Page(s)
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Report
of Independent Registered Public Accounting Firm
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1
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Financial
Statements
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Statements
of Net Assets Available for Benefits
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2
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Statements
of Changes in Net Assets Available for Benefits
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3
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Notes
to Financial Statements
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4-11
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Additional
Information*
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Schedule
I: Schedule
of Assets (Held at
End of Year)
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12
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2004
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2003
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||||
Assets
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|||||
Investments
(Note 3)
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$
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994,675,937
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$
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734,524,935
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Receivables
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|||||
Participant
contributions
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1,838,646
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880,653
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|||
Employer
contributions
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720,635
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313,236
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|||
Dividends
and interest
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66,448
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216,663
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|||
Total
receivables
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2,625,729
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1,410,552
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|||
Total
assets
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997,301,666
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735,935,487
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|||
Liabilities
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|||||
Accrued
expenses
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17,725
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16,745
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Net
assets available for benefits
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$
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997,283,941
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$
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735,918,742
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2004
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2003
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||||
Additions:
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|||||
Interest
and dividends
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$
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18,590,046
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$
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20,350,203
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Net
appreciation in fair value of investments
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95,780,145
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106,136,129
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|||
Participant
contributions
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61,908,554
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43,941,303
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Employer
contributions
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15,609,800
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13,213,138
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Plan
transfers in (Note 1)
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109,966,700
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512,250
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|||
Total
additions
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301,855,245
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184,153,023
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Deductions:
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|||||
Benefits
paid to participants
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40,223,631
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77,744,983
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|||
Administrative
expenses
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266,415
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113,457
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Total
deductions
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40,490,046
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77,858,440
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Net
increase
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261,365,199
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106,294,583
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Net
assets available for benefits
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|||||
Beginning
of year
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735,918,742
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629,624,159
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|||
End
of year
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$
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997,283,941
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$
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735,918,742
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2004
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2003
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||||
Investments
at Fair Value as Determined
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|||||
By
Quoted Market Price
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|||||
Common
Stock
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|||||
Ameren
Corporation(1)(2)
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$
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216,001,464
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$
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186,997,506
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The
AES Corporation
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11,474,721
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-
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Managed
Domestic Equity Funds
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|||||
Lord
Abbett Mid-Cap Value Fund(1)
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169,982,361
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113,828,229
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American
Funds Washington Mutual Investors Fund(1)
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102,557,416
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90,778,245
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Vanguard
Asset Allocation Fund(1)
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81,771,233
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68,985,586
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Barclays
Global Investors Equity Index Fund(1)
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77,010,469
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48,503,305
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American
Funds Growth Fund of America
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46,065,409
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33,873,792
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Vanguard
Extended Market Index Fund
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38,150,994
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24,257,077
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Managed
International Equity Fund
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|||||
American
Funds Europacific Growth Fund
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48,529,893
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28,383,017
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Managed
Fixed Income Fund
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|||||
PIMCO
Total Return Fund
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23,265,652
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13,713,848
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Investments
at Estimated Fair Value
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|||||
Managed
Fixed Income Funds
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|||||
Northern
Trust Company Collective Stable Asset Fund(1)
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150,089,879
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83,122,275
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T.
Rowe Price Stable Value Common Trust Fund
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-
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19,816,654
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Northern
Trust Company Collective Short-Term Investment Fund
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7,376,933
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4,537,265
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Participant
Loans
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22,399,513
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17,728,136
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Total
investments
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$
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994,675,937
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$
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734,524,935
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2004
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2003
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||||
Investments
at Fair Value as Determined
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|||||
By
Quoted Market Price
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|||||
Managed
Domestic Equity Funds
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$
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61,552,039
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$
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80,204,814
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Managed
International Equity Fund
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6,643,140
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6,003,529
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Managed
Fixed Income Fund
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533,696
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284,375
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Ameren
Common Stock Fund
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18,340,233
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18,822,486
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AES
Common Stock Fund
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3,370,612
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-
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Net
change in fair value
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90,439,720
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105,315,204
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Investments
at Estimated Fair Value
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|||||
Managed
Fixed Income Funds
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5,340,425
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820,925
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Net
change in fair value
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$
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95,780,145
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$
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106,136,129
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2004
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2003
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Net
assets
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|||||
Ameren
Common Stock Fund
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$
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58,034,433
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$
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47,387,033
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Employer
contributions receivable
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307,100
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116,042
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Changes
in net assets
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|||||
Dividends
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2,736,129
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2,471,469
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Net
appreciation in fair value of investments
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4,790,313
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4,392,749
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Employer
contributions
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5,216,733
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4,643,459
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Benefits
paid to Participants
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963,586
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2,859,756
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2004
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2003
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|||||
Net
assets available for benefits per the
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||||||
financial
statements
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$
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997,283,941
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$
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735,918,742
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Amounts
allocated to withdrawing Participants
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-
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(502,676
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)
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Net
assets available for benefits per the Form 5500
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$
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997,283,941
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$
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735,416,066
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2004
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2003
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Benefits
paid to Participants per the
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||||||
financial
statements
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$
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40,223,631
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$
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77,744,983
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Add:
Amounts allocated to withdrawing
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||||||
Participants
during the current year
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-
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502,676
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Less:
Amounts allocated to withdrawing
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||||||
Participants
during the prior year
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(502,676
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)
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(213,431
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)
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Benefits
paid to Participants per the Form 5500
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$
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39,720,955
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$
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78,034,228
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(a)
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(b)
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(c)
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(e)
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||||
Identity
of issue, borrower, lessor, or similar
party
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Desciption
of investment including maturity date,
rate
of interest, collateral, par, or maturity value
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Current
value
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|||||
*
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Ameren
Corporation
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Ameren
Common Stock Fund
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$ | 216,001,464 | ||
Lord
Abbett and Company
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Lord
Abbett Mid-Cap Value Fund
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169,982,361
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|||||
*
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Northern
Trust Company
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Collective
Stable Asset Fund
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150,089,879
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||||
American
Funds
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Washington
Mutual Investors Fund
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102,557,416
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|||||
The
Vanguard Group
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Vanguard
Asset Allocation Fund
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81,771,233
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|||||
Barclays
Global Investors
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Barclays
Global Investors Equity Index Fund
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77,010,469
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|||||
American
Funds Group
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Europacific
Growth Fund
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48,529,893
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|||||
American
Funds Group
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Growth
Fund of America
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46,065,409
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|||||
The
Vanguard Group
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Vanguard
Extended Market Index Fund
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38,150,994
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|||||
Pacific
Investment Management Company
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PIMCO
Total Return Fund
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23,265,652
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|||||
*
**
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Participants
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Participant
Loans
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22,399,513
|
||||
The
AES Corporation
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AES
Common Stock Fund
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11,474,721
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|||||
*
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Northern
Trust Company
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Collective
Short-Term Investment Fund
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7,376,933
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||||
$
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994,675,937 | ||||||
*
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Investment
represents allowable transaction with a
party-in-interest.
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**
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Interest
rates vary from 4.25 percent to 11.00 percent on loans maturing through
2019.
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Note:
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Information
pertaining to column (d) was not available for nonparticipant-directed
investments, and was omitted for participant-directed investments
because
it was not applicable.
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