þ | ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
For the fiscal year ended December 31, 2005 |
o | TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
For the transition period from to |
PHELPS DODGE EMPLOYEE SAVINGS PLAN | ||||
Date: June 29, 2006
|
By: | /s/Nancy F. Mailhot | ||
Nancy F. Mailhot, Chairman | ||||
Benefits Administration Committee |
2005 | 2004 | |||||||
Assets |
||||||||
Investments at fair value: |
||||||||
Interest in the Master Trust |
$ | 542,677 | 474,517 | |||||
Investments |
158,404 | 140,456 | ||||||
Total investments |
701,081 | 614,973 | ||||||
Receivables: |
||||||||
Participant contributions receivable |
958 | 980 | ||||||
Employer contributions receivable |
1,089 | 960 | ||||||
Employer profit sharing contribution receivable |
18,857 | 17,826 | ||||||
Total receivables |
20,904 | 19,766 | ||||||
Net assets available for benefits |
$ | 721,985 | 634,739 | |||||
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Additions to net assets attributed to: |
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Investment income: |
||||
Plan interest in Master Trust investment income |
||||
Master Trust investment income |
$ | 34,912 | ||
Investment expenses |
(397 | ) | ||
Plan interest in Master Trust investment income |
34,515 | |||
Net appreciation in fair value of investments: |
||||
Common stocks |
35,193 | |||
Mutual funds |
1,272 | |||
Net appreciation in fair value of investments |
36,465 | |||
Dividends and interest |
6,345 | |||
Net investment income |
77,325 | |||
Contributions: |
||||
Participant contributions |
31,621 | |||
Employer matching contributions |
13,330 | |||
Employer profit sharing contribution |
18,857 | |||
Total contributions |
63,808 | |||
Total additions, net |
141,133 | |||
Deductions from net assets attributed to: |
||||
Distributions to participants and beneficiaries |
53,880 | |||
Administrative expenses |
7 | |||
Total deductions |
53,887 | |||
Increase in net assets |
87,246 | |||
Net assets available for benefits at December 31, 2004 |
634,739 | |||
Net assets available for benefits at December 31, 2005 |
$ | 721,985 | ||
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1. | Description of Plan | |
General The Phelps Dodge Employee Savings Plan (the Plan) is a defined contribution plan established for the benefit of eligible employees (the Participants) of Phelps Dodge Corporation (the Corporation) and its participating subsidiaries, affiliates and locations. The Plan is subject to the provisions of the Employee Retirement Income Security Act of 1974, as amended (ERISA). A brief description of the Plan is included in the following paragraphs. Participants should refer to the Plan document for a complete description of Plan provisions. |
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Administration The Plan is sponsored by the Corporation and administered by the Corporations Benefits Administration Committee (the Committee) composed of seven employees of the Corporation who are appointed by the Corporations Board of Directors. |
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Effective April 1, 2005, an Investment Committee was established to designate and monitor the investment vehicles available under the Plan. The Investment Committee is composed of six employees of the Corporation, as described by the Plan document. | ||
Effective October 1, 2004, the Corporation entered into the Master Trust Agreement for the Phelps Dodge Employee Savings Plan (the Master Trust) with JPMorgan Chase Bank to serve as the funding vehicle for the Plan. Prior to October 1, 2004, all Plan assets were held in a trust (the PD Plan Trust) pursuant to a trust agreement by and between the Corporation and JPMorgan Chase Bank. On October 1, 2004, the common/collective funds, mutual funds and the Plans benefit-responsive guaranteed investment contracts (GICs) were transferred from the PD Plan Trust to the Master Trust. The Master Trust is administered by JPMorgan Chase Bank (the Trustee). JPMorgan Retirement Plan Services LLC serves as the Recordkeeper of the Plan. | ||
Brokerage commissions, taxes and other expenses incurred in connection with the purchase and sale of securities or other property for a fund are paid by such fund. All other fees and expenses of plan administration are paid by the Master Trust (PD Plan Trust prior to October 1, 2004) unless the Corporation elects, in its sole discretion, to pay those expenses directly. The investment expenses of the Master Trust primarily relate to the administration of the Master Trusts GICs. | ||
Contributions All Participants are eligible to make pretax deferral contributions (Pretax Contributions), subject to certain limitations, equal to a whole percentage from 1 percent to 100 percent of their eligible earnings. Participants who have attained age 50 before the end of the applicable year may be eligible to make additional Pretax Contributions up to the annual catch-up limit, which may be eligible for a matching contribution from the Corporation (Company Matching Contribution). After-tax contributions are not permitted. The Company Matching Contribution is equal to 100 percent of the Participants Pretax Contributions that do not exceed 3 percent of the Participants eligible earnings and an additional 50 percent of the Pretax Contributions that do not exceed the next 2 percent of the Participants eligible earnings. Participants are eligible to make Pretax Contributions to the Plan immediately upon their hire date, and those Pretax Contributions are eligible for the Company Matching Contribution. All contributions are invested in one or more of the investment vehicles available within the Plan as directed by Participants. Participants are always fully vested in their total account balances. |
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A profit sharing contribution, as defined by the Plan document, for eligible employees may be made by the Corporation (Company Profit Sharing Contribution). Eligible employees generally are those Participants employed in a salaried job classification, who have a year of service (1,000 hours of service) and who are employed on the last day of the Plan year. However, if Participants retired, died or became disabled during the year, those Participants are still eligible to receive this contribution. A profit sharing contribution of $18,857,000 was made for 2005 and paid to the Master Trust in 2006. The profit sharing contribution is allocated to each participant based on the percentage of the participants eligible profit sharing earnings to the aggregate eligible profit sharing earnings for all participants. |
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1. | Description of Plan (Continued) | |
Investments Participants may direct the investment of their account balances in a variety of investment vehicles comprised of common stocks, mutual funds, common/collective funds and GICs. The Plan is intended to comply with Section 404(c) of ERISA. |
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Distributions Participants interests in the Plan become distributable upon severance from employment with the Corporation, upon attaining age 59 1/2 (with certain limitations) or to their beneficiaries in the event of their death. The distribution may be made in a single lump sum or a series of substantially equal annual, quarterly or monthly cash installments beginning no earlier than age 55 and continuing over a period not to exceed 10 years, at the election of the Participant or beneficiary. Certain preserved benefits transferred from a merged plan into this Plan may be distributed to married participants in the form of a qualified contingent annuity. Cash distributions are based upon the underlying closing price for all investments, except for the common stocks mentioned below. Distributions of investments in Phelps Dodge Common Stock, Occidental Petroleum Stock or BP Amoco Stock are based upon the actual price at which the stock is liquidated in the market three days prior to distribution. Distributions of investments in Phelps Dodge Common Stock, Occidental Petroleum Common Stock and BP Amoco Common Stock may also be made in shares. |
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After-tax contributions were permitted in certain plans that transferred assets into the Plan in prior years. Participants may withdraw such after-tax contributions and earnings thereon at any time. The Plan also provides, with certain limitations, for hardship withdrawals of Pretax Contributions (excluding earnings), Rollover Contributions and Company Profit Sharing Contributions. Hardship withdrawals are not granted unless other financial resources are not reasonably available, including after-tax savings or a loan from the Plan. Rollover Contributions maybe withdrawn at anytime. Company Profit Sharing Contributions maybe withdrawn once a Participant has 5 years of service. All withdrawals and distributions are made in accordance with rules outlined in the Plan document. | ||
Loans Participants may borrow from their account balances as provided in the Plan. Loans are repayable over a maximum of 5 years with the exception of loans for the purchase of a primary residence that may extend to 15 years. The maximum loan amount is equal to $50,000 minus the Participants highest outstanding loan balance during the past 12 months, limited to 50 percent of the Participants vested account balance. Loans bear interest at the prime rate as quoted by the Plans Trustee plus 2 percent. The prime rate at December 31, 2005, was 7.25 percent. |
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Loans are repaid by payroll deductions and interest is credited to the Participants accounts. Loans are generally secured by the Participants account balance. | ||
Plan Termination The Plan may be amended or terminated at any time by the Corporation. No such action may cause any portion of the Plan assets to revert to the Corporation or to be used or diverted for any purpose other than for the exclusive benefit of Participants or their beneficiaries. |
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2. | Summary of Significant Accounting Policies | |
Basis of Presentation The accompanying financial statements have been prepared on the accrual basis of accounting in conformity with accounting principles generally accepted in the United States of America. |
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2. | Summary of Significant Accounting Policies (Continued) | |
Use of Estimates The preparation of financial statements in conformity with accounting principles generally accepted in the United States of America requires management to make estimates and assumptions that affect the reported amounts of net assets available for benefits and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of additions to and deductions from net assets available for benefits during the reporting period. Actual results could differ from those estimates. |
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Investment Valuation and Income Recognition Plan investments, other than GICs, are presented at fair value. The fair values of common stock, mutual funds and common/collective fund shares are based upon the closing market price, net asset value and net unit value, respectively, on the valuation date. GICs within the Master Trust are recorded at contract value and are based upon the respective face values plus accrued interest on the valuation date because they are fully benefit responsive. Participant loans are valued at their outstanding balance, which approximates fair value. |
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Security transactions are recorded on a trade-date basis. Expenses paid by the Plan in connection with such transactions include brokerage commissions and taxes that are included in the cost of securities purchased and deducted from the proceeds of securities sold. Net appreciation (depreciation) in the fair value of the Plans investments consists of the realized gains (losses) and the unrealized appreciation (depreciation) on those investments. Dividend income is recognized on the ex-dividend date. Interest income is recognized as earned. Employer and Participant contributions are recognized on the accrual basis. | ||
Risks and Uncertainties Investments held by the Plan are exposed to various risks, such as interest rate, market and credit risks. Due to the level of risk associated with certain investments and the level of uncertainty related to changes in the value of such investments, it is at least reasonably possible that changes in risks in the near term would materially affect Participants account balances and the amounts reported in the Statement of Net Assets Available for Benefits and the Statement of Changes in Net Assets Available for Benefits. |
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Payment of Benefits Benefits are recorded when paid. |
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3. | The Master Trust | |
The Master Trust refers to the Master Trust agreement with JPMorgan Chase Bank, which was effective on October 1, 2004. The Plans interest in the Master Trust represents the Plans investments in U.S. government securities, common/collective funds, mutual funds and GICs. | ||
The Master Trust holds investments for the Plan as well as for two other employee savings plans of the Corporations subsidiaries. At December 31, 2005 and 2004, the Plans interest in the net assets of the Master Trust was 98.288 percent and 98.137 percent, respectively. The records for each of the plans are maintained by the Trustee based on the individual plan participants investment balances. Investment income (loss) is allocated to each Participants account on a daily basis through a valuation performed by the Recordkeeper. Administrative expenses relating to the Master Trust are allocated to the individual funds based upon each participants pro rata share. |
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3. | The Master Trust (Continued) | |
The net assets available for benefits of the Master Trust at December 31, 2005, were as follows (in thousands): |
Mutual funds |
$ | 294,146 | ||
Common/collective funds |
257,842 | |||
U.S. government securities |
143 | |||
Net assets available for benefits |
$ | 552,131 | ||
Net appreciation (depreciation), and dividends and interest income of the Master Trust for the year ended December 31, 2005, were as follows (in thousands): |
Investment income: |
||||
Net appreciation (depreciation) in fair value of investments: |
||||
Mutual funds |
$ | 18,769 | ||
Common/collective funds |
(430 | ) | ||
Dividends and interest |
17,202 | |||
Net investment income |
$ | 35,541 | ||
Certain of the Master Trusts investments include GICs that are carried at contract value. The GICs are credited with earnings on the underlying investments and charged for Participant withdrawals and administration expenses. Participants may ordinarily direct the withdrawal or transfer of all or a portion of their investment at contract value. The contract value of the GICs within the respective common/collective funds as of December 31 was as follows: |
2005 | 2004 | |||||||
(in thousands) | ||||||||
JPMorgan Interest Income Fund |
$ | 108,223 | 93,151 | |||||
JPMorgan Moderate Investment Portfolio Fund |
34,109 | 29,434 | ||||||
JPMorgan Conservative Investment Portfolio Fund |
12,717 | 10,350 | ||||||
JPMorgan Aggressive Investment Portfolio Fund |
12,618 | 10,916 | ||||||
$ | 167,667 | 143,851 | ||||||
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3. | The Master Trust (Continued) | |
A reconciliation of the fair market value of investments in these contracts and the related contract value as reflected in the net assets available for benefits in the Master Trust was as follows: |
December 31, | ||||||||
2005 | 2004 | |||||||
(in thousands) | ||||||||
Fair market value of investments |
$ | 166,124 | 146,800 | |||||
Synthetic wrapper value |
1,543 | (2,949 | ) | |||||
Carrying value (contract value) |
$ | 167,667 | 143,851 | |||||
There were no reserves against contract value for credit risk of the contract issuers or otherwise at December 31, 2005 or 2004. During the first nine months of 2004, the GICs were held by the PD Plan Trust, which were transferred to the Master Trust effective October 1, 2004. The average yield was approximately 5.59 percent and 5.35 percent for 2005 and 2004, respectively. The crediting interest rates as of December 31, 2005 and 2004, were 5.65 percent and 5.43 percent, respectively. The crediting interest rates are based on a formula agreed upon by the issuers, but cannot be less than zero. Such interest rates are reviewed on a quarterly basis for resetting. | ||
4. | Investments | |
The following table presents investments that represent five percent or more of the Plans net assets at December 31: |
2005 | 2004 | |||||||
(in thousands) | ||||||||
JPMorgan Interest Income Fund |
$ | 110,896 | 95,689 | |||||
Phelps Dodge Common Stock Fund * |
$ | 98,413 | 84,744 | |||||
JPMorgan Moderate Investment Portfolio Fund |
$ | 81,999 | 71,285 | |||||
American Century Equity Growth Fund |
$ | 75,131 | 68,915 | |||||
American Century Income and Growth Fund |
$ | 61,254 | 57,781 | |||||
JPMorgan Aggressive Investment Portfolio Fund |
$ | 60,544 | 53,078 | |||||
T. Rowe Price Small Cap Stock Fund |
$ | 46,671 | 40,644 | |||||
JPMorgan Enhanced Index Fund |
$ | 45,335 | 43,574 | |||||
American Century Europacific Growth Fund |
$ | 40,133 | 26,720 | ** |
* | Phelps Dodge Common Stock Fund is not held by the Master Trust | |
** | Amount is less than five percent of the Plans net assets |
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5. | Related Party Transactions | |
The Trustee invests in the Corporations common stock in accordance with the provisions of the Plan. The following is a summary of transactions in the Corporations common stock during 2005 (in thousands): |
Cost of shares purchased |
$ | 42,166 | ||
Number of shares purchased |
402 | |||
Proceeds from shares sold |
$ | 62,136 | ||
Number of shares sold |
552 | |||
Value of shares distributed |
$ | 1,235 | ||
Number of shares distributed |
22 | |||
Dividend income received |
$ | 4,477 |
Certain Plan investments are shares of mutual funds and common/collective trusts managed by American Century Investments and JPMorgan Asset Management while an affiliated company, JPMorgan Retirement Plan Services LLC, is the Recordkeeper as defined by the Plan. Therefore, these transactions qualify as party-in-interest. | ||
6. | Tax Status | |
The Plan received a determination letter from the Internal Revenue Service (IRS) dated October 16, 2002, which states that the Plan met the requirements of Section 401(a) of the Internal Revenue Code and that the earnings of the trust are exempt from taxation under Section 501(a) of the Code. The Plan has been amended since receiving the determination letter; however, the Committee and its legal counsel believe that the Plan, as amended and as operated, continues to satisfy IRS requirements for tax exemption. | ||
7. | Subsequent Events | |
On March 16, 2006, the Corporation completed the sale of Columbian Chemicals Company to a company owned jointly by One Equity Partners, a private equity affiliate of JPMorgan Chase & Co., and South Korean-based DC Chemical Co. Ltd. Accordingly, the Master Trust agreement was amended to withdraw the Columbian Chemicals Company Hourly Employee Savings Plan (CCC Plan), effective February 9, 2006, from the Master Trust. Subsequently on February 9, 2006, the beneficial interest of the CCC Plan (approximately $10 million) was transferred from the Master Trust. | ||
On June 26, 2006, the Corporation, Inco Limited and Falconbridge Limited announced they had agreed to combine their companies and create a North American-based mining company. At this time, it appears that the impact of this combination on the Plan will be minimal. |
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Phelps Dodge Employee Savings Plan | Supplemental Information |
Schedule of Assets (Held at End of Year) | Schedule I | |
December 31, 2005 |
(c) Description of | ||||||||||||||||
investment including | ||||||||||||||||
maturity date, rate of | ||||||||||||||||
interest, collateral, | (d) | |||||||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||||||
(a) | (b) Identity of issue, borrower, lessor or similar party | or number of shares | ** | value | ||||||||||||
CASH AND SHORT-TERM INVESTMENTS: |
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CASH |
| $ | 182,992 | |||||||||||||
EUROBANK N.A. 5.75% |
15,000 | 14,190 | ||||||||||||||
FEDERATED SHORT-TERM U.S. GOVERNMENT
SECURITIES |
3 | 3 | ||||||||||||||
FIRSTBANK PR N.A. 3.9% |
95,000 | 94,833 | ||||||||||||||
* | JPMORGAN CHASE MONEY MARKET |
60,053 | 60,053 | |||||||||||||
SCHWAB MONEY MARKET FUND |
87,196 | 87,196 | ||||||||||||||
SCHWAB U.S. TREASURY MONEY FUND |
3,597,604 | 3,597,604 | ||||||||||||||
SCHWAB VALUE ADVANTAGE MONEY FUND |
179,991 | 179,991 | ||||||||||||||
WESTERNBANK PR N.A. 3.9% |
48,000 | 47,915 | ||||||||||||||
TOTAL CASH AND SHORT-TERM INVESTMENTS |
4,264,777 | |||||||||||||||
U.S. GOVERNMENT SECURITIES: |
||||||||||||||||
U.S. TREASURY NOTES 5.625% |
1,000 | 1,027 | ||||||||||||||
CORPORATE DEBT: |
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FORD MOTOR CREDIT COMPANY 4.7% |
10,000 | 9,863 | ||||||||||||||
GENERAL
MOTORS ACCEPTANCE CORP 5.2% |
10,000 | 8,924 | ||||||||||||||
GENERAL
MOTORS ACCEPTANCE CORP 5% |
10,000 | 8,779 | ||||||||||||||
TOTAL CORPORATE DEBT |
27,566 | |||||||||||||||
COMMON STOCKS: |
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1-800-FLOWERS.COM INC |
1,600 | shares | 10,272 | |||||||||||||
3COM CORPORATION |
2,279 | shares | 8,204 | |||||||||||||
3M COMPANY |
224 | shares | 17,360 | |||||||||||||
4 KIDS ENTERTAINMENT INC |
500 | shares | 7,845 | |||||||||||||
8X8 INC |
3,600 | shares | 6,660 | |||||||||||||
ADC TELECOMMUNICATIONS |
431 | shares | 9,620 | |||||||||||||
AES CORPORATION |
500 | shares | 7,915 | |||||||||||||
AM COMMUNICATIONS INC |
2,000 | shares | 2 | |||||||||||||
AMF BOWLING INC |
800 | shares | | |||||||||||||
AT&T INC |
631 | shares | 15,459 | |||||||||||||
ATI TECHNOLOGIES |
450 | shares | 7,646 | |||||||||||||
ABRAXAS PETROLEUM CORPORATION |
3,000 | shares | 15,840 | |||||||||||||
ACE*COMM CORPORATION |
100 | shares | 314 | |||||||||||||
ADOBE SYSTEMS INC |
1,046 | shares | 38,669 | |||||||||||||
ADVANCED MICRO DEVICES |
44 | shares | 1,346 | |||||||||||||
ADVANCED OPTICS ELECTRONICS INC |
250,000 | shares | 75 | |||||||||||||
ADVANCED SEMICONDUCTOR ENGINEERING INC |
1,300 | shares | 5,837 | |||||||||||||
ADVANCED VIRAL RESEARCH |
11,150 | shares | 781 |
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Phelps Dodge Employee Savings Plan | Supplemental Information | |
Schedule of Assets (Held at End of Year) | Schedule I | |
December 31, 2005 |
(c) Description of | ||||||||||||||||
investment including | ||||||||||||||||
maturity date, rate of | ||||||||||||||||
interest, collateral, | (d) | |||||||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||||||
(a) | (b) Identity of issue, borrower, lessor or similar party | or number of shares | ** | value | ||||||||||||
AEROFLEX INC |
1,000 | shares | 10,750 | |||||||||||||
AFFILIATED COMPUTER SERVICES |
20 | shares | 1,184 | |||||||||||||
AGERE SYSTEMS INC |
336 | shares | 4,334 | |||||||||||||
AIXTRON AKTIENGESELLSCHAFT |
4,530 | shares | 14,451 | |||||||||||||
ALASKA COMMUNICATIONS SYSTEMS GROUP INC |
300 | shares | 3,048 | |||||||||||||
ALCOA INC |
982 | shares | 29,052 | |||||||||||||
ALLEGHENY ENERGY INC |
200 | shares | 6,330 | |||||||||||||
ALLIED WASTE INDUSTRIES INC |
1,000 | shares | 8,740 | |||||||||||||
ALLIXON CORPORATION |
20 | shares | | |||||||||||||
ALTRIA GROUP INC |
25 | shares | 1,881 | |||||||||||||
ALUMINUM CORPORATION CHINA |
50 | shares | 3,817 | |||||||||||||
ALVARION LTD |
1,000 | shares | 8,720 | |||||||||||||
AMAZON.COM INC |
505 | shares | 23,811 | |||||||||||||
AMEREN CORPORATION |
303 | shares | 15,551 | |||||||||||||
AMERICA MOVIL S.A. de C.V. |
100 | shares | 2,926 | |||||||||||||
AMERICAN AIRCARRIERS SUPPORT |
320 | shares | | |||||||||||||
AMERICAN EAGLE OUTFITTERS INC |
208 | shares | 4,780 | |||||||||||||
AMERICAN ENERGY PRODUCTION |
10,000 | shares | 490 | |||||||||||||
AMERICAN EXPRESS COMPANY |
100 | shares | 5,146 | |||||||||||||
AMERICAN GOLDFIELDS INC |
950 | shares | 1,093 | |||||||||||||
AMERICAN INTERNATIONAL GROUP |
302 | shares | 20,601 | |||||||||||||
AMERICAN RETIREMENT CORPORATION |
118 | shares | 2,965 | |||||||||||||
AMERICAN SOFTWARE CLASS A |
500 | shares | 3,269 | |||||||||||||
AMERICAN TOWER CORPORATION CLASS A |
140 | shares | 3,794 | |||||||||||||
AMERICHIP INTERNATIONAL INC |
3,000 | shares | 89 | |||||||||||||
AMERIGROUP CORPORATION |
30 | shares | 584 | |||||||||||||
AMERIPRISE FINANCIAL INC |
20 | shares | 820 | |||||||||||||
AMERIS BANCORP |
617 | shares | 12,242 | |||||||||||||
AMGEN INCORPORATED |
709 | shares | 55,912 | |||||||||||||
AMIGULA INC |
11,000 | shares | 660 | |||||||||||||
AMPHENOL CORPORATION CLASS A |
45 | shares | 1,992 | |||||||||||||
ANADIGICS INC |
900 | shares | 5,400 | |||||||||||||
ANGIODYNAMICS INC |
900 | shares | 22,977 | |||||||||||||
ANGLO AMERICAN PLC |
795 | shares | 27,650 | |||||||||||||
ANGLO PLATINUM LTD |
100 | shares | 7,205 | |||||||||||||
ANGLOGOLD ASHANTI |
300 | shares | 14,799 | |||||||||||||
ANHEUSER BUSCH COMPANY INC |
306 | shares | 13,164 | |||||||||||||
ANNALY MORTGAGE MANAGEMENT INC |
150 | shares | 1,641 | |||||||||||||
ANSWERS CORPORATION |
1,310 | shares | 15,039 | |||||||||||||
ANTIGENICS INC |
300 | shares | 1,428 | |||||||||||||
APACHE CORPORATION |
50 | shares | 3,426 | |||||||||||||
APOLLO GOLD CORPORATION |
2,500 | shares | 600 | |||||||||||||
APPLE COMPUTER INC |
69 | shares | 4,960 | |||||||||||||
- 11 -
Phelps Dodge Employee Savings Plan | Supplemental Information | |
Schedule of Assets (Held at End of Year) | Schedule I | |
December 31, 2005 |
(c) Description of | ||||||||||||||||
investment including | ||||||||||||||||
maturity date, rate of | ||||||||||||||||
interest, collateral, | (d) | |||||||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||||||
(a) | (b) Identity of issue, borrower, lessor or similar party | or number of shares | ** | value | ||||||||||||
APPLIED MICRO CIRCUITS |
20,500 | shares | 52,685 | |||||||||||||
AQUANTIVE INC |
107 | shares | 2,701 | |||||||||||||
ARADIGM CORPORATION |
270 | shares | 197 | |||||||||||||
ARCADIA RESOURCES |
350 | shares | 889 | |||||||||||||
ARCH COAL INC |
100 | shares | 7,950 | |||||||||||||
ARETE INDUSTRIES INC |
10,000 | shares | 32 | |||||||||||||
ARIBA INC |
931 | shares | 6,843 | |||||||||||||
ASTRALIS LTD |
3,000 | shares | 66 | |||||||||||||
ATHEROGENICS INC |
500 | shares | 10,005 | |||||||||||||
ATMEL CORPORATION |
600 | shares | 1,854 | |||||||||||||
AU OPTRONICS CORPORATION |
2,897 | shares | 43,484 | |||||||||||||
AUDIOVOX CORPORATION CLASS A |
150 | shares | 2,079 | |||||||||||||
AURIZON MINES LTD |
400 | shares | 604 | |||||||||||||
AUTODESK INC |
200 | shares | 8,586 | |||||||||||||
AUTOIMMUNE INC |
1,000 | shares | 920 | |||||||||||||
AVAYA INC |
41 | shares | 437 | |||||||||||||
AVICI SYSTEM INC |
7 | shares | 27 | |||||||||||||
AVID TECHNOLOGY |
8 | shares | 438 | |||||||||||||
AVITAR INC |
400 | shares | 4 | |||||||||||||
BG GROUP PLC |
100 | shares | 4,973 | |||||||||||||
BHP BILLITON LTD |
300 | shares | 10,026 | |||||||||||||
BP PLC |
620 | shares | 39,816 | |||||||||||||
BP AMOCO STOCK |
21,226 | shares | 1,363,155 | |||||||||||||
BP PRUDHOE BAY ROYALTY TRUST |
75 | shares | 4,995 | |||||||||||||
BANCO BRADESCO |
152 | shares | 4,431 | |||||||||||||
BANK OF AMERICA CORPORATION |
402 | shares | 18,557 | |||||||||||||
BARNABUS ENERGY INC |
500 | shares | 825 | |||||||||||||
BARRICK GOLD CORPORATION |
400 | shares | 11,148 | |||||||||||||
BEACON POWER CORPORATION |
2,000 | shares | 3,620 | |||||||||||||
BED BATH & BEYOND INC |
200 | shares | 7,230 | |||||||||||||
BELL MICROPRODUCTS INC |
1,000 | shares | 7,650 | |||||||||||||
BENGUET CORPORATION CLASS B |
1,000 | shares | 450 | |||||||||||||
BERKSHIRE HATHAWAY CLASS B |
8 | shares | 23,484 | |||||||||||||
BEST BUY INC |
68 | shares | 2,962 | |||||||||||||
BICO INC |
9,000 | shares | 1 | |||||||||||||
BINDVIEW DEVELOPMENT CORPORATION |
200 | shares | 796 | |||||||||||||
BIO ONE CORPORATION |
10,000 | shares | 66 | |||||||||||||
BIO SOLUTIONS MANUFACTURING |
80 | shares | 30 | |||||||||||||
BIOGEN IDEC INC |
400 | shares | 18,112 | |||||||||||||
BIOSTEM INC |
44 | shares | 128 | |||||||||||||
BLOCKBUSTER INC CLASS A |
1,925 | shares | 7,219 | |||||||||||||
BLUE NILE INC |
200 | shares | 8,062 | |||||||||||||
BOEING COMPANY |
285 | shares | 20,050 | |||||||||||||
- 12 -
Phelps Dodge Employee Savings Plan | Supplemental Information | |
Schedule of Assets (Held at End of Year) | Schedule I | |
December 31, 2005 |
(c) Description of | ||||||||||||||||
investment including | ||||||||||||||||
maturity date, rate of | ||||||||||||||||
interest, collateral, | (d) | |||||||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||||||
(a) | (b) Identity of issue, borrower, lessor or similar party | or number of shares | ** | value | ||||||||||||
BOMBARDIER INC CLASS B |
200 | shares | 473 | |||||||||||||
BOTTOMLINE HOME LOAN INC |
50 | shares | | |||||||||||||
BRIGHAM EXPLORATION COMPANY |
400 | shares | 4,744 | |||||||||||||
BRISTOL-MYERS SQUIBB COMPANY |
141 | shares | 3,231 | |||||||||||||
BROCADE COMMUNICATIONS SYSTEMS INC |
200 | shares | 814 | |||||||||||||
BURLINGTON NORTHERN SANTA FE CORP |
300 | shares | 21,246 | |||||||||||||
CMGI INC |
2,080 | shares | 3,139 | |||||||||||||
CMKM DIAMONDS INC |
32,310,493 | shares | 3,231 | |||||||||||||
CNS INC |
150 | shares | 3,287 | |||||||||||||
CALGON CARBON CORPORATION |
100 | shares | 571 | |||||||||||||
CALIPER LIFE SCIENCES |
30 | shares | 176 | |||||||||||||
CALPINE CORPORATION |
5,100 | shares | 1,061 | |||||||||||||
CAMBIOR INC |
1,000 | shares | 2,790 | |||||||||||||
CAMECO CORPORATION |
150 | shares | 9,509 | |||||||||||||
CANADIAN NATIONAL RAILWAY COMPANY |
200 | shares | 15,998 | |||||||||||||
CANADIAN NATURAL RESOURCES |
200 | shares | 9,924 | |||||||||||||
CAPITAL SENIOR LIVING CORPORATION |
292 | shares | 3,019 | |||||||||||||
CAPSTONE TURBINE CORPORATION |
2,700 | shares | 8,073 | |||||||||||||
CARDIAC SCIENCE CORPORATION |
111 | shares | 1,005 | |||||||||||||
CARDIOTECH INTERNATIONAL INC |
600 | shares | 1,380 | |||||||||||||
CATERPILLAR INC |
357 | shares | 20,643 | |||||||||||||
CDEX INC CLASS A |
44 | shares | 40 | |||||||||||||
CELL THERAPEUTICS INC |
500 | shares | 1,090 | |||||||||||||
CEMEX S.A. de C.V. |
36 | shares | 2,136 | |||||||||||||
CENTRAL WIRELESS INC |
5,000 | shares | 1 | |||||||||||||
CENVEO INC |
219 | shares | 2,882 | |||||||||||||
CERADYNE INC |
100 | shares | 4,380 | |||||||||||||
CHARTER COMMUNICATIONS |
2,120 | shares | 2,586 | |||||||||||||
CHECK POINT SOFTWARE TECHNOLOGIES LTD |
175 | shares | 3,511 | |||||||||||||
CHESAPEAKE ENERGY CORPORATION |
1,463 | shares | 46,421 | |||||||||||||
CHEVRON CORPORATION |
2,380 | shares | 135,112 | |||||||||||||
CHICOS FAS INC |
620 | shares | 27,237 | |||||||||||||
CHINA MOBILE HONG KONG |
150 | shares | 3,606 | |||||||||||||
CHINA MOBILITY SOLUTIONS |
3,000 | shares | 990 | |||||||||||||
CHINA RESOURCES GROUP LTD |
2,000 | shares | 440 | |||||||||||||
CHINA UNICOM LTD |
150 | shares | 1,227 | |||||||||||||
CHINA WIRELESS COMMUNICATIONS |
200 | shares | 4 | |||||||||||||
CHIPMOS TECHNOLOGIES BERMUDA |
1,700 | shares | 9,860 | |||||||||||||
CIENA CORPORATION |
2,695 | shares | 8,004 | |||||||||||||
CIPHERPASS CORPORATION |
25 | shares | 30 | |||||||||||||
CIRCUIT CITY STORES INC |
51 | shares | 1,158 | |||||||||||||
CISCO SYSTEM INC |
14,147 | shares | 242,197 | |||||||||||||
CITIGROUP INC |
1,096 | shares | 53,178 | |||||||||||||
- 13 -
Phelps Dodge Employee Savings Plan | Supplemental Information | |
Schedule of Assets (Held at End of Year) | Schedule I | |
December 31, 2005 |
(c) Description of | ||||||||||||||||
investment including | ||||||||||||||||
maturity date, rate of | ||||||||||||||||
interest, collateral, | (d) | |||||||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||||||
(a) | (b) Identity of issue, borrower, lessor or similar party | or number of shares | ** | value | ||||||||||||
CITRIX SYSTEMS |
200 | shares | 5,746 | |||||||||||||
CITY CAPITAL CORPORATION |
20 | shares | 3 | |||||||||||||
CLAREMONT TECHNOLOGIES |
625 | shares | 7 | |||||||||||||
CLARENT CORPORATION |
500 | shares | 10 | |||||||||||||
CLEARANT INC |
5,000 | shares | 10,600 | |||||||||||||
CLINICAL DATA INC |
31 | shares | 543 | |||||||||||||
COCA COLA COMPANY |
139 | shares | 5,620 | |||||||||||||
COEUR DALENE MINES CORPORATION |
2,150 | shares | 8,600 | |||||||||||||
COHERENT INC |
50 | shares | 1,484 | |||||||||||||
COLGATE PALMOLIVE COMPANY |
26 | shares | 1,401 | |||||||||||||
COLUMBIA SPORTSWEAR COMPANY |
100 | shares | 4,773 | |||||||||||||
COMCAST CORPORATION CLASS A |
765 | shares | 19,829 | |||||||||||||
CONAGRA FOODS INC |
2,025 | shares | 41,076 | |||||||||||||
CONCURRENT COMPUTER CORPORATION |
2,000 | shares | 3,780 | |||||||||||||
CONEXANT SYSTEMS INC |
1,333 | shares | 3,013 | |||||||||||||
CONOCO PHILLIPS |
786 | shares | 45,711 | |||||||||||||
CONSOLIDATED ENERGY INC |
800 | shares | 1,520 | |||||||||||||
CONSUMER DIRECT OF AMERICA |
30 | shares | 2 | |||||||||||||
CORNING INC |
519 | shares | 10,204 | |||||||||||||
COSTCO WHOLESALE CORPORATION |
356 | shares | 17,605 | |||||||||||||
COUNTRYWIDE FINANCIAL CORPORATION |
205 | shares | 7,006 | |||||||||||||
CRYOLIFE INC |
285 | shares | 952 | |||||||||||||
CRYSTALLEX INTERNATIONAL CORPORATION |
1,875 | shares | 4,050 | |||||||||||||
CUMBERLAND RESOURCES LTD |
2,500 | shares | 5,525 | |||||||||||||
CYBERLUX CORPORATION |
2,100 | shares | 168 | |||||||||||||
CYGNUS INC ESCROW |
10,000 | shares | | |||||||||||||
CYTOGENIX INC |
2,000 | shares | 2,260 | |||||||||||||
CYTRX CORPORATION |
4,000 | shares | 4,120 | |||||||||||||
DC BRANDS INTERNATIONAL INC |
2,368 | shares | 231 | |||||||||||||
DHB INDUSTRIES INC |
400 | shares | 1,788 | |||||||||||||
DRDGOLD LTD |
5,000 | shares | 7,200 | |||||||||||||
DRS TECHNOLOGIES INC |
20 | shares | 1,028 | |||||||||||||
DST SYSTEMS |
33 | shares | 1,977 | |||||||||||||
DECORIZE INC |
400 | shares | 212 | |||||||||||||
DEEP FIELD TECHNOLOGIES INC |
228 | shares | 9 | |||||||||||||
DEERE & COMPANY |
70 | shares | 4,768 | |||||||||||||
DELL INC |
150 | shares | 4,493 | |||||||||||||
DELPHI AUTOMOTIVE SYSTEMS |
7,000 | shares | 2,037 | |||||||||||||
DELTA AIR LINES INC |
4,694 | shares | 3,521 | |||||||||||||
DELTA OIL & GAS INC |
500 | shares | 515 | |||||||||||||
DENDREON CORPORATION |
350 | shares | 1,897 | |||||||||||||
DESWELL INDUSTRIES INC |
112 | shares | 1,205 | |||||||||||||
DETOUR MEDIA GROUP INC |
1,000 | shares | | |||||||||||||
- 14 -
Phelps Dodge Employee Savings Plan | Supplemental Information | |
Schedule of Assets (Held at End of Year) | Schedule I | |
December 31, 2005 |
(c) Description of | ||||||||||||||||
investment including | ||||||||||||||||
maturity date, rate of | ||||||||||||||||
interest, collateral, | (d) | |||||||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||||||
(a) | (b) Identity of issue, borrower, lessor or similar party | or number of shares | ** | value | ||||||||||||
DIATOM CORPORATION |
200 | shares | 32 | |||||||||||||
DICUT INC |
5,000 | shares | 1 | |||||||||||||
DIGENE CORPORATION |
2,763 | shares | 80,597 | |||||||||||||
DIGITAL LIGHTWAVE INC |
20 | shares | 4 | |||||||||||||
DIOMED HOLDINGS INC |
1,000 | shares | 2,030 | |||||||||||||
DIPPY FOODS INC |
2,000 | shares | | |||||||||||||
DIRECTV GROUP INC |
500 | shares | 7,060 | |||||||||||||
DISCOVERY HOLDING |
2 | shares | 30 | |||||||||||||
DISNEY WALT HOLDING COMPANY |
212 | shares | 5,080 | |||||||||||||
DIVINE INC CLASS A |
20,328 | shares | 12 | |||||||||||||
DOLL TECHNOLOGY GROUP |
1,000 | shares | 170 | |||||||||||||
DONALDSON COMPANY INC |
40 | shares | 1,272 | |||||||||||||
DOW CHEMICAL COMPANY |
100 | shares | 4,382 | |||||||||||||
DRESS BARN INC |
55 | shares | 2,124 | |||||||||||||
DRIL-QUIP INC |
52 | shares | 2,454 | |||||||||||||
DSL.NET INC |
2,500 | shares | 100 | |||||||||||||
DUKE ENERGY CORPORATION |
175 | shares | 4,806 | |||||||||||||
DYNASIL CORPORATION OF AMERICA |
2,000 | shares | 1,720 | |||||||||||||
DYNATRONICS CORPORATION |
6,000 | shares | 8,640 | |||||||||||||
DYNEGY INC CLASS A |
550 | shares | 2,662 | |||||||||||||
EDO CORPORATION |
70 | shares | 1,894 | |||||||||||||
EMC CORPORATION |
2,503 | shares | 34,091 | |||||||||||||
ER URGENT CARE HOLDINGS INC |
1,000 | shares | 116 | |||||||||||||
EV3 INC |
700 | shares | 10,318 | |||||||||||||
EARTHSHELL CORPORATION |
6,000 | shares | 12,000 | |||||||||||||
EATON VANCE CORPORATION NON-VOTING |
606 | shares | 16,583 | |||||||||||||
EBAY INC |
260 | shares | 11,237 | |||||||||||||
EDEN ENERGY CORPORATION |
500 | shares | 1,025 | |||||||||||||
EDWARDS LIFESCIENCES CORPORATION |
500 | shares | 20,805 | |||||||||||||
EFOTOXPRESS INC |
1,000 | shares | | |||||||||||||
EL PASO CORPORATION |
100 | shares | 1,216 | |||||||||||||
ELAN CORPORATION PLC |
1,100 | shares | 15,323 | |||||||||||||
ELDORADO GOLD CORPORATION |
3,170 | shares | 15,533 | |||||||||||||
ELECTRIC CITY CORPORATION |
1,000 | shares | 600 | |||||||||||||
ELECTRONIC DATA SYSTEMS CORPORATION |
209 | shares | 5,023 | |||||||||||||
ELECTRONICS FOR IMAGING |
200 | shares | 5,322 | |||||||||||||
EMAGIN CORPORATION |
10,000 | shares | 5,700 | |||||||||||||
EMBRAER EMPRESA BRAZIL |
500 | shares | 19,550 | |||||||||||||
EMULEX CORPORATION |
50 | shares | 990 | |||||||||||||
ENCANA CORPORATION |
300 | shares | 13,548 | |||||||||||||
ENCORE WIRE CORPORATION |
126 | shares | 2,868 | |||||||||||||
ENDOVASC LIMITED INC |
2,125 | shares | 64 | |||||||||||||
ENDOVASC LIMITED INC (RESTRICTED) |
21,500 | shares | 456 | |||||||||||||
- 15 -
Phelps Dodge Employee Savings Plan | Supplemental Information | |
Schedule of Assets (Held at End of Year) | Schedule I | |
December 31, 2005 |
(c) Description of | ||||||||||||
investment including | ||||||||||||
maturity date, rate of | ||||||||||||
interest, collateral, | (d) | |||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||
(a) | (b) Identity of issue, borrower, lessor or similar party | or number of shares | ** | value | ||||||||
ENERGEN CORPORATION |
100 shares | 3,632 | ||||||||||
ENERGY CONVERSION DEVICES INC |
500 shares | 20,375 | ||||||||||
ENNIS BUSINESS FORMS INC |
150 shares | 2,726 | ||||||||||
ENPRO INDUSTRIES INC |
139 shares | 3,746 | ||||||||||
ENRON CORPORATION |
5,470 shares | | ||||||||||
ENSCO INTERNATIONAL INC |
200 shares | 8,870 | ||||||||||
ENTERRA ENERGY CORPORATION |
400 shares | 6,580 | ||||||||||
ENVIRO-ENERGY CORPORATION |
55,800 shares | 22 | ||||||||||
ENVIRONMENTAL TECHNOLOGIES
INTERNATIONAL |
5,000 shares | 205 | ||||||||||
ERICSSON L.M. TELEPHONE COMPANY CLASS B |
45 shares | 1,548 | ||||||||||
ESPIRE COMMUNICATIONS INC |
19,500 shares | 10 | ||||||||||
E-TRADE FINANCIAL CORPORATION |
200 shares | 4,172 | ||||||||||
EUROTECH LTD |
1,500 shares | 15 | ||||||||||
EVOLVE ONE INC |
624 shares | 29 | ||||||||||
EVOLVING SYSTEM INC |
5,987 shares | 12,633 | ||||||||||
EXXON MOBIL CORPORATION |
2,105 shares | 118,235 | ||||||||||
EZENIA INC |
299,045 shares | 720,698 | ||||||||||
FAMOUS DAVES OF AMERICA INC |
160 shares | 1,803 | ||||||||||
FANNIE MAE |
130 shares | 6,345 | ||||||||||
FEDERAL-MOGUL CORPORATION |
100 shares | 36 | ||||||||||
FEDEX CORPORATION |
40 shares | 4,136 | ||||||||||
FIELDPOINT PETE CORPORATION |
344 shares | 2,370 | ||||||||||
FINOVA GROUP INC |
7 shares | | ||||||||||
FIRST FINANCIAL BANCORP OHIO |
200 shares | 3,504 | ||||||||||
FIRST HORIZON NATIONAL CORPORATION |
219 shares | 8,425 | ||||||||||
FLIGHT SAFETY TECHNOLOGIES INC |
1,368 shares | 3,393 | ||||||||||
FONIX CORPORATION |
50 shares | 1 | ||||||||||
FORD MOTOR COMPANY |
821 shares | 6,339 | ||||||||||
FOREST LABS INC |
204 shares | 8,299 | ||||||||||
FORWARD INDUSTRIES INC |
400 shares | 3,560 | ||||||||||
FOUR SEASONS HOTELS INC |
110 shares | 5,473 | ||||||||||
FRANCHISE CAPITAL CORPORATION |
1,254 shares | 13 | ||||||||||
FREEPORT-MCMORAN COPPER & GOLD INC
CLASS B |
620 shares | 33,356 | ||||||||||
FREESCALE SEMICONDUCTOR CLASS B |
184 shares | 4,631 | ||||||||||
FRONTIER OIL CORPORATION |
50 shares | 1,877 | ||||||||||
GSI COMMERCE INC |
94 shares | 1,418 | ||||||||||
GTX GLOBAL CORPORATION |
14,101 shares | 115,769 | ||||||||||
GAMEZNFLIX INC |
18,000 shares | 234 | ||||||||||
GAMMON LAKE RESOURCES INC |
350 shares | 4,165 | ||||||||||
GAP INC |
155 shares | 2,736 | ||||||||||
GASCO ENERGY INC |
500 shares | 3,265 | ||||||||||
GEMSTAR TV GUIDE INTERNATIONAL |
375 shares | 979 |
-16-
Phelps Dodge Employee Savings Plan | Supplemental Information | |
Schedule of Assets (Held at End of Year) | Schedule I | |
December 31, 2005 |
(c) Description of | ||||||||||||
investment including | ||||||||||||
maturity date, rate of | ||||||||||||
interest, collateral, | (d) | |||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||
(a) | (b) Identity of issue, borrower, lessor or similar party | or number of shares | ** | value | ||||||||
GENERAL CHEMICAL GROUP |
200 shares | 4 | ||||||||||
GENERAL ELECTRIC COMPANY |
7,513 shares | 263,332 | ||||||||||
GENERAL MILLS INC |
104 shares | 5,131 | ||||||||||
GENERAL MOTORS CORPORATION |
340 shares | 6,603 | ||||||||||
GENEREX BIOTECHNOLOGY CORPORATION |
425 shares | 353 | ||||||||||
GENOMED INC |
55,000 shares | 1,815 | ||||||||||
GEOCOM RESOURCES INC |
1,500 shares | 240 | ||||||||||
GERON CORPORATION |
1,000 shares | 8,610 | ||||||||||
GLOBAL AIRCRAFT SOLUTIONS |
700 shares | 1,071 | ||||||||||
GLOBAL BEVERAGE SOLUTIONS INC |
4 shares | 7 | ||||||||||
GLOBAL COPPER CORPORATION |
2,000 shares | | ||||||||||
GLOBAL ENVIRONMENTAL ENERGY
CORPORATION |
4,700 shares | 2,820 | ||||||||||
GLOBAL EPOINT INC |
130 shares | 416 | ||||||||||
GLOBAL ESCIENCE CORPORATION |
3 shares | | ||||||||||
GLOBAL MATERIALS & SERVICES |
6 shares | | ||||||||||
GLOBALSANTAFE CORPORATION |
200 shares | 9,630 | ||||||||||
GLOBALSTAR TELECOMMUNICATIONS |
989 shares | 9 | ||||||||||
GLOBETEL COMMUNICATIONS |
1,523 shares | 5,605 | ||||||||||
GOLDCORP INC |
6,041 shares | 134,593 | ||||||||||
GOLDEN PATRIOT CORPORATION |
1,000 shares | 80 | ||||||||||
GOLDEN STAR RESOURCES LTD |
4,780 shares | 12,619 | ||||||||||
GOLDMAN SACHS GROUP INC |
105 shares | 13,403 | ||||||||||
GOODRICH CORPORATION |
200 shares | 8,220 | ||||||||||
GOODYEAR TIRE & RUBBER COMPANY |
500 shares | 8,690 | ||||||||||
GOOGLE INC CLASS A |
64 shares | 26,551 | ||||||||||
GREAT WEST GOLD INC |
1,313 shares | 1 | ||||||||||
GUIDANT CORPORATION |
508 shares | 32,922 | ||||||||||
HANSEN NATURAL CORPORATION |
327 shares | 25,771 | ||||||||||
HARLEY DAVIDSON |
334 shares | 17,193 | ||||||||||
HARRAHS ENTERTAINMENT |
20 shares | 1,426 | ||||||||||
HARVEST NATURAL RESOURCE |
500 shares | 4,440 | ||||||||||
HEALTHCARE SERVICE GROUP INC |
313 shares | 6,482 | ||||||||||
HEARUSA INC |
2,000 shares | 2,720 | ||||||||||
HECLA MINING COMPANY |
925 shares | 3,756 | ||||||||||
HEE CORPORATION |
4,200 shares | 2 | ||||||||||
HEILIG MEYERS COMPANY |
100 shares | | ||||||||||
HELMERICH & PAYNE INC |
100 shares | 6,191 | ||||||||||
HEWLETT-PACKARD COMPANY |
3,439 shares | 98,461 | ||||||||||
HOME DEPOT INC |
779 shares | 31,541 | ||||||||||
HOME SOLUTIONS AMERICA INC |
1,000 shares | 4,480 | ||||||||||
HOMELAND INTEGRATED SECURITIES |
10,000 shares | 520 | ||||||||||
HOMELAND SECURITY GROUP INTERNATIONAL |
1,500 shares | 9 | ||||||||||
HONDA MOTOR COMPANY LTD |
150 shares | 4,346 |
-17-
Phelps Dodge Employee Savings Plan | Supplemental Information | |
Schedule of Assets (Held at End of Year) | Schedule I | |
December 31, 2005 |
(c) Description of | ||||||||||||
investment including | ||||||||||||
maturity date, rate of | ||||||||||||
interest, collateral, | (d) | |||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||
(a) | (b) Identity of issue, borrower, lessor or similar party | or number of shares | ** | value | ||||||||
HUANENG POWER INTERNATIONAL |
600 shares | 15,726 | ||||||||||
HUMAN GENOME SCIENCES |
1,000 shares | 8,560 | ||||||||||
HUMANA INC |
50 shares | 2,717 | ||||||||||
HYDROFLO INC |
2,000 shares | 260 | ||||||||||
I2 TECHNOLOGIES INC |
3 shares | 42 | ||||||||||
IASIAWORKS INC |
35,000 shares | 60 | ||||||||||
IBIZ TECHNOLOGY INC |
114,000 shares | 46 | ||||||||||
ID SYSTEMS INC |
141 shares | 3,363 | ||||||||||
IDENTIX INC |
1,000 shares | 5,010 | ||||||||||
IGO CORPORATION |
265 shares | | ||||||||||
IJOIN SYSTEMS INC |
10,000 shares | 1 | ||||||||||
IMCLONE SYSTEMS INC |
40 shares | 1,370 | ||||||||||
IMMUNOGEN INC |
6,000 shares | 30,780 | ||||||||||
IMPERIAL INDUSTRIES |
200 shares | 2,588 | ||||||||||
INCO LTD |
100 shares | 4,357 | ||||||||||
INFINIUM LABS INC |
4,700 shares | 80 | ||||||||||
INFONOW CORPORATION |
17,311 shares | 9,521 | ||||||||||
INSEQ CORPORATION |
36,000 shares | 72 | ||||||||||
INSMED INC |
1,500 shares | 2,955 | ||||||||||
INSTACARE CORPORATION |
1,400,000 shares | 10,780 | ||||||||||
INTEGRATED DEVICE TECHNOLOGY INC |
200 shares | 2,636 | ||||||||||
INTEL CORPORATION |
8,537 shares | 213,073 | ||||||||||
INTERAGE LTD |
140,000 shares | 28 | ||||||||||
INTERDIGITAL COMMUNICATIONS CORPORATION |
100 shares | 1,832 | ||||||||||
INTERFACE INC CLASS A |
20 shares | 164 | ||||||||||
INTERNAP NETWORK SERVICES CORPORATION |
9,550 shares | 4,107 | ||||||||||
INTERNATIONAL BUSINESS MACHINES |
206 shares | 16,951 | ||||||||||
INTERNATIONAL FIBERCOM INC |
2,000 shares | 4 | ||||||||||
INTERNATIONAL GAME TECHNOLOGY |
1,115 shares | 34,318 | ||||||||||
INTERNATIONAL RECTIFIER CORPORATION |
350 shares | 11,165 | ||||||||||
INTERNATIONAL SECURITIES EXCHANGE |
100 shares | 2,752 | ||||||||||
INTUIT INC |
50 shares | 2,665 | ||||||||||
INVESTMENT TECHNOLOGY GROUP |
75 shares | 2,658 | ||||||||||
IPIX CORPORATION |
1,500 shares | 2,490 | ||||||||||
ISONICS CORPORATION |
5,060 shares | 9,108 | ||||||||||
ITRONICS INC |
1,000 shares | 50 | ||||||||||
IVANHOE ENERGY INC |
1,258 shares | 1,333 | ||||||||||
IVOICE INC |
225,000 shares | 68 | ||||||||||
IVOICE TECHNOLOGIES |
228 shares | 2 | ||||||||||
JC DATA SOLUTIONS INC |
7,200 shares | 576 | ||||||||||
JC PENNEY COMPANY INC |
200 shares | 11,120 | ||||||||||
JDS UNIPHASE CORPORATION |
7,386 shares | 17,431 | ||||||||||
* | JPMORGAN CHASE & COMPANY |
334 shares | 13,248 |
-18-
Phelps Dodge Employee Savings Plan | Supplemental Information | |
Schedule of Assets (Held at End of Year) | Schedule I | |
December 31, 2005 |
(c) Description of | ||||||||||||
investment including | ||||||||||||
maturity date, rate of | ||||||||||||
interest, collateral, | (d) | |||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||
(a) | (b) Identity of issue, borrower, lessor or similar party | or number of shares | ** | value | ||||||||
JAWZ INC |
150 shares | | ||||||||||
JETBLUE AIRWAYS CORPORATION |
1,350 shares | 20,763 | ||||||||||
JOHNSON & JOHNSON |
440 shares | 26,429 | ||||||||||
JUNIPER NETWORKS INC |
200 shares | 4,460 | ||||||||||
KINROSS GOLD CORPORATION |
500 shares | 4,610 | ||||||||||
KNIGHT CAP GROUP INC |
30 shares | 297 | ||||||||||
KODIAK ENERGY INC |
195 shares | 302 | ||||||||||
KOMAG INC |
156 shares | 5,407 | ||||||||||
KRISPY KREME DOUGHNUTS INC |
85 shares | 488 | ||||||||||
KRONOS WORLDWIDE INC |
151 shares | 4,381 | ||||||||||
L.A.M. PHARMACEUTICAL CORPORATION |
478 shares | 4 | ||||||||||
LSI LOGIC CORPORATION |
60 shares | 480 | ||||||||||
LAKELAND FINANCIAL CORPORATION |
460 shares | 18,587 | ||||||||||
LAMPERD LESS LETHAL INC |
600 shares | 240 | ||||||||||
LARAMIDE RESOURCES |
2,000 shares | 9,416 | ||||||||||
LEHMAN BROTHERS HOLDINGS INC |
17 shares | 2,179 | ||||||||||
LEVEL 3 COMMUNICATIONS INC |
11,100 shares | 31,857 | ||||||||||
LEXAR MEDIA INC |
900 shares | 7,389 | ||||||||||
LIBERTY GLOBAL INC CLASS A |
1 share | 23 | ||||||||||
LIBERTY GLOBAL INC SERIES C |
1 share | 21 | ||||||||||
LIBERTY MEDIA SERIES A |
28 shares | 220 | ||||||||||
LIBERTY STAR GOLD CORPORATION |
1,000 shares | 1,200 | ||||||||||
LIFE PARTNERS HOLDINGS INC |
12,000 shares | 1 | ||||||||||
LIFESTREAM TECHNOLOGIES INC |
3,000 shares | 32 | ||||||||||
LIZ CLAIBORNE INC |
100 shares | 3,582 | ||||||||||
LOWES COMPANIES |
120 shares | 8,012 | ||||||||||
LUCENT TECHNOLOGIES INC |
54,093 shares | 143,886 | ||||||||||
MBIA INC |
150 shares | 9,024 | ||||||||||
MIVA INC |
910 shares | 4,504 | ||||||||||
MRV COMMUNICATIONS INC |
2,000 shares | 4,100 | ||||||||||
MANPOWER INC |
20 shares | 930 | ||||||||||
MARATHON OIL CORPORATION |
26 shares | 1,580 | ||||||||||
MARCHFIRST INC |
400 shares | | ||||||||||
MARTHA STEWART LIVING OMNIMEDIA INC |
100 shares | 1,743 | ||||||||||
MARTIN MARIETTA MATERIALS INC |
100 shares | 7,672 | ||||||||||
MARTIN MIDSTREAM PARTNERS LP |
200 shares | 5,940 | ||||||||||
MARVEL ENTERTAINMENT INC |
910 shares | 14,906 | ||||||||||
MATRITECH INC |
1,000 shares | 530 | ||||||||||
MAUI GENERAL STORE INC |
6,000 shares | 720 | ||||||||||
MAXTOR CORPORATION |
900 shares | 6,246 | ||||||||||
MAXWORLDWIDE INC |
1,000 shares | 425 | ||||||||||
MAYTAG CORPORATION |
300 shares | 5,646 | ||||||||||
MCDATA CORPORATION CLASS A |
11 shares | 42 | ||||||||||
MCDERMOTT INTERNATIONAL INC |
170 shares | 7,584 |
-19-
Phelps Dodge Employee Savings Plan | Supplemental Information | |
Schedule of Assets (Held at End of Year) | Schedule I | |
December 31, 2005 |
(c) Description of | ||||||||||||
investment including | ||||||||||||
maturity date, rate of | ||||||||||||
interest, collateral, | (d) | |||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||
(a) | (b) Identity of issue, borrower, lessor or similar party | or number of shares | ** | value | ||||||||
MEDCOHEALTH SOLUTIONS |
36 shares | 2,009 | ||||||||||
MEDCOM USA INC |
400 shares | 200 | ||||||||||
MEDIAX CORPORATION |
5,000 shares | 5 | ||||||||||
MEDIFAST INC |
1,500 shares | 7,860 | ||||||||||
MEDTRONIC INC |
1,128 shares | 64,938 | ||||||||||
MERCK & COMPANY INC |
2,485 shares | 79,062 | ||||||||||
MERIDIAN RESOURCE CORPORATION |
720 shares | 3,024 | ||||||||||
MERRILL LYNCH & CO INC |
102 shares | 6,901 | ||||||||||
MICROSOFT CORPORATION |
9,343 shares | 244,324 | ||||||||||
MILITARY RESALE GROUP |
4,900 shares | 49 | ||||||||||
MINDSPEED TECHNOLOGY INC |
16 shares | 38 | ||||||||||
MINE SAFETY APPLIANCE COMPANY |
45 shares | 1,629 | ||||||||||
MIRAMAR MINING CORPORATION |
3,250 shares | 8,157 | ||||||||||
MOCON INC |
250 shares | 2,325 | ||||||||||
MOONEY AEROSPACE GROUP |
3 shares | 2 | ||||||||||
MOTOROLA INCORPORATED |
2,974 shares | 67,178 | ||||||||||
MULTIMEDIA GAMES INC |
600 shares | 5,550 | ||||||||||
MYLAN LABS INC |
1 share | 15 | ||||||||||
MYRIAD GENETICS INC |
100 shares | 2,080 | ||||||||||
MYTURN.COM INC |
24,000 shares | 24 | ||||||||||
NS GROUP INC |
200 shares | 8,362 | ||||||||||
NVIDIA CORPORATION |
60 shares | 2,194 | ||||||||||
NABORS INDUSTRIES LTD |
200 shares | 15,150 | ||||||||||
NANOBAC PHARMACEUTICALS INC |
22,188 shares | 821 | ||||||||||
NAPSTER INC |
711 shares | 2,503 | ||||||||||
NASDAQ STOCK MARKET INC |
51 shares | 1,794 | ||||||||||
NATURES SUNSHINE PRODUCTS |
23 shares | 418 | ||||||||||
NAVISITE INC |
133 shares | 167 | ||||||||||
NEKTAR THERAPEUTICS |
450 shares | 7,407 | ||||||||||
NEOMEDIA TECHNOLOGIES INC |
40,000 shares | 12,160 | ||||||||||
NET2AUCTION INC |
5,900 shares | 2,360 | ||||||||||
NET2PHONE INC |
1,000 shares | 2,040 | ||||||||||
NEW DRAGON ASIA CORPORATION |
1,000 shares | 1,410 | ||||||||||
NEW PLAN EXCEL REALTY TRUST INC |
200 shares | 4,636 | ||||||||||
NEWELL RUBBERMAID INC |
409 shares | 9,715 | ||||||||||
NEWMARKET TECHNOLOGY INC |
275,000 shares | 83,875 | ||||||||||
NEWMONT MINING CORPORATION |
506 shares | 27,002 | ||||||||||
NEWPORT CORPORATION |
100 shares | 1,354 | ||||||||||
NEWS CORPORATION LTD CLASS B |
156 shares | 2,583 | ||||||||||
NOKIA CORPORATION F |
1,020 shares | 18,666 | ||||||||||
NORD RESOURCES CORPORATION |
9,146 shares | 2,561 | ||||||||||
NORTEL NETWORKS CORPORATION F |
7,260 shares | 22,216 | ||||||||||
NORTH STAR DIAMONDS INC |
171,294 shares | 1,250 |
-20-
Phelps Dodge Employee Savings Plan | Supplemental Information | |
Schedule of Assets (Held at End of Year) | Schedule I | |
December 31, 2005 |
(c) Description of | ||||||||||||
investment including | ||||||||||||
maturity date, rate of | ||||||||||||
interest, collateral, | (d) | |||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||
(a) | (b) Identity of issue, borrower, lessor or similar party | or number of shares | ** | value | ||||||||
NORTHERN DYNASTY MINERALS LIMITED |
1,000 shares | 5,320 | ||||||||||
NORTHERN ORION RESOURCES INC |
1,400 shares | 4,634 | ||||||||||
NORTHFIELD LABORATORIES INC |
450 shares | 6,030 | ||||||||||
NORTHGATE MINERALS CORPORATION |
1,000 shares | 1,830 | ||||||||||
NORTHROP GRUMMAN CORPORATION |
50 shares | 2,997 | ||||||||||
NORTHWEST AIRLINES CORPORATION CLASS A |
4,123 shares | 2,226 | ||||||||||
NOVAGOLD RESOURCES INC |
645 shares | 5,869 | ||||||||||
NOVARTIS AG |
102 shares | 5,353 | ||||||||||
NOVATEL WIRELESS INC |
1,000 shares | 12,110 | ||||||||||
NOWAUTO GROUP INC |
12 shares | 1 | ||||||||||
NUTRI SYSTEMS INC |
283 shares | 10,194 | ||||||||||
NUVELO INC |
3,350 shares | 27,168 | ||||||||||
OCCIDENTAL PETE CORPORATION |
24 shares | 1,917 | ||||||||||
OCEAN POWER CORPORATION |
3,400 shares | 1 | ||||||||||
OMNI ENERGY SERVICES |
500 shares | 1,840 | ||||||||||
ON SEMICONDUCTOR CORPORATION |
463 shares | 2,560 | ||||||||||
ORACLE CORPORATION |
5,560 shares | 67,888 | ||||||||||
ORASURE TECHNOLOGIES INC |
200 shares | 1,764 | ||||||||||
ORBIT DROP INC |
750 shares | 49 | ||||||||||
ORBITAL SCIENCES CORPORATION |
450 shares | 5,778 | ||||||||||
OREZONE RESOURCES INC |
3,000 shares | 5,670 | ||||||||||
OSCIENT PHARMACEUTICALS |
1,700 shares | 3,859 | ||||||||||
OVERSEAS SHIPHOLDING GROUP INC |
100 shares | 5,039 | ||||||||||
OVERSTOCK.COM INC |
200 shares | 5,630 | ||||||||||
OWENS CORNING |
300 shares | 900 | ||||||||||
OXFORD INDUSTRIES INC |
39 shares | 2,133 | ||||||||||
OXY STOCK |
2,159 shares | 172,512 | ||||||||||
PCCW LIMITED |
60 shares | 37 | ||||||||||
PPL CORPORATION |
50 shares | 1,470 | ||||||||||
PALM INC |
99 shares | 3,148 | ||||||||||
PAN AMERICAN SILVER CORPORATION F |
375 shares | 7,061 | ||||||||||
PARAMOUNT GOLD MINING CORPORATION |
5,000 shares | 9,750 | ||||||||||
PATTERSON COMPANIES |
200 shares | 6,680 | ||||||||||
PATTERSON UTI ENERGY INC |
200 shares | 6,590 | ||||||||||
PAYSTAR CORPORATION |
10,000 shares | 3 | ||||||||||
PENTAIR INC |
100 shares | 3,452 | ||||||||||
PEPSICO INC |
182 shares | 10,743 | ||||||||||
PETROCHINA COMPANY LIMITED |
31 shares | 2,519 | ||||||||||
PETROL OIL & GAS INC |
1,000 shares | 1,760 | ||||||||||
PFIZER INCORPORATED |
3,481 shares | 81,171 | ||||||||||
PHARMACEUTICAL PRODUCT DEVELOPMENT INC |
266 shares | 16,493 | ||||||||||
PHOENIX COMPANIES |
105 shares | 1,438 | ||||||||||
PIKE ELECTRIC CORPORATION |
522 shares | 8,467 |
-21-
Phelps Dodge Employee Savings Plan | Supplemental Information | |
Schedule of Assets (Held at End of Year) | Schedule I | |
December 31, 2005 |
(c) Description of | ||||||||||||
investment including | ||||||||||||
maturity date, rate of | ||||||||||||
interest, collateral, | (d) | |||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||
(a) | (b) Identity of issue, borrower, lessor or similar party | or number of shares | ** | value | ||||||||
PINE VALLEY MINING CORPORATION |
2,500 shares | 5,275 | ||||||||||
PIPELINE TECHNOLOGIES |
3,000 shares | | ||||||||||
PIXELWORKS INC |
40 shares | 203 | ||||||||||
PLACER DOME INC |
200 shares | 4,586 | ||||||||||
PLAINS EXPLORATION & PRODUCTION COMPANY |
100 shares | 3,973 | ||||||||||
PLAYTEX PRODUCTS INC |
220 shares | 3,007 | ||||||||||
PLUG POWER INC |
130 shares | 667 | ||||||||||
PRECISION CASTPARTS CORPORATION |
290 shares | 15,025 | ||||||||||
PRESSTEK INC |
400 shares | 3,616 | ||||||||||
PROCTER & GAMBLE CO |
1,191 shares | 68,907 | ||||||||||
PROGINET CORPORATION |
625 shares | 406 | ||||||||||
PROSOFT LEARNING |
84 shares | 11 | ||||||||||
PROVIDENT ENERGY TRUST |
1,000 shares | 10,810 | ||||||||||
PRUDENTIAL FINANCIAL INC |
27 shares | 1,976 | ||||||||||
QI SYSTEM INC |
200 shares | 66 | ||||||||||
QLOGIC CORPORATION |
100 shares | 3,251 | ||||||||||
QUALCOMM INC |
1,484 shares | 63,922 | ||||||||||
QUANTA SERVICES INC |
400 shares | 5,268 | ||||||||||
QUANTUM FUEL SYSTEMS TECHNOLOGIES
WORLDWIDE |
1,300 shares | 3,484 | ||||||||||
QUENTRA NETWORKS INC |
700 shares | | ||||||||||
QUINCY ENERGY CORPORATION |
2,000 shares | 1,060 | ||||||||||
QUINTUS CORPORATION |
400 shares | 184 | ||||||||||
QUOKKA SPORTS INC |
1 share | | ||||||||||
RF MICRO DEVICES INC |
150 shares | 811 | ||||||||||
RMD ENTERTAINMENT GROUP |
14,415 shares | 48 | ||||||||||
RAMP CORPORATION |
1,000 shares | 5 | ||||||||||
RAMTRON INTERNATIONAL CORPORATION |
60 shares | 122 | ||||||||||
RANDGOLD RESOURSES LTD |
400 shares | 6,452 | ||||||||||
RAVEN MOON ENTERTAINMENT |
1,999 shares | 2 | ||||||||||
RAYONIER INC |
450 shares | 17,932 | ||||||||||
RAYTHEON COMPANY |
380 shares | 15,238 | ||||||||||
REALITY WIRELESS NET WORKS INC |
1 share | | ||||||||||
RECORDLAB CORPORATION |
450 shares | | ||||||||||
REDHAT INC |
90 shares | 2,453 | ||||||||||
RESIN SYSTEMS INC |
1,000 shares | 2,100 | ||||||||||
REYNOLDS AMERICAN INC |
56 shares | 5,309 | ||||||||||
RHEOLOGICS INC |
10,000 shares | 1,200 | ||||||||||
RITE AID CORPORATION |
200 shares | 696 | ||||||||||
ROTOBLOCK CORPORATION |
450 shares | 63 | ||||||||||
ROYAL GOLD INC |
150 shares | 5,209 | ||||||||||
RUSHNET INC |
12,000 shares | 7 | ||||||||||
SCO GROUP INC |
87 shares | 344 |
-22-
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2005 |
(c) Description of | ||||||||||||
investment including | ||||||||||||
maturity date, rate of | ||||||||||||
interest, collateral, | (d) | |||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||
(a) | (b) Identity of issue, borrower, lessor or similar party | or number of shares | ** | value | ||||||||
SAFEWAY INC |
1,150 shares | 27,209 | ||||||||||
SAN TELMO ENERGY CORPORATION |
4,000 shares | 1,440 | ||||||||||
SANDISK CORPORATION |
100 shares | 6,282 | ||||||||||
SANOFI-AVENTIS |
105 shares | 4,610 | ||||||||||
SATELINX INTERNATIONAL |
500 shares | 15 | ||||||||||
SCIAX DEFENSE USA |
667 shares | | ||||||||||
SCIENT INC |
501 shares | | ||||||||||
SCIENTIFIC ATLANTA INC |
227 shares | 9,774 | ||||||||||
SERAC HOLDINGS INC |
257,142 shares | 77 | ||||||||||
SERENA SOFTWARE INC |
50 shares | 1,172 | ||||||||||
SERVICE CORPORATION INTERNATIONAL |
335 shares | 2,740 | ||||||||||
SHAMAN PHARMACEUTICALS |
100,001 shares | 10 | ||||||||||
SHAW GROUP INC |
100 shares | 2,909 | ||||||||||
SIEBEL SYSTEMS INC |
2,536 shares | 26,806 | ||||||||||
SIFY LTD |
25 shares | 269 | ||||||||||
SILICON GRAPHICS |
31,855 shares | 11,149 | ||||||||||
SILICON IMAGE INC |
6,989 shares | 63,390 | ||||||||||
SILICON LABORATORIES INC |
1,000 shares | 36,660 | ||||||||||
SILICONWARE PRECISION INDUSTRIES F |
5,121 shares | 35,540 | ||||||||||
SILVER SCREEN STUDIOS |
10,000 shares | 20 | ||||||||||
SILVER STANDARD RESOURCES INC |
2,500 shares | 38,350 | ||||||||||
SIMEX TECHNOLOGIES INC |
3,000 shares | 9 | ||||||||||
SIRIUS SATELLITE RADIO |
55,783 shares | 373,746 | ||||||||||
SISKON GOLD CORPORATION A |
3,000 shares | 7 | ||||||||||
SKYWORKS SOLUTIONS INC |
17 shares | 87 | ||||||||||
SMARTIRE SYSTEMS INC |
40,000 shares | 2,600 | ||||||||||
SOCIEDAD QUIMICA Y MINERA DE CHILE B |
100 shares | 10,920 | ||||||||||
SOFTNET TECHNOLOGY CORPORATION |
375 shares | 30 | ||||||||||
SOLECTRON CORPORATION |
1,040 shares | 3,806 | ||||||||||
SONIC CORPORATION |
325 shares | 9,587 | ||||||||||
SOUTHWALL TECHNOLOGIES INC |
4,000 shares | 2,440 | ||||||||||
SOUTHWEST AIRLINES COMPANY |
2,845 shares | 46,743 | ||||||||||
SOUTHWEST GAS CORPORATION |
260 shares | 6,863 | ||||||||||
SOUTHWESTERN ENERGY COMPANY |
400 shares | 14,376 | ||||||||||
SPECTRUM PHARMACEUTICALS INC |
7,700 shares | 32,571 | ||||||||||
SPEECHSWITCH INC |
228 shares | 5 | ||||||||||
SPRINT NEXTEL CORPORATION |
939 shares | 21,931 | ||||||||||
ST PAUL TRAVELERS COMPANIES INC |
4 shares | 179 | ||||||||||
STAMFORD INTERNATIONAL INC |
1,800 shares | | ||||||||||
STARBUCKS CORPORATION |
2,083 shares | 62,511 | ||||||||||
STEMCELLS INC |
200 shares | 690 | ||||||||||
STERLING CONSTRUCTION COMPANY |
100 shares | 1,683 | ||||||||||
STILLWATER MINING COMPANY |
200 shares | 2,314 |
-23-
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2005 |
(c) Description of | ||||||||||||
investment including | ||||||||||||
maturity date, rate of | ||||||||||||
interest, collateral, | (d) | |||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||
(a) | (b) Identity of issue, borrower, lessor or similar party | or number of shares | ** | value | ||||||||
STOLT OFFSHORE INC |
300 shares | 3,498 | ||||||||||
STORAGENETWORKS INC |
100 shares | | ||||||||||
STRATASYS INC |
150 shares | 3,751 | ||||||||||
STRATHMORE MINERALS CORPORATION F |
3,200 shares | 5,204 | ||||||||||
STYLING TECHNOLOGY CORPORATION |
130 shares | | ||||||||||
SUN MICROSYSTEMS INC |
4,900 shares | 20,531 | ||||||||||
SUNCOM WIRELESS HOLDINGS CLASS A |
600 shares | 1,662 | ||||||||||
SUNNYLIFE GLOBAL INC |
2,450 shares | 4,875 | ||||||||||
SUNPOWER CORPORATION |
1,700 shares | 57,783 | ||||||||||
SUPERCONDUCTOR TECHNOLOGIES INC |
8,994 shares | 3,867 | ||||||||||
SUREBEAM CORPORATION |
150 shares | | ||||||||||
SYMANTEC CORPORATION |
70 shares | 1,225 | ||||||||||
SYNERGIE HOLDINGS LTD INC |
600,000 shares | 120 | ||||||||||
SYNERGY BRANDS INC |
820 shares | 1,517 | ||||||||||
SYNOPSYS INC |
400 shares | 8,024 | ||||||||||
THC COMMUNICATIONS INC |
19,600 shares | 2 | ||||||||||
TVC TELECOM INC |
50,000 shares | 45 | ||||||||||
TALISMAN ENERGY INC |
100 shares | 5,288 | ||||||||||
TAN RANGE EXPLORATION F |
6,150 shares | 37,330 | ||||||||||
TARGET CORPORATION |
1 share | 74 | ||||||||||
TARGETED GENETICS CORPORATION |
46,734 shares | 22,900 | ||||||||||
TASER INTERNATIONAL INC |
4,840 shares | 33,687 | ||||||||||
TEGAL CORPORATION |
3,500 shares | 1,995 | ||||||||||
TELLABS INC |
200 shares | 2,180 | ||||||||||
TELULAR CORPORATION |
6,275 shares | 20,896 | ||||||||||
TELUS CORPORATION NON-VOTING |
200 shares | 8,052 | ||||||||||
TELYNX INC CLASS A |
50 shares | | ||||||||||
TENET HEALTHCARE CORPORATION |
200 shares | 1,532 | ||||||||||
TEVA PHARMACEUTICAL INDUSTRIES |
100 shares | 4,301 | ||||||||||
TEXAS INSTRUMENTS INC |
509 shares | 16,308 | ||||||||||
THATLOOK.COM INC |
1,000 shares | | ||||||||||
THE CHARLES SCHWAB CORPORATION |
126 shares | 1,850 | ||||||||||
THE HUMBARGER CONSULTING GROUP INC |
60 shares | | ||||||||||
TIGER TEAM TECHNOLOGIES |
25,000 shares | 200 | ||||||||||
TIME WARNER INC |
553 shares | 9,644 | ||||||||||
TITANIUM METALS CORPORATION |
435 shares | 27,518 | ||||||||||
TOKHEIM CORPORATION SERIES C |
300 shares | | ||||||||||
TOMMY HILFIGER CORPORATION |
100 shares | 1,624 | ||||||||||
TREX COMPANY INC |
150 shares | 4,208 | ||||||||||
TRIMEDIA ENTERTAINMENT GROUP INC |
1,195 shares | 90 | ||||||||||
TRINSIC INC |
250 shares | 132 | ||||||||||
TRITON AMERICAN ENERGY CORP, INC |
11,200 shares | 1,008 | ||||||||||
TRUE RELIGION APPAREL |
80 shares | 1,232 |
-24-
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2005 |
(c) Description of | ||||||||||||
investment including | ||||||||||||
maturity date, rate of | ||||||||||||
interest, collateral, | (d) | |||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||
(a) | (b) Identity of issue, borrower, lessor or similar party | or number of shares | ** | value | ||||||||
TUESDAY MORNING CORPORATION |
65 shares | 1,360 | ||||||||||
TYCO INTERNATIONAL LIMITED |
310 shares | 8,947 | ||||||||||
U.S. BANCORP |
150 shares | 4,483 | ||||||||||
U.S. MICROBICS INC |
10,000 shares | 181 | ||||||||||
U.S. PLASTIC LUMBER CORPORATION |
5,000 shares | 40 | ||||||||||
UAL CORPORATION |
2,775 shares | 2,622 | ||||||||||
US AIRWAYS GROUP INC |
2,124 shares | 78,885 | ||||||||||
USA TECHNOLOGIES INC |
119,235 shares | 13,235 | ||||||||||
USEC INC |
1,000 shares | 11,950 | ||||||||||
UTD MICROELECTRONICS CORPORATION |
1,000 shares | 3,120 | ||||||||||
UNIBANCO-UNIAO DE BANCOS BRASILEIROS SA |
35 shares | 2,225 | ||||||||||
UNICO INC ARIZONA |
13,645 shares | 67 | ||||||||||
UNIPRIME CAPITAL ACCEPTANCE |
102 shares | 6 | ||||||||||
UNISOURCE ENERGY CORPORATION W |
544 shares | 16,975 | ||||||||||
UNITED PARCEL SERVICE B |
174 shares | 13,047 | ||||||||||
UNITED TECHNOLOGIES CORPORATION |
41 shares | 2,309 | ||||||||||
UNITEDHEALTH GROUP INC |
700 shares | 43,500 | ||||||||||
UNIVERSAL COMMUNICATION SYSTEMS INC |
3,000 shares | 48 | ||||||||||
UNIVERSAL EXPRESS INC |
18,000 shares | 9 | ||||||||||
URANIUM RESOURSES INC |
4,000 shares | 2,640 | ||||||||||
VA SOFTWARE CORPORATION |
51 shares | 91 | ||||||||||
VAALCO ENERGY INC |
1,000 shares | 4,240 | ||||||||||
VALERO ENERGY CORPORATION |
50 shares | 2,588 | ||||||||||
VARIAN MEDICAL SYSTEMS |
100 shares | 5,034 | ||||||||||
VASOMEDICAL INC |
1,000 shares | 260 | ||||||||||
VAST SOLUTIONS INC CLASS B1 |
44 shares | | ||||||||||
VAST SOLUTIONS INC CLASS B2 |
44 shares | | ||||||||||
VAST SOLUTIONS INC CLASS B3 |
44 shares | | ||||||||||
VERILINK CORPORATION |
500 shares | 430 | ||||||||||
VERISIGN INC |
85 shares | 1,861 | ||||||||||
VERITAS SOFTWARE CO |
56 shares | 1,987 | ||||||||||
VERIZON COMMUNICATIONS |
341 shares | 10,262 | ||||||||||
VION PHARMACEUTICALS INC |
9,300 shares | 15,345 | ||||||||||
VIROPHARMA INC |
800 shares | 14,800 | ||||||||||
VISTA GOLD CORPORATION |
400 shares | 2,032 | ||||||||||
VITAL LIVING INC |
180,000 shares | 5,760 | ||||||||||
VITAL LIVING PRODUCTS |
300 shares | | ||||||||||
VITESSE SEMICONDUCTOR CORPORATION |
900 shares | 1,728 | ||||||||||
VIVENDI UNIVERSAL |
16 shares | 502 | ||||||||||
VOXWARE INC |
933 shares | 6,484 | ||||||||||
WALGREEN CO |
103 shares | 4,579 | ||||||||||
WAL-MART STORES INC |
2,536 shares | 118,664 | ||||||||||
WASHINGTON MUTUAL INC |
116 shares | 5,065 |
-25-
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2005 |
(c) Description of | ||||||||||||
investment including | ||||||||||||
maturity date, rate of | ||||||||||||
interest, collateral, | (d) | |||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||
(a) | (b) Identity of issue, borrower, lessor or similar party | or number of shares | ** | value | ||||||||
WATTS WATER TECHNOLOGIES INC CLASS A |
101 shares | 3,044 | ||||||||||
WAVE SYSTEMS CORPORATION CLASS A |
2,150 shares | 1,462 | ||||||||||
WAVO CORPORATION |
2,100 shares | 1 | ||||||||||
WEBB INTERACTIVE SERVICES |
1,100 shares | 82 | ||||||||||
WESTAIM CORPORATION |
1,000 shares | 3,700 | ||||||||||
WESTWOOD ONE INC |
100 shares | 1,630 | ||||||||||
WEYERHAEUSER CO |
129 shares | 8,556 | ||||||||||
WIREMEDIA INC |
200 shares | 324 | ||||||||||
WITS BASIN PRECIOUS MINERALS INC |
5,000 shares | 700 | ||||||||||
WORLD GAMING PLC |
30,000 shares | 73,131 | ||||||||||
WORLD WRESTLING ENTERTAINMENT INC |
160 shares | 2,343 | ||||||||||
XM SATELLITE RADIO HOLDINGS |
309 shares | 8,429 | ||||||||||
XERION ECOSOLUTIONS GROUP |
1 shares | | ||||||||||
XEROX CORPORATION |
1,100 shares | 16,115 | ||||||||||
YAHOO! INC |
2,364 shares | 92,621 | ||||||||||
YAMANA GOLD INC |
1,000 shares | 6,610 | ||||||||||
YUM BRANDS INC |
952 shares | 44,615 | ||||||||||
ZAP |
1,400 shares | 364 | ||||||||||
ZYMETX INC |
750 shares | 15 | ||||||||||
TOTAL COMMON STOCKS |
9,469,227 | |||||||||||
PREFERRED STOCK: |
||||||||||||
FORD MOTOR COMPANY 7.50% |
200 shares | 3,172 | ||||||||||
HEE CORPORATION |
4,200 shares | | ||||||||||
TOTAL PREFERRED STOCK |
3,172 | |||||||||||
MUTUAL FUNDS: |
||||||||||||
1838 BOND DEBENTURE TRADING FUND |
2,032 shares | 35,181 | ||||||||||
ACADIAN EMERGING MARKETS PORTFOLIO |
2,537 shares | 64,547 | ||||||||||
AIM ENERGY FUND |
839 shares | 33,982 | ||||||||||
AIM FINANCIAL SERVICES FUND INVESTORS |
322 shares | 8,854 | ||||||||||
AIM TECHNOLOGY FUND |
496 shares | 12,838 | ||||||||||
AL FRANK FUND |
501 shares | 15,261 | ||||||||||
ALLIANZ OCC RENAISSANCE FUND CLASS D |
1,047 shares | 22,523 | ||||||||||
ALLIANZ OCC VALUE FUND CLASS D |
1,496 shares | 23,517 | ||||||||||
ALLIANZ RCM GLOBAL HEALTHCARE FUND C |
1,326 shares | 29,564 | ||||||||||
ALLIANZ RCM GLOBAL TECHNOLOGY FUND D |
257 shares | 9,920 | ||||||||||
* | AMERICAN CENTURY EQUITY INCOME FUND
INVESTORS |
12,371 shares | 96,744 | |||||||||
* | AMERICAN CENTURY GROWTH FUND INVESTORS |
874 shares | 17,992 | |||||||||
* | AMERICAN CENTURY INTERNATIONAL GROWTH
INVESTORS |
2,508 shares | 25,305 |
-26-
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2005 |
(c) Description of | ||||||||||||
investment including | ||||||||||||
maturity date, rate of | ||||||||||||
interest, collateral, | (d) | |||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||
(a) | (b) Identity of issue, borrower, lessor or similar party | or number of shares | ** | value | ||||||||
* | AMERICAN CENTURY REAL ESTATE FUND
INVESTORS |
2,588 shares | 65,861 | |||||||||
* | AMERICAN CENTURY SMALL COMPANY FUND |
6,687 shares | 65,402 | |||||||||
* | AMERICAN CENTURY TARGET 2025 FUND |
87 shares | 4,552 | |||||||||
* | AMERICAN CENTURY TECHNOLOGY FUND |
329 shares | 6,626 | |||||||||
* | AMERICAN CENTURY BENHAM INTERNATIONAL
BOND |
1,962 shares | 25,563 | |||||||||
* | AMERICAN CENTURY BENHAM TARGET
MATURITIES TRUST |
271 shares | 20,738 | |||||||||
AMERISTOCK MUTUAL FUND |
239 shares | 9,220 | ||||||||||
ANALYTIC SHORT-TERM |
5,214 shares | 53,390 | ||||||||||
ARIEL APPRECIATION FUND |
142 shares | 6,622 | ||||||||||
ARIEL FUND |
1,136 shares | 56,887 | ||||||||||
ARTISAN INTERNATIONAL FUND |
7,685 shares | 194,497 | ||||||||||
ARTISAN MIDCAP FUND |
704 shares | 21,761 | ||||||||||
ARTISAN MIDCAP VALUE FUND |
560 shares | 10,502 | ||||||||||
BARON ASSET FUND |
574 shares | 32,305 | ||||||||||
BARON GROWTH & INCOME FUND |
89 shares | 4,029 | ||||||||||
BARON PARTNERS FUND |
2,429 shares | 44,764 | ||||||||||
BERWYN FUND |
522 shares | 15,496 | ||||||||||
BJURMAN BARRY MICRO CAP GROWTH FUND |
3,033 shares | 93,097 | ||||||||||
BJURMAN BARRY SMALL CAP |
1,248 shares | 17,065 | ||||||||||
BOSTON PROPERTIES INC |
109 shares | 8,103 | ||||||||||
BRIDGEWAY SMALL CAP GROWTH FUND CLASS N |
844 shares | 11,435 | ||||||||||
BRIDGEWAY SMALL CAP VALUE FUND CLASS N |
1,800 shares | 25,788 | ||||||||||
BUFFALO SMALL CAP FUND |
947 shares | 24,087 | ||||||||||
CRA QUALIFIED INVESTMENT FUND |
478 shares | 5,030 | ||||||||||
CALAMOS GROWTH FUND CLASS A |
755 shares | 41,548 | ||||||||||
CHESAPEAKE CORE GROWTH FUND |
8,871 shares | 150,102 | ||||||||||
CLIPPER FUND |
1,270 shares | 111,970 | ||||||||||
COHEN & STEERS REALTY SHARES |
623 shares | 45,195 | ||||||||||
COLUMBIA SMALL CAP GROWTH I CLASS Z |
456 shares | 12,884 | ||||||||||
CONSTELLATION CLOVER SMALL CAP VALUE |
738 shares | 17,173 | ||||||||||
DIAMONDS TRUST SERIES 1 |
100 shares | 10,695 | ||||||||||
DODGE & COX BALANCED FUND |
113 shares | 9,164 | ||||||||||
DODGE & COX INCOME FUND |
4,995 shares | 62,638 | ||||||||||
DODGE & COX INTERNATIONAL STOCK FUND |
1,397 shares | 48,920 | ||||||||||
DODGE & COX STOCK FUND |
681 shares | 93,471 | ||||||||||
DREYFUS PREMIER TECHNOLOGY GROWTH
CLASS A |
224 shares | 5,356 | ||||||||||
DREYFUS SMALL CAP STOCK INDEX |
2,058 shares | 44,123 | ||||||||||
DRIEHAUS INTERNATIONAL DISCOVERY FUND |
426 shares | 17,560 | ||||||||||
ENERPLUS RESOURCES FUND G |
110 shares | 5,278 |
-27-
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2005 |
(c) Description of | ||||||||||||
investment including | ||||||||||||
maturity date, rate of | ||||||||||||
interest, collateral, | (d) | |||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||
(a) | (b) Identity of issue, borrower, lessor or similar party | or number of shares | ** | value | ||||||||
EXCELSIOR EMERGING MARKETS FUND |
4,350 shares | 48,672 | ||||||||||
EXCELSIOR ENERGY & NATURAL RESOURCES |
809 shares | 19,447 | ||||||||||
EXCELSIOR REAL ESTATE FUND |
563 shares | 5,693 | ||||||||||
EXCELSIOR VALUE & RESTRUCTURING FUND |
4,263 shares | 196,873 | ||||||||||
FAM VALUE FUND |
59 shares | 2,820 | ||||||||||
FBR SMALL CAP FINANCIAL FUND |
745 shares | 22,327 | ||||||||||
FBR SMALL CAP FUND |
1,027 shares | 43,180 | ||||||||||
FMI FOCUS FUND |
81 shares | 2,616 | ||||||||||
FAIRHOLME FUND |
324 shares | 8,156 | ||||||||||
FEDERATED CAP APPRECIATION CLASS A |
111 shares | 2,792 | ||||||||||
FEDERATED INTERNATIONAL SMALL CO FUND |
510 shares | 17,807 | ||||||||||
FEDERATED KAUFMAN FUND CLASS K |
1,572 shares | 8,806 | ||||||||||
FIDELITY AGRESSIVE GROWTH FUND |
111 shares | 1,982 | ||||||||||
FIDELITY CONTRA FUND |
555 shares | 35,970 | ||||||||||
FIDELITY DISCOVERY FUND |
568 shares | 6,484 | ||||||||||
FIDELITY EQUITY INCOME FUND |
32,023 shares | 1,690,177 | ||||||||||
FIDELITY GROWTH COMPANY FUND |
22 shares | 1,431 | ||||||||||
FIDELITY LATIN AMERICAN FUND |
124 shares | 3,955 | ||||||||||
FIDELITY MAGELLAN FUND |
31,025 shares | 3,302,350 | ||||||||||
FIRST AMERICAN SMALL CAP GROWTH |
780 shares | 15,483 | ||||||||||
FIRST EAGLE GLOBAL FUND |
673 shares | 28,301 | ||||||||||
FIRSTHAND TECHNOLOGY VALUE FUND |
369 shares | 12,221 | ||||||||||
FORDING CANADIAN COAL TRUST |
150 shares | 5,186 | ||||||||||
FORWARD HOOVER SMALL CAP EQUITY FUND |
1,403 shares | 27,224 | ||||||||||
FRIEDMAN BILLINGS GROUP |
180 shares | 1,779 | ||||||||||
GABELLI GOLD FUND INC |
12,135 shares | 252,418 | ||||||||||
HARBOR INTERNATIONAL FUND INVESTOR |
1,414 shares | 69,344 | ||||||||||
HARDING LOEVNER EMERGING MARKETS |
815 shares | 28,343 | ||||||||||
HARVEST ENERGY TRUST UNITS |
395 shares | 12,644 | ||||||||||
HEALTH CARE PROPERTY INVESTORS |
227 shares | 5,798 | ||||||||||
HEARTLAND VALUE FUND |
391 shares | 17,538 | ||||||||||
HENNESSY CORNERSTONE GROWTH FUND |
1,684 shares | 32,609 | ||||||||||
HENNESSY CORNERSTONE GROWTH FUND
SERIES 1 |
1,586 shares | 46,621 | ||||||||||
HENNESSY FOCUS 30 FUND |
431 shares | 4,892 | ||||||||||
HODGES FUND |
982 shares | 22,490 | ||||||||||
HUSSMAN STRATEGIC GROWTH |
1,929 shares | 30,244 | ||||||||||
ICON ENERGY FUND |
652 shares | 20,819 | ||||||||||
ICON HEALTHCARE FUND CLASS A |
506 shares | 9,057 | ||||||||||
ICON INFORMATION TECHNOLOGY FUND CLASS A |
1,460 shares | 12,758 | ||||||||||
ISHARES MSCI CDA INDEX FUND F |
120 shares | 2,628 | ||||||||||
ISHARES MSCI EMERGING MARKETS INDEX FUND |
286 shares | 22,232 |
-28-
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2005 |
(c) Description of | ||||||||||||
investment including | ||||||||||||
maturity date, rate of | ||||||||||||
interest, collateral, | (d) | |||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||
(a) | (b) Identity of issue, borrower, lessor or similar party | or number of shares | ** | value | ||||||||
ISHARES TRUST DOW JONES SELECT DIVIDEND |
107 shares | 6,525 | ||||||||||
ISHARES TRUST DOW JONES U.S. ENERGY
SECURITIES INDEX FUND |
306 shares | 26,284 | ||||||||||
ISHARES TRUST DOW JONES U.S. REAL ESTATE |
429 shares | 27,488 | ||||||||||
ISHARES TRUST GOLDMAN SACHS |
60 shares | 3,658 | ||||||||||
ISHARES TRUST NASDAQ BIOTECH INDEX FUND |
100 shares | 7,724 | ||||||||||
ISHARES TRUST RUSSELL 2000 |
158 shares | 10,516 | ||||||||||
ISHARES TRUST RUSSELL 3000 |
82 shares | 7,364 | ||||||||||
ISHARES
TRUST S&P 500 INDEX |
261 shares | 32,593 | ||||||||||
ISHARES
TRUST S&P SMALLCAP 600 INDEX FUND |
934 shares | 53,976 | ||||||||||
JANUS BALANCED FUND |
3,013 shares | 67,735 | ||||||||||
JANUS CONTRARIAN FUND |
4,534 shares | 68,648 | ||||||||||
JANUS ENTERPRISE FUND |
288 shares | 12,060 | ||||||||||
JANUS GLOBAL LIFE SCIENCE FUND |
239 shares | 4,797 | ||||||||||
JANUS GLOBAL VALUE |
218 shares | 3,208 | ||||||||||
JANUS GROWTH & INCOME FUND |
1,415 shares | 50,971 | ||||||||||
JANUS MERCURY FUND |
1,107 shares | 25,437 | ||||||||||
JANUS MID CAP VALUE INVESTORS SHARES |
2,272 shares | 50,717 | ||||||||||
JANUS OLYMPUS FUND |
2,009 shares | 65,662 | ||||||||||
JANUS ORION FUND |
2,446 shares | 20,373 | ||||||||||
JANUS OVERSEAS FUND |
940 shares | 29,935 | ||||||||||
JANUS SMALL CAP VALUE INVESTORS SHARES |
1,713 shares | 47,541 | ||||||||||
JANUS TWENTY FUND |
785 shares | 38,389 | ||||||||||
JENSEN PORTFOLIO CLASS J |
2,958 shares | 70,458 | ||||||||||
* | JPMORGAN GROWTH ADVANTAGE FUND |
248 shares | 1,574 | |||||||||
JULIUS BAER INTERNATIONAL EQUITY FUND A |
5,574 shares | 197,548 | ||||||||||
KIMCO REALTY CORPORATION |
400 shares | 12,832 | ||||||||||
LAUDUS INTERNATIONAL EQUITY INVESTMENTS |
2,999 shares | 32,214 | ||||||||||
LAUDUS INTERNATIONAL SMALL INVESTMENTS |
1,935 shares | 35,428 | ||||||||||
LOOMIS SAYLES BOND FUND |
904 shares | 12,253 | ||||||||||
LORD ABBETT AFFILIATED CLASS A |
1,691 shares | 23,764 | ||||||||||
LORD ABBETT BOND DEBENTURE CLASS A |
1,645 shares | 12,827 | ||||||||||
LORD ABBETT MID CAP VALUE FUND |
499 shares | 11,179 | ||||||||||
MFS UTILITIES FUND CLASS A |
169 shares | 2,137 | ||||||||||
MS INDIA INVESTMENT FUND |
100 shares | 3,735 | ||||||||||
MANAGERS FREMONT BOND FUND |
1,460 shares | 15,139 | ||||||||||
MATTHEWS KOREA FUND CLASS I |
3,204 shares | 20,412 | ||||||||||
MATTHEWS PACIFIC TIGER FUND |
3,597 shares | 69,311 | ||||||||||
MERIDIAN GROWTH FUND |
609 shares | 22,260 | ||||||||||
MERIDIAN VALUE FUND |
1,102 shares | 38,174 | ||||||||||
MERK HARD CURRENCY FUND INVESTORS
SHARES |
509 shares | 4,964 | ||||||||||
MILLS CORPORATION |
200 shares | 8,388 |
-29-
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2005 |
(c) Description of | ||||||||||||
investment including | ||||||||||||
maturity date, rate of | ||||||||||||
interest, collateral, | (d) | |||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||
(a) | (b) Identity of issue, borrower, lessor or similar party | or number of shares | ** | value | ||||||||
MUHLENKAMP FUND |
400 shares | 33,776 | ||||||||||
MUNDER INTERNET FUND CLASS A |
41 shares | 844 | ||||||||||
NB HIGH INCOME BOND FUND |
1,389 shares | 12,656 | ||||||||||
NB INTERNATIONAL FUND INVESTMENT CLASS |
944 shares | 20,466 | ||||||||||
NB SOCIALLY RESPONSIVE FUND |
657 shares | 14,930 | ||||||||||
NASDAQ 100 SHARES |
2,330 shares | 94,154 | ||||||||||
NAVELLIER MID CAP GROWTH |
4,139 shares | 121,066 | ||||||||||
NICHOLAS II FUND CLASS I |
248 shares | 5,502 | ||||||||||
NORTHERN HIGH-YIELD FIXED INCOME |
9,896 shares | 79,167 | ||||||||||
OAK VALUE FUND |
824 shares | 24,783 | ||||||||||
OAKMARK EQUITY INCOME FUND |
2,053 shares | 51,288 | ||||||||||
OAKMARK FUND |
4,066 shares | 166,238 | ||||||||||
OAKMARK GLOBAL FUND CLASS I |
1,609 shares | 37,770 | ||||||||||
OAKMARK INTERNATIONAL FUND |
1,938 shares | 43,653 | ||||||||||
OAKMARK SELECT FUND |
2,952 shares | 97,109 | ||||||||||
OLD MUTUAL CLIPPER FOCUS FUND |
3,246 shares | 53,065 | ||||||||||
OLD MUTUAL SELECT GROWTH FUND |
196 shares | 4,582 | ||||||||||
OLD MUTUAL TECHNOLOGY & COMMUNICATION
FUND |
57 shares | 713 | ||||||||||
OPPENHEIMER DEVELOPING MARKETS CLASS A |
94 shares | 3,412 | ||||||||||
OSTERWEIS FUND |
417 shares | 10,821 | ||||||||||
PARNASSUS EQUITY INCOME FUND |
196 shares | 4,720 | ||||||||||
PARNASSUS FIXED INCOME FUND |
277 shares | 4,371 | ||||||||||
PAX WORLD FUND INC |
374 shares | 8,843 | ||||||||||
PENGROWTH ENERGY TRUST A |
925 shares | 21,765 | ||||||||||
PERRITT MICRO CAP OPPORTUNITIES FUND |
170 shares | 5,012 | ||||||||||
PETROFUND ENERGY TRUST |
2,000 shares | 35,280 | ||||||||||
PIMCO COMMODITY REAL RETURN STRATEGY D |
466 shares | 6,889 | ||||||||||
PIMCO HIGH YIELD FUND CLASS D |
5,336 shares | 51,862 | ||||||||||
PIMCO REAL RETURN FUND CLASS D |
4,318 shares | 47,846 | ||||||||||
PIMCO TOTAL RETURN FUND CLASS D |
7,246 shares | 76,084 | ||||||||||
PIN OAK AGGRESSIVE STOCK FUND |
190 shares | 4,331 | ||||||||||
PIONEER HIGH-YIELD FUND CLASS A |
6,014 shares | 64,586 | ||||||||||
PORTFOLIO 21 |
236 shares | 6,356 | ||||||||||
PRIMEWEST ENERGY TRUST |
275 shares | 8,503 | ||||||||||
PROFUNDS ULTRA MID CAP INVESTOR SHARES |
111 shares | 4,849 | ||||||||||
PROFUNDS ULTRA JAPAN FUND |
88 shares | 5,704 | ||||||||||
PRUDENT BEAR FUND |
1,890 shares | 10,208 | ||||||||||
PRUDENT GLOBAL INCOME FUND |
702 shares | 8,117 | ||||||||||
RS DIVERSIFIED GROWTH FUND |
455 shares | 10,155 | ||||||||||
RS GLOBAL NATURAL RESOURCES FUND |
206 shares | 6,738 | ||||||||||
RS INTERNET AGE FUND |
571 shares | 4,432 | ||||||||||
RS INVESTORS FUND |
571 shares | 5,960 |
-30-
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2005 |
(c) Description of | ||||||||||||
investment including | ||||||||||||
maturity date, rate of | ||||||||||||
interest, collateral, | (d) | |||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||
(a) | (b) Identity of issue, borrower, lessor or similar party | or number of shares | ** | value | ||||||||
RS PARTNERS FUND |
1,068 shares | 35,247 | ||||||||||
RS VALUE & GROWTH FUND |
2,312 shares | 56,756 | ||||||||||
RED OAK TECHNOLOGY |
446 shares | 3,092 | ||||||||||
REYNOLDS BLUE CHIP GROWTH FUND |
21 shares | 615 | ||||||||||
ROYCE FUND PREMIER SERIES |
4,614 shares | 77,793 | ||||||||||
ROYCE OPPORTUNITY FUND |
222 shares | 2,734 | ||||||||||
ROYCE PENNSYLVANIA MUTUAL FUND |
513 shares | 5,531 | ||||||||||
ROYCE PREMIER FUND |
1,069 shares | 18,024 | ||||||||||
ROYCE TOTAL RETURN FUND |
5,538 shares | 69,775 | ||||||||||
RYDEX ENERGY FUND |
418 shares | 8,420 | ||||||||||
RYDEX PRECIOUS METALS FUND |
236 shares | 10,944 | ||||||||||
RYDEX URSA FUND |
2,061 shares | 17,043 | ||||||||||
SPDR TRUST UNIT SERIES 1 |
123 shares | 15,284 | ||||||||||
SSGA INTERNATIONAL STOCK SELECTION FUND |
1,127 shares | 12,433 | ||||||||||
SCHWAB 1000 INDEX FUND INVESTOR SHARES |
33 shares | 1,213 | ||||||||||
SCHWAB CORE EQUITY FUND |
1,081 shares | 17,764 | ||||||||||
SCHWAB DIVIDEND EQUITY |
3,775 shares | 48,737 | ||||||||||
SCHWAB HEALTH CARE FUND |
1,776 shares | 26,384 | ||||||||||
SCHWAB INTERNATIONAL INDEX FUND |
319 shares | 5,675 | ||||||||||
SCHWAB MARKETTRACK GROWTH |
75 shares | 1,293 | ||||||||||
SCHWAB PREMIER EQUITY INVESTOR SHARES |
2,466 shares | 28,018 | ||||||||||
SCHWAB
S&P 500 INDEX FUND INVESTOR SHARES |
8,681 shares | 166,681 | ||||||||||
SCHWAB SMALL CAP INDEX FUND |
232 shares | 5,312 | ||||||||||
SCHWAB SMALL CAP EQUITY FUND INVESTOR
SHARES |
557 shares | 8,871 | ||||||||||
SCHWAB TOTAL BOND MARKET INDEX FUND |
24,568 shares | 242,982 | ||||||||||
SCHWAB TOTAL STOCK MARKET INVESTOR
SHARES |
2,448 shares | 52,235 | ||||||||||
SCHWAB TOTAL STOCK MARKET SELECT SHARES |
3,539 shares | 75,670 | ||||||||||
SCUDDER HEALTH CARE FUND |
233 shares | 5,774 | ||||||||||
SCUDDER TOTAL RETURN FUND CLASS S |
1,081 shares | 9,887 | ||||||||||
SECTOR SPDR TRUST |
200 shares | 4,180 | ||||||||||
SELECTED AMERICAN SHARES |
745 shares | 29,999 | ||||||||||
SMALL CAP OPPORTUNITIES FUND (KINETICS) |
289 shares | 6,066 | ||||||||||
STRATTON GROWTH FUND |
70 shares | 3,098 | ||||||||||
STRATTON SMALL CAP VALUE FUND |
153 shares | 6,612 | ||||||||||
STREETTRACKS GOLD TRUST |
50 shares | 2,579 | ||||||||||
T.ROWEPRICE CAPITAL APPRECIATION FUND |
417 shares | 8,360 | ||||||||||
T.ROWEPRICE EMERGING MARKETS STOCK FUND |
984 shares | 25,272 | ||||||||||
T.ROWEPRICE EQUITY INCOME FUND |
1,386 shares | 35,921 | ||||||||||
T.ROWEPRICE HEALTH SCIENCES FUND |
2,190 shares | 54,916 | ||||||||||
T.ROWEPRICE HIGH-YIELD FUND |
1,337 shares | 9,242 | ||||||||||
T.ROWEPRICE LATIN AMERICA FUND |
976 shares | 24,710 |
-31-
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2005 |
(c) Description of | ||||||||||||
investment including | ||||||||||||
maturity date, rate of | ||||||||||||
interest, collateral, | (d) | |||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||
(a) | (b) Identity of issue, borrower, lessor or similar party | or number of shares | ** | value | ||||||||
T.ROWEPRICE MID CAPITAL GROWTH FUND |
1,012 shares | 54,770 | ||||||||||
T.ROWEPRICE NEW ASIA FUND |
7,828 shares | 92,600 | ||||||||||
T.ROWEPRICE NEW ERA FUND |
268 shares | 11,023 | ||||||||||
T.ROWEPRICE NEW HORIZONS FUND |
139,254 shares | 4,419,908 | ||||||||||
T.ROWEPRICE REAL ESTATE FUND |
493 shares | 9,615 | ||||||||||
T.ROWEPRICE SCIENCE & TECHNOLOGY FUND |
98,922 shares | 1,935,911 | ||||||||||
T.ROWEPRICE SMALL CAPITAL VALUE FUND |
539 shares | 19,910 | ||||||||||
T.ROWEPRICE SPECTRUM INCOME FUND |
1,867 shares | 22,013 | ||||||||||
TEMPLETON GLOBAL INCOME FUND |
822 shares | 6,855 | ||||||||||
THIRD AVENUE REAL ESTATE VALUE FUND |
1,958 shares | 57,489 | ||||||||||
THIRD AVENUE VALUE FUND |
987 shares | 54,058 | ||||||||||
THIRD MILLENNIUM RUSSIA FUND |
108 shares | 5,097 | ||||||||||
TOCQUEVILLE GOLD FUND |
3,106 shares | 126,745 | ||||||||||
TOUCHSTONE LARGE CAP GROWTH FUND
CLASS A |
325 shares | 7,315 | ||||||||||
TWEEDY BROWNE GLOBAL VALUE FUND |
1,887 shares | 49,807 | ||||||||||
U.S. GLOBAL INVESTORS GLOBAL RESOURCES
FUND |
3,209 shares | 45,862 | ||||||||||
U.S. GLOBAL INVESTORS WORLD PRECIOUS
MINERALS FUND |
11,095 shares | 225,443 | ||||||||||
U.S. GLOBAL REGENT EASTERN EUROPEAN FUND |
1,243 shares | 49,116 | ||||||||||
UMB SCOUT SMALL CAP FUND |
1,046 shares | 16,579 | ||||||||||
UMB SCOUT WORLDWIDE FUND |
3,319 shares | 93,795 | ||||||||||
VAN KAMPEN AMERICAN CAP INCOME TRUST |
612 shares | 3,413 | ||||||||||
VANGUARD 500 INDEX FUND INVESTOR SHARES |
1,089 shares | 125,185 | ||||||||||
VANGUARD
FINANCIAL INDEX SECURITIES SHORT-TERM US TREASURY FUND |
1,388 shares | 14,334 | ||||||||||
VANGUARD GNMA FUND INVESTOR SHARES |
1,109 shares | 11,423 | ||||||||||
VANGUARD HEALTH CARE FUND |
215 shares | 29,977 | ||||||||||
VANGUARD HIGH-YIELD CORPORATE FUND |
13,622 shares | 84,046 | ||||||||||
VANGUARD INFLATION PROTECTED SECURITIES
FUND |
838 shares | 10,194 | ||||||||||
VANGUARD LONG-TERM BOND INDEX FUND |
521 shares | 6,165 | ||||||||||
VANGUARD PRECIOUS METALS FUND |
1,095 shares | 25,401 | ||||||||||
VANGUARD PRIMECAP FUND INVESTORS |
561 shares | 36,666 | ||||||||||
VANGUARD REAL ESTATE INVESTMENT TRUST
INDEX FUND INVESTORS |
1,147 shares | 22,717 | ||||||||||
VANGUARD STRATEGIC EQUITY FUND |
254 shares | 5,562 | ||||||||||
VANGUARD TOTAL BOND MARKET INDEX FUND |
1,969 shares | 19,813 | ||||||||||
VANGUARD TOTAL INTERNATIONAL STOCK
INDEX FUND |
1,126 shares | 16,064 | ||||||||||
VANGUARD TOTAL STOCK MARKET INDEX FUND |
1,765 shares | 52,948 |
-32-
Phelps Dodge Employee Savings Plan
|
Supplemental Information | |
Schedule of Assets (Held at End of Year)
|
Schedule I | |
December 31, 2005 |
(c) Description of | ||||||||||||
investment including | ||||||||||||
maturity date, rate of | ||||||||||||
interest, collateral, | (d) | |||||||||||
par or maturity value, | Cost | (e) Current | ||||||||||
(a) | (b) Identity of issue, borrower, lessor or similar party | or number of shares | ** | value | ||||||||
VANGUARD U.S. VALUE FUND |
968 shares | 13,051 | ||||||||||
VANGUARD WELLINGTON FUND INVESTORS |
1,379 shares | 41,845 | ||||||||||
VANGUARD WINDSOR II PORTFOLIO |
1,758 shares | 55,077 | ||||||||||
VENTAS INC |
332 shares | 10,619 | ||||||||||
WASATCH CORE GROWTH FUND |
296 shares | 12,055 | ||||||||||
WASATCH HERITAGE GROWTH FUND |
464 shares | 5,262 | ||||||||||
WEINGARTEN REALTY INVESTORS |
44 shares | 1,673 | ||||||||||
WEITZ VALUE PORTFOLIO |
369 shares | 13,079 | ||||||||||
WELLS FARGO ADVANTAGE |
273 shares | 3,177 | ||||||||||
WELLS FARGO ADVANTAGE OPPORTUNITY
INVESTORS |
770 shares | 34,549 | ||||||||||
WESTCORE MID CAP VALUE FUND |
1,112 shares | 20,666 | ||||||||||
WESTCORE PLUS BOND FUND |
11,370 shares | 119,383 | ||||||||||
WESTPORT FUNDS CLASS R |
367 shares | 6,933 | ||||||||||
WHITE OAK GROWTH STOCK |
1,400 shares | 45,235 | ||||||||||
WILLIAM BLAIR EMERGING MARKET CLASS N |
357 shares | 5,065 | ||||||||||
WILLIAM BLAIR INTERNATIONAL GROWTH FUND |
984 shares | 24,808 | ||||||||||
WILLIAMS COAL SEAM GAS ROYALTY TRUST |
673 shares | 11,696 | ||||||||||
WINSLOW GREEN GROWTH FUND |
2,223 shares | 39,168 | ||||||||||
WOMENS EQUITY FUND |
660 shares | 13,615 | ||||||||||
TOTAL MUTUAL FUNDS |
20,018,013 | |||||||||||
PARTNERSHIPS: |
||||||||||||
ENERGY TRANSFER PARTNERS |
400 shares | 13,696 | ||||||||||
KINDER MORGAN ENERGY PARTNERS LP |
650 shares | 31,085 | ||||||||||
MAGELLAN MIDSTREAM PARTNERS |
800 shares | 25,784 | ||||||||||
VALERO LP |
793 shares | 41,026 | ||||||||||
TOTAL PARTNERSHIPS |
111,591 | |||||||||||
EMPLOYER STOCK: |
||||||||||||
* | PHELPS DODGE |
685,837 shares | 98,413,121 | |||||||||
PARTICIPANT LOANS: |
||||||||||||
* | LOANS TO VARIOUS PARTICIPANTS |
6% - 11.5 | % | |||||||||
Maturing through 2021 | 26,095,861 | |||||||||||
OTHER ASSETS: |
||||||||||||
INVESTMENT IN MASTER TRUST |
542,676,705 | |||||||||||
TOTAL ASSETS HELD FOR INVESTMENT |
701,081,060 | |||||||||||
* | This is a related party, a party-in-interest for which a statutory exemption exists. | |
** | All investments are participant directed; therefore, disclosure of cost is not required. |
-33-
23 | Consent of PricewaterhouseCoopers LLP. |