 | shares | 25,196 | |||||||||||||
Sandisk Corporation | 100 | shares | 6,114 | |||||||||||||
Sanmina-SCI Corporation | 191 | shares | 2,408 | |||||||||||||
Sara Lee Corporation | 127 | shares | 2,765 | |||||||||||||
Schering Plough Corp | 50 | shares | 872 | |||||||||||||
Schlumberger Limited | 32 | shares | 1,751 | |||||||||||||
Scient Inc | 532 | shares | 1 | |||||||||||||
Scientific Atlanta Inc | 226 | shares | 6,182 | |||||||||||||
Scientific Games Corporation Class A | 181 | shares | 3,079 | |||||||||||||
Scores Holding Company Inc | 20,000 | shares | 1,900 | |||||||||||||
Seattle Genetics Inc | 1,000 | shares | 8,580 | |||||||||||||
Semotus Solutions Inc | 1,000 | shares | 690 | |||||||||||||
Semtech Corporation | 134 | shares | 3,046 | |||||||||||||
Serena Software Inc | 250 | shares | 4,587 | |||||||||||||
Serono S.A. Adr | 300 | shares | 5,265 | |||||||||||||
Service Corporation International | 335 | shares | 1,806 | |||||||||||||
Shaman Pharmaceuticals Inc | 100,001 | shares | 210 | |||||||||||||
Sicor Inc | 100 | shares | 2,720 | |||||||||||||
Siebel Systems Inc | 3,586 | shares | 49,808 | |||||||||||||
Silicon Graphics Inc | 500 | shares | 685 | |||||||||||||
Silver Screen Studios Inc | 10,000 | shares | 600 | |||||||||||||
Silverado Gold Mines Ltd | 3,000 | shares | 405 | |||||||||||||
Simex Technologies Inc | 3,000 | shares | 1,260 | |||||||||||||
Sina Corporation | 73 | shares | 2,464 | |||||||||||||
Single Source Financial Services Corporation | 80 | shares | 144 | |||||||||||||
Sirius Satellite Radio | 30,595 | shares | 96,680 | |||||||||||||
Siskon Gold Corporation | 3,000 | shares | 60 | |||||||||||||
Skyworks Solutions Inc | 74 | shares | 644 | |||||||||||||
Sohu.Com Inc | 127 | shares | 3,811 | |||||||||||||
Solectron Corporation | 440 | shares | 2,600 |
- 22 -
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2003 |
(c) Description of | ||||||||||||||||
investment including | ||||||||||||||||
maturity date, rate of | ||||||||||||||||
interest, collateral, | (d) | |||||||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||||||
(a) |
(b) Identity of issue, borrower, lessor or similar party |
or number of shares |
** |
Value |
||||||||||||
Sonic Corp | 150 | shares | 4,593 | |||||||||||||
Southwall Technologies Inc | 3,162 | shares | 3,035 | |||||||||||||
Southwest Airlines Company | 2,816 | shares | 45,456 | |||||||||||||
Southwest Energy Company | 100 | shares | 2,390 | |||||||||||||
Southwestern Resources Corp | 405 | shares | 12,486 | |||||||||||||
Spectralink Corp | 100 | shares | 1,917 | |||||||||||||
Spiegel Inc Class A Non-Voting | 7,000 | shares | 385 | |||||||||||||
Sports Authority Inc | 200 | shares | 7,680 | |||||||||||||
Sportsline.Com Inc | 470 | shares | 597 | |||||||||||||
Sprint FON Group | 656 | shares | 10,768 | |||||||||||||
Sprint PCS Group | 500 | shares | 2,810 | |||||||||||||
Stamford International Inc | 1,800 | shares | 1 | |||||||||||||
Starbucks Corporation | 500 | shares | 16,580 | |||||||||||||
Stillwater Mining Corporation | 585 | shares | 5,598 | |||||||||||||
Stone & Webster Incorporated | 37,500 | shares | 21,375 | |||||||||||||
Stonepath Group Inc | 500 | shares | 1,130 | |||||||||||||
Storagenetworks Inc | 220 | shares | 1 | |||||||||||||
Stratasys Inc | 150 | shares | 4,089 | |||||||||||||
Styling Technology Corporation | 130 | shares | 1 | |||||||||||||
Sun Microsystems Inc | 4,037 | shares | 18,126 | |||||||||||||
SunGard Data Systems Inc | 636 | shares | 17,623 | |||||||||||||
Sunrise Technologies International Inc | 1,000 | shares | 4 | |||||||||||||
Superconductor Technologies Inc | 1,890 | shares | 10,547 | |||||||||||||
Superior Telecom Inc | 2,500 | shares | 1 | |||||||||||||
Surebeam Corporation | 150 | shares | 36 | |||||||||||||
Sycamore Networks Inc | 15 | shares | 78 | |||||||||||||
Synergie Holdings Ltd Inc | 600,000 | shares | 360 | |||||||||||||
Synergy Brands Inc | 820 | shares | 3,198 | |||||||||||||
Synopsys Inc | 400 | shares | 13,504 | |||||||||||||
Synthetic Turf Corporation of America | 2,000 | shares | 48 | |||||||||||||
T & G2 Inc | 375 | shares | 50 | |||||||||||||
THC Communications Inc | 19,600 | shares | 2 | |||||||||||||
THCG Inc | 60 | shares | 1 | |||||||||||||
TVC Telecom Inc | 52,000 | shares | 988 | |||||||||||||
Taiwan Semiconductor Manufacturing Co Ltd | 400 | shares | 4,096 | |||||||||||||
Target Corporation | 139 | shares | 5,351 | |||||||||||||
Tellabs Inc | 500 | shares | 4,215 | |||||||||||||
Telular Corporation | 1,500 | shares | 9,825 | |||||||||||||
Telynx Inc | 500 | shares | 4 | |||||||||||||
Texas Instruments Inc | 886 | shares | 26,038 | |||||||||||||
Thatlook.Com Inc | 670 | shares | 1 | |||||||||||||
The Charles Schwab Corp | 124 | shares | 1,472 | |||||||||||||
Theglobe.Com Inc | 100 | shares | 132 | |||||||||||||
Thornburg Mortgage Inc | 48 | shares | 1,308 | |||||||||||||
Tiger Telematics Inc | 45,000 | shares | 4,500 |
- 23 -
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2003 |
(c) Description of | ||||||||||||||||
investment including | ||||||||||||||||
maturity date, rate of | ||||||||||||||||
interest, collateral, | (d) | |||||||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||||||
(a) |
(b) Identity of issue, borrower, lessor or similar party |
or number of shares |
** |
Value |
||||||||||||
Time Warner Inc | 612 | shares | 11,010 | |||||||||||||
Time Warner Telecom Inc Class A | 110 | shares | 1,114 | |||||||||||||
Timken Company | 30 | shares | 610 | |||||||||||||
Titan Corporation | 356 | shares | 7,764 | |||||||||||||
Titanium Metals Corporation | 100 | shares | 5,251 | |||||||||||||
Tokheim Corporation Series C 06 Wts | 300 | shares | 1 | |||||||||||||
Tommy Hilfiger Corporation | 100 | shares | 1,481 | |||||||||||||
Trans Orient Pete Ltd | 28 | shares | 9 | |||||||||||||
Travelers Property Casualty Class A | 5 | shares | 84 | |||||||||||||
Travelers Property Casualty Class B | 10 | shares | 170 | |||||||||||||
Trex Company Inc | 150 | shares | 5,697 | |||||||||||||
Triquint Semiconductor Inc | 200 | shares | 1,414 | |||||||||||||
True Health Inc | 1,200 | shares | 1,044 | |||||||||||||
Tyco International Ltd | 360 | shares | 9,544 | |||||||||||||
UAL Corporation | 2,775 | shares | 4,501 | |||||||||||||
U.S. Bancorp | 30 | shares | 893 | |||||||||||||
U.S. Microbics Inc | 10,000 | shares | 520 | |||||||||||||
Ugomedia Interactive Corp | 3,000 | shares | 360 | |||||||||||||
Uniprime Capital Acceptance Inc | 11,975 | shares | 1 | |||||||||||||
Unisource Energy Corporation | 681 | shares | 16,788 | |||||||||||||
United Online Inc | 40 | shares | 671 | |||||||||||||
United Parcel Service Class B | 100 | shares | 7,488 | |||||||||||||
United Sts Crude International Inc | 999,999 | shares | 700 | |||||||||||||
United Technologies Corporation | 20 | shares | 1,933 | |||||||||||||
Universal Express Inc | 18,000 | shares | 1,134 | |||||||||||||
Unova Inc | 500 | shares | 11,475 | |||||||||||||
VA Software Corporation | 51 | shares | 199 | |||||||||||||
Vasomedical Inc | 2,050 | shares | 2,296 | |||||||||||||
Vast Solutions Inc Class B1 | 46 | shares | 1 | |||||||||||||
Vast Solutions Inc Class B2 | 46 | shares | 1 | |||||||||||||
Vast Solutions Inc Class B3 | 46 | shares | 1 | |||||||||||||
Vault Financial Services Inc | 1 | share | 1 | |||||||||||||
Vaxgen Inc | 50 | shares | 396 | |||||||||||||
Ventas Inc | 300 | shares | 6,600 | |||||||||||||
Verilink Corporation | 250 | shares | 1,307 | |||||||||||||
Verisign Inc | 85 | shares | 1,385 | |||||||||||||
Veritas Software Corporation | 130 | shares | 4,831 | |||||||||||||
Viacom Inc Non-Voting Class B | 120 | shares | 5,318 | |||||||||||||
Vialta Inc | 2 | shares | 1 | |||||||||||||
Vignette Corporation | 600 | shares | 1,362 | |||||||||||||
Vion Pharmaceuticals Inc | 1,000 | shares | 1,580 | |||||||||||||
Viragen Inc | 2,000 | shares | 480 | |||||||||||||
Vital Living Products Inc | 300 | shares | 1 | |||||||||||||
Vitria Technology Inc | 1,750 | shares | 12,425 | |||||||||||||
Vivendi Universal Adr | 16 | shares | 388 | |||||||||||||
V-Net Beverage Inc | 12,000 | shares | 50 |
- 24 -
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2003 |
(c) Description of | ||||||||||||||||
investment including | ||||||||||||||||
maturity date, rate of | ||||||||||||||||
interest, collateral, | (d) | |||||||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||||||
(a) |
(b) Identity of issue, borrower, lessor or similar party |
or number of shares |
** |
Value |
||||||||||||
Walgreen Company |
123 | shares | 4,459 | |||||||||||||
Wal-Mart de
CV Sponsored Adr |
60 | shares | 1,695 | |||||||||||||
Wal-Mart Stores Inc |
1,331 | shares | 70,609 | |||||||||||||
Warning Model Management LLC |
400 | shares | 1 | |||||||||||||
Wasatch Pharmaceutical Inc |
2 | shares | 1 | |||||||||||||
Washington Mutual Inc |
307 | shares | 12,301 | |||||||||||||
Wave Systems Corporation Class A |
2,150 | shares | 3,526 | |||||||||||||
WAVO Corporation |
2,100 | shares | 10 | |||||||||||||
Webb Interactive Services Inc |
1,100 | shares | 1,056 | |||||||||||||
Webex Communications Inc |
400 | shares | 8,040 | |||||||||||||
Weingarten Realty Investors Sbi |
27 | shares | 1,215 | |||||||||||||
Wellpoint Health Networks Inc |
50 | shares | 4,849 | |||||||||||||
Wheaton River Minerals Ltd |
5,120 | shares | 15,309 | |||||||||||||
Williams Clayton Energy Inc |
100 | shares | 2,907 | |||||||||||||
Williams Coal Seam Gas Royalty Trust |
563 | shares | 7,367 | |||||||||||||
World Gaming Plc Adr |
30,000 | shares | 12,600 | |||||||||||||
World Wrestling Entertainment Inc |
151 | shares | 1,980 | |||||||||||||
Worldcom Inc |
68,245 | shares | 901 | |||||||||||||
Worldcom Inc - MCI Group |
25 | shares | 1 | |||||||||||||
Worldwide Web Networx Corporation |
300 | shares | 1 | |||||||||||||
Xm Satellite Radio Holdings Inc |
700 | shares | 18,452 | |||||||||||||
Xerion Ecosolutions Group Inc |
1 | share | 2 | |||||||||||||
Xerox Corporation |
1,504 | shares | 20,755 | |||||||||||||
Xilinx Inc |
79 | shares | 3,060 | |||||||||||||
Xybernaut Corporation |
8,500 | shares | 13,345 | |||||||||||||
Yahoo! Inc |
1,264 | shares | 57,095 | |||||||||||||
Yum Brands Inc |
1,000 | shares | 34,400 | |||||||||||||
Zap.Com Corporation |
2 | shares | 1 | |||||||||||||
Zoran Corporation |
500 | shares | 8,695 | |||||||||||||
Zymetx Inc |
750 | shares | 112 | |||||||||||||
Total Common Stocks |
8,121,531 | |||||||||||||||
Mutual Funds: |
||||||||||||||||
ABN Amro Mid Cap Fund Class N |
428 | shares | 9,079 | |||||||||||||
ABN Amro/Veredus Aggressive Growth Fund Class N |
213 | shares | 3,307 | |||||||||||||
Acadian Emerging Markets Portfolio |
657 | shares | 10,329 | |||||||||||||
Al Frank Fund |
325 | shares | 7,992 | |||||||||||||
* | American Century Equity Growth Fund |
3,900,575 | shares | 76,455,989 | ||||||||||||
* | American Century Equity Income Fund |
3,694 | shares | 28,738 | ||||||||||||
* | American Century Ginnie Mae |
1,835 | shares | 19,474 | ||||||||||||
* | American Century Global Gold Fund |
10,093 | shares | 132,918 | ||||||||||||
* | American Century Growth Fund |
870 | shares | 15,615 | ||||||||||||
* | American Century Income and Growth Fund |
2,369,526 | shares | 65,625,277 | ||||||||||||
* | American Century International
Growth Fund - Investor Class |
2,439 | shares | 19,363 | ||||||||||||
* | American Century Real Estate Fund Investor Class |
3,735 | shares | 77,693 |
- 25 -
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2003 |
(c) Description of | ||||||||||||||||
investment including | ||||||||||||||||
maturity date, rate of | ||||||||||||||||
interest, collateral, | (d) | |||||||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||||||
(a) |
(b) Identity of issue, borrower, lessor or similar party |
or number of shares |
** |
Value |
||||||||||||
* |
American Century Target 2005 Fund | 22 | shares | 2,179 | ||||||||||||
* |
American Century Technology Fund | 1,544 | shares | 29,485 | ||||||||||||
American Funds Europacific Growth Fund | 951,838 | shares | 28,728,091 | |||||||||||||
Amerindo Technology Fund Class D | 91 | shares | 667 | |||||||||||||
Ameristock Fund | 339 | shares | 13,355 | |||||||||||||
Ariel Fund | 258 | shares | 11,631 | |||||||||||||
Artisan International Fund | 2,870 | shares | 54,263 | |||||||||||||
Artisan International Small Cap Fund Investor Shares | 973 | shares | 15,193 | |||||||||||||
Artisan Midcap Fund | 675 | shares | 17,394 | |||||||||||||
Baron Growth Fund | 246 | shares | 8,732 | |||||||||||||
Bjurman Barry Micro Cap Growth Fund | 3,753 | shares | 127,188 | |||||||||||||
Bridgeway Blue-Chip 35 Index Fund | 763 | shares | 5,321 | |||||||||||||
Bridgeway Ultra-Small Company Market Fund | 1,376 | shares | 20,554 | |||||||||||||
Buffalo High Yield Fund | 2,289 | shares | 25,429 | |||||||||||||
Buffalo Small Cap Fund | 850 | shares | 18,844 | |||||||||||||
Burnham Financial Services Fund Class A | 452 | shares | 11,054 | |||||||||||||
Calamos Growth Fund Class A | 438 | shares | 19,617 | |||||||||||||
CGM Realty Fund | 208 | shares | 5,160 | |||||||||||||
Chesapeake Core Growth Fund | 3,003 | shares | 45,980 | |||||||||||||
Clipper Fund | 1,206 | shares | 106,060 | |||||||||||||
Columbia Small Cap Growth Fund Class Z | 442 | shares | 10,389 | |||||||||||||
Columbia Strategic Investor Fund Class Z | 270 | shares | 4,810 | |||||||||||||
Cooke & Bieler Mid-Cap Value Portfolio | 114 | shares | 2,154 | |||||||||||||
Dodge & Cox Balanced Fund | 104 | shares | 7,588 | |||||||||||||
Dodge & Cox International Stock Fund | 70 | shares | 1,641 | |||||||||||||
Dodge & Cox Stock Fund | 283 | shares | 32,230 | |||||||||||||
Dreyfus Intermediate Term Income Fund | 352 | shares | 4,558 | |||||||||||||
Dreyfus Premier Technology Growth Fund Class A | 224 | shares | 5,144 | |||||||||||||
Dreyfus Small Cap Stock Index Fund | 1,963 | shares | 33,644 | |||||||||||||
Driehaus International Discovery Fund | 416 | shares | 12,185 | |||||||||||||
Eclipse Small Cap Value Fund No Load | 608 | shares | 10,211 | |||||||||||||
Excelsior Energy And Natural Resources Fund | 522 | shares | 8,260 | |||||||||||||
Excelsior Value And Restructuring Fund | 2,132 | shares | 76,459 | |||||||||||||
FBR Small Cap Financial Fund | 194 | shares | 6,497 | |||||||||||||
FBR Small Cap Growth/Value Fund | 296 | shares | 9,621 | |||||||||||||
Federated Capital Appreciation Fund Class A | 107 | shares | 2,555 | |||||||||||||
Federated International Small Company Fund Class A | 508 | shares | 11,587 | |||||||||||||
Federated Kaufmann Fund Class K | 2,185 | shares | 10,837 | |||||||||||||
Fidelity Aggressive Growth Fund | 111 | shares | 1,662 | |||||||||||||
Fidelity Discovery Fund | 555 | shares | 5,739 | |||||||||||||
Fidelity Equity Income Fund | 36,097 | shares | 1,795,810 | |||||||||||||
Fidelity Growth And Income Fund | 119 | shares | 4,228 | |||||||||||||
Fidelity Growth Company Fund | 22 | shares | 1,124 | |||||||||||||
Fidelity Magellan Fund | 39,036 | shares | 3,815,339 | |||||||||||||
Fidelity Select Biotechnology Portfolio | 20 | shares | 1,032 |
- 26 -
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2003 |
(c) Description of | ||||||||||||||||
investment including | ||||||||||||||||
maturity date, rate of | ||||||||||||||||
interest, collateral, | (d) | |||||||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||||||
(a) |
(b) Identity of issue, borrower, lessor or similar party |
or number of shares |
** |
Value |
||||||||||||
First American Small Cap Growth Opportunity Fund Class A | 1,197 | shares | 30,014 | |||||||||||||
Firsthand Technology Innovators Fund | 2,782 | shares | 32,156 | |||||||||||||
Firsthand Technology Leaders Fund | 464 | shares | 7,995 | |||||||||||||
Firsthand Technology Value Fund | 369 | shares | 11,649 | |||||||||||||
FMI Focus Fund | 68 | shares | 2,329 | |||||||||||||
Gabelli Gold Fund | 12,207 | shares | 221,930 | |||||||||||||
Gabelli Westwood Balanced Fund Retail Class | 277 | shares | 3,102 | |||||||||||||
GE US Equity Fund Class A | 1,629 | shares | 43,201 | |||||||||||||
Heartland Value Fund | 974 | shares | 49,829 | |||||||||||||
Henlopen Fund | 1,401 | shares | 36,555 | |||||||||||||
Hennessy Cornerstone Growth Fund | 1,290 | shares | 24,968 | |||||||||||||
Hussman Strategic Growth | 2,140 | shares | 32,779 | |||||||||||||
Icon Healthcare Fund Class A | 497 | shares | 6,742 | |||||||||||||
Icon Information Technology Fund | 1,460 | shares | 12,787 | |||||||||||||
Invesco Dynamics Fund Investor Class | 1,103 | shares | 16,263 | |||||||||||||
Invesco Energy Fund Investor Class | 266 | shares | 5,412 | |||||||||||||
Invesco Financial Services Fund Investor Class | 262 | shares | 7,749 | |||||||||||||
Invesco Technology Fund Investor Class | 529 | shares | 13,011 | |||||||||||||
IPS Millennium Fund Class A | 24 | shares | 632 | |||||||||||||
Ivy Global Natural Resources Fund Class A | 78 | shares | 1,295 | |||||||||||||
Janus Balanced Fund | 3,033 | shares | 60,477 | |||||||||||||
Janus Enterprise Fund | 405 | shares | 12,614 | |||||||||||||
Janus Fund | 738 | shares | 17,312 | |||||||||||||
Janus Global Life Sciences Fund | 612 | shares | 9,584 | |||||||||||||
Janus Global Technology Fund | 3,867 | shares | 40,798 | |||||||||||||
Janus High Yield Fund | 427 | shares | 4,145 | |||||||||||||
Janus Mercury Fund | 5,605 | shares | 109,303 | |||||||||||||
Janus Mid Cap Value Investor Shares | 935 | shares | 19,065 | |||||||||||||
Janus Olympus Fund | 2,180 | shares | 57,404 | |||||||||||||
Janus Small Cap Value Investor Shares | 1,242 | shares | 38,438 | |||||||||||||
Janus Special Equity Fund | 5,272 | shares | 57,039 | |||||||||||||
Janus Twenty Fund | 783 | shares | 28,319 | |||||||||||||
Janus Worldwide Fund | 26 | shares | 1,042 | |||||||||||||
Jensen Portfolio Inc Class J | 1,010 | shares | 23,362 | |||||||||||||
* |
J.P. Morgan Mid-Cap Growth Fund Class A | 248 | shares | 1,217 | ||||||||||||
Julius Baer International Equity Fund | 4,543 | shares | 120,398 | |||||||||||||
Longleaf Partners International Fund | 581 | shares | 8,194 | |||||||||||||
Loomis Sayles Bond Fund Class I | 451 | shares | 6,005 | |||||||||||||
Lord Abbett Affiliated Fund Class A | 1,507 | shares | 20,425 | |||||||||||||
Lord Abbett Bond Debenture Fund Class A | 1,443 | shares | 11,634 | |||||||||||||
Lord Abbett Mid Cap Value Fund Class A | 442 | shares | 8,328 | |||||||||||||
Marshall Mid-Cap Value Fund Investor Class | 1,155 | shares | 15,948 | |||||||||||||
Marsico Growth Fund | 1,632 | shares | 25,203 | |||||||||||||
Matthews Pacific Tiger Fund | 1,570 | shares | 20,645 |
- 27 -
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2003 |
(c) Description of | ||||||||||||||||
investment including | ||||||||||||||||
maturity date, rate of | ||||||||||||||||
interest, collateral, | (d) | |||||||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||||||
(a) |
(b) Identity of issue, borrower, lessor or similar party |
or number of shares |
** |
Value |
||||||||||||
Navellier Mid Cap Growth Fund | 4,602 | shares | 104,796 | |||||||||||||
Neuberger Berman Focus Fund Investor Class | 293 | shares | 10,535 | |||||||||||||
Neuberger Berman High Income Bond Fund | 3,311 | shares | 31,053 | |||||||||||||
Neuberger Berman International Fund Investor Class | 1,186 | shares | 16,664 | |||||||||||||
Nicholas II Fund | 217 | shares | 4,636 | |||||||||||||
Northern Select Equity Fund | 575 | shares | 10,350 | |||||||||||||
Northern Technology Fund | 94 | shares | 1,083 | |||||||||||||
Oakmark Equity Income Fund | 1,436 | shares | 31,615 | |||||||||||||
Oakmark Fund | 349 | shares | 13,116 | |||||||||||||
Oakmark Global Fund Class I | 2,192 | shares | 42,266 | |||||||||||||
Oakmark International Fund - Harris Oakmark International Fund | 2,080 | shares | 37,491 | |||||||||||||
Oakmark Select Fund | 3,125 | shares | 95,675 | |||||||||||||
Oberweis Emerging Growth Portfolio | 353 | shares | 9,536 | |||||||||||||
Oberweis Micro-Capital Portfolio | 658 | shares | 17,291 | |||||||||||||
PBHG Clipper Focus Fund PBHG Class | 3,756 | shares | 61,967 | |||||||||||||
PBHG Large-Cap Growth Fund | 61 | shares | 1,185 | |||||||||||||
PBHG Large-Cap Fund | 256 | shares | 3,058 | |||||||||||||
PBHG Mid-Cap Fund | 201 | shares | 3,460 | |||||||||||||
PBHG Select Growth Fund | 234 | shares | 4,909 | |||||||||||||
PBHG Technology & Communications Fund | 344 | shares | 3,718 | |||||||||||||
Pimco Commodity Real Return Strategy Fund Class D | 724 | shares | 9,870 | |||||||||||||
Pimco Emerging Markets Bond Fund Class D | 2,536 | shares | 26,648 | |||||||||||||
Pimco Rcm Global Healthcare Fund Class D | 1,812 | shares | 35,190 | |||||||||||||
Pimco Rcm Global Technology Fund Class D | 347 | shares | 10,527 | |||||||||||||
Pimco Real Return Fund Class D | 2,230 | shares | 25,082 | |||||||||||||
Pimco Total Return Fund Class D | 6,419 | shares | 68,748 | |||||||||||||
Pimco Total Return Mortgage Fund Class D | 468 | shares | 5,027 | |||||||||||||
Pin Oak Aggressive Stock Fund | 190 | shares | 3,744 | |||||||||||||
Pioneer High Yield Fund Class A | 4,069 | shares | 48,582 | |||||||||||||
Prudent Global Income Fund | 870 | shares | 11,551 | |||||||||||||
Prudent Bear Fund | 427 | shares | 2,661 | |||||||||||||
Quaker Aggressive Growth Fund | 717 | shares | 13,954 | |||||||||||||
Red Oak Technology Select Portfolio | 939 | shares | 6,416 | |||||||||||||
Reynolds Blue Chip Growth Fund | 21 | shares | 645 | |||||||||||||
Royce Low Priced Stock Fund | 909 | shares | 12,702 | |||||||||||||
Royce Premier Fund | 4,194 | shares | 54,104 | |||||||||||||
Royce Total Return Fund | 1,729 | shares | 18,487 | |||||||||||||
RS Contrarian Value Fund | 539 | shares | 9,177 | |||||||||||||
RS Diversified Growth Fund | 455 | shares | 10,168 | |||||||||||||
RS Internet Age Fund | 571 | shares | 3,758 | |||||||||||||
RS Partners Fund | 592 | shares | 16,403 | |||||||||||||
Rydex Large-Cap Japan Fund | 159 | shares | 4,739 | |||||||||||||
Rydex Tempest 500 Fund | 928 | shares | 48,867 | |||||||||||||
Rydex Ursa Fund Investor Class | 2,518 | shares | 23,593 |
- 28 -
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2003 |
(c) Description of | ||||||||||||||||
investment including | ||||||||||||||||
maturity date, rate of | ||||||||||||||||
interest, collateral, | (d) | |||||||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||||||
(a) |
(b) Identity of issue, borrower, lessor or similar party |
or number of shares |
** |
Value |
||||||||||||
Rydex Velocity 100 Fund | 96 | shares | 1,894 | |||||||||||||
Rydex Venture 100 Fund | 743 | shares | 19,765 | |||||||||||||
Safeco Growth Opportunities Fund | 966 | shares | 23,908 | |||||||||||||
Schwab 1000 Fund | 33 | shares | 1,032 | |||||||||||||
Schwab S&P 500 Investor Shares | 7,912 | shares | 135,535 | |||||||||||||
Schwab Short-Term Bond Market Fund | 987 | shares | 10,072 | |||||||||||||
Schwab Total Bond Market Fund | 26,392 | shares | 264,980 | |||||||||||||
Schwab Total Stock Market-Inv | 1,070 | shares | 19,643 | |||||||||||||
Schwab Total Stock Market-Sel | 3,369 | shares | 61,928 | |||||||||||||
Schwab Value Advantage Money Fund | 113,274 | shares | 113,274 | |||||||||||||
Scudder Balanced Fund Class S | 532 | shares | 8,898 | |||||||||||||
Scudder Greater Europe Growth Fund Class S | 622 | shares | 14,670 | |||||||||||||
Scudder Health Care Fund Class S | 233 | shares | 4,888 | |||||||||||||
Selected American Shares Inc | 348 | shares | 11,533 | |||||||||||||
SSgA Core Opportunities Fund | 1,175 | shares | 21,321 | |||||||||||||
Strong Asia Pacific Fund | 230 | shares | 2,066 | |||||||||||||
Strong Multi Cap Value Fund | 159 | shares | 8,855 | |||||||||||||
Strong Opportunity Fund | 694 | shares | 27,395 | |||||||||||||
T. Rowe Price Emerging Markets Stock Fund | 456 | shares | 7,057 | |||||||||||||
T. Rowe Price Equity Income Fund | 1,062 | shares | 25,649 | |||||||||||||
T. Rowe Price Health Sciences Fund | 1,665 | shares | 33,221 | |||||||||||||
T. Rowe Price Latin America Fund | 955 | shares | 11,159 | |||||||||||||
T. Rowe Price Mid Cap Growth Fund | 939 | shares | 40,291 | |||||||||||||
T. Rowe Price New Asia Fund | 1,007 | shares | 8,569 | |||||||||||||
T. Rowe Price New Horizon Fund | 182,187 | shares | 4,518,232 | |||||||||||||
T. Rowe Price Real Estate Fund | 449 | shares | 6,135 | |||||||||||||
T. Rowe Price Science & Technology Fund | 154,729 | shares | 2,908,907 | |||||||||||||
T. Rowe Price Small Cap Stock Fund | 42,312,308 | shares | 37,893,595 | |||||||||||||
T. Rowe Price Small Cap Value Fund | 581 | shares | 17,067 | |||||||||||||
T. Rowe Price Spectrum Income Fund | 1,695 | shares | 19,955 | |||||||||||||
TCW Galileo Select Equities Fund N Class | 327 | shares | 5,578 | |||||||||||||
Third Avenue Real Estate Value Fund | 297 | shares | 6,347 | |||||||||||||
Third Avenue Value Fund | 304 | shares | 12,592 | |||||||||||||
Touchstone Large-Cap Growth Fund Class A | 703 | shares | 11,612 | |||||||||||||
Turner Midcap Growth Fund Class I | 47 | shares | 1,028 | |||||||||||||
Tweedy Browne Global Value Fund | 1,653 | shares | 32,313 | |||||||||||||
UMB Scott Worldwide Fund | 3,421 | shares | 70,414 | |||||||||||||
Vanguard 500 Index Fund Investor Shares | 1,052 | shares | 108,058 | |||||||||||||
Vanguard Gnma Fund Investor Shares | 1,007 | shares | 10,573 | |||||||||||||
Vanguard Primecap Fund | 539 | shares | 28,565 | |||||||||||||
Vanguard
Short-Term Bond Index Fund Investor Shares |
827 | shares | 8,497 | |||||||||||||
Vanguard
Short-Term Treasury Fund Investor Shares |
1,307 | shares | 13,911 | |||||||||||||
Vanguard Total Bond Market Index Fund | 393 | shares | 4,050 | |||||||||||||
Vanguard
Total Stock Market Index Fund - Investor Shares |
1,708 | shares | 44,403 |
- 29 -
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2003 |
(c) Description of | ||||||||||||||||
investment including | ||||||||||||||||
maturity date, rate of | ||||||||||||||||
interest, collateral, | (d) | |||||||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||||||
(a) |
(b) Identity of issue, borrower, lessor or similar party |
or number of shares |
** |
Value |
||||||||||||
Vanguard U.S. Value Fund |
879 | shares | 10,791 | |||||||||||||
Waddell & Reed Advisor Science and
Technology Fund Class A |
131 | shares | 1,175 | |||||||||||||
Wasatch Core Growth Fund |
898 | shares | 33,155 | |||||||||||||
Weitz Value Fund |
325 | shares | 11,623 | |||||||||||||
White Oak Growth Stock Fund |
2,543 | shares | 89,489 | |||||||||||||
William Blair International Growth Fund-Class N |
902 | shares | 16,820 | |||||||||||||
William Blair Small-Cap Growth Fund Class N |
900 | shares | 19,643 | |||||||||||||
Winslow Green Growth Fund |
68 | shares | 986 | |||||||||||||
Total Mutual Funds |
226,582,736 | |||||||||||||||
Employer
Stock: |
||||||||||||||||
Phelps Dodge |
1,160,310 | shares | 88,289,623 | |||||||||||||
Phelps Dodge
(Participant Directed - Schwab) |
17 | shares | 1,294 | |||||||||||||
Total Employer Stock |
88,290,917 | |||||||||||||||
Participant Loans: |
||||||||||||||||
Loans to Various Participants |
6% - 11.5% Maturing through 2018 |
22,191,464 | ||||||||||||||
Other Assets: |
||||||||||||||||
USA 2 Year T-Notes (CBOT) March 2004 |
27 | shares | | |||||||||||||
USA 10 Year T-Notes (CBOT) March 2004 |
1 | share | | |||||||||||||
USA 5 Year T-Notes (CBOT) March 2004 |
46 | shares | | |||||||||||||
USA T-Bonds (CBOT) March 2004 |
121 | shares | | |||||||||||||
3-Month Eurodollar March 2005 |
7 | shares | | |||||||||||||
3-Month Eurodollar June 2005 |
7 | shares | | |||||||||||||
3-Month Eurodollar December 2004 |
7 | shares | | |||||||||||||
Euro CD March 2004 |
5 | shares | | |||||||||||||
Euro CD (CME) June 2004 |
3 | shares | | |||||||||||||
Euro CD (CME) September 2004 |
7 | shares | | |||||||||||||
Synthetic Wrapper Value |
Synthetic guaranteed investment contract held with Monumental Life Insurance Company, CDC Financial Products, and State Street Bank and Trust Company | (3,695,162 | ) | |||||||||||||
Total Other Assets |
(3,695,162 | ) | ||||||||||||||
Total Assets Held For Investment |
$ | 541,805,801 | ||||||||||||||
* | This is a related party to the Plans Recordkeeper, a party-in-interest for which a statutory exemption exists. | |||
** | All investments are participant directed, therefore disclosure of cost is not required. |
See Report of Independent Registered Public Accounting Firm.
- 30 -
Index to Exhibits
23 | Consent of PricewaterhouseCoopers LLP. |