Harris Corporation Form 11-K
TABLE OF CONTENTS

INDEPENDENT AUDITOR’S REPORT
Financial Statements
Statements of Net Assets Available for Benefits
Statement of Changes in Net Assets Available for Benefits With Fund Information
Statement of Changes in Net Assets Available for Benefits With Fund Information
Notes to Financial Statements
Supplemental Schedules
SIGNATURES
Exhibit 23 Consent


Table of Contents

SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549


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 June 30, 2002

OR

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

For the transition period from _______ to _______

Commission file number 1-3863

      A. Full title of the plan and the address of the plan, if different from that of the issuer named below:

   
  Harris Corporation Retirement Plan

      B. Name of issuer of the securities held pursuant to the plan and the address of its principal executive office:

   
  Harris Corporation
1025 West NASA Blvd.
Melbourne, Florida 32919


Table of Contents

HARRIS CORPORATION
RETIREMENT PLAN

Financial Statements
and Supplementary Information

June 30, 2002 and 2001

 


Table of Contents

HARRIS CORPORATION RETIREMENT PLAN

Table of Contents

June 30, 2002 and 2001

           
      Page
     
Independent Auditor’s Report
    1  
 
Financial Statements:
       
 
 
Statements of Net Assets Available for Benefits
    2  
 
 
Statement of Changes in Net Assets Available for Benefits With Fund Information for 2002
    3-6  
 
 
Statement of Changes in Net Assets Available for Benefits With Fund Information for 2001
    7-10  
 
 
Notes to Financial Statements
    11-16  
 
Supplemental Schedules:
       
 
 
Assets Held for Investment
    17-50  
 
 
Assets Held for Investment Which Were Both Acquired and Disposed of Within the Plan Year
    51-55  
 
 
Transactions or Series of Transactions in Excess of Five Percent of the Current Value of Plan Assets
    56  

 


Table of Contents

INDEPENDENT AUDITOR’S REPORT

Investment Committee
Harris Corporation Retirement Plan
Melbourne, Florida

We have audited the accompanying statements of net assets available for benefits of the Harris Corporation Retirement Plan (the “Plan”) as of June 30, 2002 and 2001, and the related statements of changes in net assets available for benefits with fund information for the years then ended. These financial statements are the responsibility of the Plan’s management. Our responsibility is to express an opinion on these financial statements based on our audits.

We conducted our audits in accordance with auditing standards generally accepted in the United States of America. Those standards require that we plan and perform the audits to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements. An audit also includes assessing the accounting principles used and significant estimates made by management, as well as evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.

In our opinion, the financial statements referred to above present fairly, in all material respects, the net assets available for benefits of the Plan as of June 30, 2002 and 2001, and the changes in its net assets available for benefits with fund information for the years then ended, in conformity with accounting principles generally accepted in the United States of America.

Our audits were conducted for the purpose of forming an opinion on the basic financial statements taken as a whole. The supplemental schedules of assets held for investment as of June 30, 2002, assets held for investment which were both acquired and disposed of within the plan year, and transactions or series of transactions in excess of five percent of the current value of Plan assets for the year then ended, together referred to as “supplemental information”, are presented for the purpose of additional analysis and are not a required part of the financial statements, but are supplementary information required by the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. This supplemental information is the responsibility of the Plan’s management. The supplemental information has been subjected to the auditing procedures applied in the audit of the June 30, 2002 financial statements and, in our opinion, are fairly stated in all material respects in relation to the June 30, 2002 financial statements taken as a whole.

/s/ Bray, Beck & Koetter CPA, PA
Melbourne, Florida
December 16, 2002

1


Table of Contents

Financial Statements


Table of Contents

HARRIS CORPORATION RETIREMENT PLAN

Statements of Net Assets Available for Benefits

June 30, 2002 and 2001

                     
        2002   2001
       
 
ASSETS
               
 
Investments, at fair value (Note 4):
               
 
U.S. Government securities
  $     $ 84,827,459  
 
Corporate debt securities
          86,032,192  
 
Common stocks
    659,205,154       785,078,495  
 
Registered investment companies
    109,816,957       95,166,019  
 
Common/collective trust funds
    469,694,884       433,433,225  
 
Guaranteed Investment Contracts
    484,283,836       437,003,942  
 
Participant loans
    22,232,964       20,614,724  
 
   
     
 
   
Total investments
    1,745,233,795       1,942,156,056  
 
Receivables:
               
 
Contributions receivable:
               
   
Harris Corporation
    14,205,703       11,430,832  
   
Participants
    1,882,557       1,951,434  
 
Loan payments
    344,963       424,175  
 
Accrued interest and dividends
    885,764       2,072,650  
 
Securities sold
    3,488,306       10,755,121  
 
   
     
 
   
Total receivables
    20,807,293       26,634,212  
 
Cash and cash equivalents (Note 3)
    98,031,774       73,991,639  
 
   
     
 
   
Total assets
    1,864,072,862       2,042,781,907  
 
LIABILITIES
               
Due to participants
    5,226,762       5,253,730  
Accrued expenses
    3,425       102,378  
Securities purchased
    3,125,871       7,959,885  
Outstanding options
          1,204,544  
 
   
     
 
   
Total liabilities
    8,356,058       14,520,537  
 
   
     
 
Net assets available for benefits
  $ 1,855,716,804     $ 2,028,261,370  
 
   
     
 

See accompanying notes to financial statements.

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HARRIS CORPORATION RETIREMENT PLAN

Statement of Changes in Net Assets Available for Benefits With Fund Information

Year Ended June 30, 2002

                       
                  Money
          Balanced   Market
          Fund   Fund
         
 
Increases:
               
 
Interest
  $ 4,374,369     $ 1,563,476  
 
Dividends
    3,482,259        
 
Net appreciation (depreciation) in fair value of investments
    (38,619,574 )     (7,694 )
 
Contributions:
               
   
Participant rollover
    1,804,733       125,159  
   
Employer profit sharing
    3,299,610       419,209  
   
Employer matching
    6,027,463       (1,654,772 )
   
Employee
    11,367,110       1,121,596  
 
   
     
 
     
Total increases
    (8,264,030 )     1,566,974  
 
Transfers:
               
 
Net participants’ transfers between funds
    (38,307,356 )     2,851,870  
 
Decreases:
               
 
Benefits paid directly to participants
    42,639,948       8,355,258  
 
Administrative expenses
    1,492,210       156,658  
 
   
     
 
     
Total decreases
    44,132,158       8,511,916  
 
   
     
 
 
Net increase (decrease) in net assets available for benefits
    (90,703,544 )     (4,093,072 )
 
Net assets available for benefits:
               
 
Beginning of year
    645,589,908       59,164,434  
 
   
     
 
 
End of year
  $ 554,886,364     $ 55,071,362  
 
   
     
 

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Table of Contents

HARRIS CORPORATION RETIREMENT PLAN

Statement of Changes in Net Assets Available for Benefits With Fund Information — Continued

Year Ended June 30, 2002

                                                       
          Equity   Equity   Stable           Harris        
          Income   Index   Value   Growth   Corporation   International
          Fund   Fund   Fund   Fund   Stock Fund   Fund
         
 
 
 
 
 
Increases:
                                               
 
Interest
  $ 489,419     $ 279,296     $ 25,285,473     $ 448,336     $ 2,946     $ 17,864  
 
Dividends
    5,015,933                   1,883,122       246,088       190,068  
 
Net appreciation (depreciation) in fair value of investments
    (15,673,229 )     (49,278,093 )           (55,995,761 )     10,954,820       (9,554,020 )
 
Contributions:
                                               
   
Participant rollover
    284,683       333,762       319,764       417,275             36,093  
   
Employer profit sharing
    1,740,608       2,143,003       2,473,632       2,381,187             247,413  
   
Employer matching
    3,103,072       4,149,141       3,532,010       4,859,615       4,394,531       461,257  
   
Employee
    5,521,920       7,470,522       5,836,893       8,843,700       2,764,921       852,826  
 
 
   
     
     
     
     
     
 
     
Total increases
    482,406       (34,902,369 )     37,447,772       (37,162,526 )     18,363,306       (7,748,499 )
 
Transfers:
                                               
 
Net participants’ transfers between funds
    2,368,263       (15,731,864 )     51,308,721       (21,760,401 )     (1,867,747 )     1,484,622  
 
Decreases:
                                               
 
Benefits paid directly to participants
    14,911,856       12,996,243       40,244,567       11,405,372       1,579,117       651,698  
 
Administrative expenses
    1,445,054       130,707       636,151       964,346       1,595       19,109  
 
 
   
     
     
     
     
     
 
     
Total decreases
    16,356,910       13,126,950       40,880,718       12,369,718       1,580,712       670,807  
 
 
   
     
     
     
     
     
 
 
Net increase (decrease) in net assets available for benefits
    (13,506,241 )     (63,761,183 )     47,875,775       (71,292,645 )     14,914,847       (6,934,684 )
 
Net assets available for benefits:
                                               
 
Beginning of year
    243,285,721       279,708,111       464,505,820       246,275,683       31,975,141       22,216,201  
 
 
   
     
     
     
     
     
 
 
End of year
  $ 229,779,480     $ 215,946,928     $ 512,381,595     $ 174,983,038     $ 46,889,988     $ 15,281,517  
 
 
   
     
     
     
     
     
 

Continued.

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HARRIS CORPORATION RETIREMENT PLAN

Statement of Changes in Net Assets Available for Benefits With Fund Information — Continued

Year Ended June 30, 2002

                               
          Global   Extended   Russell 2001
          Technology   Market   Growth
          Fund   Index Fund   Index Fund
         
 
 
Increases:
                       
 
Interest
  $ 9,731     $ 6,325     $ 9,593  
 
Dividends
                 
 
Net appreciation (depreciation) in fair value of investments
    (3,305,331 )     (630,973 )     (2,177,995 )
 
Contributions:
                       
   
Participant rollover
    22,028       36,360       65,391  
   
Employer profit sharing
    93,943       89,827       143,932  
   
Employer matching
    180,858       145,471       249,436  
   
Employee
    363,522       288,595       509,198  
 
   
     
     
 
     
Total increases
    (2,635,249 )     (64,395 )     (1,200,445 )
 
Transfers:
                       
 
Net participants’ transfers between funds
    3,722,355       1,733,816       3,915,899  
 
Decreases:
                       
 
Benefits paid directly to participants
    166,118       122,099       346,760  
 
Administrative expenses
    1,288       2,313       5,063  
 
   
     
     
 
     
Total decreases
    167,406       124,412       351,823  
 
   
     
     
 
 
Net increase (decrease) in net assets available for benefits
    919,700       1,545,009       2,363,631  
 
Net assets available for benefits:
                       
 
Beginning of year
    4,289,316       2,463,404       5,532,559  
 
   
     
     
 
 
End of year
  $ 5,209,016     $ 4,008,413     $ 7,896,190  
 
   
     
     
 

See accompanying notes to financial statements.

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Table of Contents

HARRIS CORPORATION RETIREMENT PLAN

Statement of Changes in Net Assets Available for Benefits With Fund Information — Continued

Year Ended June 30, 2002

                               
          Passive                
          Bond Market                
          Index Fund   Loan Fund   Total
         
 
 
Increases:
                       
 
Interest
  $ 10,948     $     $ 32,497,776  
 
Dividends
                10,817,470  
 
Net appreciation (depreciation) in fair value of investments
    509,639             (163,778,211 )
 
Contributions:
                       
   
Participant rollover
    65,878             3,511,126  
   
Employer profit sharing
    200,387             13,232,751  
   
Employer matching
    140,044             25,588,126  
   
Employee
    282,810             45,223,613  
 
 
   
     
     
 
     
Total increases
    1,209,706             (32,907,349 )
 
Transfers:
                       
 
Net participants’ transfers between funds
    7,567,174       2,714,648        
 
Decreases:
                       
 
Benefits paid directly to participants
    261,409       1,096,408       134,776,853  
 
Administrative expenses
    5,871             4,860,365  
 
 
   
     
     
 
     
Total decreases
    267,280       1,096,408       139,637,218  
 
 
   
     
     
 
 
Net increase (decrease) in net assets available for benefits
    8,509,600       1,618,240       (172,544,567 )
 
Net assets available for benefits:
                       
 
Beginning of year
    2,640,348       20,614,724       2,028,261,370  
 
 
   
     
     
 
 
End of year
  $ 11,149,948     $ 22,232,964     $ 1,855,716,803  
 
 
   
     
     
 

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Table of Contents

HARRIS CORPORATION RETIREMENT PLAN

Statement of Changes in Net Assets Available for Benefits With Fund Information

Year Ended June 30, 2001

                               
                          Money
          Balanced   Short-Term   Market
          Fund   Bond Fund   Fund
         
 
 
Increases:
                       
 
Interest
  $ 8,905,641     $ 3,328,408     $ 2,979,833  
 
Dividends
    5,911,625              
 
Net appreciation (depreciation) in fair value of investments
    (49,897,474 )     2,461,628       (4,315 )
 
Contributions:
                       
   
Participant rollover
    952,215       73,187       105,503  
   
Employer profit sharing
    2,409,151             307,867  
   
Employer matching
    3,890,309       428,304       542,926  
   
Employee
    9,006,610       753,108       901,316  
 
   
     
     
 
     
Total increases
    (18,821,923 )     7,044,635       4,833,130  
 
Transfers:
                       
 
Net participants’ transfers between funds
    (50,662,594 )     (70,564,607 )     15,082,361  
 
Decreases:
                       
 
Benefits paid directly to participants
    66,604,378       5,171,626       9,566,559  
 
Administrative expenses
    2,642,367       103,666       173,292  
 
   
     
     
 
     
Total decreases
    69,246,745       5,275,292       9,739,851  
 
   
     
     
 
 
Net increase (decrease) in net assets available for benefits
    (138,731,262 )     (68,795,264 )     10,175,640  
 
Net assets available for benefits:
                       
 
Beginning of year
    784,321,170       68,795,264       48,988,794  
 
   
     
     
 
 
End of year
  $ 645,589,908     $     $ 59,164,434  
 
   
     
     
 

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HARRIS CORPORATION RETIREMENT PLAN

Statement of Changes in Net Assets Available for Benefits With Fund Information — Continued

Year Ended June 30, 2001

                                                       
          Equity   Equity   Stable           Harris        
          Income   Index   Value   Growth   Corporation   International
          Fund   Fund   Fund   Fund   Stock Fund   Fund
         
 
 
 
 
 
Increases:
                                               
 
Interest
  $ 594,340     $ 55,624     $ 22,123,448     $ 627,787     $ 6,065     $ 2,845  
 
Dividends
    4,616,936                   3,973,088       220,041       1,400,261  
 
Net appreciation (depreciation) in fair value of investments
    29,484,109       (57,638,969 )           (93,728,748 )     (5,857,447 )     (5,973,777 )
 
Contributions:
                                               
   
Participant rollover
    217,985       421,771       523,222       629,533             50,128  
   
Employer profit sharing
    1,384,205       1,896,294       1,639,404       2,134,629             198,553  
   
Employer matching
    2,031,115       3,668,882       2,042,152       3,794,120       3,794,157       412,560  
   
Employee
    4,507,203       7,844,127       3,554,621       9,249,065       2,523,732       954,639  
 
 
   
     
     
     
     
     
 
     
Total increases
    42,835,893       (43,752,271 )     29,882,847       (73,320,526 )     686,548       (2,954,791 )
 
Transfers:
                                               
 
Net participants’ transfers between funds
    45,897,111       (49,338,311 )     141,054,901       (42,087,720 )     (773,026 )     (4,120,406 )
 
Decreases:
                                               
 
Benefits paid directly to participants
    18,649,423       27,777,846       41,033,367       26,825,856       2,562,461       2,186,039  
 
Administrative expenses
    438,880       187,374       498,360       1,362,549       1,753       9,723  
 
 
   
     
     
     
     
     
 
     
Total decreases
    19,088,303       27,965,220       41,531,727       28,188,405       2,564,214       2,195,762  
 
 
   
     
     
     
     
     
 
Net increase (decrease) in net assets available for benefits
    69,644,701       (121,055,802 )     129,406,021       (143,596,651 )     (2,650,692 )     (9,270,959 )
 
Net assets available for benefits:
                                               
 
Beginning of year
    173,641,020       400,763,913       335,099,799       389,872,334       34,625,833       31,487,160  
 
 
   
     
     
     
     
     
 
 
End of year
  $ 243,285,721     $ 279,708,111     $ 464,505,820     $ 246,275,683     $ 31,975,141     $ 22,216,201  
 
 
   
     
     
     
     
     
 

Continued.

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HARRIS CORPORATION RETIREMENT PLAN

Statement of Changes in Net Assets Available for Benefits With Fund Information — Continued

Year Ended June 30, 2001

                               
          Global   Extended   Russell 2000
          Technology   Market   Growth
          Fund   Index Fund   Index Fund
         
 
 
Increases:
                       
 
Interest
  $ 1,733     $ 571     $ 660  
 
Dividends
                 
 
Net appreciation (depreciation) in fair value of investments
    (410,477 )     1,668       24,475  
 
Contributions:
                       
   
Participant rollover
    40,482       28,019       5,633  
   
Employer profit sharing
    44,951       33,390       58,768  
   
Employer matching
    19,933       12,877       21,417  
   
Employee
    41,148       26,342       46,537  
 
   
     
     
 
     
Total increases
    (262,230 )     102,867       157,490  
 
Transfers:
                       
 
Net participants’ transfers between funds
    4,556,452       2,507,491       5,401,478  
 
Decreases:
                       
 
Benefits paid directly to participants
    4,826       146,923       9,401  
 
Administrative expenses
    80       31       17,008  
 
   
     
     
 
     
Total decreases
    4,906       146,954       26,409  
 
   
     
     
 
 
Net increase (decrease) in net assets available for benefits
    4,289,316       2,463,404       5,532,559  
 
Net assets available for benefits:
                       
 
Beginning of year
                 
 
   
     
     
 
 
End of year
  $ 4,289,316     $ 2,463,404     $ 5,532,559  
 
   
     
     
 

See accompanying notes to financial statements.

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Table of Contents

HARRIS CORPORATION RETIREMENT PLAN

Statement of Changes in Net Assets Available for Benefits With Fund Information — Continued

Year Ended June 30, 2001

                                 
            Passive                
            Bond Market                
            Index Fund   Loan Fund   Total
           
 
 
 
Increases:
                       
   
Interest
  $ 287     $ 1,070,830     $ 39,698,072  
   
Dividends
                16,121,951  
   
Net appreciation (depreciation) in fair value of investments
    (2,114 )           (181,541,441 )
   
Contributions:
                       
     
Participant rollover
    1,850             3,049,528  
     
Employer profit sharing
    47,124             10,154,336  
     
Employer matching
    9,320             20,668,072  
     
Employee
    18,080             39,426,528  
   
 
   
     
     
 
       
Total increases
    74,547       1,070,830       (52,422,954 )
 
Transfers:
                       
   
Net participants’ transfers between funds
    2,566,299       480,571        
 
Decreases:
                       
   
Benefits paid directly to participants
    440       3,069,809       203,608,954  
   
Administrative expenses
    58             5,435,141  
   
 
   
     
     
 
       
Total decreases
    498       3,069,809       209,044,095  
   
 
   
     
     
 
 
Net increase (decrease) in net assets available for benefits
    2,640,348       (1,518,408 )     (261,467,049 )
 
Net assets available for benefits:
                       
   
Beginning of year
          22,133,132       2,289,728,419  
   
 
   
     
     
 
   
End of year
  $ 2,640,348     $ 20,614,724     $ 2,028,261,370  
   
 
   
     
     
 

See accompanying notes to financial statements.

11


Table of Contents

HARRIS CORPORATION RETIREMENT PLAN

Notes to Financial Statements

June 30, 2002 and 2001

1.   Description of the Plan
 
    The following description of the Harris Corporation Retirement Plan (“Plan”) provides only general information. Participants should refer to the Plan document for a more complete description of the Plan’s provisions.
 
    General
 
    The Harris Corporation Retirement Plan is a defined contribution plan covering substantially all domestic employees of Harris Corporation who are not covered by a collective bargaining agreement. It is subject to the provisions of the Employee Retirement Income Security Act of 1974 (ERISA).
 
    Contributions
 
    The Harris Corporation Retirement Plan features a Profit-Sharing Program and a Deferred Income Savings Program. The Corporation’s annual contribution to the Profit-Sharing Program is equal to 11.5% of the Corporation’s adjusted and consolidated net income as defined under the plan document, plus any discretionary amount determined by the Board of Directors of the Corporation. The Profit-Sharing contribution is allocated, in the subsequent Plan year, among participating employees’ individual account balances based on eligible compensation. The Deferred Income Savings Program was designed to take advantage of Internal Revenue Code Section 401(k). Under the Deferred Income Savings Program, participants may contribute up to 12% of their regular eligible compensation to the Plan in 1% increments. Effective May 1, 2002, participants may contribute up to 20% of their regular eligible compensation to the Plan. The contributions can be in pre-tax or after-tax dollars at the participant’s election. The employer contributes a matching amount equal to 100% of the participant’s contributions, to a maximum of 6.857% of eligible compensation. Participants are eligible to make elective contributions on a pre-tax or after-tax basis during the first year of service. Participants become eligible to receive allocations under the Profit-Sharing Program and matching contributions under the Deferred Income Savings Program after completing one year of credited service.
 
    Payments of Benefits
 
    Distributions from the Plans can be made in the event of death, disability, termination of employment or financial hardship.
 
    Participant Loans
 
    The loan program permits employees to borrow against their 401(k) plan contributions. Employees may borrow in increments of $100 from a minimum of $500 to a maximum of $50,000, within certain limitations established by the Plan. Payback periods range from one to 4 1/2 years at the option of the participant. Interest rates are established by the Corporation based on market rates. The outstanding loans have been established as a separate fund. Principal and interest paid on the loans are allocated to the funds consistent with the allocation of 401(k) plan contributions. In 2002, interest is in the individual funds, as opposed to the loan fund.

12


Table of Contents

HARRIS CORPORATION RETIREMENT PLAN

Notes to Financial Statements

June 30, 2002 and 2001

1.   Description of the Plan, continued
 
    Vesting
 
    A participant’s right to profit-sharing funds and employer matched deferred income contributions becomes vested using a formula based upon service, with 20% vesting after two years of credited service, and an additional 20% vesting for each of the four following years of credited service. At the time of retirement, death, or termination of employment, a participant’s vested share of the Plans assets, net of any participant loans outstanding, becomes distributable in a lump-sum payment or through installments over a period of time as requested by the participant and approved by the Retirement Plan Administrative Committee.
 
    Forfeitures
 
    A participant who terminates employment for reasons other than retirement or other specified circumstances and is not 100% vested, will forfeit the non-vested portion of the Corporation’s contributions unless the participant returns to employment within five years. The forfeited contributions reduce the cash contributions from the Corporation. For the year ended June 30, 2002, employer contributions were reduced by $3,871,109 from forfeited nonvested accounts. Forfeited amounts included in Plan assets at June 30, 2002 which are available to reduce company contributions totaled $940,501. In 2002, the forfeitures used reduced contributions in the Money Market Fund. In 2001, forfeitures used were charged against the funds where the amount was originally forfeited from.
 
    Plan Termination
 
    Although it has not expressed any intent to do so, Harris Corporation has the right under the Plan to discontinue its contributions at any time and to terminate the Plan subject to the provisions of ERISA. In the event of Plan termination participants will become 100 percent vested in their accounts.
 
    Investment Options
 
    Upon enrollment into the Plan, a participant may direct employer, employee, and profit sharing contributions in any of twelve investment options, except that profit sharing contributions may not be invested in the Harris Stock Fund. The investment options are fully described in the “Employer Summary Plan Description”. Elections to change funds can be made daily; however, amounts in the Stable Value Fund, which is comprised of unallocated insurance contracts, cannot be transferred directly to the Money Market Fund.

13


Table of Contents

HARRIS CORPORATION RETIREMENT PLAN

Notes to Financial Statements

June 30, 2002 and 2001

2.   Summary of Significant Accounting Policies
 
    Basis of Accounting
 
    The accounting records of the Plan are maintained on the accrual basis.
 
    Use of Estimates
 
    The preparation of financial statements in conformity with generally accepted accounting principles requires the plan administrator to make estimates and assumptions that affect certain reported amounts and disclosures. Accordingly, actual results may differ from those estimates.
 
    Investment Valuation and Income Recognition
 
    The Plan’s investments are stated at fair value. Quoted market prices are used when available, to value investments. Investments for which a quoted market value is not available are stated at fair values reported by the trustee or investee company. Guaranteed investment contracts held in the Plan’s Stable Value Fund are fully benefit-responsive. In accordance with Statement of Position No. 94-4 “Reporting of Investment Contracts Held by Health and Welfare Benefit Plans and Defined-Contribution Pensions Plans", these contracts are recorded at contact value, which approximates fair value. The average effective yield for the years ended June 30, 2002 and 2001 was 5.07% and 5.58%, respectively. Crediting interest rates range from 4.0% — 7.53% at June 30, 2002 and 5.03% — 7.53% at June 30, 2001. Participant loans are stated at cost.
 
    Purchases and sales of securities are recorded on a trade-date basis. Interest income is recorded on the accrual basis. Dividends are recorded on the ex-dividend date. The net appreciation (depreciation) in fair value of investments represents the sum of the unrealized appreciation or depreciation in aggregate fair value of investments and the realized gain or loss on sale of investments.
 
    Administrative Expenses
 
    Unless otherwise elected by Harris Corporation, all ordinary and extraordinary charges and expenses incurred by the Trustee in connection with the administration of the Plan are paid by the Trustee from the assets of the Trust.
 
    Payment of Benefits
 
    Benefits are recorded when paid.

14


Table of Contents

HARRIS CORPORATION RETIREMENT PLAN

Notes to Financial Statements

June 30, 2002 and 2001

3.   Transactions with Parties-in-Interest
 
    Under Department of Labor regulations for reporting and disclosure, an employee benefit plan is required to report investment transactions and compensation paid to a “party-in-interest”.
 
    The term “party-in-interest” is broadly defined but would include Harris Corporation as the Plan Sponsor; Bankers Trust Company as Trustee; and any person or corporation that renders services to the Plan.
 
    Investments of the Plan at June 30, 2002 and 2001 include the following:
                                   
      2002   2001
     
 
      Shares   Fair Value   Shares   Fair Value
     
 
 
 
  Pyramid Broad Market Fixed Income Fund     80,116,477     $ 219,795,549       44,333,798     $ 111,727,378  
  Pyramid Equity Index Fund     101,518       249,899,335       107,258       321,705,847  
  Harris Corporation common stock     1,285,222       46,576,445       1,161,340       31,600,062  

    Cash and cash equivalents of the Plan at June 30, 2002 and 2001 include (but is not limited to) the following:
                                   
      2002   2001
     
 
      Shares   Fair Value   Shares Fair Value
     
 
 

 
Pyramid Directed Account Cash Fund
    33,935,724     $ 33,935,724       66,482,668     $ 66,482,668  

    Pyramid Funds are managed by Bankers Trust Company, the Plan’s Trustee.

15


Table of Contents

HARRIS CORPORATION RETIREMENT PLAN

Notes to Financial Statements

June 30, 2002 and 2001

4.   Investments
 
    Investment income of the Plan during the years ended June 30, 2002 and June 30, 2001 is as follows:
                   
      2002   2001
     
 
Net appreciation (depreciation) in fair value as determined by quoted market prices:
               
 
          U.S. government securities
  $ 4,788,060     $ 4,749,441  
 
          Corporate debt securities
    576,952       2,275,907  
 
          Foreign debt securities
    (14,608 )     205,295  
 
          Corporate equity securities
    (110,043,242 )     (113,526,034 )
 
          Registered investment companies
    (5,275,100 )     (386,449 )
 
          Morgan Stanley International Magnum Fund
    (7,843,023 )     (19,639,081 )
 
          Putnam New Opportunities Fund
    (2,173,184 )     (9,641,371 )
 
 
   
     
 
 
    (119,984,145 )     (135,962,292 )
Net appreciation (depreciation) in fair value as determined by investee company:
               
 
          Pyramid Broad Market Fixed Income Fund
    13,470,302       19,308,875  
 
          Pyramid Equity Index Fund
    (57,264,368 )     (64,888,024 )
 
 
   
     
 
 
    (43,794,066 )     (45,579,149 )
Interest and dividends
    43,315,246       55,820,023  
 
 
   
     
 
Totals
  $ (120,462,965 )   $ (125,721,418 )
 
 
   
     
 

The fair value of individual investments that represent 5% or more of plan net assets at June 30, 2002 are as follows:

         
Pyramid Equity Index Fund
  $ 249,899,335  
 
   
 
Pyramid Broad Market Fixed Income Fund
  $ 219,795,549  
 
   
 

16


Table of Contents

HARRIS CORPORATION RETIREMENT PLAN

Notes to Financial Statements

June 30, 2002 and 2001

5.   Tax Status
 
    The plan obtained its latest determination letter on August 18, 1998, in which the Internal Revenue Service stated that the plan, as then designed, was in compliance with the applicable requirements of the Internal Revenue Code. The plan has been amended since receiving the determination letter. The Plan administrator believes that the Plan currently is designed and being operated in compliance with the applicable requirements of the Internal Revenue Code and that, therefore, the Plan continues to qualify under Section 401(a) and the related trust is tax-exempt as of June 30, 2002. Therefore, no provision for income taxes has been included in the Plan’s financial statements.

17


Table of Contents

Supplemental Schedules


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 1
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION
RETIREMENT PLAN
COMBINED REPORT
   
                         
MARKET
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY DESCRIPTION OF INTEREST COST VALUE




COOPER INDUSTRIES LTD
COM USD5 CLASS ‘A’
(FORMERLY COOPER INDUSTRIES INC)
    73,500.000       2,687,593.08       2,888,550.00  
 
FRESH DELMONTE PRODUCE
COM STK
    13,500.000       326,803.00       337,500.00  
 
INGERSOLL RAND CO
CL ‘A’ COM STK USD2
    95,900.000       4,554,537.02       4,378,794.00  
 
IPC HLDGS LTD
ORD
    7,400.000       249,937.22       225,996.00  
 
NABORS INDUSTRIES LTD
COM STK
(FORMERLY NABORS INDUSTRIES INC)
    10,900.000       347,556.56       384,770.00  
 
O2MICRO INTERNATIONAL LIMITED
COMMON STOCK
    35,800.000       582,830.56       370,530.00  
 
TRANSOCEAN INC
COM USD0.01
(FORMERLY TRANSOCEAN SEDCO FOREX INC)
    16,600.000       746,836.65       517,090.00  
 
WEATHERFORD INTL LTD
COM USD1
(FORMERLY WEATHERFORD INTERNATIONAL INC)
    11,500.000       572,530.40       496,800.00  
 
TARO PHARMACEUTICAL INDS LTD
ORD
    16,850.000       518,287.08       413,162.00  
 
VERISITY LTD
ORD
    21,775.000       364,649.60       377,578.50  
 
FOREIGN CURRENCIES     0.190       0.19       0.19  
 
PYRAMID DISCRETIONARY
ACCOUNT CASH FUND
    0.000       0.00       0.00  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 2
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION
   
                         
IDENTITY OF ISSUE, BORROWER, OR SIMILAR MARKET
PARTY DESCRIPTION OF INTEREST COST VALUE




PYRAMID DIRECTED ACCOUNT CASH FUND     38,162,140.750       38,162,140.75       38,162,140.75  
 
RESERVE INVESTMT FUND INC
05/20/2000
    4,621,971.340       4,621,971,34       4,621,971,34  
 
HARRIS RETIREMENT PLAN LOAN     22,232,964.11       -0-       22,232,964.11  
 
AFLAC CORP     21,700.000       566,173.14       694,400.00  
 
AOL TIME WARNER
COMMON STOCK
    374,900.000       10,366,054.51       5,514,779.00  
 
AT&T CORP
COM
    292,024.000       4,875,572.70       3,124,656.80  
 
AT&T WIRELESS SVCS INC
COMMON STOCK
    66,700.000       579,295.55       390,195.00  
 
ABBOTT LABORATORIES
COM NPV
    66,200.000       2,723,759.53       2,492,430.00  
 
ACCRBDO HEALTH INC
COM
    8,025.000       352,932.08       370,273.50  
 
ADOBE SYSTEMS COM NPV     5,600.000       248,225.92       159,600.00  
 
ADVENT SOFTWARE INC
COM
    9,425.000       220,233.50       242,222.50  
 
AGERE SYSTEMS INC
CL ‘A’ COM STK USD0.01
    147,932.000       892,826.68       207,104.80  
 
AGERE SYSTEMS INC
CL ‘B’ COMMON STOCK USD.0.01
    44,975.000       398,945.77       67,462.50  
 
AGILENT TECHNOLOGIES INC
COMMON STOCK USD0.01
    26,100.000       1,150,672.55       617,265.00  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 3
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION    
                         
IDENTITY OF ISSUE, BORROWER, OR SIMILAR MARKET
PARTY DESCRIPTION OF INTEREST COST VALUE




AIR PRODS & CHEMS INC COM     81,650.000       3,822,598.85       4,120,875.50  
 
AIRBORNE INC
COMMON STOCK US$1
(FORMERLY AIRBORNE FREIGHT CORP)
    15,500.000       356,607.00       297,600.00  
 
ALBERTSONS INC COM     9,000.000       303,567.44       274,140.00  
 
ALCOA INC
COM
    8,900.000       345,764.11       295,035.00  
 
SSGA US EXTENDED MARKET INDEX FUND     428,783.425       4,243,106.33       3,894,211.07  
 
SSGA RUSSELL 2000 GROWTH INDEX FUND     969,067.270       8,925,694.34       7,712,806.40  
 
STI CLASSIC INSTITUTIONAL CASH MGMT MONEY MARKET FUND     59,862,403.540       59,862,403.54       59,862,403.54  
 
ALIGN TECHNOLOGY INC
COMMON STOCK
    29,475.000       145,097.21       115,542.00  
 
ALLERGAN INC COM
USD0.01
    16,400.000       1,333,003.91       1,094,700.00  
 
ALLIANCE GAMING CORP
COM
    7,200.000       104,059.00       89,856.00  
 
ALLSTATE CORP
COM STK USD0.01
    20,900.000       814,658.80       772,882.00  
 
ALLTEL COM
USD1
    47,200.000       1,871,869.02       2,218,400.00  
 
ALTERA
COM NPV
    128,440.000       1,637,963.73       1,746,784.00  
 
AMERADA HESS CORP COM     39,900.000       2,360,202.10       3,291,750.00  
 
AMERICAN EXPRESS CO
COM
    108,400.000       3,654,678.64       3,937,088.00  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 4
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION    
                         
IDENTITY OF ISSUE, BORROWER, OR SIMILAR MARKET
PARTY DESCRIPTION OF INTEREST COST VALUE




AMERICAN INTL GROUP INC COM     164,396.000       8,006,347.00       11,216,739.00  
 
AMERICAN MED SYS HLDGS INC COM     9,200.000       220,410.71       184,552.00  
 
AMERICAN TOWER SYS CORP CL A COM     12,500.000       97,477.48       43,125.00  
 
AMERIPATH INC COM     17,700.000       519,318.00       397,012.00  
 
AMERUS GROUP CO COMMON STOCK     5,900.000       213,595.98       218,890.00  
 
AMERIGROUP CORP COM STK NPV     11,250.000       270,432.88       306,900.00  
 
AMGEN CORP COM NPV     22,400.000       1,141,063.03       938,112.00  
 
AMSURG CORP COM STK     15,575.000       462,760.75       408,999.50  
 
ANALOG DEVICES INCORPORATION COM STK USDO.16 2/3     25,200.000       1,550,828.19       748,440.00  
 
ANHEUSER BUSCH COS INC COM     5,700.000       208,734.30       285,000.00  
 
AON CORP COM     38,100.000       1,207,620.85       1,123,188.00  
 
APPLIED MICRO CIRCUITS CORP CDT-COM     65,520.000       2,345,191.39       309,909.60  
 
APPLIED MATLS INC COM     48,300.000       1,149,111.00       918,666.00  
 
ARMSTRONG HLDGS INC COM     17,500.000       1,074,785.54       31,325.00  
 
ARTHROCARE CORP COM STK     2,325.000       41,508.46       29,899.50  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 5
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION    
                         
MARKET
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY DESCRIPTION OF INTEREST COST VALUE




AUTOMATIC DATA PROCESSING INC
COM STK USD0.10
    99,090.000       3,520,992.83       4,315,369.50  
 
AVERY DENISON CORP
COM
    6,800.000       449,582.42       426,700.00  
 
AVON PRODS INC COM     24,500.000       1,054,086.60       1,279,880.00  
 
B J SERVICES     9,900.000       336,352.84       335,412.00  
 
BP PLC
ADR COM
    84,756.000       3,152,339.72       4,279,330.44  
 
BAKER HUGHES
COM
US
    54,800.000       1,689,959.11       1,824,292.00  
 
BANK OF AMERICA CORP
COM STK USD0.01
(FRMLY BANKAMERICA CORP)
    33,400.000       1,811,049.11       2,350,024.00  
 
BANC ONE CORP COM NPV     122,200.000       4,561,176.25       4,702,256.00  
 
BAXTER INTL INC
COM
    21,500.000       1,171,068.09       955,675.00  
 
BEA SYS INC
COM
    24,800.000       687,121.25       235,848.00  
 
BECTON DICKINSON & CO COM
    41,200.000       1,196,133.86       1,419,340.000  
 
BED BATH AND BEYOND
COM STK USD0.01
    9,400.000       317,151.22       354,756.00  
 
BELLSOUTH CORP COM     75,900.000       2,653,264.23       2,390,850.00  
 
BEST BUY INC COM     20,700.000       758,952.95       751,410.00  
 
BIOGEN INC COM NA     6,800.000       326,219.27       281,724.00  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 6
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION    
                         
MARKET
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY DESCRIPTION OF INTEREST COST VALUE




BLACK & DECKER CORP COM USD0 .50     21,700.000       673,635.78       1,045,940.00  
 
BOB EVANS FARMS INC COM     3,100.000       79,366.50       97,588.00  
 
BOEING CO COM     105,430.000       4,625,514.37       4,744,350.00  
 
BOSTON SCIENTIFIC CORP
COM
    12,700.000       325,140.63       372,364.00  
 
BOWNE & CO INC COM     31,700.000       503,457.34       467,258.00  
 
BRINKER INTERNATIONAL
COM STK US$0.10
    19,000.000       526,327.29       603,250.00  
 
BRISTOL MYERS SQUIBB CO
COM
    212,690.000       9,682,188.64       5,466,133.00  
 
BROCADE COMMUNICATIONS SYS INC
COMMON STOCK
    13,900.000       577,355.18       242,972.00  
 
BROWN FORMAN GROUP
CL B
    30,400.000       1,561,670.40       2,097,600.00  
 
CDW COMPUTERS CENTRE INC
COM STK USD0.01
    6,500.000       238,461.32       304,265.00  
 
CEC ENTMT INC
COM STK
    7,350.000       341,048.56       303,555.00  
 
C H ROBINSON WORLDWIDE INC
COM
    4,550.000       133,679.92       152,561.50  
 
CVS CORP
COM
    12,900.000       700,909.74       394,740.00  
 
CABOT MICROELECTRONICS
COMMON STOCK
    19,475.000       1,127,019.22       840,541.00  
 
CADENCE DESIGN SYSTEMS INC
COM STK USD0.01
    6,926.000       121,986.41       111,647.12  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 7
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION    
                         
MARKET
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY DESCRIPTION OF INTEREST COST VALUE




CAMPBELL SOUP CO COM     56,900.000       2,191,403.67       1,573,854.00  
 
CARDINAL HEALTH INC
COM STK NPV
    15,500.000       660,890.42       951,855.00  
 
CENDANT CORPORATION
COMMON STOCK
(RERBF TO 2214638)
    28,100.000       534,218.49       446,228.00  
 
CHARLES RIV ASSOCS INC     13,125.000       261,712.50       263,025.00  
 
CHEVRONTEXACO CORP
COM STK
    142,270.000       10,640,471.46       12,590,895.00  
 
CHICO’S FAS INC
COMMON STOCK USD0.01
    9,076.000       243,347.69       329,640.32  
 
CHRISTOPHER & BANKS CORP
COMMON STOCK USD0.01
(FORMERLY BRUANS FASHIONS)
    6,400.000       204,443.53       270,720.00  
 
CHUBB CORP COM     35,900.000       2,267,867.44       2,541,720.00  
 
CINERGY CORP
COM
    37,290.000       1,183,512.23       1,342,067.10  
 
CISCO SYSTEMS
COMMON STOCK NPV
    454,490.000       8,762,611.85       6,340,135.50  
 
CINTAS CORP COM     11,500.000       523,765.22       568,445.00  
 
CITIGROUP INC
COM
    256,917.000       8,453,874.67       9,955,533.75  
 
CLEAR CHANNEL COMMUNICATIONS INC
COM
    19,600.000       1,118,733.92       627,592.00  
 
CLOROX CO COM     37,000.000       1,166,407.13       1,529,950.00  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 8
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION
   
                         
MARKET
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY DESCRIPTION OF INTEREST COST VALUE




COCA COLA CO COM     78,500.000       4,468,273.68       4,396,000.00  
 
COGNIZANT TECHNOLOGY SOLUTIONS CORP
COM STK USD0.01
    5,200.000       229,600.06       279,500.00  
 
COLGATE PALMOLIVE CO COM     10,800.000       554,356.01       540,540.00  
 
COLONIAL BANCGROUP
INC COM
    12,400.000       161,007.99       186,000.00  
 
COMCAST CORP
CL A SPL
    29,400.000       942,794.48       700,896.00  
 
 
COMMERCIAL METALS CO COM     18,000.000       412,913.26       422,460.00  
 
COMPUTER SCIENCES COM $US1     20,600.000       1,303,903.29       984,680.00  
 
COMPUWARE CORP
COM STK USD0.01
    23,900.000       325,546.14       145,073.00  
 
CONCORD EFS
COM STK USD0.33 1/3
    19,600.000       509,126.29       590,744.00  
 
CONSTELLATION ENERGY GROUP
NPV
FRMLY (BALTIMORE GAS & ELECTRIC COM)
    85,900.000       2,294,325.86       2,520,306.00  
 
COOPER COS INC
COM STK USD0.10
    4,000.000       199,517.00       188,400.00  
 
COOPER INDS INC COM     0.000       0.00       0.00  
 
COPART INC
COM STK NPV
    22,000.000       485,441.28       357,060.00  
 
CORNING INC
COM
    63,000.000       875,389.80       223,650.00  
 
CORRECTION CORP OF AMERICA
COMMON STOCK
FRMLY (CCA PRISON REALTY CORP)
    9,200.000       145,662.10       159,160.00  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 9
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION    
                         
IDENTITY OF ISSUE, BORROWER, OR SIMILAR MARKET
PARTY DESCRIPTION OF INTEREST COST VALUE




COX COMMUNICATIONS INC
CLASS ‘A’ COM STK USD0.01
    15,200.000       531,833.69       418,760.00  
 
CREE INC
COMMON STOCK USD0.005
(FORMERLY CREE RESEARCH INC)
    17,975.000       431,697.60       237,809.25  
 
CROWN CORK & SEAL
COM STK USD5
    36,800.000       320,678.00       252,080.00  
 
CTI MOLECULAR IMAGING INC
COM
    2,500.000       42,500.00       57,350.00  
 
CURTISS-WRIGHT CORP
COM STK USD1
    2,300.000       112,701.46       184,000.00  
 
CYMER INC
COM STK USD0.001
    1,100.000       56,208.90       38,544.00  
 
DANAHER CORP COM     13,100.000       727,523.89       869,185.00  
 
DEAN FOODS INC
COM STK USD0.01
(FORMERLY SUIZA FOODS CORP)
    9,800.000       334,833.36       365,540.00  
 
DEERE & CO COM $US1     105,300.000       4,288,855.75       5,043,870.00  
 
DELL COMPUTER COM USD1     205,180.000       6,664,155.70       5,363,405.20  
 
DELPHI FINANCIAL GROUP INC
CLASS ‘A’ COM STK USD0.01
    2,600.000       87,306.00       112,710.00  
 
DISNEY WALT CO
DISNEY COM
    169,117.000       4,482,161.75       3,196,311.30  
 
DODGE & COX STK FD
COM
    205,239.316       20,159,141.06       20,133,976.90  
 
DOLE FOOD CO COMMON STOCK
(FORMERLY CASTLE & COOK INC)
    4,900.000       162,431.00       141,365.00  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 10
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION    
                         
MARKET
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY DESCRIPTION OF INTEREST COST VALUE




DOLLAR THRIFTY AUTOMOTIVE
GROUP INC COM
    10,500.000       253,122.93       271,950.00  
 
DOLLAR TREE STORES INC
COM STK USD0.01
    7,925.000       240,976.28       312,324.25  
 
DONNELLEY R R & SONS CO COM     46,400.000       1,417,111.56       1,278,320.00  
 
DORAL FINL CORP
COM
    3,150.000       119,516.72       105,178.50  
 
DOW CHEM CO COM     55,800.000       1,612,834.43       1,918,404.00  
 
DOW JONES COM USD1     109,400.000       5,701,954.40       5,300,430.00  
 
DOWNEY FINL CORP
COM
    4,600.000       193,066.50       217,580.00  
 
DRESS BARN INC COM     7,600.000       98,721.72       117,572.00  
 
DU- PONT DE NEMOURS
COM USD0.60
    64,300.000       2,745,277.38       2,854,920.00  
 
DUKE ENERGY CORPORATION     59,900.000       1,851,366.06       1,862,890.00  
 
DUN & BRADSTREET CORP DEL NEW
COMMON STOCK
    31,700.000       521,406.69       1,047,685.00  
 
EMC CORP MASSACHUSETTS
COM STK USD0.01
    120,420.000       6,534,004.64       909,171.00  
 
ESS TECHNOLOGY     6,700.000       151,301.40       117,518.00  
 
EAST WEST BANCORP INC
COM
    2,700.000       70,348.30       93,204.00  
 
EASTMAN KODAK CO COM     69,400.000       3,352,614.41       2,024,398.00  
 
EATON CORP COM     15,400.000       992,389.73       1,120,350.00  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 11
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION    
                         
MARKET
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY DESCRIPTION OF INTEREST COST VALUE




ECHOSTAR COMMUNICATIONS CORP
CLASS ‘A’ COM STK USD0.01
    12,800.000       727,283.21       237,568.00  
 
EL PASO CORPORATION
COMMON STOCK USD3
(FORMERLY EL PASO ENERGY CORP)
    59,100.000       1,299,260.52       1,218,051.00  
 
ELECTRONIC DATA SYS CORP NEW
COMMON STOCK
    6,300.000       346,872.41       234,045.00  
 
EMBARCADERO TECHNOLOGIES INC
COM
    13,900.000       222,166.41       85,902.00  
 
EMCOR GROUP
COM STK USD0.10
    3,000.000       148,864.87       176,100.00  
 
EMERSON ELEC CO COM     10,800.000       601,300.74       577,908.00  
 
ESCO TECHNOLOGIES INC
COMMON STOCK
    2,900.000       100,037.32       101,500.00  
 
EXELON CORP
COMMON STOCK
    30,525.000       1,127,825.54       1,596,457.50  
 
EXPEDITORS INTERN OF WASHINGTON INC
COM STK US$0.01
    6,600.000       189,418.16       218,856.00  
 
EXPRESS SCRIPTS INC
CLASS ‘A’ COMMON STOCK USD0.01
    11,300.000       542,928.18       566,243.00  
 
EXXON MOBIL CORP
COMMON STOCK
    348,664.000       10,530,145.86       14,267,330.88  
 
FTI CONSOLTING INC
COM
    9,900.000       216,867.40       346,599.00  
 
FACTSET RESR SYS INC
COM
    10,825.000       369,663.24       322,260.25  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 12
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION    
                         
MARKET
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY DESCRIPTION OF INTEREST COST VALUE




FAMILY DOLLAR STORES, INC
COM STK USD0.10
    18,170.000       472,306.62       640,492.50  
 
FREDIE MAC
COM
    122,670.000       5,408,837.12       7,507,404.00  
 
FEDERAL NATIONAL MORTGAGE ASSOC
COM NRV
    131,030.000       6,955,568.61       9,663,462.50  
 
FIDELITY NATL FINL INC COM     16,350.000       366,557.00       516,660.00  
 
FIFTH THIRD BANCORP
COM STK NPV
    16,100.000       995,136.97       1,073,065.00  
 
FINANCIAL FED CORP
COM
    5,000.000       156,780.05       165,500.00  
 
FIRST DATA CORP
COM
    46,000.000       1,669,604.62       1,711,200.00  
 
FLAGSTAR BANCORP INC
COM
    11,050.000       172,041.34       255,255.00  
 
FIRST ENERGY CORP
COMMON STOCK
    37,035.000       796,878.66       1,236,228.30  
 
FIVE STAR QUALITY CARE INC
COM USD0.01
    119.000       862.85       665.21  
 
FLEET BOSTON FIN CORP
COM STK USD.01
(FORMERLY FLEET BOSTON CORP)
    90,199.000       2,466,325.66       2,917,937.65  
 
FLEMING COS INC COM     15,900.000       326,596.02       288,585.00  
 
FLORIDA ROCK INDUSTRIES, INC
COM STK USD0.10
    7,000.000       260,208.16       250,670.00  
 
FLOWSERVE CORP
COM
    5,900.000       179,527.62       175,820.00  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 13
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION    
                         
IDENTITY OF ISSUE, BORROWER, OR SIMILAR MARKET
PARTY DESCRIPTION OF INTEREST COST VALUE




FOOTSTAR INC
COM
    5,800.000       180,473.60       141,926.00  
 
FORD MOTOR
COMMON STOCK
    73,600.000       1,707,394.00       1,177,600.00  
 
FORD CAPITAL TRUST
6.500% CNV PREFERRED STOCK
    12,500.000       625,000.00       703,125.00  
 
FOREST LABS INC COM     10,700.000       791,959.14       757,560.00  
 
FORTUNE BRANDS INC
COM
    49,700.000       1,390,652.63       2,783,200.00  
 
FORWARD AIR CORP
COM
    4,975.000       164,224.75       163,080.50  
 
GBC BANCORP CALIF
COM
    5,800.000       175,407.04       167,910.00  
 
GAP STORES INC COM     35,800.000       493,046.02       508,360.00  
 
GENERAL ELECTRIC CO (U.S.)     594,160.000       18,247,859.28       17,260,348.00  
 
GENERAL MILLS INC COM     36,200.000       1,270,929.28       1,595,696.00  
 
GENUINE PARTS CO COM     63,000.000       1,872,929.31       2,196,810.00  
 
GENZYME CORP
COM BIOSURGERY
    6.000       57.77       27.18  
 
GEORGIA GULF CORP
COM PAR $0.01
    9,800.000       244,847.18       259,112.00  
 
GETTY IMAGES INC
COM
    3,350.000       73,878.89       72,929.50  
 
GILLETTE CO COM     135,500.000       4,657,563.37       4,589,385.00  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 14
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION    
                         
MARKET
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY DESCRIPTION OF INTEREST COST VALUE




GOLDEN WEST FINANCIAL COM USD0.10     6,900.000       426,904.66       474,582.00  
 
GOLDMAN SACHS GROUP INC
COMMON STOCK
    47,740.000       3,963,244.35       3,501,729.00  
 
GRACO INC COM     5,500.000       145,480.04       138,270.00  
 
GREAT LAKES CHEM COM USD1     58,400.000       2,477,730.58       1,547,016.00  
 
GREATER BAY BANCORP
COM STK NPV
    3,600.000       107,235.72       110,736.00  
 
GUIDANT CORP
COM
    2,900.000       104,469.16       87,667.00  
 
HRPT PPTYS TR
COM SH BEN INT
    34,100.000       300,650.79       301,785.00  
 
HARRIS CORP DEL COM     1,285,222.000       36,072,433.32       46,576,445.28  
 
HASBRO INC COM     109,400.000       1,647,941.40       1,483,464.00  
 
HEALTH MANAGEMENT ASSOC
CLASS ‘A’ USD0.01
    23,000.000       470,350.98       463,450.00  
 
HERCULES INC COM     87,200.000       3,082,140.08       1,011,520.00  
 
HERSHEY FOODS CORP COM     26,000.000       1,405,577.37       1,625,000.00  
 
HEWLETT PACKARD CO COM     147,804.000       4,063,157.35       2,258,445.12  
 
HIBBETT SPORTING GOODS INC
COM STK USD0.01
    5,100.000       108,743.56       129,540.00  
 
HIGHWOODS PPTYS INC
COM
    8,600.000       224,840.00       223,600.00  
 
HILTON HOTELS CORP
COM USD2.50
    122,200.000       1,734,180.90       1,698,580.00  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 15
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION
   
                         
MARKET
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY DESCRIPTION OF INTEREST COST VALUE




HOME DEPOT INC COM     174,790.000       6,292,253.60       6,420,036.70  
 
HONEYWELL INTERNATIONAL
COM STK USD1
FORMERLY ALLIEDSIGNAL INC
    219,310.000       7,188,938.92       7,726,291.30  
 
HOUSEHOLD INTL CORP COM     11,700.000       760,684.07       581,490.00  
 
HUBBELL HARVEY INC CL B     42,700.000       1,316,704.73       1,458,205.00  
 
HUMAN GENOME SCIENCES INC
COM
    11,000.000       654,736.86       147,400.00  
 
HURRICANE HYDROCARBONS LTD
CL A
    15,800.000       277,220.98       147,730.00  
 
ICU MEDICAL INC
COMMON STOCK USD0.01
    15,700.000       477,746.87       485,130.00  
 
IDACORP INC
COMMON STOCK NPV
    3,600.000       146,343.74       99,720.00  
 
IKON OFFICE SOLUTIONS INC
(FORMERLY ALCO STANDARD CORP)
    10,700.000       142,155.90       100,580.00  
 
ILEX ONCOLOGY INC
COMMON STOCK USD0.01
    13,875.000       347,532.62       195,498.75  
 
ILLINOIS TOOL WKS INC COM     8,600.000       515,697.33       587,380.00  
 
INDEPENDENT BANK CORP (MASS)
COM STK USD0.01
    6,700.000       152,546.15       153,363.00  
 
INNKEEPERS USA
COM STK USD0.01
    8,800.000       92,153.00       84,304.00  
 
INTEGRATED CIRCUIT SYSTEMS
COMMON STOCK
    23,100.000       480,710.15       466,389.00  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 16
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION    
                         
MARKET
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY DESCRIPTION OF INTEREST COST VALUE




INTEGRATED DEVICE TECHNOLOGY
COM NPV
    17,400.000       565,805.65       315,636.00  
 
INTEL CORP
COMMON STOCK USD0.001
    410,480.000       11,499,964.19       7,499,469.60  
 
INTERACTIVE DATA CORPORATION
COM STK
(FORMERLY DATA BROADCASTING INC)
    6,400.000       110,319.47       93,184.00  
 
INTERNATIONAL BUSINESS MACHS CORP COM     24,500.000       2,580,757.73       1,764,000.00  
 
INTERNATIONAL FLAVORS & FRAGRANCES INC COM     57,500.000       2,270,000.70       1,868,175.00  
 
INTERNATIONAL PAPER CO COM     80,896.000       2,898,034.60       3,525,447.68  
 
INTERNATIONAL RECTIFIER CORP
COMMON STOCK USD1
    8,900.000       433,943.36       259,435.00  
 
INTERNATIONAL SPECIALTY PRODUCTS     3,200.000       30,882.99       24,640.00  
 
INTERSIL CORP
CL A COMMON STOCK USD0.01
    11,200.000       359,676.48       239,456.00  
 
INVESTMENT TECHNOLOGY GROUP INC NEW COM     8,100.000       363,994.42       264,870.00  
 
JDS UNIPHASE CORP
COM
    22,100.000       154,911.61       59,007.00  
 
JP MORGAN CHASE & CO
COMMON STOCK
(FORMERLY CHASE MANHATTAN CORP)
    93,160.000       3,000,171.67       3,159,987.20  
 
JABIL CIRCUIT INC     150,390.000       3,773,792.43       3,174,732.90  
 
JOHNSON & JOHNSON
COMMON STOCK
    160,720.000       7,830,234.30       8,399,227.20  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 17
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION    
                         
MARKET
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY DESCRIPTION OF INTEREST COST VALUE




KLA-TENCOR CORPORATION
COM STK USD0.001
(FORMERLY KLA INSTRUMENTS)
    13,800.000       770,792.22       607,062.00  
 
KT CORP
SPONSORED ADR
    18,800.000       443,908.25       407,020.00  
 
KANEB PIPELINE PARTNERS
COM UNITS NPV
    1,900.000       73,095.09       71,592.00  
 
KELLOGG CO
COM
    29,200.000       952,482.99       1,047,112.00  
 
KIMBERLY CLARK CORP
COM
    32,000.000       1,805,620.42       1,984,000.00  
 
KING PHARMACEUTICALS INC
COM
    10,600.000       407,738.98       235,850.00  
 
KNIGHT RIDDER INC     43,500.000       2,001,912.16       2,738,325.00  
 
KNIGHT TRANSPORTATION INC
COM
    17,750.000       336,159.75       411,622.50  
 
KOHL’S CORP
COM
    13,300.000       814,250.42       932,064.00  
 
KRAFT FOODS INC
CLASS “A” COMMON STOCK NPV
    18,200.000       596,583.65       745,290.00  
 
LNR PPTY CORP
COM
    11,600.000       363,436.94       400,200.00  
 
LSI LOGIC CORP
COM STK USD0.01
    29,100.000       1,041,009.53       254,625.00  
 
LAM RESEARCH CORPORATION
COM. STK. NPV
    11,500.000       318,984.26       206,770.00  
 
LANDRYS SEAFOOD RESTAURANTS
COM
    6,100.000       117,230.40       155,611.00  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 18
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION
   
                         
MARKET
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY DESCRIPTION OF INTEREST COST VALUE




LANDSTAR SYS INC COM     1,100.000       80,641.00       117,535.00  
 
ESTEE LAUDER CO COM     14,500.000       626,386.41       510,400.00  
 
LEGGET & PLATT INC COM     18,100.000       389,430.84       423,540.00  
 
LILLY ELI & CO COM     11,659.000       824,517.17       657,567.60  
 
LINCARE HOLDINGS INC COM     11,150.000       320,485.11       360,145.00  
 
LINCOLN NATIONAL CORP COM USD1.25     20,900.000       662,900.08       877,800.00  
 
LINEAR TECHNOLOGY CORP COM     17,700.000       509,836.14       556,311.00  
 
LINENS & THINGS INC COM STK USD0.01     8,725.000       219,508.50       286,267.25  
 
LIZ CLAIBORNE COM USD1     15,700.000       412,170.89       499,260.00  
 
LOCKHEED MARTIN CORP COM     41,400.000       1,620,502.11       2,877,300.00  
 
LOWES COS INC COM     38,400.00       1,255,612.04       1,743,360.00  
 
LUCENT TECHNOLOGIES INC COM STK USD0.01     181,100.000       2,043,208.55       300,626.00  
 
LUCENT TECHNOLOGY 8.000% CONV PREFERRED STOCK     145.000       145,000.00       70,325.00  
 
LUCENT PFD CONV 8.00%     910.000       722,095.90       441,350.00  
 
MAF BANCORP INC COM     4,900.000       148,303.00       184,240.00  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 19
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION    
                         
MARKET
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY DESCRIPTION OF INTEREST COST VALUE




MBIA COM     10,650.000       414,521.15       602,044.50  
 
MBNA CORP
COM
    15,100.000       577,990.73       499,357.00  
 
MGIC INVT CORP
WIS COM
    46,260.000       1,735,454.97       3,136,428.00  
 
MTC TECHNOLOGIES INC
COM USD0.001
    0.000       1,700.00       0.00  
 
MACROVISION CORP
COM STK
    10,875.000       340,811.92       142,571.25  
 
MANHATTAN ASSOCS INC
COM
    6,600.000       197,329.45       212,256.00  
 
MARATHON OIL CORP
COM STK
(FORMERLY USX-MARATHON GROUP)
    41,500.000       1,043,813.19       1,125,480.00  
 
NASCO CORP COM     206,790.000       5,146,081.01       5,606,076.90  
 
MAXIM INTEGRATED PRODUCTS
COM STK NPV
    36,360.000       594,368.48       1,393,678.80  
 
MAY DEPT STORES CO COM     58,450.000       1,718,671.78       1,924,758.50  
 
MCCORMICK & CO, INC
COM NON.V NPV
    25,900.000       340,351.90       666,925.00  
 
MCDONALDS CORP COM     120,900.000       3,480,493.60       3,439,605.00  
 
MCGRAW HILL COMPANIES INC
COM
    15,900.000       876,382.97       949,230.00  
 
MCKESSON CORP
COM
    28,300.000       926,478.24       925,410.00  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 20
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION    
                         
IDENTITY OF ISSUE, BORROWER, OR SIMILAR MARKET
PARTY DESCRIPTION OF INTEREST COST VALUE




MEADWESTVACO CORPORATION
COM NPV
    23,300.000       550,831.16       781,948.00  
 
MEDIACOM COMMUNICATIONS CORP
CL A
    28,300.000       453,044.22       220,457.00  
 
MEDTRONIC INC COM     164,926.000       5,904,445.26       7,067,079.10  
 
MELLON FINL CORP
COM
    97,900.000       2,358,786.80       3,076,997.00  
 
MERCANTILE BANKSHARES CORP COM     35,500.000       940,718.24       1,456,565.00  
 
MERCK & CO INC COM     222,480.000       12,120,092.06       11,266,387.20  
 
HERITAGE CORP
COM
    3,600.000       101,878.47       164,340.00  
 
MERRILL LYNCH & CO INC COM     24,600.000       1,565,278.53       996,300.00  
 
METRIS COS INC
COM
    10,150.000       227,522.44       84,346.50  
 
MICREL INC
COM
    27,200.000       439,070.04       391,136.00  
 
MICROSOFT CORP
COMMON STOCK
    316,852.000       17,470,343.50       17,331,804.40  
 
MICRON TECHNOLOGY INC
COM STK USD0.10
    32,100.000       1,291,737.00       649,062.00  
 
MILLIPORE CORP COM     9,500.000       478,667.89       303,810.00  
 
MONOLITHIC SYSTEMS TECHNOLOGY INC
COM STK USD0.01
    11,625.000       139,544.83       127,991.25  
 
MOODYS CORP
COMMON STOCK
    28,100.000       687,066.56       1,397,975.00  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 21
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION    
                         
MARKET
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY DESCRIPTION OF INTEREST COST VALUE




MOOG INC
CLASS ‘A’ (LTM.V) USD1
    6,700.000       151,222.64       287,296.00  
 
MORGAN STANLEY DEAN WITTER DISCOVER & CO
COM NEW
    83,310.000       6,107,719.16       3,588,994.80  
 
MOTOROLA INC M
COM USD3.00
    164,478.000       3,650,033.70       2,399,734.02  
 
MUELLER INDS INC     3,500.000       117,127.00       111,125.00  
 
MYLAN LABORATORIES
COM USD0.50
    5,800.000       211,579.49       181,830.00  
 
MYRIAD GENETICS INC
COM STK USD0.01
    11,025.000       568,763.00       224,248.50  
 
NVR INC
COM STK USD0.01
    775.000       187,392.39       250,325.00  
 
NATIONAL CITY CORP
COM USD4
    41,800.000       862,410.75       1,389,850.00  
 
NATIONAL DENTEX CORP
COM
    4,300.000       112,203.09       103,802.00  
 
NATIONS FDS INC
INTL VAL INV A
    3,724,974.095       57,759,371.29       57,439,100.54  
 
NETWORKS ASSOCS INC COM     16,400.000       397,868.33       316,028.00  
 
NETWORKS APPLIANCE INC
COM
    18,500.000       274,858.28       230,140.00  
 
NEW PLAN EXCEL RLTY TR INC
COM
    13,700.000       262,957.09       285,371.00  
 
NEW YORK TIMES CO CL A     14,200.000       595,759.11       731,300.00  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 22
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION    
                         
MARKET
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY DESCRIPTION OF INTEREST COST VALUE




99 CENTS ONLY STORES
COM
    11,691.000       341,524.03       299,874.15  
 
NISOURCE INC
COM
    82,200.000       1,835,095.61       1,794,426.00  
 
NORFOLK SOUTHN CORP COM     88,100.000       2,448,264.74       2,059,778.00  
 
NORTHERN TRUST CORP
COM
    4,500.000       210,663.68       198,270.00  
 
NORTHROP COM NPV     5,200.000       609,132.31       650,000.00  
 
NYFIX INC
COMMON STOCK
    6,025.000       110,884.44       51,212.50  
 
ODYSSEY HEALTHCARE INC
COM USD0.001
    3,050.000       77,631.86       110,562.50  
 
OMNICOM GROUP COM USDO.5     3,700.000       206,007.65       169,460.00  
 
ORACLE CORP
COM
    279,040.000       7,866,004.90       2,642,508.80  
 
O’REILLY AUTOMOTIVE INC
COM STK USDO.01
    26,750.000       955,818.09       737,230.00  
 
ORTHODONTIC CTRS AMER INC
COM
    39,450.000       1,212,734.00       909,322.50  
 
OWENS ILLINOIS
COM USDO.001
(REREF FROM 2664909)
    16,700.000       280,879.68       229,458.00  
 
PDF SOLUTIONS INC
COMMON STOCK USDO.001
    12,850.000       178,307.10       93,933.50  
 
PLX TECHNOLOGY INC
COM
    17,300.000       247,377.26       73,525.00  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 23
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION    
                         
MARKET
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY DESCRIPTION OF INTEREST COST VALUE




PMI GROUP INC
COM STK NPV
    81,470.000       1,376,564.86       3,112,154.00  
 
PALL CORP COM USD0.25     90,500.000       2,005,781.20       1,877,875.00  
 
PAPA JOHNS INTERNATIONAL INC
COM STK NPV
    5,300.000       149,252.44       176,967.00  
 
PARKER HANNIFIN CORP COM NPV     15,100.000       654,939.69       722,629.00  
 
PATINA OIL & GAS CORP
COM
    7,875.000       179,101.00       216,011.25  
 
PAYCHEX INC COM     13,900.000       496,344.89       434,931.00  
 
PEC SOLUTIONS INC
COMMON STOCK USD0.01
    16,049.000       381,813.66       383,892.08  
 
PENNEY (JC) COM
USD0.05
    22,000.000       932,778.39       484,440.00  
 
PEOPLESOFT INC
COM
    20,700.000       511,020.02       308,016.00  
 
PEPSICO INC COM     147,390.000       6,801,609.75       7,104,198.00  
 
PERICOM SEMICONDUCTOR CORP
COM STK USD0.01
    9,300.000       124,527.00       107,787.00  
 
PFIZER INC COM     360,535.000       12,459,564.72       12,618,725.00  
 
PHARMACIA CORP
COMMON STOCK
    20,300.000       926,380.48       760,235.00  
 
PHILIP MORRIS COS INC COM     101,500.000       3,836,405.01       4,433,520.00  
 
PHILIPS PETROLEUM COM $US1.25     13,300.000       856,525.23       783,104.00  
 
PIMCO FDS MULTI MANAGER SER
RCM GLOBAL TECHNOLOGY FD
    246,196.043       5,955,996.41       5,091,334.17  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 24
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION    
                         
MARKET
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY DESCRIPTION OF INTEREST COST VALUE




PIONEER-STANDARD ELECTRONICS, INC
COM STK NPV
    21,700.000       301,668.85       225,463.00  
 
POLYCON INC
COM STK NPV
    39,475.000       1,079,622.81       473,305.25  
 
PRAXAIR INC.
COM STK USD0.01
    95,989.000       4,201,933.72       5,468,493.33  
 
PRIORITY HEALTHCARE CORP
CL B
    10,450.000       336,098.48       245,575.00  
 
PROCTER & GAMBLE CO COM     41,500.000       3,108,891.65       3,705,950.00  
 
PROTEIN DESIGN LABS
COM STK USD0.01
    11,300.000       481,219.09       122,718.00  
 
PRUDENTIAL FINANCIAL INC
COM USD0.01
    18,900.000       552,614.12       630,504.00  
 
PSI TECHNOLOGIES HLDGS INC
REPRESENTS 1 ORDINARY SHARE
AMERICAN DEPOSITARY RECEIPT
    7,925.000       58,997.45       43,587.50  
 
PULTE HOMES INC
COM
    4,600.000       239,307.40       264,408.00  
 
QUALCOMM INC
COM STK USD0.0001
    95,800.000       5,204,031.14       2,633,542.00  
 
QUEST DIAGNOSTICS INC
COM
    3,600.000       326,340.37       309,780.00  
 
QWEST COMMUNICATIONS INTL INC
COM
    396,600.000       4,027,621.94       1,110,480.00  
 
RADIAN GROUP INC
COM
    127,503.000       2,786,254.26       6,228,521.55  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 25
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION    
                         
MARKET
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY DESCRIPTION OF INTEREST COST VALUE




RAYTHEON CO NEW
COM STK USD0.01
    36,400.000       1,123,469.15       1,483,300.00  
 
READERS DIGEST ASSN INC
CLASS “A” NV COMMON
    62,600.000       1,223,416.87       1,172,498.00  
 
REHABCARE GROUP INC
COM
    12,450.000       345,501.04       299,173.50  
 
RELIANCE STL & ALUM CO
COM
    7,000.000       191,150.98       213,500.00  
 
RENT A CTR INC
COM
    11,375.000       390,625.31       659,863.75  
 
RESOURCES CONNECTION INC
COM
    9,850.000       247,783.08       265,851.50  
 
ROCKWELL AUTOMATION INC
NEW COM STK USD1
    60,900.000       901,719.77       1,216,782.00  
 
ROCKWELL COLLINS INC
COM STK USD0.01
    92,900.000       1,957,971.82       2,547,318.00  
 
ROUSE COM USD 0.01     19,400.000       497,420.59       640,200.00  
 
ROYAL DUTCH PETE CO
N Y REGISTRY SH PAR N CLDR 1.25
    46,300.000       2,085,178.90       2,559,001.00  
 
RUDDICK CORP COM     9,600.000       157,773.28       162,816.00  
 
SBC COMMUNICATIONS INC
COM
    169,252.000       6,620,246.71       5,162,186.00  
 
SPX CORP
COM STK USD10
    23,380.000       2,768,942.50       2,747,150.00  
 
SAFECO CORP     77,600.000       2,699,979.49       2,397,064.00  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 26
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION    
                         
MARKET
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY DESCRIPTION OF INTEREST COST VALUE




SAFEWAY STORES INC
COM USD0.01
    66,890.000       3,184,587.52       2,010,899.10  
 
ST. JUDE MEDICAL INC
COM STK USD0.10
    13,400.000       511,956.32       494,795.00  
 
ST PAUL COS INC COM     24,054.000       773,687.28       936,181.68  
 
SALIX PHARMACEUTICALS LTD COMMON STOCK     19,725.000       284,964.50       301,003.50  
 
SANMINA CORP
COM STK USD0.01
    193,820.000       5,287,292.05       1,223,004.20  
 
SCHERING PLOUGH CORP COM     168,400.000       5,718,762.69       4,142,640.00  
 
SCHLUMBERGER LTD COM     67,070.000       3,757,974.38       3,118,755.00  
 
SCHWAB CHARLES CORP NEW COM     26,050.000       650,024.79       291,760.00  
 
SEALED AIR CORP NEW COM     8,500.000       382,702.20       342,295.00  
 
SHOPKO STORES INC COM     8,500.000       183,409.00       171,700.00  
 
SIEBEL SYS INC COM     68,190.000       2,906,523.28       969,661.80  
 
SIMON PPTY GROUP INC NEW COM     60,468.000       1,477,487.37       2,227,641.12  
 
SMUCKER (J.M.) CO
COMMON STOCK
    426.000       13,289.13       14,539.38  
 
SONY CORP ADR NEW 50 YEN SH     12,200.000       942,327.42       647,820.00  
 
SOUTHWEST AIRLS CO COM
COMMON STOCK
    25,600.000       485,717.22       413,696.00  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 27
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION    
                         
IDENTITY OF ISSUE, BORROWER, OR SIMILAR MARKET
PARTY DESCRIPTION OF INTEREST COST VALUE




SPRINT CORP
COM
    114,700.000       2,691,382.03       1,216,967.00  
 
STARWOOD HOTELS & RESORTS WORLDWIDE INC
COM
    82,202.000       3,123,030.27       2,703,623.78  
 
STATE STREET PASSIVE BOND MARKET
INDEX FUND
    784,174.942       10,679,410.41       10,923,556.94  
 
STATE STREET CORP
COM
    28,060.000       1,251,857.52       1,254,282.00  
 
STATEN IS BANCORP INC
COM
    8,000.000       148,412.00       153,600.00  
 
STERLING BANCSHARES INC     11,900.000       158,033.29       175,763.00  
 
SUN MICROSYSTEMS COM USD0.0006     135,640.000       4,825,589.89       679,556.40  
 
SUNGARD DATA SYSTEMS INC
COM STK USD0.01
    4,800.000       122,954.03       127,104.00  
 
SUNRISE ASSISTED LIVING INC
COM
    8,000.000       240,796.25       214,400.00  
 
SUPERTEK INC
COM
    9,300.000       204,774.99       163,866.00  
 
SYMANTEC CORP
COM STK USD0.01
    6,864.000       253,627.82       225,482.40  
 
SYMYX TECHNOLOGIES INC
COM
    11,650.000       208,196.76       162,168.00  
 
SYNOPSYS INC
COM STK USD0.01
    8,100.000       439,499.03       443,961.00  
 
TRW INC COM     8,500.000       291,938.12       484,330.00  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 41 — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 28
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION    
                         
MARKET
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY DESCRIPTION OF INTEREST COST VALUE




TARGET CORP
COMMON STOCK USD.1667
FORMERLY DAYTON HUDSON CORP
    95,930.000       2,579,934.55       3,654,933.00  
 
TECHNE CORP
COM
    13,825.000       477,394.17       390,141.50  
 
TECUMSEH PRODS CO COM
CL A
    900.000       46,081.17       47,772.00  
 
TEKTRONIX INC COM     16,600.000       436,782.21       310,586.00  
 
TENET HEALTHCARE CORP
COM
    97,410.000       1,916,902.07       4,646,457.00  
 
TERADYNE, INC.
COM STK USD0.125
    21,900.000       850,678.89       514,650.00  
 
TESORO PETE CORP COM     13,100.000       177,685.32       101,525.00  
 
TEXAS INSTRS INC COM     106,100.000       3,545,920.86       2,514,570.00  
 
3M CO
COM STK NPV
(FORMERLY MINNESOTA MINING & MFG)
    25,800.000       2,254,162.65       3,173,400.00  
 
TOLL BROS INC     7,050.000       162,976.43       206,565.00  
 
TORO CO     6,500.000       374,159.06       369,460.00  
 
TOWER AUTOMOTIVE INC
COM
    14,900.000       202,073.99       207,855.00  
 
TOYS ’R’ US COM USD0.10     113,000.000       1,965,018.86       1,974,110.00  
 
TRIGON HEALTHCARE INC
COM STK USD0.01
    6,500.000       660,734.88       653,770.00  
 
TRITON PCS HOLDINGS INC
CLASS ‘A’
COMMON STOCK USD0.01
    39,200.000       622,646.43       152,880.00  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 41 — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 29
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION    
                         
IDENTITY OF ISSUE, BORROWER, MARKET
OR SIMILAR PARTY DESCRIPTION OF INTEREST COST VALUE




TYCO INTL LTD NEW COM     28,900.000       1,112,947.09       390,439.00  
 
UIL HOLDING CORPORATION
COMMON STOCK
    2,900.000       150,815.61       157,934.00  
 
UST INC COM USDO.5     60,800.000       1,819,401.484       2,067,200.00  
 
URS CORP COM STK USDO.01     7,300.000       201,608.42       204,400.00  
 
UNION PAC CORP COM     60,700.000       3,224,456.37       3,841,096.00  
 
UNITED PARCEL SERVICES
CLASS B SHARS
    4,400.000       274,378.84       271,700.00  
 
UNITED STATES CELLULAR CORP COM STK USD1     3,050.000       134,479.81       77,622.00  
 
UNITEDHEALTH GROUP INC
COMMON STOCK USDO01COM USD1
    12,400.000       931,898.73       1,135,220.00  
 
UNIVERSAL CORP VA COM     10,000.000       362,287.88       367,000.00  
 
UNOCAL CORP COM     72,700.000       2,534,813.74       2,685,538.00  
 
UNUMPROVIDENT CORP COM     98,000.000       2,839,632.81       2,494,100.00  
 
USTARCOM INC USD0.00125
(REFER FROM RUTSTAR)
    16,500.000       396,245.30       332,805.00  
 
VALERO ENERGY CORP NEW COM     3,200.000       137,063.29       119,744.00  
 
VERIZON COMMUNICATIONS
COMMON STOCK
    82,434.000       3,386,374.12       3,309,725.10  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 30
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION    
                         
IDENTITY OF ISSUE, BORROWER, OR SIMILAR MARKET
PARTY DESCRIPTION OF INTEREST COST VALUE




VERITAS SOFTWARE CO
COM
    17,599.000       916,784.58       348,284.21  
 
VIACOM INC
CLASS B COMMON
    33,307.000       1,362,872.72       1,477,831.59  
 
VITESSE SEMICONDUCTOR CORP
COM STK USD0.01
    123,310.000       3,793,025.66       383,494.10  
 
VOLT INFORMATION SCIENCES, INC
COMMON STOCK
    13,100.000       298,909.60       320,819.00  
 
WACHOVIA CORP 2ND NEW
COM
    9,900.000       376,319.78       377,982.00  
 
WAL MART STORES INC COM     198,480.000       6,778,454.01       10,918,384.80  
 
WALGREEN CO COM     101,290.000       2,496,274.08       3,912,832.70  
 
WASTE MGMT INC DEL
COM
    99,372.000       2,530,978.77       2,588,640.60  
 
WATERS CORP
COM STK USD0.01
    10,300.000       351,127.98       275,010.00  
 
WELLPOINT HEALTH NETWORK INC
(NEW) CLASS A COM STK USD0.01
    6,400.000       487,681.28       497,984.00  
 
WELLS FARGO & CO NEW
COM
    37,000.000       1,175,453.08       1,852,220.00  
 
WEST CORPORATION
COMMON STOCK USD1
(FORMERLY WEST TELESERVICES CORP)
    14,200.000       357,812.61       313,252.00  
 
WEYERHAEUSER CO COM     41,560.000       1,913,322.86       2,653,606.00  
 
WHOLE FOODS MARKET INC
COM STK NPV
    5,400.000       220,973.54       260,388.00  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 31
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION    
                         
MARKET
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY DESCRIPTION OF INTEREST COST VALUE




WOODWARD GOVERNOR CO COM     500.000       29,213.28       29,560.00  
 
WRIGLEY (WILLIAM) JUNIOR CO
COM STK NPV
    47,790.000       2,612,827.59       2,645,176.50  
 
WYETH
USD0.3333
(FORMERLY AMERICAN HOME PRODUCTS CORP)
    96,900.000       4,814,959.33       4,961,280.00  
 
XILINX INC
COMMON STOCK
    8,800.000       406,473.03       197,384.00  
 
XEROX CORP COM     41,000.000       944,991.26       285,770.00  
 
YAHOO INC
COM STK USD0.01
    22,700.000       859,931.61       335,052.00  
 
ZALE CORP
COM NEW
    2,000.000       84,046.40       72,500.00  
 
ZIMMER HLDGS INC
COM
    21,960.000       705,791.34       783,093.60  
 
ALLSTATE LIFE INSURANCE
GIC #77064 5.430%
    53,110,454.120       53,110,454.12       53,110,454.12  
 
BUSINESS MEN’S ASSURANCE
#1309
5.410% 05/05/2003
    6,088,940.320       6,088,940.32       6,088,940.32  
 
CDC INVESTMENT MGMT CORP
BRIC #121-05 @ 6.020%
22/DEC/2002
    5,011,569.420       5,011,569.42       5,011,569.42  
 
STATE STREET BANK & TRUST
GAC #97019
SYNTHETIC GIC #172481
    64,852,351.000       64,852,351.00       64,852,351.00  
 
PRUDENTIAL LIFE INSURANCE
#10010-215
4.740% 02/11/2005
    5,088,317.570       5,088,317.57       5,088,317.57  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 32
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION    
                         
MARKET
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY DESCRIPTION OF INTEREST COST VALUE




CDC INVESTMENT MGMT CORP
BRIC #121-06
5.890% 06/08/2003
    7,521,238.960       7,521,238.96       7,521,238.96  
 
GE LIFE & ANNUITY ASSURANCE CO
7.160% 12/08/2003
    11,938,041.750       11,938,041.75       11,938,041.75  
 
MONUMENTAL LIFE INS CO
MDA 00076FR
6.000% 04/19/2004
    8,093,775.610       8,093,775.61       8,093,775.61  
 
MONUMENTAL LIFE
CONTRACT #00245TR
6.410% DTD 01JUL2000 DUE 01JUL2002
    59,887,420.990       59,887,420.99       59,887,420.99  
 
SUNAMERICA LIFE
#4993
7.530% DTD 28MAY2000 DUE 23JUN2003
    3,470,880.760       3,470,880.76       3,470,880.76  
 
ALLSTATE LIFE INS
#GA-6316
6.030% DTD 25JAN2001 DUE 27JAN2005
    3,261,506.130       3,261,506.13       3,261,506.13  
 
METROPOLITAN LIFE
# GAC 25857
5.430% DTD 03/01/2001 DUE 03/31/2003
    5,343,002.350       5,343,002.35       5,343,002.35  
 
CAISSE DES DEPOT
BRIC 121-07
    8,036,634.500       8,036,634.50       8,036,634.50  
 
ALLSTATE LIFE INS
#GA-6326
5.930% DTD 19APR2001 DUE 19APR2005
    5,357,877.390       5,357,877.39       5,357,877.39  
 
MASS MUTUAL #35083
4.000% DTD 16NOV2001 DUE 22NOV2004
    5,121,808.560       5,121,808.56       5,121,808.56  
 
SECURITY LIFE OF DENVER
#SA-0286
5.540% 07/12/2004
    4,215,990.980       4,215,990.98       4,215,990.98  
 


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 33
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION    
                         
MARKET
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY DESCRIPTION OF INTEREST COST VALUE




PRUDENTIAL CAP-MAC INSD
#10010-214
4.960% DTD 09/06/2001 DUE 09/07/2004
    5,198,124.310       5,198,124.31       5,198.124.31  
 
SECURITY LIFE OF DENVER
#SA-0240
5.360% 04/07/2004
    5,333,208.330       5,333,208.33       5,333,208.33  
 
METLIFE
#GAC-28220
5.400% DTD 09AUG2001 DUE 10AUG2004
    2,096,187.380       2,096,187.38       2,096,187.38  
 
UBS AG
#5012
5.898% 05/03/2005
    56,421,072.520       56,421,072.52       56,421,072.52  
 
NEW YORK LIFE
GA30972-002
5.330% DTD 19JUN2001 DUE 28JUN2004
    6,329,698.040       6,329,698.04       6,329,698.04  
 
MASS MUTUAL LIFE INS CO
#35069
5.030% DTD 04/06/2001 DUE 04/07/2003
    5,312,575.920       5,312,575.92       5,312,575.92  
 
BANK OF AMERICA NT&SA
CONTRACT #99-220 GIC 5.96%
    52,739,527.570       52,739,527.57       52,739,527.57  
 
SUN AMERICA GIC
#4991
7.530% DTD 14JUN2000 DUE 09JUN03
    5,800,932.340       5,800,932.34       5,800,932.34  
 
CHASE SYNTHETIC
GIC# 433121-L/T
5.710% DTD 01JUN2000 DUE 01SEP2003
    62,524,474.010       62,524,474.01       62,524,474.01  
 
JOHN HANCOCK LIFE INS
GAC #15017
7.420% 15AUG2005
    9,582,862.180       9,582,862.18       9,582,862.18  


Table of Contents

SCHEDULE II

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
JUNE 30, 2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/26/02 E25A CAHASR PAGE 34
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION    
                           
IDENTITY OF ISSUE, BORROWER, OR MARKET
SIMILAR PARTY DESCRIPTION OF INTEREST COST VALUE




PRUDENTIAL GA#10010
6.170% 06/17/2003
    6,364,450.160       6,364,450.16       6,364,450.16  
 
NEW YORK LIFE INS #31340
4.190% 31JAN2005
    5,139,672.270       5,139,672.27       5,139,672.27  
 
NEW YORK LIFE INS CO
GA 31340-002
4.120% DTD 15APR2002 DUE 15APR2004
    2,017,107.210       2,017,107.21       2,017,107.21  
 
METROPOLITAN LIFE INS CO
GAC 28590
4.830% DTD 30APR2002 DUE 26APR2005
    3,024,133.770       3,024,133.77       3,024,133.77  
 
PYRAMID EQUITY INDEX FUND     101,518.242       283,433,267.68       249,899,334.87  
 
PYRAMID BROAD MARKET BOND INDEX FUND     80,116,477.142       192,552,521.64       219,795,549.22  
 
 
ACCOUNT TOTAL
            1,854,583,136.08       1,843,258,339.96  
 
LESS AMOUNTS INCLUDED IN CASH AND CASH EQUIVALENTS ON THE BALANCE SHEET
          (98,024,544.96 )   (98,024,544.96 )
 
 
TOTAL INVESTMENTS
          1,756,558,591.12   1,745,233,795.00
         
 


Table of Contents

SCHEDULE III

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4E — PART 2 — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
FROM 07/01/2001 TO 06/30/2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/27/02 PAGE 1
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION
RETIREMENT PLAN
COMBINED REPORT
   
                         
DESCRIPTION OF COST OF PROCEEDS OF
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY INTEREST ACQUISITIONS DISPOSITIONS




AMDOCS LTD     2,300.000       96,791.80          
COM STOCK     13,500.000               350,636.18  
 
ACCENTURE     6,300.000       157,789.98          
COM STK USD0.0000225     6,300.000               151,181.75  
 
02MICRO INTERNATIONAL LIMITED     39,375.000       663,115.40          
COMMON STOCK     3,575.000               75,710.10  
 
CHECK POINT SOFTWARE TECH     7,000.000       307,699.52          
COM     10,700.000               197,344.92  
 
SUN INTL HOTELS LTD     10,000.000       299,750.00          
COM     10,000.000               251,100.03  
 
RESERVE INVSTMT FUND INC     9,638,312.540       9,638,312.54          
05/20/2000     12,500,000.000               12,500,000.00  
 
HARRIS RETIREMENT PLAN LOAN     14,052,962.200       14,052,962.20          
      11,408,372.340               11,408,372.34  
 
ASAT HOLDINGS LTD     29,975.000       49,458.75          
AMERICAN DEPOSITARY RECEIPT     29,975.000               61,973.76  
 
AMERICAN EXPRESS CO COMMERCIAL PAPER     2,000,000.000       1,992,621.67          
DISC DTD 110CT2001 DUE 07DEC2001     2,000,000.000               1,992,621.67  
 
AMER HONDA FIN CORP MTN BE144A COMMERCIA     2,000,000.000       1,996,080.00          
DISC DTD 07NOV2001 DUE 13DEC2001     2,000,000.000               1,996,080.00  
 
CIT GROUP HLDGS INC COMMERCIAL PAPER     2,000,000.000       1,994,671.11          
DISC DTD 31OCT2001 DUE 14DEC2001     2,000,000.000               1,994,671.11  
 
CELESTICA INC     800.000       31,327.52          
SUB VTG SHS     6,500.000               308,938.59  


Table of Contents

SCHEDULE III

         
DEUTSCHE BANK TRUST
COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I PART 2 — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
FROM 07/01/2001 TO 06/30/2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/27/02 PAGE 2
 
ACCOUNT 124079 — COMBINED   HARRIS CORP
RETIREMENT PLAN
COMBINED
   
                         
  COST OF PROCEEDS OF
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY DESCRIPTION OF INTEREST ACQUISITIONS DISPOSITIONS




CHARTERED SEMICONDUCTOR MFG LTD     6,300.000       175,465.75          
ADR     6,300.000               151,631.41  
 
DRESDNER US FIN COMMERCIAL PAPER     2,000,000.000       1,992,491.11          
DISC DTD 26OCT2001 DUE 27DEC2001     2,000,000.000               1,992,491.11  
 
GENERAL ELEC CAP CORP COMMERCIAL PAPER     2,500,000.000       2,494,578.47          
DISC DTD 05NOV2001 DUE 12DEC2001     2,500,000.000               2,494,578.47  
 
HOUSEHOLD FIN CORP SR MTNS BE COMMERCIAL     2,000,000.000       1,994,164.44          
DISC DTD 16NOV2001 DUE 07JAN2002     2,000,000.000               1,994,164.44  
 
IBM CR CORP MTN BE COMMERCIAL PAPER     2,000,000.000       1,996,624.44          
DISC DTD 09NOV2001 DUE 10DEC2001     2,000,000.000               1,996,624.44  
 
INCO LTD COM     19,000.000       268,103.95          
      19,000.000               366,137.74  
 
J P MORGAN CHASE & CO COMMERCIAL PAPER     2,000,000.000       1,994,840.00          
DISC DTD 31OCT2001 DUE 13DEC2001     2,000,000.000               1,994,840.00  
 
KOREA TELECOM SPONSORED ADR     16,100.000       379,192.50          
      16,100.000               379,192.50  
 
KRAFT FOODS INC COMMERCIAL PAPER     2,000,000.000       1,993,902.22          
DISC DTD 19NOV2001 DUE 14JAN2002     2,000,000.000               1,993,902.22  
 
MERCK & CO, INC COMMERCIAL PAPER     2,000,000.000       1,992,814.44          
DISC DTD 23OCT2001 DUE 20DEC2001     2,000,000.000               1,992,814.44  
 
MINNESOTA MINING COMMERCIAL PAPER     1,000,000.000       997,483.06          
DISC DTD 30OCT2001 DUE 10DEC2001     1,000,000.000               997,483.06  
 
MINNESOTA MINING COMMERCIAL PAPER     1,321,000.000       1,314,732.59          
DISC DTD 02OCT2001 DUE 11DEC2001     1,321,000.000               1,314,732.59  
 
NICE INC COMMERCIAL PAPER     2,000,000.000       1,995,820.00          
DISC DTD 13NOV2001 DUE 21DEC2001     2,000,000.000               1,995,820.00  


Table of Contents

SCHEDULE III

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
FROM 07/01/2001 TO 06/30/2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/27/02 PAGE 3
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION
RETIREMENT PLAN
COMBINED
   
                         
IDENTITY OF ISSUE, BORROWER, OR SIMILAR COST OF PROCEEDS OF
PARTY DESCRIPTION OF INTEREST ACQUISITIONS DISPOSITIONS




PHARMACIA CORP     28,200.000       1,274,500.93          
COMMON STOCK     36,341.000               1,569,730.33  
 
PITNEY BOWES INC COMMERCIAL PAPER     2,000,000.000       1,996,208.32          
DISC DTD 07NOV2001 DUE 12DEC2001
    2,000,000.000               1,996,208.32  
 
7 ELEVEN INC COMMERCIAL PAPER     2,000,000.000       1,991,310.00          
DISC DTD 12OCT2001 DUE 17DEC2001
    2,000,000.000               1,991,310.00  
 
TAIWAN SEMICONDUCTOR MANUFACTURING     25,200.000       361,204.79          
ADS EACH CNV INTO 5 ORD TWD10
    25,200.000               425,017.21  
(RE-REF FROM XSEMITW)                        
 
UBS FINANCE COMMERCIAL PAPER     2,000,000.000       1,992,230.00          
DISC DTD 040CT2001 DUE 27DEC2001
    2,000,000.000               1,992,230.00  
 
VERIZON NETWORK FUNDING COMMERCIAL PAPER     2,000,000.000       1,987,988.89          
DISC DTD 12OCT2001 DUE 14JAN2002
    2,000,000.000               1,987,988.89  
 
VODAFONE GROUP PLC NEW     25,000.000       534,711.82          
SPONSORED ADR
    25,000.000               397,409.81  
 
WELLS FARGO FINL INC COMMERCIAL PAPER     2,000,000.000       1,994,454.44          
DISC DTD 01NOV2001 DUE 17DEC2001     2,000,000.000               1,994,454.44  
 
WESTPAC CAP CORP COMMERCIAL PAPER     1,500,000.000       1,490,404.17          
DISC DTD 21SEP2001 DUE 27DEC2001
    1,500,000.000               1,490,404.17  
 
METROPOLITAN LIFE INS COP     224,885.870       224,885.87          
GAC#-14095 7.18% 05/04/2000
    6,511,964.350               1,490,404.17  
 
ALLSTATE LIFE INSURANCE     25,520,084.280       25,520,084.28          
GIC #77064 5.430%
    27,059,886.160               27,059,886.16  
 
JACKSON NATIONAL LIFE     133,099.910       133,099.91          
G-1236-1
    10,187,831.160               10,187,831.16  
5.090% 09/28/2001
                       


Table of Contents

SCHEDULE III

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I PART 2 — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES
FROM 07/01/2001 TO 6/30/2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/27/02 PAGE 4
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION RETIREMENT PLAN COMBINED    
                         
DESCRIPTION OF COST OF PROCEEDS OF
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY INTEREST ACQUISITIONS DISPOSITIONS




CDC INVESTMENT MGMT CORP     236,469.380       236,469.38          
BRIC #121-05 @ 6.020%     237,937.770               237,937.77  
22/DEC/2002                        
 
STATE STREET BANK & TRUST     17,877,566.170       17,877,566.17          
GAC #97019     3,497,699.290               3,497,699.29  
SYNTHETIC GIC #172481                        
 
CDC INVESTMENT MGMT CORP     353,175.280       353,175.28          
BRIC #121-06     355,571.270               355,571.27  
5.890% 06/08/2003                        
 
MONUMENTAL LIFE INS CO     212,227.190       212,227.19          
MDA-00086FR     3,625,802.740               3,625,802.74  
6.550% 06/13/2002                        
 
MONUMENTAL LIFE INS CO     479,999.980       479,999.98          
MDA 00076FR     480,000.000               480,000.00  
6.000% 04/19/2004                        
 
PRUDENTIAL-CAP MAC INSD     254,023.450       254,023.45          
GA-10010-213     5,934,698.470               5,934,698.47  
5.890% 04/05/2002                        
 
MONUMENTAL LIFE     23,846,472.840       23,846,472.84          
CONTRACT #00245TR     18,606,516.750               18,606,516.75  
6.410% DTD 01JUL2000 DUE 01JUL2002                        
 
CAISSE DES DEPOT     386,856.890       386,856.89          
BRIC 121-07     391,181.080               391,181.08  
 
UBS AG     10,380,841.400       10,380,841.40          
#5012     12,925,086.850               12,925,086.85  
5.898% 05/03/2005                        
 
BANK OF AMERICA NT&SA     31,771,908.890       31,771,908.89          
CONTRACT #99-220 GIC 5.96%     22,022,092.320               22,022,092.32  


Table of Contents

SCHEDULE III

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4I PART 2 — SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES FROM 07/01/2001 TO 06/30/2002   GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/27/02 PAGE 5
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION
RETIREMENT PLAN COMBINED
   
                         
COST PROCEEDS OF
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY DESCRIPTION OF INTEREST OF ACQUISITIONS DISPOSITIONS




CHASE SYNTHETIC     29,328,221.920       29,328,221.92            
GIC# 433121-LT     17,530,475.710               17,530,475.71  
5.710% DTD 01JUN2000 DUE 01SEP2003                    
 
JOHN HANCOCK LIFE INS
GAC #15017
7.420% 15AUG2005
    667,766.690
664,009.040
      667,766.69        
664,009.04
 


Table of Contents

SCHEDULE IV

         
DEUTSCHE BANK TRUST COMPANY AMERICAS
NEW YORK
  SCHEDULE H ITEM 4J — SCHEDULE OF REPORTABLE TRANSACTIONS INDIVIDUAL TRANSACTIONS AND ASSOCIATED TRANSACTIONS BY PERSON
FROM 07/01/2001 TO 06/30/2002
  GLOBAL ASSETS — EB

PREPARED ON ACCRUAL BASIS (TRADE-DATED)
08/27/02 PAGE 1
 
ACCOUNT 124079 — COMBINED   HARRIS CORPORATION
RETIREMENT PLAN
COMBINED REPORT
MARKET VALUE 06/30/2001 $2,020,078,678.95
   
                                           
PARTY INVOLVED/ PURCHASE OR COST OF CURRENT VALUE NET GAIN
SECURITY NAME SELLING PRICE EXPENSES ASSET OF ASSET OR LOSS






MISCELLANEOUS                                        
 
PYRAMID DIRECTED ACCOUNT                                        
CASH FUND SOLD ON 12/07/2001
    100.000       NET       124,523,174.14       124,523,174.14       0.00  
 
PYRAMID BROAD MARKET BOND                                        
INDEX FUND PURCHASED ON 12/07/2001
    263.870       NET               124,523,174.14          
 
 
*TOTAL-MISCELLANEOUS
            NET               249,046,348.26          
                     
             
 


Table of Contents

SIGNATURES

      The Plan. Pursuant to the requirements of the Securities Exchange Act of 1934, the trustees (or other persons who administer the employee benefit plan) have duly caused this annual report to be signed on their behalf by the undersigned hereunto duly authorized.

  Harris Corporation Retirement Plan

By:   Retirement Plan Administrative
Committee, as Plan Administrator
 
    /s/ Jeffrey Pratt Morrill
Jeffrey Pratt Morrill

Date:   December 23, 2002