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SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
Form 11-K
(Mark One)
     
þ   ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
     
 
  For the fiscal year ended December 31, 2005
OR
     
o   TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
     
 
  For the transition period from                      to                     
Commission file number 1-82
PHELPS DODGE EMPLOYEE SAVINGS PLAN
PHELPS DODGE CORPORATION
One North Central Avenue
Phoenix, Arizona 85004
 
 

 


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SIGNATURES
The Plan. Pursuant to the requirements of the Securities Exchange Act of 1934, the Benefits Administration Committee has duly caused this Annual Report to be signed by the undersigned hereunto duly authorized.
         
    PHELPS DODGE EMPLOYEE SAVINGS PLAN
 
       
Date: June 29, 2006
  By:   /s/Nancy F. Mailhot
 
       
 
      Nancy F. Mailhot, Chairman
 
      Benefits Administration Committee

 


 

Phelps Dodge Employee Savings Plan
Index
December 31, 2005 and 2004
 
                 
            Page  
 
               
Report of Independent Registered Public Accounting Firm     1  
 
               
Statements of Net Assets Available for Benefits     2  
 
               
Statement of Changes in Net Assets Available for Benefits     3  
 
               
Notes to Financial Statements     4  
 
               
Supplemental Information:        
 
               
 
  I.   Schedule of Assets (Held at End of Year)     10  
 Exhibit 23

 


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Report of Independent Registered Public Accounting Firm
To the Benefits Administration Committee and Participants
of the Phelps Dodge Employee Savings Plan
In our opinion, the accompanying statements of net assets available for benefits and the related statement of changes in net assets available for benefits present fairly, in all material respects, the net assets available for benefits of the Phelps Dodge Employee Savings Plan (the “Plan”) at December 31, 2005 and 2004, and the changes in net assets available for benefits for the year ended December 31, 2005 in conformity with accounting principles generally accepted in the United States of America. These financial statements are the responsibility of the Benefits Administration Committee (the “Committee”). Our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by the management, and evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.
Our audits were conducted for the purpose of forming an opinion on the basic financial statements taken as a whole. The supplemental schedule of assets (held at end of year) at December 31, 2005 is presented for the purpose of additional analysis and is not a required part of the basic financial statements but is supplementary information required by the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. The supplemental schedule is the responsibility of the Committee. The supplemental schedule has been subjected to the auditing procedures applied in the audits of the basic financial statements and, in our opinion, is fairly stated in all material respects in relation to the basic financial statements taken as a whole.
/s/PricewaterhouseCoopers LLP
Phoenix, Arizona
June 29, 2006

 


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Phelps Dodge Employee Savings Plan
Statements of Net Assets Available for Benefits
December 31, 2005 and 2004
(in thousands)
 
                 
    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  
 
           
The accompanying notes are an integral part of these financial statements.

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Phelps Dodge Employee Savings Plan
Statement of Changes in Net Assets Available for Benefits
For the Year Ended December 31, 2005
(in thousands)
 
         
Additions to net assets attributed to:
       
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  
 
     
The accompanying notes are an integral part of these financial statements.

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Phelps Dodge Employee Savings Plan
Notes to Financial Statements
 
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.
 
    Administration
The Plan is sponsored by the Corporation and administered by the Corporation’s Benefits Administration Committee (the Committee) composed of seven employees of the Corporation who are appointed by the Corporation’s Board of Directors.
 
    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 Plan’s 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 Trust’s 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 Participant’s Pretax Contributions that do not exceed 3 percent of the Participant’s eligible earnings and an additional 50 percent of the Pretax Contributions that do not exceed the next 2 percent of the Participant’s 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.
 
    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 participant’s eligible profit sharing earnings to the aggregate eligible profit sharing earnings for all participants.

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Phelps Dodge Employee Savings Plan
Notes to Financial Statements
 
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.
 
    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.
 
    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 Participant’s highest outstanding loan balance during the past 12 months, limited to 50 percent of the Participant’s vested account balance. Loans bear interest at the prime rate as quoted by the Plan’s Trustee plus 2 percent. The prime rate at December 31, 2005, was 7.25 percent.
 
    Loans are repaid by payroll deductions and interest is credited to the Participant’s accounts. Loans are generally secured by the Participant’s 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.
 
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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Phelps Dodge Employee Savings Plan
Notes to Financial Statements
 
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.
 
    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.
 
    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 Plan’s 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.
 
    Payment of Benefits
Benefits are recorded when paid.
 
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 Plan’s interest in the Master Trust represents the Plan’s 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 Corporation’s subsidiaries. At December 31, 2005 and 2004, the Plan’s 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 participant’s investment balances. Investment income (loss) is allocated to each Participant’s 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 participant’s pro rata share.

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Phelps Dodge Employee Savings Plan
Notes to Financial Statements
 
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 Trust’s 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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Phelps Dodge Employee Savings Plan
Notes to Financial Statements
 
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 Plan’s 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 Plan’s net assets

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Phelps Dodge Employee Savings Plan
Notes to Financial Statements
 
5.   Related Party Transactions
 
    The Trustee invests in the Corporation’s common stock in accordance with the provisions of the Plan. The following is a summary of transactions in the Corporation’s 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:
                           
   
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:
                           
   
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:
                           
   
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 -


Table of Contents

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 -


Table of Contents

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  
   
CHICO’S 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 -


Table of Contents

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 D’ALENE 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 -


Table of Contents

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 -


Table of Contents

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-


Table of Contents

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  
   
HARRAH’S 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-


Table of Contents

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-


Table of Contents

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  
   
LOWE’S 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-


Table of Contents

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-


Table of Contents

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-


Table of Contents

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-


Table of Contents

     
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-


Table of Contents

     
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-


Table of Contents

     
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-


Table of Contents

     
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-


Table of Contents

     
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-


Table of Contents

     
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-


Table of Contents

     
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-


Table of Contents

     
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-


Table of Contents

     
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-


Table of Contents

     
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-


Table of Contents

     
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.
See Report of Independent Registered Public Accounting Firm.

-33-


Table of Contents

Index to Exhibits
23   Consent of PricewaterhouseCoopers LLP.