11-K
Table of Contents

 

 

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

 

Form 11-K

 

 

 

x ANNUAL REPORT PURSUANT TO SECTION 15 (d) OF THE SECURITIES EXCHANGE ACT OF 1934

For the year ended December 31, 2013

OR

 

¨ TRANSITION REPORT PURSUANT TO SECTION 15 (d) OF THE SECURITIES EXCHANGE ACT OF 1934

For the transition period from                      to                     

Commission file number 1-4448

 

 

 

A. Full title of the plan and the address of the plan, if different from that of the issuer named below:

Baxter International Inc. and Subsidiaries

Incentive 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

(224) 948-2000

 

 

 


Table of Contents

Baxter International Inc.

and Subsidiaries

Incentive Investment Plan

Financial Statements and Supplemental Schedule

December 31, 2013 and 2012


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Index

December 31, 2013 and 2012

 

 

     Page(s)  

Report of Independent Registered Public Accounting Firm

     1   

Financial Statements

  

Statements of Net Assets Available for Benefits as of December 31, 2013 and 2012

     2   

Statements of Changes in Net Assets Available for Benefits for the years ended December  31, 2013 and 2012

     3   

Notes to Financial Statements

     4-15   

Supplemental Information

  

Schedule H, Line 4i: Schedule of Assets (Held at End of Year) as of December 31, 2013

     16-65   


Table of Contents

Report of Independent Registered Public Accounting Firm

To the Participants and Administrative Committee of

  the Baxter International Inc. and Subsidiaries Incentive Investment Plan

Deerfield, Illinois

We have audited the accompanying statements of net assets available for benefits of the Baxter International Inc. and Subsidiaries Incentive Investment Plan (“the Plan”) as of December 31, 2013 and 2012, and the related statements of changes in net assets available for benefits for the years then ended. These financial statements are the responsibility of the Plan’s management. Our responsibility is to express an opinion on these financial statements based on our audits.

We conducted our audits 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 audits provide a reasonable basis for our opinion.

In our opinion, the financial statements referred to above present fairly, in all material respects, the net assets available for benefits of the Plan as of December 31, 2013 and 2012, and the changes in net assets available for benefits for the years 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 2013 financial statements and, in our opinion, is fairly stated in all material respects in relation to the basic 2013 financial statements taken as a whole.

/s/ Crowe Horwath LLP

Oak Brook, Illinois

June 25, 2014


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Statements of Net Assets Available for Benefits

December 31, 2013 and 2012 (in thousands)

 

 

     2013     2012  

Assets

    

Investments

    

Cash and cash equivalents

   $ 35,266      $ 47,603   

Common stock (including securities on loan of $1,927 in 2013 and $2,821 in 2012)

     493,958        444,196   

U.S. government and government agency issues (including securities on loan of $5,325 in 2013 and $8,091 in 2012)

     31,124        28,292   

Corporate and other obligations (including securities on loan of $6,520 in 2013 and $7,559 in 2012)

     38,500        40,509   

Commingled funds

     977,799        381,516   

Synthetic guaranteed investment contracts

     733,857        777,297   

Registered investment companies

     14,879        307,109   

Collateral held on loaned securities

     14,078        18,842   
  

 

 

   

 

 

 

Total investments at fair value

     2,339,461        2,045,364   
  

 

 

   

 

 

 

Receivables

    

Notes receivables from participants

     47,054        43,079   

Sponsor contributions

     23,109        18,963   

Accrued interest and dividends

     2,251        1,975   

Due from brokers for securities sold

     800        1,415   
  

 

 

   

 

 

 

Total receivables

     73,214        65,432   
  

 

 

   

 

 

 

Total assets

     2,412,675        2,110,796   
  

 

 

   

 

 

 

Liabilities

    

Accounts payable

     5,985        6,126   

Collateral to be paid on loaned securities

     14,078        18,842   
  

 

 

   

 

 

 

Total liabilities

     20,063        24,968   
  

 

 

   

 

 

 

Net assets available for benefits, reflecting investments at fair value

     2,392,612        2,085,828   

Adjustment from fair value to contract value for fully benefit-responsive investment contracts

     (36,932     (68,692
  

 

 

   

 

 

 

Net assets available for benefits

   $ 2,355,680      $ 2,017,136   
  

 

 

   

 

 

 

The accompanying notes are an integral part of these financial statements.

 

2


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Statements of Changes in Net Assets Available for Benefits

For the Years Ended December 31, 2013 and 2012 (in thousands)

 

 

     2013      2012  

Additions to net assets attributed to

     

Investment income

     

Net appreciation in fair value of investments

   $ 273,896       $ 168,628   

Interest

     25,520         28,982   

Dividends

     9,905         14,771   
  

 

 

    

 

 

 

Net investment income

     309,321         212,381   
  

 

 

    

 

 

 

Participant loan interest

     3,744         3,525   

Contributions

     

Sponsor

     68,003         59,471   

Participant

     110,936         92,936   
  

 

 

    

 

 

 
     178,939         152,407   
  

 

 

    

 

 

 

Total additions

     492,004         368,313   
  

 

 

    

 

 

 

Deductions from net assets attributed to

     

Benefits paid

     151,562         161,649   

Plan expenses

     6,845         7,138   
  

 

 

    

 

 

 

Total deductions

     158,407         168,787   
  

 

 

    

 

 

 

Increase before transfer

     333,597         199,526   

Transfer from other plan (Refer to Note 11)

     4,947         19,658   

Net increase

     338,544         219,184   
  

 

 

    

 

 

 

Net assets available for benefits

     

Beginning of year

     2,017,136         1,797,952   
  

 

 

    

 

 

 

End of year

   $ 2,355,680       $ 2,017,136   
  

 

 

    

 

 

 

The accompanying notes are an integral part of these financial statements.

 

3


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Notes to Financial Statements

December 31, 2013 and 2012

 

 

1. General Description of the Plan

The following description of the Baxter International Inc. and Subsidiaries Incentive Investment Plan (the Plan) is provided for general information purposes only. Participants should refer to the Plan document 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).

The Plan is a defined contribution plan the predecessor of which originally became effective on January 1, 1960. The Plan was created for the purpose of providing retirement benefits to United States employees of Baxter International Inc. (the Sponsor or the Company) and its subsidiaries, and to encourage and assist employees in adopting a regular savings program by means of payroll deductions through a plan that qualifies under the United States Internal Revenue Code. Plan participants may authorize the Company to make payroll deductions under the Plan ranging from 1% to 50% of their pre-tax monthly compensation limited to a maximum of $17,500 and $17,000 a year in 2013 and 2012, respectively. Participants who have attained the age of 50 by the end of the year may contribute up to an additional $5,500 per year in “catch-up” contributions. Newly hired employees are deemed to have elected to contribute 3% of compensation (increased by 1% per year to a total of 6%) unless they make a contrary election. The Company matches a participant’s savings contributions on a dollar for dollar basis up to 3.0% of the participant’s compensation, and matches any contributions between 3% and 4% of compensation at the rate of 50 cents for each dollar of a participant’s pre-tax contribution, so that the maximum matching contribution for participants who contribute at least 4% of their compensation is 3.5% of compensation. The Company also contributes an additional non-matching 3% of compensation for employees that are not eligible to participate in the Company’s U.S. qualified defined benefit pension plan, which includes all new employees hired on or after January 1, 2007, and employees who had less than five years of service on January 1, 2007 and who elected to cease earning additional service in the pension plan and participate in the higher level of Company contributions in the Plan.

Participants are immediately vested in the elective contributions and matching contribution plus actual earnings thereon. The additional non-matching contributions become fully vested after three years of service. Participants are fully vested in the Company’s non-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. Forfeitures of nonvested accounts are used to reduce future employer contributions.

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.

Participants or their beneficiaries may elect lump-sum benefit payments, or benefits may be paid in installments. Shares of Baxter common stock may also be distributed in kind at the participant’s election. Subject to certain provisions specified in the Plan agreement, employed participants may withdraw their pre-tax contributions, matching contributions made prior to 2008, vested non-matching contributions and related earnings in cases of financial hardship and in certain other circumstances. In the case of a participant termination by reason of death or disability, the entire vested amount is paid to the person or persons legally entitled thereto.

Each participant’s account is credited with the participant’s contributions and an allocation 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.

 

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Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Notes to Financial Statements

December 31, 2013 and 2012

 

 

Upon enrollment in the Plan, a participant may direct contributions into any of 20 investment options: Stable Income Fund, Baxter Common Stock Fund, Composite Fund, General Equity Fund, State Street Global Advisors S&P 500 Flagship Fund (SSgA S&P 500 Fund), State Street Global Advisors International EAFE Equity Index Fund (SSgA EAFE Equity Fund), State Street Global Advisors Small Cap Fund (SSgA Small Cap Fund), Northern Trust Domestic Mid Cap Fund, State Street Global Advisors Emerging Markets Fund (SSgA Emerging Markets Fund), ten different Target Date Retirement Funds and the Self-Managed Fund. However, non-matching contributions may not be invested in the Baxter Common Stock Fund. In addition, certain participants may maintain shares received in connection with Baxter’s 1996 spin-off of Allegiance Corporation (Allegiance), which were subsequently converted into common shares of Cardinal Health Inc. (Cardinal) upon Cardinal’s acquisition of Allegiance in 1999. These shares are maintained in the Cardinal Health Common Stock Fund. Additionally, 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 Cardinal Health Common Stock Fund or the Edwards Lifesciences Common Stock Fund, but may make transfers out of these funds at any time. Starting in 2013, participants are no longer able to make contributions to the Composite Fund and General Equity Fund, but may make transfers out of these funds at any time.

 

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.

Certain reclassifications have been made to conform the prior period financial statements to the current period presentation.

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 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 Plan’s financial statement dates and recent transaction prices. The investment objectives of certain funds are to track the performances of the S&P 500, Europe, Australasia and the Far East (EAFE), or Russell 2000 indexes. In addition, these funds include

 

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Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Notes to Financial Statements

December 31, 2013 and 2012

 

 

   target date retirement funds, whose objective is to provide investors, who have a specific date in mind for retirement with a portfolio of investments. The underlying investments for all funds vary, with some holding diversified portfolios of domestic stocks, government agency and corporate 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.
Registered investment companies    Value based upon the closing price from a national security exchange on the valuation date.
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 the wrapper contracts, which is calculated using a replacement cost approach. The underlying securities are valued based upon the methodologies described above. In addition, this investment in 2013 includes an individual separate account with Metropolitan Life Insurance Company (MetLife). The value of this separate account is based upon the unit value provided by MetLife as of the Plan’s financial statement date plus the fair value of the wrapper contracts, which is calculated using a replacement cost approach. The underlying securities primarily of the account, managed by a sub-advisor of the insurance company, consist of fixed income securities. See below for more information.
Collateral held on loaned securities    Value based upon the net asset value per unit of the short-term investment funds where the collateral is invested. Refer to Note 7 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 depreciation or appreciation of investments. Purchases and sales of investments are recorded on a trade date basis. Dividends are recorded on the ex-dividend date. Interest is earned on an accrual basis.

The financial statements reflect the net depreciation or appreciation in the fair value of the Plan’s investments. This net depreciation or appreciation 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.

 

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Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Notes to Financial Statements

December 31, 2013 and 2012

 

 

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 Transamerica, Bank of America N.A. and MetLife. During 2013, certain assets underlying the synthetic GICs were transferred to an individual separate account with MetLife. The portfolio of assets underlying the synthetic GICs primarily includes cash and cash equivalents, U.S. government and government agency issues, and corporate and other obligations.

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 values of the wrapper contracts were a loss of $129 thousand and a loss of $991 thousand at December 31, 2013 and 2012, respectively.

While Plan investments are presented at fair value in the Statements 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 Statements 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 $696.9 million and $708.6 million at December 31, 2013 and 2012, respectively.

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 2.0% and 2.2% at December 31, 2013 and 2012, respectively. The average interest rate credited to participants on the synthetic GICs was approximately 2.7% and 3.4% for the years ended December 31, 2013 and 2012. The credit ratings for Transamerica were AA- at both December 31, 2013 and 2012, the credit ratings for Bank of America N.A. were A at both December 31, 2013 and 2012, and the credit rating for MetLife was AA- at December 31, 2013.

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.

Notes Receivables from Participants

Participant loans are reported at their unpaid principal balance plus any accrued but unpaid interest, with no allowance for credit losses, as repayments of principal and interest are received through payroll deductions and the notes are collateralized by the participant’s account balances.

 

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Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Notes to Financial Statements

December 31, 2013 and 2012

 

 

Payment of Benefits and Fees

Benefits are recorded when paid. Loan origination fees associated with notes receivable from participants and the Plan’s record keeping and trustee fees are paid by the Plan and are reflected in the financial statements as Plan expenses. Investment management fees are charged to the Plan as a reduction of investment return and included in the investment income (loss) reported by the Plan. All other expenses of the Plan are paid by the Company.

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 broker for securities sold 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.

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 (corporate and other obligations). 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. Eligibility Requirements

Employees become eligible to participate in the Plan as of the first day of the month following the completion of thirty days of employment. Eligible employees are those who meet the following requirements:

 

  A. U.S. employees of Baxter or its subsidiaries which have adopted the Plan;

 

  B. U.S. employees not covered by a collective bargaining agreement unless the agreement provides for coverage under the Plan; and

 

  C. U.S. employees who are not leased employees.

 

4. Administration of the Plan

State Street Bank and Trust Company (the Trustee) serves as trustee and ING Institutional Plan Services, LLC serves as recordkeeper for the Plan.

 

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Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Notes to Financial Statements

December 31, 2013 and 2012

 

 

The Administrative Committee administers the Plan. 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 and are employees 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.

 

5. Fair Value 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.

 

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Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Notes to Financial Statements

December 31, 2013 and 2012

 

 

The following tables summarize 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  
     Balance at
December 31,
2013
   

Quoted Prices

in Active
Markets for
Identical
Assets

(Level 1)

    

Significant
Other
Observable
Inputs

(Level 2)

    

Significant
Unobservable
Inputs

(Level 3)

 
(in thousands)           

Assets

          

Cash and cash equivalents

   $ 35,266      $ —         $ 35,266       $ —     

Common stock:

          

Healthcare

     247,490        247,490         —           —     

Consumer products

     73,664        73,664         —           —     

Information technology

     65,805        65,805         —           —     

Financial services

     26,321        26,321         —           —     

Industrial services and materials

     32,801        32,801         —           —     

Energy

     17,939        17,939         —           —     

Other

     29,938        29,938         —           —     
  

 

 

   

 

 

    

 

 

    

 

 

 

Total common stock

     493,958        493,958         —           —     
  

 

 

   

 

 

    

 

 

    

 

 

 

U.S. government and government agency issues

     31,124        —           31,124         —     

Corporate and other obligations

     38,500        —           38,500         —     

Commingled funds:

          

SSgA S&P 500 fund

     279,286        —           279,286         —     

SSgA EAFE equity fund

     111,718        —           111,718         —     

SSgA Small cap fund

     142,953        —           142,953         —     

Target date retirement funds

     424,925        —           424,925         —     

Other

     18,917        —           18,917         —     
  

 

 

   

 

 

    

 

 

    

 

 

 

Total commingled funds

     977,799        —           977,799         —     
  

 

 

   

 

 

    

 

 

    

 

 

 

Registered investment companies

     14,879        14,879         —           —     

Synthetic guaranteed investment contracts:

          

Corporate and other obligations

     232,411        —           232,411         —     

U.S. government and government agency issues

     312,816        —           312,816         —     

Individual separate account

     172,672        —           172,672         —     

Cash and cash equivalents

     16,087        —           16,087         —     

Wrapper contracts

     (129     —           —           (129
  

 

 

   

 

 

    

 

 

    

 

 

 

Total synthetic guaranteed investment contracts

     733,857        —           733,986         (129
  

 

 

   

 

 

    

 

 

    

 

 

 

Collateral held on loaned securities

     14,078        —           14,078         —     
  

 

 

   

 

 

    

 

 

    

 

 

 

Total assets

   $ 2,339,461      $ 508,837       $ 1,830,753       $ (129
  

 

 

   

 

 

    

 

 

    

 

 

 

Liability

          

Collateral to be paid on loaned securities

   $ 14,078      $ 1,957       $ 12,121       $ —     
  

 

 

   

 

 

    

 

 

    

 

 

 

 

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Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Notes to Financial Statements

December 31, 2013 and 2012

 

 

           Basis of Fair Value Measurement  
    

Balance at

December 31,

2012

   

Quoted Prices

in Active
Markets for
Identical
Assets

(Level 1)

    

Significant
Other
Observable
Inputs

(Level 2)

    

Significant
Unobservable
Inputs

(Level 3)

 
(in thousands)           

Assets

          

Cash and cash equivalents

   $ 47,603      $ —         $ 47,603       $ —     

Common stock:

          

Healthcare

     233,821        233,821         —           —     

Consumer products

     51,020        51,020         —           —     

Information technology

     57,333        57,333         —           —     

Financial services

     30,371        30,371         —           —     

Industrial services and materials

     29,686        29,686         —           —     

Energy

     14,125        14,125         —           —     

Other

     27,840        27,840         —           —     
  

 

 

   

 

 

    

 

 

    

 

 

 

Total common stock

     444,196        444,196         —           —     
  

 

 

   

 

 

    

 

 

    

 

 

 

U.S. government and government agency issues

     28,292        —           28,292         —     

Corporate and other obligations

     40,509        —           40,509         —     

Commingled funds:

          

SSgA S&P 500 fund

     197,250           197,250      

SSgA EAFE equity fund

     90,079           90,079      

SSgA Small cap fund

     94,187        —           94,187         —     
  

 

 

   

 

 

    

 

 

    

 

 

 

Total commingled funds

     381,516        —           381,516         —     
  

 

 

   

 

 

    

 

 

    

 

 

 

Registered investment companies:

          

Target date retirement funds

     291,573        291,573         —           —     

Self-managed funds

     12,772        12,772         —           —     

Other

     2,764        2,764         —           —     
  

 

 

   

 

 

    

 

 

    

 

 

 

Total registered investment companies

     307,109        307,109         —           —     
  

 

 

   

 

 

    

 

 

    

 

 

 

Synthetic guaranteed investment contracts:

          

Corporate and other obligations

     293,972        —           293,972         —     

U.S. government and government agency issues

     442,114        —           442,114         —     

Cash and cash equivalents

     42,202        —           42,202         —     

Wrapper contracts

     (991     —           —           (991
  

 

 

   

 

 

    

 

 

    

 

 

 

Total synthetic guaranteed investment contracts

     777,297        —           778,288         (991
  

 

 

   

 

 

    

 

 

    

 

 

 

Collateral held on loaned securities

     18,842        —           18,842         —     
  

 

 

   

 

 

    

 

 

    

 

 

 

Total assets

   $ 2,045,364      $ 751,305       $ 1,295,050       $ (991
  

 

 

   

 

 

    

 

 

    

 

 

 

Liability

          

Collateral to be paid on loaned securities

   $ 18,842      $ 2,859       $ 15,983       $ —     
  

 

 

   

 

 

    

 

 

    

 

 

 

Transfers between hierarchy measurement levels are recognized by the Plan as of the beginning of the reporting period. In 2013, due to a change in the structure of the investment, the target date retirement funds are now classified as commingled funds. In 2012 they were classified as registered investment companies. The fair value of commingled funds is valued based upon the net asset value of the underlying securities and is classified as Level 2.

 

11


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Notes to Financial Statements

December 31, 2013 and 2012

 

 

The following table sets forth a summary of changes in the fair values of the Plan’s level 3 financial instruments.

 

(in thousands)    Wrapper
Contracts
 

Balance at December 31, 2011

   $ (343

Unrealized losses (relating to assets held at end of year)

     (648
  

 

 

 

Balance at December 31, 2012

     (991
  

 

 

 

Additions

     65   

Unrealized gains (relating to assets held at end of year)

     797   
  

 

 

 

Balance at December 31, 2013

   $ (129
  

 

 

 

The unrealized losses from the wrapper contracts are excluded from the net appreciation reported for the Plan, but instead are reflected in the change in the adjustment from fair value to contract value for fully benefit responsive contracts reported on the statements of net assets available for benefits. The additions are due to the new contract with MetLife as detailed in Note 2.

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.

 

6. Investments

Investments representing five percent or more of the Plan’s net assets available for benefits at December 31, 2013 and 2012 are summarized as follows:

 

(in thousands, except per share data)    2013      2012  

Baxter common stock, 2,585,408 shares and 2,516,782 shares at December 31, 2013 and 2012, respectively

   $ 179,815       $ 167,769   

SSgA S&P 500 Fund

     279,286         197,250   

MetLife Individual Separate Account

     172,672         *   

SSgA Small Cap Fund

     142,953         *   

 

* Does not meet 5% threshold

 

12


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Notes to Financial Statements

December 31, 2013 and 2012

 

 

Investments as of December 31, 2013 and 2012 are segregated into various investment fund options as follows:

 

     2013     2012  
(in thousands)             

Cash (available for investment)

   $ 6,121      $ 6,597   

Stable Income Fund

     748,611        803,238   

Baxter Common Stock Fund

     181,520        168,607   

Composite Fund

     158,846        154,624   

General Equity Fund

     183,162        151,465   

Cardinal Health Common Stock Fund

     7,307        4,847   

SSgA S&P 500 Fund

     279,286        197,250   

SSgA EAFE Equity Fund

     111,718        90,079   

Edwards Lifesciences Common Stock Fund

     12,935        19,658   

SSgA Small Cap Fund

     142,953        94,187   

Northern Trust Domestic Mid Cap

     14,293        —     

SSgA Emerging Markets Fund

     4,624        —     

Self-Managed Fund

     49,082        44,397   

Target Date Retirement Funds

     424,925        291,573   

Collateral held on loaned securities

     14,078        18,842   
  

 

 

   

 

 

 

Total investments at fair value

     2,339,461        2,045,364   

Adjustment from fair value to contract value for Stable Income Fund

     (36,932     (68,692
  

 

 

   

 

 

 

Total investments

   $ 2,302,529      $ 1,976,672   
  

 

 

   

 

 

 

Net appreciation (depreciation) in fair value for each significant class of investment, which includes realized and unrealized gains and losses, is as follows:

 

     2013     2012  
(in thousands)             

Baxter common stock

   $ 7,864      $ 48,002   

Other common stock

     76,699        38,620   

U.S. government and government agency issues

     (1,653     38   

Corporate and other obligations

     (1,752     3,365   

Commingled funds

     191,201        54,283   

Registered investment companies

     1,537        24,320   
  

 

 

   

 

 

 
   $ 273,896      $ 168,628   
  

 

 

   

 

 

 

 

7. Securities Lending Transactions

The Plan participates in a securities lending program with the Trustee. The program allows the Trustee to loan securities, which are assets of the Plan, to approved brokers (the Borrowers).

The Trustee 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 Trustee shall indemnify the Plan by purchasing replacement securities equal to the number of unreturned loaned securities, to the extent that such replacement securities are available on the open market and if to the extent that such proceeds are insufficient or the collateral is unavailable, the purchase of replacement securities shall be made at Trustee expense or, if replacement securities are not able to be purchased, the Trustee shall credit the Plan for the market value of the unreturned securities. In each case, the Trustee would apply the

 

13


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Notes to Financial Statements

December 31, 2013 and 2012

 

 

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, 2013 and 2012, the Plan had securities on loan with a fair value of $13.8 million and $18.5 million, respectively, with cash collateral received of $14.1 million and $18.8 million, respectively, which was invested in the State Street Quality D Short-Term Investment Fund. Investments underlying this fund primarily consisted of cash and cash equivalents and asset-backed securities as of both December 31, 2013 and 2012, and the net asset value of this fund was approximately $1.00 per unit. As of December 31, 2013 and 2012 the cash collateral received is reflected at its fair value of $14.1 million and $18.8 million in the 2013 and 2012 Statements of Net Assets Available for Benefits, respectively.

Non-cash collateral of $1.7 million received for securities on loan at December 31, 2013, consisted of U.S. government and government agency issues, equity securities, and corporate and other obligations held by the Trustee on behalf of the Plan. Non-cash collateral is not included with the collateral balance on the 2013 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 Trustee in its capacity as a security agent. The Plan did not receive any non-cash collateral for securities on loan at December 31, 2012. Securities lending income allocated to the Plan amounted to $32 thousand and $45 thousand for 2013 and 2012, respectively. Securities lending income is classified as interest income in the Statements of Changes in Net Assets Available for Benefits.

 

8. 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 the 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.

 

9. Tax Status of the Plan

The Internal Revenue Service (IRS) has determined and informed the Plan sponsor by a letter dated September 16, 2013 that the Plan is designed in accordance with applicable sections of the Internal Revenue Code (the IRC). The Plan has been amended since the date of the determination letter. The Plan sponsor believes that the Plan is currently designed and being operated in compliance with the applicable requirements of the IRC. Therefore, no provision for income taxes has been included in the Plan’s financial statements. U.S. GAAP requires plan management to evaluate tax positions taken by the Plan and recognize a tax liability (or asset) if the Plan has taken an uncertain position that more likely than not would not be sustained upon examination by the IRS. The plan administrator has analyzed the tax positions taken by the Plan, and has concluded that as of December 31, 2013 and 2012, there are no uncertain tax positions taken or expected to be taken that would require recognition of a liability (or asset) or disclosure in the financial statements. The Plan is subject to routine audits by taxing jurisdictions; however there are currently no audits for any tax periods in progress. The plan administrator believes it is no longer subject to income tax examinations for years prior to 2010.

 

10. 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, 2013 and 2012, the Plan held units of participation in certain shares of common stock of State Street Corporation, commingled funds and short-term investment funds of State Street Bank and Trust

 

14


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Notes to Financial Statements

December 31, 2013 and 2012

 

 

Company, and units of registered investment companies of SSgA, the Plan trustee; shares of common stock and bonds of Baxter, the Plan sponsor; loans with participants; units of registered investment companies managed by Pacific Investment Management Company, an investment manager for the Plan; shares of common stock and units of registered investment companies managed by AllianceBernstein, an investment manager for the Plan; units of registered investment companies managed by Loomis Sayles, an investment manager for the Plan; 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 Transamerica, issuer of the Plan’s fully benefit-responsive contracts; shares of common stock, bonds, an individual separate account and interest rate wrapper contracts of MetLife, issuer of the Plan’s fully benefit-responsive contracts; units of commingled funds managed by Northern Trust Corporation, an investment manager for the Plan; and units of registered investment companies in various affiliates of ING Institutional Plan Services, LLC, the recordkeeper. 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 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.

 

11. Plan Merger

During 2012, Baxter acquired Sigma International General Medical Apparatus, LLC (SIGMA). The SIGMA 401(k) Plan was merged into the Plan effective July 2013. As a result of this merger, total assets of approximately $4.9 million were transferred into the Plan.

During 2011, Baxter acquired Baxa Corporation (Baxa). The Baxa 401(k) Plan was merged into the Plan effective October 2012. As a result of this merger, total assets of approximately $19.7 million were transferred into the Plan.

 

12. Subsequent Event

On March 27, 2014, Baxter announced plans to create two separate, independent global healthcare companies – one focused on developing and marketing innovative biopharmaceuticals and the other on life-saving medical products. The transaction is intended to take the form of a tax-free distribution to Baxter shareholders of publicly traded stock in the new biopharmaceuticals company. The transaction is expected to be completed by mid-year 2015, subject to market, regulatory and certain other conditions, including final approval by the Baxter Board of Directors, receipt of a favorable opinion and/or rulings with respect to the tax-free nature of the transaction, and the effectiveness of a Form 10 registration statement that will be filed with the SEC. Any impact on the Plan as of the issuance date is unknown to the Plan Management.

 

15


Table of Contents

SUPPLEMENTAL SCHEDULE


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
  Cash & Cash Equivalents:         
 

Australian Dollar

   Cash      —         $ 190   

*

 

SSGA Money Market Fund

   Short-Term Investment Fund      —           9,264,693   

*

 

State Street Bank & Trust Co

   Short-Term Investment Fund      —           26,001,246   
          

 

 

 
           $ 35,266,129   
          

 

 

 

**

 

Common Stock:

        
 

1st Finl Svcs Corp

   Common Stock      —           6,270   
 

22nd Centy Group Inc

   Common Stock      —           19,260   
 

3D Systems Corp

   Common Stock      —           10,129   
 

3Dicon Corp

   Common Stock      —           145   
 

3M Company

   Common Stock      —           24,017   
 

8X8 Inc

   Common Stock      —           6,395   
 

ABB LTD

   Common Stock      —           31,285   
 

Abbott Laboratories

   Common Stock      —           2,404,065   
 

Abbott Laboratories

   Common Stock      —           161,299   
 

Abbvie Inc

   Common Stock      —           91,458   
 

Access Pharmaceuticals Inc

   Common Stock      —           5,411   
 

Acclaim Entertainment Inc

   Common Stock      —           —     
 

Ace Ltd

   Common Stock      —           1,369,899   
 

Achillion Pharmaceuticals Inc

   Common Stock      —           3,319   
 

Acorda Therapeutics Inc

   Common Stock      —           14,600   
 

Activision Blizzard Inc

   Common Stock      —           3,566   
 

Adaptive Broadband Corp

   Common Stock      —           —     
 

Adarna Energy Corp

   Common Stock      —           —     
 

Adobe Systems Inc

   Common Stock      —           1,916,188   
 

Adolor Corporation Escrow

   Common Stock      —           —     
 

ADT Corp

   Common Stock      —           445   
 

Advanced Micro Devices Inc

   Common Stock      —           27,477   
 

Advanced Optics Electronics Inc

   Common Stock      —           —     
 

Advansource Biomaterials Corp

   Common Stock      —           128   
 

Advanta Corp

   Common Stock      —           —     
 

Aeropostale

   Common Stock      —           909   
 

AES Corp

   Common Stock      —           772,278   
 

Aethlon Medical Inc

   Common Stock      —           16,898   
 

Affymax Inc

   Common Stock      —           1,716   
 

Aflac Inc

   Common Stock      —           12,556   
 

Agco Corp

   Common Stock      —           26,384   
 

Agenus Inc

   Common Stock      —           8,018   
 

Agilent Technologies Inc

   Common Stock      —           683,318   
 

Agnico Eagle Mines Ltd

   Common Stock      —           13,834   
 

Akorn Inc

   Common Stock      —           55,395   
 

Aksys Ltd

   Common Stock      —           2   
 

Alcatel Lucent

   Common Stock      —           22,396   
 

Alcoa Inc

   Common Stock      —           619,302   
 

Alcoa Inc

   Common Stock      —           15,646   

 

16


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Alexco Resource Corp

   Common Stock      —           8,820   
 

Alexion Pharmaceuticals Inc

   Common Stock      —           3,229,191   
 

Alj Regl Hldgs Inc

   Common Stock      —           1,550   
 

All Amern Gold Corp

   Common Stock      —           3   
 

Allergan Inc

   Common Stock      —           3,336   
 

Allergan Inc

   Common Stock      —           3,471,140   
 

Allergan Inc

   Common Stock      —           811,680   
 

Alliance Pharmaceutical Corp

   Common Stock      —           —     

*

 

Alliancebernstein Hldg LP

   Common Stock      —           11,131   
 

Allied Irish Banks

   Common Stock      —           4,942   
 

Allscripts Healthcare Solutions Inc

   Common Stock      —           7,452   
 

Allstate Corp

   Common Stock      —           29,885   
 

Almaden Minerals Ltd

   Common Stock      —           11,174   
 

Alnylam Pharmaceuticals Inc

   Common Stock      —           6,430   
 

Alon USA Energy Inc

   Common Stock      —           9,097   
 

Alternative Living Services

   Common Stock      —           —     
 

Altria Group Inc

   Common Stock      —           127,995   
 

Aluminum Corp China Ltd

   Common Stock      —           148   
 

Amag Pharmaceuticals Inc

   Common Stock      —           2,914   
 

Amarantus Bioscience Hldgs Inc

   Common Stock      —           88   
 

Amarin Corp

   Common Stock      —           39,045   
 

Amarium Technologies Inc

   Common Stock      —           648   
 

Amazon.com Inc

   Common Stock      —           157,522   
 

Amazon.com Inc

   Common Stock      —           7,141,726   
 

Amcore Finl Inc

   Common Stock      —           —     
 

Amdocs Ltd Ord

   Common Stock      —           8,248   
 

Ameren Corp

   Common Stock      —           4,024   
 

American Cap Agy Corp

   Common Stock      —           27,704   
 

American Cap Ltd

   Common Stock      —           9,384   
 

American Express

   Common Stock      —           10,969   
 

American Graphite Technologies Inc

   Common Stock      —           160   
 

American Intl Group

   Common Stock      —           771,267   
 

American Intl Group

   Common Stock      —           5,123   
 

American Intl Group

   Common Stock      —           2,706   
 

American Lithium Minerals Inc

   Common Stock      —           75   
 

American Rlty Cap Pptys Inc Com

   Common Stock      —           6,675   
 

American Tower Corp

   Common Stock      —           1,873,835   
 

American Tower Corp

   Common Stock      —           18,570   
 

Amerigas Partners LP

   Common Stock      —           9,360   
 

Amgen Inc

   Common Stock      —           66,353   
 

Ampliphi Biosciences Corp

   Common Stock      —           10   
 

Amstem Corp

   Common Stock      —           —     
 

Anadarko Petroleum Corp

   Common Stock      —           3,966   
 

Andrea Electronics Corp

   Common Stock      —           43   
 

Anheuser-Busch Inbev

   Common Stock      —           2,662   
 

Ani Pharmaceuticals Inc

   Common Stock      —           40   
 

Annaly Mortgage Management Inc

   Common Stock      —           121,229   
 

Antares Pharma Inc

   Common Stock      —           32,893   
 

AOL Inc

   Common Stock      —           653   

 

17


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Aon Plc

   Common Stock      —           687,552   
 

Apache Corp

   Common Stock      —           9,200   
 

Apollo Invt Corp

   Common Stock      —           8,680   
 

Apple Inc

   Common Stock      —           3,672,588   
 

Apple Inc

   Common Stock      —           8,818,594   
 

Applied Materials Inc

   Common Stock      —           1,061   
 

Applied Materials Inc

   Common Stock      —           620,117   
 

Apricus Biosciences Inc

   Common Stock      —           2,385   
 

Aqua America Inc

   Common Stock      —           3,604   
 

Aradigm Corp

   Common Stock      —           613   
 

Arcelormittal

   Common Stock      —           17,840   
 

Arch Coal Inc

   Common Stock      —           496   
 

Archer Daniels Midland

   Common Stock      —           3,255   
 

Arena Pharmaceutical Inc

   Common Stock      —           131,303   
 

Ariad Pharmaceutical Inc

   Common Stock      —           12,515   
 

ARM Holdings Plc

   Common Stock      —           13,683   
 

ARM Holdings Plc

   Common Stock      —           1,806,840   
 

Armour Residential Reit Inc

   Common Stock      —           8,020   
 

Array Biopharma Inc

   Common Stock      —           6,764   
 

Artificial Life Inc

   Common Stock      —           104   
 

Asanko Gold Inc

   Common Stock      —           9,840   
 

Asia Pulp & Paper Co Ltd

   Common Stock      —           —     
 

Astrazeneca Plc

   Common Stock      —           2,672   
 

Astropower Inc

   Common Stock      —           —     
 

AT&T Inc

   Common Stock      —           114,582   
 

Atlantic Power Corp

   Common Stock      —           5,336   
 

Atossa Genetics Inc

   Common Stock      —           2,320   
 

ATP Oil & Gas Corp

   Common Stock      —           150   
 

Atwood Oceanics Inc

   Common Stock      —           5,339   
 

ATX Communications Inc

   Common Stock      —           —     
 

Automatic Data Processing Inc

   Common Stock      —           32,704   
 

Avalon Rare Metals Inc

   Common Stock      —           1,100   
 

Avanir Pharmaceuticals

   Common Stock      —           3,998   
 

Awilco Drilling Plc

   Common Stock      —           21,500   
 

B/E Aerospace Inc

   Common Stock      —           8,703   
 

Babson Cap Partn Invs

   Common Stock      —           25,760   
 

Backweb Technologies Ltd

   Common Stock      —           401   
 

Baidu Inc

   Common Stock      —           38,244   
 

Baker Hughes Inc

   Common Stock      —           540,211   
 

Banco Bilbao Vizcaya Argentaria Sa

   Common Stock      —           10,674   
 

Banco Santander Sa

   Common Stock      —           18,971   
 

Bank New York Mellon Corp

   Common Stock      —           15,084   

*

 

Bank of America

   Common Stock      —           1,425,233   

*

 

Bank of America

   Common Stock      —           756,434   

*

 

Bank of America

   Common Stock      —           488,518   
 

Bank of Ireland

   Common Stock      —           4,323   

*

 

Baxter International Inc

   Common Stock      —           179,285,293   

*

 

Baxter International Inc

   Common Stock      —           529,861   
 

Bayer AG

   Common Stock      —           36,134   

 

18


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

BB & T Corp

   Common Stock      —           6,531   
 

BB Liquidating Inc

   Common Stock      —           1   
 

BCE Inc

   Common Stock      —           916,922   
 

Beacon Pwr Corp

   Common Stock      —           45   
 

Berkshire Hathaway Inc

   Common Stock      —           177,840   
 

Best Buy Inc

   Common Stock      —           4,601   
 

Beyond Corp

   Common Stock      —           —     
 

Big Bear Mng Corp

   Common Stock      —           —     
 

Biglari Hldgs Inc

   Common Stock      —           507   
 

Bioelectronics Corp

   Common Stock      —           —     
 

Biogen Idec Inc

   Common Stock      —           44,452   
 

Biogen Idec Inc

   Common Stock      —           4,481,451   
 

Biomedical Technology Solutions Hldgs Inc

   Common Stock      —           44   
 

Biomerica Inc

   Common Stock      —           10,920   
 

Biomoda Inc

   Common Stock      —           27   
 

Bionovo Inc

   Common Stock      —           50   
 

Biopharm Asia Inc

   Common Stock      —           —     
 

Biozone Pharmaceutic Ls Inc

   Common Stock      —           170   
 

Bizauctions Inc

   Common Stock      —           —     
 

Black Hills Corp

   Common Stock      —           5,776   
 

Blackberry Ltd

   Common Stock      —           11,755   
 

Blackstone Group LP

   Common Stock      —           4,884   
 

Blavod Extreme Spirits

   Common Stock      —           71   
 

Blyth Inc

   Common Stock      —           3,264   
 

Body Cent Corp

   Common Stock      —           2,955   
 

Boeing Co

   Common Stock      —           3,627,139   
 

Boeing Co

   Common Stock      —           1,078,222   
 

Boeing Co

   Common Stock      —           43,318   
 

Boingo Wireless Inc

   Common Stock      —           6,154   
 

BP Plc

   Common Stock      —           6,065   
 

BP Plc

   Common Stock      —           825,603   
 

Braskem S.A.

   Common Stock      —           1,785   
 

Brazil Minerals Inc

   Common Stock      —           73   
 

Breitburn Energy Partners LP

   Common Stock      —           20,859   
 

Bristol Myers Squibb Co

   Common Stock      —           75,378   
 

Bristol Myers Squibb Co

   Common Stock      —           3,886,699   
 

Broadcom Corp

   Common Stock      —           17,231   
 

Broadridge Financial Solutions LLC

   Common Stock      —           2,964   
 

Broadwind Energy Inc

   Common Stock      —           94   
 

Brookfield Asset Mgmt Inc

   Common Stock      —           9,708   
 

Brookfield Infrastructure Partners LP

   Common Stock      —           8,324   
 

Brookfield Ppty Partners LP

   Common Stock      —           279   
 

Brookfield Residential Pptys Inc

   Common Stock      —           24   
 

Buckeye Partners LP

   Common Stock      —           28,404   
 

Buffalo Wild Wings Inc

   Common Stock      —           16,928   
 

C H Robinson Worldwide Inc

   Common Stock      —           2,918   
 

CSX Corp

   Common Stock      —           15,596   
 

Cadence Pharmaceuticals Inc

   Common Stock      —           20,091   
 

Ceasars Entmt Corp

   Common Stock      —           431   

 

19


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Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Calamp Corp

   Common Stock      —           179,623   
 

Calgon Carbon Corp

   Common Stock      —           2,468   
 

Cambridge Heart Inc

   Common Stock      —           10   
 

Cameron International Corp

   Common Stock      —           590,771   
 

Cameron International Corp

   Common Stock      —           4,643   
 

Camtek

   Common Stock      —           2,430   
 

Canadian National Railways Co

   Common Stock      —           11,404   
 

Canadian Natural Resources Ltd

   Common Stock      —           6,768   
 

Canadian Pacific Railway Ltd

   Common Stock      —           2,249,245   
 

Canadian Solar Inc

   Common Stock      —           447   
 

Cancer Genetics Inc

   Common Stock      —           13,780   
 

Cannabis Science Inc

   Common Stock      —           520   
 

Cap Gemini

   Common Stock      —           6,770   
 

Capital One

   Common Stock      —           779,184   
 

Capital One

   Common Stock      —           1,486,502   
 

Capitalsource Inc

   Common Stock      —           13,292   
 

Capitol Bancorp Ltd

   Common Stock      —           1   
 

Capstead Mtg Corp Com No Par

   Common Stock      —           12,080   
 

Capstone Turbine Corp

   Common Stock      —           129   
 

Cardinal Communications Inc

   Common Stock      —           —     
 

Cardinal Health Inc

   Common Stock      —           613,539   
 

Cardinal Health Inc

   Common Stock      —           7,234,120   
 

Cardinal Health Inc

   Common Stock      —           77,742   
 

Carefusion Corp

   Common Stock      —           39,820   
 

Carlyle Group LP

   Common Stock      —           3,258   
 

Carmax Inc

   Common Stock      —           11,802   
 

Catamaran Corp

   Common Stock      —           23,873   
 

Caterpillar Inc

   Common Stock      —           137,170   
 

CBL & Assoc Pptys Inc

   Common Stock      —           306   
 

Celgene Corp

   Common Stock      —           32,780   
 

Celgene Corp

   Common Stock      —           1,915,495   
 

Cell Therapeutics Inc

   Common Stock      —           5,287   
 

Cellceutix Corp

   Common Stock      —           4,180   
 

Cemex SA

   Common Stock      —           35   
 

Central Fd Cda

   Common Stock      —           13,250   
 

Centurytel Inc

   Common Stock      —           2,739   
 

Ceragon Networks Ltd

   Common Stock      —           446   
 

Cereplast Inc

   Common Stock      —           28   
 

Cerus Corp

   Common Stock      —           8,385   
 

Channeladvisor Corp

   Common Stock      —           4,505   
 

Charter Comm Inc

   Common Stock      —           —     
 

Chelsea Therapeutics Intl

   Common Stock      —           8,870   
 

Cheniere Energy Inc

   Common Stock      —           17,248   
 

Chesapeake Energy

   Common Stock      —           82,897   
 

Chevron Corp

   Common Stock      —           151,100   
 

China Biologic Prods Inc

   Common Stock      —           2,885   
 

China Energy Svgs Technology Inc

   Common Stock      —           —     
 

China Shen Zhou Mng & Res Inc

   Common Stock      —           483   
 

Chipotle Mexican Grill Inc

   Common Stock      —           1,944,452   

 

20


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Chipotle Mexican Grill Inc

   Common Stock      —           18,647   
 

Church & Dwight Inc

   Common Stock      —           10,650   
 

Churchill Downs Inc

   Common Stock      —           9,529   
 

Ciena Corp

   Common Stock      —           48   
 

Circuit City Stores Inc

   Common Stock      —           —     
 

Cisco Systems Inc

   Common Stock      —           173,779   
 

Cisco Systems Inc

   Common Stock      —           1,011,986   
 

CIT Group Inc

   Common Stock      —           772,141   
 

Citadel Broadcasting Corp

   Common Stock      —           —     
 

Citigroup Inc

   Common Stock      —           766,699   
 

Citigroup Inc

   Common Stock      —           130,489   
 

Citigroup Inc

   Common Stock      —           1,443,349   
 

Citrix Systems Inc

   Common Stock      —           793,198   
 

City Bank Lynnwood Wash

   Common Stock      —           24   
 

Clarent Corp

   Common Stock      —           —     
 

Clean Diesel Technologies Inc

   Common Stock      —           3,000   
 

Clean Energy Fuels Corp

   Common Stock      —           38,511   
 

Cliffs Nat Res Inc

   Common Stock      —           24,998   
 

CMS Energy Corp

   Common Stock      —           990   
 

Coach Inc

   Common Stock      —           16,535   
 

Coca Cola Co

   Common Stock      —           94,329   
 

Coca Cola Co

   Common Stock      —           911,696   
 

Coeur D Alene Mines Corp

   Common Stock      —           8,951   
 

Coldwater Creek Inc

   Common Stock      —           560   
 

Colonial Bancgroup

   Common Stock      —           —     
 

Columbia Laboratories Inc

   Common Stock      —           496   
 

Comcast Corp

   Common Stock      —           620,889   
 

Comcast Corp

   Common Stock      —           5,197   
 

Commtouch Software Limited

   Common Stock      —           1,294   
 

Compagnie Financiere Richemont SA

   Common Stock      —           2,018   
 

Compass Minerals Intl Inc

   Common Stock      —           9,080   
 

Conagra Foods Inc

   Common Stock      —           8,425   
 

Concho Resources Inc

   Common Stock      —           1,997,144   
 

Conocophillips

   Common Stock      —           184,266   
 

Consolidated Communications Hldgs Inc

   Common Stock      —           1,775   
 

Consolidated Edison Hldg Co Inc

   Common Stock      —           27,640   
 

Constellation Energy Partners LLC

   Common Stock      —           14,400   
 

Corinthian Colleges Inc

   Common Stock      —           3,560   
 

Corning Inc

   Common Stock      —           43,148   
 

Cortex Pharmaceuticals Inc

   Common Stock      —           199   
 

Costco Wholesale Corp

   Common Stock      —           26,577   
 

Costco Wholesale Corp

   Common Stock      —           3,577,689   
 

Covidien Plc

   Common Stock      —           850,658   
 

Covidien Plc

   Common Stock      —           8,371   
 

Credit Suisse

   Common Stock      —           6,408   
 

Cree Inc

   Common Stock      —           631,452   
 

Crestwood Equity Partners LP

   Common Stock      —           2,766   
 

Cross Timbers Royalty Trust

   Common Stock      —           441   
 

Cryolife Inc

   Common Stock      —           5,545   

 

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Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Cst Brands Inc

   Common Stock      —           2,353   
 

Ctrip Com Intl Ltd

   Common Stock      —           6,451   
 

Cubist Pharmaceuticals Inc

   Common Stock      —           5,510   
 

CUI Global Inc

   Common Stock      —           101   
 

Cummins Inc

   Common Stock      —           46,643   
 

CVR Partners LP

   Common Stock      —           8,230   
 

CVS Caremark Corp

   Common Stock      —           1,045,948   
 

CVS Caremark Corp

   Common Stock      —           763,259   
 

CVS Caremark Corp

   Common Stock      —           46,236   
 

Cyan Inc

   Common Stock      —           10,580   
 

Cyber-Care Inc

   Common Stock      —           —     
 

Cyberonics Inc

   Common Stock      —           2,879   
 

Cyclacel Pharmaceuticals Inc

   Common Stock      —           571   
 

Cytori Therapeutics Inc

   Common Stock      —           1,928   
 

Cytosorbents Corp

   Common Stock      —           938   
 

Cytrx Corp

   Common Stock      —           34,197   
 

D R Horton Inc

   Common Stock      —           1,562   
 

Dan River Inc

   Common Stock      —           —     
 

Daulton Cap Corp

   Common Stock      —           1   
 

Daystar Technologies Inc

   Common Stock      —           1   
 

DBX ETF

   Common Stock      —           174   
 

Decisionpoint Sys Inc

   Common Stock      —           5   
 

Deckers Outdoor

   Common Stock      —           38,007   
 

Deere & Co

   Common Stock      —           6,793   
 

Delcath Systems Inc

   Common Stock      —           605   
 

Denbury Res Inc

   Common Stock      —           8,215   
 

Dendreon Corp

   Common Stock      —           92,795   
 

Dennys Corp

   Common Stock      —           1,079   
 

Derma Sciences Inc

   Common Stock      —           2,164   
 

Destiny Media Technologies Inc

   Common Stock      —           5,675   
 

Deutsche Bank AG

   Common Stock      —           4,824   
 

Devon Energy Corp

   Common Stock      —           9,281   
 

Diageo Plc

   Common Stock      —           1,559,953   
 

Diamond Offshore Drilling Inc

   Common Stock      —           854   
 

Diana Containerships Inc

   Common Stock      —           28   
 

Diana Shipping Inc

   Common Stock      —           3,052   
 

Digerati Technologies Inc

   Common Stock      —           25   
 

Digital Rlty Tr Inc Com

   Common Stock      —           3,938   
 

DirecTV

   Common Stock      —           777,745   
 

DirecTV

   Common Stock      —           20,027   
 

Discover Finl Svcs

   Common Stock      —           27,416   
 

Discovery Communications

   Common Stock      —           2,765,625   
 

Discovery Laboratories Inc

   Common Stock      —           86   
 

Divine Inc

   Common Stock      —           —     
 

Dolby Laboratories Inc

   Common Stock      —           5,784   
 

Dollar General Corp

   Common Stock      —           970,882   
 

Dollar General Corp

   Common Stock      —           12,305   
 

Dominion Resources Inc

   Common Stock      —           45,849   
 

Doral Financial Corp

   Common Stock      —           31   

 

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Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Dow Chemical Co

   Common Stock      —           69,364   
 

Downey Finl Corp

   Common Stock      —           —     
 

Dryships Inc

   Common Stock      —           31,026   
 

Du Pont E I De Nemours & Co

   Common Stock      —           782,691   
 

Du Pont E I De Nemours & Co

   Common Stock      —           52,304   
 

Duke Energy Corp

   Common Stock      —           155,639   
 

Duke Realty Corp

   Common Stock      —           6,768   
 

Duma Energy Corp

   Common Stock      —           820   
 

Dunkin Brands Group Inc

   Common Stock      —           2,165,017   
 

Dunkin Brands Group Inc

   Common Stock      —           7,326   
 

Dynacor Gold Mines Inc

   Common Stock      —           3,369   
 

Dynamic Materials Corp

   Common Stock      —           761   
 

Dynegy Inc

   Common Stock      —           4   
 

E M C Corp

   Common Stock      —           14,845   
 

E Trade Finl Corp

   Common Stock      —           14,573   
 

Eagle Bulk Shipping Inc

   Common Stock      —           115   
 

Eastman Kodak Co

   Common Stock      —           3,471   
 

Eaton Corp Plc

   Common Stock      —           22,836   
 

Eaton Scientific Sys Inc

   Common Stock      —           60   
 

EB2B Commerce Inc

   Common Stock      —           —     
 

Ebay Inc

   Common Stock      —           14,484   
 

Ebay Inc

   Common Stock      —           1,662,899   
 

Ecolocap Solutions Inc

   Common Stock      —           —     
 

E-Commerce China Dangdang Inc

   Common Stock      —           4,775   
 

EDAP Tms S.A.

   Common Stock      —           88,500   
 

Edwards Lifesciences Corp

   Common Stock      —           12,805,716   
 

Edwards Lifesciences Corp

   Common Stock      —           193,860   
 

Eldorado Gold Corp

   Common Stock      —           17,243   
 

Eline Entertainment Group Inc

   Common Stock      —           —     
 

Emcore Corp

   Common Stock      —           5   
 

Emerson Electric Co

   Common Stock      —           5,448   
 

Emulex Corp

   Common Stock      —           823   
 

Enbridge Energy Partners LP

   Common Stock      —           2,987   
 

Enbridge Inc

   Common Stock      —           4,368   
 

Encana Corp

   Common Stock      —           537,381   
 

Encana Corp

   Common Stock      —           17,148   
 

Endeavour Silver Corp

   Common Stock      —           1,815   
 

Endologix Inc

   Common Stock      —           1,744   
 

Energy Conversion Devices Inc

   Common Stock      —           —     
 

Energy Focus Inc

   Common Stock      —           2,350   
 

Energy Transfer Partners LP

   Common Stock      —           30,663   
 

Engility Hldgs Inc

   Common Stock      —           200   
 

Enron Corp

   Common Stock      —           —     
 

Enterprise Products Pptns LP

   Common Stock      —           105,977   
 

Entravision Communications Corp

   Common Stock      —           914   
 

Entremed Inc

   Common Stock      —           62   
 

EOG Resources Inc

   Common Stock      —           2,227,471   
 

Epix Pharmaceuticals Inc

   Common Stock      —           —     
 

Erickson Air-Crane Inc

   Common Stock      —           10,395   

 

23


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Escrow Cdc Liquidating Trust

   Common Stock      —           —     
 

Estee Lauder Companies

   Common Stock      —           2,806,843   
 

Evergreen Solar Inc

   Common Stock      —           —     
 

Evolving Sys Inc

   Common Stock      —           19,480   
 

Exelixis Inc

   Common Stock      —           4,322   
 

Exelon Corp

   Common Stock      —           903,350   
 

Exelon Corp

   Common Stock      —           24,596   
 

Exeter Resource Corp

   Common Stock      —           2,120   
 

Exone Co

   Common Stock      —           7,074   
 

Expedia Inc

   Common Stock      —           2,159   
 

Expeditors Intl Wash Inc

   Common Stock      —           13,671   
 

Express Scripts Holding Co

   Common Stock      —           20,018   
 

Express Scripts Holding Co

   Common Stock      —           2,546,441   
 

Exxon Mobil Corp

   Common Stock      —           53,899   
 

Exxon Mobil Corp

   Common Stock      —           2,298,401   
 

F5 Networks Inc

   Common Stock      —           13,629   
 

Facebook Inc

   Common Stock      —           3,798,981   
 

Facebook Inc

   Common Stock      —           726,121   
 

Fairpoint Communications Inc

   Common Stock      —           —     
 

Federal Natl Mtg Assn

   Common Stock      —           98,328   
 

Ferrellgas Partners LP

   Common Stock      —           2,295   
 

Fireeye Inc

   Common Stock      —           402,983   
 

First China Pharmaceutical Group Inc

   Common Stock      —           2,025   
 

First Majestic Silver Corp

   Common Stock      —           9,800   
 

First Physicians Cap Group Inc

   Common Stock      —           —     
 

First Solar Inc

   Common Stock      —           3,552   
 

Flexsteel Inds Inc

   Common Stock      —           6,146   
 

Flextronics Intl Ltd

   Common Stock      —           7,770   
 

Flextronics Intl Ltd

   Common Stock      —           593,854   
 

Fluor Corp

   Common Stock      —           4,169   
 

FMC Technologies Inc

   Common Stock      —           947,839   
 

Focus Gold Corp

   Common Stock      —           —     
 

Food Technology Svc Inc

   Common Stock      —           3,550   
 

Ford Motor Co

   Common Stock      —           1,256,244   
 

Ford Motor Co

   Common Stock      —           219,236   
 

Fortress Invt Group Llc Del Cl A Delaware

   Common Stock      —           4,280   
 

Fossil Group Inc

   Common Stock      —           2,399   
 

Foster Wheeler AG

   Common Stock      —           23,101   
 

Franco Nevada Corp

   Common Stock      —           41,001   
 

Franklin Res Inc

   Common Stock      —           38,690   
 

Freddie Mac

   Common Stock      —           68,605   
 

Freeport Mcmoran Copper & Gold Inc

   Common Stock      —           127,167   
 

Fresenius Kabi Pharmaceuticals Hldg Inc

   Common Stock      —           —     
 

Frontier

   Common Stock      —           28,090   
 

Fuel Sys Solutions Inc

   Common Stock      —           3,468   
 

Fuel Tech Inc

   Common Stock      —           553   
 

Futuremedia Plc

   Common Stock      —           —     
 

FX Energy Inc

   Common Stock      —           512   
 

Galena Biopharma

   Common Stock      —           645   

 

24


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Gas Nat Inc

   Common Stock      —           2,435   
 

Geeknet Inc

   Common Stock      —           4,034   
 

Generac Hldgs Inc

   Common Stock      —           22,826   
 

General Dynamics Corp

   Common Stock      —           14,396   
 

General Electric Co

   Common Stock      —           2,327,751   
 

General Electric Co

   Common Stock      —           318,060   
 

General Electric Co

   Common Stock      —           766,691   
 

General Mills Inc

   Common Stock      —           96,183   
 

General Motors Co

   Common Stock      —           14,305   
 

Generex Biotechnology Corp

   Common Stock      —           225   
 

Genetic Technologies Ltd

   Common Stock      —           14   
 

Geo Group Inc

   Common Stock      —           945   
 

Geopharma Inc

   Common Stock      —           17   
 

Giant Interactive Group Inc

   Common Stock      —           4,413   
 

Gilead Sciences Inc

   Common Stock      —           3,360,327   
 

Gilead Sciences Inc

   Common Stock      —           53,396   
 

Glaxosmithkline Plc

   Common Stock      —           1,335   
 

GMX Resources Inc

   Common Stock      —           2   
 

Gogo Inc

   Common Stock      —           1,067   
 

Gold Fields Ltd

   Common Stock      —           1,280   
 

Goldcorp Inc

   Common Stock      —           22   
 

Golden Star Resources Ltd

   Common Stock      —           1,760   
 

Goldman Sachs Group Inc

   Common Stock      —           3,213,492   
 

Goldman Sachs Group Inc

   Common Stock      —           12,617   
 

Google Inc

   Common Stock      —           8,073,019   
 

Google Inc

   Common Stock      —           719,323   
 

Google Inc

   Common Stock      —           66,122   
 

GPO Aeroportuario Del Sureste Sab

   Common Stock      —           2,690   
 

Grace W R & Co Del

   Common Stock      —           29,661   
 

Grand Pacaraima Gold Corp

   Common Stock      —           2   
 

Graphic Packaging Hldg Co

   Common Stock      —           1,920   
 

Great Basin Gold

   Common Stock      —           28   
 

Great Panther Silver Limited

   Common Stock      —           3,650   
 

Green Earth Technologies Inc

   Common Stock      —           1,020   
 

Green Innovations Ltd

   Common Stock      —           234   
 

Greenhunter Energy Inc

   Common Stock      —           —     
 

Grifols Sa

   Common Stock      —           2,853   
 

Groupon Inc

   Common Stock      —           8,000   
 

GSI Technology Inc

   Common Stock      —           3,320   
 

Guess? Inc

   Common Stock      —           1,119   
 

Guggenheim

   Common Stock      —           18,708   
 

Halliburton Co

   Common Stock      —           1,222,766   
 

Halliburton Co

   Common Stock      —           1,817   
 

Halozyme Therapeutics Inc

   Common Stock      —           176,567   
 

Hannon Armstrong Sustainable Infl

   Common Stock      —           2,792   
 

Hansen Med Inc

   Common Stock      —           3,028   
 

Hanwha Solarone Company Ltd

   Common Stock      —           28   
 

Hartford Finl Svcs Group Inc

   Common Stock      —           4,862   
 

Hasbro Inc

   Common Stock      —           7,633   

 

25


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Hatteras Finl Corp Com

   Common Stock      —           3,754   
 

HCA Hldgs Inc

   Common Stock      —           23,855   
 

HCP Inc Com

   Common Stock      —           11,300   
 

Headwaters Inc

   Common Stock      —           12,238   
 

Health Care Reit Inc

   Common Stock      —           5,357   
 

Healthwarehouse.com

   Common Stock      —           9   
 

Hecla Mining Co

   Common Stock      —           9,223   
 

Hemp Inc

   Common Stock      —           200   
 

Henry Jack & Associates Inc

   Common Stock      —           11,013   
 

Hercules Offshore Inc

   Common Stock      —           26,736   
 

Hermes International

   Common Stock      —           4,357   
 

Hertz Global Hldgs Inc

   Common Stock      —           18,031   
 

Hess Corp

   Common Stock      —           762,217   
 

Hewlett-Packard Co

   Common Stock      —           39,432   
 

Hi-Crush Partners LP

   Common Stock      —           3,704   
 

Hipcricket Inc

   Common Stock      —           36,700   
 

Hollyfrontier Corporation

   Common Stock      —           30,969   
 

Hologic Inc

   Common Stock      —           2,235   
 

Home Depot Inc

   Common Stock      —           217,081   
 

Home Solutions Amer Inc

   Common Stock      —           —     
 

Honda Motor Co

   Common Stock      —           26,878   
 

Honeywell International Inc

   Common Stock      —           1,222,532   
 

Honeywell International Inc

   Common Stock      —           45,779   
 

Horizon Lines Inc

   Common Stock      —           34   
 

Hospira Inc

   Common Stock      —           14,861   
 

Hospira Inc

   Common Stock      —           533,984   
 

Houston Amern Energy Corp

   Common Stock      —           7,725   
 

Hovnanian Enterprise Inc

   Common Stock      —           12,419   
 

Howard Hughes Corp

   Common Stock      —           3,123   
 

HSBC Holdings Plc

   Common Stock      —           34,610   
 

HSN Inc

   Common Stock      —           748   
 

Hugoton Rty Tr Tex Unit Ben Int

   Common Stock      —           1,377   
 

Huntington Bancshares Inc

   Common Stock      —           6,626   
 

Hydrogenics Corporation

   Common Stock      —           1,379   
 

Hyperdynamics Corp

   Common Stock      —           4,831   
 

IAC / Interactivecrp

   Common Stock      —           2,128   
 

Iamgold Corp

   Common Stock      —           6,660   
 

Icahn Enterprises LP

   Common Stock      —           47,046   
 

ICG Group Inc

   Common Stock      —           1,397   
 

Idearc Inc

   Common Stock      —           —     
 

Idera Pharmaceuticals Inc

   Common Stock      —           4,630   
 

IGI Laboratories Inc

   Common Stock      —           1,052   
 

Igo Inc

   Common Stock      —           10   
 

Illinois Tool Works

   Common Stock      —           5,435   
 

Illumina Inc

   Common Stock      —           11,059   
 

Illumina Inc

   Common Stock      —           548,237   
 

Imaging3 Inc

   Common Stock      —           —     
 

Imation Corp

   Common Stock      —           468   
 

Implant Sciences Corp

   Common Stock      —           9,398   

 

26


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Inception Mng Inc

   Common Stock      —           14   
 

Incyte Genomics Inc

   Common Stock      —           146,574   
 

Inditex Unspon Adr

   Common Stock      —           3,929,974   
 

Indymac Bancorp Inc

   Common Stock      —           —     
 

Infinera Corp

   Common Stock      —           8,802   
 

Infinity Energy Resources Inc

   Common Stock      —           20,989   
 

Infosys Technologies Limited

   Common Stock      —           2,830   
 

ING

   Common Stock      —           8,221   
 

Ingles Mkts Inc

   Common Stock      —           21,236   
 

Inovio Biomedical Corp

   Common Stock      —           435,000   
 

Inplay Technologies Inc

   Common Stock      —           —     
 

Insmed Incorporated

   Common Stock      —           2,516   
 

Insys Therapeutics Inc

   Common Stock      —           1,239   
 

Intel Corp

   Common Stock      —           188,649   
 

Intelsat SA

   Common Stock      —           2,254   
 

Interactive Leisure Sys Inc

   Common Stock      —           6   
 

Intercontinental Exchange Grp Inc

   Common Stock      —           22,557   
 

Intermolecular Inc

   Common Stock      —           12,300   
 

Intermune Inc

   Common Stock      —           18,118   
 

Interoil Corp

   Common Stock      —           24,715   
 

Interval Leisure Group Inc

   Common Stock      —           371   
 

Intl Business Mach

   Common Stock      —           39,077   
 

Intl Fuel Tech Inc

   Common Stock      —           156   
 

Intrexon Corp

   Common Stock      —           23,800   
 

Intuitive Surgical Inc

   Common Stock      —           1,920   
 

Invensense Inc

   Common Stock      —           10,390   
 

Invesco Ltd

   Common Stock      —           733,245   
 

Invesco Van Kampen

   Common Stock      —           2,297   
 

Invivo Therapeutics Hldgs Corp

   Common Stock      —           2,296   
 

Invo Bioscience Inc

   Common Stock      —           108   
 

IPG Photonics Corp

   Common Stock      —           14,746   
 

ISC8 Inc

   Common Stock      —           13   
 

Isis Pharmaceuticals

   Common Stock      —           3,586   
 

Italk Inc

   Common Stock      —           56   
 

Itc Hldgs Corp

   Common Stock      —           2,396   
 

Ivanhoe Energy Inc

   Common Stock      —           1,198   
 

Ja Solar Holdings Co Ltd

   Common Stock      —           2,430   
 

Jabil Circuit Inc

   Common Stock      —           26,160   
 

James Riv Coal Co

   Common Stock      —           2,700   
 

Jazz Pharmaceuticals Plc

   Common Stock      —           12,656   
 

JDS Uniphase Corp

   Common Stock      —           2,428   
 

Jensen Portfolio, Inc

   Common Stock      —           94,495   
 

Jetblue Awys Corp

   Common Stock      —           10,675   
 

John Bean Technologies Corp

   Common Stock      —           676   
 

Johnson & Johnson

   Common Stock      —           194,499   
 

Johnson & Johnson

   Common Stock      —           850,146   
 

Johnson Controls Inc

   Common Stock      —           1,248,682   
 

Johnson Controls Inc

   Common Stock      —           9,051   
 

Joy Global Inc

   Common Stock      —           4,387   

 

27


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

JP Morgan Chase & Co

   Common Stock      —           39,675   
 

JP Morgan Chase & Co

   Common Stock      —           9,270   
 

JP Morgan Chase & Co

   Common Stock      —           1,235,773   
 

Juniper Networks Inc

   Common Stock      —           38,369   
 

Kandi Technologies Corp

   Common Stock      —           17,685   
 

Kansas City Southern

   Common Stock      —           938,350   
 

Kearny Finl Corp

   Common Stock      —           11,630   
 

Keryx Biopharmaceuticals Inc

   Common Stock      —           1,295   
 

Keycorp

   Common Stock      —           13,420   
 

Kilroy Realty Corp

   Common Stock      —           3,385   
 

Kimberly Clark Corp

   Common Stock      —           41,784   
 

Kinder Morgan Energy Partners LP

   Common Stock      —           244,692   
 

Kinder Morgan Inc Delaware

   Common Stock      —           21,664   
 

Kinder Morgan Mgmt LLC

   Common Stock      —           73,962   
 

Kinross Gold Corp

   Common Stock      —           8,760   
 

KKR & Co LP

   Common Stock      —           9,736   
 

Kma Global Solutions Intl Inc

   Common Stock      —           70   
 

Knightsbridge Tank

   Common Stock      —           8,914   
 

Kobex Minerals Inc

   Common Stock      —           471   
 

Kodiak Oil & Gas Corp

   Common Stock      —           11,210   
 

Kohl’s Corp

   Common Stock      —           622,023   
 

Kohl’s Corp

   Common Stock      —           65,925   
 

Kraft Foods Group Inc

   Common Stock      —           54,689   
 

Krispy Kreme Doughnuts Inc

   Common Stock      —           19,290   
 

Kronos Worldwide Inc

   Common Stock      —           79   
 

L-3 Communications Hldgs Inc

   Common Stock      —           4,043   
 

Laboratory Corp Of America Hldgs

   Common Stock      —           18,274   
 

LDK Solar Co Ltd

   Common Stock      —           1,006   
 

Leap Wireless Intl Inc

   Common Stock      —           —     
 

Legacy Resvs LP

   Common Stock      —           2,816   
 

Lehman Brothers Holdings Inc

   Common Stock      —           —     
 

Level 3

   Common Stock      —           6,634   
 

Lifeline Biotechnologies Inc

   Common Stock      —           —     
 

Lilly Eli & Co

   Common Stock      —           16,575   
 

Limelight Networks Inc

   Common Stock      —           2,970   
 

Linkedin Corp

   Common Stock      —           3,348,037   
 

Linn Co Llc

   Common Stock      —           4,382   
 

Linn Energy LLC

   Common Stock      —           99,461   
 

Linux Gold Corp

   Common Stock      —           25   
 

Lions Gate Entertainment Corp

   Common Stock      —           12,664   
 

Lithia Motors Inc

   Common Stock      —           3,493   
 

Live Nation Entertainment Inc

   Common Stock      —           336   
 

Lone Pine Resources Inc

   Common Stock      —           8,383   
 

Loral Space & Communications Ltd

   Common Stock      —           —     
 

Lorillard Inc

   Common Stock      —           5,123   
 

Lowe’s Companies, Inc

   Common Stock      —           606,712   
 

Lowe’s Companies, Inc

   Common Stock      —           23,858   
 

LPBP Inc

   Common Stock      —           —     
 

LSI Logic Corp

   Common Stock      —           364   

 

28


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Lululemon Athletica Inc

   Common Stock      —           64,933   
 

Lynas Corporation

   Common Stock      —           132   
 

Lyondellbasell Industries N V

   Common Stock      —           40,140   
 

M 2003 Plc

   Common Stock      —           —     
 

M D U Res Group Inc

   Common Stock      —           3,190   
 

Macquarie Infrastructure Co

   Common Stock      —           27,215   
 

Macys Inc

   Common Stock      —           26,700   
 

Mahanagar Tel Nigam Ltd

   Common Stock      —           80   
 

Main Str Cap Corp

   Common Stock      —           42,596   
 

Mallinckrodt Plc

   Common Stock      —           105   
 

Mandalay Digital Group Inc

   Common Stock      —           13   
 

Manhattan Scientific Inc

   Common Stock      —           6,230   
 

Manitowoc Inc

   Common Stock      —           4,431   
 

Mannkind Corp

   Common Stock      —           73,762   
 

Marathon Oil Corp

   Common Stock      —           56,480   
 

Marathon Oil Corp

   Common Stock      —           1,118,915   
 

Marathon Petroleum Corp

   Common Stock      —           66,208   
 

Markel Corp Hldg Co

   Common Stock      —           13,928   
 

Marlin Midstream Partners LP

   Common Stock      —           13,440   
 

Marsh & Mclennan Cos

   Common Stock      —           692,423   
 

Mast Therapeutics Inc

   Common Stock      —           13,860   
 

Mastercard Inc

   Common Stock      —           7,961,876   
 

Mastercard Inc

   Common Stock      —           75,191   
 

Mazor Robotics Ltd

   Common Stock      —           976   
 

McDonald’s Corp

   Common Stock      —           723,386   
 

McDonald’s Corp

   Common Stock      —           53,752   
 

McKesson Corp

   Common Stock      —           545,860   
 

Medbox Inc

   Common Stock      —           237   
 

Medclean Techonolgies Inc

   Common Stock      —           24   
 

Medical Pptys Tr Inc

   Common Stock      —           7,615   
 

Medicines Co

   Common Stock      —           19,310   
 

Medivation Inc

   Common Stock      —           2,170   
 

Medtronic Inc

   Common Stock      —           13,230   
 

Meetme Inc

   Common Stock      —           9,150   
 

Merck & Co Inc

   Common Stock      —           97,515   
 

Merck & Co Inc

   Common Stock      —           1,140,762   

*

 

MetLife Inc

   Common Stock      —           6,172   
 

MGIC Invst Corp Wis

   Common Stock      —           2,125   
 

MGM Mirage

   Common Stock      —           1,646   
 

Michael Kors Holdings Ltd

   Common Stock      —           1,845,548   
 

Michael Kors Holdings Ltd

   Common Stock      —           113,666   
 

Micro Imaging Technology Inc

   Common Stock      —           21   
 

Micron Technology

   Common Stock      —           21,750   
 

Microsoft Corp

   Common Stock      —           56,967   
 

Microsoft Corp

   Common Stock      —           735,513   
 

Microvision Inc Del

   Common Stock      —           3,300   
 

Miller Herman Inc

   Common Stock      —           2,952   
 

Mimedx Group Inc

   Common Stock      —           17,366   
 

Mirant Corp

   Common Stock      —           —     

 

29


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Miravant Medical Technology

   Common Stock      —           —     
 

Mitek Sys Inc

   Common Stock      —           5,940   
 

Modern Energy Corp

   Common Stock      —           —     
 

Molecular Insight Pharmaceuticals Inc

   Common Stock      —           —     
 

Molina Healthcare Inc

   Common Stock      —           6,950   
 

Molycorp Inc Delaware

   Common Stock      —           7,166   
 

Momenta Pharmaceuticals Inc

   Common Stock      —           849   
 

Mondelez International Inc

   Common Stock      —           3,002,109   
 

Mondelez International Inc

   Common Stock      —           48,800   
 

Monitise Plc

   Common Stock      —           1,602   
 

Monsanto Co

   Common Stock      —           4,695,356   
 

Monsanto Co

   Common Stock      —           1,300,493   
 

Monsanto Co

   Common Stock      —           17,493   
 

Monster Beverage Corp

   Common Stock      —           3,253   
 

Morgan Stanley

   Common Stock      —           2,450,820   
 

Morgan Stanley

   Common Stock      —           12,544   
 

Mosaic Co

   Common Stock      —           487,775   
 

Mosaic Co

   Common Stock      —           11,273   
 

Motorola Solutions Inc

   Common Stock      —           4,793   
 

Multi-Corp Intl Inc

   Common Stock      —           540   
 

Musclepharm Corp

   Common Stock      —           1,824   
 

Myecheck Inc

   Common Stock      —           162   
 

Nanogen Inc

   Common Stock      —           8   
 

Nanosphere Inc

   Common Stock      —           172   
 

National Grid New

   Common Stock      —           13,064   
 

National Oilwell Varco Inc

   Common Stock      —           2,386   
 

Navidea Biopharmaceuticals Inc

   Common Stock      —           20,607   
 

Navios Maritime Holdings Inc

   Common Stock      —           47,852   
 

Navios Maritime Partners LP

   Common Stock      —           9,560   
 

Neon Communications Inc

   Common Stock      —           —     
 

Neostem Inc

   Common Stock      —           61,380   
 

Nephros Inc

   Common Stock      —           530   
 

Nestle SA

   Common Stock      —           7,342   
 

Netapp Inc

   Common Stock      —           599,203   
 

Netapp Inc

   Common Stock      —           3,291   
 

Netflix Inc

   Common Stock      —           2,115,142   
 

Netgear Inc

   Common Stock      —           3,294   
 

New Centy Finl Corp

   Common Stock      —           —     
 

New Ireland Fd Inc

   Common Stock      —           9,144   
 

Newfield Exploration Co

   Common Stock      —           17,241   
 

Newmont Mng Corp Hldg

   Common Stock      —           24,162   
 

Nextera Energy Inc

   Common Stock      —           79,977   
 

Nike Inc

   Common Stock      —           19,537   
 

Nike Inc

   Common Stock      —           3,912,260   
 

Nokia Corp

   Common Stock      —           24,783   
 

Nordic American Tanker Shipping Ltd

   Common Stock      —           33,058   
 

Nordstrom Inc

   Common Stock      —           2,781   
 

Norstra Energy Inc

   Common Stock      —           331   
 

Nortel Networks Corp

   Common Stock      —           —     

 

30


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

North American Palladium

   Common Stock      —           1,302   
 

Northfield Laboratories Inc

   Common Stock      —           —     
 

Northwest Biotherapeutics Inc

   Common Stock      —           154,193   
 

Novartis AG

   Common Stock      —           49,687   
 

Novartis AG

   Common Stock      —           1,111,203   
 

Novartis AG

   Common Stock      —           722,282   
 

Novatel Wireless Inc

   Common Stock      —           2,844   
 

Novavax Inc

   Common Stock      —           4,096   
 

Novelos Therapeutics Inc

   Common Stock      —           20   
 

Novo Nordisk

   Common Stock      —           27,058   
 

Novo Nordisk

   Common Stock      —           3,140,196   
 

NPS Pharmaceuticals Inc

   Common Stock      —           30,360   
 

NRG Energy Inc

   Common Stock      —           11,028   
 

NTT Docomo Inc

   Common Stock      —           13,208   
 

Nuance

   Common Stock      —           3,800   
 

Nucor Corp

   Common Stock      —           24,307   
 

Nutri Sys Inc

   Common Stock      —           493   
 

Nuverra Environmental Solutions Inc

   Common Stock      —           11,753   
 

Nvidia Corp

   Common Stock      —           30,482   
 

Nxstage Med Inc

   Common Stock      —           3,850   
 

O Reilly Automotive Inc

   Common Stock      —           11,326   
 

Occidental Petroleum Corp

   Common Stock      —           3,469   
 

Ocean Rig Udw Inc

   Common Stock      —           924   
 

Oclaro Inc

   Common Stock      —           498   
 

Office Depot Inc

   Common Stock      —           10,580   
 

Oilsands Quest Inc

   Common Stock      —           30   
 

Olin Corp

   Common Stock      —           3,366   
 

Omega Healthcare Invs Inc

   Common Stock      —           4,951   
 

Omega Navigation Enterprises Inc

   Common Stock      —           —     
 

Omnicell Inc

   Common Stock      —           12,765   
 

Oncogenex Pharmaceuticals Inc

   Common Stock      —           142   
 

Oncolytics Biotech Inc

   Common Stock      —           240,715   
 

Oncomed Pharmaceuticals Inc

   Common Stock      —           59,040   
 

Onconova Therapeutics Inc

   Common Stock      —           20,113   
 

Opko Health Inc

   Common Stock      —           5,528   
 

Optigenex Inc

   Common Stock      —           4   
 

Oracle Corp

   Common Stock      —           1,229,740   
 

Oracle Corp

   Common Stock      —           51,309   
 

Orange

   Common Stock      —           12,968   
 

Orbital Sciences Corp

   Common Stock      —           11,650   
 

Orexigen Therapeutics Inc

   Common Stock      —           5,630   
 

Organovo Hldgs Inc

   Common Stock      —           3,044   
 

Origin Agritech Limited

   Common Stock      —           635   
 

Osh One Liquidating Corp

   Common Stock      —           2   
 

Osiris Therapeutics Inc

   Common Stock      —           12,060   
 

Outerwall Inc

   Common Stock      —           4,709   
 

Owens Illinois Inc

   Common Stock      —           349,778   
 

Owens Illinois Inc

   Common Stock      —           551,166   
 

Oxigene Inc

   Common Stock      —           3,100   

 

31


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Paa Nat Gas Storage LP

   Common Stock      —           24,187   
 

Paccar Inc

   Common Stock      —           5,917   
 

Pacific Ethanol Inc

   Common Stock      —           1,710   
 

Palatin Technologies Inc

   Common Stock      —           37   
 

Pan American Silver Corp

   Common Stock      —           6,670   
 

Panacos Pharmaceuticals Inc

   Common Stock      —           —     
 

Pandora Media Inc

   Common Stock      —           665   
 

Parametric Sound Corp

   Common Stock      —           17,313   
 

Parkway Properties Inc

   Common Stock      —           7,966   
 

Patriot Coal Corp

   Common Stock      —           20   
 

Patterson-Uti Energy Inc

   Common Stock      —           12,660   
 

Pay Chest Inc

   Common Stock      —           —     
 

Paychex Inc

   Common Stock      —           36,912   
 

PDI Inc

   Common Stock      —           481   
 

PDL Biopharma Inc

   Common Stock      —           12,660   
 

Peabody Energy Corp

   Common Stock      —           1,177   
 

Pembina Pipeline Corporation

   Common Stock      —           144   
 

Penn West Petroleum Ltd

   Common Stock      —           4,379   
 

Pennantpark Invt Corp

   Common Stock      —           1,220   
 

Penney J C Co Inc

   Common Stock      —           14,640   
 

Pennymac Mortgage Investment

   Common Stock      —           26,348   
 

Pentair Ltd

   Common Stock      —           388   
 

Pepco Hldgs Inc

   Common Stock      —           60,145   
 

Pepsico Inc

   Common Stock      —           41,529   
 

Perceptron Inc

   Common Stock      —           12,483   
 

Peregrine Pharmaceuticals Inc

   Common Stock      —           329   
 

Permian Basin Rty Tr

   Common Stock      —           4,501   
 

Perrigo Co Plc

   Common Stock      —           8,287   
 

Perrigo Co Plc

   Common Stock      —           2,049,964   
 

Pershing Gold Corp

   Common Stock      —           7,798   
 

Petmedexpress Inc

   Common Stock      —           2,068   
 

Petrochina Co Ltd

   Common Stock      —           1,317   
 

Petroleo Brasileiro Sa Petrobras

   Common Stock      —           53,476   
 

Petsmart Inc

   Common Stock      —           5,093   
 

Pfizer Inc

   Common Stock      —           2,086,957   
 

Pfizer Inc

   Common Stock      —           168,684   
 

Pharmacyclics Inc

   Common Stock      —           10,578   
 

Pharmathene Inc

   Common Stock      —           27,900   
 

Pharmos Corp

   Common Stock      —           1   
 

Philip Morris Intl Inc

   Common Stock      —           152,867   
 

Phillips 66

   Common Stock      —           97,828   
 

Pilgrims Pride Corp

   Common Stock      —           4,469   
 

Pilot Gold Inc

   Common Stock      —           4,856   
 

Pioneer Energy Svcs Corp

   Common Stock      —           801   
 

Pitney Bowes Inc

   Common Stock      —           16,310   
 

Pixelworks Inc

   Common Stock      —           4,820   
 

Plains All American Pipeline LP

   Common Stock      —           49,440   
 

Platinum Group Metals Ltd

   Common Stock      —           3,510   
 

Platinum Studios Inc California

   Common Stock      —           —     

 

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Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Plum Creek Timber Co Inc

   Common Stock      —           13,953   
 

Pluristem Therapeutics Inc

   Common Stock      —           1,218   
 

PMC-Sierra Inc

   Common Stock      —           4,501   
 

PNC Financial Services Group

   Common Stock      —           1,378,922   
 

Polymedix Inc

   Common Stock      —           2   
 

Polymet Mining Corp

   Common Stock      —           14,023   
 

Pop3 Media Corp

   Common Stock      —           —     
 

Portfolio Recovery Assocs Inc

   Common Stock      —           4,914   
 

Positiveid Corp

   Common Stock      —           11   
 

Potash Corp Sask Inc

   Common Stock      —           125,023   
 

Potbelly Corp

   Common Stock      —           30,350   
 

Power 3 Med Prods Inc

   Common Stock      —           —     
 

PPG Industries

   Common Stock      —           75,864   
 

Prana Biotechnology Ltd

   Common Stock      —           90,618   
 

Precision Castparts Corp

   Common Stock      —           3,232   
 

Precision Castparts Corp

   Common Stock      —           3,918,888   
 

Priceline.com Inc

   Common Stock      —           3,487   
 

Priceline.com Inc

   Common Stock      —           5,128,451   
 

Pricesmart Inc

   Common Stock      —           1,753   
 

Primero Mining

   Common Stock      —           2,220   
 

Procter & Gamble Co

   Common Stock      —           546,643   
 

Procter & Gamble Co

   Common Stock      —           137,534   
 

Progenics Pharmaceuticals

   Common Stock      —           5,330   
 

Prologis Inc Com

   Common Stock      —           385   
 

Prospect Energy Corp

   Common Stock      —           34,007   
 

Prothena Corp Plc

   Common Stock      —           3,554   
 

Provectus Pharmaceutical Inc

   Common Stock      —           12,050   
 

Proxim Wireless Corp

   Common Stock      —           48   
 

Pulse Beverage Corp

   Common Stock      —           2,460   
 

Qr Energy LP

   Common Stock      —           19,654   
 

Quadrant 4 Sys Corp

   Common Stock      —           1,900   
 

Qualcomm Inc

   Common Stock      —           30,601   
 

Qualcomm Inc

   Common Stock      —           916,482   
 

Quality Systems

   Common Stock      —           22,265   
 

Quantum Fuel Sys Technologies Worldwide Inc

   Common Stock      —           4,875   
 

Quest Diagnostics Inc

   Common Stock      —           13,385   
 

Questcor Phar Inc

   Common Stock      —           2,777   
 

Radian Group Inc

   Common Stock      —           7,204   
 

Radient Pharmaceuticals Corp

   Common Stock      —           —     
 

Ralph Lauren Corp

   Common Stock      —           1,805,446   
 

Rambus Inc

   Common Stock      —           9,470   
 

Ramp Corp

   Common Stock      —           —     
 

Ranger Equity Bear

   Common Stock      —           9,800   
 

Rayonier Inc

   Common Stock      —           16,419   
 

Raystream Inc

   Common Stock      —           —     
 

Raytheon Co

   Common Stock      —           4,601   
 

Realty Income Corp

   Common Stock      —           19,336   
 

Red Hat Inc

   Common Stock      —           2,582,688   
 

Regions Finl Corp

   Common Stock      —           15,215   

 

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Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Reliance Steel and Aluminum Co

   Common Stock      —           7,584   
 

Rentech Nitrogen Partners LP

   Common Stock      —           71,444   
 

Repligen Corp

   Common Stock      —           4,774   
 

Republic Services Inc

   Common Stock      —           340,949   
 

Resource Cap Corp

   Common Stock      —           141,940   
 

Rhino Resource Partners LP

   Common Stock      —           2,276   
 

Ricebran Technologies

   Common Stock      —           2,021   
 

Rite Aid Corp

   Common Stock      —           1,265   
 

Rock-Tenn Co

   Common Stock      —           15,752   
 

Rockwell Automation Inc

   Common Stock      —           47,264   
 

Rolls Royce Holdings

   Common Stock      —           1,129,816   
 

Rosetta Stone Inc

   Common Stock      —           1,222   
 

Royal Bk Scotland Group Plc

   Common Stock      —           567   
 

Royal Dutch Shell

   Common Stock      —           7,127   
 

Royal Gold Inc

   Common Stock      —           13,821   
 

Rubicon Minerals Corp

   Common Stock      —           15,929   
 

Rxi Pharmaceuticals Corp

   Common Stock      —           31,900   
 

Salesforce.com Inc

   Common Stock      —           3,223,536   
 

Samson Oil & Gas Ltd

   Common Stock      —           415   
 

San Gold Corporation

   Common Stock      —           72   
 

San Juan Basin Rty Tr

   Common Stock      —           8,418   
 

Sandisk Corp

   Common Stock      —           28,216   
 

Sandridge Energy Inc

   Common Stock      —           30,775   
 

Sanmina Corp

   Common Stock      —           3,340   
 

Sanofi SA

   Common Stock      —           11,519   
 

Sanofi SA

   Common Stock      —           699,035   
 

Santarus Inc

   Common Stock      —           15,980   
 

Sarepta Therapeutics Inc

   Common Stock      —           136,479   
 

Satcon Technology Corp

   Common Stock      —           1   
 

Savient Pharmaceuticals Inc

   Common Stock      —           17   
 

Schlumberger Ltd

   Common Stock      —           2,653,193   
 

Schlumberger Ltd

   Common Stock      —           71,553   
 

Schlumberger Ltd

   Common Stock      —           720,735   
 

Charles Schwab Corp

   Common Stock      —           554,555   
 

Seadrill Ltd

   Common Stock      —           19,951   
 

Seagate Technology Plc

   Common Stock      —           17,968   
 

Sears Canada Inc

   Common Stock      —           1,040   
 

Senesco Technologies Inc

   Common Stock      —           6,010   
 

Senior Housing Prop Trust

   Common Stock      —           44,460   
 

SESA Sterlite Ltd

   Common Stock      —           566   
 

Ship Finance International Limited

   Common Stock      —           466   
 

Sibanye Gold Limited

   Common Stock      —           481   
 

Silver Bay Realty Tr Corp

   Common Stock      —           192   
 

Silver Wheaton Corp

   Common Stock      —           45,193   
 

Sirius Xm Hldgs Inc

   Common Stock      —           269,164   
 

Skyworks Solutions Inc

   Common Stock      —           1,000   
 

SMF Energy Corp

   Common Stock      —           604   
 

Smith & Wesson Hldg Corp

   Common Stock      —           6,745   
 

Smurfit Stone Container

   Common Stock      —           —     

 

34


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Socket Mobile Inc

   Common Stock      —           18,459   
 

Solar Cap Ltd

   Common Stock      —           17,787   
 

Soligenix Inc

   Common Stock      —           5,994   
 

Sony Corp

   Common Stock      —           53   
 

Sothebys Hldgs Inc

   Common Stock      —           2,128   
 

Southern Co

   Common Stock      —           228,161   
 

Southern Copper Corp

   Common Stock      —           28,834   
 

Southwest Airlines

   Common Stock      —           15,138   
 

Southwest Airlines

   Common Stock      —           612,060   
 

Southwestern Energy Co

   Common Stock      —           753,430   
 

Spectra Energy Corp

   Common Stock      —           45,267   
 

Spectranetics Corp

   Common Stock      —           8,000   
 

Spirit Aerosystems Hldgs Inc

   Common Stock      —           2,556   
 

Splunk Inc

   Common Stock      —           1,993,164   
 

Spongetech Delivery Sys Inc

   Common Stock      —           —     
 

Sports Concepts Inc

   Common Stock      —           —     
 

Sprint Corporation

   Common Stock      —           28,896   
 

Sprott Physical Silver Trust

   Common Stock      —           30,873   
 

Sprouts Farmers Market Inc

   Common Stock      —           417,882   
 

Spyglass Resources Corp

   Common Stock      —           175   
 

St Jude Medical Inc

   Common Stock      —           13,127   
 

Stag Indl Inc

   Common Stock      —           5,227   
 

Standex Intl Corp

   Common Stock      —           6,288   
 

Stanley Black & Decker Inc

   Common Stock      —           5,277   
 

Star Bulk Carriers Corp

   Common Stock      —           213   
 

Starbucks Corp

   Common Stock      —           7,839   
 

Starbucks Corp

   Common Stock      —           2,142,538   
 

Statoil Asa

   Common Stock      —           5,078   
 

Steelcase Inc

   Common Stock      —           7,930   
 

Stellar Biotechnologies Inc

   Common Stock      —           5,628   
 

Stem Cell Innovations Inc

   Common Stock      —           —     
 

Stemcells Inc

   Common Stock      —           12,460   
 

Stereotaxis Inc

   Common Stock      —           2,353   
 

Stevia Corp

   Common Stock      —           49   
 

Stryker Corp

   Common Stock      —           2,404   
 

Sulphco Inc

   Common Stock      —           6   
 

Suncor Energy

   Common Stock      —           2,417   
 

Sunesis Pharmaceuticals Inc

   Common Stock      —           7,897   
 

Suntech Pwr Hldgs Co Ltd

   Common Stock      —           143   
 

Suntrust Banks Inc

   Common Stock      —           8,423   
 

Surebeam Corp

   Common Stock      —           —     
 

Swatch Group AG

   Common Stock      —           1,946,980   
 

Swift Energy Co

   Common Stock      —           3,375   
 

Swingplane Ventures Inc

   Common Stock      —           6   
 

Symantec Corp

   Common Stock      —           669,421   
 

Syntax Brillian Corp

   Common Stock      —           —     
 

Sysco Corp

   Common Stock      —           4,946   
 

Tableau Software Inc

   Common Stock      —           384,092   
 

Taiwan Semiconductor Manufacturing

   Common Stock      —           7,011   

 

35


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Target Corp

   Common Stock      —           13,398   
 

Taseko Mines Ltd

   Common Stock      —           34,109   
 

Taser International Inc

   Common Stock      —           38,112   
 

Tasman Metals Ltd

   Common Stock      —           3,030   
 

Tata Mtrs Ltd

   Common Stock      —           23,090   
 

Te Connectivity Ltd

   Common Stock      —           1,212   
 

Tearlab Corporation

   Common Stock      —           467   
 

Teck Cominco Ltd

   Common Stock      —           2,601   
 

Templeton Global Income Fd Inc

   Common Stock      —           1,590   
 

Teradata Corp

   Common Stock      —           229,089   
 

Terex Corp

   Common Stock      —           3,149   
 

Terra Inventions Corp

   Common Stock      —           4   
 

Terra Nitrogen Co LP

   Common Stock      —           6,350   
 

Tesla Motors Inc

   Common Stock      —           1,515,525   
 

Tesla Motors Inc

   Common Stock      —           221,732   
 

Tesoro Pete Corp

   Common Stock      —           1,872   
 

Teva Pharmaceutical Inds Ltd

   Common Stock      —           57,412   
 

Texas Instruments Inc

   Common Stock      —           1,380,989   
 

Texas Instruments Inc

   Common Stock      —           776,129   
 

TG Therapeutics Inc

   Common Stock      —           4   
 

Thedirectory.com Inc

   Common Stock      —           580   
 

Thermo Fisher Scientific Inc

   Common Stock      —           780,667   
 

Thompson Creek Metals Co Inc

   Common Stock      —           90,470   
 

Thornburg Mtg Inc Com

   Common Stock      —           —     
 

Threshold Pharmaceuticals Inc

   Common Stock      —           234   
 

Time Warner Cable Inc

   Common Stock      —           5,285   
 

Time Warner Inc

   Common Stock      —           1,437,423   
 

Time Warner Inc

   Common Stock      —           619,608   
 

Time Warner Inc

   Common Stock      —           11,016   
 

Titan Iron Ore Corp

   Common Stock      —           40   
 

Titan Medical Inc

   Common Stock      —           80,918   
 

TJX Companies Inc

   Common Stock      —           4,405,388   
 

Torch Energy Royalty Trust

   Common Stock      —           10   
 

Torchlight Energy Res Inc

   Common Stock      —           152,947   
 

Total

   Common Stock      —           10,610   
 

Tousa Inc

   Common Stock      —           —     
 

Toyota Motor Corp

   Common Stock      —           30,662   
 

Transcanada Corp

   Common Stock      —           9,132   
 

Transmeridian Expl Inc

   Common Stock      —           —     
 

Transmontaigne Partners LP

   Common Stock      —           8,500   
 

Transocean Ltd Zug Namen

   Common Stock      —           4,172   
 

Transwitch Corp

   Common Stock      —           6   
 

Travelers Cos Inc

   Common Stock      —           2,082   
 

Tree.com Inc

   Common Stock      —           66   
 

Triangle Petroleum Corporation

   Common Stock      —           4,160   
 

Trimedyne Inc

   Common Stock      —           1,100   
 

Tripadvisor Inc

   Common Stock      —           941,986   
 

Tripadvisor Inc

   Common Stock      —           2,568   
 

TRW Automotive Hldgs Corp

   Common Stock      —           7,439   

 

36


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Turkcell Iletisim Hizmet

   Common Stock      —           759   
 

Turkish Invt Fd Inc

   Common Stock      —           14,831   
 

Twenty First Century Fox

   Common Stock      —           1,073,772   
 

Twitter Inc

   Common Stock      —           1,154,080   
 

Twitter Inc

   Common Stock      —           74,471   
 

Two Hbrs Invt Corp

   Common Stock      —           2,600   
 

Tyco International Ltd

   Common Stock      —           903   
 

US Shipping Partner LP

   Common Stock      —           —     
 

UAL Corp

   Common Stock      —           —     
 

Ultra Petroleum Corp

   Common Stock      —           17,753   
 

Under Armour Inc

   Common Stock      —           1,753,837   
 

Under Armour Inc

   Common Stock      —           35,618   
 

Unilever Plc

   Common Stock      —           3,641   
 

Union Pacific Corp

   Common Stock      —           2,326,808   
 

Union Pacific Corp

   Common Stock      —           41,467   
 

Uniroyal Tech Corp

   Common Stock      —           —     
 

United Parcel Svc Inc

   Common Stock      —           18,983   
 

United States Natural Gas

   Common Stock      —           25,738   
 

United States Steel Corp

   Common Stock      —           1,493   
 

United Sts Gasoline

   Common Stock      —           5,993   
 

United Technologies Corp

   Common Stock      —           2,881,903   
 

Unitedhealth Group Inc

   Common Stock      —           1,784,529   
 

Unitedhealth Group Inc

   Common Stock      —           609,714   
 

Universal Display Corp

   Common Stock      —           7,903   
 

US Bancorp

   Common Stock      —           10,706   
 

USA Graphite Inc

   Common Stock      —           12   
 

USEC Inc

   Common Stock      —           199   
 

USG Corp

   Common Stock      —           3,689   
 

Vale SA

   Common Stock      —           18,707   
 

Valero Energy Corp

   Common Stock      —           31,289   
 

Valmont Inds Inc

   Common Stock      —           1,497   
 

Vanguard Nat Res LLC

   Common Stock      —           5,904   
 

Vapor Corp

   Common Stock      —           1,830   
 

Vasco Data Security Intl

   Common Stock      —           263   
 

Vaso Active Pharmaceuticals Inc

   Common Stock      —           —     
 

Vector Group Ltd

   Common Stock      —           18,016   
 

Veeva Systems Inc

   Common Stock      —           17,655   
 

Velatel Global

   Common Stock      —           —     
 

Venaxis Inc

   Common Stock      —           58   
 

Veolia Environnement

   Common Stock      —           11,926   
 

Verisign Inc

   Common Stock      —           598   
 

Veriteq Corp

   Common Stock      —           747   
 

Verizon Communications

   Common Stock      —           284,229   
 

Vertex Pharmaceuticals Inc

   Common Stock      —           7,430   
 

Vertex Pharmaceuticals Inc

   Common Stock      —           2,869,199   
 

VG Life Sciences Inc

   Common Stock      —           4   
 

Via Net Works Inc

   Common Stock      —           —     
 

Via Pharmaceuticals Inc

   Common Stock      —           —     
 

Viacom Inc

   Common Stock      —           1,457,529   

 

37


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Vipshop Hldgs Ltd

   Common Stock      —           4,184   
 

Viragen Inc

   Common Stock      —           —     
 

Virexx Med Corp

   Common Stock      —           —     
 

Viropharma Inc

   Common Stock      —           4,985   
 

Viropro Inc

   Common Stock      —           9,224   
 

Virtual Piggy Inc

   Common Stock      —           148,350   
 

Visa Inc

   Common Stock      —           4,670,170   
 

Vivus Inc

   Common Stock      —           4,540   
 

VMware Inc

   Common Stock      —           2,439,797   
 

VMware Inc

   Common Stock      —           15,251   
 

Voc Energy Trust

   Common Stock      —           9,258   
 

Vodafone Group

   Common Stock      —           65,255   
 

Vodafone Group

   Common Stock      —           2,012,654   
 

Vodafone Group

   Common Stock      —           807,391   
 

Volcano Corp

   Common Stock      —           6,555   
 

Voltari Corp

   Common Stock      —           17   
 

Vonage Hldgs Corp

   Common Stock      —           2,248   
 

Voxeljet AG

   Common Stock      —           8,885   
 

Walgreen Company

   Common Stock      —           80,673   
 

Walmart Stores Inc

   Common Stock      —           16,330   
 

Walt Disney Co

   Common Stock      —           3,291,893   
 

Walt Disney Co

   Common Stock      —           147,987   
 

Walter Energy Inc

   Common Stock      —           10,810   
 

Waste Management Inc

   Common Stock      —           13,232   
 

Weatherford Int Ltd

   Common Stock      —           30,980   
 

Weatherford Int Ltd

   Common Stock      —           743,370   
 

Wellpoint Inc

   Common Stock      —           437,909   
 

Wells Fargo & Co

   Common Stock      —           98,124   
 

Wellstar Intl Inc

   Common Stock      —           —     
 

Wendys

   Common Stock      —           13,974   
 

Westell Technologies Inc

   Common Stock      —           4,050   
 

Western Pac Minerals Ltd

   Common Stock      —           —     
 

Western Refng Inc

   Common Stock      —           132   
 

Western Union Co

   Common Stock      —           1,725   
 

Westlake Chem Corp

   Common Stock      —           3,070   
 

Westport Innovations Inc

   Common Stock      —           43,142   
 

Whiting Pete Corp

   Common Stock      —           18,561   
 

Whiting USA

   Common Stock      —           3,659   
 

Whole Foods Market Inc

   Common Stock      —           2,795,210   
 

Whole Foods Market Inc

   Common Stock      —           2,681   
 

Wi-Lan Inc

   Common Stock      —           13,480   
 

Williams Cos Inc

   Common Stock      —           12,899   
 

Windstream Hldgs Inc

   Common Stock      —           144,625   
 

Women First Healthcare Inc

   Common Stock      —           —     
 

Workday Inc

   Common Stock      —           1,456,013   
 

WPX Energy Inc

   Common Stock      —           1,447   
 

Wuxi Pharmatech Cayman Inc

   Common Stock      —           15,352   
 

Xerox Corp

   Common Stock      —           3,848   
 

Xinyuan Real Estate Co Ltd

   Common Stock      —           803   

 

38


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Xoma Corp Del

   Common Stock      —           6,500   
 

Xybernaut Corp

   Common Stock      —           —     
 

Yahoo Inc

   Common Stock      —           40,560   
 

Yamana Gold Inc

   Common Stock      —           30,798   
 

Yandex N.V.

   Common Stock      —           11,434   
 

Yelp Inc Cl A

   Common Stock      —           5,446   
 

Yingli Green Energy Hldg Co Ltd

   Common Stock      —           1,009   
 

Youku Tudou Inc Adr

   Common Stock      —           430,845   
 

YRC Worldwide Inc

   Common Stock      —           30   
 

Yum! Brands Inc

   Common Stock      —           9,809   
 

Zagg Inc

   Common Stock      —           13,049   
 

Zap.com

   Common Stock      —           72   
 

Zimmer Holdings Inc

   Common Stock      —           93   
 

Zion Oil & Gas Inc

   Common Stock      —           1,410   
 

Zynga Inc

   Common Stock      —           2,660   
          

 

 

 
 

Common Stock

         $ 493,958,242   
          

 

 

 

**

 

U.S. Government and Government Agency Issues:

        
 

Bonos Y Oblig Del Estado

   5.5% 30 Apr 2021      —           143,477   
 

Bonos Y Oblig Del Estado

   5.85% 31 Jan 2022      —           447,506   
 

Buoni Poliennali Del Tes

   5.5% 01 Nov 2022      —           382,552   
 

Fannie Mae

   7.25% 15 May 2030      —           345,407   
 

Fannie Mae

   6.625% 15 Nov 2030      —           1,187,285   
 

Fed HM LN PC Pool A58677

   5.5% 01 Mar 2037      —           180,543   
 

Fed HM LN PC Pool C09004

   3.5% 01 Jul 2042      —           831,042   
 

Fed HM LN PC Pool C48827

   6.0% 01 Mar 2031      —           6,733   
 

Fed HM LN PC Pool C91370

   4.5% 01 May 2031      —           306,748   
 

Fed HM LN PC Pool G12334

   5.0% 01 Sep 2021      —           87,633   
 

Fed HM LN PC Pool J16933

   3.0% 01 Oct 2026      —           71,706   
 

Fed HM LN PC Pool J18615

   3.0% 01 Apr 2027      —           36,778   
 

Fed HM LN PC Pool J18702

   3.0% 01 Mar 2027      —           180,575   
 

Fed HM LN PC Pool J18832

   3.0% 01 Apr 2027      —           25,777   
 

Fed HM LN PC Pool J19087

   3.0% 01 May 2027      —           20,951   
 

Fed Republic Of Brazil

   4.25% 07 Jan 2025      —           352,457   
 

FNMA Pool 256398

   6.0% 01 Sep 2021      —           17,069   
 

FNMA Pool 581043

   6.0% 01 May 2016      —           4,850   
 

FNMA Pool 615005

   6.0% 01 Dec 2016      —           10,505   
 

FNMA Pool 694448

   5.5% 01 Apr 2033      —           137,127   
 

FNMA Pool 725690

   6.0% 01 Aug 2034      —           119,203   
 

FNMA Pool 748115

   6.0% 01 Oct 2033      —           45,912   
 

FNMA Pool 815316

   5.5% 01 May 2035      —           176,845   
 

FNMA Pool 822979

   5.5% 01 Apr 2035      —           176,495   
 

FNMA Pool 885504

   6.0% 01 Aug 2021      —           54,214   
 

FNMA Pool 902793

   6.5% 01 Nov 2036      —           76,999   
 

FNMA Pool AH3765

   4.0% 01 Jan 2041      —           843,902   
 

FNMA Pool AH3979

   4.0% 01 Feb 2041      —           300,721   
 

FNMA Pool AH4008

   4.0% 01 Mar 2041      —           397,261   

 

39


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

FNMA Pool AH9374

   4.5% 01 Apr 2041      —           408,547   
 

FNMA Pool AL0920

   5.0% 01 Jul 2037      —           326,096   
 

FNMA Pool AO3466

   3.0% 01 Jun 2027      —           379,611   
 

FNMA Pool AO3540

   3.0% 01 Jun 2042      —           178,174   
 

FNMA Pool AO5515

   3.5% 01 Jul 2042      —           46,068   
 

FNMA Pool AO8494

   2.5% 01 Aug 2027      —           687,697   
 

FNMA Pool AP6604

   3.0% 01 Sep 2042      —           699,972   
 

FNMA Pool MA0734

   4.5% 01 May 2031      —           300,920   
 

FNMA Pool MA0918

   4.0% 01 Dec 2041      —           823,073   
 

GNMA II Pool 710082

   4.698% 20 Jul 2061      —           60,011   
 

GNMA II Pool 710089

   4.7% 20 Oct 2061      —           42,872   
 

GNMA II Pool 766519

   4.668% 20 May 2062      —           55,972   
 

GNMA II Pool 766522

   4.538% 20 Nov 2062      —           63,646   
 

GNMA II Pool 766544

   4.499% 20 Dec 2062      —           63,589   
 

GNMA II Pool 766549

   4.616% 20 Jul 2062      —           94,805   
 

Kingdom Of Spain

   4.0% 06 Mar 2018      —           1,073,251   
 

Mex Bonos Desarr

   6.5% 10 Jun 2021      —           1,545,952   
 

Obrigacoes Do Tesouro

   5.65% 15 Feb 2024      —           665,531   
 

Republic Of Philippines

   3.9% 26 Nov 2022      —           213,437   
 

Republic Of South Africa

   5.875% 16 Sep 2025      —           281,195   
 

Tenn Valley Authority

   3.5% 15 Dec 2042      —           396,740   
 

United Mexican States

   6.05% 11 Jan 2040      —           429,239   
 

US Treasury N/B

   3.0% 15 May 2042      —           1,903,223   
 

US Treasury N/B

   2.75% 15 Aug 2042      —           70,367   
 

US Treasury N/B

   3.125% 15 Feb 2043      —           621,009   
 

US Treasury N/B

   2.875% 15 May 2043      —           467,845   
 

US Treasury N/B

   3.625% 15 Aug 2043      —           335,473   
 

US Treasury N/B

   3.75% 15 Nov 2043      —           691,477   
 

US Treasury N/B

   1.875% 31 Aug 2017      —           4,629,258   
 

US Treasury N/B

   0.25% 31 Mar 2014      —           705,807   
 

US Treasury N/B

   1.75% 15 May 2022      —           547,465   
 

US Treasury N/B

   1.0% 30 Jun 2019      —           1,290,223   
 

US Treasury N/B

   1.625% 15 Aug 2022      —           76,201   
 

US Treasury N/B

   0.25% 31 Aug 2014      —           553,058   
 

US Treasury N/B

   0.125% 31 Dec 2014      —           2,895,227   
 

US Treasury N/B

   0.25% 31 Jul 2015      —           532,828   
          

 

 

 
 

        U.S. Government and Government Agency Issues

      $ 31,124,132   
          

 

 

 

**

 

Corporate and Other Obligations:

     
 

Alcoa Inc

   5.87% 23 Feb 2022      —           331,009   
 

Alexandria Real Estate Equities Pfd Ser E 6.45%

   Preferred Stock      —           21,200   
 

American Axle & Mfg Inc

   5.125% 15 Feb 2019      —           35,486   
 

American Tower Corp

   4.625% 01 Apr 2015      —           148,620   
 

American Tower Corp

   4.5% 15 Jan 2018      —           221,986   
 

Americredit Automobile Receivables

   1.19% 08 May 2018      —           98,357   
 

Americredit Automobile Receivables

   1.79% 08 Mar 2019      —           78,272   
 

Amphenol Corp

   4.75% 15 Nov 2014      —           326,275   

 

40


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Anadarko Petroleum Corp

   6.375% 15 Sep 2017      —           419,160   
 

Arcelormittal

   7.25% 01 Mar 2041      —           353,382   
 

Associates Corp NA

   6.95% 01 Nov 2018      —           176,108   
 

Audatex North America Inc

   6.0% 15 Jun 2021      —           408,283   
 

Avon Products Inc

   4.6% 15 Mar 2020      —           48,925   
 

Banc of America Commercial Mortgage

   1.0% 10 Apr 2049      —           164,016   
 

Banco Santander Bras Ci

   4.625% 13 Feb 2017      —           410,491   
 

Banco Santander Chile

   3.875% 20 Sep 2022      —           186,136   

*

 

Bank of America

   6.4% 28 Aug 2017      —           204,775   

*

 

Bank of America

   5.625% 01 Jul 2020      —           445,394   

*

 

Bank of America

   5.0% 13 May 2021      —           145,571   
 

BBVA Banco Continental

   3.25% 08 Apr 2018      —           281,226   
 

Bear Stearns Commercial Mortgage

   1.0% 11 Jun 2040      —           193,652   
 

Braskem America Finance

   7.125% 22 Jul 2041      —           294,695   
 

Brocade Communications

   6.875% 15 Jan 2020      —           47,623   
 

Bunge Limited Finance Co

   4.1% 15 Mar 2016      —           78,147   
 

CBRE Services Inc

   5.0% 15 Mar 2023      —           175,476   
 

CCO Hldgs LLC/Cap Corp

   6.5% 30 Apr 2021      —           106,459   
 

CCO Hldgs LLC/Cap Corp

   5.25% 15 Mar 2021      —           221,453   
 

CD Commercial Mortgage Trust

   5.322% 11 Dec 2049      —           497,078   
 

Celulosa Arauco

   5.0% 21 Jan 2021      —           224,039   
 

Centurylink Inc

   5.625% 01 Apr 2020      —           85,342   
 

Chesapeake Energy Corp

   3.25% 15 Mar 2016      —           204,308   
 

Cielo Sa/Cielo Usa Inc

   3.75% 16 Nov 2022      —           351,285   
 

Citigroup Cap Xi Cap Secs Trups 6.00%

   Preferred Stock      —           24,880   
 

Citigroup Inc

   4.45% 10 Jan 2017      —           347,570   
 

Citigroup Inc

   4.05% 30 Jul 2022      —           161,001   
 

Citigroup Inc

   1.3% 01 Apr 2016      —           222,536   
 

CNOOC Finance

   4.25% 09 May 2043      —           166,280   
 

CNPC General Capital

   3.95% 19 Apr 2022      —           190,482   
 

Comcast Corp

   5.65% 15 Jun 2035      —           95,643   
 

Comm Mortgage Trust

   1.0% 10 Dec 2049      —           55,635   
 

Continental Resources

   4.5% 15 Apr 2023      —           55,018   
 

Contl Airlines

   4.0% 29 Apr 2026      —           166,910   
 

Contl Airlines

   5.983% 19 Oct 2023      —           278,121   
 

Cox Communications Inc

   5.45% 15 Dec 2014      —           30,936   
 

Credit Suisse Mortgage Trust

   1.0% 15 Jan 2049      —           347,340   
 

Crown Castle Towers LLC

   3.214% 15 Aug 2035      —           100,605   
 

Delhaize Group

   4.125% 10 Apr 2019      —           319,544   
 

Deluxe Corp

   6.0% 15 Nov 2020      —           555,260   
 

Digital Rlty Tr Inc Pfd Ser F

   Preferred Stock      —           20,580   
 

Dolphin Energy Ltd

   5.5% 15 Dec 2021      —           215,606   
 

Dun & Bradstreet Corp

   3.25% 01 Dec 2017      —           139,633   
 

Ecopetrol SA

   5.875% 18 Sep 2023      —           46,846   
 

Ecopetrol SA

   7.375% 18 Sep 2043      —           181,839   
 

Embarq Corp

   7.995% 01 Jun 2036      —           629,390   
 

Energy Transfer Partners

   6.05% 01 Jun 2041      —           434,925   
 

Energy Transfer Partners

   5.2% 01 Feb 2022      —           88,302   
 

Enersis SA/Cayman Island

   7.375% 15 Jan 2014      —           153,238   

 

41


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Enron Cap Res LP Pfd Ser A 9%

   Preferred Stock      —           —     
 

Equifax Inc

   7.0% 01 Jul 2037      —           219,276   
 

Firstenergy Corp

   2.75% 15 Mar 2018      —           140,586   
 

Ford Motor Co

   7.45% 16 Jul 2031      —           290,028   
 

Ford Motor Credit Co LLC

   5.75% 01 Feb 2021      —           331,629   
 

Ford Motor Credit Co LLC

   5.0% 15 May 2018      —           428,671   
 

Freeport Mcmoran

   2.375% 15 Mar 2018      —           196,869   
 

Frontier Communications

   7.875% 15 Jan 2027      —           274,713   
 

Frontier Communications

   8.5% 15 Apr 2020      —           259,714   
 

GCCFC Commercial Mortgage

   5.736% 10 Dec 2049      —           132,237   
 

GE Equipment

   0.6% 23 May 2016      —           636,112   
 

General Elec Cap Corp

   5.3% 11 Feb 2021      —           331,142   
 

General Elec Cap Corp

   3.75% 14 Nov 2014      —           431,920   
 

General Elec Cap Corp

   2.95% 09 May 2016      —           196,290   
 

General Motors Finl Co

   6.75% 01 Jun 2018      —           89,992   
 

Georgia Pacific LLC

   7.37% 01 Dec 2025      —           158,293   
 

Georgia Pacific LLC

   7.25% 01 Jun 2028      —           303,301   
 

Georgia Pacific LLC

   7.75% 15 Nov 2029      —           231,149   
 

Georgia Pacific LLC

   8.875% 15 May 2031      —           6,853   
 

Goldman Sachs Group

   6.15% 01 Apr 2018      —           282,873   
 

Goldman Sachs Group

   5.25% 27 Jul 2021      —           253,880   
 

Grupo Televisa Sab

   7.25% 14 May 2043      —           122,014   
 

GS Mortgage Securities Trust

   1.0% 10 Aug 2045      —           498,422   
 

HCA Inc

   7.5% 15 Feb 2022      —           406,112   
 

Health Care Reit Inc Pfd Ser J

   Preferred Stock      —           36,400   
 

Hospitality Pptys Tr Redeemable Cum Pfd Ser D 7.125%

   Preferred Stock      —           60,138   
 

Intl Lease Finance Corp

   6.25% 15 May 2019      —           704,988   
 

Intl Lease Finance Corp

   3.875% 15 Apr 2018      —           346,228   
 

Ipic Gmtn Ltd

   6.875% 01 Nov 2041      —           308,238   
 

JP Morgan Chase & Co

   3.7% 20 Jan 2015      —           132,281   
 

JP Morgan Chase & Co

   4.25% 15 Oct 2020      —           47,070   
 

JP Morgan Chase & Co

   4.625% 10 May 2021      —           74,461   
 

JP Morgan Chase & Co

   4.5% 24 Jan 2022      —           255,712   
 

Lotte Shopping Co Ltd

   3.375% 09 May 2017      —           227,314   
 

Methanex Corp

   3.25% 15 Dec 2019      —           190,973   
 

Mexichem Sab DE CV

   6.75% 19 Sep 2042      —           206,232   
 

Midwest Banc Hldgs Inc Perp Pfd Ser A 7.75%

   Preferred Stock      —           —     
 

ML CFC Commercial Mortgage Trust

   1.0% 12 Mar 2051      —           97,687   
 

Modern Energy Corp

   Preferred Stock      —           —     
 

Morgan Stanley

   5.5% 24 Jul 2020      —           320,041   
 

Morgan Stanley

   5.55% 27 Apr 2017      —           275,187   
 

Morgan Stanley

   5.375% 15 Oct 2015      —           68,986   
 

Morgan Stanley

   5.5% 26 Jan 2020      —           182,771   
 

Morgan Stanley Cap Tr Vi Cap Secs 6.60%

   Preferred Stock      —           19,640   
 

Morgan Stanley Capital I Trust

   1.0% 12 Apr 2049      —           687,872   
 

Morgan Stanley Capital I Trust

   5.569% 15 Dec 2044      —           654,572   
 

Murray St Inv Trust

   4.67% 09 Mar 2017      —           26,922   
 

Myriad Int Holding BV

   6.375% 28 Jul 2017      —           142,870   
 

Myriad Int Holding BV

   6.0% 18 Jul 2020      —           268,546   

 

42


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Nabors Industries Inc

   5.1% 15 Sep 2023      —           325,105   
 

National Retail Pptys Inc Pfd Ser D 6.625%

   Preferred Stock      —           22,150   
 

National Rural Util Coop

   1.0% 30 Apr 2043      —           170,000   
 

Newfield Exploration Co

   5.75% 30 Jan 2022      —           223,599   
 

OI Sa Spon Adr Ea Repr 1 Pfd Shs

   Preferred Stock      —           10,335   
 

Olin Corp

   5.5% 15 Aug 2022      —           73,822   
 

Osh One Liquidating Corp Pfd

   Preferred Stock      —           —     
 

Oshkosh Corp

   8.5% 01 Mar 2020      —           169,007   
 

Perkinelmer Inc

   5.0% 15 Nov 2021      —           219,059   
 

Pertamina Persero

   5.625% 20 May 2043      —           531,763   
 

Petrobras Global Finance

   5.625% 20 May 2043      —           149,018   
 

Petrobras Intl Fin Co

   6.75% 27 Jan 2041      —           261,662   
 

Petroleos Mexicanos

   3.5% 18 Jul 2018      —           96,203   
 

Phillips 66

   4.3% 01 Apr 2022      —           160,441   
 

Pko Fin Ab

   4.63% 28 Sep 2022      —           235,756   
 

Plains Exploration & Pro

   6.875% 15 Feb 2023      —           346,574   
 

Polyone Corp

   5.25% 15 Mar 2023      —           173,176   
 

Post Holdings Inc

   7.375% 15 Feb 2022      —           242,841   
 

Post Holdings Inc

   7.375% 15 Feb 2022      —           63,350   
 

Protective Life Corp Sub Deb 6.0%

   Preferred Stock      —           21,210   
 

Qtel International Fin

   7.875% 10 Jun 2019      —           331,735   
 

Qwest Corp Nt 6.125%

   Preferred Stock      —           18,950   
 

Qwest Corp Nt 7.00%

   Preferred Stock      —           21,940   
 

Regency Ctrs Corp Cum Red Pfd Ser 6 6.625%

   Preferred Stock      —           21,700   
 

Reynolds American Inc

   7.25% 15 Jun 2037      —           485,295   
 

Rock Tenn Co

   4.0% 01 Mar 2023      —           127,230   
 

Rowan Companies Inc

   5.0% 01 Sep 2017      —           256,660   
 

Royal Bank Of Scotland Plc

   5.625% 24 Aug 2020      —           27,988   
 

Royal Bk Scotland Group Plc Pref Ser T 7.25%

   Preferred Stock      —           9,984   
 

RPM International Inc

   6.125% 15 Oct 2019      —           252,315   
 

Santander Drive Auto

   2.7% 15 Aug 2018      —           116,565   
 

Santander Drive Auto

   1.94% 15 Dec 2016      —           482,979   
 

Santander Drive Auto

   1.94% 15 Mar 2018      —           144,227   
 

Sealed Air Corp

   5.25% 01 Apr 2023      —           139,145   
 

Sealed Air Corp

   6.5% 01 Dec 2020      —           95,469   
 

Sequoia Mortgage Trust

   1.0% 25 May 2043      —           242,787   
 

Service Corp Intl

   5.375% 15 Jan 2022      —           94,914   
 

Sidewinder Drilling Inc

   9.75% 15 Nov 2019      —           95,518   
 

SK Telecom Co Ltd

   6.625% 20 Jul 2027      —           228,721   
 

SLM Corp

   6.25% 25 Jan 2016      —           650,075   
 

SLM Corp

   4.875% 17 Jun 2019      —           339,223   
 

SM Energy Co

   6.5% 01 Jan 2023      —           170,752   
 

Springleaf Funding Trust

   3.92% 16 Jan 2023      —           355,553   
 

Sprint Capital Corp

   6.875% 15 Nov 2028      —           455,709   
 

Steel Dynamics Inc

   5.25% 15 Apr 2023      —           59,205   
 

Telefonica Emisiones Sau

   5.134% 27 Apr 2020      —           157,243   
 

Telefonica Emisiones Sau

   3.992% 18 Feb 2016      —           196,933   
 

Telefonica Emisiones Sau

   5.462% 16 Feb 2021      —           10,412   
 

Telemar Norte Leste Sa

   5.5% 23 Oct 2020      —           247,108   

 

43


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Telephone & Data Sys Inc 6.875%

   Preferred Stock      —           22,640   
 

Thai Oil Pcl

   4.875% 23 Jan 2043      —           318,141   
 

Time Warner Cable Inc

   5.875% 15 Nov 2040      —           68,287   
 

Time Warner Cable Inc

   5.5% 01 Sep 2041      —           110,381   
 

Time Warner Cable Inc

   4.5% 15 Sep 2042      —           104,655   
 

Toyota Motor Credit Corp

   1.75% 22 May 2017      —           337,080   
 

Transelec SA

   4.625% 26 Jul 2023      —           189,951   
 

Transocean Inc

   6.5% 15 Nov 2020      —           507,068   
 

Transport De Gas Peru

   4.25% 30 Apr 2028      —           306,511   
 

USG Corp

   9.75% 15 Jan 2018      —           186,694   
 

Valeant Pharmaceuticals

   6.375% 15 Oct 2020      —           140,372   
 

Verizon Communications

   6.4% 15 Feb 2038      —           188,375   
 

Verizon Communications

   3.65% 14 Sep 2018      —           271,581   
 

Verizon Communications

   6.55% 15 Sep 2043      —           658,044   
 

Vesey Str Invt Tr

   4.404% 01 Sep 2016      —           26,842   
 

Votorantim Cimentos SA

   7.25% 05 Apr 2041      —           187,484   
 

Western Union Co

   2.375% 10 Dec 2015      —           85,829   
 

Whirlpool Corp

   4.7% 01 Jun 2022      —           235,639   
 

Windstream Corp

   8.125% 01 Sep 2018      —           68,950   
 

Windstream Corp

   7.5% 01 Apr 2023      —           178,504   
 

Wolverine World Wide

   6.125% 15 Oct 2020      —           58,071   
 

World Financial Network

   3.14% 17 Jan 2023      —           658,655   
 

World Financial Network

   1.76% 17 May 2021      —           689,512   
          

 

 

 
 

Corporate and Other Obligations

         $ 38,500,226   
          

 

 

 

Synthetic Guaranteed Investment Contracts:

        
 

Cash & Cash Equivalents

        

*

 

State Street Bank & Trust Co

   Short-Term Investment Fund      —           4,389,061   

*

 

State Street Bank & Trust Co

   Short-Term Investment Fund      —           9,068,086   

*

 

State Street Bank & Trust Co

   Short-Term Investment Fund      —           2,629,807   
          

 

 

 
             16,086,954   
          

 

 

 
 

U.S. Government and Government Agency Issues

        
 

California St

   5.75% 01 Mar 2017      —           450,169   
 

Contra Costa Ca Cmnty Clg Dist

   5.0% 01 Aug 2038      —           498,318   
 

Fannie Mae

   0.875% 20 Dec 2017      —           4,534,855   
 

Fannie Mae

   2.625% 20 Nov 2014      —           6,189,682   
 

Fed HM LN PC Pool 1L1358

   1.0% 01 May 2036      —           859,317   
 

Fed HM LN PC Pool 1Q0669

   1.0% 01 Nov 2037      —           59,698   
 

Fed HM LN PC Pool 1Q1159

   1.0% 01 May 2038      —           538,781   
 

Fed HM LN PC Pool A89385

   4.5% 01 Oct 2039      —           2,348,681   
 

Fed HM LN PC Pool C09004

   3.5% 01 Jul 2042      —           319,993   
 

Fed HM LN PC Pool G01843

   6.0% 01 Jun 2035      —           518,974   
 

Fed HM LN PC Pool G03205

   5.5% 01 Jul 2035      —           101,699   

 

44


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Fed HM LN PC Pool G03737

   6.5% 01 Nov 2037      —           544,187   
 

Fed HM LN PC Pool G08542

   4.0% 01 Aug 2043      —           2,758,523   
 

Fed HM LN PC Pool G12743

   5.5% 01 Aug 2022      —           124,524   
 

Fed HM LN PC Pool J16933

   3.0% 01 Oct 2026      —           35,355   
 

Fed HM LN PC Pool J18615

   3.0% 01 Apr 2027      —           21,760   
 

Fed HM LN PC Pool J18702

   3.0% 01 Mar 2027      —           114,231   
 

Fed HM LN PC Pool J18832

   3.0% 01 Apr 2027      —           14,525   
 

Fed HM LN PC Pool J19087

   3.0% 01 May 2027      —           13,773   
 

Fed HM LN PC Pool Q03572

   4.0% 01 Sep 2041      —           2,560,434   
 

Fed HM LN PC Pool Q11095

   3.5% 01 Sep 2042      —           2,574,693   
 

Federal Farm Credit Bank

   1.0% 29 Sep 2014      —           837,221   
 

Federal Home Loan Mortgage Cor

   4.0% 01 Dec 2099      —           1,498,907   
 

Federal Natl Mtg Assn

   3.5% 01 Dec 2099      —           1,420,957   
 

Florida St Hurricane Catastrop Flsgen

   2.995% 01 Jul 2020      —           902,539   
 

FNMA Conv 15Yr TBA

   2.5% 01 Dec 2099      —           1,969,356   
 

FNMA Pool 254693

   5.5% 01 Apr 2033      —           175,686   
 

FNMA Pool 725222

   5.5% 01 Feb 2034      —           229,120   
 

FNMA Pool 725423

   5.5% 01 May 2034      —           170,606   
 

FNMA Pool 725424

   5.5% 01 Apr 2034      —           78,396   
 

FNMA Pool 725690

   6.0% 01 Aug 2034      —           70,647   
 

FNMA Pool 725946

   5.5% 01 Nov 2034      —           207,395   
 

FNMA Pool 735141

   5.5% 01 Jan 2035      —           —     
 

FNMA Pool 735667

   5.0% 01 Jul 2035      —           1,396,241   
 

FNMA Pool 735676

   5.0% 01 Jul 2035      —           395,499   
 

FNMA Pool 743132

   5.0% 01 Oct 2018      —           424,117   
 

FNMA Pool 745275

   5.0% 01 Feb 2036      —           1,216,196   
 

FNMA Pool 745327

   6.0% 01 Mar 2036      —           —     
 

FNMA Pool 756363

   1.0% 01 Dec 2033      —           118,659   
 

FNMA Pool 770946

   5.0% 01 Apr 2034      —           296,341   
 

FNMA Pool 776971

   5.0% 01 Apr 2034      —           309,186   
 

FNMA Pool 831540

   6.0% 01 Jun 2036      —           394,612   
 

FNMA Pool 844444

   5.0% 01 Dec 2035      —           506,316   
 

FNMA Pool 888340

   5.0% 01 Aug 2036      —           356,724   
 

FNMA Pool 888521

   1.0% 01 Mar 2034      —           209,120   
 

FNMA Pool 889004

   1.0% 01 Aug 2037      —           300,950   
 

FNMA Pool 889361

   6.0% 01 Mar 2038      —           —     
 

FNMA Pool 914789

   5.0% 01 Apr 2037      —           970,133   
 

FNMA Pool 931745

   5.0% 01 Aug 2024      —           1,713,641   
 

FNMA Pool 986148

   5.5% 01 Jan 2038      —           1,247,588   
 

FNMA Pool AD8529

   4.5% 01 Aug 2040      —           452,629   
 

FNMA Pool AK2989

   3.0% 01 May 2027      —           1,280,809   
 

FNMA Pool AL0139

   1.0% 01 Feb 2039      —           542,237   
 

FNMA Pool AL2891

   3.5% 01 Dec 2042      —           1,849,352   
 

FNMA Pool AO5515

   3.5% 01 Jul 2042      —           384,068   
 

FNMA Pool AQ5046

   3.0% 01 Dec 2042      —           35,055   
 

FNMA Pool AR6071

   3.0% 01 Apr 2043      —           22,900   
 

FNMA TBA 30Yr Single Family

   3.5% 01 Dec 2099      —           4,837,750   
 

FNMA TBA Jan 30 Single Fam

   4.5% 01 Feb 2099      —           1,742,406   
 

FNMA TBA Jan 30 Single Fam

   5.0% 01 Dec 2099      —           1,025,040   

 

45


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

FNMA TBA Single Family Mortgage

   4.0% 01 Dec 2099      —           1,061,726   
 

Freddie Mac

   4.875% 13 Jun 2018      —           4,046,767   
 

Illinois St

   2.42% 01 Apr 2017      —           1,357,162   
 

Japan Treasury Disc Bill

   0.01% 14 Jan 2014      —           1,758,957   
 

Japan Treasury Disc Bill

   0.01% 20 Jan 2014      —           1,481,213   
 

Met Transprtn Auth NY

   5.0% 15 Nov 2038      —           515,002   
 

North Carolina State Education

   1.0% 25 Jul 2025      —           1,407,723   
 

Province of Ontario

   4.0% 07 Oct 2019      —           2,017,185   
 

Province of Quebec

   4.6% 26 May 2015      —           1,225,984   
 

Republic Of Indonesia

   3.375% 15 Apr 2023      —           224,800   
 

Republic Of Poland

   6.375% 15 Jul 2019      —           45,490   
 

Republic Of Poland

   3.875% 16 Jul 2015      —           438,800   
 

Russia Foreign Bond

   1.0% 31 Mar 2030      —           177,386   
 

Sacramento City

   5.0% 01 Jul 2031      —           496,444   
 

San Antonio Tx Elec Gas Reve

   5.0% 01 Feb 2043      —           490,077   
 

State of Qatar

   4.5% 20 Jan 2022      —           288,391   
 

Treasury Bill

   0.10% 06 Feb 2014      —           3,721,496   
 

Treasury Bill

   0.1% 20 Mar 2014      —           37,797,884   
 

Tsy Infl Ix N/B

   0.125% 15 Apr 2016      —           3,849,708   
 

Univ of Massachusetts Ma Bldg

   5.0% 01 Nov 2039      —           500,779   
 

US Treasury N/B

   1.25% 30 Nov 2018      —           1,647,334   
 

US Treasury N/B

   1.875% 30 Apr 2014      —           5,720,105   
 

US Treasury N/B

   3.625% 15 Feb 2020      —           3,833,939   
 

US Treasury N/B

   2.5% 30 Apr 2015      —           7,252,553   
 

US Treasury N/B

   1.875% 30 Jun 2015      —           1,913,493   
 

US Treasury N/B

   1.5% 31 Aug 2018      —           1,524,764   
 

US Treasury N/B

   1.375% 30 Sep 2018      —           6,069,887   
 

US Treasury N/B

   0.875% 4/30/20 17      —           358,958   
 

US Treasury N/B

   0.25% 15 Oct 2015      —           3,114,589   
 

US Treasury N/B

   0.75% 31 Oct 2017      —           1,218,146   
 

US Treasury N/B

   1.625% 15 Nov 2022      —           4,584,856   
 

US Treasury N/B

   1.75% 15 May 2023      —           2,214,508   
 

US Treasury N/B

   0.25% 31 May 2015      —           1,893,460   
 

US Treasury N/B

   2.5% 15 Aug 2023      —           7,718,365   
 

US Treasury N/B

   2.75% 15 Nov 2023      —           1,484,982   
 

US Treasury N/B

   0.625% 15 Nov 2016      —           1,843,152   
 

US Treasury N/B

   0.25% 31 Dec 2015      —           18,948,243   
 

US Treasury N/B

   1.5% 31 Dec 2018      —           2,713,117   
 

US Treasury N/B

   1.0% 31 Aug 2016      —           2,484,883   
 

US Treasury N/B

   0.25% 31 Aug 2014      —           19,463,009   
 

US Treasury N/B

   0.125% 30 Apr 2015      —           5,671,063   
 

US Treasury N/B

   1.75% 31 Oct 2020      —           1,390,937   
 

US Treasury N/B

   6.5% 15 Nov 2026      —           58,488   
 

US Treasury N/B

   2.125% 31 May 2015      —           36,386,023   
 

US Treasury N/B

   1.75% 31 May 2016      —           9,637,010   
 

US Treasury N/B

   0.25% 31 Jan 2014      —           31,541,308   
 

US Treasury N/B

   1.375% 31 Jul 2018      —           14,454,905   
          

 

 

 
             312,815,622   
          

 

 

 

 

46


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Corporate and Other Obligations

        
 

21st Century Fox America Company

   4.5% 15 Feb 2021      —           401,547   
 

ABN AMRO Bank N.V.

   2.5% 30 Oct 2018      —           473,618   
 

ABN AMRO Bank N.V.

   4.25% 02 Feb 2017      —           417,274   
 

ABN AMRO Bank N.V.

   2.5% 30 Oct 2018      —           531,612   
 

Ace Ina Holdings Company

   5.6% 15 May 2015      —           192,004   
 

Agilent Technologies Inc

   6.5% 01 Nov 2017      —           569,194   
 

Alcoa Inc

   6.75% 15 Jul 2018      —           465,990   
 

Allegheny Technologies

   5.87% 15 Aug 2023      —           540,491   
 

Allegheny Technologies

   5.95% 15 Jan 2021      —           121,131   
 

Allied World Assurance

   7.5% 01 Aug 2016      —           184,314   
 

Ally Auto Receivables Trust

   0.72% 20 May 2016      —           761,264   
 

Ally Master Owner Trust

   1.54% 15 Sep 2019      —           1,212,435   
 

Ally Master Owner Trust

   1.0% 15 Feb 2018      —           496,766   
 

Ally Master Owner Trust

   1.0% 15 Feb 2018      —           696,446   
 

Altria Group Inc

   4.75% 05 May 2021      —           887,599   
 

Amazon.com Inc

   0.65% 27 Nov 2015      —           982,333   
 

America Movil

   3.625% 30 Mar 2015      —           718,342   
 

American Express

   0.59% 15 May 2018      —           578,690   
 

American Express

   0.68% 15 Mar 2018      —           1,047,909   
 

American Intl Group

   4.875% 15 Sep 2016      —           561,079   
 

American Intl Group

   5.45% 18 May 2017      —           435,037   
 

American Intl Group

   3.8% 22 Mar 2017      —           218,214   
 

American Intl Group

   4.875% 01 Jun 2022      —           313,755   
 

American Intl Group

   6.4% 15 Dec 2020      —           977,503   
 

American Tower

   5.05% 01 Sep 2020      —           396,153   
 

Americredit Automobile Receivables

   0.96% 09 Jan 2017      —           581,008   
 

Americredit Automobile Receivables

   0.49% 08 Apr 2016      —           240,683   
 

Americredit Automobile Receivables

   0.92% 09 Apr 2018      —           656,768   
 

Americredit Automobile Receivables

   0.96% 09 Apr 2018      —           272,865   
 

Americredit Automobile Receivables

   1.55% 08 Jul 2016      —           703,062   
 

Anadarko Petroleum Corp

   6.375% 15 Sep 2017      —           893,698   
 

Aon Plc

   3.5% 30 Sep 2015      —           492,544   
 

Apple Inc

   1.0% 03 May 2018      —           371,649   
 

Asciano Finance

   3.125% 23 Sep 2015      —           482,607   
 

AT&T Inc

   5.8% 15 Feb 2019      —           457,338   
 

AT&T Inc

   1.0% 27 Nov 2018      —           745,148   
 

Baidu Inc

   2.25% 28 Nov 2017      —           196,165   
 

Baidu Inc

   3.25% 06 Aug 2018      —           290,148   

*

 

Bank of America

   6.4% 28 Aug 2017      —           975,992   

*

 

Bank of America

   6.875% 25 Apr 2018      —           247,357   

*

 

Bank of America

   6.0% 01 Sep 2017      —           749,935   

*

 

Bank of America

   1.0% 15 Jan 2019      —           926,715   

*

 

Bank of America

   5.65% 01 May 2018      —           149,524   

*

 

Bank of America

   7.625% 01 Aug 2019      —           205,172   

*

 

Bank of America

   5.625% 01 Jul 2020      —           939,565   

*

 

Bank of America

   5.7% 24 Jan 2022      —           38,547   

*

 

Bank of America

   3.875% 22 Mar 2017      —           124,626   

 

47


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost  (1)      Current Value  

*

 

Bank of America

   5.42% 15 Mar 2017      —           320,926   

*

 

Bank of America

   5.49% 15 Mar 2019      —           969,467   

*

 

Bank of America

   6.1% 15 Jun 2017      —           351,103   

*

 

Bank of America

   3.75% 12 Jul 2016      —           460,335   

*

 

Bank of America

   2.6% 15 Jan 2019      —           302,975   

*

 

Bank of America

   6.05% 18 May 2016      —           433,580   

*

 

Bank of America

   6.875% 25 Apr 2018      —           172,575   

*

 

Bank of America

   1.03% 15 Dec 2016      —           387,290   
 

Barclays Bank Plc

   5.125% 08 Jan 2020      —           404,603   
 

Barrick NA Finance LLC

   4.4% 30 May 2021      —           758,883   
 

Barrick NA Finance LLC

   4.4% 30 May 2021      —           177,073   

*

 

Baxter International Inc

   1.85% 15 Jan 2017      —           216,371   
 

BBVA US

   4.664% 09 Oct 2015      —           956,450   
 

Bear Stearns Commercial Mortgage

   1.0% 11 Jun 2040      —           1,107,574   
 

Bear Stearns Commercial Mortgage

   1.0% 11 Sep 2038      —           271,227   
 

Bear Stearns Commercial Mortgage

   1.0% 11 Sep 2038      —           56,976   
 

Bear Stearns Commercial Mortgage

   5.533% 12 Oct 2041      —           6,312   
 

Bear Stearns Commercial Mortgage

   1.0% 12 Jan 2045      —           792,403   
 

Bear Stearns Cos LLC

   7.25% 01 Feb 2018      —           879,647   
 

Berkshire Hathaway Fin

   1.6% 15 May 2017      —           663,140   
 

BNP Paribas

   2.4% 12 Dec 2018      —           921,527   
 

Boston Properties LP

   3.7% 15 Nov 2018      —           272,007   
 

BP Capital Markets Plc

   1.846% 05 May 2017      —           933,674   
 

BP Capital Markets Plc

   4.5% 01 Oct 2020      —           473,082   
 

BP Capital Markets Plc

   1.375% 06 Nov 2017      —           364,135   
 

BPCE SA

   5.7% 22 Oct 2023      —           265,280   
 

British Telecom Plc

   1.625% 28 Jun 2016      —           412,280   
 

British Telecom Plc

   1.625% 28 Jun 2016      —           480,994   
 

Bunge Limited Finance Co

   8.5% 15 Aug 2019      —           300,038   
 

Burlington North Santa Fe

   5.75% 15 Mar 2018      —           299,525   
 

Canadian National Railways Co

   1.45% 15 Dec 2018      —           930,949   
 

Capital Auto Receivables

   0.79% 20 Jun 2017      —           451,644   
 

Capital One

   5.25% 21 Feb 2017      —           399,788   
 

Capital One

   1.0% 15 Mar 2017      —           559,734   
 

Capital One

   1.5% 22 Mar 2018      —           1,324,771   
 

Carmax Auto Owner Trust

   0.84% 15 Mar 2017      —           1,577,205   
 

Carmax Auto Owner Trust

   0.89% 15 Sep 2016      —           427,672   
 

Carmax Auto Owner Trust

   1.41% 16 Feb 2016      —           773,615   
 

Caterpillar Financial

   1.0% 25 Nov 2018      —           952,888   
 

CBS Corp

   8.875% 15 May 2019      —           211,491   
 

CBS Corp

   5.75% 15 Apr 2020      —           278,528   
 

CD Commercial Mortgage Trust

   5.322% 28 Jun 2016      —           1,491,825   
 

Cellco Part/Veri Wirelss

   8.5% 15 Nov 2018      —           418,881   
 

Centerpoint Energy Resources

   4.5% 15 Jan 2021      —           103,788   
 

CF Industries Inc

   7.125% 01 May 2020      —           901,034   
 

Chase

   1.3% 18 Feb 2020      —           448,956   
 

CIT Equipment Collateral

   1.1% 22 Aug 2016      —           181,122   
 

CIT Equipment Collateral

   1.13% 20 Jul 2020      —           458,088   
 

Citifinancial Mortgage

   1.0% 25 Jan 2033      —           55,444   

 

48


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost  (1)      Current Value  
 

Citigroup Commercial Mortgage

   1.0% 10 Dec 2049      —           435,295   
 

Citigroup Commercial Mortgage

   5.431% 15 Oct 2045      —           244,182   
 

Citigroup Commercial Mortgage

   1.0% 15 Mar 2049      —           282,809   
 

Citigroup Inc

   5.375% 09 Aug 2020      —           476,000   
 

Citigroup Inc

   4.5% 14 Jan 2022      —           479,484   
 

Citigroup Inc

   6.01% 15 Jan 2015      —           590,203   
 

Citigroup Inc

   5.375% 09 Aug 2020      —           438,363   
 

Citigroup Inc

   4.5% 14 Jan 2022      —           760,987   
 

Cleveland Electric

   5.7% 01 Apr 2017      —           219,248   
 

CNH Equipment Trust

   0.63% 17 Jan 2017      —           375,758   
 

CNH Equipment Trust

   0.49% 15 Mar 2017      —           459,724   
 

CNH Equipment Trust

   0.94% 15 May 2017      —           268,961   
 

CNH Equipment Trust

   1.74% 17 Jan 2017      —           487,379   
 

Coca Cola Co

   3.3% 01 Sep 2021      —           1,364,444   
 

Coca Cola Co

   3.2% 01 Nov 2023      —           935,895   
 

Comcast Corp

   5.15% 01 Mar 2020      —           331,077   
 

Comcast Corp

   4.95% 15 Jun 2016      —           175,312   
 

Comcast Corp

   6.5% 15 Jan 2017      —           195,076   
 

Comm Mortgage Trust

   3.147% 15 Aug 2045      —           230,226   
 

Comm Mortgage Trust

   1.0% 10 Jul 2045      —           967,681   
 

Comm Mortgage Trust

   1.0% 10 Oct 2046      —           818,358   
 

Comm Mortgage Trust

   1.8726% 12 Apr 2035      —           234,940   
 

Comm Mortgage Trust

   3.689% 10 Aug 2046      —           917,012   
 

Conagra Foods Inc

   1.9% 25 Jan 2018      —           1,031,621   
 

Cons Edison Co

   5.3% 01 Dec 2016      —           870,785   
 

Constellation Energy

   5.15% 01 Dec 2020      —           90,081   
 

Consumers Energy

   6.12% 15 Mar 2019      —           315,657   
 

Countrywide Finl Corp

   6.25% 15 May 2016      —           78,384   
 

Coventry Health Care Inc

   6.125% 1/15/2015      —           30,827   
 

Coventry Health Care Inc

   5.95% 3/15/2017      —           93,509   
 

Coventry Health Care Inc

   6.3% 8/15/2014      —           261,879   
 

Cox Communications Inc

   6.2% 01 Jun 2018      —           898,971   
 

Crane Co

   2.75% 15 Dec 2018      —           154,928   
 

Credit Based Asset Servicing

   1.0% 25 Jan 2033      —           117,450   
 

Credit Suisse

   6.5% 08 Aug 2023      —           283,643   
 

Credit Suisse

   5.3% 13 Aug 2019      —           983,052   
 

Credit Suisse Mortgage Trust

   1.0% 15 Jun 2038      —           597,017   
 

Credit Suisse Mortgage Trust

   5.467% 15 Sep 2039      —           —     
 

CS First Boston Mortgage

   1.0% 15 Feb 2038      —           268,808   
 

CVS Caremark Corp

   2.25% 05 Dec 2018      —           1,045,718   
 

Daimler Finance NA LLC

   1.25% 11 Jan 2016      —           852,015   
 

Delta Air Lines

   7.75% 17 Jun 2021      —           563,939   
 

Diageo Capital Plc

   7.375% 15 Jan 2014      —           302,377   
 

DirecTV Holdings LLC

   4.75% 01 Oct 2014      —           145,289   
 

DirecTV Holdings LLC

   4.6% 15 Feb 2021      —           251,212   
 

DirecTV Holdings LLC

   3.8% 15 Mar 2022      —           224,338   
 

Discover Bank

   7.0% 15 Apr 2020      —           452,655   
 

Discover Card

   0.81% 15 Aug 2017      —           302,700   
 

Discover Card

   1.04% 15 Apr 2019      —           626,602   

 

49


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost  (1)      Current Value  
 

Discover Card

   0.86% 15 Nov 2017      —           264,762   
 

Dominion Resources Inc

   1.95% 15 Aug 2016      —           929,797   
 

Dow Chemical Co

   8.55% 15 May 2019      —           300,277   
 

Dow Chemical Co

   4.125% 15 Nov 2021      —           321,639   
 

Dryrock

   0.64% 15 Aug 2018      —           573,930   
 

Duke Energy Indiana Inc

   1.0% 11 Jul 2016      —           258,181   
 

Duke Realty LP

   8.25% 15 Aug 2019      —           72,287   
 

Enel Finance Intl NV

   6.25% 15 Sep 2017      —           679,199   
 

Energy Transfer Partners

   4.65% 01 Jun 2021      —           335,307   
 

Energy Transfer Partners

   6.7% 01 Jul 2018      —           555,841   
 

Energy Transfer Partners

   4.15% 01 Oct 2020      —           913,191   
 

Enterprise Products

   5.2% 01 Sep 2020      —           276,010   
 

Enterprise Products

   3.35% 15 Mar 2023      —           318,886   
 

Enterprise Products

   1.25% 13 Aug 2015      —           964,817   
 

ERAC USA Finance LLC

   2.25% 10 Jan 2014      —           929,540   
 

Ericsson

   4.125% 15 May 2022      —           472,885   
 

ERP Operating LP

   5.25% 15 Sep 2014      —           416,664   
 

Eurasian Development

   5.0% 28 Sep 2020      —           450,483   
 

Exelon Generation Co LLC

   4.0% 01 Oct 2020      —           408,521   
 

Extended Stay America Trust

   1.0% 05 Dec 2031      —           258,239   
 

Extended Stay America Trust

   2.2952% 05 Dec 2031      —           330,464   
 

Federal Realty Invs Trst

   5.65% 01 Jun 2016      —           299,708   
 

FHLMC Multifamily Structured

   3.23% 25 Jul 2021      —           3,670,138   
 

FHLMC Multifamily Structured

   2.412% 25 Aug 2018      —           302,422   
 

FHLMC Multifamily Structured

   2.13% 25 Jan 2019      —           649,274   
 

FHLMC Multifamily Structured

   2.086% 25 Mar 2019      —           901,372   
 

FHLMC Multifamily Structured

   1.883% 25 May 2019      —           3,138,142   
 

FHLMC Multifamily Structured

   1.0% 25 Feb 2023      —           1,241,482   
 

FHLMC Multifamily Structured

   2.917% 25 Aug 2020      —           539,347   
 

FHLMC Multifamily Structured

   1.603% 25 Jan 2022      —           840,269   
 

FHLMC Multifamily Structured

   2.615% 25 Mar 2023      —           585,097   
 

Fifth Third Auto Trust

   0.61% 15 Sep 2017      —           390,958   
 

Fifth Third Bancorp

   3.5% 15 Mar 2022      —           179,336   
 

First National

   1.0% 15 Oct 2019      —           340,566   
 

Ford Credit

   1.0% 15 Jan 2016      —           973,135   
 

Ford Credit

   4.2% 15 Feb 2017      —           1,315,831   
 

Ford Credit Auto Lease Trust

   0.54% 15 Nov 2014      —           202,509   
 

Ford Credit Auto Owner Trust

   1.0% 15 Sep 2017      —           318,129   
 

Ford Credit Floorplan Master

   0.85% 15 Jan 2018      —           299,649   
 

Ford Motor Credit Co LLC

   8.125% 15 Jan 2020      —           1,545,265   
 

Ford Motor Credit Co LLC

   5.875% 02 Aug 2021      —           832,878   
 

Ford Motor Credit Co LLC

   5.875% 02 Aug 2021      —           992,835   
 

Freeport McMoran

   2.375% 15 Mar 2018      —           248,491   
 

Freeport Mcmoran

   2.15% 01 Mar 2017      —           455,414   
 

Gazprom (Gaz Capital SA)

   6.212% 22 Nov 2016      —           328,271   
 

GCCFC Commercial Mortgage

   5.444% 10 Mar 2039      —           1,207,784   
 

GCCFC Commercial Mortgage

   5.444% 10 Mar 2039      —           844,296   
 

GDF Suez

   1.625% 10 Oct 2017      —           171,451   
 

General Elec Cap Corp

   1.76% 15 Sep 2022      —           1,337,172   

 

50


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

GE Equipment

   1.0% 24 Aug 2015      —           99,943   
 

General Elec Cap Corp

   5.5% 08 Jan 2020      —           1,225,725   
 

General Elec Cap Corp

   4.65% 17 Oct 2021      —           206,716   
 

Genworth Holdings Inc

   7.7% 15 Jun 2020      —           283,834   
 

Genworth Holdings Inc

   7.2% 15 Feb 2021      —           870,033   
 

Gerdau Trade Inc

   5.75% 30 Jan 2021      —           101,236   
 

Gerdau Trade Inc

   4.75% 15 Apr 2023      —           372,922   
 

Glaxosmithkline Capital Company

   1.5% 5/08/20 17      —           895,601   
 

Glencore Funding LLC

   4.125% 30 May 2023      —           304,624   
 

Goldman Sachs Group

   6.25% 01 Sep 2017      —           841,070   
 

Goldman Sachs Group

   7.5% 15 Feb 2019      —           474,055   
 

Goldman Sachs Group

   6.0% 15 Jun 2020      —           345,858   
 

Goldman Sachs Group

   5.75% 24 Jan 2022      —           355,987   
 

Goldman Sachs Group

   1.0% 29 Nov 2023      —           894,461   
 

Goldman Sachs Group

   5.25% 27 Jul 2021      —           788,345   
 

Goldman Sachs Group

   5.75% 24 Jan 2022      —           509,335   
 

GS Mortgage Securities Trust

   1.0% 11 Aug 2029      —           2,897,548   
 

GS Mortgage Securities Trust

   1.0% 10 Jul 2026      —           852,502   
 

GS Mortgage Securities Trust

   4.751% 10 Jul 2039      —           746,242   
 

GS Mortgage Securities Trust

   1.0% 11 Aug 2029      —           513,612   
 

GS Mortgage Securities Trust

   1.0% 10 Aug 2038      —           277,929   
 

Harley Davidson Motorcycle

   0.68% 15 Apr 2017      —           365,194   
 

Hartford Finl Svcs Grp

   4.0% 30 Mar 2015      —           80,871   
 

Hartford Finl Svcs Grp

   5.5% 30 Mar 2020      —           261,386   
 

Hartford Finl Svcs Grp

   5.125% 15 Apr 2022      —           211,970   
 

HCP Inc

   5.375% 01 Feb 2021      —           543,388   
 

Health Care Reit Inc

   5.25% 15 Jan 2022      —           528,825   
 

Health Care Reit Inc

   2.25% 15 Mar 2018      —           365,561   
 

Healthcare Realty Trust

   3.75% 15 Apr 2023      —           72,018   
 

Hess Corp

   8.125% 15 Feb 2019      —           531,798   
 

Hewlett Packard Co

   4.30% 01 Jun 2021      —           877,744   
 

Hewlett Packard Co

   4.65% 09 Dec 2021      —           99,190   
 

Hewlett Packard Co

   4.3% 01 Jun 2021      —           261,351   
 

Hilton USA Trust

   2.662% 05 Nov 2030      —           1,046,575   
 

Honda Auto Receivables

   0.7% 16 Feb 2016      —           497,247   
 

Honda Auto Receivables

   0.56% 15 May 2016      —           862,261   
 

HSBC Holdings PLC

   5.1% 05 Apr 2021      —           248,743   
 

Humana Inc

   7.2% 15 Jun 2018      —           500,755   
 

Huntington Auto Trust

   1.01% 15 Jan 2016      —           126,030   
 

Huntington Auto Trust

   1.18% 15 Jun 2017      —           1,127,172   
 

Hyundai Auto Lease

   0.66% 15 Jun 2016      —           518,176   
 

Hyundai Auto Receivables

   1.65% 15 Feb 2017      —           721,450   
 

ING Bank

   2.0% 25 Sep 2015      —           504,474   
 

Intl Bk Recon & Develop

   9.25% 15 Jul 2017      —           155,399   
 

Intl Paper Co

   7.95% 15 Jun 2018      —           70,917   
 

Jabil Circuit Inc

   8.25% 15 Mar 2018      —           102,790   
 

John Deere Capital Corp

   2.0% 13 Jan 2017      —           410,656   
 

JP Morgan Chase Commercial Mortgage

   5.42% 15 Jan 2049      —           1,451,655   
 

JP Morgan Chase & Co

   6.0% 15 Jan 2018      —           997,191   

 

51


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

JP Morgan Chase & Co

   4.4% 22 Jul 2020      —           298,105   
 

JP Morgan Chase & Co

   6.0% 15 Jan 2018      —           448,176   
 

JP Morgan Chase Commercial Mortgage

   1.0% 12 Jun 2043      —           687,584   
 

JP Morgan Chase Commercial Mortgage

   5.439% 15 Jan 2049      —           1,072,931   
 

JP Morgan Chase Commercial Mortgage

   1.0% 12 Feb 2051      —           949,327   
 

JP Morgan Chase Commercial Mortgage

   2.7493% 15 Nov 2043      —           328,369   
 

JP Morgan Chase Commercial Mortgage

   1.0% 12 Dec 2044      —           66,303   
 

JP Morgan Chase Commercial Mortgage

   3.1425% 15 Dec 2047      —           960,674   
 

Kazmunaygas National Co

   7.0% 05 May 2020      —           223,910   
 

Kinder Morgan

   5.95% 15 Feb 2018      —           453,363   
 

Kinder Morgan

   6.85% 15 Feb 2020      —           717,119   
 

Kinder Morgan

   4.15% 01 Mar 2022      —           189,329   
 

Kinder Morgan

   3.95% 01 Sep 2022      —           355,573   
 

Korea Finance Corp

   2.25% 07 Aug 2017      —           875,548   
 

Korea National Oil Corp

   3.125% 03 Apr 2017      —           496,066   
 

Kraft Foods Group Inc

   5.375% 10 Feb 2020      —           466,561   
 

LB UBS Commercial Mortgage

   5.3% 15 Nov 2038      —           307,729   
 

LB UBS Commercial Mortgage

   1.0% 15 Jun 2029      —           42,474   
 

Liberty Property LP

   5.5% 15 Dec 2016      —           75,188   
 

Liberty Property LP

   6.625% 01 Oct 2017      —           44,571   
 

Life Technologies Corp

   6.0% 01 Mar 2020      —           609,337   
 

Lincoln National Corp

   4.3% 15 Jun 2015      —           142,815   
 

Lincoln National Corp

   8.75% 01 Jul 2019      —           127,751   
 

Lorillard Tobacco Co

   2.3% 21 Aug 2017      —           672,881   
 

Lorillard Tobacco Co

   3.75% 20 May 2023      —           416,340   
 

Lyondellbasell Ind

   5.0% 15 Apr 2019      —           929,388   
 

M&T Bank Auto Receivables Trust

   1.06% 15 Nov 2017      —           423,370   
 

Macquarie Bank Ltd

   5.0% 22 Feb 2017      —           98,134   
 

Macquarie Group Ltd

   4.875% 10 Aug 2017      —           201,175   
 

Macys Retail Hldgs Inc

   3.875% 15 Jan 2022      —           402,826   
 

Manuf & Traders Trust Co

   1.0% 28 Dec 2020      —           253,075   
 

Marathon Petroleum Corp

   5.125% 01 Mar 2021      —           161,272   
 

McKesson Corp

   3.25% 01 Mar 2016      —           1,049,586   
 

Mercedes Benz Auto Lease Trust

   0.59% 15 Feb 2016      —           336,863   
 

Merrill Lynch Mortgage

   1.0% 25 Aug 2036      —           13,969   
 

Merrill Lynch Mortgage

   4.96% 12 Jul 2038      —           292,760   
 

Merrill Lynch Mortgage

   1.0% 12 Aug 2043      —           346,320   
 

Methanex Corp

   3.25% 15 Dec 2019      —           231,778   

*

 

MetLife Inc

   7.717% 15 Feb 2019      —           142,319   

*

 

MetLife Inc

   6.817% 15 Aug 2018      —           430,751   

*

 

MetLife Inc

   6.75% 01 Jun 2016      —           337,447   
 

ML CFC Commercial Mortgage Trust

   1.0% 12 Mar 2051      —           1,204,119   
 

ML CFC Commercial Mortgage Trust

   5.166% 12 Dec 2049      —           1,298,167   
 

ML CFC Commercial Mortgage Trust

   5.7% 12 Sep 2049      —           800,053   
 

Morgan Stanley

   5.5% 24 Jul 2020      —           544,127   
 

Morgan Stanley

   5.5% 28 Jul 2021      —           339,249   
 

Morgan Stanley

   5.625% 23 Sep 2019      —           353,935   
 

Morgan Stanley

   5.55% 27 Apr 2017      —           222,518   
 

Morgan Stanley

   5.95% 28 Dec 2017      —           772,648   

 

52


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Morgan Stanley

   5.5% 28 Jul 2021      —           451,245   
 

Morgan Stanley

   6.625% 01 Apr 2018      —           1,451,657   
 

Morgan Stanley BAML Trust

   4.039% 15 Nov 2046      —           450,570   
 

Morgan Stanley Capital I Trust

   4.89% 12 Jun 2047      —           913,459   
 

Morgan Stanley Capital I Trust

   1.0% 12 Aug 2041      —           9,471   
 

Morgan Stanley Capital I Trust

   1.0% 11 Jun 2042      —           579,421   
 

Morgan Stanley Capital I Trust

   1.0% 11 Jun 2042      —           812,798   
 

Motel 6 Trust

   1.9483% 05 Oct 2025      —           491,263   
 

Murray St Inv Trust I

   1.0% 08 Mar 2017      —           48,202   
 

Mylan Inc

   4.2% 29 Nov 2023      —           909,225   
 

Mylan Inc

   2.55% 28 Mar 2019      —           741,767   
 

Mylan Inc

   2.55% 28 Mar 2019      —           472,034   
 

Nabors Industries Inc

   5.10% 15 Sep 2023      —           179,723   
 

Nabors Industries Inc

   5.0% 15 Sep 2020      —           617,633   
 

Natl Grid PLC

   6.3% 01 Aug 2016      —           547,135   
 

NBC Universal Enterprise

   1.0% 15 Apr 2016      —           968,573   
 

NCUA Guaranteed Notes

   1.0% 07 Oct 2020      —           778,562   
 

NCUA Guaranteed Notes

   1.0% 08 Dec 2020      —           2,713,694   
 

NCUA Guaranteed Notes

   2.9% 29 Oct 2020      —           713,632   
 

Nevada Power Co

   6.5% 01 Aug 2018      —           288,034   
 

Newmont Mining Corp

   3.5% 15 Mar 2022      —           650,169   
 

Nisource Finance Corp

   6.8% 15 Jan 2019      —           418,996   
 

Nisource Finance Corp

   5.25% 15 Sep 2017      —           376,043   
 

Nissan Auto Lease Trust

   0.45% 15 Jun 2015      —           149,105   
 

Nissan Auto Lease Trust

   0.57% 15 Jan 2016      —           474,720   
 

Noble Energy Inc

   8.25% 01 Mar 2019      —           419,677   
 

Noble Holding Intl Ltd

   4.9% 01 Aug 2020      —           37,996   
 

Noble Holding Intl Ltd

   3.95% 15 Mar 2022      —           128,421   
 

Nomura Holdings Inc

   2.0% 13 Sep 2016      —           482,696   
 

Norfolk Southern Corp

   5.75% 01 Apr 2018      —           216,178   
 

Occidental Petroleum Corp

   1.75% 15 Feb 2017      —           942,219   
 

Odebrecht Finance Ltd

   5.125% 26 Jun 2022      —           190,474   
 

Omnicom Group Inc

   4.45% 15 Aug 2020      —           934,643   
 

Omnicom Group Inc

   3.625% 01 May 2022      —           157,363   
 

Oneok Inc

   4.25% 01 Feb 2022      —           443,959   
 

Oracle Corp

   1.2% 15 Oct 2017      —           737,300   
 

Orix Corp

   4.71% 27 Apr 2015      —           298,251   
 

Owens Corning Inc

   6.5% 01 Dec 2016      —           225,673   
 

Penarth

   1.0% 18 Mar 2014      —           540,167   
 

Petroleos Mexicanos

   3.5% 18 Jul 2018      —           267,621   
 

Petronas Capital Ltd

   5.25% 12 Aug 2019      —           421,270   
 

Philip Morris Intl Inc

   4.5% 26 Mar 2020      —           136,784   
 

Philip Morris Intl Inc

   1.875% 15 Jan 2019      —           784,502   
 

PNC Bank NA

   6.875% 01 Apr 2018      —           488,952   
 

Pride International Inc

   8.5% 15 Jun 2019      —           230,687   
 

Prudential Financial Inc

   4.5% 15 Nov 2020      —           296,460   
 

Quest Diagnostic Inc

   4.75% 30 Jan 2020      —           465,638   
 

Questar Corp

   2.75% 01 Feb 2016      —           551,424   
 

Raytheon

   3.125% 15 Oct 2020      —           930,316   

 

53


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Regency Centers LP

   5.25% 01 Aug 2015      —           63,020   
 

Regency Centers LP

   5.875% 15 Jun 2017      —           157,299   
 

Reliance Steel & Alum

   4.5% 15 Apr 2023      —           81,131   
 

Republic Services Inc

   3.8% 15 May 2018      —           13,398   
 

Residential Asset Securities

   1.0% 25 May 2033      —           7,466   
 

Reynolds American Inc

   3.25% 01 Nov 2022      —           208,074   
 

Rio Tinto Fin USA PLC

   3.5% 02 Nov 2020      —           784,828   
 

Rio Tinto Fin USA PLC

   3.5% 22 Mar 2022      —           71,615   
 

Rio Tinto Fin USA PLC

   2.875% 21 Aug 2022      —           231,261   
 

Rio Tinto Fin USA PLC

   2.25% 14 Dec 2018      —           428,932   
 

Rockwell Collins Inc

   1.0% 15 Dec 2016      —           180,011   
 

Rowan Companies Inc

   5.0% 01 Sep 2017      —           374,368   
 

Royal Bk of Scotland Plc

   6.125% 11 Jan 2021      —           429,527   
 

Royal Bk of Scotland Plc

   2.55% 18 Sep 2015      —           557,306   
 

Santander Drive Auto

   0.82% 15 Feb 2018      —           335,505   
 

Santander Drive Auto

   0.62% 15 Jun 2017      —           510,520   
 

Santander Drive Auto

   0.47% 15 Sep 2015      —           65,105   
 

Santander Drive Auto

   0.64% 17 Apr 2017      —           281,259   
 

Santander Holdings USA

   4.625% 19 Apr 2016      —           134,889   
 

Santander US

   3.724% 20 Jan 2015      —           1,463,841   
 

SCSLC 2010

   1.0% 25 Jul 2025      —           2,192,826   
 

Sempra Energy

   4.05% 01 Dec 2023      —           470,801   
 

Sempra Energy

   6.5% 01 Jun 2016      —           322,988   
 

Sinopec Grp

   4.375% 17 Oct 2023      —           460,110   
 

SLM Student Loan Trust

   1.0% 25 Sep 2019      —           1,299,160   
 

Smart Trust

   1.25% 14 Aug 2018      —           1,056,674   
 

Smart Trust

   0.67% 14 Jun 2015      —           175,292   
 

Snap On Inc

   4.25% 15 Jan 2018      —           333,563   
 

Societe Generale

   2.5% 15 Jan 2014      —           233,638   
 

Southern Cal Edison

   5.5% 15 Aug 2018      —           445,556   
 

Southern Co

   1.95% 01 Sep 2016      —           933,429   
 

Southwest Airlines

   5.25% 01 Oct 2014      —           185,761   
 

Southwest Airlines

   5.75% 15 Dec 2016      —           162,605   
 

Spectra Energy Capital

   8.00% 01 Oct 2019      —           405,669   
 

Spectra Energy Partners

   2.95% 15 Aug 2018      —           449,490   
 

Spectra Energy Partners

   2.95% 25 Sep 2018      —           98,630   
 

Standard Chartered PLC

   1.0% 12 Jul 2022      —           492,380   
 

Staples Inc

   2.75% 12 Jan 2018      —           458,802   

*

 

State Street Corp

   3.7% 20 Nov 2023      —           188,252   
 

Stryker Corp

   2.0% 30 Sep 2016      —           939,721   
 

Svenska Handelsbanken AB Bank

   2.875% 04 Apr 2017      —           253,396   
 

Talent Yield Investments

   4.5% 25 Apr 2022      —           473,576   
 

Teck Resources Limited

   4.5% 15 Jan 2021      —           294,084   
 

Teck Resources Limited

   4.5% 15 Jan 2021      —           646,986   
 

Teck Resources Limited

   3.75% 01 Feb 2023      —           634,900   
 

Telefonica Emisiones Sau

   5.134% 27 Apr 2020      —           1,235,299   
 

Telefonica Emisiones Sau

   5.462% 16 Feb 2021      —           169,406   
 

Telefonica Emisiones Sau

   5.462% 16 Feb 2021      —           651,956   
 

Thermo Fisher Scientific Inc

   4.15% 01 Feb 2024      —           170,592   

 

54


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Time Warner Cable Inc

   7.5% 01 Apr 2014      —           336,328   
 

Time Warner Cable Inc

   5.0% 01 Feb 2020      —           118,559   
 

Time Warner Cable Inc

   4.0% 01 Sep 2021      —           415,710   
 

Time Warner Inc

   4.875% 15 Mar 2020      —           554,599   
 

Time Warner Inc

   4.7% 15 Jan 2021      —           511,369   
 

Total Capital SA

   4.45% 24 Jun 2020      —           916,855   
 

Total System Services

   2.375% 01 Jun 2018      —           134,426   
 

Total System Services

   3.75% 01 Jun 2023      —           125,024   
 

Toyota Motor Credit Corp

   2.0% 15 Sep 2016      —           940,830   
 

Trans Canada Pipelines

   3.4% 01 Jun 2015      —           293,171   
 

Transocean Inc Company

   6.37% 15 Dec 2021      —           2,187   
 

Transocean Inc Company

   3.8% 15 Oct 2022      —           139,264   
 

Travelers Cos Inc

   5.75% 15 Dec 2017      —           412,735   
 

Tyson Foods Inc

   4.5% 15 Jun 2022      —           505,268   
 

UBS AG

   5.875% 15 Jul 2016      —           578,849   
 

Unicredito Luxem Fin

   6.0% 31 Oct 2017      —           238,118   
 

Unum Group

   5.625% 15 Sep 2020      —           405,307   
 

US Cellular Corp

   6.7% 15 Dec 2033      —           38,741   
 

Valero Energy Corp

   6.125% 01 Feb 2020      —           292,307   
 

Verizon Communications

   3.65% 14 Sep 2018      —           793,123   
 

Verizon Communications

   3.65% 14 Sep 2018      —           1,323,589   
 

Verizon Communications

   5.5% 15 Feb 2018      —           318,799   
 

Verizon Communications

   5.15% 15 Sep 2023      —           646,701   
 

Viacom Inc

   5.625% 15 Sep 2019      —           71,933   
 

Vodafone Group

   2.95% 19 Feb 2023      —           394,905   
 

Wachovia Bank Commercial Mortgage

   1.0% 15 May 2043      —           898,536   
 

Walgreen Co

   1.0% 13 Mar 2015      —           786,521   
 

Waste Management Inc

   4.75% 30 Jun 2020      —           444,402   
 

Weatherford Bermuda

   6.0% 15 Mar 2018      —           24,025   
 

Weatherford Bermuda

   5.125% 15 Sep 2020      —           496,518   
 

Wellpoint Inc

   1.25% 10 Sep 2015      —           627,078   
 

Wells Fargo & Company

   1.0% 15 Jun 2016      —           486,941   
 

Wells Fargo & Company

   4.125% 15 Aug 2023      —           647,511   
 

Wells Fargo & Company

   2.1% 08 May 2017      —           916,852   
 

Wells Fargo Commercial Mortgage

   2.918% 15 Oct 2045      —           1,298,785   
 

Wells Fargo Commercial Mortgage

   1.0% 15 Jul 2046      —           956,577   
 

Western Union Co

   2.375% 10 Dec 2015      —           79,658   
 

Western Union Co

   3.35% 22 May 2019      —           407,948   
 

WF RBS Commercial Mortgage

   4.023% 15 Dec 2046      —           402,729   
 

WF RBS Commercial Mortgage

   3.337% 15 Jun 2046      —           427,987   
 

WF RBS Commercial Mortgage

   3.526% 15 Nov 2044      —           1,206,575   
 

WF RBS Commercial Mortgage

   2.921% 15 Dec 2046      —           551,215   
 

Williams Companies Inc

   3.7% 15 Jan 2023      —           391,519   
 

Williams Partners LP

   4.0% 15 Nov 2021      —           326,739   
 

World Financial Network

   3.14% 17 Jan 2023      —           1,438,899   
 

World Financial Network

   1.76% 17 May 2021      —           315,682   
 

World Financial Network

   1.61% 15 Dec 2021      —           245,334   
 

World Omni Auto

   0.93% 16 Nov 2015      —           282,951   
 

WPP Finance

   4.75% 21 Nov 2021      —           196,238   

 

55


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Wyndham Worldwide Corp

   2.5% 01 Mar 2018      —           494,569   
 

Xerox Corporation

   5.625% 15 Dec 2019      —           450,659   
 

XLIT Ltd

   2.3% 15 Dec 2018      —           406,179   
 

XLIT Ltd

   5.25% 15 Sep 2014      —           335,979   
          

 

 

 
             232,410,943   
          

 

 

 

Separate Investment Contract

        

*

 

Metropolitan Life Insurance Company

   Separate Account      —           172,671,885   
          

 

 

 
 

Benefit Responsive Interest Rate Wrapper Contracts

        

*

 

Bank of America

   Open Ended Maturity      —           (67,011

*

 

Metropolitan Life Insurance Company

   Open Ended Maturity      —           65,333   

*

 

Transamerica Inc

   Open Ended Maturity      —           (126,871
          

 

 

 
             (128,549
          

 

 

 
 

Synthetic Guaranteed Investment Contracts (contract value equals $696,924,338)

      $ 733,856,855   
          

 

 

 

Commingled Investments:

        

*

 

Daily Emer Mkts Index Ser State Str Bk & Tr Co

   Commingled Investments      —           4,623,607   

*

 

Northern Trust S&P 400 Ind Fnd

   Commingled Investments      —           14,293,033   

*

 

SSgA EAFE Equity Fund

   Commingled Investments      —           111,718,255   

*

 

SSgA S&P 500 Fund

   Commingled Investments      —           279,286,371   

*

 

SSgA Small CAP Fund

   Commingled Investments      —           142,953,163   
 

Vanguard Target Retirement 2010 Fund

   Commingled Investments      —           6,572,636   
 

Vanguard Target Retirement 2015 Fund

   Commingled Investments      —           29,788,730   
 

Vanguard Target Retirement 2020 Fund

   Commingled Investments      —           46,274,285   
 

Vanguard Target Retirement 2025 Fund

   Commingled Investments      —           53,696,595   
 

Vanguard Target Retirement 2030 Fund

   Commingled Investments      —           60,333,203   
 

Vanguard Target Retirement 2035 Fund

   Commingled Investments      —           67,875,960   
 

Vanguard Target Retirement 2040 Fund

   Commingled Investments      —           58,127,511   
 

Vanguard Target Retirement 2045 Fund

   Commingled Investments      —           43,648,754   
 

Vanguard Target Retirement 2050 Fund

   Commingled Investments      —           40,446,721   
 

Vanguard Target Retirement Income

   Commingled Investments      —           18,160,185   
          

 

 

 
 

Commingled Investments

         $ 977,799,009   
          

 

 

 
Registered Investment Companies:         
 

Aberdeen Asia Pacific Income Fd Inc

   Registered Investment Company      —           23,531   
 

Acadian Emerging Markets Port Instl

   Registered Investment Company      —           5,168   
 

Aegis Value Fund Inc

   Registered Investment Company      —           6,659   
 

Aim European Growth Investors

   Registered Investment Company      —           1,138   
 

Akre Focus Fund Retail

   Registered Investment Company      —           11,481   

*

 

Alliancebernstein Global High Income Fund Inc

   Registered Investment Company      —           10,380   
 

Alps ETF Tr Equal Sector Weight ETF

   Registered Investment Company      —           17,612   

 

56


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Alps ETF Trust Sector Dividend Dogs ETF

  

Registered Investment Company

     —           3,487   
 

Amana Mutual Fund Trust Income

  

Registered Investment Company

     —           36,557   
 

Amer Century Target Maturities Tr 2020

  

Registered Investment Company

     —           40,552   
 

American Capital Income Builder Cl F

  

Registered Investment Company

     —           39,213   
 

American Capital World Grth & Inc A

  

Registered Investment Company

     —           11,894   
 

American Century Equity Income

  

Registered Investment Company

     —           24,183   
 

American Century Heritage

  

Registered Investment Company

     —           2,759   
 

American Europacific Growth Class A

  

Registered Investment Company

     —           27,680   
 

American Europacific Growth Class F

  

Registered Investment Company

     —           10,636   
 

American Europacific Growth Fund

  

Registered Investment Company

     —           11,481   
 

American High-Income Class F

  

Registered Investment Company

     —           13,978   
 

American Income Fund of America Class A

  

Registered Investment Company

     —           8,998   
 

American Income Fund of America Class F

  

Registered Investment Company

     —           48,256   
 

American Mutual Fund Class A

  

Registered Investment Company

     —           9,984   
 

American New Economy Fund Class A

  

Registered Investment Company

     —           11,435   
 

American New Perspective Class A

  

Registered Investment Company

     —           36,795   
 

American New World Fund Class A

  

Registered Investment Company

     —           10,427   
 

American Smallcap World Class F1

  

Registered Investment Company

     —           10,677   
 

Ariel Appreciation

  

Registered Investment Company

     —           58,591   
 

Ariel Growth Class A

  

Registered Investment Company

     —           16,273   
 

Artio International Equity Fund

  

Registered Investment Company

     —           13,622   
 

Artisan Global Equity Fund Investor

  

Registered Investment Company

     —           21,685   
 

Artisan International Investor Class

  

Registered Investment Company

     —           14,395   
 

Artisan Intl Value Fund Inv Cl

  

Registered Investment Company

     —           15,510   
 

Barclays Bank Plc

  

Registered Investment Company

     —           1,170   
 

Barclays Bk Plc Ipath Etns Lkd MSCI India

  

Registered Investment Company

     —           9,114   
 

Barclays Bk Plc Ipath S&P 500 Vix

  

Registered Investment Company

     —           1,064   
 

Barclays Global Investors Funds Inc Ipath

  

Registered Investment Company

     —           265   
 

Baron Partners Fund

  

Registered Investment Company

     —           43,730   
 

Berkshire Focus Fund

  

Registered Investment Company

     —           4,454   
 

Blackrock Equity Dividend Fd-Instl

  

Registered Investment Company

     —           45,962   
 

Blackrock Global Allocation Fd-Instl

  

Registered Investment Company

     —           28,803   
 

Brandywine Blue

  

Registered Investment Company

     —           11,504   
 

Bridgeway Aggressive Investor 1

  

Registered Investment Company

     —           196,699   
 

Bridgeway Small Cap Growth Cl N

  

Registered Investment Company

     —           24,091   
 

Brown Capital Mgt Small Company Inv

  

Registered Investment Company

     —           8,338   
 

Buffalo Mid Cap Fund

  

Registered Investment Company

     —           8,530   
 

Buffalo Small Cap Growth

  

Registered Investment Company

     —           31,085   
 

Clipper

  

Registered Investment Company

     —           12,539   
 

Columbia Acorn International

  

Registered Investment Company

     —           12,585   
 

Columbia Dividend Income Fund

  

Registered Investment Company

     —           12,462   
 

Columbia Marsico Intl Opp Prim

  

Registered Investment Company

     —           5,513   
 

Columbia Real Estate Equity

  

Registered Investment Company

     —           61,314   
 

Columbia Small Cap Core

  

Registered Investment Company

     —           3,917   
 

Columbia Strategic Income Fd

  

Registered Investment Company

     —           7,194   
 

Columbia Value And Restructuring

  

Registered Investment Company

     —           51,570   
 

CRM Mid Cap Value Investor Shares

  

Registered Investment Company

     —           19,922   
 

Deutsche Bk AG London Brh Powershares Db

  

Registered Investment Company

     —           31,620   
 

Diamond Hill Small Cap Fund Class I

  

Registered Investment Company

     —           26,347   

 

57


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Direxion Latin America Bull 2X Inv

  

Registered Investment Company

     —           1   
 

Direxion Shs ETF Tr Daily 20+ Yr Treasury Bear

  

Registered Investment Company

     —           36,380   
 

Direxion Shs ETF Tr Daily Finl Bear

  

Registered Investment Company

     —           6,450   
 

Direxion Shs ETF Tr Daily Gold Miners Bull

  

Registered Investment Company

     —           329   
 

Direxion Shs ETF Tr Daily Real Estate Bear

  

Registered Investment Company

     —           4,183   
 

Direxion Shs ETF Tr Daily Small Cap Bear

  

Registered Investment Company

     —           2,121   
 

Dodge & Cox Income

  

Registered Investment Company

     —           115,535   
 

Dodge & Cox Internatl Stock Fund

  

Registered Investment Company

     —           112,218   
 

Dodge & Cox Stock

  

Registered Investment Company

     —           165,899   
 

Doubleline Floating Rate Fund

  

Registered Investment Company

     —           20,201   
 

Doubleline Low Duration Bond

  

Registered Investment Company

     —           30,234   
 

Doubleline Total Return Bond Fd

  

Registered Investment Company

     —           24,793   
 

Dreyfus Bond Market Index Class R

  

Registered Investment Company

     —           42,166   
 

Dreyfus Opportunisti Midcap Value

  

Registered Investment Company

     —           17,187   
 

Dreyfus Premier Greater China

  

Registered Investment Company

     —           1,039   
 

Driehaus Internatl Discovery

  

Registered Investment Company

     —           13,233   
 

DWS Alternative Asset Allocation

  

Registered Investment Company

     —           3,212   
 

DWS Rref Real Estate Security

  

Registered Investment Company

     —           3,408   
 

DWS S&P 500 Index

  

Registered Investment Company

     —           8,218   
 

DWS Select Alternati Ve Allocation Fund

  

Registered Investment Company

     —           6,963   
 

Eagle Small Cap Growth Fund

  

Registered Investment Company

     —           10,051   
 

Eaton Vance Worldwide Health Sciences

  

Registered Investment Company

     —           3,269   
 

Fairholme Fund

  

Registered Investment Company

     —           18,535   
 

Fam Value

  

Registered Investment Company

     —           128,521   
 

Fidelity Advisor Mid Cap Ii

  

Registered Investment Company

     —           3,880   
 

Fidelity Advisor New Insights

  

Registered Investment Company

     —           41,845   
 

Fidelity Canada

  

Registered Investment Company

     —           5,964   
 

Fidelity Capital & Income

  

Registered Investment Company

     —           83,296   
 

Fidelity Capital Appreciation

  

Registered Investment Company

     —           28,781   
 

Fidelity Contrafund

  

Registered Investment Company

     —           220,414   
 

Fidelity Convertible Securities

  

Registered Investment Company

     —           14,330   
 

Fidelity Diversified International

  

Registered Investment Company

     —           71,724   
 

Fidelity Dividend Growth

  

Registered Investment Company

     —           32,850   
 

Fidelity Emerging Markets

  

Registered Investment Company

     —           48,731   
 

Fidelity Freedom 2025

  

Registered Investment Company

     —           8,207   
 

Fidelity High Income

  

Registered Investment Company

     —           47,983   
 

Fidelity Inflation Protected Bond

  

Registered Investment Company

     —           8,548   
 

Fidelity International Real Estate Fund

  

Registered Investment Company

     —           17,178   
 

Fidelity International Small Cap

  

Registered Investment Company

     —           10,727   
 

Fidelity International Discovery

  

Registered Investment Company

     —           68,960   
 

Fidelity Large Capital Stock

  

Registered Investment Company

     —           4,573   
 

Fidelity Latin America

  

Registered Investment Company

     —           20,858   
 

Fidelity Leveraged Company Stock

  

Registered Investment Company

     —           4,374   
 

Fidelity Low Priced Stock

  

Registered Investment Company

     —           34,907   
 

Fidelity Mega Cap Stock Fund

  

Registered Investment Company

     —           6,871   
 

Fidelity Mid Cap Enhanced Index Fund

  

Registered Investment Company

     —           4,541   
 

Fidelity Mid Cap Value

  

Registered Investment Company

     —           5,763   
 

Fidelity New Markets Income

  

Registered Investment Company

     —           60,503   
 

Fidelity Select Biotechnology

  

Registered Investment Company

     —           214,527   

 

58


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Fidelity Select Chemicals

  

Registered Investment Company

     —           12,617   
 

Fidelity Select Energy Service

  

Registered Investment Company

     —           9,603   
 

Fidelity Select Natural Resources

  

Registered Investment Company

     —           29,846   
 

Fidelity Select Technology

  

Registered Investment Company

     —           3,816   
 

Fidelity Small Cap Discovery Fund

  

Registered Investment Company

     —           25,913   
 

Fidelity Strategic Income

  

Registered Investment Company

     —           25,050   
 

Fidelity Value

  

Registered Investment Company

     —           2,693   
 

Fidelity Value Strategies

  

Registered Investment Company

     —           3,741   
 

First Tr Exchange Traded Fd

  

Registered Investment Company

     —           12,630   
 

Forward Global Emerg Markets Instl

  

Registered Investment Company

     —           752   
 

Forward Internationl Equity Fund

  

Registered Investment Company

     —           4,149   
 

FPA Crescent Instl

  

Registered Investment Company

     —           80,845   
 

Franklin Global Real Estate Adv

  

Registered Investment Company

     —           7,405   
 

Franklin Growth Class C

  

Registered Investment Company

     —           9,079   
 

Franklin Strategic Inc

  

Registered Investment Company

     —           10,064   
 

Franklin Strategic Income Class A

  

Registered Investment Company

     —           17,239   
 

Franklin Temp Mutual Series Class R

  

Registered Investment Company

     —           23,246   
 

Franklin Utilities Advisor Class

  

Registered Investment Company

     —           8,971   
 

Fund*X Upgrader Fund

  

Registered Investment Company

     —           27,005   
 

Fundamental Investors

  

Registered Investment Company

     —           43,821   
 

Gabelli Utilities Fund Class C

  

Registered Investment Company

     —           10,347   
 

Gamco Growth Fund N/C

  

Registered Investment Company

     —           13,247   
 

Global Resources Fund

  

Registered Investment Company

     —           1,672   
 

Global X Fds Global Uranium ETF

  

Registered Investment Company

     —           2,031   
 

Global X Fds Global X Lithium ETF

  

Registered Investment Company

     —           3,902   
 

Global X Funds Global X Superdiv ETF

  

Registered Investment Company

     —           15,249   
 

Goldman Sachs Asset Alloc Growth Strat C

  

Registered Investment Company

     —           15,936   
 

Goldman Sachs Mid Cap Val Fd Cl Svc

  

Registered Investment Company

     —           4,851   
 

Greenspring Fund

  

Registered Investment Company

     —           23,258   
 

Growth Fund of America

  

Registered Investment Company

     —           24,184   
 

Guggenheim BRIC ETF

  

Registered Investment Company

     —           10,395   
 

Hancock Horizon Burkenroad Sml Cap D

  

Registered Investment Company

     —           242,556   
 

Hancock John Pfd Equity Income Fd

  

Registered Investment Company

     —           57,120   
 

Harbor Bond Inst.

  

Registered Investment Company

     —           116,540   
 

Harbor International

  

Registered Investment Company

     —           97,180   
 

Harbor International Investor Shares

  

Registered Investment Company

     —           68,093   
 

Hartford Small Cap Growth Fd

  

Registered Investment Company

     —           223   
 

Heartland Value

  

Registered Investment Company

     —           24,309   
 

Hennessy Focus Fund Investor Class

  

Registered Investment Company

     —           3,518   
 

Hodges Fund

  

Registered Investment Company

     —           2,398   
 

Hussman Strategic Growth

  

Registered Investment Company

     —           12,122   
 

Hussman Strategic Total Return

  

Registered Investment Company

     —           11,876   
 

Icon Healthcare

  

Registered Investment Company

     —           10,674   
 

Invesco Intl Growth Fund Class A

  

Registered Investment Company

     —           7,003   
 

Invesco Small Companies Cl Y

  

Registered Investment Company

     —           21,240   
 

Invesco Value Mun In

  

Registered Investment Company

     —           56,105   
 

Invesco Van Kampen Equity And Income C

  

Registered Investment Company

     —           23,430   
 

Ishares 1-3 Year Treasury Bond ETF

  

Registered Investment Company

     —           28,942   
 

Ishares Barclays U S Aggregate Bd Fd

  

Registered Investment Company

     —           36,286   

 

59


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Ishares Comex Gold Trust Ishares ETF

  

Registered Investment Company

     —           7,826   
 

Ishares Iboxx $ Investment Grade Corp Bd Fund

  

Registered Investment Company

     —           55,544   
 

Ishares Inc MCSI BRIC Index Fd

  

Registered Investment Company

     —           15,928   
 

Ishares Inc MSCI Australia Index Fund

  

Registered Investment Company

     —           150   
 

Ishares Inc MSCI Brazil Free Index Fund

  

Registered Investment Company

     —           23,896   
 

Ishares Inc MSCI Singapore Index Fd

  

Registered Investment Company

     —           39,654   
 

Ishares MSCI Hong Kong ETF

  

Registered Investment Company

     —           7,004   
 

Ishares MSCI South Africa ETF

  

Registered Investment Company

     —           19,798   
 

Ishares Russell 2000 ETF

  

Registered Investment Company

     —           21,886   
 

Ishares S&P N. American Natural Resources Fd

  

Registered Investment Company

     —           8,678   
 

Ishares Silver Tr Ishares

  

Registered Investment Company

     —           11,694   
 

Ishares Tr Cohen & Steers Realty Majors Index Fd

  

Registered Investment Company

     —           36,331   
 

Ishares Tr FTSE Nareit Mtg Plus Capped Index Fd

  

Registered Investment Company

     —           7,130   
 

Ishares Tr Iboxx $ High Yield Corp Bd Fd

  

Registered Investment Company

     —           14,118   
 

Ishares Tr MSCI Eafe Index Fd

  

Registered Investment Company

     —           56,921   
 

Ishares Tr MSCI Eafe Value Index Fd

  

Registered Investment Company

     —           14,002   
 

Ishares Tr MSCI Emerging Mkts Index Fd

  

Registered Investment Company

     —           111,528   
 

Ishares Tr S&P Midcap 400 Index Fd

  

Registered Investment Company

     —           8,924   
 

Ishares Tr S&P Midcap 400/ Value Index Fd

  

Registered Investment Company

     —           90,617   
 

Ishares Tr S&P Smallcap 600/ Value Index Fd

  

Registered Investment Company

     —           11,495   
 

Ishares Tr S&P U S Pfd Stk Index Fd

  

Registered Investment Company

     —           13,333   
 

Ishares Tr U S Treas Inflation Protected Fd

  

Registered Investment Company

     —           33,625   
 

Ishares Trust MSCI Usa Minvolatility ETF

  

Registered Investment Company

     —           34,740   
 

Ishares Trust S&P Smallcap 600 Index Fd

  

Registered Investment Company

     —           27,878   
 

Iva International Fund

  

Registered Investment Company

     —           10,828   
 

Ivy Asset Strategy Class R

  

Registered Investment Company

     —           6,498   
 

Ivy Global Natural Resources Class C

  

Registered Investment Company

     —           6,827   
 

Ivy Mid Cap Growth

  

Registered Investment Company

     —           9,926   
 

Janus Balanced

  

Registered Investment Company

     —           64,310   
 

Janus Fund Class T Shares

  

Registered Investment Company

     —           7,445   
 

Janus Global Life Sciences Fund

  

Registered Investment Company

     —           12,188   
 

Janus Mercury

  

Registered Investment Company

     —           16,285   
 

Janus Overseas

  

Registered Investment Company

     —           14,932   
 

Janus Triton Fund Class I

  

Registered Investment Company

     —           33,638   
 

Janus Triton Fund Class T

  

Registered Investment Company

     —           73,966   
 

Janus Worldwide Fund Class T

  

Registered Investment Company

     —           9,739   
 

Kinetics Small Cap Opportunities

  

Registered Investment Company

     —           23,986   
 

Laudus Mondrian Emrg Markets Invst

  

Registered Investment Company

     —           18,469   
 

Lazard Developing Mrkts Eq

  

Registered Investment Company

     —           1,755   
 

Liberty All Star Equity Fd

  

Registered Investment Company

     —           142   

*

 

Loomis Sayles Bond Retail Shares

  

Registered Investment Company

     —           78,813   

*

 

Loomis Sayles Global Bond Retail

  

Registered Investment Company

     —           8,888   

*

 

Loomis Sayles Invst Grade Bond

  

Registered Investment Company

     —           8,651   
 

Lord Abbett Floating Rate Inc Fd

  

Registered Investment Company

     —           30,420   
 

Mainstay Marketfield Fund Class I

  

Registered Investment Company

     —           2,280   
 

Managers Fremont Micro-Cap Fund N/C

  

Registered Investment Company

     —           34,162   
 

Managers Intermediat Duration Government

  

Registered Investment Company

     —           23,383   
 

Manning & Napier Equity Series

  

Registered Investment Company

     —           74,410   
 

Manning & Napier Overseas Series

  

Registered Investment Company

     —           3,611   

 

60


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Manning & Napier Pro Blend Max Term Ser

  

Registered Investment Company

     —           1,247   
 

Market Vectors ETF Tr Africa ETF

  

Registered Investment Company

     —           10,100   
 

Market Vectors ETF Tr Agribusiness ETF

  

Registered Investment Company

     —           5,483   
 

Market Vectors Uranium+Nuclear Energy ETF

  

Registered Investment Company

     —           10,121   
 

Marsico Internat’L Opportunities

  

Registered Investment Company

     —           33,865   
 

Matthews Asia Dividend Fund

  

Registered Investment Company

     —           13,883   
 

Matthews Dragon Century China

  

Registered Investment Company

     —           2,068   
 

Matthews India Fund

  

Registered Investment Company

     —           4,187   
 

Matthews Pacific Tiger

  

Registered Investment Company

     —           496   
 

Merger Fund

  

Registered Investment Company

     —           50,855   
 

Meridian Fund

  

Registered Investment Company

     —           43,791   
 

Merk Hard Currency Fund Investor

  

Registered Investment Company

     —           10,866   
 

Metropolitan West Tot Return Bond

  

Registered Investment Company

     —           1,185   
 

Neuberger Berman Focus Investor

  

Registered Investment Company

     —           5,411   
 

Neuberger Berman Real Estate Trust

  

Registered Investment Company

     —           29,803   
 

Nuveen Quality Pfd Income Fd 2

  

Registered Investment Company

     —           126,170   
 

Oakmark Equity & Income Fd

  

Registered Investment Company

     —           303,385   
 

Oakmark Fund

  

Registered Investment Company

     —           135,539   
 

Oakmark International

  

Registered Investment Company

     —           103,754   
 

Oakmark International Small Cap

  

Registered Investment Company

     —           9,756   
 

Oppenheimer Dev Markets Fd Class Y

  

Registered Investment Company

     —           7,014   
 

Oppenheimer Dev Markets

  

Registered Investment Company

     —           27,355   
 

Oppenheimer Dev Markets Fd Class A

  

Registered Investment Company

     —           8,379   
 

Oppenheimer Int’L Growth Class A

  

Registered Investment Company

     —           10,488   
 

Parnassus Equity Income Portfolio

  

Registered Investment Company

     —           72,841   
 

Parnassus Fund

  

Registered Investment Company

     —           6,709   
 

Parnassus Small Cap

  

Registered Investment Company

     —           2,468   
 

Parnassus Workplace

  

Registered Investment Company

     —           2,960   
 

Perkins Mid Cap Value Class I

  

Registered Investment Company

     —           9,753   
 

Permanent Portfolio Family of Fds

  

Registered Investment Company

     —           161,148   
 

Permanent Versatile Bond Portfolio

  

Registered Investment Company

     —           11,353   
 

PFG Core Equity Fund - Investor

  

Registered Investment Company

     —           13,553   
 

PFG Explorer Fund Investor Class

  

Registered Investment Company

     —           1,376   
 

PFG Strategic Conservative Invst

  

Registered Investment Company

     —           11,317   

*

 

PIMCO All Asset Fund Class D

  

Registered Investment Company

     —           10,927   

*

 

PIMCO All Asset Inst Class

  

Registered Investment Company

     —           304,723   

*

 

PIMCO Income Fund

  

Registered Investment Company

     —           9,865   

*

 

PIMCO Real Return Class D

  

Registered Investment Company

     —           66,274   

*

 

PIMCO Stocksplus Tr Short Strategy

  

Registered Investment Company

     —           10,107   

*

 

PIMCO Total Return Class A

  

Registered Investment Company

     —           36,526   

*

 

PIMCO Total Return Class D

  

Registered Investment Company

     —           12,974   
 

Powershares Db Commodity Index Tracking Fd

  

Registered Investment Company

     —           4,414   
 

Powershares Db Multi Sector Commodity

  

Registered Investment Company

     —           36,761   
 

Powershares Exchange Traded Fds High Yield Eqty

  

Registered Investment Company

     —           5,475   
 

Powershares Fd Emerging Markets Debt Portfolio

  

Registered Investment Company

     —           13,500   
 

Powershares Ftse Rafi Developed Markets

  

Registered Investment Company

     —           10,327   
 

Powershares Ftse Rafi Us 1000

  

Registered Investment Company

     —           57,727   
 

Powershares Fundamental Invt Grade Corp Bd

  

Registered Investment Company

     —           8,442   
 

Powershares Inter Dvd Achiev funds

  

Registered Investment Company

     —           29,506   

 

61


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Powershares Qqq Tr Unit Ser 1

  

Registered Investment Company

     —           98,578   
 

Primecap Odyssey Aggressive Grwth Fd

  

Registered Investment Company

     —           16,628   
 

Primecap Odyssey Growth Fund

  

Registered Investment Company

     —           25,917   
 

Primecap Odyssey Sto Ck Fund

  

Registered Investment Company

     —           9,177   
 

Principal Largecap Growth Fund

  

Registered Investment Company

     —           113   
 

Principal Midcap Fund

  

Registered Investment Company

     —           4,013   
 

Proshares Tr Ii Proshares Ultrashort Euro

  

Registered Investment Company

     —           5,118   
 

Proshares Tr Ii Ultra Vix Short Term Futures ETF

  

Registered Investment Company

     —           1,678   
 

Proshares Tr Ultrapro Russell2000

  

Registered Investment Company

     —           12,669   
 

Proshares Tr Ultrashort Financials

  

Registered Investment Company

     —           157   
 

Proshares Tr Ultrashort Ftse/Xinhua China 25

  

Registered Investment Company

     —           6,112   
 

Proshares Trust Ultra Financials

  

Registered Investment Company

     —           50,501   
 

Proshares Ultra Gas Proshares

  

Registered Investment Company

     —           6,606   
 

Proshares Ultra QQQ Proshares

  

Registered Investment Company

     —           69,978   
 

Proshares Ultra S&P 500 Proshares

  

Registered Investment Company

     —           52,915   
 

Prudential Defensive Equity Class C

  

Registered Investment Company

     —           18,978   
 

Prudential Jennison Natural Resources

  

Registered Investment Company

     —           6,593   
 

Putnam High Income Conv & Bd Fd

  

Registered Investment Company

     —           20,650   
 

Rivernorth Core Oppportunity Fund

  

Registered Investment Company

     —           42,710   
 

Rivernorth/Double Line Strategic Inc R

  

Registered Investment Company

     —           164,136   
 

Royce Low Priced Stock Fund

  

Registered Investment Company

     —           102,950   
 

Royce Microcap

  

Registered Investment Company

     —           152,020   
 

Royce Opportunity Fund

  

Registered Investment Company

     —           12,603   
 

Royce Pa Mutual

  

Registered Investment Company

     —           230,205   
 

Royce Premier Series

  

Registered Investment Company

     —           71,484   
 

Royce Special Equity

  

Registered Investment Company

     —           20,669   
 

Royce Total Return Fund

  

Registered Investment Company

     —           61,733   
 

Rs Global Natl Resources Fd Cl K

  

Registered Investment Company

     —           3,170   
 

Rs Global Natural Resources Fund Cl Y

  

Registered Investment Company

     —           8,909   
 

Schroder Emerging Market Equity Adv

  

Registered Investment Company

     —           55,245   
 

Schwab 1000 Index Fund

  

Registered Investment Company

     —           24,058   
 

Schwab Fundamental Emg Mkts Index Instl

  

Registered Investment Company

     —           11,931   
 

Schwab Monthly Inc Enhanced Payout

  

Registered Investment Company

     —           27,329   
 

Schwab Strategic Tr Us Tips ETF

  

Registered Investment Company

     —           52,454   
 

Scout International Fund

  

Registered Investment Company

     —           1,201   
 

Sector SPDR Tr Shs Ben Int Financial

  

Registered Investment Company

     —           4,372   
 

Sector SPDR Tr Shs Ben Int Technology

  

Registered Investment Company

     —           5,476   
 

Sector SPDR Tr Shs Ben Int Utilities

  

Registered Investment Company

     —           65,133   
 

Select Energy

  

Registered Investment Company

     —           18,874   
 

Select Medical Delivery

  

Registered Investment Company

     —           63,212   
 

Select Natural Gas

  

Registered Investment Company

     —           2,739   
 

Select Sector SPDR Tr Health Care

  

Registered Investment Company

     —           44,506   
 

Selected American Shares

  

Registered Investment Company

     —           114,907   
 

Shelton S&P Mid Cap Index

  

Registered Investment Company

     —           16,262   
 

Skyline Special Equities N/C

  

Registered Investment Company

     —           20,826   
 

Southernsun Small-Cap Investor

  

Registered Investment Company

     —           8,607   
 

Spartan 500 Index Fd Investor Class

  

Registered Investment Company

     —           7,435   
 

Spartan Intl Index Investor Class

  

Registered Investment Company

     —           7,298   
 

Spartan S/T Treas Bd Investor Class

  

Registered Investment Company

     —           8,833   

 

62


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Spartan Small Cap Index Investor

  

Registered Investment Company

     —           7,769   
 

Spartan Total Mkt Indx Fid Advantage Class

  

Registered Investment Company

     —           46,380   
 

SPDR Dow Jones Indl Average ETF

  

Registered Investment Company

     —           8,274   
 

SPDR Gold Tr Gold Shs

  

Registered Investment Company

     —           172,322   
 

SPDR Index Dj Wilshire Intl Real Estate ETF

  

Registered Investment Company

     —           18,145   
 

SPDR Index S&P Emerging Europe ETF

  

Registered Investment Company

     —           4,870   
 

SPDR S&P 500 ETF Trust Unit Ser 1 S&P

  

Registered Investment Company

     —           212,985   
 

SPDR Ser Tr Dj Wilshire Reit ETF

  

Registered Investment Company

     —           48,471   
 

SPDR Ser Tr Dow Jones Mid Cap ETF

  

Registered Investment Company

     —           15,627   
 

SPDR Ser Tr S&P Bk ETF

  

Registered Investment Company

     —           59,706   
 

SPDR Ser Tr S&P Pharmaceuticals ETF

  

Registered Investment Company

     —           13,547   

*

 

SSgA Emerging Markets

  

Registered Investment Company

     —           27,936   

*

 

SSgA International Stock Selection

  

Registered Investment Company

     —           8,819   
 

T Rowe Price Blue Chip Growth Inc

  

Registered Investment Company

     —           27,828   
 

T Rowe Price Cap Appreciation

  

Registered Investment Company

     —           684,582   
 

T Rowe Price Corporate Income

  

Registered Investment Company

     —           120,153   
 

T Rowe Price Emerg Euro & Mediterranean

  

Registered Investment Company

     —           2,688   
 

T Rowe Price Emrg Mkts Local Cur Inv

  

Registered Investment Company

     —           17,111   
 

T Rowe Price Equity Income

  

Registered Investment Company

     —           30,483   
 

T Rowe Price Growth Stock Advisor

  

Registered Investment Company

     —           4,432   
 

T Rowe Price Health Sciences

  

Registered Investment Company

     —           33,382   
 

T Rowe Price High Yield Bond

  

Registered Investment Company

     —           45,258   
 

T Rowe Price International Bond

  

Registered Investment Company

     —           8,654   
 

T Rowe Price Intl Discovery Fund

  

Registered Investment Company

     —           98,106   
 

T Rowe Price Int’L Emerging Market Bond

  

Registered Investment Company

     —           30,203   
 

T Rowe Price Latin America Fund

  

Registered Investment Company

     —           8,943   
 

T Rowe Price Media & Telecommunications

  

Registered Investment Company

     —           4,834   
 

T Rowe Price Mid Cap Growth

  

Registered Investment Company

     —           21,368   
 

T Rowe Price Mid Cap Value

  

Registered Investment Company

     —           28,569   
 

T Rowe Price New Horizons Fd Inc

  

Registered Investment Company

     —           33,880   
 

T Rowe Price Ret 2040 Fd

  

Registered Investment Company

     —           6,542   
 

T Rowe Price Rtmt 2015 Advisor Class

  

Registered Investment Company

     —           27,516   
 

T Rowe Price Rtmt 2025 Fund Adv Shrs

  

Registered Investment Company

     —           29,875   
 

T Rowe Price Rtmt Fund 2040 Adv Shrs

  

Registered Investment Company

     —           6,555   
 

T Rowe Price Small Cap Value Fund

  

Registered Investment Company

     —           1,565   
 

T Rowe Price Value

  

Registered Investment Company

     —           32,989   
 

TCW Div Focused

  

Registered Investment Company

     —           32,752   
 

TCW Emerging Mkts Income

  

Registered Investment Company

     —           7,739   
 

TCW Total Return Bond Class I

  

Registered Investment Company

     —           60,345   
 

TCW Total Return Bond Class N

  

Registered Investment Company

     —           78,816   
 

Templeton Emerging Markets Inc Fd

  

Registered Investment Company

     —           2,730   
 

Templeton Emerging Mrtks Small Cap A

  

Registered Investment Company

     —           6,544   
 

Templeton Global Bond Advisor Class

  

Registered Investment Company

     —           6,565   
 

Templeton Global Bond Class A

  

Registered Investment Company

     —           9,735   
 

Templeton Global Bond Class C

  

Registered Investment Company

     —           51,975   
 

Templeton Global Bond Fund

  

Registered Investment Company

     —           37,669   
 

Teton Westwood Equity

  

Registered Investment Company

     —           1,402   
 

Teton Westwood Mighty Mites Fd Aaa

  

Registered Investment Company

     —           36,613   
 

The Contrarian Fund N/C

  

Registered Investment Company

     —           30,274   

 

63


Table of Contents

Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

The Delafield Fund

  

Registered Investment Company

     —           2,803   
 

Third Avenue Value

  

Registered Investment Company

     —           5,795   
 

Thompson Plumb Growth Fund

  

Registered Investment Company

     —           167   
 

Thornburg Intl Value Cl Instl

  

Registered Investment Company

     —           29,124   
 

Timothy Plan Conserv Growth Cl C

  

Registered Investment Company

     —           21,888   
 

Timothy Plan Fixed Income Class C

  

Registered Investment Company

     —           4,012   
 

Timothy Plan Strateg Ic Growth Cl C

  

Registered Investment Company

     —           12,213   
 

Tocqueville Gold Fund

  

Registered Investment Company

     —           762   
 

Touchstone Sands Capital Instl Grwth

  

Registered Investment Company

     —           14,999   
 

Touchstone Small Cap Value

  

Registered Investment Company

     —           13,900   
 

Tributary Growth Oppt Instl

  

Registered Investment Company

     —           6,561   
 

Tweedy Browne Global Value Fund

  

Registered Investment Company

     —           123,137   
 

UBS AG Jersey Brh Exchange Traded Access Secs

  

Registered Investment Company

     —           2,694   
 

UBS AG London 2X Leveraged Long Exchange

  

Registered Investment Company

     —           2,980   
 

Undiscovered Mgrs Behavior Value Instl

  

Registered Investment Company

     —           15,354   
 

United Sts Oil Fd LP

  

Registered Investment Company

     —           4,768   
 

US Global Region East European

  

Registered Investment Company

     —           2,192   
 

Value Line Small Cap Growth

  

Registered Investment Company

     —           43,092   
 

Vanguard 500 Index Fd Investor Shs

  

Registered Investment Company

     —           210,606   
 

Vanguard Balanced Index Investor Class

  

Registered Investment Company

     —           8,632   
 

Vanguard Bd Index Fd Inc Total Bd Market ETF

  

Registered Investment Company

     —           16,818   
 

Vanguard Developed Mrkts Index Inv

  

Registered Investment Company

     —           40,876   
 

Vanguard Dividend Growth Investor

  

Registered Investment Company

     —           7,115   
 

Vanguard Energy Investor Fund

  

Registered Investment Company

     —           234,703   
 

Vanguard Equity Income Admiral Fd

  

Registered Investment Company

     —           11,779   
 

Vanguard Equity Income Investor

  

Registered Investment Company

     —           14,857   
 

Vanguard Fi High Yld Corp Investor

  

Registered Investment Company

     —           6,889   
 

Vanguard Global Equity Investor

  

Registered Investment Company

     —           28,054   
 

Vanguard Gnma Investor

  

Registered Investment Company

     —           4   
 

Vanguard Growth Index Investor

  

Registered Investment Company

     —           10,395   
 

Vanguard Index Fds Mid-Cap Value Index Viper

  

Registered Investment Company

     —           6,074   
 

Vanguard Index Fds Vanguard Growth Vipers

  

Registered Investment Company

     —           23,506   
 

Vanguard Index Fds Vanguard Large Cap Vipers

  

Registered Investment Company

     —           21,936   
 

Vanguard Index Fds Vanguard Small Cap Value

  

Registered Investment Company

     —           7,438   
 

Vanguard Index Fds Vanguard Small Cap Vipers

  

Registered Investment Company

     —           10,995   
 

Vanguard Index Fds Vanguard Total Stk Mkt ETF

  

Registered Investment Company

     —           9,592   
 

Vanguard Index Fds Vanguard Value Vipers

  

Registered Investment Company

     —           5,800   
 

Vanguard Index Trust Sm Cap Grwth Inv

  

Registered Investment Company

     —           63,723   
 

Vanguard Inflation Protected Secs Inv

  

Registered Investment Company

     —           56,905   
 

Vanguard Intermed Term Tax Exempt Inv

  

Registered Investment Company

     —           1,387   
 

Vanguard Internatnal Explorer Investor

  

Registered Investment Company

     —           17,564   
 

Vanguard Inter-Term Bond Index Port Inv

  

Registered Investment Company

     —           77,399   
 

Vanguard Intl Equity Index Fds Ftse Europe ETF

  

Registered Investment Company

     —           5,880   
 

Vanguard Intl Equity MSCI Emerging Mkts ETF

  

Registered Investment Company

     —           92,691   
 

Vanguard Long Term Us Treasury Investor

  

Registered Investment Company

     —           31,749   
 

Vanguard Malvern Short-Term Inflation Protected

  

Registered Investment Company

     —           72,280   
 

Vanguard Mid Cap Index Investor

  

Registered Investment Company

     —           197,743   
 

Vanguard Mid Cap Value Index Inv

  

Registered Investment Company

     —           9,411   
 

Vanguard Pacific Stock Index Inv

  

Registered Investment Company

     —           7,376   

 

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Baxter International Inc. and Subsidiaries

Incentive Investment Plan

Schedule H, Line 4i – Schedule of Assets (Held at End of Year)

Employer Identification Number: 36-0781620 and Plan Number 023

December 31, 2013

 

 

Identity of Issue

  

Description of Investment

   Cost (1)      Current Value  
 

Vanguard Precious Metals & Mining Inv

  

Registered Investment Company

     —           2,935   
 

Vanguard Reit Index Investor

  

Registered Investment Company

     —           134,041   
 

Vanguard Reit Index Signal Shares

  

Registered Investment Company

     —           10,469   
 

Vanguard Scottsdale Fds Short Term Corp

  

Registered Investment Company

     —           27,413   
 

Vanguard Sector Index Fds Finls Vipers

  

Registered Investment Company

     —           16,531   
 

Vanguard Sector Index Fds Consumer Staples

  

Registered Investment Company

     —           18,945   
 

Vanguard Sector Index Fds Energy Vipers

  

Registered Investment Company

     —           12,643   
 

Vanguard Index Fds Information Technology

  

Registered Investment Company

     —           3,663   
 

Vanguard Index Fds Telecommunication Svcs

  

Registered Investment Company

     —           16,446   
 

Vanguard Sector Index Fds Utils Vipers

  

Registered Investment Company

     —           17,815   
 

Vanguard Short Term Bond Index Investor

  

Registered Investment Company

     —           146,890   
 

Vanguard Small Cap Stock Ind Trust Inv

  

Registered Investment Company

     —           99,204   
 

Vanguard Specialized Portfolios Div Appreciation

  

Registered Investment Company

     —           43,739   
 

Vanguard Strategic Equity Investor

  

Registered Investment Company

     —           5,448   
 

Vanguard Target Retirement 2040 Fd

  

Registered Investment Company

     —           6,344   
 

Vanguard Total Intl Stock Index Inv

  

Registered Investment Company

     —           7,144   
 

Vanguard Total Stock Mrkt Signal

  

Registered Investment Company

     —           114,850   
 

Vanguard Total Stock Market Investor

  

Registered Investment Company

     —           68,117   
 

Vanguard Value Index Investor

  

Registered Investment Company

     —           16,319   
 

Vanguard Wellington Investor

  

Registered Investment Company

     —           126,214   
 

Vanguard Whitehall Fds High Dividend Yield

  

Registered Investment Company

     —           5,639   
 

Vanguard Windsor Ii Investor

  

Registered Investment Company

     —           59,844   
 

Villere Balanced

  

Registered Investment Company

     —           2,397   
 

Virtus Alternatives Diversifier

  

Registered Investment Company

     —           9,239   
 

Wasatch Hoisington Us Treasury

  

Registered Investment Company

     —           11,010   
 

Wasatch Micro-Cap Value Fund

  

Registered Investment Company

     —           3,762   
 

Weitz Value

  

Registered Investment Company

     —           3,502   
 

Wells Fargo Premier Large Co Grwth Admin

  

Registered Investment Company

     —           62,480   
 

William Blair Small Cap Growth Class N

  

Registered Investment Company

     —           14,409   
 

Wisdomtree Emerg Mkts Equity Income Fund

  

Registered Investment Company

     —           67,360   
 

Wisdomtree Tr Europe Smallcap Divid Fd

  

Registered Investment Company

     —           292   
 

World Precious Minerals Fund

  

Registered Investment Company

     —           284   
 

Yacktman Focused Service Class

  

Registered Investment Company

     —           187,298   
 

Yacktman Fund Service Class

  

Registered Investment Company

     —           291,405   
          

 

 

 
 

Registered Investment Companies

         $ 14,878,864   
          

 

 

 
 

Notes Receivables from Participants

  

Interest rates range from 3.25% to 10.5%

      $ 47,054,017   
          

 

 

 

Collateral Held on Loaned Securities

     
 

* SSgA Quality D Short-term Investment Fund

     —         $ 14,077,995   
          

 

 

 
 

Total Investments

      $ 2,386,515,469   
          

 

 

 

 

* 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.

 

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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 INTERNATIONAL INC. AND SUBSIDIARIES
    INCENTIVE INVESTMENT PLAN
Date: June 25, 2014     By:  

/s/ Robert J. Hombach

      Robert J. Hombach
      Member of the Administrative Committee