e11vk
 
 
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
Form 11-K
     
þ   ANNUAL REPORT PURSUANT TO SECTION 15 (d) OF THE SECURITIES EXCHANGE ACT OF 1934
For the year ended December 31, 2009
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 1-4448
A.   Full title of the plan and the address of the plan, if different from that of the issuer named below:
Baxter Healthcare of Puerto Rico Savings and Investment Plan
B.   Name of issuer of the securities held pursuant to the plan and the address of its principal executive office:
Baxter International Inc.
One Baxter Parkway
Deerfield, IL 60015
(847) 948-2000
 
 

 


 

Baxter Healthcare of Puerto Rico
Savings and Investment Plan
Financial Statements and Supplemental Schedule
December 31, 2009 and 2008

 


 

Baxter Healthcare of Puerto Rico
Savings and Investment Plan
Index
December 31, 2009 and 2008
 
         
    Page(s)
    1  
 
       
    2  
 
       
Financial Statements
       
 
       
    3  
 
       
    4  
 
       
    5 - 15  
 
       
Supplemental Information
       
 
       
    16 - 46  

 


 

Report of Independent Registered Public Accounting Firm
To the Participants and Administrative Committee of
the Baxter Healthcare of Puerto Rico Savings and Investment Plan
Deerfield, Illinois
We have audited the accompanying statement of net assets available for benefits of the Baxter Healthcare of Puerto Rico Savings and Investment Plan (Plan) as of December 31, 2009, and the related statement of changes in net assets available for benefits for the year then ended. These financial statements are the responsibility of the Plan’s management. Our responsibility is to express an opinion on these financial statements based on our audit.
We conducted our audit 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. An audit also includes assessing the accounting principles used and significant estimates made by management, as well as evaluating the overall financial statement presentation. We believe that our audit provides a reasonable basis for our opinion.
In our opinion, the financial statements referred to above present fairly, in all material respects, the net assets available for benefits of the Plan as of December 31, 2009, and the changes in net assets available for benefits for the year then ended in conformity with U.S. generally accepted accounting principles.
Our audit was conducted for the purpose of forming an opinion on the basic financial statements taken as a whole. The supplemental Schedule H, line 4i — Schedule of Assets (Held at End of Year) 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 Plan’s management. The supplemental schedule has been subjected to the auditing procedures applied in the audit of the basic 2009 financial statements and, in our opinion, is fairly stated in all material respects in relation to the basic 2009 financial statements taken as a whole.
/s/ Crowe Horwath LLP
Oak Brook, Illinois
June 25, 2010

1


 

Prior Auditor’s Report of Independent Registered Public Accounting Firm
To the Participants and Administrative Committee of the
Baxter Healthcare of Puerto Rico Savings and Investment Plan
In our opinion, the accompanying statement 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 Baxter Healthcare of Puerto Rico Savings and Investment Plan (the Plan) at December 31, 2008, and the changes in net assets available for benefits for the year then ended in conformity with accounting principles generally accepted in the United States of America. These financial statements are the responsibility of the Plan’s management. Our responsibility is to express an opinion on these financial statements based on our audit. We conducted our audit 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 management, and evaluating the overall financial statement presentation. We believe that our audit provides a reasonable basis for our opinion.
/s/ PricewaterhouseCoopers LLP
June 26, 2009

2


 

Baxter Healthcare of Puerto Rico
Savings and Investment Plan
Statements of Net Assets Available for Benefits
December 31, 2009 and 2008

 
                 
    2009     2008  
 
Assets
               
Investments
               
Cash and cash equivalents
  $ 822,088     $ 1,192,562  
Common stock (including securities on loan of $349,862 in 2009 and $222,187 in 2008)
    9,234,270       8,360,547  
U.S. government and government agency issues (including securities on loan of $101,159 in 2009 and $16,563 in 2008)
    173,832       190,754  
Corporate and other obligations (including securities on loan of $62,435 in 2009 and $31,222 in 2008)
    458,968       502,407  
Commingled funds
    6,367,830       5,105,055  
Registered investment companies
    457,690       80,293  
Participant loans
    3,858,465       3,806,521  
Synthetic guaranteed investment contracts (including securities on loan of $3,928,786 in 2009 and $1,705,032 in 2008)
    14,786,178       13,551,910  
Collateral held on loaned securities
    4,478,307       1,872,925  
 
Total investments at fair value
    40,637,628       34,662,974  
 
Receivables
               
Sponsor contributions
    159,880       65,318  
Accrued interest and dividends
    44,135       46,349  
Due from brokers for securities sold
    6,943       478  
 
 
    210,958       112,145  
 
Total assets
    40,848,586       34,775,119  
 
Liabilities
               
Accounts payable
    46,857       74,255  
Due to brokers for securities purchased
    17,920       6,156  
Collateral to be paid on loaned securities
    4,550,430       2,028,951  
 
Total liabilities
    4,615,207       2,109,362  
 
Net assets available for benefits, reflecting investments at fair value
    36,233,379       32,665,757  
Adjustment from fair value to contract value for fully benefit-responsive investment contracts
    (116,408 )     (534,566 )
 
Net assets available for benefits
  $ 36,116,971     $ 32,131,191  
 
The accompanying notes are an integral part of these financial statements.

3


 

Baxter Healthcare of Puerto Rico
Savings and Investment Plan
Statements of Changes in Net Assets Available for Benefits
For the Years Ended December 31, 2009 and 2008

 
                 
    2009     2008  
 
Additions (reductions) to net assets attributed to
               
Investment income (loss)
               
Net appreciation (depreciation) in fair value of investments
  $ 2,729,952     $ (5,928,468 )
Interest and dividends
    718,839       1,103,788  
Participant loan interest
    244,843       274,112  
 
Net investment income (loss)
    3,693,634       (4,550,568 )
 
Contributions
               
Sponsor
    1,469,130       1,392,707  
Participant
    2,655,257       2,737,572  
 
 
    4,124,387       4,130,279  
 
Net additions (reductions)
    7,818,021       (420,289 )
 
Deductions from net assets attributed to
               
Benefits paid
    3,612,147       2,751,320  
Plan expenses
    220,094       458,367  
 
Total deductions
    3,832,241       3,209,687  
 
Net increase (decrease)
    3,985,780       (3,629,976 )
Net assets available for benefits
               
Beginning of year
    32,131,191       35,761,167  
 
End of year
  $ 36,116,971     $ 32,131,191  
 
The accompanying notes are an integral part of these financial statements.

4


 

Baxter Healthcare of Puerto Rico
Savings and Investment Plan
Notes to Financial Statements
December 31, 2009 and 2008
 
1.   General Description of the Plan
 
    The following brief description of Baxter Healthcare of Puerto Rico Savings and Investment Plan (the Plan) is provided for general information purposes only. Participants should refer to the Plan agreement and summary plan description for more complete information. The Plan is subject to the provisions of the Employee Retirement Income Security Act of 1974 (ERISA).
 
    General
The Plan is a defined contribution plan which became effective on January 1, 1998. The Plan covers substantially all employees of Baxter Healthcare S.A. (Puerto Rico Branch), and Baxter Sales and Distribution Corporation (collectively, the Sponsor or the Company), subsidiaries of Baxter International Inc. (Baxter) as of the first day of the month following the completion of thirty days of employment. The Plan was created for the purpose of providing retirement benefits to employees and to encourage and assist employees in adopting a regular savings program by means of payroll deductions through a plan that qualifies under the applicable laws of the Commonwealth of Puerto Rico and the United States Internal Revenue Code.
 
    Contributions
Plan participants may authorize the Company to make payroll deductions under the Plan ranging from 1% to 10% and 1% to 50% of their pre-tax monthly compensation in 2008 and 2009, respectively, limited to a maximum of $8,000 and $9,000 a year in 2008 and 2009, respectively. Newly hired employees are deemed to have elected to contribute 3% of compensation unless they make a contrary election. The Company matches a participant’s savings contributions at the rate of 50 cents for each dollar of a participant’s pre-tax contribution, up to a maximum of 6% of a participant’s compensation. The Company also contributes an additional non-matching 3% of compensation for employees that are not eligible to participate in the Company’s Puerto Rico defined benefit pension plan, which includes all new employees hired on or after January 1, 2008. The Company may make additional discretionary contributions in such amounts as the Company may determine.
 
    Participant Accounts
Each participant’s account is credited with the participant’s contribution and allocations of the Company’s contributions and Plan earnings, and is charged with his or her withdrawals and an allocation of Plan-related expenses. Allocations are based on participant earnings or account balances, as defined in the Plan document. The net income of the Plan is posted to the participant’s accounts on a daily basis. Each participant directs the investment of his or her account to any of the investment options available under the Plan.
 
    Vesting
Participants are immediately vested in their contributions plus actual earnings thereon. Vesting in the Company’s matching and discretionary contributions plus actual earnings thereon is based on years of service. The contributions vest in accordance with the following vesting schedule:
         
Years of Service   Vesting %  
 
1
    20 %
2
    40 %
3
    60 %
4
    80 %
5 or more
    100 %
    Employees are fully vested in the Company’s matching contributions account, regardless of years of service with the Company, upon attaining age 65, upon becoming disabled in accordance with the provisions of the Plan or upon dying while employed by the Company. The Company’s additional non-matching contribution becomes fully vested after three years of service. Forfeitures of nonvested accounts are used to reduce future Company contributions.

5


 

Baxter Healthcare of Puerto Rico
Savings and Investment Plan
Notes to Financial Statements
December 31, 2009 and 2008
 
    Participant Loans
Participants may borrow from their vested accounts a minimum of $500 up to a maximum equal to the lesser of $50,000 or 50% of their vested account balance. The loans are secured by the balance in the participant’s account and bear interest at the prime rate at the last day of the month prior to loan request, plus one percent. Principal and interest are paid through monthly payroll deductions.
 
    Investment Options
Upon enrollment in the Plan, a participant may direct contributions into various investment options: Stable Income Fund, Baxter Common Stock Fund, Composite Fund, General Equity Fund, S&P 500 Flagship Fund, International EAFE Equity Index Fund, Small Cap Fund and ten different Target Retirement Funds. However, non-matching contributions may not be invested in the Baxter Common Stock Fund. In addition, certain participants maintain shares in Edwards Lifesciences Corporation. These shares were placed into the Edwards Lifesciences Common Stock Fund in connection with Baxter’s 2000 spin-off of its cardiovascular business. Participants are not able to make contributions or transfer existing account balances to the Edwards Lifesciences Common Stock Fund, but may make transfers out of these funds at any time.
 
    Payments of Benefits
Plan participants can not request withdrawals from the Plan unless they are at least 591/2 years old or incur a financial hardship. On termination of service due to retirement or other reasons, a participant may elect to receive either a lump sum amount equal to their entire vested account balance or installment payments. In the case of a participant termination because of death or disability, the entire vested amount is paid to the person or persons legally entitled thereto.
 
2.   Summary of Significant Accounting Policies
 
    Basis of Accounting
The accompanying financial statements of the Plan have been prepared on the accrual basis of accounting. Accordingly, investment income is recognized when earned and expenses are recognized when incurred.
 
    Issued But Not Yet Effective Accounting Standard
In January 2010, the Financial Accounting Standards Board (FASB) issued a new accounting standard to improve disclosures with respect to fair value measurements, primarily related to the levels within the fair value hierarchy. An entity will be required to disclose significant transfers in and out of Levels 1 and 2 of the fair value hierarchy, and separately present information related to purchases, sales, issuances and settlements in the reconciliation of fair value measurements classified as Level 3. This standard will be effective for reporting periods beginning after December 15, 2009, except for the disclosures related to purchases, sales, issuances and settlements for Level 3 fair value measurements, which are effective for reporting periods beginning after December 15, 2010. The disclosures required by this standard will be included in the notes to the Plan’s financial statements effective January 1, 2010, except for the disclosures related to Level 3 fair value measurements, which will be included in the notes to the Plan’s financial statements effective January 1, 2011.
 
    New Accounting Standard
In April 2009, the FASB issued a new accounting standard related to estimating fair value when the volume and level of activity for an investment has significantly decreased. This standard also requires enhanced disclosures regarding the major security types of equity and debt securities and was effective for the Plan reporting period ending December 31, 2009. The Plan’s adoption of this standard did not have an impact on the net assets available for benefits. Refer to Note 4 for disclosures related to this standard.

6


 

Baxter Healthcare of Puerto Rico
Savings and Investment Plan
Notes to Financial Statements
December 31, 2009 and 2008
 
    In September 2009, the FASB issued a new accounting standard related to the valuation of investments in certain entities that calculate net asset value per share. This standard provides a practical expedient for measuring the fair values of Plan investments in entities that calculate a net asset value per share (such as commingled investments). This standard also requires enhanced disclosures regarding the attributes of certain investments, including the nature of any restrictions and the investment objectives, and was effective for the Plan reporting period ending December 31, 2009. The Plan’s adoption of this standard did not have an impact on the net assets available for benefits. Refer to valuation of investments and collateral below for disclosures related to this standard.
 
    Valuation of Investments and Collateral
The fair value of Plan investments and collateral is determined as follows:
     
Cash and cash equivalents
  These largely consist of a short-term investment fund and a money market fund, the fair value of which is based on the net asset value. The investment objectives for these funds are to provide safety for principal, daily liquidity and a competitive yield by investing in high quality instruments.
 
   
Common stock
  Value based on closing prices on the valuation date in an active market on national and international securities exchanges.
 
   
U.S. government and government agency issues
  Value based on reputable pricing vendors that typically use pricing matrices or models.
 
   
Corporate and other obligations
  Value based on reputable pricing vendors that typically use pricing matrices or models.
 
   
Commingled funds
  Value based on net asset values reported by the fund managers as of the financial statement dates and recent transaction prices. The investment objectives of these funds are to track the performances of the S&P 500 (S&P 500 Flagship Fund); Europe, Australasia and the Far East (EAFE) (International EAFE Equity Index Fund); or Russell 2000 (Small Cap Fund) indexes. The underlying investments vary, with some holding diversified portfolios of domestic stocks and government and government agency bonds, and others holding collective investment funds. Each fund provides for daily redemptions by the Plan at reported net asset values per share, with no advance notice requirement. Refer to Note 5 for amounts invested in each of these funds.
 
   
Registered investment companies
  Value based on the last reported sale price from a national security exchange on the valuation date.
 
   
Participant loans
  Value based on outstanding principal balance plus accrued interest, which approximates fair value.

7


 

Baxter Healthcare of Puerto Rico
Savings and Investment Plan
Notes to Financial Statements
December 31, 2009 and 2008
 
     
Synthetic guaranteed investment contracts
  Value based on the fair value of the underlying securities in the contract on the valuation date plus the fair value of wrapper contracts, which is calculated using a replacement cost approach. See below for more information.
 
   
Collateral held on loaned securities
  Value based upon the net asset value per unit of the short-term investment fund (Quality D Short-Term Investment Fund) where the collateral is invested. This fund primarily invests in cash and cash equivalents and asset-backed securities, and is utilized for the investment of cash collateral generated by the securities lending program in which the Plan and Custodian participate. At December 31, 2009, the maturity dates of these securities were less than 90 days. Refer to Note 6 for more information on the securities lending program.
 
   
Collateral to be paid on loaned securities
  Value based on the fair value of the underlying securities loaned on the valuation date, plus an incremental margin.
    Income Recognition
Plan investment return includes dividend and interest income, gains and losses on sales of investments and unrealized appreciation or depreciation of investments. Purchases and sales of investments are recorded on a trade date basis. Dividends are recorded on the ex-dividend date.
 
    The financial statements reflect the net appreciation or depreciation in the fair value of the Plan’s investments. This net appreciation or depreciation consists of realized gains and losses calculated as the difference between proceeds from a sales transaction and cost determined on a moving average basis, and unrealized gains and losses calculated as the change in the fair value between beginning of the year (or purchase date if later) and the end of the year.
 
    Synthetic Guaranteed Investment Contracts
The Plan holds synthetic guaranteed investment contracts (GICs) as part of the Stable Income Fund. The synthetic GICs provide for a fixed return on principal over a specified time through fully benefit-responsive contracts issued by Aegon Institutional Markets and Bank of America N.A. The portfolio of assets, overall of investment grade, underlying the synthetic GICs primarily includes cash and cash equivalents, U.S. government and government agency issues, corporate and other obligations, and registered investment companies.
 
    The fair value of the synthetic GICs equals the total of the fair value of the underlying assets plus the fair value of the wrapper contracts. The fair value of the wrapper contracts is computed using a replacement cost approach that incorporates a comparison of the current fee rate on similar wrapper contracts to the fee being paid by the Plan. Using this approach, the fair value of the wrapper contracts were $37,348 and $30,386 at December 31, 2009 and 2008, respectively.
 
    While Plan investments are presented at fair value in the Statement of Net Assets Available for Benefits, any material difference between the fair value of the Plan’s direct and indirect interests in fully benefit-responsive investment contracts and their contract value is presented as an adjustment line in the Statement of Net Assets Available for Benefits, because contract value is the relevant measurement attribute for that portion of the Plan’s net assets available for benefits. Contract value represents contributions, plus earnings, less participant withdrawals and administrative expenses. The wrapper contracts used by the Plan are fully benefit-responsive because the wrapper contract issuers are contractually obligated to make up any shortfall in the event that the underlying asset portfolio has been liquidated and is inadequate to cover participant withdrawals and transfers at contract value. There are currently no reserves against contract values for credit risk of the contract issuers or any other risk. The contract value for the synthetic GICs was $14,669,770 and $13,017,344 at December 31, 2009 and 2008, respectively.

8


 

Baxter Healthcare of Puerto Rico
Savings and Investment Plan
Notes to Financial Statements
December 31, 2009 and 2008
 
    The crediting interest rate, which is reset quarterly, can never fall below zero. The crediting rate formula smoothes the impact of interest rate changes on participant returns by amortizing any difference between market value and book value over a period of years equal to the duration of the portfolio benchmark. The average yield on the synthetic GICs was approximately 4.2% and (0.18)% at December 31, 2009 and 2008, respectively. The average interest rate credited to participants on the synthetic GICs was approximately 4.1% and 4.82%, respectively, for the years ended December 31, 2009 and 2008. The credit ratings for Aegon Institutional Markets were AA- and AA at December 31, 2009 and December 31, 2008, respectively, and the credit ratings for Bank of America N.A. were A+ and AA- at December 31, 2009 and December 31, 2008, respectively.
 
    Events that lead to market value withdrawals that exceed 20 percent of the contract value would limit the ability of the Plan to transact at contract value with participants. These events include restructurings, early retirement plans, divestitures, bankruptcies, or legal, tax or regulatory changes. The Plan sponsor believes that the occurrence of any such event is remote.
 
    The wrapper providers can only terminate at a value different than contract value under an event of default (that was not remedied) such as failure to follow the terms of the contract. If a wrapper provider would like to exit the contract for another reason, the Plan can maintain the contract through an extended termination process designed to ensure continued benefit-responsive treatment for withdrawals.
 
    Payment of Benefits
Benefits are recorded when paid.
 
    Use of Estimates
The preparation of financial statements in conformity with generally accepted accounting principles in the United States requires management to make estimates and assumptions that affect the amounts reported in the financial statements and related notes to the financial statements. Changes in such estimates may affect amounts reported in future periods.
 
    Other
Due from or due to brokers for securities sold or purchased, respectively, represent the net cash value of security trades initiated but not yet settled at each respective year-end.
 
    Risks and Uncertainties
The Plan provides for various investment options which invest in any combination of registered investment companies, U.S. government and government agency issues, corporate and other obligations, common stock, commingled funds, synthetic guaranteed investment contracts and short-term investments. Investment securities are exposed to various risks, such as interest rate, market, liquidity and credit risks. Due to the level of risk associated with certain investment securities and the level of uncertainty related to changes in the value of investment securities, it is at least reasonably possible that changes in risks in the near term could materially affect participants’ account balances and the amounts reported in the Statements of Net Assets Available for Benefits and the Statements of Changes in Net Assets Available for Benefits. Individual participants’ accounts bear the risk of loss resulting from fluctuations in investment values.

9


 

Baxter Healthcare of Puerto Rico
Savings and Investment Plan
Notes to Financial Statements
December 31, 2009 and 2008
 
    Investments underlying the Plan’s synthetic GICs include securities with contractual cash flows, such as asset-backed securities, collateralized mortgage obligations and commercial mortgage-backed securities, including securities backed by subprime mortgage loans. The value, liquidity and related income of these securities are sensitive to changes in economic conditions, including real estate values, delinquencies and/or defaults, and may be adversely affected by shifts in the market’s perception of the issuers and changes in interest rates.
 
3.   Administration of the Plan
 
    Banco Popular de Puerto Rico (the Trustee) and State Street Bank and Trust Company (the Custodian) serve as trustee and custodian, respectively, for the Plan. ING Institutional Plan Services, LLC serves as recordkeeper for the Plan.
 
    The Administrative Committee is responsible for the general administration of the Plan and for carrying out the provisions thereof. The Investment Committee has authority, responsibility and control over the management of the assets of the Plan. Members of both committees are appointed by the Board of Directors of Baxter.
 
    Substantially all investment manager, trustee and administrative fees incurred in the administration of the Plan were paid from the assets of the Plan.
 
4.   Fair Value of Measurements
 
    The fair value hierarchy under the accounting standard for fair value measurements consists of the following three levels:
    Level 1 — Quoted prices in active markets that the Plan has the ability to access for identical assets or liabilities;
 
    Level 2 — Quoted prices for similar instruments in active markets, quoted prices for identical or similar instruments in markets that are not active, and model-based valuations in which all significant inputs are observable in the market; and
 
    Level 3 — Valuations using significant inputs that are unobservable in the market and include the use of judgment by the Plan’s management about the assumptions market participants would use in pricing the asset or liability.

10


 

Baxter Healthcare of Puerto Rico
Savings and Investment Plan
Notes to Financial Statements
December 31, 2009 and 2008
 
    The following table summarizes the bases used to measure the Plan’s financial instruments and liabilities that are carried at fair value on a recurring basis.
                                 
            Basis of Fair Value Measurement  
            Quoted Prices     Significant        
            in Active     Other     Significant  
    Balance at     Markets for     Observable     Unobservable  
    December 31,     Identical Assets     Inputs     Inputs  
    2009     (Level 1)     (Level 2)     (Level 3)  
 
Assets
                               
Cash and cash equivalents
  $ 822,088     $     $ 822,088     $  
Common stock:
                               
Healthcare
    6,999,058       6,999,058              
Information technology
    601,728       601,728              
Financial services
    487,364       487,364              
Consumer products
    386,373       386,373              
Industrial services and materials
    329,703       329,703              
Energy
    327,365       327,365              
Other
    102,679       102,679              
 
Total common stock
    9,234,270       9,234,270              
 
U.S. government and government agency issues
    173,832             173,832        
Corporate and other obligations
    458,968             458,968        
Commingled funds
    6,367,830             6,367,830        
Registered investment companies (1)
    457,690       457,690              
Participant loans
    3,858,465                   3,858,465  
Synthetic guaranteed investment contracts:
                               
Corporate and other obligations
    6,722,232             6,722,232        
U.S. government and government agency issues
    6,398,827             6,398,827        
Cash and cash equivalents
    936,533             936,533        
Registered investment companies
    682,519       682,519              
Wrapper contracts
    37,348                   37,348  
Other
    8,719             8,719        
 
Total synthetic guaranteed investment contracts
    14,786,178       682,519       14,066,311       37,348  
 
Collateral held on loaned securities
    4,478,307             4,478,307        
 
Total assets
  $ 40,637,628     $ 10,374,479     $ 26,367,336     $ 3,895,813  
 
 
                               
Liability
                               
Collateral to be paid on loaned securities
  $ 4,550,430     $ 520,531     $ 4,029,899     $  
 
 
(1)
  Comprised entirely of Target retirement funds

11


 

Baxter Healthcare of Puerto Rico
Savings and Investment Plan
Notes to Financial Statements
December 31, 2009 and 2008
 
    The following table summarizes the bases used to measure the Plan’s financial instruments and liabilities that are carried at fair value on a recurring basis.
                                 
            Basis of Fair Value Measurement  
            Quoted Prices     Significant        
            in Active     Other     Significant  
    Balance at     Markets for     Observable     Unobservable  
    December 31,     Identical Assets     Inputs     Inputs  
    2008     (Level 1)     (Level 2)     (Level 3)  
 
Assets
                               
Cash and cash equivalents
  $ 1,192,562     $     $ 1,192,562     $  
Common stock
    8,360,547       8,360,547              
U.S. government and government agency issues
    190,754             190,754        
Corporate and other obligations
    502,407             502,407        
Commingled funds
    5,105,055             5,105,055        
Registered investment companies
    80,293       80,293              
Participant loans
    3,806,521                   3,806,521  
Synthetic guaranteed investment contracts
    13,551,910       878,625       12,642,899       30,386  
Collateral held on loaned securities
    1,872,925             1,872,925        
 
Total assets
  $ 34,662,974     $ 9,319,465     $ 21,506,602     $ 3,836,907  
 
 
                               
Liability
                               
Collateral to be paid on loaned securities
  $ 2,028,951     $ 290,411     $ 1,738,540     $  
 
    The following table sets forth a summary of changes in the fair values of the Plan’s level 3 financial instruments.
                 
    Participant     Wrapper  
    Loans     Contracts  
 
Balance at December 31, 2007
  $ 3,287,051     $  
Unrealized gains
          30,386  
Purchases, sales, issuances and settlements (net)
    519,470        
 
Balance at December 31, 2008
  $ 3,806,521     $ 30,386  
 
Unrealized gains
          6,962  
Purchases, sales, issuances and settlements (net)
    51,944        
 
Balance at December 31, 2009
  $ 3,858,465     $ 37,348  
 
    See Valuation of Investments and Collateral in Note 2 above for a discussion of the methodologies used to determine the fair values of the Plan’s investments and collateral. These methods may produce a fair value calculation that may not be indicative of net realizable value or reflective of future fair values. Furthermore, while the Plan believes its valuation methods are appropriate and consistent with other market participants, the use of different methodologies or assumptions to determine the fair value of certain financial instruments could result in a different fair value measurement at the reporting date.

12


 

Baxter Healthcare of Puerto Rico
Savings and Investment Plan
Notes to Financial Statements
December 31, 2009 and 2008
 
5.   Investments
 
    The following presents the Plan’s investments that represent five percent or more of the Plan’s net assets available for benefits at December 31.
                 
    2009     2008  
 
Baxter common stock, 112,317 shares and 120,433 shares at December 31, 2009 and 2008, respectively
  $ 6,590,779     $ 6,454,029  
State Street Global Advisors (SSgA) S&P 500 Flagship Fund
    3,422,686       2,862,574  
SSgA International EAFE Equity Index Fund
    1,852,514       *  
State Street Bank Short-Term Investment Fund
    *       1,666,021  
State Street Bank Quality D Short-Term Investment Fund (Collateral held on loaned securities)
    4,478,307       1,872,925  
 
               
*     Does not meet 5% threshold.
               
    Investments as of December 31, 2009 and 2008 are segregated into various investment fund options as follows:
                 
    2009     2008  
 
Cash (available for investment)
  $ 147,008     $ 129,006  
Stable Income Fund
    15,270,296       14,404,857  
Baxter Common Stock Fund
    6,687,414       6,587,031  
Composite Fund
    1,677,295       1,360,505  
General Equity Fund
    1,638,024       1,266,877  
SSgA S&P 500 Flagship Fund
    3,422,686       2,867,205  
SSgA International EAFE Equity Index Fund
    1,853,385       1,396,409  
Edwards Lifesciences Common Stock Fund
    54,427       45,273  
SSgA Small Cap Fund
    1,092,631       846,072  
Target Retirement Funds
    457,690       80,293  
Participant loans
    3,858,465       3,806,521  
Collateral held on loaned securities
    4,478,307       1,872,925  
 
Total investments at fair value
    40,637,628       34,662,974  
Adjustment from fair value to contract value for Stable Income Fund
    (116,408 )     (534,566 )
 
Total investments
  $ 40,521,220     $ 34,128,408  
 

13


 

Baxter Healthcare of Puerto Rico
Savings and Investment Plan
Notes to Financial Statements
December 31, 2009 and 2008
 
    During 2009 and 2008, the Plan’s investments, including gains and losses on investments bought and sold as well as held during the year, appreciated (depreciated) in value as follows:
                 
    2009     2008  
 
Baxter common stock
  $ 548,403     $ (581,293 )
Other common stock
    625,968       (1,557,508 )
U.S. government and government agency issues
    1,193       4,641  
Corporate and other obligations
    89,302       (148,133 )
Commingled funds
    1,317,282       (3,466,969 )
Registered investment companies
    63,901       (23,180 )
Collateral held on loaned securities
    83,903       (156,026 )
 
 
  $ 2,729,952     $ (5,928,468 )
 
6.   Securities Lending Transactions
 
    The Plan participates in a securities lending program with the Custodian. The program allows the Custodian to loan securities, which are assets of the Plan, to approved brokers (the Borrowers).
 
    The Custodian requires the Borrowers, pursuant to a security loan agreement, to deliver collateral to secure each loan in an amount that is at least equal to the fair value of the securities loaned. The Plan bears the risk of loss with respect to any unfavorable change in fair value of the invested cash collateral. However, the Borrower bears the risk of loss related to the decrease in the fair value of the non-cash collateral and, therefore, would have to deliver additional securities to maintain the required collateral. In the event of default by the Borrower, the Custodian shall indemnify the Plan by purchasing replacement securities equal to the number of unreturned loaned securities, or, if replacement securities are not able to be purchased, the Custodian shall credit the Plan for the market value of the unreturned securities. In each case, the Custodian would apply the proceeds from the collateral for such a loan to make the Plan whole.
 
    The fair value of the investment of cash collateral received pursuant to securities lending transactions is reflected on the Statements of Net Assets Available for Benefits as an asset and the obligation to return the amount received is reflected as a liability.
 
    As of December 31, 2009 and 2008, the Plan had securities on loan with a fair market value of $4,442,242 and $1,975,004, respectively, with cash collateral received of $4,550,430 and $2,028,951, respectively. Cash collateral was invested in a short-term commingled investment fund as of December 31, 2009 and 2008. While as of December 31, 2009 and December 31, 2008 this fund was transacting on a dollar-for-dollar basis, the net asset value of the fund’s underlying securities was $0.9842 and $0.9231, respectively, per unit. As a result of this increase, an unrealized gain of $83,903 is reflected in the 2009 Statement of Changes in Net Assets Available for Benefits compared with an unrealized loss of $156,026 reported in 2008. As of December 31, 2009 and 2008, the cash collateral received is reflected at its fair value of $4,478,307 and $1,872,925, respectively, in the 2009 and 2008 Statements of Net Assets Available for Benefits.
 
    Non-cash collateral of $139,702 received for securities on loan at December 31, 2009 consisted of U.S. government and government agency issues held by the Custodian on behalf of the Plan. The Plan did not hold any non-cash collateral at December 31, 2008. Non-cash collateral is not included with the collateral balance on the 2009 Statement of Net Assets Available for Benefits because it may not be sold or repledged. A portion of the income generated upon investment of cash collateral is remitted to the Borrowers, and the remainder is allocated between the Plan and the Custodian in its capacity as a security agent. Securities lending income allocated to the Plan amounted to $732 and $21,335 for 2009 and 2008, respectively. Securities lending income is classified as interest income in the Statements of Changes in Net Assets Available for Benefits.

14


 

Baxter Healthcare of Puerto Rico
Savings and Investment Plan
Notes to Financial Statements
December 31, 2009 and 2008
 
 
7.   Plan Termination
 
    Although it has not expressed any intent to do so, the Plan sponsor has the right under the Plan to reduce, suspend or discontinue its contributions at any time and to terminate the Plan subject to the provisions of ERISA. In the event the Plan terminates, the interest of each participating employee in the Plan shall become fully vested and such termination of the Plan would not reduce the interest of any participating employee or their beneficiaries accrued under the Plan up to the date of such termination.
 
8.   Tax Status of the Plan
 
    The Puerto Rico Treasury Department has determined and informed the Plan sponsor that the Plan and the related trust are designed in accordance with applicable sections entitling exemption from income taxes. The Plan sponsor has also obtained a favorable determination letter dated October 1, 2003, from the Internal Revenue Service (IRS) stating that the Plan is in compliance with IRS regulations. The Plan has been amended since receiving the determination letter. The Plan Sponsor believes that the Plan is currently designed and being operated in compliance with the applicable tax requirements. Therefore, no provision for income taxes has been included in the Plan’s financial statements.
 
9.   Related Parties
 
    Parties-in-interest are defined under Department of Labor regulations as any fiduciary of the Plan, any party rendering service to the Plan, the employer, and certain others.
 
    At December 31, 2009 and 2008, the Plan held shares of common stock and bonds of Baxter, the Plan sponsor’s parent; units of participation in certain commingled funds and short-term investment funds of State Street Bank and Trust Company, the Plan’s Custodian; loans with participants; shares of common stock, bonds, and interest rate wrapper contracts of Bank of America, issuer of the Plan’s fully benefit-responsive contracts; interest rate wrapper contracts of Aegon Institutional Markets, issuer of the Plan’s fully benefit-responsive contracts; and units of registered investment companies managed by Pacific Investment Management Company, an investment manager for the Plan. These transactions are allowable party-in-interest transactions under ERISA and the regulations promulgated thereunder.
 
    Fees paid by the Plan for investment management, recordkeeping and consulting services, also qualify as party-in-interest transactions and are included in Plan-related expenses in the accompanying financial statements. The Company pays certain expenses for the administration of the Plan. These transactions are exempt from the party-in interest transaction prohibitions of ERISA.

15


 

SUPPLEMENTAL SCHEDULE

 


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i – Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
Identity of Issue   Description of Investment   Cost (1)     Current Value  
   
 
                   
Cash and Cash Equivalents:
                   
*  
State Street Bank & Trust Co
  Short-Term Investment Fund           822,088  
   
 
                 
   
 
                   
   
Cash and cash equivalents
              $ 822,088  
   
 
                 
   
 
                   
** Common Stock:                    
   
 
                   
   
Abbott Labs
  Common Stock           13,880  
   
Ace Limited
  Common Stock           2,422  
   
Aes Corp
  Common Stock           11,813  
   
Aetna Inc
  Common Stock           9,390  
   
Air Prods & Chems Inc
  Common Stock           33,252  
   
AK STL Hldg Corp
  Common Stock           4,773  
   
Alcon Inc
  Common Stock           85,238  
   
Altria Group Inc
  Common Stock           6,451  
   
Amazon Com Inc
  Common Stock           11,127  
   
Ameriprise Finl Inc
  Common Stock           7,029  
   
Aol Inc
  Common Stock           1,348  
   
Apache Corp
  Common Stock           6,804  
   
Apollo Group Inc
  Common Stock           13,136  
   
Apple Inc
  Common Stock           96,361  
   
Arcelormittal SA Luxembour
  Common Stock           2,915  
   
Archer Daniels Midland Co
  Common Stock           10,149  
   
AT&T Inc
  Common Stock           31,331  
   
Baker Hughes Inc
  Common Stock           13,076  
*  
Bank of America Corp
  Common Stock           13,063  
*  
Bank of America Corp
  Common Stock           9,460  
*  
Bank of America Corp
  Common Stock           11,363  
*  
Baxter Intl Inc
  Common Stock           6,590,779  
   
BB&T Corp
  Common Stock           5,983  
   
Berkshire Hathaway Inc DEL
  Common Stock           11,088  
   
Blackstone Group LP
  Common Stock           25,018  
   
Boston Scientific Corp
  Common Stock           11,700  
   
Broadcom Corp
  Common Stock           9,913  
   
Bunge Limited
  Common Stock           10,345  
   
Cameron Intl cOrp
  Common Stock           20,324  
   
Carnival Corp
  Common Stock           6,234  
   
Caterpillar Inc
  Common Stock           3,822  
   
CBS Corp New
  Common Stock           6,941  
   
Celgene Corp
  Common Stock           14,937  
   
Chevron Corp
  Common Stock           6,712  
   
Cimarex Energy Co
  Common Stock           7,815  
   
Cisco Sys Inc
  Common Stock           23,896  
   
Citigroup Inc
  Common Stock           13,064  

16


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
   
CME Group Inc
  Common Stock           15,734  
   
Coca Cola Co
  Common Stock           9,493  
   
Comcast Corp New
  Common Stock           13,135  
   
Comcast Corp New
  Common Stock           13,795  
   
ConocoPhillips
  Common Stock           29,455  
   
ConocoPhillips
  Common Stock           12,045  
   
Constellation Brands Inc
  Common Stock           3,775  
   
Cooper in Dustries Plc
  Common Stock           21,257  
   
Corning Inc
  Common Stock           6,691  
   
Costco Whsl Corp New
  Common Stock           22,817  
   
Covidien Plc
  Common Stock           13,811  
   
Credit Suisse Group
  Common Stock           9,396  
   
D R Horton Inc
  Common Stock           3,001  
   
Danaher Corp
  Common Stock           25,469  
   
Dean Foods Co New
  Common Stock           3,125  
   
Dell Inc
  Common Stock           13,274  
   
Deutsche Bank AG
  Common Stock           10,779  
   
Devon Energy Corporation
  Common Stock           21,607  
   
Devon Energy Corporation
  Common Stock           16,020  
   
Du Pont E I De Nemours
  Common Stock           16,860  
   
Edwards Lifesciences Corp
  Common Stock           53,511  
   
El Paso Corp
  Common Stock           13,965  
   
Emc Corp
  Common Stock           26,049  
   
Ensco International Spon A
  Common Stock           3,170  
   
Eqt Corp
  Common Stock           11,586  
   
Exelon Corp
  Common Stock           15,295  
   
Fedex Corp
  Common Stock           14,924  
   
Flextronics International
  Common Stock           11,692  
   
Ford Mtr Co Del
  Common Stock           7,120  
   
Franklin Res Inc
  Common Stock           29,233  
   
Freeport Mcmoran Copper
  Common Stock           28,180  
   
Garmin Ltd
  Common Stock           3,191  
   
General Elec Co
  Common Stock           15,068  
   
Genzyme Corp
  Common Stock           13,257  
   
Gilead Sciences Inc
  Common Stock           44,700  
   
Goldman Sachs Group Inc
  Common Stock           85,085  
   
Goldman Sachs Group Inc
  Common Stock           21,703  
   
Google Inc
  Common Stock           97,607  
   
Hess Corp
  Common Stock           18,191  
   
Hewlett Packard Co
  Common Stock           51,432  
   
Home Depot Inc
  Common Stock           5,691  
   
Huntsman Corp
  Common Stock           2,940  
   
Illinois Tool Wks Inc
  Common Stock           38,246  

17


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
   
Ingersoll Rand Plc
  Common Stock           7,590  
   
Ingersoll Rand Plc
  Common Stock           12,983  
   
Intel Corp
  Common Stock           56,686  
   
Intuit
  Common Stock           14,760  
   
Invesco Ltd
  Common Stock           14,808  
   
JC Penney Inc
  Common Stock           6,722  
   
Johnson Ctls Inc
  Common Stock           23,140  
   
JP Morgan Chase & Co
  Common Stock           71,274  
   
JP Morgan Chase & Co
  Common Stock           14,252  
   
Kla Tencor Corp
  Common Stock           14,187  
   
Kohls Corp
  Common Stock           28,633  
   
Lam Resh Corp
  Common Stock           5,873  
   
Limited Brands Inc
  Common Stock           4,710  
   
Lowes Cos Inc
  Common Stock           7,660  
   
Macys Inc
  Common Stock           5,878  
   
Marsh & Mclennan Cos Inc
  Common Stock           13,253  
   
Masco Corp
  Common Stock           3,658  
   
McDonalds Corp
  Common Stock           5,444  
   
Medco Health Solutions Inc
  Common Stock           10,787  
   
Merck & Co Inc New
  Common Stock           25,416  
   
Metlife Inc
  Common Stock           3,201  
   
Microsoft Corp
  Common Stock           27,912  
   
Microsoft Corp
  Common Stock           14,995  
   
Morgan Stanley
  Common Stock           9,396  
   
Morgan Stanley
  Common Stock           11,282  
   
Motorola Inc
  Common Stock           9,706  
   
Newmont Mng Corp
  Common Stock           12,797  
   
News Corp
  Common Stock           22,249  
   
Nexen Inc
  Common Stock           6,446  
   
Noble Energy Inc
  Common Stock           5,493  
   
Nokia Corp
  Common Stock           9,393  
   
Northrop Grumman Corp
  Common Stock           10,550  
   
Novartis Ag
  Common Stock           12,168  
   
Nvr Inc
  Common Stock           6,752  
   
Occidental Pete Corp
  Common Stock           29,006  
   
Office Depot Inc
  Common Stock           3,288  
   
Oracle Corp
  Common Stock           6,995  
   
Pepsico Inc
  Common Stock           11,621  
   
Pfizer Inc
  Common Stock           29,888  
   
Pfizer Inc
  Common Stock           17,689  
   
Pulte Homes Inc
  Common Stock           2,906  
   
Qualcomm Inc
  Common Stock           43,020  
   
Qualcomm Inc
  Common Stock           14,064  
   
Regions Finl Corp New
  Common Stock           2,577  

18


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
   
RRI Energy Inc
  Common Stock           2,244  
   
Schlumberger Ltd
  Common Stock           50,892  
   
Schlumberger Ltd
  Common Stock           8,294  
   
Schwab Charles Corp
  Common Stock           13,021  
   
Smith Intl Inc
  Common Stock           12,543  
   
Smithfield Foods Inc
  Common Stock           3,226  
   
Southwest Airls Co
  Common Stock           10,285  
   
Sprint Nextel Corp
  Common Stock           13,770  
   
SPX Corp
  Common Stock           6,603  
*  
State Street Corporation
  Common Stock           11,096  
   
Steel Dynamics Inc
  Common Stock           2,476  
   
Suncor Energy Inc New
  Common Stock           21,668  
   
Supervalu Inc
  Common Stock           6,762  
   
Symantec Corp
  Common Stock           10,858  
   
Symantec Corp
  Common Stock           13,518  
   
Target Corp
  Common Stock           29,969  
   
Teva Pharmaceutical Inds L
  Common Stock           33,595  
   
Texas Instrs Inc
  Common Stock           16,836  
   
Textron Inc
  Common Stock           3,112  
   
Time Warner Cable Inc
  Common Stock           16,886  
   
Time Warner Inc
  Common Stock           17,295  
   
Time Warner Inc
  Common Stock           9,934  
   
Travelers Cos Inc
  Common Stock           5,963  
   
Tyco Electronics Ltd Switz
  Common Stock           16,986  
   
Unilever N V
  Common Stock           9,504  
   
Unitedhealth Group Inc
  Common Stock           11,720  
   
Unum Group
  Common Stock           3,055  
   
US Bancorp Del
  Common Stock           9,284  
   
Vale Sa
  Common Stock           27,127  
   
Valero Energy Corp
  Common Stock           11,402  
   
Valero Energy Corp
  Common Stock           12,450  
   
Vertex Pharmaceuticals Inc
  Common Stock           6,610  
   
Viacom Inc New
  Common Stock           1,961  
   
Visa Inc
  Common Stock           8,212  
   
Vodafone Group Plc New
  Common Stock           7,149  
   
Wal Mart Stores Inc
  Common Stock           13,442  
   
Washington Post Co
  Common Stock           12,014  
   
Wells Fargo & Co
  Common Stock           905  
   
Wells Fargo & Co
  Common Stock           17,105  
   
Western Digital Corp
  Common Stock           8,785  
   
Xl Capital Ltd
  Common Stock           8,278  
   
 
                   
   
 
                 
   
 
                   
   
Common Stock
              $ 9,234,270  
   
 
                 

19


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
** U.S. Government and Government Agency Issues:
                   
   
 
                   
   
Fed Hm Ln Pc Pool A37176
  5.0% 01 SEP 2035           9,101  
   
Fed Hm Ln Pc Pool A46049
  5.0% 01 JUL 2035           8,062  
   
Fed Hm Ln Pc Pool C48827
  6.0% 01 MAR 2031           257  
   
Fed Hm Ln Pc Pool G12334
  5.0% 01 SEP 2021           5,123  
   
Federal Home Ln Mtg Corp
  5.0% 15 JAN 2030           2,493  
   
Federal Home Ln Mtg Corp
  5.0% 15 DEC 2023           390  
   
Federal Home Ln Mtg Corp
  5.0% 15 MAR 2019           1,843  
   
Federal Home Ln Mtg Corp
  5.0% 15 SEP 2018           739  
   
FNMA Pool 256398
  6.0% 01 SEP 2021           1,058  
   
FNMA Pool 323887
  6.0% 01 DEC 2013           717  
   
FNMA Pool 581043
  6.0% 01 MAY 2016           330  
   
FNMA Pool 615005
  6.0% 01 DEC 2016           621  
   
FNMA Pool 694448
  5.5% 01 APR 2033           6,601  
   
FNMA Pool 725690
  6.0% 01 AUG 2034           4,758  
   
FNMA Pool 745418
  5.5% 01 APR 2036           3,093  
   
FNMA Pool 748115
  6.0% 01 OCT 2033           1,452  
   
FNMA Pool 815316
  5.5% 01 MAY 2035           7,766  
   
FNMA Pool 822979
  5.5% 01 APR 2035           7,852  
   
FNMA Pool 885504
  6.0% 01 JUN 2021           2,689  
   
FNMA Pool 888102
  5.5% 01 MAY 2036           474  
   
FNMA Pool 902793
  6.5% 01 NOV 2036           6,195  
   
Mexico Utd Mex St
  8.0% 17 DEC 2015           1,275  
   
United States Treas Notes
  2.125% 30 APR 2010           14,462  
   
United States Treas Notes
  1.125% 15 DEC 2011           49,727  
   
United States Treas Notes
  0.875% 28 FEB 2011           26,232  
   
US Treasury
  1.375% 15 SEP 2012           10,522  
   
 
                   
   
 
                 
   
 
                   
   
U.S. Government and Government Agency Issues
              $ 173,832  
   
 
                 
   
 
                   
** Corporate and Other Obligations:
                   
   
 
                   
   
Abu Dhabi Natl Energy
  7.25% 01 AUG 2018           3,811  
   
Aes Corp
  8.0% 15 OCT 2017           2,038  
   
Aes Corp
  7.75% 15 OCT 2015           1,779  
   
Agilent Technologies
  6.5% 01 NOV 2017           5,749  
   
Albertsons Inc
  6.625% 01 JUN 2028           222  
   
Albertsons Inc
  7.5% 15 FEB 2011           3,106  
   
Altria Group Inc
  9.95% 10 NOV 2038           5,330  
   
Altria Group Inc
  9.25% 06 AUG 2019           783  
   
American Tower Corp
  4.625% 01 APR 2015           1,702  
   
Anheuser Busch Cos Inc
  6.5% 01 MAY 2042           1,560  
   
Anheuser Busch Cos Inc
  4.95% 15 JAN 2014           241  
   
Anheuser Busch Inbev
  4.125% 15 JAN 2015           6,465  
   
Apache Corp
  6.0% 15 JAN 2037           249  
   
AT&T Corp
  6.5% 15 MAR 2029           233  
   
Ba Cr Card Tr
  1.0% 15 JAN 2016           806  

20


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
   
Ba Cr Card Tr
  1.0% 15 JUN 2014           1,027  
*  
Banc Amer Coml Mtg Tr
  1.0% 10 APR 2049           1,510  
*  
Bank Corp Amer
  4.75% 15 AUG 2013           2,553  
   
Bank One Issuance
  4.77% 16 FEB 2016           1,229  
   
Barclays Bank Plc
  5.2% 10 JUL 2014           2,477  
   
Barclays Bank Plc
  5.0% 22 SEP 2016           2,387  
   
Bear Stearns Coml Mtg Secs Tr
  1.0% 11 JUN 2040           1,858  
   
Bell Canada
  6.1% 16 MAR 2035           1,800  
   
Bell Cda
  6.55% 01 MAY 2029           862  
   
Bell Cda
  7.3% 23 FEB 2032           1,174  
   
Bemis Company
  5.56% 01 AUG 2019           671  
   
Boston Scientific Corp
  4.5% 15 JAN 2015           1,814  
   
Bottling Group LLC
  5.125% 15 JAN 2019           1,821  
   
Cameron Intl Corp
  6.375% 15 JUL 2018           137  
   
Cameron Intl Corp
  7.0% 15 JUL 2038           483  
   
Canadian Pacific RR Co
  7.25% 15 MAY 2019           1,129  
   
Capital One Multi Ass Exe
  1.0% 15 JUL 2020           1,175  
   
Caterpillar Financial
  5.45% 15 APR 2018           183  
   
CD
  5.322% 11 DEC 2049           5,576  
   
CD Mtg Tr
  5.617% 15 OCT 2048           4,285  
   
Cellco Part/Veri Wireless
  8.5% 15 NOV 2018           507  
   
Cellco Part/Veri Wireless
  5.55% 01 FEB 2014           3,550  
   
Chesapeake Energy Corp
  6.5% 15 AUG 2017           172  
   
Chesapeake Energy Corp
  7.625% 15 JUL 2013           3,427  
   
Chevron Phillips Chemical
  7.0% 15 JUN 2014           2,159  
   
Cigna Corp
  8.5% 01 MAY 2019           66  
   
Cit Equip Coll
  6.59% 22 DEC 2014           4,017  
   
Citibank Cr Card
  6.3% 20 JUN 2014           7,719  
   
Citigroup Coml Mtg Tr
  5.431% 15 OCT 2049           542  
   
Citigroup Inc
  5.0% 15 SEP 2014           4,786  
   
Citizens Communications
  7.875% 15 JAN 2027           3,117  
   
Colorado Intst Gas Co
  5.95% 15 MAR 2015           258  
   
Colorado Intst Gas Co
  6.8% 15 NOV 2015           193  
   
Columbia/HCA Healthcare
  7.58% 15 SEP 2025           104  
   
Columbia/HCA Healthcare
  7.69% 15 JUN 2025           481  
   
Columbia/HCA Healthcare
  7.5% 15 DEC 2023           267  
   
Comcast Corp New
  5.65% 15 JUN 2035           1,354  
   
Comcast Corp New
  6.45% 15 MAR 2037           1,144  
   
Comcast Corp New
  6.95% 15 AUG 2037           5,577  
   
Comcast Corp New
  6.4% 15 MAY 2038           2,284  
   
Comm Mtg Tr
  1.0% 10 DEC 2049           530  
   
Commercial Mtg Tr
  5.736% 10 DEC 2049           2,385  
   
ConocoPhillips
  4.75% 01 FEB 2014           4,516  
   
Corning Inc
  6.85% 01 MAR, 2029           175  
   
Corning Inc
  7.25% 15 AUG 2036           714  
   
Covidien Intl Fin
  6.0% 15 OCT 2017           2,930  
   
Credit Suisse
  6.0% 15 FEB 2018           3,667  
   
CSC Holdings Inc
  7.875% 15 FEB 2018           1,874  

21


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
   
CSC Holdings Inc
  8.5% 15 APR 2014           1,555  
   
Delta Airlines Inc
  1.0% 10 FEB 2024           2,735  
   
Deutscche Telkom Int
  4.875% 08 JUL 2014           2,756  
   
Discover Card
  1.0% 16 OCT 2014           3,209  
   
Duke Energy
  6.25% 15 JAN 2012           379  
   
Embarq Corp
  7.995% 01 JUN 2036           9,928  
   
Enel Fin Intl
  6.25% 15 SEP 2017           4,277  
   
Eqt Corp
  8.125% 01 JUN 2019           1,134  
   
Equifax Inc
  7.0% 01 JUL 2037           1,780  
   
Erac Finc Co
  6.375% 15 OCT 2017           7,139  
   
Erac Finc Co
  7.0% 15 OCT 2037           114  
   
Eurofima
  11.0% 05 FEB 2010           1,058  
   
Express Scripts
  7.25% 15 JUN 2019           398  
   
Florida Gas Transmission Co
  7.9% 15 MAY 2019           615  
   
Ford Mtr Co
  7.25% 25 OCT 2011           3,834  
   
GCCFC 2006 GG7
  1.0% 10 JUL 2038           1,331  
   
General Electric
  3.75% 14 NOV 2014           4,956  
   
General Mtrs Accep Corp
  6.875% 28 AUG 2012           2,115  
   
Georgia Pac Corp
  7.375% 01 DEC 2025           1,339  
   
Georgia Pac Corp
  7.25% 01 JUN 2028           2,010  
   
Georgia Pac Corp
  7.75% 15 NOV 2029           2,134  
   
Georgia Pac Corp
  8.875% 15 MAY 2031           62  
   
Georgia Pac Corp
  8.0% 15 JAN 2024           119  
   
GMAC LLC
  6.875% 28 AUG 2012           836  
   
GMAC LLC
  7.25% 02 MAR 2011           324  
   
GMAC LLC
  6.625% 15 MAY 2012           1,374  
   
GMAC LLC
  6.875% 15 SEP 2011           644  
   
GMAC LLC
  6.0% 15 DEC 2011           2,210  
   
Goldman Sachs Group Inc
  6.125% 15 FEB 2033           352  
   
Goldman Sachs Group Inc
  4.75% 15 JUL 2013           367  
   
Goldman Sachs Group Inc
  5.125% 15 JAN 2015           3,437  
   
Goldman Sachs Group Inc
  5.625% 15 JAN 2017           3,759  
   
Goldman Sachs Group Inc
  6.75% 01 OCT 2037           4,743  
   
Goldman Sachs Group Inc
  5.95% 18 JAN 2018           2,159  
   
Goldman Sachs Group Inc
  6.15% 01 APR 2018           1,313  
   
Greenewich Capital Comm
  5.444% 10 MAR 2039           8,516  
   
Hasbro Inc
  6.3% 15 SEP 2017           1,175  
   
Hasbro Inc
  6.125% 15 MAY 2014           763  
   
HCA Inc
  6.5% 15 FEB 2016           3,219  
   
Hertz
  4.26% 25 MAR 2014           3,493  
   
Hess Corp
  7.0% 15 FEB 2014           986  
   
Hewlett Packard
  4.75% 02 JUN 2014           3,244  
   
Home Depot
  5.4% 01 MAR 2016           306  
   
Home Depot
  5.87% 16 DEC 2036           5,435  
   
Hospira Inc
  6.05% 30 MAR 2017           2,079  
   
Incitec Pivot Fin LLC
  6.0% 10 DEC 2019           1,156  
   
Ingersoll Rand Global
  6.875% 15 AUG 2018           2,266  
   
International Paper
  7.975% 15 JUN 2018           3,032  

22


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
   
JC Penny Corporation
  6.375% 15 OCT 2036           1,660  
   
JC Penny Corporation
  6.875% 15 OCT 2015           1,233  
   
JP Morgan Chase Coml Mtg Secs
  1.0% 15 APR 2045           1,351  
   
JP Morgan Chase Coml Mtg Secs
  5.44% 12 JUN 2047           1,272  
   
JP Morgan Chase Coml Mtg Secs
  5.42% 15 JAN 2049           13,698  
   
JP Morgan Chase Coml Mtg Secs
  1.0% 12 FEB 2049           664  
   
JP Morgan Chase Coml Mtg Secs
  1.0% 15 JUN 2049           1,272  
   
Kraft Foods
  6.5% 01 NOV 2031           763  
   
Kraft foods
  6.5% 11 AUG 2017           2,916  
   
Kreditanst Fur Wie
  10.75% 01 FEB 2010           112  
   
LB UBS Coml Mtg
  1.0% 15 MAR 2039           4,167  
   
Lilly Eli & Co
  4.2% 06 MAR 2014           3,247  
   
Macys Retail Holdings
  5.35% 15 MAR 2012           1,730  
   
Marathon Oil
  6.5% 15 FEB 2014           2,197  
   
MBNA Cr Card Master Nt
  1.0% 16 AUG 2021           2,536  
   
McDonalds Corp
  5.0% 01 FEB 2019           733  
   
McKesson Corp
  6.15% 15 FEB 2018           1,292  
   
Merril Lynch & Co
  6.4% 28 AUG 2017           4,365  
   
Merril Lynch & Co
  5.45% 05 FEB 2013           246  
   
Merril Lynch & Co
  6.875% 25 APR 2018           818  
   
Merril Lynch & Co
  5.0% 15 JAN 2015           5,050  
   
Merril Lynch & Co
  6.05% 16 MAY 2016           177  
   
Merril Lynch & Co
  6.11% 29 JAN 2037           1,831  
   
Merrill Lynch Mtg Invs Inc
  1.0% 25 FEB 2035           2,507  
   
ML CFC Coml Mgt
  5.172% 12 DEC 2049           1,807  
   
ML CFC Coml Mtg Tr
  1.0% 12 MAR 2051           238  
   
Morgan Stanley Group Inc
  5.45% 09 JAN 2017           1,653  
   
Morgan Stanley Group Inc
  5.55% 27 APR 2017           2,934  
   
Morgan Stanley Group Inc
  5.375% 15 OCT 2015           1,992  
   
Morgan Stanley Group Inc
  4.75% 01 APR 2014           7,579  
   
Morgan Stanley Cap I
  5.569% 15 DEC 2044           716  
   
Nabors Inds Inc
  6.15% 15 FEB 2018           182  
   
Nabors Inds Inc
  9.25% 15 JAN 2019           6,596  
   
Newmont Mng Corp
  5.875% 01 APR 2035           1,274  
   
News Amer Inc
  6.15% 01 MAR 2037           3,313  
   
Nextel Communications
  7.375% 01 AUG 2015           625  
   
Nextel Communications
  6.875% 31 OCT 2013           1,870  
   
Nextel Communications
  5.95% 15 MAR 2014           2,345  
   
Nisource Finance Corp
  6.125% 01 MAR 2022           1,669  
   
Norfolk Southern Corp
  5.75% 15 JAN 2016           3,418  
   
Oneok Partners LLP
  8.625% 01 MAR 2019           3,102  
   
Oracle Corp
  5.0% 08 JUL 2019           4,639  
   
Owens Corning
  7.0% 01 DEC 2036           1,090  
   
Petrobras Intl Fin Co
  5.875% 01 MAR 2018           8,777  
   
Petroplus Fin Ltd
  6.75% 01 MAY 2014           824  
   
Petroplus Fin Ltd
  7.0% 01 MAY 2017           789  
   
Quest Diagnostics Inc
  4.75% 30 JAN 2020           1,301  
   
Qwest Corp
  6.5% 01 JUN 2017           8,218  

23


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
   
Reed Elsevier Cap Inc
  7.75% 15 JAN 2014           3,724  
   
Reynolds American Inc
  7.25% 15 JUN 2037           3,530  
   
Rio Tinto Fin
  6.5% 15 JUL 2018           4,235  
   
RPM International
  6.125% 15 OCT 2019           1,693  
   
Simon Property Group
  6.75% 15 MAY 2014           1,432  
   
Smith Intl
  8.625% 15 MAR 2014           2,837  
   
Southern Nat Gas
  7.35% 15 FEB 2031           1,722  
   
Sprint Cap Corp
  6.875% 15 NOV 2028           6,361  
   
Standard Chartered Bank
  6.4% 26 SEP 2017           1,450  
   
Tailsman Energy Inc
  5.85% 01 FEB 2037           726  
   
Tailsman Energy Inc
  6.25% 01 FEB 2038           1,754  
   
Tailsman Energy Inc
  7.75% 01 JUN 2019           412  
   
Teck Corporation
  9.75% 15 MAY 2014           2,750  
   
Telecom Italia Cap
  5.25% 15 NOV 2013           246  
   
Telecom Italia Cap
  6.375% 15 NOV 2033           1,947  
   
Telecom Italia Cap
  6.0% 30 SEP 2034           663  
   
Telefonica
  4.949% 15 JAN 2015           2,810  
   
Telus Corp
  4.95% 15 MAR 2017           3,333  
   
Tennessee Gas Pipeline Co
  7.0% 15 OCT 2028           685  
   
Time Warner Inc
  6.625% 15 MAY 2029           4,446  
   
Time Warner Inc
  5.85% 01 MAY 2017           1,105  
   
Time Warner Inc
  6.55% 01 MAY 2037           1,786  
   
Tyco International
  4.125% 15 OCT 2014           1,732  
   
United Parcel Service
  3.875% 01 APR 2014           2,731  
   
United Sts Steel Corp
  6.65% 01 JUN 2037           2,773  
   
UnitedHealth Group
  6.0% 15 FEB 2018           3,257  
   
USG Corp
  1.0% 15 JAN 2018           3,910  
   
Vaelero Energy
  6.625% 15 JUN 2037           6,686  
   
Vale Overseas Ltd
  6.875% 21 NOV 2036           1,983  
   
Verizon Communications Inc
  8.75% 01 NOV 2018           3,866  
   
Vodafone Group Plc
  6.15% 27 FEB 2037           4,015  
   
WAMU 2005 AR3
  1.0% 25 MAR 2035           1,205  
   
Waster Management Inc
  6.375% 11 MAR 2015           1,423  
   
Wellpoint Inc
  6.0% 15 FEB 2014           3,420  
   
Wells Fargo Mtg Bkd Secs
  1.0% 25 OCT 2035           5,036  
   
Western Un co
  5.93% 01 OCT 2016           3,151  
   
Willis North America Inc
  7.0% 29 SEP 2019           428  
   
Xerox Corp
  6.4% 15 MAR 2016           2,012  
   
 
                   
   
 
                 
   
 
                   
   
Corporate and Other Obligations
                458,968  
   
 
                 

24


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
** Synthetic Guaranteed Investment Contracts:                    
   
 
                   
   
Cash and Cash Equivalents
                   
   
 
                   
   
Barclays Capital Repo
  US Dollar Cash Collateral           221,184  
   
JP Morgan Term Repo
  US Dollar Cash Collateral           297,832  
   
Lehman Bankruptcy
  Cash Collateral           (703 )
*  
State Street Bank & Trust Co
  Short Term Investment Fund           12,263  
*  
State Street Bank & Trust Co.
  Short Term Investment Fund           39,843  
*  
State Street Bank & Trust Co.
  Short Term Investment Fund           52,999  
*  
State Street Bank & Trust Co
  Short Term Investment Fund           330,094  
*  
State Street Bank & Trust Co
  Short Term Investment Fund           4,045  
   
Swap Cash Collateral
  US Dollar Cash Collateral           (10,950 )
   
Swap Cash Collateral
  US Dollar Cash Collateral           (10,074 )
   
 
                   
   
 
                 
   
 
                   
   
 
                936,533  
   
 
                 
   
 
                   
   
U.S. Government and Government Agency Issues:
                   
   
 
                   
   
California ST
  7.55% 01 APR 2039           13,900  
   
Canada Govt
  3.75% 01 JUN 2019           85,533  
   
Erie Ctny Ny
  6.0% 01 JUN 2028           4,623  
   
Fannie Mae
  5.375% 12 JUN 2017           64,345  
   
Fannie Mae
  5.375% 12 JUN 2017           71,751  
   
Fannie Mae
  4.272% 16 NOV 2026           135,267  
   
Fed Hm Ln Pc Pool 1N1417
  1.0% 01 FEB 2037           10,080  
   
Fed Hm Ln Pc Pool 1Q0669
  1.0% 01 NOV 2037           7,285  
   
Fed Hm Ln Pc Pool A34902
  5.5% 01 MAY 2035           38,465  
   
Fed Hm Ln Pc Pool A46675
  4.5% 01 AUG 2035           10,354  
   
Fed Hm Ln Pc Pool A47055
  4.5% 01 SEP 2035           13,359  
   
Fed Hm Ln Pc Pool B16497
  1.0% 15 DEC 2029           8,336  
   
Fed Hm Ln Pc Pool E01343
  5.0% 01 APR 2018           12,857  
   
Fed Hm Ln Pc Pool E01377
  4.5% 01 MAY 2018           24,898  
   
Fed Hm Ln Pc Pool G01843
  6.0% 01 JUN 2035           42,001  
   
Fed Hm Ln Pc Pool G01953
  4.5% 01 OCT 2035           14,985  
   
Fed Hm Ln Pc Pool G03205
  5.5% 01 JUL 2035           7,981  
   
Fed Hm Ln Pc Pool G12743
  5.5% 01 AUG 2022           15,338  
   
Fed Hm Ln Pc Pool G18268
  5.0% 01 AUG 2023           62,284  
   
Fed Hm Ln Pc Pool M80844
  3.5% 01 SEP 2010           985  
   
Fed Hm Ln Pc Pool M90966
  4.0% 01 JAN 2010           2,535  
   
Fed Hm Ln Pool 1J1214
  5.5% 01 SEP 2019           987  
   
Fed Hm Ln Pool E96852
  4.5% 01 JUN 2013           5,517  
   
Fed Hm Ln Pool G11441
  4.0% 01 AUG 2013           3,492  
   
Fed Hm Ln Pool G12021
  4.0% 01 MAY 2014           8,937  
   
Fed Hm Ln Pool G12022
  4.5% 01 NOV 2013           2,084  
   
Fed Hm Ln Pool G12024
  4.5% 01 AUG 2018           17,412  
   
Fed Hm Ln Pool G13235
  4.5% 01 AUG 2020           22,363  
   
Fed Hm Ln Pool M80817
  4.0% 01 MAY 2010           7,897  

25


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
   
Fed Hm Ln Pool M80845
  4.5% 01 SEP 2010           3,904  
   
Fed Republic of Brazil
  8.25% 20 JAN 2034           10,911  
   
Fed Republic of Brazil
  6.0% 17 JAN 2017           18,212  
   
Federal Home Ln Mtg
  5.0% 15 JUL 2025           5,255  
   
Federal Home Ln Mtg
  5.0% 15 SEP 2027           15,539  
   
Federal Home Ln Mtg
  5.0% 15 DEC 2027           29,236  
   
Federal Home Ln Mtg
  1.0% 15 FEB 2019           7,624  
   
Federal Home Ln Mtg Corp
  6.0% 15 FEB 2011           41  
   
Federal Home Ln Mtg Corp
  4.125% 21 DEC 2012           35,052  
   
Federal Natl Mtg Assn
  5.503% 25 SEP 2011           10,108  
   
Federal Natl Mtg Assn
  4.0% 01 DEC 2099           105,699  
   
Federal Natl Mtg Assn
  1.0% 25 MAY 2030           50,663  
   
Federal Natl Mtg Assn
  3.25% 09 APR 2013           34,319  
   
Federal Natl Mtg Assn
  5.375% 15 NOV 2011           46,034  
   
Federal Natl Mtg Assn
  5.703% 25 MAY 2011           5,683  
   
Federal Natl Mtg Assn
  5.139% 25 DEC 2011           5,565  
   
Federal Natl Mtg Assn
  4.768% 25 APR 2012           5,646  
   
Federal Natl Mtg Assn
  2.625% 20 NOV 2014           155,763  
   
FICO Strip Cpn
  0.01% 08 AUG 2015           7,781  
   
Financing Corp
  10.7% 06 OCT 2017           7,454  
   
Financing Corp
  9.8% 06 APR 2018           10,604  
   
Financing Corp
  0.01% 27 DEC 2018           4,764  
   
Financing Corp
  0.01% 07 MAR 2019           5,056  
   
Financing Corp
  0.01% 06 OCT 2015           3,500  
   
Financing Corp
  0.01% 03 FEB 2017           46,496  
   
Financing Corp
  0.01% 26 SEP 2014           13,488  
   
Financing Corp
  0.01% 26 SEP 2019           5,845  
   
Financing Corp
  0.1% 11 MAY 2013           16,009  
   
Financing Corp
  0.01% 27 DEC 2012           37,437  
   
Financing Corp
  0.01% 06 JUN 2013           18,113  
   
Financing Corp
  0.01% 30 NOV 2017           46,602  
   
FNMA Pool 125420
  5.5% 01 MAY 2011           97  
   
FNMA Pool 254088
  5.5% 01 DEC 2016           1,969  
   
FNMA Pool 254140
  5.5% 01 JAN 2017           5,866  
   
FNMA Pool 254693
  5.5% 01 APR 2033           16,638  
   
FNMA Pool 254722
  5.5% 01 MAY 2018           14,694  
   
FNMA Pool 254763
  4.0% 01 MAY 2010           3,144  
   
FNMA Pool 254836
  4.0% 01 JUL 2010           4,238  
   
FNMA Pool 255276
  4.0% 01 JUN 2011           4,255  
   
FNMA Pool 255364
  6.0% 01 SEP 2034           14,073  
   
FNMA Pool 255765
  5.0% 01 JUL 2020           4,467  
   
FNMA Pool 256101
  5.5% 01 FEB 2036           50,648  
   
FNMA Pool 256269
  5.5% 01 JUN 2036           42,218  
   
FNMA Pool 256270
  4.5% 01 FEB 2039           3,672  
   
FNMA Pool 323348
  8.5% 01 JUN 2012           52  
   
FNMA Pool 343347
  5.5% 01 APR 2011           1,072  
   
FNMA Pool 357585
  4.5% 01 MAY 2011           4,792  
   
FNMA Pool 386255
  3.530% 01 JUL 2010           11,139  

26


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
   
FNMA Pool 456654
  5.5% 01 FEB 2014           1,174  
   
FNMA Pool 545696
  6.0% 01 JUN 2022           11,068  
   
FNMA Pool 545904
  5.5% 01 SEP 2017           10,550  
   
FNMA Pool 555541
  1.0% 01 APR 2033           2,088  
   
FNMA Pool 623505
  6.0% 01 DEC 2011           2,803  
   
FNMA Pool 722999
  5.0% 01 JUN 2018           29,934  
   
FNMA Pool 725027
  5.0% 01 NOV 2033           8,519  
   
FNMA Pool 725222
  5.5% 01 FEB 2034           20,045  
   
FNMA Pool 725423
  5.5% 01 MAY 2034           14,429  
   
FNMA Pool 725424
  5.5% 01 APR 2034           7,390  
   
FNMA Pool 725690
  6.0% 01 AUG 2034           5,361  
   
FNMA Pool 725946
  5.5% 01 NOV 2034           19,313  
   
FNMA Pool 735224
  5.5% 01 FEB 2035           36,718  
   
FNMA Pool 735654
  1.0% 01 OCT 2044           3,049  
   
FNMA Pool 743132
  5.0% 01 OCT 2018           27,888  
   
FNMA Pool 745275
  5.0% 01 FEB 2036           66,841  
   
FNMA Pool 745327
  6.0% 01 MAR 2036           10,823  
   
FNMA Pool 745569
  4.0% 01 NOV 2013           6,176  
   
FNMA Pool 745571
  4.0% 01 JAN 2019           32,868  
   
FNMA Pool 756363
  1.0% 01 DEC 2033           6,578  
   
FNMA Pool 759866
  5.5% 01 FEB 2034           7,872  
   
FNMA Pool 831540
  6.0% 01 JUN 2036           32,977  
   
FNMA Pool 837220
  4.5% 01 AUG 2020           91,218  
   
FNMA Pool 841068
  5.5% 01 AUG 2035           12,561  
   
FNMA Pool 844444
  5.0% 01 DEC 2035           47,599  
   
FNMA Pool 848647
  5.5% 01 JAN 2036           32,046  
   
FNMA Pool 871117
  5.5% 01 DEC 2036           45,669  
   
FNMA Pool 871288
  6.0% 01 MAY 2036           18,728  
   
FNMA Pool 880611
  5.5% 01 MAR 2036           22,244  
   
FNMA Pool 880611
  5.5% 01 MAR 2036           49,999  
   
FNMA Pool 880626
  5.5% 01 APR 2036           91,045  
   
FNMA Pool 881655
  1.0% 01 MAR 2036           5,894  
   
FNMA Pool 887049
  6.0% 01 AUG 2036           5,789  
   
FNMA Pool 888021
  6.0% 01 DEC 2036           7,852  
   
FNMA Pool 888521
  1.0% 01 MAR 2034           11,450  
   
FNMA Pool 888789
  5.0% 01 JUL 2036           9,179  
   
FNMA Pool 889004
  5.073% 01 AUG 2037           21,551  
   
FNMA Pool 889040
  5.0% 01 JUN 2037           23,079  
   
FNMA Pool 893537
  5.5% 01 SEP 2021           908  
   
FNMA Pool 902397
  1.0% 01 NOV 2036           7,608  
   
FNMA Pool 918353
  6.0% 01 MAY 2037           51,608  
   
FNMA Pool 920602
  6.5% 01 NOV 2037           74,081  
   
FNMA Pool 922328
  5.5% 01 FEB 2022           995  
   
FNMA Pool 928373
  4.5% 01 MAR 2036           16,645  
   
FNMA Pool 931745
  5.0% 01 AUG 2024           160,630  
   
FNMA Pool 947052
  6.0% 01 SEP 2038           130,123  
   
FNMA Pool 965616
  6.0% 01 DEC 2037           751  
   
FNMA Pool 966476
  6.0% 01 JAN 2038           6,184  

27


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
   
FNMA Pool 988457
  5.5% 01 OCT 2023           18,649  
   
FNMA Pool 995051
  6.0% 01 MAR 2037           72,827  
   
FNMA Pool AD0245
  5.0% 01 AUG 2038           129,941  
   
FNMA Pool AD0248
  5.5% 01 NOV 2037           21,845  
   
FNMA TBA JAN 30
  5.0% 01 DEC 2099           (314,592 )
   
FNMA TBA JAN 30
  5.5% 01 DEC 2099           (22,923 )
   
FNMA TBA JAN 30
  6.0% 01 DEC 2099           (231,244 )
   
FNMA TBA JAN 30 Single Fam
  6.5% 01 DEC 2099           136,613  
   
Freddie Mac
  6.0% 01 JUN 2036           1,191  
   
GNMA I TBA JAN 30
  6.5% 01 DEC 2099           (11,641 )
   
GNMA I TBA JAN 30 Single Fam
  5.5% 01 DEC 2099           26,381  
   
GNMA I TBA JAN 30 Single Fam
  6.0% 01 DEC 2099           8,677  
   
GNMA Pool 677228
  6.0% 15 AUG 2038           14,124  
   
GNMA Pool 688098
  6.0% 15 NOV 2038           1,253  
   
GNMA Pool 782469
  6.0% 15 NOV 2038           15,427  
   
Government Natl Mtg Assn
  3.022% 15 JAN 2019           14,457  
   
Government Natl Mtg Assn
  4.241% 16 JUL 2029           2,518  
   
Government Natl Mtg Assn
  4.201% 16 AUG 2026           7,245  
   
Government Natl Mtg Assn
  2.712% 16 FEB 2020           5,925  
   
Government Natl Mtg Assn
  3.206% 16 APR 2018           2,382  
   
Government Natl Mtg Assn
  3.11% 16 JAN 2019           3,816  
   
Government Natl Mtg Assn
  2.946% 16 MAR 2019           4,364  
   
Government Natl Mtg Assn
  3.084% 16 APR 2022           5,725  
   
Italy Rep
  5.375% 12 JUN 2017           11,458  
   
Michigan Tob Settlement
  7.309% 01 JUN 2034           16,973  
   
Ontario Prov CDA
  4.15% 16 JUN 2014           27,768  
   
Ontario Prov CDA
  4.5% 03 FEB 2015           27,750  
   
Peru Rep
  9.875% 06 FEB 2015           12,189  
   
Peru Rep
  8.375% 03 MAY 2016           5,289  
   
Quebec Prov CDA
  4.60% 26 MAY 2016           27,584  
   
Republic of Croatia
  6.75% 05 NOV 2019           9,317  
   
Republic of Lithuania
  6.75% 15 JAN 2015           8,807  
   
Republic of Poland
  6.375% 15 JUL 2019           7,384  
   
Resolution FDG PBE CPN Strips
  .01% 15 APR 2015           16,041  
   
Resolution FDG PBE CPN Strips
  .01% 15 JAN 2014           7,441  
   
Resolution FDG PBE CPN Strips
  .01% 15 JAN 2017           32,489  
   
Resolution FDG PBE CPN Strips
  .01% 15 JUL 2017           11,614  
   
Russian Fedn
  1.0% 31 MAR 2030           11,345  
   
Small Business Admin
  7.19% 01 DEC 2019           6,555  
   
Small Business Admin
  5.68% 01 JUN 2028           24,632  
   
Small Business Admin
  7.06% 01 NOV 2019           3,637  
   
Tobacco Settlement Fin Auth
  7.467% 01 JUN 2047           9,621  
   
Tobacco Settlement Fin Iowa
  6.5% 01 JUN 2023           1,755  
   
United Mexican Sts
  5.625% 15 JAN 2017           10,958  
   
United States N/B
  1.125% 30 JUN 2011           246,929  
   
United States Treas Bds
  8.875% 15 AUG 2017           22,837  
   
United States Treas Bds
  8.875% 15 AUG 2017           128,362  
   
United States Treas Bds
  9.125% 15 MAY 2018           15,371  

28


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
   
United States Treas Bds
  8.5% 15 FEB 2020           6,070  
   
United States Treas Bds
  7.875% 15 FEB 2021           50,038  
   
United States Treas Bds
  8.125% 15 MAY 2021           14,979  
   
United States Treas Bds
  8.0% 15 NOV 2021           8,946  
   
United States Treas Bds
  7.625% 15 NOV 2022           35,054  
   
United States Treas Nts
  1.125% 15 JAN 2012           33,584  
   
United States Treas Nts
  2.375% 31 AUG 2014           128,040  
   
United States Treas Nts
  4.0% 15 AUG 2018           87,229  
   
United States Treas Nts
  1.125% 15 JAN 2012           107,206  
   
United States Treas Nts
  3.0% 31 AUG 2016           28,000  
   
United States Treas Nts
  4.875% 31 JUL 2011           30,234  
   
United States Treas Nts
  2.75% 15 FEB 2019           66,229  
   
United States Treas Nts
  3.0% 15 JUL 2012           35,668  
   
United States Treas Nts
  3.625% 31 DEC 2012           58,934  
   
United States Treas Nts
  3.75% 15 NOV 2018           130,361  
   
United States Treas Nts
  1.75% 15 NOV 2011           67,192  
   
United States Treas Nts
  1.75% 31 JAN 2014           199,154  
   
United States Treas Nts
  2.375% 31 AUG 2014           187,169  
   
United States Treas Nts
  4.875% 31 MAY 2011           201,410  
   
United States Treas Nts
  3.5% 15 FEB 2018           241,632  
   
US Treasury
  4.25% 15 MAY 2039           14,792  
   
US Treasury
  2.5% 31 MAR 2013           97,607  
   
US Treasury
  0.875% 30 APR 2011           319,060  
   
US Treasury
  1.0% 31 AUG 2011           230,499  
   
US Treasury N/B
  2.375% 30 SEP 2014           2,171  
   
US Treasury N/B
  3.25% 31 DEC 2016           45,602  
   
WI Treasury N/B
  1.125% 15 DEC 2012           93,845  
   
WI Treasury N/B
  2.75% 30 NOV 2016           48,492  
   
WI Treasury Sec
  0.875% 31 MAY 2011           235,376  
   
 
                   
   
 
                 
   
 
                   
   
 
              $ 6,398,827  
   
 
                 
   
 
                   
   
Corporate and Other Obligations:
                   
   
 
                   
   
317U175B7 IRO USD Swaption
  JUN 10 5y 5.0 Put           (40 )
   
317U186B4 IRO USD Swaption
  AUG 10 5y 5.5 Put           (113 )
   
317U219B5 IRO USD Swaption
  AUG 10 10y 6.0 Put           (282 )
   
317U299B8 IRO USD Swaption
  APR 10 4.25 Put           (882 )
   
317U324B7 Swaption BOA 10y
  APR 10 3.25 Call           (83 )
   
317U326B5 Swaption DUB 10y
  APR 10 3.25 Call           (200 )
   
317U366b6 IRO USD Swaption
  APR 10 5.0 Put           (535 )
   
317U374b6 IRO USD Swaption
  JUL 12 10.0 Put           (210 )
   
317U392B4 IRO USD 10y
  FEB 10 4 Put           (440 )
   
317U393B3 IRO USD 10y
  FEB 10 3.25 Call           (8 )
   
317U395B1 IRO USD 7y
  FEB 10 3.5 Put           (1,443 )
   
317U428B2 IRO USD 10y
  JUL 12 10.0 Put           (10 )
   
Ace Ina Hldg Inc
  5.7% 15 FEB 2017           7,089  
   
Ace Ina Hldg Inc
  5.6% 15 MAY 2015           4,348  

29


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
   
Aep Tex Cent Transition
  4.98% 01 JUL 2015           6,961  
   
Aetna Inc
  6.0% 15 JUN 2016           2,874  
   
Agilent Technologies Inc
  6.5% 01 NOV 2017           11,703  
   
Alcoa Inc
  6.75% 15 JUL 2018           2,792  
   
Allied Waste
  7.25% 15 MAR 2015           4,806  
   
Allied Waste
  7.125% 15 MAY 2016           3,265  
   
Allied World Assurn
  7.5% 01 AUG 2016           3,859  
   
Allstate Corp
  6.125% 15 MAY 2067           6,859  
   
Allstate Life Gbl Fdg
  6.375% 30 APR 2013           12,507  
   
Altria Group Inc
  9.7% 10 NOV 2018           16,920  
   
Altria Group Inc
  9.7% 10 NOV 2018           25,853  
   
Amer Express Credit
  5.125% 25 AUG 2014           9,000  
   
Ameren Corporation
  8.875% 15 MAY 2014           5,166  
   
American Express Bk
  5.55% 17 OCT 2012           9,368  
   
American Express Bk
  1.0% 12 JUN 2012           14,872  
   
American Express Centurion
  5.55% 17 OCT 2012           19,321  
   
American Express Co
  5.5% 12 SEP 2016           7,943  
   
American Express Co
  6.15% 28 AUG 2017           12,474  
   
American Express Co
  7.25% 20 MAY 2014           6,054  
   
American Express Co
  8.125% 20 MAY 2019           9,343  
   
American Express Corp
  1.0% 04 OCT 2010           6,553  
   
American Express Cr Corp
  1.0% 02 DEC 2010           6,545  
   
American Express Cr Corp
  7.3% 20 AUG 2013           11,199  
   
American Gen Fin Corp
  4.875% 15 MAY 2010           19,437  
   
American Gen Fin Corp
  4.875% 15 JUL 2012           3,411  
   
American Honda Fin Corp
  4.625% 02 APR 2013           12,375  
   
American Honda Fin Corp
  7.625% 01 OCT 2018           5,133  
   
American Transmission
  5.25% 15 JAN 2022           3,892  
   
Americredit Automobile
  3.43% 06 JUL 2011           1,705  
   
Americredit Automobile Receiv
  4.47% 12 JAN 2012           1,185  
   
Americredit Prime Automobile
  5.35% 09 SEP 2013           2,358  
   
Ameriprise Finl Inc
  5.65% 15 NOV 2015           2,078  
   
Amgen Inc
  4.85% 18 NOV 2014           14,382  
   
Amgen Inc
  6.4% 01 FEB 2039           3,004  
   
Amvescap Plc
  5.375% 15 DEC 2014           3,328  
   
Anadarko Pete Corp
  5.95% 15 SEP 2016           1,824  
   
Anadrako Pete Corp
  8.7% 15 MAR 2019           8,036  
   
Anheuser Busch Cos
  6.45% 01 SEP 2037           18,642  
   
Anheuser Busch Inbev
  5.375% 15 NOV 2014           26,664  
   
Apache Corp
  5.25% 15 APR 2013           4,694  
   
Arcelor Mittal USA Inc
  6.5% 15 APR 2014           4,675  
   
Arcelormittal
  6.125% 01 JUN 2018           8,361  
   
Assurant Inc
  5.625% 15 FEB 2014           4,603  
   
AT&T Corp
  7.3% 15 NOV 2011           10,851  
   
AT&T Inc
  4.85% 15 FEB 2014           31,785  
   
AT&T Wireless
  7.875% 01 MAR 2011           4,235  
   
Autozone Inc
  5.75% 15 JAN 2015           12,112  
   
Avalonbay Cmntys Inc
  5.5% 15 JAN 2012           3,798  

30


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
   
Ba Cr Card Tr
  1.0% 16 DEC 2013           22,330  
   
Ba Cr Card Tr
  1.0% 15 SEP 2012           12,321  
   
Baker Hughes Inc
  6.5% 15 NOV 2013           4,326  
*  
Banc Amer Coml Mtg
  5.334% 10 SEP 2045           14,947  
*  
Banc Amer Coml Mtg
  5.492% 10 FEB 2051           11,824  
*  
Bank Amer Corp
  5.42% 15 MAR 2017           6,485  
*  
Bank Amer Corp
  5.49% 15 MAR 2019           18,622  
*  
Bank Amer Corp
  7.375% 15 MAY 2014           7,579  
*  
Bank Amer Corp
  5.75% 01 DEC 2017           24,668  
*  
Bank Amer Corp
  4.5% 01 AUG 2010           14,644  
*  
Bank Amer Fdg Corp
  1.000% 25 MAY 2035           6,230  
*  
Bank Amer Fdg Vorp
  5.65% 01 MAY 2018           20,796  
   
Bank New York Inc
  4.95% 01 NOV 2012           8,491  
   
Bank New York Inc
  4.5% 01 APR 2013           12,835  
*  
Bank of America Corp
  7.375% 15 MAY 2014           3,230  
   
Barclays Bank
  5.2% 10 JUL 2014           15,205  
   
Barclays Bank Plc
  6.75% 22 MAY 2019           3,786  
   
Barclays Bank Plc
  5.0% 22 SEP 2016           7,161  
   
Bayview Finl Secs
  1.0% 28 DEC 2035           3,260  
   
Bayview Finl Secs
  5.208% 28 APR 2039           7,115  
   
Bear Stearns Alt A
  1.0% 25 FEB 2036           5,259  
   
Bear Stearns Alt A
  1.0% 25 MAY 2036           1,943  
   
Bear Stearns Alt A
  1.0% 25 JAN 2047           3,103  
   
Bear Stearns Arm Tr
  1.000% 25 AUG 2033           4,216  
   
Bear Stearns Coml Mtg
  1.0% 11 JUN 2040           20,205  
   
Bear Stearns Coml Mtg
  4.24% 13 AUG 2039           8,160  
   
Bear Stearns Coml Mtg
  4.484% 11 JUN 2041           5,481  
   
Bear Stearns Coml Mtg
  1.0% 11 SEP 2038           5,051  
   
Bear Stearns Coml Mtg
  5.518% 11 SEP 2041           2,841  
   
Bear Stearns Coml Mtg
  5.533% 12 OCT 2041           4,496  
   
Bear Stearns Coml Mtg Secs
  1.0% 11 SEP 2038           5,671  
   
Bear Stearns Cos Inc
  5.3% 30 OCT 2015           18,530  
   
Bear Stearns Cos Inc
  5.35% 01 FEB 2012           12,100  
   
Bear Stearns Cos Inc
  5.55% 22 JAN 2017           7,338  
   
Bear Stearns Tr
  5.54% 11 SEP 2041           14,610  
   
Berkshire Hathaway
  5.4% 15 MAY 2018           13,271  
   
Berkshire Hathaway Fin Corp
  4.2% 15 DEC 2010           6,235  
   
BHP Fin USA Ltd
  7.25% 01 MAR 2016           5,965  
   
BK Cap Mkts Plc
  3.875% 10 MAR 2015           22,725  
   
Boeing Co
  5.125% 15 FEB 2013           10,650  
   
Boeing Co
  6.0% 15 MAR 2019           8,199  
   
Boston Pptys Ltd Partnership
  6.25% 15 JAN 2013           7,002  
   
Boston Pptys Ltd Partnership
  5.0% 01 JUN 2015           3,718  
   
Boston Pptys Ltd Partnership
  5.625% 15 APR 2015           2,931  
   
Boston Scientific
  4.5% 15 JAN 2015           9,326  
   
Bottling Group LLC
  6.95% 15 MAR 2014           11,591  
   
Bottling Group LLC
  6.95% 15 MAR 2014           7,685  
   
British Telecommunications
  1.0% 15 DEC 2010           14,663  

31


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
   
British Telecommunications
  1.0% 15 DEC 2010           3,402  
   
Bunge Ltd Fin Corp
  5.875% 15 MAR 2013           2,621  
   
Bunge Ltd Fin Corp
  8.5% 15 JUN 2019           6,266  
   
Burlington Northern
  7.0% 01 FEB 2014           7,332  
   
Burlington Rs Fin
  6.5% 01 DEC 2011           5,033  
   
California St
  5.0% 01 NOV 2037           9,871  
   
Campbell Soup Co
  6.75% 15 FEB 2011           6,874  
   
Canadian Nat Res Ltd
  5.15% 01 FEB 2013           2,214  
   
Canadian Pac Ry Co
  6.5% 15 MAY 2018           1,444  
   
Capital Auto Receivables
  5.42% 15 DEC 2014           13,459  
   
Capital One Auto Fin Tr
  5.13% 16 APR 2012           6,435  
   
Capital One Bank
  8.8% 15 JUL 2019           13,198  
   
Capital One Multi Asset
  5.05% 15 FEB 2016           17,039  
   
Capital One Multi Asset
  1.0% 15 MAR 2017           12,159  
   
Carolina Power & Lt Co
  6.5% 15 JUL 2012           15,366  
   
Carolina Pwr & Lt Co
  6.5% 15 JUL 2012           3,241  
   
Caterpillar Financial
  7.05% 01 OCT 2018           7,144  
   
Caterpillar Financial
  6.125% 17 FEB 2014           7,097  
   
Caterpillar Financial
  6.125% 17 FEB 2014           17,131  
   
Caterpillar Financial
  7.15% 15 FEB 2019           10,889  
   
CCCIT 2009
  2.25% 23 DEC 2014           10,642  
   
CCCIT 2009 A5
  2.25% 23 DEC 2014           10,859  
   
CDP Financial
  3.0% 25 NOV 2014           15,493  
   
Cellco Part/Veri Wireless
  5.55% 01 FEB 2014           14,498  
   
Centerpoint Energy
  5.09% 01 AUG 2014           31,779  
   
Centerpoint Energy
  5.17% 01 AUG 2019           8,439  
   
CHAIT 2009 A8
  1.0% 17 SEP 2012           28,481  
   
Chase Issuance
  1.0% 16 JUN 2014           28,045  
   
Chesapeake Energy
  7.5% 15 JUN 2014           1,340  
   
Chesapeake Energy
  9.5% 15 FEB 2015           7,811  
   
Cincinnati Finl Corp
  6.125% 01 NOV 2034           928  
   
Cisco Sys Inc
  5.25% 22 FEB 2011           7,583  
   
Cisco Systems Inc
  2.9% 17 NOV 2014           33,445  
   
Citibank Cr Card Issuance
  5.35% 07 FEB 2020           11,022  
   
Citibank Cr Card Issuance
  6.3% 20 JUN 2014           22,722  
   
Citibank Cr Card Issuance
  1.0% 09 JAN 2012           6,568  
   
Citifinancial Mtg Secs
  3.36% 25 JAN 2033           1,821  
   
Citigroup Coml Mtg
  5.431% 15 OCT 2049           4,677  
   
Citigroup Inc
  6.625% 15 JUN 2032           1,991  
   
Citigroup Inc
  6.0% 31 OCT 2033           9,516  
   
Citigroup Inc
  5.85% 11 DEC 2034           5,410  
   
Citigroup Inc
  6.125% 25 AUG 2036           6,479  
   
Citigroup Inc
  5.5% 15 FEB 2017           11,398  
   
Citigroup Inc
  8.125% 15 JUL 2039           6,179  
   
Citigroup Inc
  6.125% 21 NOV 2017           57,393  
   
Citigroup Inc
  5.5% 11 APR 2013           4,541  
   
Citigroup Inc
  5.3% 17 OCT 2012           23,612  
   
Citigroup Inc
  6.5% 18 JAN 2011           14,313  

32


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
   
Citigroup Inc
  4.625% 03 AUG 2010           2,793  
   
Citigroup Inc
  6.5% 19 AUG 2013           6,532  
   
Citigroup Inc
  1.0% 05 MAY 2011           53,839  
   
Citigroup Inc
  5.85% 02 JUL 2013           24,122  
   
Citigroup Inc
  5.5% 11 APR 2013           11,579  
   
Citigroup Mtg
  1.0% 25 MAY 2035           7,093  
   
Citigroup Mtg
  1.0% 25 MAR 2036           7,773  
   
Citigroup Mtg Ln Tr
  1.0% 25 MAY 2037           729  
   
Citigroup Mtg Ln Tr
  1.0% 25 AUG 2035           7,990  
   
Citigroup Residential Mtg Tr
  1.0% 25 JUN 2037           1,062  
   
City Natl Corp
  5.125% 15 FEB 2013           5,378  
   
Cleveland Elec
  5.7% 01 APR 2017           8,918  
   
Clorox Co
  5.95% 15 OCT 2017           11,184  
   
CNH Equip Tr
  5.4% 17 OCT 2011           2,450  
   
CNH Equip Tr
  5.42% 17 MAR 2014           8,086  
   
Coca Cola Co
  5.35% 15 NOV 2017           7,785  
   
Comcast Corp
  4.95% 15 JUN 2016           7,984  
   
Comcast Corp
  4.95% 15 JUN 2016           14,506  
   
Comcast Corp
  5.85% 15 NOV 2015           22,620  
   
Comcast Corp
  6.3% 15 NOV 2017           11,262  
   
Comm 2001 J2
  5.447% 16 JUL 2034           7,897  
   
Comm Mtg Tr
  1.0% 10 DEC 2049           14,597  
   
Comm Mtg Tr
  1.0% 10 DEC 2049           14,796  
   
Commercial Mtg Asset Tr
  1.0% 17 NOV 2032           5,894  
   
Commercial Mtg Asset Tr
  1.0% 17 NOV 2032           794  
   
Commercial Mtg Ttr
  5.736% 10 DEC 2049           3,888  
   
Commercial Net Lease
  6.15% 15 DEC 2015           3,866  
   
Conagra Inc
  7.875% 15 SEP 2010           252  
   
Conoco Fdg Co
  6.35% 15 OCT 2011           6,195  
   
ConocoPhillips
  5.75% 01 FEB 2019           16,300  
   
ConocoPhillips Australia Fdg
  5.5% 01 APR 2013           11,296  
   
Consolidated Edison Co Ny
  5.3% 01 DEC 2016           18,244  
   
Consumers Energy
  5.375% 15 APR 2013           7,289  
   
Corning Inc
  6.2% 15 MAR 2016           3,951  
   
Countrywide Alternative Ln Tr
  1.000% 25 JUN 2037           30  
   
Countrywide Finl Corp
  5.8% 07 JUN 2012           1,626  
   
Countrywide Finl Corp
  4.0% 22 MAR 2011           3,138  
   
Countrywide Home Loans Inc
  6.125% 15 JAN 2015           5,905  
   
Coventry Health Care Inc
  5.95% 15 MAR 2017           628  
   
Coventry Health Care Inc
  6.3% 15 AUG 2014           1,688  
   
Coventry Health Care Inc
  5.45% 15 DEC 2014           5,569  
   
Cox Communications
  5.96% 15 JUL 2015           22,875  
   
CPL Transition
  6.25% 15 MAY 2016           7,718  
   
Credit Suisse USA
  5.5% 16 AUG 2011           16,170  
   
Credit Suisse NY
  6.0% 15 FEB 2018           9,968  
   
Credit Suisse Coml Mtg
  5.3 11% 15 DEC 2039           6,211  
   
Credit Suisse Coml Mtg
  5.467% 15 SEP 2039           14,256  
   
Credit Suisse First Boston
  5.5% 15 AUG 2013           3,331  

33


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
   
Credit Suisse First Boston
  1.0% 15 JAN 2037           6,920  
   
Credit Suisse First Boston
  1.0% 15 FEB 2038           6,448  
   
Credit Suisse First Boston
  1.0% 15 FEB 2039           13,860  
   
Credit Suisse First Boston Mtg
  6.38% 18 DEC 2035           15,466  
   
Credit Suisse First Boston Mtg
  1.0% 25 JAN 2036           96  
   
CSMC 2006 C3 A3
  1.0% 15 JUN 2038           10,915  
   
CSX Corp
  6.15% 01 MAY 2037           2,995  
   
CWABS Inc
  4.615% 25 FEB 2035           7,093  
   
Cwalt Alternative Ln Tr
  1.0% 25 JUL 2021           8,906  
   
Cwalt Inc
  1.0% 25 DEC 2035           1,947  
   
Cweq Home Equity Ln Tr
  1.0% 25 JUN 2035           831  
   
DaimlerChrysler Auto
  4.71% 10 SEP 2012           5,622  
   
DB Master Fin LLC
  6.75% 05 NOV 2019           2,111  
   
Deere John Cap Corp
  5.25% 01 OCT 2012           8,277  
   
Delhaize Group
  6.5% 15 JUN 2017           6,422  
   
Dell Inc
  5.625% 15 APR 2014           5,249  
   
Delta Air Lines
  7.75% 17 DEC 2019           16,976  
   
Detroit Edison
  6.19% 01 MAR 2013           9,818  
   
Deutsche Bank
  5.375% 12 OCT 2012           16,313  
   
Deutsche Telekom
  8.5% 15 JUN 2010           9,053  
   
Devon Energy
  5.625% 15 JAN 2014           15,851  
   
Diaego Cap Plc
  7.375% 15 JAN 2014           10,640  
   
Diageo Cap
  7.375% 15 JAN 2014           16,847  
   
Diaggeo Cap Plc
  7.375% 15 JAN 2014           7,853  
   
Directv Holding Fing
  4.75% 01 OCT 2014           3,237  
   
Discover Card
  1.0% 16 OCT 2014           12,782  
   
Discover Financial
  10.25% 15 JUL 2019           15,365  
   
Discovery Communications
  5.625% 15 AUG 2019           4,975  
   
Disney Walt Co
  5.5% 15 MAR 2019           6,570  
   
DLJ Coml Mtg Corp
  7.18% 10 NOV 2033           11,173  
   
Dominion Re Sinc Del
  5.7% 17 SEP 2012           10,412  
   
Donnelley RR & Sons
  4.95% 01 APR 2014           1,972  
   
Donnelley Rr & Sons
  5.5% 15 MAY 2015           7,315  
   
Dow Chem Co
  8.55% 15 MAY 2019           19,205  
   
Dr Pepper Snapple Group
  2.35% 21 DEC 2012           6,248  
   
Du Pont
  5.875% 15 JAN 2014           4,935  
   
Du Pont E I
  5.0% 15 JAN 2013           6,450  
   
Duke Cap Corp
  8.0% 01 OCT 2019             8,970  
   
Duke Cap LLC
  5.668% 15 AUG 2014           16,001  
   
Duke Energy
  5.1% 15 APR 2018           11,328  
   
Duke Energy Corp
  5.65% 15 JUN 2013           16,444  
   
Duke Energy Corp
  5.65% 15 JUN 2013           12,920  
   
Duke Energy Field Svcs LLC
  7.875% 16 AUG 2010           1,821  
   
Dule Weks Realty
  6.95% 15 MAR 2011           378  
   
Echostar DBS Corp
  7.75% 31 MAY 2015           8,258  
   
Edison Mission Energy
  7.0% 15 MAY 2017           1,903  
   
El Paso Corp
  7.75% 15 JUN 2010           8,852  
   
El Paso Corp
  8.25% 15 FEB 2016           7,715  

34


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
   
Electronic Data Syst Corp
  6.0% 01 AUG 2013           11,378  
   
Embarq Corp
  7.995% 01 JUN 2036           14,959  
   
Embarq Corp
  7.082% 01 JUN 2016           9,071  
   
Encana Corp
  6.5% 15 MAY 2019           10,411  
   
Enel Finance Intl
  3.875% 07 OCT 2014           11,416  
   
Energy Transfer Partners
  6.0% 01 JUL 2013           15,805  
   
Energy Transfer Partners LP
  6.7% 01 JUL 2018           5,557  
   
Energy Transfer Partners Lp
  7.5% 01 JUL 2038           5,567  
   
Entergy Gulf
  5.51% 01 OCT 2013           3,878  
   
Enterprise Prods
  5.6% 15 OCT 2014           3,031  
   
Enterprise Prods
  5.6% 15 OCT 2014           11,193  
   
EQT Corp
  8.125% 01 JUN 2019           5,313  
   
EQT Corp
  8.125% 01 JUN 2019           3,416  
   
Equifax Inc
  7.0% 01 JUL 2037           5,275  
   
ERP Oper Ltd Partnership
  5.25% 15 SEP 2014           9,243  
   
European Investment Bank
  5.125% 30 MAY 2017           7,553  
   
Express Scripts Inc
  6.25% 15 JUN 2014           2,270  
   
Federal Rlty Invt
  5.65% 01 JUN 2016           5,910  
   
Federal Rlty Invt
  6.0% 15 JUL 2012           2,856  
   
Federal Rlty Invt Tr
  5.4% 01 DEC 2013           14,320  
   
First Energy Corp
  6.45% 15 NOV 2011           235  
   
First Nationwide Trust
  1.0% 25 AUG 2032           823  
   
First UN Natl Bk
  6.663% 12 JAN 2043           5,878  
   
Ford Cr Auto
  5.4% 15 AUG 2011           8,660  
   
Ford Cr Auto Tr
  5.8% 15 FEB 2013           2,307  
   
Fortune Brands Inc
  4.875% 01 DEC 2013           3,847  
   
Fortune Brands Inc
  5.375% 15 JAN 2016           3,815  
   
Four Times Square Tr
  7.795% 15 APR 2015           7,257  
   
FPL Group Cap Inc
  5.625% 01 SEP 2011           13,977  
   
FPL Group Inc
  1.0% 09 NOV 2012           16,834  
   
France Telecom Sa
  8.5% 01 MAR 2031           11,075  
   
Freeport McMoran
  8.375% 01 APR 2017           9,112  
   
Gaz Capital Sa
  6.212% 22 NOV 2016           13,560  
   
GCCFC 2006 GG7
  1.0% 10 JUL 2038           17,471  
   
GE Coml Mtg Corp
  3.915% 10 NOV 2038           5,421  
   
General Mills Inc
  5.65% 10 SEP 2012           7,862  
   
General Dynamics Corp
  5.25% 01 FEB 2014           19,656  
   
General Elec Cap
  5.875% 14 JAN 2038           49,981  
   
General Elec Cap Corp
  6.15% 07 AUG 2037           24,816  
   
General Elec Cap Corp
  5.875% 14 JAN 2038           12,166  
   
General Elec Cap Corp
  4.875% 04 MAR 2015           41,176  
   
General Elec Cap Corp
  5.875% 14 JAN 2038           1,521  
   
General Elec Cap Corp
  4.8% 01 MAY 2013           28,270  
   
General Elec Cap Corp
  5.875% 14 JAN 2038           29,705  
   
General Mills
  5.65% 10 SEP 2012           21,799  
   
Genworth Finl Inc
  6.515% 22 MAY 2018           6,914  
   
Georgia Pwr Co
  6.0% 01 NOV 2013           7,181  
   
Glaxosmithkline Cap
  6.375% 15 MAY 2038           6,065  

35


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
   
Goldman Sachs Group
  5.7% 01 SEP 2012           17,078  
   
Goldman Sachs Group
  6.75% 01 OCT 2037           11,818  
   
Goldman Sachs Group
  6.15% 01 APR 2018           32,352  
   
Goldman Sachs Group
  5.625% 15 JAN 2017           4,250  
   
Goldman Sachs Group
  6.75% 01 OCT 2037           5,853  
   
Goldman Sachs Group Inc
  6.75% 01 OCT 2037           13,506  
   
Goldman Sachs Group Inc
  6.25% 01 SEP 2017           21,137  
   
Goldman Sachs Group Inc
  7.5% 15 FEB 2019           10,232  
   
Goldman Sachs Group Inc
  4.75% 15 JUL 2013           14,549  
   
Goodrich Corp
  4.875% 01 MAR 2020           16,679  
   
Greenewich Cap Coml
  4.883% 10 JUN 2036           8,536  
   
Greenwich Cap Coml Fdg
  4.022% 05 JAN 2036           2,140  
   
Greenwich Capital Comm Fund
  5.444% 10 MAR 2039           21,864  
   
Greenwich Capital Fnd
  5.444% 10 MAR 2039           8,997  
   
GS Mtg Secs
  1.0% 03 MAY 2018           16,917  
   
GS Mtg Secs
  1.0% 03 MAY 2018           10,957  
   
GS Mtg Secs Corp
  1.0% 25 DEC 2035           4,603  
   
GS Mtg Secs Corp
  1.0% 06 MAR 2020           2,988  
   
GS Mtg Secs Corp II
  4.751% 10 JUL 2039           15,902  
   
GS Mtg Secs Tr
  5.479% 10 NOV 2039           28,971  
   
GSMS 2004 GG2
  1.0% 10 AUG 2038           7,855  
   
Guardian Life Insurance
  7.375% 30 SEP 2039           4,368  
   
Hanover Ins Group
  7.625% 15 OCT 2025           2,735  
   
Harley Davidson Motorcycle
  5.52% 15 NOV 2013           5,519  
   
Hasbro Inc
  6.125% 15 MAY 2014           6,438  
   
Health Care Ppty Invs Inc
  5.95% 15 SEP 2011           7,569  
   
Healthcare Rlty
  8.125% 01 MAY 2011           6,672  
   
Healthcare Rlty
  5.125% 01 APR 2014           5,071  
   
Healthcare Rlty Tr Inc
  5.125% 01 APR 2014           3,740  
   
Heinz HJ Fin
  6.0% 15 MAR 2012           7,752  
   
Hess Corp
  7.0% 15 FEB 2014           4,804  
   
Home Dept Inc
  5.875% 16 DEC 2036           10,569  
   
Home Equity Asset Tr
  1.0% 25 JUL 2035           3,027  
   
Hospira Inc
  5.55% 30 MAR 2012           22,758  
   
Household Fin Corp
  7.0% 15 May 2012           3,691  
   
Hrpt Pptys Tr
  1.0% 16 MAR 2011           2,807  
   
HSBC Fin Corp
  6.75% 15 MAY 2011           19,095  
   
HSBC Hldgs Plc
  6.8% 01 JUN 2038           8,318  
   
HSI Asset Securitization Corp
  1.0% 25 JAN 2036           1,205  
   
Humana Inc
  7.2% 15 JUN 2018           4,255  
   
Huntington Natl Bk
  4.375% 15 JAN 2010           5,475  
   
Husky Energy
  7.25% 15 DEC 2019           12,527  
   
Hyundai Receivables Tr
  5.25% 15 MAY 2013           7,130  
   
Indymac Mbs Inc
  1.0% 25 MAY 2036           2,907  
   
International Paper
  5.3% 01 APR 2015           6,773  
   
International Paper
  7.95% 15 JUN 2018           5,304  
   
Intl Bk Recon & Develop
  9.25% 15 JUL 2017           3,692  
   
Intl Lease Fin Corp
  5.75% 15 JUN 2011           2,012  

36


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
   
Intl Lease Fin Corp
  5.4% 15 FEB 2012           11,426  
   
Jefferies Group Inc
  7.75% 15 MAR 2012           1,611  
   
Jefferies Group Inc
  6.25% 15 JAN 2036           6,108  
   
Johnson & Johnson
  5.55% 15 AUG 2017           7,609  
   
JP Morgan Chase
  6.75% 01 FEB 2011           5,660  
   
JP Morgan Chase & Co
  5.75% 02 JAN 2013           12,145  
   
JP Morgan Chase & Co
  6.0% 15 JAN 2018           19,540  
   
JP Morgan Chase Bank
  6.0% 01 OCT 2017           11,724  
   
JP Morgan Chase Coml Mtg
  4.184% 12 JAN 2037           11,255  
   
JP Morgan Chase Coml Mtg
  4.625% 15 MAR 2046           5,785  
   
JP Morgan Chase Coml Mtg
  6.26% 15 MAR 2033           14,961  
   
JP Morgan Chase Coml Mtg
  1.0% 15 APR 2045           25,699  
   
JP Morgan Chase Coml Mtg
  1.0% 12 FEB 2049           8,144  
   
JP Morgan Chase Coml Mtg
  1.0% 12 DEC 2044           4,957  
   
JP Morgan Chase Coml Mtg
  1.0% 12 JUN 2043           14,647  
   
JP Morgan Chase Coml Mtg
  5.552% 12 MAY 2045           10,928  
   
JP Morgan Chase Coml Mtg
  5.429% 12 DEC 2043           13,136  
   
JP Morgan Chase Coml Mtg
  1.0% 15 JUN 2049           16,878  
   
JP Morgan Chase Coml Mtg
  4.302% 15 JAN 2038           9,465  
   
JP Morgan Chase Coml Mtg
  5.198% 15 DEC 2044           9,376  
   
JP Morgan Chase Coml Mtg
  5.437% 12 DEC 2044           12,253  
   
JP Morgan Chase & Co
  5.125% 15 SEP 2014           16,054  
   
JP Morgan Chase & Co
  4.75% 01 MAY 2013           8,206  
   
Kellogg Co
  5.125% 03 DEC 2012           15,805  
   
Kinder Morgan Energy
  6.85% 15 FEB 2020           15,061  
   
Kinder Morgan Energy Partners
  5.0% 15 DEC 2013           16,323  
   
Kraft Foods Inc
  7.0% 11 AUG 2037           9,096  
   
Kraft Foods Inc
  6.5% 11 AUG 2017           5,941  
   
Kraft Foods Inc
  6.75% 19 FEB 2014           16,104  
   
Kraft Foods Inc
  6.0% 11 FEB 2013           2,818  
   
Kraft Foods Inc
  6.125% 01 FEB 2018           19,689  
   
Kreditanstalt Fur
  4.875% 17 JAN 2017           6,551  
   
Kreditanstalt Fur Wiederaufbau
  3.5% 10 MAR 2014           42,310  
   
Kroger Co
  6.4% 15 AUG 2017           2,751  
   
Kroger Co
  6.75% 15 APR 2012           9,209  
   
Kroger Co
  6.2% 15 JUN 2012           6,322  
   
Kroger Co
  6.4% 15 AUG 2017           3,469  
   
L 3 Communications
  6.375% 15 OCT 2015           4,396  
   
Lafarge Sa
  6.15% 15 JUL 2011           3,811  
   
LB UBS
  5.372% 15 SEP 2039           14,926  
   
LB UBS Coml Mtg
  5.3% 15 NOV 2038           14,473  
   
LB UBS Coml Mtg
  4.647% 15 JUL 2030           18,698  
   
LB UBS Coml Mtg
  5.424% 15 FEB 2040           7,526  
   
LB UBS Coml Mtg Mtg
  6.365% 15 DEC 2028           8,919  
   
LB UBS Coml Mtg Tr
  1.0% 15 APR 2041           7,196  
   
LB UBS Coml Mtg Tr
  1.0% 15 JUN 2029           4,037  
   
LB UBS Coml Mtg Tr
  1.0% 15 JUN 2038           14,615  
   
Liberty Ppty Ltd
  5.5% 15 DEC 2016           1,415  

37


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
   
Liberty Ppty Ltd
  6.625% 01 OCT 2017           849  
   
Lilly Eli & Co
  4.2% 06 MAR 2014           18,722  
   
Limited Inc
  5.25% 01 NOV 2014           6,763  
   
Limited Inc
  6.9% 15 JUL 2017           962  
   
Lincoln Natl Corp
  8.75% 01 JUL 2019           2,552  
   
Lincoln Natl Corp
  1.0% 12 MAR 2020           5,903  
   
Lincoln Natl Corp
  6.25% 15 FEB 2020           5,180  
   
LSI Open Position Net Asset
  0.01% 31 DEC 2060           374  
   
Lubrizol Corp
  8.875% 01 FEB 2019           7,351  
   
M & I Marshall & Ilsley Bk
  6.375% 01 SEP 2011           6,718  
   
M&T Bank Corp
  5.375% 24 MAY 2012           5,024  
   
Mack Cali Rlty
  5.125% 15 JAN 2015           4,186  
   
Mack Cali Rlty
  5.05% 15 APR 2010           3,084  
   
Mack Cali Rlty
  5.25% 15 JAN 2012           4,483  
   
Macys Retail Hldgs
  5.35% 15 MAR 2012           17,892  
   
Manufacturers & Traders
  1.0% 28 DEC 2020           4,871  
   
Marathon Oil Corp
  6.5% 15 FEB 2014           4,724  
   
Marathon Oil Corp
  7.5% 15 FEB 2019           12,511  
   
Masco Corp
  1.0% 12 MAR 2010           3,381  
   
Masco Corp
  6.125% 03 OCT 2016           9,182  
   
Mass Mutual Global
  3.625% 16 JUL 2012           4,906  
   
Mass Mutual Life Ins
  8.875% 01 JUN 2039           8,729  
   
Master Asset Backed Secs
  1.0% 25 AUG 2036           7,308  
   
MBNA Corp
  6.125% 01 MAR 2013           2,323  
   
MBNA Corp St Mtn
  7.5% 15 MAR 2012           8,489  
   
MBNA Cr Card Master Nt
  1.0% 16 AUG 2021           10,896  
   
MBNA Cr Card Master Nt
  4.45% 15 AUG 2016           12,199  
   
McGraw Hill
  6.55% 15 NOV 2037           3,980  
   
McKesson Corp
  6.5% 15 FEB 2014           5,814  
   
Medco Health Solutions
  6.125% 15 MAR 2013           15,697  
   
Medco Health Solutions
  7.25% 15 AUG 2013           2,068  
   
Merril Lynch Mtg
  1.0% 25 AUG 2036           4,481  
   
Merril Lynch Mtg
  1.0% 12 NOV 2037           7,371  
   
Merril Lynch Mtg Tr
  5.403% 12 JUL 2034           4,650  
   
Merril Lynch Mtg Tr
  1.0% 12 NOV 2037           4,419  
   
Merrill Lynch & Co
  6.875% 25 APR 2018           28,314  
   
Merrill Lynch & Co Inc
  5.45% 05 FEB 2013           23,275  
   
Merrill Lynch & Co Inc
  6.875% 25 APR 2018           17,696  
   
Merrill Lynch & Co Inc
  6.050% 16 MAY 2016           11,159  
   
Met Life Global Funding
  5.125% 10 JUN 2014           6,953  
   
Metlife Inc
  6.75% 01 JUN 2016           7,480  
   
Metlife Inc
  7.717% 15 FEB 2019           3,037  
   
Metlife Inc
  5.0% 15 JUN 2015           21,882  
   
Mid St Tr IV
  8.33% 01 APR 2030           9,943  
   
MidAmerican Fdg LLV
  6.75% 01 MAR 2011           10,293  
   
MidAmerican Energy
  6.5% 15 SEP 2037           9,185  
   
ML CFC Coml Mtg
  1.0% 12 FEB 2039           57,976  
   
ML CFC Coml Mtg
  5.7% 12 SEP 2049           13,752  

38


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
   
ML CFC Coml Mtg
  1.0% 12 JUN 2046           8,170  
   
Mohawk Inds Inc
  1.0% 15 JAN 2016           8,389  
   
Morgan Stanley
  5.95% 22 DEC 2017           15,699  
   
Morgan Stanley
  5.25% 02 NOV 2012           7,223  
   
Morgan Stanley
  5.45% 09 JAN 2017           9,628  
   
Morgan Stanley
  5.3% 01 MAR 2013           8,540  
   
Morgan Stanley
  5.75% 18 OCT 2016           7,498  
   
Morgan Stanley Cap I
  1.0% 11 JUN 2042           11,206  
   
Morgan Stanley Cap I
  5.569% 15 DEC 2044           6,625  
   
Morgan Stanley Cap I
  4.89% 12 JUN 2047           26,596  
   
Morgan Stanley Cap I
  4.989% 13 AUG 2042           22,258  
   
Morgan Stanley Cap I
  1.0% 12 AUG 2041           14,802  
   
Morgan Stanley Cap I
  4.809% 14 JAN 2042           1,116  
   
Morgan Stanley Cap I
  5.090% 12 OCT 2052           7,290  
   
Morgan Stanley Cap I
  5.325% 15 DEC 2043           5,456  
   
Morgan Stanley Cap I Tr
  1.0% 11 JUN 2042           8,880  
   
Morgan Stanley Cap I Tr
  5.569% 15 DEC 2044           11,013  
   
Morgan Stanley Dean Witter Cap
  1.0% 03 SEP 2015           13,303  
   
Morgan Stanley Group
  6.25% 28 AUG 2017           2,285  
   
Morgan Stanley Group
  6.625% 01 APR 2018           30,780  
   
Morgan Stanley Group
  1.0% 15 OCT 2015           28,751  
   
Morgan Stanley Group
  6.75% 15 APR 2011           10,673  
   
Morgan Stanley Group
  5.75% 18 OCT 2016           6,930  
   
Morgan Stanley Group Inc
  7.625% 15 NOV 2010           15,349  
   
Motorola Inc
  9.25% 15 JAN 2019           590  
   
Nabors Inds Inc
  6.3% 01 AUG 2016           9,655  
   
National Grid Plc
  6.5% 15 JUL 2011           11,908  
   
Nationwide Health Pptys Inc
  5.3% 01 MAR 2013           7,173  
   
Natl City Bank
  6.25% 15 MAR 2011           6,403  
   
Natl City Bk
  1.0% 18 JUN 2010           6,560  
   
Nevada Pwr Co
  6.75% 01 JUL 2037           3,854  
   
Nevada Pwr Co
  6.5% 01 AUG 2018           5,867  
   
New York Life Global
  5.25% 16 OCT 2012           8,925  
   
New York Life Global
  4.65% 09 MAY 2013           15,527  
   
News Amer Hldgs
  7.7% 30 OCT 2025           8,920  
   
News Amer Hldgs
  6.65% 15 NOV 2037           31,692  
   
News Amer Hldgs Inc
  9.25% 01 FEB 2013           5,238  
   
News Amer Inc
  6.4% 15 DEC 2035           1,911  
   
News America Inc
  7.85% 01 MAR 2039           11,015  
   
Niagara Mohawk Pwr Corp
  3.553% 01 OCT 2014           8,187  
   
Nisource Fin Corp
  7.875% 15 NOV 2010           4,592  
   
Nisource Fin Corp
  6.8% 15 JAN 2019           8,665  
   
Nisource Fin Corp
  5.25% 15 SEP 2011           7,539  
   
Nisource Finance Corp
  6.125% 01 MAR 2022           8,158  
   
Nissan Auto Receivables
  5.05% 17 NOV 2014           6,351  
   
Noble Energy Inc
  8.25% 01 MAR 2019           9,091  
   
Nomura Asset Accep Corp
  1.0% 25 FEB 2035           3,533  
   
Norfolk Southn Corp
  6.75% 15 FEB 2011           3,355  

39


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
   
Norfolk Southn Corp
  5.75% 01 APR 2018           4,517  
   
Northern Trust
  4.625% 01 MAY 2014           7,468  
   
Northrop Gruman Corp
  7.125% 15 FEB 2011           3,593  
   
Nucor Corp
  5.0% 01 DEC 2012           8,366  
   
Oracle Corp
  4.95% 15 APR 2013           5,052  
   
Oracle Corp
  4.95% 15 APR 2013           7,637  
   
Oracle Corp
  4.95% 15 APR 2013           3,689  
   
Oracle Corp
  5.0% 15 JAN 2011           3,871  
   
Owens Brockway Glass
  6.75% 01 DEC 2014           6,718  
   
Owens Corning
  6.5% 01 DEC 2016           4,687  
   
Pacific Bell
  6.625% 15 OCT 2034           8,137  
   
Pacific Gas & Elec
  4.2% 01 MAR 2011           6,215  
   
Pacific Gas & Elec
  5.625% 30 NOV 2017           12,860  
   
Pacific Gas & Elec
  8.25% 15 OCT 2018           4,011  
   
Packaging Corp Amer
  5.75% 01 AUG 2013           821  
   
Peco Energy Transition
  6.52% 31 DEC 2010           9,427  
   
Penny JC Inc
  7.95% 01 APR 2017           5,622  
   
Pepisco Onc
  4.65% 15 FEB 2013           7,719  
   
Petorbras Intl Fin Co
  5.75% 20 JAN 2020           18,379  
   
Petra Cre Cdo
  1.0% 25 FEB 2047           55  
   
Petro Cda
  9.25% 15 OCT 2021           13,055  
   
Petrobras Intl Fin Co
  5.75% 20 JAN 2020           13,367  
   
Pfizer Inc
  7.2% 15 MAR 2039           6,824  
   
Pfizer Inc
  5.35% 15 MAR 2015           8,377  
   
PG&E Receovery Fdg
  4.14% 25 SEP 2012           10,823  
   
PG&E Receovery Fdg
  5.03% 25 MAR 2014           2,168  
   
Philip Morris Intl
  5.65% 16 MAY 2018           15,199  
   
Pitney Bowes Inc
  5.25% 15 JAN 2037           6,476  
   
Plains All Amer Pipeline
  5.75% 15 JAN 2020           9,424  
   
PNC Funding Corp
  5.4% 10 JUN 2014           11,945  
   
PPG Inds Inc
  5.75% 15 MAR 2013           6,898  
   
Praxair Inc
  4.625% 30 MAR 2015           12,344  
   
Praxair Inc
  6.375% 01 APR 2012           10,227  
   
Premcor Refng Group Inc
  7.5% 15 JUN 2015           3,369  
   
President & Fellows Harvard
  5.0% 15 JAN 2014           20,464  
   
Principal Financial Group
  7.875% 15 MAY 2014           6,889  
   
Procter & Gamble
  4.7% 15 FEB 2019           7,689  
   
Procter & Gamble Profit
  9.36% 01 JAN 2021           7,013  
   
Progress Energy Inc
  7.1% 01 MAR 2011           2,225  
   
Prologis
  5.5% 01 APR 2012           17,625  
   
Prologis
  6.625% 15 MAY 2018           10,177  
   
Prudential Finl Inc
  5.15% 15 JAN 2013           4,608  
   
Prudential Finl Inc
  5.1% 14 DEC 2011           5,029  
   
Prudential Finl Inc
  6.625% 01 DEC 2037           2,469  
   
Prudential Finl Inc
  4.75% 17 SEP 2015           12,325  
   
PSE&G Transition Fdg
  6.45% 15 MAR 2013           11,076  
   
PSE&G Transition Fdg
  6.61% 15 JUN 2015           8,014  
   
Public Svs Co
  7.875% 01 OCT 2012           3,769  

40


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
   
Quest Diagnostic Inc
  4.75% 30 JAN 2020           6,419  
   
Qwest Corp
  8.875% 15 MAR 2012           3,060  
   
Qwest Corp
  7.5% 01 OCT 2014           7,052  
   
RAAC
  1.0% 25 AUG 2036           242  
   
Range Resources Corp
  8.0% 15 MAY 2019           4,686  
   
Raytheon Co
  6.4% 15 DEC 2018           5,601  
   
Reed Elsevier Cap
  7.75% 15 JAN 2014           16,456  
   
Reed Elsevier Cap Inc
  8.625% 15 JAN 2019           4,130  
   
Reed Elsevier Cap Inc
  8.625% 15 JAN 2019           16,521  
   
Regency Ctrs Lp
  5.25% 01 AUG 2015           1,279  
   
Regency Ctrs Lp
  5.875% 15 JUN 2017           2,939  
   
Regions Finl Corp
  6.375% 15 MAY 2012           6,674  
   
Reliant Energy
  5.63% 15 SEP 2015           5,300  
   
Renaissance Home Equity Ln
  1.0% 25 NOV 2034           6,199  
   
Republic Svcs Inc
  6.75% 15 AUG 2011           7,855  
   
Residentiial Asset Sec Mtg
  1.0% 25 MAY 2033           175  
   
Reynolds Amern Inc
  7.625% 01 JUN 2016           7,162  
   
Reynolds Amern Inc
  7.25% 01 JUN 2012           2,528  
   
Rio Tinto Fin USA
  5.875% 15 JUL 2013           7,680  
   
Rio Tinto Fin USA Ltd
  6.5% 15 JUL 2018           9,382  
   
Roche Hldgs Inc
  7.0% 01 MAR 2039           9,936  
   
Rohm & Hass Co
  5.6% 15 MAR 2013           5,316  
   
Royal Bk of Scotland
  1.0% 23 APR 2012           30,992  
   
Royal Bk Scotland
  2.625% 11 MAY 2012           17,326  
   
Royal Bk Scotland
  1.45% 20 OCT 2011           26,111  
   
Royal Bk Scotland
  5.0% 01 OCT 2014           6,967  
   
Royal Bk Scotland Group
  5.0% 01 OCT 2014           11,612  
   
Rpm International Inc
  6.125% 15 OCT 2019           8,372  
   
RSB Bondco LLC
  5.47% 01 OCT 2014           27,662  
   
RSHB Cap Sa
  7.75% 29 MAY 2018           17,473  
   
Salomon Brost Mtg Secs
  1.0% 25 JAN 2033           4,753  
   
Saxon Asset Secs
  1.0% 25 AUG 2032           44  
   
Seariver Maritime Finl
  0.01% 01 SEP 2012           22,668  
   
Sempra Energy
  6.5% 01 JUN 2016           8,669  
   
Sempra Energy
  6.5% 01 JUN 2016           7,006  
   
Sierra Pac Power
  6.75% 01 JUL 2037           1,972  
   
Simon Ppty Group
  5.3% 30 MAY 2013           14,913  
   
Simon Ppty Group
  5.625% 15 AUG 2014           5,729  
   
Simon Ppty Group
  5.0% 01 MAR 2012           5,433  
   
Simon Ppty Group
  5.75% 01 MAY 2012           6,326  
   
Simon Ppty Group
  5.0% 01 MAR 2012           7,787  
   
SLH Open Position Net Asset
  0.01% 31 DEC 2060           67  
   
SLM Corp
  5.0% 01 OCT 2013           2,015  
   
SLM Corp
  8.45% 15 JUN 2018           8,644  
   
SLM Corp
  5.125% 27 AUG 2012           3,695  
   
SLM Corp
  5.375% 15 JAN 2013           8,470  
   
Southern CA Edison
  5.75% 15 MAR 2014           10,533  
   
Southern CA Edison Co
  5.75% 15 MAR 2014           16,466  

41


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
   
Southern Co
  1.0% 21 OCT 2011           13,395  
   
Southern Co
  5.3% 15 JAN 2012           3,144  
   
Southwest Airlines
  5.25% 01 OCT 2014           4,104  
   
Southwest Airlines
  5.75% 15 DEC 2016           3,247  
   
Southwestern Elec Pwr
  5.875% 01 MAR 2018           17,448  
   
Sovereign Bankcorp Inc
  1.0% 01 SEP 2010           10,621  
   
Sovereign Bk
  5.125% 15 MAR 2013           7,734  
   
Sprint Cap Corp
  6.875% 15 NOV 2028           4,187  
   
Sprint Nextel Corp
  6.0% 01 DEC 2016           8,992  
   
Staples Inc
  9.75% 15 JAN 2014           7,338  
   
Starwood Hotels & Resorts
  1.0% 01 MAY 2012           6,000  
   
Statiolhydro ASA
  2.9% 15 OCT 2014           8,178  
   
Steel Capital
  9.75% 29 JUL 2013           3,089  
   
Suncor Energy
  6.1% 01 JUN 2018           17,507  
   
SWU0067M9 IRS USD
  3.45% 05 AUG 2011           63,587  
   
SWU0067M9 IRS USD
  1.0% 05 AUG 2011           (61,318 )
   
SWU0071M3 IRS USD
  3.45% 05 AUG 2011           47,690  
   
SWU0071M3 IRS USD
  1.0% 05 AUG 2011           (45,989 )
   
SWU0540L8 IRS USD
  4.0% 16 DEC 2014           2,297  
   
SWU0540L8 IRS USD
  1.0% 16 DEC 2014           (2,190 )
   
SWU0609K8 IRS USD
  3.45% 05 AUG 2011           143,071  
   
SWU0609K8 IRS USD
  1.0% 05 AUG 2011           (137,966 )
   
SWU0715J2 IRS USD
  3.0% 04 FEB 2011           94,245  
   
SWU0715J2 IRS USD
  1.0% 04 FEB 2011           (91,978 )
   
SWU0849L5 IRS USD
  3.6% 07 JUL 2011           40,934  
   
SWU0849L6 IRS USD
  1.0% 07 JUL 2011           (39,419 )
   
Talisman Energy Inc
  5.85% 01 FEB 2037           1,046  
   
Talisman Energy Inc
  6.25% 01 FEB 2038           5,152  
   
Talisman Energy Inc
  7.75% 01 JUN 2019           3,215  
   
Teachers Incur & Annuity
  6.85% 16 DEC 2039           8,263  
   
Teck Industries Ltd
  10.75% 15 MAY 2019           3,010  
   
Telcom Italia
  4.95% 30 SEP 2014           7,150  
   
Telecom Italia Cap
  4.95% 30 SEP 2014           16,343  
   
Telecom Italia Cap
  5.25% 15 NOV 2013           6,910  
   
Telecom Italia Cap
  5.25% 01 OCT 2015           5,839  
   
Telecom Italia Cap
  7.721% 20 JUN 2038           3,908  
   
Telecom Italia Capital
  6.175% 18 JUN 2014           7,714  
   
Telefonica Emisiones
  5.984% 20 JUN 2011           16,213  
   
Telefonica Emisiones
  7.045% 20 JUN 2036           3,251  
   
Telefonica Emisiones
  5.984% 20 JUN 2011           7,528  
   
Telefonica Sa
  4.949% 15 JAN 2015           16,035  
   
Thermo Fisher Scientific
  3.25% 18 NOV 2014           4,723  
   
Thomson Reuters Corp
  5.95% 15 JUL 2013           16,422  
   
Tiaa Global Mkts
  5.125% 10 OCT 2012           6,961  
   
Tiaa Seasoned Coml Mtg
  1.0% 15 AUG 2039           4,768  
   
Time Warner Cable
  7.5% 01 APR 2014           8,579  
   
Time Warner Cable Inc
  7.3% 01 JUL 2038           14,567  
   
Time Warner Cable Inc
  6.2% 01 JUL 2013           15,997  

42


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
   
Time Warner Cable Inc
  5.85% 01 MAY 2017           4,142  
   
Time Warner Cable Inc
  6.75% 01 JUL 2018           14,699  
   
Time Warner Inc
  9.125% 15 JAN 2013           10,164  
   
Time Warner Inc
  6.625% 15 MAY 2029           29,799  
   
Time Warner Inc
  6.5% 15 NOV 2036           2,973  
   
Time Warner Inc
  5.875% 15 NOV 2016           30,733  
   
Tobacco Settlement Fing Corp
  5.875% 15 MAY 2039           6,026  
   
Toll Bros Fin Corp
  6.875% 15 NOV 2012           229  
   
Transcapitalinvest Ltd
  8.7% 07 AUG 2018           10,038  
   
Transocean Inc
  6.0% 15 MAR 2018           7,126  
   
Travelers Cos
  5.75% 15 DEC 2017           8,590  
   
Travelers Cos
  6.25% 15 JUN 2037           4,630  
   
TXU Australia Hldgs Pty
  6.15% 15 NOV 2013           5,714  
   
TXU Elec Delivery
  5.29% 15 MAY 2018           3,796  
   
Tyco International
  4.125% 15 OCT 2014           7,611  
   
Tyco Intl Finance
  8.5% 15 JAN 2019           4,232  
   
Tyco Intl Group
  6.0% 15 NOV 2013           4,318  
   
UBS Ag Stamford
  5.875% 20 DEC 2017           11,253  
   
UBS Age Stamford
  5.75% 25 APR 2018           11,147  
   
Ufj Fin Aruba
  6.75% 15 JUL 2013           3,779  
   
Union Bk Calif
  5.95% 11 MAY 2016           6,308  
   
Union Elec Co
  6.7% 01 FEB 2019           967  
   
Union Pac Corp
  5.45% 31 JAN 2013           10,722  
   
Union Pac Corp
  5.75% 15 NOV 2017           16,059  
   
Union Pac Corp
  3.625% 01 JUN 2010           2,992  
   
Union Planters Corp
  7.75% 01 MAR 2011           4,594  
   
United Health Group
  5.375% 15 MAR 2016           5,634  
   
United Health Group Inc
  6.0% 15 FEB 2018           6,786  
   
United Health Group Inc
  6.875% 15 FEB 2038           2,263  
   
United Health Group Inc
  5.25% 15 MAR 2011           8,510  
   
United Parcel Service
  3.875% 01 APR 2014           6,712  
   
United States Cellular
  6.7% 15 DEC 2033           8,722  
   
United Sts Stl Corp
  5.65% 01 JUN 2013           5,055  
   
United Technologies Corp
  5.375% 15 DEC 2017           6,884  
   
United Technologies Corp
  4.875% 01 MAY 2015           5,007  
   
USA Waste Svcs Inc
  7.0% 15 JUL 2028           1,415  
   
Vale Overseas Ltd
  6.25% 23 JAN 2017           6,853  
   
Vale Overseas Ltd
  6.25% 23 JAN 2017           14,049  
   
Valero Energy Corp
  9.375% 15 MAR 2019           17,452  
   
Valero Energy Corp
  6.875% 15 APR 2012           7,532  
   
Valero Energy Corp
  9.375% 15 MAR 2019           7,684  
   
Veolia Environment
  6.0% 01 JUN 2018           5,434  
   
Veolia Environment
  5.25% 03 JUN 2013           11,349  
   
Verizon Communications
  6.35% 01 APR 2019           18,120  
   
Verizon Communications
  6.35% 01 APR 2019           9,543  
   
Verizon Communications Inc
  5.25% 15 APR 2013           4,485  
   
Verizon Global Fdg
  6.875% 15 JUN 2012           9,577  
   
Verizon Global Fdg Corp
  4.9% 15 SEP 2015           4,068  

43


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
   
Verizon New Jersey
  5.875% 17 JAN 2012           4,667  
   
Viacom Inc
  6.875% 30 APR 2036           20,010  
   
Virginia Elec & Pwr
  5.95% 15 SEP 2017           8,306  
   
Virginia Elec & Pwr
  5.1% 30 NOV 2012           7,095  
   
Virginia Elec & Pwr Co
  5.1% 30 NOV 2012           15,846  
   
Virginia Elec & Pwr Co
  5.4% 30 APR 2018           3,673  
   
Vodafone Airtouch Plc
  7.75% 15 FEB 2010           7,944  
   
Vodafone Group Plc
  5.5% 15 JUN 2011           6,467  
   
Vodafone Group Plc New
  5.35% 27 FEB 2012           14,837  
   
Volkswagen Auto Ln
  4.5% 20 JUL 2012           5,274  
   
Vulcan Mats Co
  5.6% 30 NOV 2012           7,453  
   
Wachovia Bk Coml Mtg
  1.0% 15 JUL 2045           14,381  
   
Wachovia Bk Coml Mtg
  5.509% 15 APR 2047           13,004  
   
Wachovia Bk Coml Mtg
  1.0% 15 JUN 2049           13,142  
   
Wachovia Bk Natl
  4.875% 01 FEB 2015           13,084  
   
Wachovia Bk Natl Assn
  4.8% 01 NOV 2014           8,955  
   
Wachovia Bk Natl Assn
  1.0% 15 MAR 2016           5,895  
   
Wachovia Corp
  5.3% 15 OCT 2011           11,623  
   
Wachovia Corp
  5.3% 15 OCT 2011           15,808  
   
Wachovia Corp
  5.5% 01 MAY 2013           7,794  
   
Wachovia Corp
  5.5% 01 MAY 2013           13,726  
   
Wachovia Corp
  4.875% 15 FEB 2014           2,450  
   
Wachovia Corp
  5.35% 15 MAR 2011           6,850  
   
Walt Disney Co
  5.7% 15 JUL 2011           22,641  
   
Wamu Mtg Pass Thru
  1.0% 25 OCT 2045           410  
   
Waste Management Inc
  6.375% 11 MAR 2015           5,218  
   
Waste Mgmt Inc
  7.375% 15 MAY 2029           1,220  
   
Waste Mgmt Inc
  7.375% 01 AUG 2010           2,268  
   
Waste Mgmt Inc
  7.375% 11 MAR 2019           7,707  
   
Weatherford Intl Ltd
  5.15% 15 MAR 2013           2,981  
   
Weatherford Intl Ltd
  6.0% 15 MAR 2018           1,213  
   
Wellpoint Inc
  6.0% 15 FEB 2014           16,981  
   
Wellpoint Inc
  5.875% 16 JUN 2017           790  
   
Wellpoint Inc
  7.0% 15 FEB 2019           2,082  
   
Wells Fargo & Co
  4.95% 16 OCT 2013           6,876  
   
Wells Fargo & Co
  5.625% 11 DEC 2017           8,200  
   
Wells Fargo Bank
  6.45% 01 FEB 2011           6,476  
   
Wells Fargo Bank
  4.75% 09 FEB 2015           11,165  
   
Williams Cos Inc
  7.875% 01 SEP 2021           6,707  
   
Willis North America Inc
  6.2% 28 MAR 2017           6,838  
   
Willis North America Inc
  7.0% 29 SEP 2019           4,125  
   
Willis North Maerica Inc
  7.0% 29 SEP 2019           1,784  
   
World Svgs Bk
  1.0% 22 MAR 2011           26,199  
   
Wpp Fin UK
  5.875% 15 JUN 2014           3,958  
   
Wyeth
  5.5% 01 FEB 2014           5,392  
   
Wyeth
  5.5% 01 FEB 2014           5,488  
   
Wyndham Worldwide Corp
  6.0% 01 DEC 2016           8,365  
   
Xerox Corp
  6.4% 15 MAR 2016           6,752  

44


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
   
Xerox Corp
  4.25% 15 FEB 2015           16,854  
   
Xerox Corp
  7.625% 15 JUN 2013           1,340  
   
Xerox Corp
  8.25% 15 MAY 2014           7,788  
   
Xerox Corp
  5.5% 15 MAY 2012           2,893  
   
Xerox Corp
  5.65% 15 MAY 2013           4,107  
   
Xerox Corp
  8.25% 15 MAY 2014           5,527  
   
XL Cap Ltd
  5.25% 15 SEP 2014           7,184  
   
XTO Energy Inc
  4.9% 01 FEB 2014           16,355  
   
Yum! Brands Inc
  6.875% 15 NOV 2037           2,247  
   
Zions Bancorp
  5.5% 16 NOV 2015           2,012  
   
 
                   
   
 
                 
   
 
                   
   
 
                6,730,951  
   
 
                 
   
 
                   
Registered Investment Companies:
                   
   
 
                   
*  
Pimco Fds Invt Mgmt
  Short Term Portfolio Instl Cl           311,512  
*  
Pimco Fds Invt Mgmt
  US Govt Sector Port Instl           81,832  
*  
Pimco Fds Invt Mgmt
  Private Acct Portfolio           150,314  
*  
Pimco Fds Invt Mgmt
  Emerging Mkts Portfolio           12,479  
*  
Pimco Fds Invt Mgmt
  Intl Portfolio Instl Cl           126,382  
   
 
                   
   
 
                 
   
 
                   
   
 
                682,519  
   
 
                 

45


 

 
Baxter Healthcare of Puerto Rico
Savings and Investment Plan
     
Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
   
Employer Identification Number: 66-0678126 and Plan Number 024
  Schedule I
December 31, 2009
   
                         
   
Benefit Responsive Interest Rate Wrapper Contracts:
                   
   
 
                   
*  
Aegon Institutional Markets
  Open Ended Maturity           18,596  
*  
Bank of America NT & SA
  Open Ended Maturity           18,752  
   
 
                   
   
 
                 
   
 
                   
   
 
                37,348  
   
 
                 
   
 
                   
   
Synthetic Guaranteed Investment Contracts (contract value equals $14,669,770)
          $ 14,786,178  
   
 
                 
   
 
                   
Commingled Investments:
                   
   
 
                   
*  
SSgA Daily EAFE Fund
  Commingled Investments           1,852,514  
*  
SSgA 500 Flagship Fund
  Commingled Investments           3,422,686  
*  
SSgA Small Cap Fund
  Commingled Investments           1,092,630  
   
 
                   
   
 
                 
   
 
                   
   
Commingled Investments
              $ 6,367,830  
   
 
                 
   
 
                   
Registered Investment Companies:
                   
   
 
                   
   
Target Retirement 2010 Fd
  Registered Investment Company           1,484  
   
Target Retirement 2015 Fd
  Registered Investment Company           124,238  
   
Target Retirement 2020 Fd
  Registered Investment Company           17,333  
   
Target Retirement 2025 Fd
  Registered Investment Company           72,942  
   
Target Retirement 2030 Fd
  Registered Investment Company           21,054  
   
Target Retirement 2035 Fd
  Registered Investment Company           58,346  
   
Target Retirement 2040 Fd
  Registered Investment Company           54,666  
   
Target Retirement 2045 Fd
  Registered Investment Company           54,466  
   
Target Retirement 2050 Fd
  Registered Investment Company           44,932  
   
Target Retirement Income Fd
  Registered Investment Company           8,229  
   
 
                   
   
 
                 
   
 
                   
   
Registered Investment Companies
              $ 457,690  
   
 
                 
   
 
                   
*   Participant Loans   Interest Rates Range from 4.25% to 11.00%     $ 3,858,465  
   
 
                 
   
 
                   
Collateral Held on Loaned Securities
                   
   
 
                   
*  
Quality D Short-Term Investment Fund
  Short-Term Investment Fund           $ 4,478,307  
   
 
                 
   
 
                   
   
Total Investments
              $ 40,637,628  
   
 
                 
 
*   Party-in-interest
 
**   These investments include securities that were loaned to brokers under the securities lending program with the Trustee
 
(1)   Cost information not required for participant-directed investments.

46


 

SIGNATURE
Pursuant to the requirements of the Securities and Exchange Act of 1934, the Plan Administrator has duly caused this annual report to be signed on its behalf by the undersigned thereunto duly authorized.
         
  BAXTER HEALTHCARE of PUERTO RICO SAVINGS
AND INVESTMENT PLAN
 
 
Date: June 25, 2010  By:   /s/ Robert M. Davis    
    Robert M. Davis   
    Member of the Administrative Committee