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, 2003
OR
[ ] TRANSITION REPORT PURSUANT TO SECTION 15(d)
OF THE SECURITIES EXCHANGE ACT OF 1934
For the transition period from _______ to _______
Commission file number 1-3863
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 |
HARRIS CORPORATION
RETIREMENT PLAN
Financial Statements
and Supplementary Information
June 30, 2003 and 2002
HARRIS CORPORATION RETIREMENT PLAN
Table of Contents
June 30, 2003 and 2002 | Page | |||
Independent Auditors Report |
1 | |||
Financial Statements: |
||||
Statements of Net Assets Available for Benefits |
2 | |||
Statement of Changes in Net Assets Available for Benefits |
3 | |||
Notes to Financial Statements |
4-9 | |||
Supplemental Schedules: |
||||
Assets Held for Investment |
10-46 | |||
Assets Held for Investment Which Were Both Acquired
and Disposed of Within the Plan Year |
47-49 | |||
Transactions or Series of Transactions in Excess of
Five Percent of the Current Value of Plan Assets |
50 |
INDEPENDENT AUDITORS REPORT
To the Participants
and the Retirement Plan Administrative Committee of the
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, 2003 and 2002, and the related statements of changes in net assets available for benefits for the years then ended. These financial statements are the responsibility of the Plans management. Our responsibility is to express an opinion on these financial statements based on our audits.
We conducted our audits in accordance with 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, 2003 and 2002, 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, 2003, 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 Labors Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. This supplemental information is the responsibility of the Plans management. The supplemental information has been subjected to the auditing procedures applied in the audit of the June 30, 2003 financial statements and, in our opinion, are fairly stated in all material respects in relation to the June 30, 2003 financial statements taken as a whole.
/s/ Bray/Beck & Koetter CPA, PA
Melbourne, Florida
October 22, 2003
HARRIS CORPORATION RETIREMENT PLAN
Statements of Net Assets Available for Benefits
June 30, 2003 and 2002
2003 | 2002 | |||||||
ASSETS |
||||||||
Investments, at fair value (Note 4): |
||||||||
Common stocks |
$ | 625,947,940 | $ | 659,205,154 | ||||
Registered investment companies |
143,060,834 | 109,816,957 | ||||||
Common/collective trust funds |
416,969,302 | 469,694,884 | ||||||
Guaranteed Investment Contracts |
546,575,850 | 484,283,836 | ||||||
Participant loans |
24,012,032 | 22,232,964 | ||||||
Partnership interests |
116,441 | | ||||||
Total investments |
1,756,682,399 | 1,745,233,795 | ||||||
Receivables: |
||||||||
Contributions receivable: |
||||||||
Harris Corporation |
19,008,067 | 14,205,703 | ||||||
Participants |
1,948,428 | 1,882,557 | ||||||
Loan payments |
440,320 | 344,963 | ||||||
Accrued interest and dividends |
755,807 | 885,764 | ||||||
Securities sold |
2,907,719 | 3,488,306 | ||||||
Total receivables |
25,060,341 | 20,807,293 | ||||||
Cash and cash equivalents (Note 3) |
93,854,099 | 98,031,774 | ||||||
Total assets |
1,875,596,839 | 1,864,072,862 | ||||||
LIABILITIES |
||||||||
Due to participants |
4,961,144 | 5,226,762 | ||||||
Accrued expenses |
25,998 | 3,425 | ||||||
Securities purchased |
678,311 | 3,125,871 | ||||||
Total liabilities |
5,665,453 | 8,356,058 | ||||||
Net assets available for benefits |
$ | 1,869,931,386 | $ | 1,855,716,804 | ||||
See accompanying notes to
financial statements.
2
HARRIS CORPORATION RETIREMENT PLAN
Statement of Changes in Net Assets Available for Benefits
Year Ended June 30, 2003 and 2002
2003 | 2002 | |||||||
Increases: |
||||||||
Interest |
$ | 27,411,139 | $ | 32,497,776 | ||||
Dividends |
11,694,950 | 10,817,470 | ||||||
Net appreciation (depreciation)
in fair value of investments |
(10,565,848 | ) | (163,778,211 | ) | ||||
Contributions: |
||||||||
Participant rollover |
3,730,871 | 3,511,126 | ||||||
Employer profit sharing |
17,800,749 | 13,232,751 | ||||||
Employer matching |
31,143,376 | 25,588,126 | ||||||
Employee |
48,607,941 | 45,223,613 | ||||||
Total increases |
129,823,178 | (32,907,349 | ) | |||||
Decreases: |
||||||||
Benefits paid directly to participants |
111,622,061 | 134,776,852 | ||||||
Administrative expenses |
3,986,535 | 4,860,365 | ||||||
Total decreases |
115,608,596 | 139,637,217 | ||||||
Net increase (decrease) in net
assets available for benefits |
14,214,582 | (172,544,566 | ) | |||||
Net assets available for benefits: |
||||||||
Beginning of year |
1,855,716,804 | 2,028,261,370 | ||||||
End of year |
$ | 1,869,931,386 | $ | 1,855,716,804 | ||||
3
HARRIS CORPORATION RETIREMENT PLAN
Notes to Financial Statements
June 30, 2003 and 2002
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 Plans 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 Corporations annual contribution to the Profit-Sharing Program is equal to 11.5% of the Corporations 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 20% of their regular eligible compensation to the Plan in 1% increments. The contributions can be in pre-tax or after-tax dollars at the participants election. The employer contributes a matching amount equal to 100% of the participants 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 five 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. |
4
HARRIS CORPORATION RETIREMENT PLAN
Notes to Financial Statements
June 30, 2003 and 2002
1. | Description of the Plan, continued |
Vesting |
A participants 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 participants 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 Corporations 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, 2003, employer contributions were reduced by $987,935 from forfeited nonvested accounts. Forfeited amounts included in Plan assets at June 30, 2003 which are available to reduce company contributions totaled $1,509,913. In 2003 and 2002 the forfeitures used reduced contributions in the Money Market Fund. |
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. A participant may not transfer amounts from other investment funds to the Harris Stock Fund. |
5
HARRIS CORPORATION RETIREMENT PLAN
Notes to Financial Statements
June 30, 2003 and 2002
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 Plans 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 Plans 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, 2003 and 2002 was 3.82% and 5.07%, respectively. Crediting interest rates range from 1.79% 7.53% at June 30, 2003 and 4.0% 7.53% at June 30, 2002. 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. |
6
HARRIS CORPORATION RETIREMENT PLAN
Notes to Financial Statements
June 30, 2003 and 2002
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; Deutsche Bank Trust Company as Trustee; and any person or corporation that renders services to the Plan. |
Investments of the Plan at June 30, 2003 and 2002 include the following: |
2003 | 2002 | |||||||||||||||
Shares | Fair Value | Shares | Fair Value | |||||||||||||
Pyramid Broad Market |
||||||||||||||||
Fixed Income Fund |
| $ | | 80,116,477 | $ | 219,795,549 | ||||||||||
Pyramid Equity Index Fund |
| | 101,518 | 249,899,335 | ||||||||||||
Harris Corporation common stock |
1,470,415 | 44,185,971 | 1,285,222 | 46,576,445 |
Cash and cash equivalents of the Plan at June 30, 2003 and 2002 include (but is not limited to) the following: |
2003 | 2002 | |||||||||||||||
Shares | Fair Value | Shares | Fair Value | |||||||||||||
Pyramid Directed Account |
||||||||||||||||
Cash Fund |
28,726,049 | $ | 28,726,049 | 33,935,724 | $ | 33,935,724 |
Pyramid Funds were managed by Deutsche Bank Trust Company, the Plans Trustee, until November 2002, when the index equity and index bond monies were sold to Northern Trust. As more fully described in Note 6, Northern Trust is the Plans new trustee, effective November 1, 2003. |
7
HARRIS CORPORATION RETIREMENT PLAN
Notes to Financial Statements
June 30, 2003 and 2002
4. | Investments |
Investment income of the Plan during the years ended June 30, 2003 and June 30, 2002 is as follows: |
2003 | 2002 | |||||||
Net appreciation (depreciation) in fair value
as determined by quoted market prices: |
||||||||
U.S. government securities |
$ | (1,016,538 | ) | $ | 4,788,060 | |||
Corporate debt securities |
| 576,952 | ||||||
Foreign debt securities |
| (14,608 | ) | |||||
Partnership interests |
3,778 | | ||||||
Corporate equity securities |
(28,367,188 | ) | (110,043,242 | ) | ||||
Registered investment companies |
1,113,305 | (5,275,100 | ) | |||||
Morgan Stanley International Magnum Fund |
| (7,843,023 | ) | |||||
Putnam New Opportunities Fund |
| (2,173,184 | ) | |||||
(28,266,643 | ) | (119,984,145 | ) | |||||
Net appreciation (depreciation) in fair value
as determined by investee company: |
||||||||
NTGI-QM Collective Daily Aggregate Bond Index |
18,995,239 | 13,470,302 | ||||||
NTGI-QM Collective Daily S&P500 Equity Index |
(1,294,444 | ) | (57,264,368 | ) | ||||
17,700,795 | (43,794,066 | ) | ||||||
Interest and dividends |
39,106,089 | 43,315,246 | ||||||
Totals |
$ | 28,540,241 | $ | (120,462,965 | ) | |||
The fair value of individual investments that represent 5% or more of plan net assets at June 30, 2003 are as follows: |
NTGI-QM Collective Daily S&P500 Equity Index Fund |
$ | 240,212,919 | ||||||
NTGI-QM Collective Daily Aggregate Bond Index Fund |
$ | 176,756,383 | ||||||
8
HARRIS CORPORATION RETIREMENT PLAN
Notes to Financial Statements
June 30, 2003 and 2002
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, 2003. Therefore, no provision for income taxes has been included in the Plans financial statements. |
6. | Subsequent Event |
On October 24, 2003, the Company appointed Northern Trust Company as successor trustee for the Corporations 401(k) Retirement Plan Master Trust, effective November 1, 2003. |
9
Supplemental Schedules
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 1 |
ACCOUNT 124079 - COMBINED |
HARRIS COROPORATION RETIREMENT PLAN COMBINED REPORT |
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | MARKET VALUE |
|||||||||
FRAC CUSIP FOR KINDER MORGAN MGMT | 64,960.000 | 0.00 | 2.40 | |||||||||
(494S5U100) | ||||||||||||
ARCH CAPITAL GROUP LTD | 4,200.000 | 157,220.24 | 145,656.00 | |||||||||
COM STK USD0.01 | ||||||||||||
COOPER INDUSTRIES LTD | 66,900.000 | 2,431,068.38 | 2,762,970.00 | |||||||||
COM USD5 CLASS A (FORMERLY COOPER INDUSTRIES INC) |
||||||||||||
FRONTLINE | 22,300.000 | 256,716.17 | 317,106.00 | |||||||||
COM | ||||||||||||
INGERSOLL RAND CO | 93,700.000 | 4,444,497.38 | 4,433,884.00 | |||||||||
CL A COM STK USD2 | ||||||||||||
IPC HLDGS LTD | 4,400.000 | 140,307.07 | 147,444.00 | |||||||||
ORD | ||||||||||||
MARVELL TECHNOLOGY GROUP LTD | 2,000.000 | 68,575.44 | 68,700.00 | |||||||||
ORD | ||||||||||||
MAX RE CAPITAL | 7,300.000 | 113,139.62 | 108,405.00 | |||||||||
COM STK | ||||||||||||
NABORS INDUSTRIES LTD | 13,000.000 | 423,412.07 | 513,890.00 | |||||||||
COM STK (FORMERLY NABORS INDUSTRIES INC) |
||||||||||||
02MICRO INTERNATIONAL LIMITED | 47,875.000 | 675,929.24 | 772,223.75 | |||||||||
COMMON STOCK | ||||||||||||
UTI WORLDWIDE INC | 3,300.000 | 85,907.09 | 101,805.00 | |||||||||
ISIN# VGG872101032 COM |
||||||||||||
TOMMY HILFIGER | 22,700.000 | 203,752.36 | 209,748.00 | |||||||||
COM STK USD0.01 |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 2 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | MARKET VALUE |
|||||||||
TRANSOCEAN INC | 14,800.000 | 665,854.37 | 325,156.00 | |||||||||
COM USD0.01 (FORMELY TRANSOCEAN SEDCO FOREX INC) |
||||||||||||
WEATHERFORD INTL LTD | 11,500.000 | 572,530.40 | 481,850.00 | |||||||||
COM USD1 (FORMERLY WEATHERFORD INTERNATIONAL INC) |
||||||||||||
TARO PHARMACEUTICAL INDS LTD | 11,450.000 | 377,182.98 | 630,093.50 | |||||||||
ORD | ||||||||||||
VERISITY LTD | 32,925.000 | 511,357.24 | 390,819.75 | |||||||||
ORD | ||||||||||||
QIAGEN INC | 36,125.000 | 231,975.98 | 293,335.00 | |||||||||
ADR COM | ||||||||||||
FLEXTRONICS INTL LTD | 28,900.000 | 299,809.13 | 301,427.00 | |||||||||
PYRAMID DISCRETIONARY | 1.660 | 1.66 | 1.66 | |||||||||
ACCOUNT CASH FUND | ||||||||||||
PYRAMID DIRECTED ACCOUNT CASH | 28,726,047.550 | 28,726,047.55 | 28,726,047.55 | |||||||||
FUND | ||||||||||||
RESERVE INVSTMT FUND INC | 3,013,276.480 | 3,013,276.48 | 3,013,276.48 | |||||||||
05/20/2000 | ||||||||||||
HARRIS RETIREMENT PLAN LOAN | 24,012,032.570 | 24,012,032.570 | 24,012,032.570 | |||||||||
AFLAC CORP | 11,600.000 | 302,654.80 | 356,700.00 | |||||||||
AOL TIME WARNER | 296,150.000 | 6,421,413.82 | 4,765,053.50 | |||||||||
COMMON STOCK | ||||||||||||
AT&T COMCAST CORP | 73,850.000 | 1,864,770.39 | 1,421,612.50 | |||||||||
CLA A COMMON STOCK | ||||||||||||
AT&T WIRELESS SVCS INC | 67,500.000 | 584,566.19 | 554,175.00 | |||||||||
COMMON STOCK |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 3 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | MARKET VALUE |
|||||||||
ABBOTT LABORATORIES | 77,200.000 | 3,139,861.15 | 3,378,272.00 | |||||||||
COM NPV | ||||||||||||
ACCREDO HEALTH INC | 22,062.000 | 611,523.41 | 477,642.30 | |||||||||
COM | ||||||||||||
ACUITY BRANDS INC | 6,600.000 | 114,208.98 | 119,922.00 | |||||||||
COMMON STOCK USD0.01 | ||||||||||||
ADOBE SYSTEMS COM NPV | 13,300.000 | 480,359.32 | 426,531.00 | |||||||||
ADTRAN INC | 3,400.000 | 117,456.99 | 175,508.00 | |||||||||
COM STK USD.01 | ||||||||||||
ADVANCED DIGITAL INFORMATION | 29,300.000 | 315,199.17 | 290,656.00 | |||||||||
COM | ||||||||||||
AGERE SYSTEMS INC | 147,932.000 | 892,826.68 | 344,681.56 | |||||||||
CL A COM STK USD0.01 | ||||||||||||
AGERE SYSTEMS INC | 44,975.000 | 398,945.77 | 103,442.50 | |||||||||
CL B COMMON STOCK USD. 0.01 | ||||||||||||
AGILENT TECHNOLOGIES INC | 23,800.000 | 1,049,272.29 | 465,290.00 | |||||||||
COMMON STOCK USD0.01 | ||||||||||||
AIR PRODS & CHEMS INC COM | 55,220.000 | 2,582,190.55 | 2,297,152.00 | |||||||||
ALCOA INC | 26,600.000 | 773,818.26 | 678,300.00 | |||||||||
COM | ||||||||||||
SSGA US EXTENDED MARKET INDEX FUND | 689,583.303 | 6,211,157.30 | 6,562,764.29 | |||||||||
SSGA RUSSELL 2000 GROWTH INDEX FUND | 1,457,671.795 | 11,469,404.55 | 11,643,882.30 | |||||||||
STI CLASSIC INSTITUTIONAL CASH MGMT | 65,124,079.650 | 65,124,079.65 | 65,124,079.65 | |||||||||
MONEY MARKET FUND | ||||||||||||
ALLERGAN INC COM | 7,900.000 | 619,913.33 | 609,090.00 | |||||||||
USD0.01 |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 4 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | MARKET VALUE |
|||||||||
ALLIANCE GAMING CORP COM | 19,370.000 | 281,861.33 | 366,286.70 | |||||||||
COM | ||||||||||||
ALLSTATE CORP | 68,250.000 | 2,537,817.63 | 2,433,112.50 | |||||||||
COM STK USD0.01 | ||||||||||||
ALLTEL COM | 41,900.000 | 1,661,680.34 | 2,020,418.00 | |||||||||
USD1 | ||||||||||||
ALPHARMA INC | 20,200.000 | 202,445.36 | 436,320.00 | |||||||||
CL A COM | ||||||||||||
ALTERA | 115,080.000 | 1,321,175.34 | 1,890,764.40 | |||||||||
COM NPV | ||||||||||||
ALTRIA GROUP INC | 65,300.000 | 2,403,749.95 | 2,967,232.00 | |||||||||
F/K/A PHILIP MORRIS COS INC NEW COM STK USD0.3333 |
||||||||||||
AMAZON COM INC | 9,400.000 | 245,793.05 | 341,408.00 | |||||||||
COM | ||||||||||||
AMBAC INC | 6,500.000 | 399,830.05 | 430,625.00 | |||||||||
COM | ||||||||||||
AMERADA HESS CORP COM | 41,400.000 | 2,384,904.62 | 2,036,052.00 | |||||||||
AMERICAN EXPRESS CO | 98,100.000 | 3,329,240.10 | 4,101,561.00 | |||||||||
COM | ||||||||||||
AMERICAN FINANCIAL REALITY TRUST | 10,575.000 | 149,620.80 | 157,673.25 | |||||||||
COMMON STOCK USD0.01 | ||||||||||||
AMERICAN HEALTHWAYS INC | 10,500.000 | 204,264.39 | 378,210.00 | |||||||||
COMMON STOCK USD0.001 (FORMERLY AMER HEALTHCORP) |
||||||||||||
AMERICAN INTL GROUP INC COM | 141,026.000 | 6,950,497.97 | 7,781,814.68 |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 5 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | MARKET VALUE |
|||||||||
AMERICAN MED SYS HLDGS INC | 15,450.000 | 288,499.51 | 261,105.00 | |||||||||
COM | ||||||||||||
AMERICAN PHARMACEUTICAL PARTNER INC | 4,500.000 | 99,368.96 | 152,550.00 | |||||||||
COM USD0.01 | ||||||||||||
AMERUS GROUP CO | 7,200.000 | 244,388.59 | 202,968.00 | |||||||||
COMMON STOCK | ||||||||||||
AMERISOURCEBERGEN CORP | 18,110.000 | 1,235,574.09 | 1,255,928.50 | |||||||||
COM | ||||||||||||
AMERIGROUP CORP | 14,375.000 | 361,934.52 | 534,750.00 | |||||||||
COM STK NPV | ||||||||||||
AMGEN CORP COM NPV | 40,600.000 | 2,129,788.43 | 2,677,164.00 | |||||||||
AMPHENOL CORP | 18,000.000 | 854,663.10 | 842,760.00 | |||||||||
NEW CL A | ||||||||||||
AMSURG CORP | 32,600.000 | 939,224.07 | 995,278.00 | |||||||||
COM STK | ||||||||||||
ANALOG DEVICES INCORPORATION | 23,700.000 | 1,401,322.87 | 825,234.00 | |||||||||
COM STK USD0.16 2/3 | ||||||||||||
ANALOGIC CORP | 2,200.000 | 111,923.91 | 107,404.00 | |||||||||
COM STK USD0.05 | ||||||||||||
ANCHOR BANCORP WISCONSIN INC | 5,100.000 | 115,253.32 | 121,839.00 | |||||||||
COM | ||||||||||||
ANHEUSER BUSCH COS INC COM | 13,200.000 | 597,878.78 | 673,860.00 | |||||||||
AON CORP COM | 32,000.000 | 1,014,274.73 | 770,560.00 | |||||||||
APACHE CORP | 6,210.000 | 357,463.77 | 404,022.60 | |||||||||
APOLLO GROUP INC | 4,900.000 | 206,635.59 | 302,820.00 | |||||||||
CLASS A COM STK NPV |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 6 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | MARKET VALUE |
|||||||||
APPLE COMPUTER COM.NPV | 25,300.000 | 440,590.74 | 482,218.00 | |||||||||
APPLIED MATLS INC COM | 26,400.000 | 628,085.59 | 418,176.00 | |||||||||
ARCH COAL INC | 9,200.000 | 162,067.91 | 211,416.00 | |||||||||
COM | ||||||||||||
ASTRAZENECA PLC | 13,700.000 | 577,895.18 | 558,549.00 | |||||||||
SPONSORED ADR | ||||||||||||
AUTOMATIC DATA PROCESSING INC | 5,700.000 | 218,991.10 | 193,002.00 | |||||||||
COM STK USD0.10 | ||||||||||||
AVERY DENNISON CORP | 10,300.000 | 655,144.24 | 517,060.00 | |||||||||
COM | ||||||||||||
AVON PRODS INC COM | 22,200.000 | 955,131.54 | 1,380,840.00 | |||||||||
B J SERVICES | 17,000.000 | 551,907.01 | 635,120.00 | |||||||||
BP PLC | 56,456.000 | 2,099,774.58 | 2,372,281.12 | |||||||||
ADR COM | ||||||||||||
BAKER HUGHES | 52,500.000 | 1,626,485.34 | 1,762,425.00 | |||||||||
COM US |
||||||||||||
BANCORPSOUTH INC | 9,300.000 | 207,683.53 | 193,905.00 | |||||||||
COM | ||||||||||||
BANDAG INC COM | 2,900.000 | 113,905.24 | 108,083.00 | |||||||||
BANK OF AMERICA CORP | 44,100.000 | 2,643,937.04 | 3,485,223.00 | |||||||||
COM STK USD0.01 (FRMLY BANKAMERICA CORP) |
||||||||||||
BANK OF NEW YORK | 108,560.000 | 3,390,812.75 | 3,121,100.00 | |||||||||
COM USD7.5 |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 7 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | MARKET VALUE |
|||||||||
BANC ONE CORP COM NPV | 107,200.000 | 4,006,588.90 | 3,985,696.00 | |||||||||
BANTA CORP COM NASD | 10,400.000 | 359,225.63 | 336,648.00 | |||||||||
BAXTER INTL INC | 88,900.000 | 2,814,236.22 | 2,311,400.00 | |||||||||
COM | ||||||||||||
BEA SYS INC | 29,500.000 | 741,704.26 | 321,255.00 | |||||||||
COM | ||||||||||||
BECTON DICKINSON & CO COM | 27,700.000 | 804,196.81 | 1,076,145.00 | |||||||||
BENCHMARK ELECTRICS INC | 10,700.000 | 264,673.92 | 329,132.00 | |||||||||
COM | ||||||||||||
BEST BUY INC COM | 10,700.000 | 392,309.03 | 469,944.00 | |||||||||
BIG 5 SPORTING GOODS CORP | 11,450.000 | 145,770.74 | 144,041.00 | |||||||||
COM USD0.01 | ||||||||||||
BIOGEN INC COM NA | 8,100.000 | 369,386.29 | 307,557.00 | |||||||||
BLACK & DECKER CORP COM USD0.50 | 18,500.000 | 574,297.79 | 803,825.00 | |||||||||
BOB EVANS FARMS INC COM | 5,190.000 | 134,186.92 | 145,268.10 | |||||||||
BOEING CO COM | 117,600.000 | 4,575,618.94 | 4,036,032.00 | |||||||||
BOSTON SCIENTIFIC CORP | 19,100.000 | 551,517.80 | 1,167,010.00 | |||||||||
COM | ||||||||||||
BRINKER INTERNATIONAL | 15,600.000 | 432,142.42 | 561,912.00 | |||||||||
COM STK US$0.10 | ||||||||||||
BRISTOL MYERS SQUIBB CO | 150,400.000 | 6,258,446.87 | 4,083,360.00 | |||||||||
COM | ||||||||||||
BROADCOM CORP | 11,500.000 | 181,899.44 | 286,465.00 | |||||||||
CL A |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 8 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | MARKET VALUE |
|||||||||
BROWN FORMAN CORP | 18,300.000 | 940,084.56 | 1,438,746.00 | |||||||||
CL B | ||||||||||||
BURLINGTON RESOURCES | 9,800.000 | 448,091.37 | 529,886.00 | |||||||||
CDW CORP | 6,500.000 | 238,461.32 | 297,765.00 | |||||||||
COM STK USD0.01 | ||||||||||||
C H ROBINSON WORLDWIDE INC | 6,350.000 | 187,859.92 | 225,044.00 | |||||||||
COM | ||||||||||||
CIGNA CORP COM | 35,200.000 | 1,369,860.07 | 1,652,288.00 | |||||||||
CLECO CORP NEW | 21,200.000 | 315,083.60 | 367,184.00 | |||||||||
COM | ||||||||||||
CVS CORP | 15,200.000 | 760,723.24 | 426,056.00 | |||||||||
COM | ||||||||||||
CABOT MICROELECTRONICS | 19,200.000 | 967,996.04 | 968,256.00 | |||||||||
COMMON STOCK | ||||||||||||
CAMPBELL SOUP CO COM | 74,000.000 | 2,504,967.67 | 1,813,000.00 | |||||||||
CAPITAL AUTOMOTIVE REIT | 16,900.000 | 422,476.78 | 473,031.00 | |||||||||
CARDINAL HEALTH INC | 11,000.000 | 469,019.03 | 707,300.00 | |||||||||
COM STK NPV | ||||||||||||
CENDANT CORPORATION | 16,200.000 | 307,512.04 | 296,784.00 | |||||||||
COMMON STOCK (REREF TO 2214638) |
||||||||||||
CEPHALON INC | 1,400.000 | 63,309.82 | 57,470.00 | |||||||||
COM STK USD0.01 | ||||||||||||
CHARLES RIV ASSOCS INC | 16,575.000 | 315,777.05 | 468,575.25 | |||||||||
COM STK |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 9 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | MARKET VALUE |
|||||||||
CHARLES RIV LABS INTL INC | 10,750.000 | 317,781.91 | 345,935.00 | |||||||||
COMMON STOCK | ||||||||||||
CHECKPOINT SYS INC | 10,800.000 | 150,002.52 | 152,820.00 | |||||||||
COM | ||||||||||||
CHEVRONTEXACO CORP | 115,640.000 | 8,603,107.19 | 8,349,208.00 | |||||||||
COM STK | ||||||||||||
CHICAGO MERCANTIL EXCHANGE HLDGS | 325.000 | 11,375.00 | 22,629.75 | |||||||||
COMMON STOCK USD0.01 | ||||||||||||
CHICOS FAS INC | 22,327.000 | 340,907.40 | 469,983.35 | |||||||||
COMMON STOCK USD0.01 | ||||||||||||
CHOICEPOINT INC | 4,000.000 | 138,274.98 | 138,080.00 | |||||||||
COM | ||||||||||||
CHRISTOPHER & BANKS CORP | 17,525.000 | 455,933.88 | 648,249.75 | |||||||||
COMMON STOCK USD0.01 (FORMERLY BRUANS FASHIONS) |
||||||||||||
CHUBB CORP COM | 30,700.000 | 1,939,374.12 | 1,842,000.00 | |||||||||
CISCO SYSTEMS | 498,630.000 | 9,068,317.08 | 8,371,997.70 | |||||||||
COMMON STOCK NPV | ||||||||||||
CINTAS CORP COM | 6,700.000 | 305,150.18 | 237,381.00 | |||||||||
CITIGROUP INC | 266,057.000 | 8,416,652.16 | 11,387,239.60 | |||||||||
COM | ||||||||||||
CLEAR CHANNEL COMMUNICATIONS INC | 18,400.000 | 1,050,240.01 | 779,976.00 | |||||||||
COM | ||||||||||||
CLOROX CO COM | 30,900.000 | 974,107.59 | 1,317,885.00 | |||||||||
COCA COLA CO COM | 62,400.000 | 3,551,850.72 | 2,895,984.00 |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 10 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | MARKET VALUE |
|||||||||
COGNIZANT TECHNOLOGY SOLUTIONS CORP | 19,181.000 | 331,767.91 | 467,824.59 | |||||||||
COM STK USD0.01 | ||||||||||||
COLGATE PALMOLIVE CO COM | 25,100.000 | 1,310,534.40 | 1,454,545.00 | |||||||||
COLONIAL BANCGROUP | 10,510.000 | 146,471.49 | 145,773.70 | |||||||||
INC COM | ||||||||||||
COMCAST CORP | 95,318.000 | 2,949,831.54 | 2,876,697.24 | |||||||||
CLASS A CM | ||||||||||||
COMCAST CORP | 28,800.000 | 906,488.52 | 834,912.00 | |||||||||
SPECIAL CL A COM STK NEW | ||||||||||||
COMMONWEALTH TEL ENTERPRISES INC | 4,600.000 | 169,693.67 | 202,124.00 | |||||||||
NEW COM | ||||||||||||
COMPUTER SCIENCES COM $US1 | 20,600.000 | 1,303,903.29 | 785,272.00 | |||||||||
CONNECTICUT BANCSHARES INC | 2,700.000 | 108,993.19 | 105,732.00 | |||||||||
COMMON STOCK | ||||||||||||
CONOCOPHILLIPS | 11,800.000 | 747,970.73 | 646,640.00 | |||||||||
COM $US1.25 (FORMERLY PHILLIPS PETROLEUM CO) |
||||||||||||
CONSTELLATION ENERGY GROUP | 65,300.000 | 1,744,115.05 | 2,239,790.00 | |||||||||
NPV FRMLY (BALTIMORE GAS & ELECTRIC COM) |
||||||||||||
COOPER COS INC | 10,940.000 | 258,729.99 | 380,383.80 | |||||||||
COM STK USD0.10 | ||||||||||||
COPART INC | 27,525.000 | 506,219.98 | 260,111.25 | |||||||||
COM STK NPV | ||||||||||||
CORPORATE OFFICE PPTYS TR | 6,600.000 | 91,571.68 | 111,738.00 | |||||||||
CORRECTION CORP OF AMERICA | 42.000 | 0.00 | 1,063.86 | |||||||||
COMMON STOCK FRMLY (CCA PRISON REALTY CORP) |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 11 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
MARKET | ||||||||||||
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | VALUE | |||||||||
COSTAR GROUP INC |
3,575.000 | 99,209.81 | 106,106.00 | |||||||||
COM STK |
||||||||||||
COX COMMUNICATIONS INC |
9,000.000 | 293,061.40 | 287,100.00 | |||||||||
CLASS A COM STK USD0.01 |
||||||||||||
CREE INC |
8,775.000 | 161,968.65 | 142,593.75 | |||||||||
COMMON STOCK USD 0.005 |
||||||||||||
(FORMERLY CREE RESEARCH INC) |
||||||||||||
CTI MOLECULAR IMAGING INC |
16,850.000 | 309,930.12 | 314,252.50 | |||||||||
COM |
||||||||||||
CURTISS-WRIGHT CORP |
2,410.000 | 133,822.77 | 152,312.00 | |||||||||
COM STK USD1 |
||||||||||||
DANAHER CORP COM |
4,600.000 | 255,466.42 | 313,030.00 | |||||||||
DEERE & CO COM $US1 |
34,380.000 | 1,400,293.13 | 1,571,166.00 | |||||||||
DELL COMPUTER COM USD1 |
179,170.000 | 5,814,133.64 | 5,704,772.80 | |||||||||
DELPHI FINANCIAL GROUP INC |
3,540.000 | 125,917.97 | 165,672.00 | |||||||||
CLASS A COM STK USD0.01 |
||||||||||||
DENBURY RES INC |
9,200.000 | 99,985.67 | 123,556.00 | |||||||||
COM NEW |
||||||||||||
DEVON ENERGY CORPORATION NEW |
7,900.000 | 368,102.48 | 421,860.00 | |||||||||
COM |
||||||||||||
DISNEY WALT CO |
146,617.000 | 3,833,412.20 | 2, 895, 685.75 | |||||||||
DISNEY COM |
||||||||||||
DODGE & COX STK FD |
284,306.674 | 26,756,464.93 | 27,378,732.71 | |||||||||
COM |
||||||||||||
DOLLAR
THRIFTY AUTOMOTIVE GROUP INC COM |
6,130.000 | 130,254.35 | 113,711.50 |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 12 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
MARKET | ||||||||||||
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | VALUE | |||||||||
DOLLAR TREE STORES INC |
37,744.000 | 932,330.83 | 1,199,126.88 | |||||||||
COM STK USD0.01 |
||||||||||||
DONNELLEY R R & SONS CO COM |
35,100.000 | 1,071,996.10 | 917,514.00 | |||||||||
DORAL FINL CORP |
5,762.000 | 145,368.84 | 257,273.30 | |||||||||
COM |
||||||||||||
DOW CHEM CO COM |
88,100.000 | 2,562,975.00 | 2,727,576.00 | |||||||||
DOW JONES COM USD1 |
56,700.000 | 2,708,558.66 | 2,439,801.00 | |||||||||
DOWNEY FINL CORP |
5,820.000 | 239,616.85 | 240,366.00 | |||||||||
COM |
||||||||||||
DU- PONT DE NEMOURS |
112,700.000 | 4,674,225.70 | 4,692,828.00 | |||||||||
COM USD0.60 |
||||||||||||
DUKE ENERGY CORPORATION |
87,600.000 | 2,419,583.03 | 1,747,620.00 | |||||||||
DUN & BRADSTREET CORP DEL NEW |
24,500.000 | 439,495.45 | 1,006,950.00 | |||||||||
COMMON STOCK |
||||||||||||
EMC CORP MASSACHUSETTS |
130,500.000 | 6,427,639.34 | 1,366,335.00 | |||||||||
COM STK USD0.01 |
||||||||||||
EAST WEST BANCORP INC |
4,450.000 | 127,538.75 | 160,778.50 | |||||||||
COM |
||||||||||||
EASTMAN KODAK CO COM |
57,800.000 | 2,792,235.07 | 1,580,830.00 | |||||||||
EATON CORP COM |
13,500.000 | 869,952.04 | 1,061,235.00 | |||||||||
EBAY INC |
5,800.000 | 392,967.17 | 603,200.00 | |||||||||
COM STK USD0.01 |
||||||||||||
ECHOSTAR COMMUNICATIONS CORP |
12,800.000 | 727,283.21 | 443,136.00 | |||||||||
CLASS A COM STK USD0.01 |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 13 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
MARKET | ||||||||||||
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | VALUE | |||||||||
EL PASO CORPORATION |
83,000.000 | 1,578,452.14 | 670,640.00 | |||||||||
COMMON STOCK USD3 |
||||||||||||
(FORMERLY EL PASO ENERGY CORP) |
||||||||||||
ELECTRONIC ARTS |
8,600.000 | 450,914.21 | 635,540.00 | |||||||||
COM STK NPV |
||||||||||||
EMCOR GROUP |
4,980.000 | 250,661.43 | 245,812.80 | |||||||||
COM STK USD0.10 |
||||||||||||
EMERSON ELEC CO COM |
50,820.000 | 2,462,061.67 | 2,596,902.00 | |||||||||
ENTEGRIS INC |
12,000.000 | 92,960.40 | 161,880.00 | |||||||||
COMMON STOCK |
||||||||||||
ERICSSON (LM) (TELEFONAKTIEBOLAGET) |
29,400.000 | 214,173.67 | 312,522.00 | |||||||||
ADR B SEK 10 |
||||||||||||
EXPEDITORS INTERN OF WASHINGTON INC |
7,375.000 | 211,613.69 | 254,142.50 | |||||||||
COM STK US$0.01 |
||||||||||||
EXPRESS SCRIPTS INC |
11,700.000 | 568,035.58 | 800,397.00 | |||||||||
CLASS A COMON STOCK USD0.01 |
||||||||||||
EXXON MOBIL CORP |
304,044.000 | 9,183,971.38 | 10,918,220.04 | |||||||||
COMMON STOCK |
||||||||||||
FTI CONSOLTING INC |
10,575.000 | 158,233.72 | 264,057.75 | |||||||||
COM |
||||||||||||
FACTSET RESH SYS INC |
13,675.000 | 424,599.33 | 602,383.75 | |||||||||
COM |
||||||||||||
FAMILY DOLLAR STORES, INC |
11,270.000 | 295,602.60 | 429,950.50 | |||||||||
COM STK USD0.10 |
||||||||||||
FREDDIE MAC |
57,600.000 | 2,546,239.47 | 2,924,352.00 | |||||||||
COM |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 14 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
MARKET | ||||||||||||
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | VALUE | |||||||||
FEDERAL NATIONAL MORTGAGE ASSOC |
125,830.000 | 6,818,634.61 | 8,485,975.20 | |||||||||
COM NPV |
||||||||||||
FIFTH THIRD BANCORP |
30,920.000 | 1,888,493.02 | 1,775,426.40 | |||||||||
COM STK NPV |
||||||||||||
FIRST BANCORP P R |
3,600.000 | 108,702.00 | 98,820.00 | |||||||||
COM |
||||||||||||
FIRST DATA CORP |
49,900.000 | 1,793,826.63 | 2,067,856.00 | |||||||||
COM |
||||||||||||
FLAGSTAR BANCORP INC |
16,460.000 | 170,804.09 | 402,447.00 | |||||||||
COM |
||||||||||||
FIRST ENERGY CORP |
33,035.000 | 710,811.04 | 1,270,195.75 | |||||||||
COMMON STOCK |
||||||||||||
FLEET BOSTON FIN CORP |
88,899.000 | 2,429,438.37 | 2,641,189.29 | |||||||||
COM STK USD.01 |
||||||||||||
(FORMERLY FLEET BOSTON CORP) |
||||||||||||
FORD MOTOR |
64,300.000 | 1,491,649.93 | 706,657.00 | |||||||||
COMMON STOCK |
||||||||||||
FORD CAPITAL TRUST |
12,500.000 | 625,000.00 | 543,125.00 | |||||||||
6.500% CNV PREFERRED STOCK |
||||||||||||
FOREST LABS INC COM |
9,600.000 | 371,854.86 | 525,600.00 | |||||||||
FORTUNE BRANDS INC |
36,600.000 | 1,024,102.36 | 1,910,520.00 | |||||||||
COM |
||||||||||||
FOX ENTERTAINMENT GROUP INC-A SHS |
15,900.000 | 416,551.25 | 457,602.00 | |||||||||
COMMON STOCK |
||||||||||||
FREDS INC |
2,600.000 | 73,583.94 | 97,318.00 | |||||||||
FREMONT GEN CORP COM |
9,500.000 | 114,322.08 | 130,150.00 |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 15 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
MARKET | ||||||||||||
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | VALUE | |||||||||
FRIEDMAN BILLINGS RAMSEY GROUP INC |
26,061.000 | 224,857.11 | 349,217.40 | |||||||||
CLASSACOM USD0.01 (REIT) |
||||||||||||
FRONTIER OIL CORP |
6,700.000 | 108,652.73 | 101,840.00 | |||||||||
COM |
||||||||||||
GENENTECH INC |
5,000.000 | 347,331.50 | 360,600.00 | |||||||||
COM STK |
||||||||||||
GENERAL ELECTRIC CO (U.S.) |
570,500.000 | 17,230,139.12 | 16,361,940.00 | |||||||||
GENERAL MILLS INC COM |
33,300.000 | 1,169,114.51 | 1,578,753.00 | |||||||||
GENUINE PARTS CO COM |
42,400.000 | 1,260,511.18 | 1,357,224.00 | |||||||||
GENZYME CORP COM |
0.295 | 57.77 | 12.35 | |||||||||
GEORGIA GULF CORP |
7,520.000 | 188,175.10 | 148,896.00 | |||||||||
COM PAR $0.01 |
||||||||||||
GILLETTE CO COM |
118,600.000 | 4,120,269.81 | 3,778,596.00 | |||||||||
GOLDEN WEST FINANCIAL COM USD0.10 |
6,200.000 | 383,595.50 | 496,062.00 | |||||||||
GOLDMAN SACHS GROUP INC |
47,610.000 | 3,916,366.45 | 3,987,337.50 | |||||||||
COMMOM STOCK |
||||||||||||
GRACO INC COM |
7,710.000 | 196,455.53 | 246,720.00 | |||||||||
GREAT LAKES CHEM COM USD1 |
53,400.000 | 2,265,596.12 | 1,089,360.00 | |||||||||
HRPT PPTYS TR |
32,480.000 | 286,801.39 | 298,816.00 | |||||||||
COM SH BEN INT |
||||||||||||
HANCOCK JOHN FINL SVCS INC |
24,623.000 | 707,035.03 | 756,664.79 | |||||||||
COM |
||||||||||||
HANDLEMAN CO |
5,400.000 | 81,990.73 | 86,400.00 | |||||||||
COM STK USD0.01 |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 16 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
MARKET | ||||||||||||
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | VALUE | |||||||||
HARBOR FLA BANCSHARES INC |
11,600.000 | 279,094.56 | 278,052.00 | |||||||||
COM |
||||||||||||
HARRIS CORP DEL COM |
1,470,415.000 | 41,627,815.64 | 44,185,970.75 | |||||||||
HASBRO INC COM |
96,300.000 | 1,463,854.97 | 1,684,287.00 | |||||||||
HEALTH MANAGEMENT ASSOC |
19,300.000 | 393,205.33 | 356,085.00 | |||||||||
CLASSAUSD0.01 |
||||||||||||
HEADWATERS INC |
9,300.000 | 141,490.19 | 135,315.00 | |||||||||
COM STK USD0.001 |
||||||||||||
HELMERICH & PAYNE INC COM |
3,600.000 | 95,045.62 | 105,120.00 | |||||||||
HERCULES INC COM |
91,300.000 | 2,845,590.52 | 903,870.00 | |||||||||
HERSHEY FOODS CORP COM |
6,500.000 | 351,394.38 | 452,790.00 | |||||||||
HEWLETT PACKARD CO COM |
163,704.000 | 4,257,331.19 | 3,485,895.20 | |||||||||
HIBBETT SPORTING GOODS INC |
10,425.000 | 212,631.48 | 343,399.50 | |||||||||
COM STK USD0.01 |
||||||||||||
HIGHWOODS PPTYS INC |
9,000.000 | 232,620.12 | 200,700.00 | |||||||||
COM |
||||||||||||
HILTON HOTELS CORP |
102,700.000 | 1,457,449.91 | 1,313,533.00 | |||||||||
COM USD2.50 |
||||||||||||
HOME DEPOT INC COM |
214,190.000 | 6,629,970.46 | 7,093,972.80 | |||||||||
HONEYWELL INTERNATIONAL |
228,920.000 | 7,329,495.19 | 6,146,502.00 | |||||||||
COM STK USD1 |
||||||||||||
FORMERLY ALLIEDSIGNAL INC |
||||||||||||
HOUSTON EXPL CO |
6,300.000 | 211,767.40 | 218,610.00 | |||||||||
COM |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 17 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
MARKET | ||||||||||||
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | VALUE | |||||||||
HOVNANIAN ENTERPRISES INC |
3,000.000 | 103,702.46 | 176,850.00 | |||||||||
CL A COM |
||||||||||||
HUBBELL HARVEY INC CL B |
39,000.000 | 1,202,610.88 | 1,290,900.00 | |||||||||
ICU MEDICAL INC |
18,300.000 | 558,317.11 | 568,947.00 | |||||||||
COMMON STOCK USD0.01 |
||||||||||||
ICON PUB LTD CO |
1,100.000 | 33,419.92 | 35,002.00 | |||||||||
IKON OFFICE SOLUTIONS INC |
39,800.000 | 368,889.45 | 354,220.00 | |||||||||
(FORMERLY ALCO STANDARD CORP) |
||||||||||||
ILEX ONCOLOGY INC |
26,550.000 | 400,152.33 | 514,273.50 | |||||||||
COMMON STOCK USD0.01 |
||||||||||||
ILLINOIS TOOL WKS INC COM |
7,700.000 | 461,729.01 | 507,045.00 | |||||||||
INDEPENDENT BK CORP MICH |
3,400.000 | 91,152.04 | 87,380.00 | |||||||||
COM |
||||||||||||
INTERGRATED CIRCUIT SYSTEMS |
14,550.000 | 283,533.10 | 457,015.50 | |||||||||
COMMON STOCK |
||||||||||||
INTEL CORP |
326,900.000 | 8,825,292.14 | 6,802,789.00 | |||||||||
COMMON STOCK USD0.001 |
||||||||||||
INTERACTIVECORP |
8,600.000 | 325,537.22 | 338,238.00 | |||||||||
USD 0.01 |
||||||||||||
(FORMERLY USA INTERACTIVE) |
||||||||||||
INTERGRAPH |
13,200.000 | 237,167.33 | 279,048.00 | |||||||||
COM USD0.10 |
||||||||||||
INTERNATIONAL BUSINESS MACHS CORP COM |
29,600.000 | 2,864,101.15 | 2,442,000.00 | |||||||||
INTERNATIONAL FLAVORS & FRAGRANCES INC |
41,600.000 | 1,642,296.19 | 1,328,288.00 | |||||||||
COM |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 18 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
MARKET | ||||||||||||
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | VALUE | |||||||||
INTERNATIONAL PAPER CO COM |
152,196.000 | 5,551,251.50 | 5,437,963.08 | |||||||||
INTERSIL CORP |
17,800.000 | 369,652.23 | 473,658.00 | |||||||||
CL A COMMON STOCK USD0.01 |
||||||||||||
INVERESK RESH GROUP INC |
30,575.000 | 441,857.30 | 547,292.50 | |||||||||
COM |
||||||||||||
INVISION TECHNOLOGY |
3,300.000 | 89,628.18 | 81,147.00 | |||||||||
COM STK USD0.01 |
||||||||||||
IRWIN FINANCIAL CORP |
10,000.000 | 214,590,35 | 259,000.00 | |||||||||
COM NPV |
||||||||||||
JP MORGAN CHASE & CO |
91,160.000 | 2,886,922.18 | 3,115,848.80 | |||||||||
COMMON STOCK |
||||||||||||
(FORMERLY CHASE MAHATTAN CORP) |
||||||||||||
JABIL CIRCUIT INC |
118,760.000 | 2,971,433.58 | 2,624,596.00 | |||||||||
JOHNSON & JOHNSON |
163,400.000 | 8,034,286.64 | 8,447,780.00 | |||||||||
COMMON STOCK |
||||||||||||
JOHNSON CTLS INC COM |
14,600.000 | 1,178,248.22 | 1,249,760.00 | |||||||||
KLA-TENCOR CORPORATION |
12,600.000 | 703,766.81 | 585,396.00 | |||||||||
COM STK USD0.001 |
||||||||||||
(FORMERLY KLA INSTRUMENTS) |
||||||||||||
KANEB PIPELINE PARTNERS |
3,620.000 | 125,911.51 | 157,651.00 | |||||||||
COM UNITS NPV |
||||||||||||
KELLOGG CO COM |
17,900.000 | 593,779.16 | 615,223.00 | |||||||||
KIMBERLY CLARK CORP COM |
37,700.000 | 1,895,915.30 | 1,965,678.00 | |||||||||
KINDER MORGAN MANAGEMENT LLC |
4,277.000 | 141,388.28 | 160,216.42 | |||||||||
SHS |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 19 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
MARKET | ||||||||||||
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | VALUE | |||||||||
KNIGHT RIDDER INC |
32,700.000 | 1,504,885.73 | 2,254,011.00 | |||||||||
KNIGHT TRANSPORTATION INC |
24,700.000 | 472,449.20 | 613,054.00 | |||||||||
COM |
||||||||||||
KOHLS CORP |
47,870.000 | 3,072,077.01 | 2,459,560.60 | |||||||||
COM |
||||||||||||
LNR PPTY CORP |
3,900.000 | 121,952.44 | 145,860.00 | |||||||||
COM |
||||||||||||
LABORATORY CORP AMER HLDGS |
12,400.000 | 362,215.35 | 373,860.00 | |||||||||
COM |
||||||||||||
LAM RESEARCH CORPORATION |
11,500.000 | 318,984.26 | 209,415.00 | |||||||||
COM. STK. NPV |
||||||||||||
LANDAMERICA FINL GROUP INC |
7,300.000 | 267,357.14 | 346,750.00 | |||||||||
COM |
||||||||||||
LANDRYS SEAFOOD RESTAURANTS |
11,850.000 | 243,358.60 | 279,660.00 | |||||||||
COM |
||||||||||||
LANDSTAR SYS INC |
3,600.000 | 149,909.98 | 225,216.00 | |||||||||
COM |
||||||||||||
LEGGET & PLATT INC COM |
18,100.000 | 389,430.84 | 371,050.00 | |||||||||
LENNAR CORP |
4,500.000 | 225,121.10 | 321,750.00 | |||||||||
CL A COM |
||||||||||||
LILLY ELI & CO COM |
12,359.000 | 764,540.43 | 852,400.23 | |||||||||
LINCARE HOLDINGS INC |
7,500.000 | 224,169.18 | 237,075.00 | |||||||||
COM |
||||||||||||
LINCOLN NATIONAL CORP |
50,523.000 | 1,609,728.17 | 1,800,134.49 | |||||||||
COM USD1.25 |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 20 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
MARKET | ||||||||||||
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | VALUE | |||||||||
LINEAR TECHNOLOGY CORP COM |
11,900.000 | 342,771.20 | 385,322.00 | |||||||||
LIZ CLAIBORNE |
14,000.000 | 367,540.93 | 493,500.00 | |||||||||
COM USD1 |
||||||||||||
LOCKHEED MARTIN CORP |
31,200.000 | 1,243,051.76 | 1,484,184.00 | |||||||||
COM |
||||||||||||
LOWES COS INC COM |
13,900.000 | 454,505.45 | 597,005.00 | |||||||||
LUCENT TECHNOLOGIES INC |
234,900.000 | 1,972,823.73 | 476,847.00 | |||||||||
COM STK USD0.01 |
||||||||||||
LUCENT |
1,055.000 | 867,095.90 | 1,079,539.30 | |||||||||
PFD CONV 8.00% |
||||||||||||
MBIA COM |
7,250.000 | 284,874.83 | 353,437.50 | |||||||||
MBNA CORP |
175,150.000 | 3,504,766.89 | 3,650,126.00 | |||||||||
COM |
||||||||||||
MGIC INVT CORP |
25,920.000 | 973,360.21 | 1,208,908.80 | |||||||||
WIS COM |
||||||||||||
MACROVISION CORP |
21,525.000 | 427,050.18 | 428,993.25 | |||||||||
COM STK |
||||||||||||
MAGMA DESIGN AUTOMATION INC |
13,900.000 | 146,448.56 | 238,385.00 | |||||||||
COM USD0.0005 |
||||||||||||
MANHATTAN ASSOCS INC |
12,650.000 | 284,251.70 | 328,773.50 | |||||||||
COM |
||||||||||||
MARATHON OIL CORP |
35,500.000 | 892,900.45 | 935,425.00 | |||||||||
COM STK |
||||||||||||
(FORMERLY USX -MARATHON GROUP) |
||||||||||||
MASCO CORP COM |
195,240.000 | 4,857,135.55 | 4,656,474.00 |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 21 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
MARKET | ||||||||||||
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | VALUE | |||||||||
MAXIM INTERGRATED PRODUCTS |
34,470.000 | 563,473.09 | 1,175,427.00 | |||||||||
COM STK NPV |
||||||||||||
MAY DEPT STORES CO COM |
53,150.000 | 1,562,829.86 | 1,183,119.00 | |||||||||
MCCORMICK & CO, INC |
20,600.000 | 270,704.60 | 560,320.00 | |||||||||
COM NON.V NPV |
||||||||||||
MCDONALDS CORP |
119,700.000 | 2,712,367.67 | 2,640,582.00 | |||||||||
COM NPV |
||||||||||||
MCKESSON CORP |
13,000.000 | 425,590.75 | 464,620.00 | |||||||||
COM |
||||||||||||
MEADWESTVACO CORPORATION |
18,000.000 | 425,534.81 | 444,600.00 | |||||||||
COM NPV |
||||||||||||
MEDIACOM COMMUNICATIONS CORP |
21,625.000 | 259,369.49 | 210,627.50 | |||||||||
CL A |
||||||||||||
MEDICIS PHARMACEUTICAL CORP |
5,025.000 | 195,721.64 | 284,917.50 | |||||||||
CL A NEW |
||||||||||||
MEDIMMUNE INC |
6,300.000 | 214,391.84 | 229,131.00 | |||||||||
COM |
||||||||||||
MEDTRONIC INC COM |
117,596.000 | 4,322,326.10 | 5,641,080.12 | |||||||||
MELLON FINL CORP |
77,000.000 | 1,662,619.79 | 2,136,750.00 | |||||||||
COM |
||||||||||||
MERCANTILE BANKSHARES CORP COM |
36,700.000 | 1,027,630.27 | 1,444,145.00 | |||||||||
MERCK & CO INC COM |
199,110.000 | 10,927,668.61 | 12,056,110.50 | |||||||||
MERITAGE CORP |
5,825.000 | 174,127.76 | 286,939.50 | |||||||||
COM |
||||||||||||
MERRILL LYNCH & CO INC COM |
23,700.000 | 1,499,723.36 | 1,106,316.00 |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 22 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
MARKET | ||||||||||||
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | VALUE | |||||||||
METHANEX CORP |
11,400.000 | 120,318.10 | 121,752.00 | |||||||||
COM NPV |
||||||||||||
MICREL INC |
59,800.000 | 668,947.94 | 621,920.00 | |||||||||
COM |
||||||||||||
MICROSOFT CORP |
583,164.000 | 15,855,138.79 | 14,952,324.96 | |||||||||
COMMON STOCK |
||||||||||||
MICROCHIP TECHNOLGY INC |
7,200.000 | 164,875.26 | 178,200.00 | |||||||||
COM |
||||||||||||
MICRON TECHNOLOGY INC |
29,500.000 | 1,187,110.33 | 343,085.00 | |||||||||
COM STK USD0 .10 |
||||||||||||
MILLIPORE CORP COM |
6,400.000 | 322,471.00 | 283,968.00 | |||||||||
MONOLITHIC SYSTEMS TECHNOLOGY INC |
16,050.000 | 181,095.58 | 146,857.50 | |||||||||
COM STK USD0.01 |
||||||||||||
MOODYS CORP |
16,500.000 | 403,437.68 | 869,715.00 | |||||||||
COMMON STOCK |
||||||||||||
MORGAN STANLEY DEAN WITTER DISCOVER & CO |
80,490.000 | 5,896,998.99 | 3,440,947.50 | |||||||||
COM NEW |
||||||||||||
MOTOROLA INC M |
211,478.000 | 3,968,348.83 | 1,994,237.54 | |||||||||
COM USD3.00 |
||||||||||||
MOVIE GALLERY INC |
14,900.000 | 246,943.46 | 277,587.00 | |||||||||
COM |
||||||||||||
MUELLER INDS INC |
3,710.000 | 122,836.90 | 100,578.10 | |||||||||
MYLAN LABORATORIES |
8,700.000 | 211,579.49 | 302,499.00 | |||||||||
COM USD0.50 |
||||||||||||
MYRIAD GENETICS INC |
21,825.000 | 720,282.00 | 296,601.75 | |||||||||
COM STK USD0.01 |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 23 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
MARKET | ||||||||||||
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | VALUE | |||||||||
NVR INC |
1,310.000 | 347,251.52 | 538,410.00 | |||||||||
COM STK USD0.01 |
||||||||||||
NASSDA CORP |
25,100.000 | 257,840.40 | 197,537.00 | |||||||||
COM STK USD0.001 |
||||||||||||
NATIONAL CITY CORP |
33,700.000 | 695,292.89 | 1,102,327.00 | |||||||||
COM USD4 |
||||||||||||
NATIONS FDS INC |
3,816,553.080 | 57,287,503.65 | 56,179,661.33 | |||||||||
INTL VAL INV A |
||||||||||||
NETBANK INC |
11,600.000 | 156,247.95 | 151,380.00 | |||||||||
COM |
||||||||||||
NETWORKS ASSOCS INC |
12,700.000 | 270,044.57 | 161,036.00 | |||||||||
COM |
||||||||||||
NEW CENTURY FINANCIAL CORP |
9,110.000 | 246,815.64 | 395,738.40 | |||||||||
COM |
||||||||||||
NEW PLAN EXCEL RLTY TR INC |
10,470.000 | 201,075.90 | 223,534.50 | |||||||||
COM |
||||||||||||
NEW YORK TIMES CO CL A |
27,200.000 | 1,201,259.35 | 1,237,600.00 | |||||||||
NEWELL RUBBERMAID INC |
54,030.000 | 1,429,647.02 | 1,512,840.00 | |||||||||
COM |
||||||||||||
NEXTEL PARTNERS INC |
48,425.000 | 262,732.85 | 355,439.50 | |||||||||
COMMON STOCK .001 |
||||||||||||
NIKE INC |
9,400.000 | 484,886.09 | 502,806.00 | |||||||||
COM STK CLASS B NPV |
||||||||||||
99 CENTS ONLY STORES |
10,991.000 | 295,542.59 | 377,211.12 | |||||||||
COM |
||||||||||||
NISOURCE INC |
92,100.000 | 2,001,050.55 | 1,749,900.00 | |||||||||
COM |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 24 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
MARKET | ||||||||||||
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | VALUE | |||||||||
NORFOLK SOUTHN CORP COM |
76,000.000 | 2,112,010.45 | 1,459,200.00 | |||||||||
NORTEL NETWORKS CORP NEW |
32,200.000 | 103,181.49 | 86,940.00 | |||||||||
COMMON STOCK |
||||||||||||
NTGI-QM COLLECTIVE DAILY S&P500 EQUITY |
97,104.026 | 251,766,046.10 | 240,212,919.40 | |||||||||
INDEX-FUND-LENDING |
||||||||||||
NTGI-QM COLLECTIVE DAILY AGGREGATE BOND |
581,106.685 | 139,668,784.21 | 176,756,382.59 | |||||||||
INDEX FUND LENDING |
||||||||||||
NORTHERN TRUST CORP |
29,900.000 | 1,004,982.07 | 1,243,840.00 | |||||||||
COM |
||||||||||||
NORTHROP GRUMMAN CORP |
8,400.000 | 946,733.42 | 724,836.00 | |||||||||
COM NPV |
||||||||||||
(FORMERLY NORTHROP CORP) |
||||||||||||
ODYSSEY HEALTHCARE INC |
22,862.000 | 439,512.87 | 845,894.00 | |||||||||
COM USD0.001 |
||||||||||||
OFFICE DEPOT INC |
16,100.000 | 240,712.00 | 233,611.00 | |||||||||
COMMON STOCK USD0.01 |
||||||||||||
OMNICOM GROUP COM USD0. 5 |
8,300.000 | 459,222.17 | 595,110.00 | |||||||||
ONEOK INC NEW |
8,900.000 | 166,305.98 | 174,707.00 | |||||||||
COM |
||||||||||||
OPEN TEXT CORP |
10,000.000 | 268,572.17 | 282,500.00 | |||||||||
COM NPV |
||||||||||||
ORACLE CORP |
262,250.000 | 7,259,621.39 | 3,149,622.50 | |||||||||
COM |
||||||||||||
OREILLY AUTOMOTIVE INC |
47,492.000 | 1,409,674.16 | 1,589,557.24 | |||||||||
COM STK USD0.01 |
||||||||||||
ORTHODONTIC CTRS AMER INC |
19,750.000 | 483,148.05 | 158,197.50 | |||||||||
COM |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 25 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
MARKET | ||||||||||||
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | VALUE | |||||||||
OVERSEAS SHIPHOLDING GP USD |
7,400.000 | 128,978.86 | 162,874.00 | |||||||||
COMMON STOCK USD1 |
||||||||||||
OWENS & MINOR INC |
11,000.000 | 177,458.87 | 245,850.00 | |||||||||
COM |
||||||||||||
OWENS ILLINOIS |
29,210,000 | 376,252.79 | 402,221.70 | |||||||||
COM USD0.001 |
||||||||||||
(REREF FROM 2664909) |
||||||||||||
PMI GROUP INC |
82,000.000 | 1,391,998.46 | 2,200,880.00 | |||||||||
COM STK NPV |
||||||||||||
PPG INDUSTRIES COM |
32,860.000 | 1,651,577.63 | 1,667,316.40 | |||||||||
USD1.666 |
||||||||||||
PPL CORP |
14,634.000 | 567,492.64 | 629,262.00 | |||||||||
COMMON STOCK |
||||||||||||
PACIFIC CAP BANCORP NEW |
5,400.000 | 189,109.90 | 188,676.00 | |||||||||
COM |
||||||||||||
PACIFICARE HEALTH SYSTEMS INC |
8,200.000 | 282,646.29 | 404,506.00 | |||||||||
COM STK |
||||||||||||
PALL CORP COM USD0.25 |
83,800.000 | 1,857,286.91 | 1,885,500.00 | |||||||||
PAN PAC RETAIL PPTYS INC |
2,800.000 | 104,105.93 | 110,180.00 | |||||||||
COM |
||||||||||||
PAPA JOHNS INTERNATIONAL INC |
6,190.000 | 180,032.12 | 173,877.10 | |||||||||
COM STK NPV |
||||||||||||
PARKER HANNIFIN CORP COM NPV |
14,200.000 | 615,903.55 | 596,258.00 | |||||||||
PATINA OIL & GAS CORP |
13,125.000 | 240,834.39 | 421,968.75 | |||||||||
COM |
||||||||||||
PAYCHEX INC COM |
14,800.000 | 518,371.49 | 434,972.00 |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 26 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
MARKET | ||||||||||||
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | VALUE | |||||||||
PEC SOLUTIONS INC |
11,049.000 | 210,869.76 | 177,446.94 | |||||||||
COMMON STOCK USD0.01 |
||||||||||||
PEDIATRIX MED GROUP |
6,825.000 | 205,007.94 | 243,311.25 | |||||||||
COM |
||||||||||||
PENNEY (JC) COM |
15,000.000 | 635,985.27 | 252,750.00 | |||||||||
USD0.50 |
||||||||||||
PEOPLESOFT INC |
5,400.000 | 133,309.61 | 94,824.00 | |||||||||
COM |
||||||||||||
PEPSICO INC COM |
118,460.000 | 5,577,506.76 | 5,271,470.00 | |||||||||
PFIZER INC COM |
330,955.000 | 11,394,459.57 | 11,302,113.25 | |||||||||
PHARMACEUTICAL PRODUCT DEVELOPMENT |
17,975.000 | 487,821.18 | 516,062.25 | |||||||||
COM STK USD0.01 |
||||||||||||
PHELPS DODGE CORP USD6. 2 5 |
42,360.000 | 1,096,233.98 | 1,624,082.40 | |||||||||
PIMCO FDS MULTI MANAGER SER |
317,883.070 | 6,635,354.58 | 7,819,923.52 | |||||||||
RCM GLOBAL TECHNOLOGY FD |
||||||||||||
PRAXAIR INC. |
64,889.000 | 2,858,429.19 | 3,899,828.90 | |||||||||
COM STK USD0.01 |
||||||||||||
PRIORITY HEALTHCARE CORP |
17,000.000 | 439,506.13 | 316,200.00 | |||||||||
CL B |
||||||||||||
PROASSURANCE CORP |
6,700.000 | 151,572.16 | 180,833.00 | |||||||||
COM |
||||||||||||
(FORMERLY MEDICAL ASSURANCE INC) |
||||||||||||
PROCTER
& GAMBLE CO COM |
46,530.000 | 3,911,454.37 | 4,149,545.40 | |||||||||
PROSPERITY BANCSHARES INC |
8,950.000 | 166,391.16 | 171,929.50 | |||||||||
COM |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 27 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
MARKET | ||||||||||||
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | VALUE | |||||||||
PRUDENTIAL FINANCIAL INC |
18,900.000 | 552,614.12 | 635,985.00 | |||||||||
COM USD0.01 |
||||||||||||
QUALCOMM INC |
72,040.000 | 3,772,443.34 | 2,589,117.60 | |||||||||
COM STK USD0.0001 |
||||||||||||
QUEST DIAGNOSTICS INC |
6,500.000 | 359,404.70 | 414,700.00 | |||||||||
COM |
||||||||||||
QWEST COMMUNICATIONS INTL INC |
434,500.000 | 3,977,810.22 | 2,076,910.00 | |||||||||
COM |
||||||||||||
R & G FINL CORP |
3,900.000 | 93,722.61 | 115,830.00 | |||||||||
CL B |
||||||||||||
RADIAN GROUP INC |
80,783.000 | 1,775,190.53 | 2,960,696.95 | |||||||||
COM |
||||||||||||
RAMBUS INC |
13,900.000 | 186,822.70 | 229,628.00 | |||||||||
COMMON STOCK (USD0.001) |
||||||||||||
RAYTHEON CO NEW |
32,800.000 | 1,012,356.82 | 1,077,152.00 | |||||||||
COM STK USD0.01 |
||||||||||||
READERS DIGEST ASSN INC |
52,900.000 | 1,042,296.37 | 713,092.00 | |||||||||
COM FORMERLY CL A NON VTG |
||||||||||||
REHABCARE GROUP INC |
7,125.000 | 175,863.45 | 104,381.25 | |||||||||
COM |
||||||||||||
RENAISSANCE LEARNNING INC |
4,675.000 | 95,997.77 | 101,447.50 | |||||||||
COMMON STOCK USD0.01 |
||||||||||||
(FORMERLY ADVANTAGE LEARNING SYS INC) |
||||||||||||
RENT A CTR INC |
3,525.000 | 134,642.79 | 267,230.25 | |||||||||
COM |
||||||||||||
RESEARCH IN MOTION LTD |
9,900.000 | 167,475.30 | 214,038.00 | |||||||||
COM |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 28 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
MARKET | ||||||||||||
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | VALUE | |||||||||
RESOURCES CONNECTION INC |
18,000.000 | 372,058.15 | 429,660.00 | |||||||||
COM
|
||||||||||||
ROCKWELL AUTOMATION INC |
54,700.000 | 862,154.83 | 1,304,048.00 | |||||||||
NEW COM STK USD1 |
||||||||||||
ROCKWELL COLLINS INC |
81,500.000 | 1,733,419.42 | 2,007,345.00 | |||||||||
COM STK USD0.01 |
||||||||||||
ROLLINS, INC |
10,350.000 | 212,493.82 | 195,097.50 | |||||||||
COM STK USD1 |
||||||||||||
ROYAL DUTCH PETE CO |
59,200.000 | 2,638,253.03 | 2,759,904.00 | |||||||||
N Y REGISTRY SH PAR N CLDR 1.25 |
||||||||||||
SBC COMMUNICATIONS INC |
154,692.000 | 5,773,673.13 | 3,952,380.60 | |||||||||
COM |
||||||||||||
SLM CORP |
15,600.000 | 537,528.96 | 611,052.00 | |||||||||
COM STK |
||||||||||||
(FORMERLY USA EDUCATION INC) |
||||||||||||
SAFECO CORP |
62,800.000 | 2,185,034.96 | 2,216,212.00 | |||||||||
ST.JUDE MEDICAL INC |
15,500.000 | 596,114.75 | 891,250.00 | |||||||||
COM STK USD0.10 |
||||||||||||
ST PAUL COS INC COM |
40,454.000 | 1,286,338.28 | 1,476,975.54 | |||||||||
SALIX PHARMACEUTICALS LTD |
12,700.000 | 152,247.54 | 131,953.00 | |||||||||
COMMON STOCK |
||||||||||||
SAN JUAN BASIN ROYALITY TRUST |
15,700.000 | 239,804.37 | 281,815.00 | |||||||||
UNITS OF BNF INT NPV |
||||||||||||
SCHERING PLOUGH CORP COM |
156,000.000 | 4,996,198.95 | 2,901,600.00 | |||||||||
SCHLUMBERGER LTD |
61,650.000 | 2,912,834.31 | 2,932,690.50 | |||||||||
COM |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 29 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
MARKET | ||||||||||||
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | VALUE | |||||||||
SCHWAB CHARLES CORP NEW COM |
26,050.000 | 650,024.79 | 262,844.50 | |||||||||
SEMTECH CORP |
13,500.000 | 214,023.96 | 192,375.00 | |||||||||
COM STK USD0.01 |
||||||||||||
SHOPKO STORES INC COM |
19,380.000 | 344,851.66 | 251,940.00 | |||||||||
SICOR INC |
10,075.000 | 197,035.05 | 204,925.50 | |||||||||
COM |
||||||||||||
SIEBEL SYS INC |
7,200.000 | 77,404.55 | 68,277.60 | |||||||||
COM |
||||||||||||
SIERRA HEALTH SERVICES INC |
14,700.000 | 193,850.83 | 294,000.00 | |||||||||
COM STK USD0.01 |
||||||||||||
SILICON VY BANKSHARES |
9,100.000 | 230,934.19 | 216,671.00 | |||||||||
COM |
||||||||||||
SIMON PPTY GROUP INC NEW |
37,368.000 | 913,057.32 | 1,458,473.04 | |||||||||
COM |
||||||||||||
SMURFIT-STONE CONTAINER CORP |
19,100.000 | 274,075.32 | 248,491.00 | |||||||||
COM |
||||||||||||
SOUTHWEST AIRLS CO COM |
28,900.000 | 529,359.79 | 497,080.00 | |||||||||
COMMON STOCK |
||||||||||||
SOUTHWESTERN ENERGY CO |
10,900.000 | 138,729.36 | 163,609.00 | |||||||||
COM STK USD2.50 |
||||||||||||
SPRINT CORP |
111,400.000 | 2,548,414.52 | 1,604,160.00 | |||||||||
COM |
||||||||||||
STANLEY WORKS COM USD2.50 |
32,000.000 | 697,600.00 | 883,200.00 | |||||||||
STAR GAS PARTNERS L P |
5,300.000 | 112,663.14 | 116,441.00 | |||||||||
UNIT LTD PARTNERSHIP INT |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 30 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
MARKET | ||||||||||||
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | VALUE | |||||||||
STARWOOD HOTELS & RESORTS WORLDWIDE INC |
71,602.000 | 2,720,313.55 | 2,047,101.18 | |||||||||
COM |
||||||||||||
STATE STREET PASSIVE BOND MARKET |
1,976,678.628 | 28,810,793.57 | 30,462,594.34 | |||||||||
INDEX FUND |
||||||||||||
STATE STREET CORP |
64,770.000 | 2,732,572.52 | 2,551,938.00 | |||||||||
COM |
||||||||||||
STATEN IS BANCORP INC |
13,240.000 | 241,581.05 | 257,915.20 | |||||||||
COM |
||||||||||||
STEEL DYNAMICS INC |
9,400.000 | 127,654.57 | 129,626.00 | |||||||||
COM STK USD0.01 |
||||||||||||
STEWART INFORMATION SERVICES CORP |
7,900.000 | 183,704.50 | 220,015.00 | |||||||||
COM STK USD 0.01 |
||||||||||||
STONE ENERGY CORP |
10,200.000 | 347,739.45 | 427,584.00 | |||||||||
COM |
||||||||||||
SUN MICROSYSTEMS COM USD0. 0006 |
51,600.000 | 756,929.03 | 239,940.00 | |||||||||
SUNRISE SENIOR LIVING INC |
9,340.000 | 261,164.33 | 209,029.20 | |||||||||
COM |
||||||||||||
(FORMERLY SUNRISE ASSISTED LIVING INC) |
||||||||||||
SYMYX TECHNOLOGIES INC |
13,425.000 | 191,163.21 | 221,378.25 | |||||||||
COM |
||||||||||||
SYNOPSYS INC |
7,805.000 | 401,425.89 | 483,363.65 | |||||||||
COM STK USD0.01 |
||||||||||||
SYSCO CORP USD1 |
23,800.000 | 705,632.37 | 714,952.00 | |||||||||
TCF FINANCIAL CORP COM |
5,350.000 | 228,774.05 | 213,144.00 | |||||||||
TXU CORP |
76,100.000 | 1,218,530.44 | 1,708,445.00 | |||||||||
COM |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 31 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | MARKET VALUE |
|||||||||
TARGET CORP | 100,070.000 | 2,782,323.80 | 3,786,648.80 | |||||||||
COMMON STOCK USD.1667 FORMERLY DAYTON HUDSON CORP |
||||||||||||
TECHNE CORP | 25,525.000 | 768,860.20 | 774,683.75 | |||||||||
COM | ||||||||||||
TERADYNE,INC COM |
9,000.000 | 349,594.10 | 155,790.00 | |||||||||
STK USD0.125 | ||||||||||||
TETRA TECH INC | 7,600.000 | 98,979.36 | 132,240.00 | |||||||||
NEW COM | ||||||||||||
TEXAS INSTRS INC COM | 115,900.000 | 3,495,809.60 | 2,039,840.00 | |||||||||
3M CO | 13,300.000 | 1,624,378.81 | 1,715,434.00 | |||||||||
COM STK NPV (FORMERLY MINNESOTA MINING & MFG) |
||||||||||||
TOLL BROS INC | 7,200.000 | 167,653.89 | 203,832.00 | |||||||||
TORO CO | 10,080.000 | 273,078.43 | 400,680.00 | |||||||||
TOYS R US COM USD0.10 | 92,300.000 | 1,605,055.24 | 1,118,676.00 | |||||||||
TRAVELERS PPTY CAS COM |
3,593.000 | 64,699.01 | 57,128.70 | |||||||||
STK USD0.01 CL A | ||||||||||||
TRAVELERS PPTY CAS CORP | 7,383.000 | 143,648.67 | 116,429.91 | |||||||||
COMMON STOCK CL B | ||||||||||||
TRIMBLE NAVIGATION | 6,800.000 | 160,683.18 | 156,604.00 | |||||||||
COM STK NPV | ||||||||||||
TYCO INTL LTD NEW | 72,700.000 | 1,713,917.68 | 1,379,846.00 | |||||||||
COM | ||||||||||||
UST INC COM USD0.5 | 50,100.000 | 1,499,210.78 | 1,755,003.00 |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 32 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | MARKET VALUE |
|||||||||
UNION PAC CORP COM | 46,000.000 | 2,441,699.47 | 2,668,920.00 | |||||||||
UNISOURCE ENERGY CORP | 8,400.000 | 144,459.92 | 157,920.00 | |||||||||
COM | ||||||||||||
UNITED AUTO GROUP | 12,600.000 | 233,239.96 | 274,428.00 | |||||||||
COM STK USD0.0001 | ||||||||||||
UNITED ONLINE INC | 4,700.000 | 47,709.68 | 119,098.00 | |||||||||
COMMON STOCK (FORMERLY NETZERO INC) |
||||||||||||
UNITED PARCEL SERVICES | 12,300.000 | 759,653.99 | 783,510.00 | |||||||||
CLASS B SHARS | ||||||||||||
UNITED RENTALS INC | 25,200.000 | 241,393.74 | 350,028.00 | |||||||||
COM STK USD0.01 | ||||||||||||
UNITED TECHNOLOGIES CORP COM | 23,830.000 | 1,529,879.14 | 1,687,878.90 | |||||||||
UNITEDHEALTH GROUP INC | 35,200.000 | 1,416,402.47 | 1,768,800.00 | |||||||||
COMMON STOCK USD0.01 | ||||||||||||
UNIVERSAL CORP VA COM | 4,710.000 | 165,983.87 | 199,233.00 | |||||||||
UNIVISION COMMUNICATIONS INC | 14,700.000 | 423,325.98 | 446,880.00 | |||||||||
CL A | ||||||||||||
UNOCAL CORP COM | 58,500.000 | 2,039,705.70 | 1,678,365.00 | |||||||||
UNUMPROVIDENT CORP | 113,600.000 | 2,728,719.73 | 1,523,376.00 | |||||||||
COM | ||||||||||||
USTARCOM INC | 21,550.000 | 436,059.62 | 768,042.00 | |||||||||
USD0.00125 (REREF FROM RUTSTAR) |
||||||||||||
VALERO ENERGY CORP NEW | 2,000.000 | 85,664.56 | 72,660.00 | |||||||||
COM |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 33 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | MARKET VALUE |
|||||||||
VERITAS DOC INC | 11,600.000 | 119,915.86 | 133,400.00 | |||||||||
COM STK USD0.01 | ||||||||||||
VERIZON COMMUNICATIONS | 138,134.000 | 5,073,736.84 | 5,449,386.30 | |||||||||
COMMON STOCK | ||||||||||||
VERITAS SOFTWARE CO | 17,599.000 | 916,784.58 | 507,203.18 | |||||||||
COM | ||||||||||||
VIACOM INC | 26,007.000 | 1,064,167.64 | 1,135,465.62 | |||||||||
CLASS B COMMON | ||||||||||||
VISX | 10,000.000 | 161,184.18 | 173,500.00 | |||||||||
COM STK NPV | ||||||||||||
WGL HOLDINGS INC | 12,300.000 | 318,135.63 | 328,410.00 | |||||||||
W HLDG CO INC | 11,200.000 | 189,847.41 | 189,504.00 | |||||||||
COM | ||||||||||||
WACHOVIA CORP 2ND NEW | 18,800.000 | 688,518.85 | 751,248.00 | |||||||||
COM | ||||||||||||
WAL MART STORES INC COM | 179,620.000 | 6,140,823.24 | 9,640,205.40 | |||||||||
WALGREEN CO COM | 96,560.000 | 2,381,809.33 | 2,906,456.00 | |||||||||
WASTE MGMT INC DEL | 107,172.000 | 2,709,590.01 | 2,581,773.48 | |||||||||
COM | ||||||||||||
WATERS CORP COM |
13,200.000 | 409,845.42 | 384,516.00 | |||||||||
STK USD0.01 | ||||||||||||
WELLS FARGO & CO NEW | 33,300.000 | 1,176,036.54 | 1,678,320.00 | |||||||||
COM | ||||||||||||
WEST CORPORATION | 19,950.000 | 417,396.06 | 531,667.50 | |||||||||
COMMON STOCK USD1 (FORMERLY WEST TELESERVICES CORP) |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 34 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | MARKET VALUE |
|||||||||
WESTAR ENERGY INC | 9,900.000 | 98,680.50 | 160,677.00 | |||||||||
COM STK USD5 (FORMERLY WESTERN RESOURCES INC) |
||||||||||||
WEYERHAEUSER CO COM | 37,620.000 | 1,731,934.70 | 2,031,480.00 | |||||||||
WHOLE FOODS MARKET INC | 2,500.000 | 102,302.57 | 118,825.00 | |||||||||
COM STK NPV | ||||||||||||
WILLIAMS ENERGY PARTNERS L P | 3,500.000 | 110,950.00 | 165,760.00 | |||||||||
COM UN PRT LTD | ||||||||||||
WILMINGTON TRUST CORPORATION | 18,300.000 | 504,138.03 | 537,105.00 | |||||||||
NEW | ||||||||||||
WRIGLEY (WILLIAM) JUNIOR CO | 43,250.000 | 2,378,479.50 | 2,431,947.50 | |||||||||
COM STK NPV | ||||||||||||
WYETH | 182,700.000 | 7,566,951.65 | 8,321,985.00 | |||||||||
USD0.3333 (FORMERLY AMERICAN HOME PRODUCTS CORP) |
||||||||||||
XILINX INC | 13,600.000 | 505,411.10 | 344,080.00 | |||||||||
COMMON STOCK | ||||||||||||
XEROX CORP COM | 41,000.000 | 944,991.26 | 434,190.00 | |||||||||
YAHOO INC COM |
23,000.000 | 786,492.59 | 752,100.00 | |||||||||
STK USD0.01 | ||||||||||||
YANKEE CANDLE INC | 12,125.000 | 250,283.16 | 281,542.50 | |||||||||
COM | ||||||||||||
ZALE CORP | 3,280.000 | 120,634.19 | 131,200.00 | |||||||||
COM NEW | ||||||||||||
ZIMMER HLDGS INC | 8,560.000 | 275,117.25 | 385,628.00 | |||||||||
COM |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 35 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | MARKET VALUE |
|||||||||
ALLSTATE LIFE INSURANCE | 63,206,133.130 | 63,206,133.13 | 63,206,133.13 | |||||||||
GIC #77064 5.430% | ||||||||||||
STATE STREET BANK & TRUST | 74,675,489.580 | 74,675,489.58 | 74,675,489.58 | |||||||||
GAC #97019 SYNTHETIC GIC #172481 |
||||||||||||
PRUDENTIAL LIFE INSURANCE | 5,329,503.830 | 5,329,503.83 | 5,329,503.83 | |||||||||
#10010-215 4.740% 02/11/2005 |
||||||||||||
GE LIFE & ANNUITY ASSURANCE CO | 12,792,805.540 | 12,792,805.54 | 12,792,805.54 | |||||||||
7.160% 12/08/2003 | ||||||||||||
MONUMENTAL LIFE INS CO | 8,091,191.830 | 8,091,191.83 | 8,091,191.83 | |||||||||
MDA 00076FR 6.000% 04/19/2004 |
||||||||||||
MONUMENTAL LIFE | 83,451,008.760 | 83,451,008.76 | 83,451,008.76 | |||||||||
CONTRACT #00245TR 6.410% DTD 01JUL2000 DUE 01JUL2002 |
||||||||||||
ALLSTATE LIFE INS | 3,458,174.960 | 3,458,174.96 | 3,458,174.96 | |||||||||
#GA-6316 6.030% DTD 25JAN2001 DUE 27JAN2005 |
||||||||||||
CAISSE DES DEPOT | 8,020,762.310 | 8,020,762.31 | 8,020,762.31 | |||||||||
BRIC 121-07 | ||||||||||||
ALLSTATE LIFE INS | 5,675,599.530 | 5,675,599.53 | 5,675,599.53 | |||||||||
#GA-6326 5.930% DTD 19APR2001 DUE 19APR2005 |
||||||||||||
MASS MUTUAL #35083 | 5,326,680.900 | 5,326,680.90 | 5,326,680.90 | |||||||||
4.000% DTD 16NOV2001 DUE 22NOV2004 | ||||||||||||
SECURITY LIFE OF DENVER | 4,449,556.880 | 4,449,556.88 | 4,449,556.88 | |||||||||
#SA-0286 5.540% 07/12/2004 |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 36 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | MARKET VALUE |
|||||||||
PRUDENTIAL CAP-MAC INSD | 5,455,951.280 | 5,455,951.28 | 5,455,951.28 | |||||||||
#10010-214 4.960% DTD 09/06/2001 DUE 09/07/2004 |
||||||||||||
SECURITY LIFE OF DENVER | 5,619,068.290 | 5,619,068.29 | 5,619,068.29 | |||||||||
#SA-0240 5.360% 04/07/2004 |
||||||||||||
METLIFE | 2,209,381.500 | 2,209,381.50 | 2,209,381.50 | |||||||||
#GAC-28220 5.400% DTD 09AUG2001 DUE 10AUG2004 |
||||||||||||
UBS AG | 73,382,967.750 | 73,382,967.75 | 73,382,967.75 | |||||||||
#5012 5.898% 05/03/2005 |
||||||||||||
NEW YORK LIFE | 6,667,042.520 | 6,667,042.52 | 6,667,042.52 | |||||||||
GA30972-002 5.330% DTD 19JUN2001 DUE 28JUN2004 |
||||||||||||
BANK OF AMERICA NT&SA | 74,131,426.880 | 74,131,426.88 | 74,131,426.88 | |||||||||
CONTRACT #99-220 GIC 5.96% | ||||||||||||
CHASE SYNTHETIC | 60,514,495.050 | 60,514,495.05 | 60,514,495.05 | |||||||||
GIC# 433121-LT 5.710% DTD 01JUN2000 DUE 01SEP2003 |
||||||||||||
JOHN HANCOCK LIFE INS | 9,582,862.180 | 9,582,862.18 | 9,582,862.18 | |||||||||
GAC #15017 7.420% 15AUG2005 |
||||||||||||
METROPOLITAN LIFE INS CO | 5,251,531.350 | 5,251,531.35 | 5,251,531.35 | |||||||||
GAC 28845 1.790% DTD 25JUN2003 DUE 23JUN2005 |
||||||||||||
NEW YORK LIFE INS # 31340 | 5,355,024.540 | 5,355,024.54 | 5,355,024.54 | |||||||||
4.190% 31JAN2005 | ||||||||||||
TRAVELERS INSURANCE COMPANY | 5,061,087.930 | 5,061,087.93 | 5,061,087.93 | |||||||||
GR-18502 2.920% DTD 01JAN2003 DUE 28JAN2010 |
EIN 34-0276860
SCHEDULE II
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK |
SCHEDULE H ITEM 4I - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES JUNE 30, 2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS (TRADE -DATED) 07/21/03 E25A CAHASR PAGE 37 |
ACCOUNT 124079 - COMBINED | HARRIS COROPORATION |
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST | MARKET VALUE |
||||||||||
NEW YORK LIFE INS CO | 2,100,163.160 | 2,100,163.16 | 2,100,163.16 | ||||||||||
GA 31340-002 4.120% DTD 15APR2002 DUE 15APR2004 |
|||||||||||||
METROPOLITAN LIFE INS CO | 6,041,891.310 | 6,041,891.31 | 6,041,891.31 | ||||||||||
CONTRACT #28813 2.830% DTD 01APR2003 DUE 27MAR2006 |
|||||||||||||
METROPOLITAN LIFE INS CO | 3,170,199.430 | 3,170,199.43 | 3,170,199.43 | ||||||||||
GAC 28590 4.830% DTD 30APR2002 DUE 26APR2005 |
|||||||||||||
MONUMENTAL LIFE INSURANCE COMPANY | 7,555,849.830 | 7,555,849.83 | 7,555,849.83 | ||||||||||
SV04304Q 2.190% DTD 26FEB2003 DUE 26FEB2013 |
|||||||||||||
ACCOUNT TOTAL | 1,831,373,283.71 | 1,850,532,530.23 | |||||||||||
LESS AMOUNTS INCLUDED IN CASH AND CASH EQUIVALENTS ON THE BALANCE SHEET |
(93,850,131.23 | ) | (93,850,131.23 | ) | |||||||||
1,737,523,152.48 | 1,756,682,399.00 | ||||||||||||
EIN 34-0276860
SCHEDULE III
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK ACCOUNT 124079 - COMBINED |
SCHEDULE H ITEM 4I PART 2 - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES FROM 07/01/2002 TO 06/30/2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS |
HARRIS COROPORATION
RETIREMENT PLAN
COMBINED REPORT
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST OF ACQUISITIONS |
PROCEEDS OF DISPOSITIONS |
|||||||||
FRESH DELMONTE PRODUCE | 10,700.000 | 247,479.04 | ||||||||||
COM STK | 24,200.000 | 583,815.40 | ||||||||||
02MICRO INTERNATIONAL LIMITED | 14,625.000 | 129,101.15 | ||||||||||
COMMON STOCK | 2,550.000 | 31,803.96 | ||||||||||
TARO PHARMACEUTICAL INDS LTD | 4,475.000 | 170,287.35 | ||||||||||
ORD | 9,875.000 | 395,212.45 | ||||||||||
QIAGEN INC | 50,825.000 | 326,371.64 | ||||||||||
ADR COM | 14,700.000 | 105,084.35 | ||||||||||
RESERVE INVSTMT FUND INC | 8,512,305.140 | 8,512,305.14 | ||||||||||
05/20/2000 | 10,121,000.000 | 10,121,000.00 | ||||||||||
HARRIS RETIREMENT PLAN LOAN | 14,401,717.910 | 14,401,717.91 | ||||||||||
11,652,285.840 | 11,652,285.84 | |||||||||||
AGRIUM INC | 16,200.000 | 190,229.44 | ||||||||||
COM NPV USD | 16,200.000 | 176,028.19 | ||||||||||
ALCATEL ALSTHOM | 40,200.000 | 258,288.53 | ||||||||||
& SPONSORED ADR | 40,200.000 | 359,132.18 | ||||||||||
BALLARD PWR SYS INC | 33,100.000 | 340,438.21 | ||||||||||
COM | 33,100.000 | 373,272.10 | ||||||||||
HURRICANE HYDROCARBONS LTD | 9,880.000 | 65,921.78 | ||||||||||
CL A | 25,680.000 | 241,828.72 | ||||||||||
PHARMACIA CORP | 9,000.000 | 385,985.09 | ||||||||||
COMMON STOCK (ACQUIRED) | 29,300.000 | 1,192,442.93 | ||||||||||
ROYAL DUTCH PETE CO | 19,400.000 | 843,732.76 | ||||||||||
N Y REGISTRY SH PAR N CLDR 1.25 | 6,500.000 | 273,481.86 |
EIN 34-0276860
SCHEDULE III
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK ACCOUNT 124079 - COMBINED |
SCHEDULE H ITEM 4I PART 2 - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES FROM 07/01/2002 TO 06/30/2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS |
||
HARRIS CORP RETIREMENT PLAN COMBINED |
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST OF ACQUISITIONS |
PROCEEDS OF DISPOSITIONS |
|||||||||
TYCO INTL GROUP S A | 342,000.000 | 342,000.00 | ||||||||||
CONV 2.750% DTD 09JAN2003 DUE 15JAN2018 | 342,000.000 | 362,520.00 | ||||||||||
TYCO INTL GROUP S A | 171,000.000 | 171,000.00 | ||||||||||
CONV 3.125% DTD 09JAN2003 DUE 15JAN2023 | 171,000.000 | 181,687.50 | ||||||||||
ALLSTATE LIFE INSURANCE | 21,875,777.020 | 21,875,777.02 | ||||||||||
GIC #77064 5.430% | 11,780,098.010 | 11,780,098.01 | ||||||||||
BUSINESS MENS ASSURANCE | 276,818.920 | 276,818.92 | ||||||||||
#1309 | 6,365,759.240 | 6,365,759.24 | ||||||||||
5.410% 05/05/2003 | ||||||||||||
CDC INVESTMENT MGMT CORP | 85,539.910 | 85,539.91 | ||||||||||
BRIC #121-05 @ 6.020 % | 5,097,109.330 | 5,097,109.33 | ||||||||||
22/DEC/2002 | ||||||||||||
STATE STREET BANK & TRUST | 13,488,298.940 | 13,488,298.94 | ||||||||||
GAC #97019 | 3,665,160.360 | 3,665,160.36 | ||||||||||
SYNTHETIC GIC #172481 | ||||||||||||
CDC INVESTMENT MGMT CORP | 243,299.990 | 243,299.99 | ||||||||||
BRIC #121-06 | 7,764,538.950 | 7,764,538.95 | ||||||||||
5.890% 06/08/2003 | ||||||||||||
MONUMENTAL LIFE INS CO | 480,124.160 | 480,124.16 | ||||||||||
MDA 00076FR | 482,707.940 | 482,707.94 | ||||||||||
6.000% 04/19/2004 | ||||||||||||
MONUMENTAL LIFE | 27,977,123.710 | 27,977,123.71 | ||||||||||
CONTRACT #00245TR | 4,413,535.940 | 4,413,535.94 | ||||||||||
6.410% DTD 01JUL2000 DUE 01JUL2002 | ||||||||||||
SUNAMERICA LIFE | 255,423.210 | 255,423.21 | ||||||||||
#4993 | 3,726,303.970 | 3,726,303.97 | ||||||||||
7.530% DTD 28MAY2000 DUE 23JUN2003 |
EIN 34-0276860
SCHEDULE III
DEUTSCHE BANK TRUST COMPANY AMERICAS NEW YORK ACCOUNT 124079 - COMBINED |
SCHEDULE H ITEM 4I PART 2 - SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES FROM 07/01/2002 TO 06/30/2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS |
||
HARRIS CORP RETIREMENT PLAN COMBINED |
IDENTITY OF ISSUE, BORROWER, OR SIMILAR PARTY | DESCRIPTION OF INTEREST | COST OF ACQUISITIONS |
PROCEED OF DISPOSITIONS |
|||||||||
METROPOLITAN LIFE | 215,545.310 | 215,545.31 | ||||||||||
# GAC 25857 | 5,558,547.660 | 5,558,547.66 | ||||||||||
5.430% DTD 03/01/2001 DUE 03/31/2003 | ||||||||||||
CAISSE DES DEPOT | 289,670.220 | 289,670.22 | ||||||||||
BRIC 121-07 | 305,542.410 | 305,542.41 | ||||||||||
UBS AG | 28,048,964.400 | 28,048,964.40 | ||||||||||
#5012 | 11,087,069.170 | 11,087,069.17 | ||||||||||
5.898% 05/03/2005 | ||||||||||||
MASS MUTUAL LIFE INS CO | 204,557.930 | 204,557.93 | ||||||||||
#35069 | 5,517,133.850 | 5,517,133.85 | ||||||||||
5.030% DTD 04/06/2001 DUE 04/07/2003 | ||||||||||||
BANK OF AMERICA NT&SA | 29,467,703.610 | 29,467,703.61 | ||||||||||
CONTRACT #99-220 GIC 5.96% | 8,075,804.300 | 8,075,804.30 | ||||||||||
SUN AMERICA GIC | 409,574.280 | 409,574.28 | ||||||||||
#4991 | 6,210,506.620 | 6,210,506.62 | ||||||||||
7.530% DTD 14JUN2000 DUE 09JUN03 | ||||||||||||
CHASE SYNTHETIC | 13,305,281.840 | 13,305,281.84 | ||||||||||
GIC# 433121-LT | 15,315,260.800 | 15,315,260.80 | ||||||||||
5.710% DTD 01JUN2000 DUE 01SEP2003 | ||||||||||||
JOHN HANCOCK LIFE INS | 667,800.000 | 667,800.00 | ||||||||||
GAC #15017 | 667,800.000 | 667,800.00 | ||||||||||
7.420% 15AUG2005 | ||||||||||||
PRUDENTIAL GA#10010 | 378,292.980 | 378,292.98 | ||||||||||
6.170% 06/17/2003 | 6,742,743.140 | 6,742,743.14 |
EIN 34-0276860
SCHEDULE V
NEW YORK DEUTSCHE BANK TRUST COMPANY AMERICAS ACCOUNT 124079 - COMBINED |
SCHEDULE H ITEM 4J PART 2 - SCHEDULE OF REPORTABLE TRANSACTIONS CUMULATIVE TRANSACTIONS BY ISSUE ASSETS HELD FOR INVESTMENT PURPOSES FROM 07/01/2002 TO 06/30/2003 |
GLOBAL ASSETS - EB PREPARED ON ACCRUAL BASIS |
HARRIS COROPORATION
RETIREMENT PLAN
COMBINED REPORT
MARKET VALUE 06/30/2002 $1,845,771,576.16
DISPOSED | ACQUIRED | |||||||||||||||||||
SECURITY DESCRIPTION | SALES | PROCEEDS | GAIN OR LOSS- | PURCHASES | COST | |||||||||||||||
PYRAMID DIRECTED ACCOUNT CASH |
861 | 388,216,789.47 | 0.00 | 956 | 378,780,696.27 | |||||||||||||||
FUND |
||||||||||||||||||||
STI CLASSIC INSTITUTIONAL CASH MGMT |
329 | 104,469,951.37 | 0.00 | 243 | 109,731,627.48 | |||||||||||||||
MONEY MARKET FUND |
||||||||||||||||||||
PYRAMID EQUITY INDEX FUND |
82 | 75,001,683.19 | 17,737,876.41- | 79 | 58,176,847.67 |
EIN 34-0276860
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/ David S. Wasserman David S. Wasserman |
Date: December 23, 2003