e11vk
Table of Contents

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

Form 11-K

(Mark One)

     
(X Box)   ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE
ACT OF 1934
    For the fiscal year ended December 31, 2001
    OR
(Box)   TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES
EXCHANGE ACT OF 1934

For the transition period from                            to                         

Commission file number 1-82

 

PHELPS DODGE EMPLOYEE SAVINGS PLAN

 

PHELPS DODGE CORPORATION

One North Central Avenue
Phoenix, Arizona 85004-4416

 


Table of Contents

SIGNATURES

The Plan. Pursuant to the requirements of the Securities Exchange Act of 1934, the Committee has duly caused this Annual Report to be signed by the undersigned hereunto duly authorized.

           
      PHELPS DODGE EMPLOYEE SAVINGS PLAN
           
Date:     June 24, 2002
 
  By:   /s/ David L. Pulatie
David L. Pulatie, Chairman
Benefits Administration Committee

 


TABLE OF CONTENTS

Report of Independent Accountants
Statements of Net Assets Available for Benefits
Statement of Changes in Net Assets Available for Benefits
Notes to Financial Statements
Supplemental Information
Schedule I
Schedule II


Table of Contents

Phelps Dodge Employee Savings Plan
Index
December 31, 2001 and 2000

         
    Page
   
Report of Independent Accountants     1  
Statements of Net Assets Available for Benefits     2  
Statement of Changes in Net Assets Available for Benefits     3  
Notes to Financial Statements     4  
Supplemental Information:*        
    I.    Schedule of Assets (Held at End of Year)     11  
    II.    Schedule of Reportable Transactions     30  


*   Other schedules required by Section 2520.103-10 of the Department of Labor Rules and Regulations for Reporting and Disclosure under ERISA have been omitted because they are not applicable

 


Table of Contents

Report of Independent Accountants

To the Benefits Administration Committee and Participants
of the Phelps Dodge Employee Savings Plan

In our opinion, the accompanying statements of net assets available for benefits and the related statement of changes in net assets available for benefits present fairly, in all material respects, the net assets available for benefits of the Phelps Dodge Employee Savings Plan at December 31, 2001 and 2000, and the changes in net assets available for benefits for the year ended December 31, 2001 in conformity with accounting principles generally accepted in the United States of America. These financial statements are the responsibility of the Benefits Administration Committee (the Committee); our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these statements in accordance with auditing standards generally accepted in the United States of America, which require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by the Committee, and evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.

Our audits were conducted for the purpose of forming an opinion on the basic financial statements taken as a whole. The supplemental schedules of assets (held at end of year) and of reportable transactions are presented for the purpose of additional analysis and are not a required part of the basic financial statements but are 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. These supplemental schedules are the responsibility of the Committee. The supplemental schedules have been subjected to the auditing procedures applied in the audits of the basic financial statements and, in our opinion, are fairly stated in all material respects in relation to the basic financial statements taken as a whole.

PricewaterhouseCoopers LLP
Phoenix, Arizona
June 24, 2002

 


Table of Contents

Phelps Dodge Employee Savings Plan
Statements of Net Assets Available for Benefits
December 31, 2001 and 2000
(in thousands)

                 
    2001   2000
   
 
Assets
Investments (see Note 3)
  $ 462,362     $ 353,462  
Employer contribution receivables
    474       197  
 
   
     
 
Net assets available for benefits
  $ 462,836     $ 353,659  
 
   
     
 

The accompanying notes are an integral part of these financial statements

-2-


Table of Contents

Phelps Dodge Employee Savings Plan
Statement of Changes in Net Assets Available for Benefits
For the Year Ended December 31, 2001
(in thousands)

               
Additions to (deductions from):
       
 
Additions to (deductions from) net assets attributed to:
       
   
Investment income (loss):
       
     
Net depreciation in fair value of investments (see Note 3)
  $ (69,569 )
     
Interest and dividends
    12,952  
     
 
   
 
 
    (56,617 )
     
 
   
 
   
Contributions:
       
     
Employer contributions
    13,519  
     
Participant contributions
    28,094  
     
 
   
 
 
    41,613  
     
 
   
 
     
Total additions (deductions), net
    (15,004 )
     
 
   
 
Deductions:
       
 
Deductions from net assets attributed to:
       
   
Distributions to participants and beneficiaries
    55,021  
   
Administrative expenses
    379  
     
 
   
 
     
Total deductions
    55,400  
     
 
   
 
Funds transferred in from affiliated Employee Savings Plan (Note 1)
    179,581  
     
 
   
 
Increase in net assets
    109,177  
Net assets available for benefits at December 31, 2000
    353,659  
     
 
   
 
Net assets available for benefits at December 31, 2001
  $ 462,836  
     
 
   
 

The accompanying notes are an integral part of these financial statements

-3-


Table of Contents

Phelps Dodge Employee Savings Plan
Notes to Financial Statements
December 31, 2001 and 2000

1.   Description of Plan
 
    General
The Phelps Dodge Corporation Savings and Deferred Profit Sharing Plan (the Plan), a defined contribution plan, was established by Phelps Dodge Corporation (the Corporation) effective January 1, 1953, for the benefit of eligible salaried employees (the Participants). Hourly employees became eligible for the savings feature of the Plan on April 1, 1989. Subsequently, the Plan name was changed to Phelps Dodge Employee Savings Plan. In 2001, the Plan was amended and restated to incorporate regulatory changes effective January 1, 1997 and for plan changes effective January 1, 2001 related to the matching contribution from the Corporation and the hardship withdrawals.
 
    In 1999, the Corporation acquired Cyprus Amax Minerals Company. As a result, the Cyprus Amax Minerals Company Savings Plan and Trust, a defined contribution plan, was merged into the Plan. On January 2, 2001, all the assets of the Cyprus Amax Minerals Company Savings Plan and Trust, in the amount of $179,581,000, were transferred to the Plan.
 
    The Plan is subject to certain provisions of the Employee Retirement Income Security Act of 1974 (ERISA). A brief description of the Plan is included in the following paragraphs. Participants should refer to the Plan document for a complete description of Plan provisions.
 
    Administration
The Plan is sponsored by the Corporation and administered by the Benefits Administration Committee (the Committee) composed of five employees of the Corporation who are appointed by the Corporation’s Board of Directors.
 
    Plan assets are held by a trust (the Trust) administered by UMB Bank, n.a. (the Trustee) and J.P. Morgan/American Century Retirement Plan Services (the Recordkeeper) serves as the Recordkeeper of the Trust.
 
    Administrative expenses are paid by the Corporation, and all other fees and expenses are paid by the Trust.
 
    Investment Options
The Plan has a combination of participant and self-directed funds. The Trust is comprised of the following participant directed investments at December 31, 2001:
 
    Interest Income Fund – common/collective fund investing in high quality government and corporate bonds, stable value and guaranteed investment contracts and money market instruments.
 
    Income and Growth Fund – mutual fund investing in stocks of large-sized companies whose stock is expected to have a higher expected dividend yield and higher overall return potential than the S&P 500 Index.
 
    Equity Growth Fund – mutual fund investing in common stocks that fund management believes will have higher overall return potential than the S&P 500 Index.
 

-4-


Table of Contents

Phelps Dodge Employee Savings Plan
Notes to Financial Statements
December 31, 2001 and 2000

1.   Description of Plan (Continued)
     
    Enhanced Index Fund – mutual fund investing in approximately 350 large U.S. companies whose stock is expected to provide a higher total return potential than the S&P 500 Index.
 
    Small Cap Stock Fund – mutual fund investing primarily in stocks of small-sized companies and seeks to outperform the Russell 2000 Index.
 
    EuroPacific Growth Fund – mutual fund investing in stocks of non-U.S. companies which appear to offer above-average growth potential and whose objective is to provide long-term growth of capital.
 
    Conservative Investment Portfolio Fund – asset allocation portfolio comprising of 60 percent of the Interest Income Fund and a 40 percent mix of the plan’s mutual funds to provide a conservative investment return.
 
    Moderate Investment Portfolio Fund – asset allocation portfolio comprising of a 60 percent mix of the plan’s mutual funds and 40 percent of the Interest Income Fund to provide a moderate investment return.
 
    Aggressive Investment Portfolio Fund – asset allocation portfolio comprising of an 80 percent mix of the plan’s mutual funds and 20 percent of the Interest Income Fund to provide an aggressive investment return.
 
    Phelps Dodge Common Stock Fund – invests only in common stock of the Corporation.
 
    The following account allows for participants to self-direct these funds:
 
    Schwab Personal Choice Retirement Fund – enables participants to transfer funds from the above accounts to a wide range of investments, which includes mutual funds, over-the-counter stocks, short-term cash instruments and other investment options offered by Schwab.
 
    In addition, certain participants hold assets in the Occidental Petroleum Common Stock Fund as a result of the transfer of assets from the Columbian Chemicals Company plan and in the BP Amoco Common Stock Fund as a result of the transfer of assets from the Cyprus Amax Minerals Company Savings Plan and Trust.
 
    Contributions
Participants are eligible to make pretax contributions (Pretax Contribution), subject to certain limitations, equal to 1 percent to 15 percent of their eligible pay. These Pretax Contributions are eligible for a matching contribution from the Corporation (Company Matching Contribution). For Plan years after January 1, 2001, the Company Matching Contribution is equal to 100 percent of the first 3 percent of eligible pay deferred and 50 percent of the next 2 percent of eligible pay deferred. Participants are eligible to make Pretax Contributions to the Plan immediately upon hire date, and those Pretax Contributions are eligible for the Company Matching Contribution. For Plan years prior to January 1, 2001, the Company Matching Contribution was equal to 50 percent of the first 5 percent of the base pay deferred. Participants were eligible to make contributions to the Plan after three months of service; however, these contributions were not eligible for Company Matching Contribution until after one year of

-5-


Table of Contents

Phelps Dodge Employee Savings Plan
Notes to Financial Statements
December 31, 2001 and 2000

1.   Description of Plan (Continued)
 
    service. All contributions are invested in one or more of the investment funds available within the Plan as elected by participants. Participants are fully vested in their total account balance.
 
    A profit sharing contribution for certain salaried and Phelps Dodge Mercantile hourly employee participants may be made by the Corporation (Company Profit Sharing Contribution). For Plan years after January 1, 2001, the Company Profit Sharing Contribution is limited to the lesser of:

    6 percent;
 
    8 percent of consolidated net income of the Corporation divided by aggregate eligible pay for eligible Participants; or
 
    4 percent of consolidated net income divided by the aggregate eligible pay of exempt salaried employee Participants;

    multiplied by the total eligible pay of all Participants.
 
    These Company Profit Sharing Contributions can be made only to the extent that it does not reduce consolidated net income below $0.50 per common share for such year after provision for payment of preferred and preference share dividends. The Corporation did not make a profit sharing contribution in 2001.
 
    Distributions
Participants’ interests in the Trust become distributable upon severance of their service with the Corporation or to their beneficiaries in the event of their death or upon attaining age 59 1/2. The distribution may be a single lump sum or a series of substantially equal annual, quarterly or monthly cash installments beginning no earlier than age 55 and continuing over a period not to exceed 10 years, at the election of the Participant or beneficiary. Cash distributions are based upon the underlying closing price of the funds, except for Phelps Dodge Common Stock, Occidental Petroleum Stock or BP Amoco Stock, which are based upon the actual price at which the stock is liquidated in the market three days prior to the time of distribution. Distributions of the Phelps Dodge Common Stock Fund, Occidental Petroleum Common Stock Fund and BP Amoco Common Stock Fund may be made in shares.
 
    Participants may withdraw their after-tax contributions and earnings thereon at any time. The Plan also provides, with certain limitations, for hardship withdrawals of employee Pretax, Company Matching (amounts credited before January 1, 2001) and Company Profit Sharing Contributions; however, earnings on any of these contributions are ineligible for hardship withdrawal. Hardship withdrawals are not granted unless other financial resources are not reasonably available, including after-tax savings or a loan from the Plan. All withdrawals and distributions are made in accordance with procedures outlined in the Plan document.
 
    Loans
Participants may borrow amounts as provided in the Plan. Loans are repayable over a maximum of 5 years with the exception of loans for the purchase of a primary residence which may extend to 15 years. The maximum loan is an amount equal to $50,000 minus the Participant’s highest outstanding loan balance during the past 12 months, limited to 50 percent of the Participant’s vested account balance. Loans bear the prime interest rate as quoted in the Wall Street Journal plus 2 percent as of the first of each month. The prime rate at December 31, 2001 was 4.75 percent.

-6-


Table of Contents

Phelps Dodge Employee Savings Plan
Notes to Financial Statements
December 31, 2001 and 2000

1.   Description of Plan (Continued)
 
    Loans are repaid by payroll deduction and interest is credited to Participant accounts. Loans are secured by the Participant’s previous contributions to the Plan.
 
    Plan Termination
The Plan may be amended or terminated at any time by the Corporation. No such action may cause any portion of the Trust to revert to the Corporation or to be used or diverted for any purpose other than for the exclusive benefit of Participants or their beneficiaries.
 
2.   Summary of Significant Accounting Policies
 
    Basis of Presentation
The financial statements of the Plan are prepared on the accrual basis of accounting in conformity with accounting principles generally accepted in the United States of America.
 
    Use of Estimates
The preparation of financial statements in conformity with accounting principles generally accepted in the United States of America requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of Plan income and expenses during the reporting period. Actual results could differ from those estimates.
 
    Investment Valuation and Income Recognition
Plan investments, other than Guaranteed Investment Contracts (GICs), are presented at fair value. The fair values of common stock, registered investment companies and common/collective fund shares are based upon the closing market price on the valuation date. The GICs are recorded at contract value. Contract value is based upon the GICs’ respective face values plus accrued interest on the valuation date. Participant loans are valued at cost, which approximates fair value.
 
    Security transactions are recorded on a trade date basis. Expenses paid by the Plan in connection with such transactions include brokerage commissions and taxes which are included in the cost of securities purchased and deducted from the proceeds of securities sold. The net appreciation (depreciation) in the fair value of the Plan’s investments consists of the realized gains (losses) and the unrealized appreciation (depreciation) on those investments. Dividend income is recognized on the ex-dividend date. Interest income is recognized as earned. Employer and participant contributions are recognized on the accrual basis.
 
    Payment of Benefits
Benefits are recorded when paid.

-7-


Table of Contents

Phelps Dodge Employee Savings Plan
Notes to Financial Statements
December 31, 2001 and 2000

2.   Summary of Significant Accounting Policies (Continued)
 
    New Accounting Pronouncements
In June 1998, the Financial Accounting Standards Board (FASB) issued Statement of Financial Accounting Standards (SFAS) No. 133, “Accounting for Derivative Instruments and Hedging Activities”. SFAS No. 133 requires that an entity recognize all derivatives and measure those instruments at fair value.
 
    SFAS No. 133 is effective for fiscal years beginning after June 15, 2000. Pursuant to SFAS No. 137, the Plan is required to adopt SFAS No. 133 effective January 1, 2001. There is an inconsistency in accounting literature between SFAS No. 133, requiring derivatives to be measured at fair value, and the AICPA Audit and Accounting Guide on “Audits of Employee Benefit Plans” and Statement of Position 94-4, “Reporting of Contribution Pension Plans,” requiring benefit responsive investment contracts (including synthetic GICs) to be measured at contract value. The FASB has issued an exposure draft dated May 1, 2002, “Amendment of Statement 133 on Derivative Instruments and Hedging Activities,” which addresses this discrepancy. The amendment proposes that certain investment contracts are not subject to SFAS No. 133. Until this discrepancy is resolved, the contract value for those instruments of $106,635,000 at December 31, 2001, has been included in the financial statements. Refer to Note 4 for further discussion of GICs.
 
3.   Investments
 
    The following table presents the current value of investments that represent 5 percent or more of the Plan’s net assets at December 31:
                 
    2001   2000
   
 
    (in thousands)
J.P. Morgan Interest Income Fund
  $ 70,499     $ 47,371  
American Century Equity Growth Fund
    63,229       63,564  
American Century Income & Growth Fund
    50,547       47,870  
Moderate Investment Portfolio Fund
    57,439       21,464  
Aggressive Investment Portfolio Fund
    36,839       27,658  
J.P. Morgan Enhanced Index Fund
    34,855       26,694  
Schwab Personal Choice Retirement Fund
    28,401       19,771  
Phelps Dodge Corporation Common Stock
    50,642       49,817  
Participant Loans
    23,803       19,142  

-8-


Table of Contents

Phelps Dodge Employee Savings Plan
Notes to Financial Statements
December 31, 2001 and 2000

3.   Investments (Continued)
 
    During 2001, the Plan’s investments (including gains and losses on investments bought and sold, as well as held during the year) depreciated in value as follows:
         
    For the
    year ended
    December 31,
    2001
   
    (in thousands)
Common stock
  $ (42,547 )
Registered investment companies
    (18,775 )
Common/collective funds
    (8,247 )
 
   
 
 
  $ (69,569 )
 
   
 

4.   Investment Contracts with Insurance Companies
 
    During 2001 and 2000, the Interest Income Fund had investments in benefit responsive synthetic investment contracts. The account is credited with earnings on the underlying investments and charged for participant withdrawals and administration expenses. Contract value represents contributions made under the contract, plus earnings, less participant withdrawals and administrative expenses. Participants may ordinarily direct the withdrawal or transfer of all or a portion of their investment at contract value. These contracts are included in the financial statements at contract value.
 
    There are no reserves against contract value for credit risk of the contract issuer or otherwise. The average yield and crediting interest rates were approximately 6.37% and 6.44% for 2001 and 2000, respectively. The crediting interest rate is based on a formula agreed upon by the issuers. Such interest rates are reviewed on a quarterly basis for resetting.

-9-


Table of Contents

Phelps Dodge Employee Savings Plan
Notes to Financial Statements
December 31, 2001 and 2000

5.   Related Party Transactions
 
    The Trustee invests in the Corporation’s common stock in accordance with the provisions of the Plan. The following is a summary of transactions in the Corporation’s common stock:
                 
    For the year ended
    December 31,
    2001   2000
   
 
    (in thousands)
Cost of shares purchased
  $ 16,506     $ 25,309  
Number of shares purchased
    443       543  
 
Proceeds from shares sold
  $ 14,025     $ 14,717  
Number of shares sold
    351       295  
 
Value of shares distributed
  $ 2,248     $ 1,262  
Number of shares distributed
    42       23  

    Certain Plan investments are shares of Registered Investment Companies and Common/ Collective Trusts managed by American Century Investments and J.P. Morgan Investment Management. J.P. Morgan/American Century Retirement Plan Services, an affiliate, is the Recordkeeper as defined by the Plan and, therefore, these transactions qualify as party-in-interest.
 
6.   Tax Status
 
    The Plan received a determination letter from the Internal Revenue Service (IRS) dated January 21, 2000, which stated that the Plan met the requirements of Section 401(a) of the Internal Revenue Code and that the earnings of the Trust are exempt from taxation under Section 501(a) of the Code. The Plan has been amended and restated since receiving the determination letter, and has filed for a redetermination by the IRS that the Plan, as amended and restated, continues to satisfy such requirements. The Committee believes that the Plan, as amended and restated and as operated, continues to satisfy IRS requirements for tax exemption.
 
7.   New Legislation for 2002
 
    The Economic Growth and Tax Relief Reconciliation Act of 2001 has made the following changes for 2002:

    Pretax Contributions, subject to certain limitations imposed by the IRS, up to 100 percent of eligible pay;
 
    participants may be entitled to a tax credit;
 
    additional contributions for participants 50 years or over;
 
    greater flexibility in rollovers; and
 
    shorter suspension period following hardship withdrawals.

-10-


Table of Contents

     
Phelps Dodge Employee Savings Plan
Schedule of Assets (Held at End of Year)
December 31, 2001
  Supplemental Information
Schedule I

                       
        (c) Description of investment        
        including maturity date, rate of   (d)    
        interest, collateral, par or maturity   Cost   (e) Current
(a)   (b) Identity of issue, borrower, lessor or similar party   value, or number of shares   **   Value

 
 
 
 
    Cash and Short-Term Investments:                    
    Cash   -           $ 20,473
    Schwab Money Market Fund   1,589,981             2,827,881
*   UMB Scout Prime   67,907             67,907
    U.S. Treasury Note 6.50% Due 2/28/02   10,000             10,075
    U.S. Treasury Note 6.25% Due 6/30/02   275,000             282,045
                     
                 Total Cash and Short-Term Investments                 3,208,381
    Common/Collective Funds:                
*   J.P. Morgan U.S. Smart Index Fund   3,012,580   shares         60,962,382
*   J.P. Morgan Liquidity Fund   2,066,515   shares         1,977,919
*   J.P. Morgan Public Bond Fund   4,699,773   shares         73,786,442
*   J.P. Morgan Corporate Private Placement Fund   362,504   shares         4,060,044
*   J.P. Morgan Mortgage Private Placement Fund   1,188,077   shares         20,553,740
*   J.P. Morgan High Yield Opportunity Fund   308,423   shares         3,201,436
*   J.P. Morgan Public Mortgage Fund   389,740   shares         6,002,001
*   J.P. Morgan Emerging Markets Opportunity Fund   36,206   shares         429,770
                     
                 Total Common/Collective Funds                 170,973,734
    Corporate Debt:                  
    General Electric Capital 6.52% Med Term Note 10/8/02   2,000             2,063
                     
                 Total Corporate Debt                 2,063
    Common Stocks:                  
    1/10 Berkshire Hathaway Class A   10   shares         75,600
    3Com Corporation   694   shares         4,428
    3W Ventures.com Inc   700   shares        
    4Kids Entertainment Inc   500   shares         10,015
    8X8 Inc   14   shares         12
    ACTV Inc   85   shares         159
    ADC Telecommunications Inc   1,325   shares         6,095
    AM Communications Inc   2,000   shares         800
    AMF Bowling Inc   800   shares         44
    AO Tatneft Spon ADR   500   shares         5,160
    AT&T Corporation   2,725   shares         49,435
    AT&T Wireless   1,405   shares         20,190
    Aastrom Biosciences Inc   200   shares         196
    Aber Diamond Corporation   400   shares         5,064
    Aberdeen Asia Pac Income   2,209   shares         8,483
    Access Power Inc   250   shares         7
    Ace Communications Corporation   100   shares         114
    Action Performance Company   100   shares         3,061
    Abode Systems Inc   250   shares         7,763
    Advanced Digital Information Corporation   100   shares         1,604

-11-


Table of Contents

     
Phelps Dodge Employee Savings Plan
Schedule of Assets (Held at End of Year)
December 31, 2001
  Supplemental Information
Schedule I

                       
        (c) Description of investment        
        including maturity date, rate of   (d)    
        interest, collateral, par or maturity   Cost   (e) Current
(a)   (b) Identity of issue, borrower, lessor or similar party   value, or number of shares   **   Value

 
 
 
 
    Common Stocks: (Continued)                
    Advanced Micro Devices   998   shares       $ 15,828
    Advanced Viral Research   1,300   shares         345
    Aeroflex Inc   1,000   shares         18,930
    Affymetrix Inc   270   shares         10,192
    Agere Systems Inc Class A   200   shares         1,138
    Albertsons Incorporated   206   shares         6,483
    Alcoa Inc   200   shares         7,110
    Alliance Fiber Optic Products Inc   100   shares         142
    Amazon.com Inc   763   shares         8,256
    America West Holdings Corporation Class B   4,800   shares         16,800
    American Express Company   150   shares         5,354
    Ameritrade Holding Corporation Class A   20   shares         118
    American Aircarriers Support   320   shares        
    American Tower Corporation Class A   715   shares         6,771
    Amgen Incorporated   900   shares         50,796
    Amkor Technology Inc   50   shares         801
    Anadigics Inc   100   shares         1,525
    Analog Devices Inc   437   shares         19,398
    Anheuser Busch Company Inc   1   shares         16
    AOL Time Warner Inc   4,127   shares         132,477
    Applebees Intl Inc   15   shares         515
    Applera Celera Genomics   172   shares         4,591
    Applied Digital Solution   17,000   shares         7,310
    Applied Materials Inc   765   shares         30,677
    Applied Micro Circuits   2,272   shares         25,719
    Applied Microsystems Corporation   200   shares         210
    Arch Coal Inc   75   shares         1,703
    Arch Wireless Inc   176   shares         2
    Ariad Pharmaceuticals   500   shares         2,665
    Ariba Inc   4,000   shares         24,640
    At Home Corporation Class A   1,000   shares         6
    Atmel Corporation   1,150   shares         8,476
    Atmos Energy Corporation   300   shares         6,375
    Audiovox Corporation Class A   150   shares         1,119
    Aura Systems Inc   15,000   shares         6,600
    Aurora Platinum Corporation   2,725   shares         4,905
    Avaya Inc   127   shares         1,543
    Avici System Inc   30   shares         87
    Axia Group Inc   500   shares         105
    BJ Services Company   175   shares         5,679
    BMC Software Inc   250   shares         4,093
    BP PLC Adr   660   shares         30,697
    BP Amoco Corporation (BP PLC)   24,457   shares         1,137,499

-12-


Table of Contents

     
Phelps Dodge Employee Savings Plan
Schedule of Assets (Held at End of Year)
December 31, 2001
  Supplemental Information
Schedule I

                       
        (c) Description of investment        
        including maturity date, rate of   (d)    
        interest, collateral, par or maturity   Cost   (e) Current
(a)   (b) Identity of issue, borrower, lessor or similar party   value, or number of shares   **   Value

 
 
 
 
    Common Stocks: (Continued)                
    Baldor Electric Company   101   shares       $ 2,117
    Ballard Power Systems   55   shares         1,626
    Bank One Corporation   55   shares         2,148
    Beazer Homes USA Inc   133   shares         9,732
    Bell Microproducts Inc   1,000   shares         12,620
    Benguet Corporation Class B   1,000   shares         55
    Benton Oil & Gas Company   500   shares         720
    Berkshire Hathaway Class B   8   shares         20,200
    Bethlehem Steel Corporation   600   shares         270
    Bico Inc   9,000   shares         268
    Bindview Development Corporation   200   shares         402
    Biogen Inc   100   shares         5,735
    Biomerica Inc   100   shares         66
    Biopure Corporation Class A   25   shares         355
    Boeing Company   238   shares         9,215
    Bombardier Inc Cv Class B   200   shares         2,070
    Boston Biomedica Inc   15   shares         44
    Bradley Pharmaceuticals Inc   500   shares         10,375
    Brigham Exploration Company   200   shares         600
    Brio Software Inc   663   shares         1,909
    Broadcom Corporation Class A   228   shares         9,318
    Broadvision Inc   790   shares         2,165
    CACI Inc Class A   50   shares         1,974
    CBRL Group Inc   25   shares         740
    CMGI Inc   1,175   shares         1,915
    CTS Corporation   101   shares         1,603
    Cable Design Technologies Corporation   750   shares         10,260
    Caldera International   350   shares         301
    Caliper Technologies CP   30   shares         468
    Calpine Corporation   1,149   shares         19,292
    Cambior Inc   1,000   shares         440
    Cardiac Science Inc   1,110   shares         4,940
    Cardstakes.com   84   shares        
    Catalyst Semiconductor Inc   10,600   shares         29,680
    Caterpillar Inc   1   shares         3
    Cendant Corporation   2,050   shares         40,200
    Cepheid Inc   500   shares         2,100
    Charter Communications   370   shares         6,079
    Check Point Software Technologies   475   shares         18,948
    Checkfree Corporation   40   shares         720
    Chesapeake Energy Corporation   50   shares         331
    ChevronTexaco Corporation   100   shares         8,961
    Ciena Corporation   1,962   shares         28,076

-13-


Table of Contents

     
Phelps Dodge Employee Savings Plan
Schedule of Assets (Held at End of Year)
December 31, 2001
  Supplemental Information
Schedule I

                       
        (c) Description of investment        
        including maturity date, rate of   (d)    
        interest, collateral, par or maturity   Cost   (e) Current
(a)   (b) Identity of issue, borrower, lessor or similar party   value, or number of shares   **   Value

 
 
 
 
    Common Stocks: (Continued)                
    Cigna Corporation   40   shares     $   3,732
    Circuit City Stores Inc   50   shares         1,137
    Cirus Telecom Inc   98,000   shares         15,680
    Cisco Systems Inc   26,247   shares         475,333
    Citigroup Inc   850   shares         42,922
    Citrix Systems Inc   800   shares         18,128
    Clarent Corporation   600   shares        
    Clean Harbors Inc   300   shares         1,011
    Coca Cola Company   10   shares         480
    Coeur ‘D Alene Mines CP   1,500   shares         1,185
    Coherent Inc   50   shares         1,546
    Coinstar Inc   14   shares         350
    Comcast Corporation Class A   100   shares         3,600
    Comcast Corporation Special Class A Non Voting Shares   200   shares         7,200
    Commerce One Inc   10   shares         36
    Compaq Computer Corporation   855   shares         8,340
    Computerized Thermal Imaging Inc   3,500   shares         5,425
    Comverse Technology   4,000   shares         89,480
    Concur Technologies Inc   4,500   shares         8,303
    Conexant Systems Inc   263   shares         3,777
    Conoco Inc   107   shares         3,036
    Constellation 3D Inc   200   shares         172
    Corbel Holdings Inc   2,552   shares        
    Corgenix Medical Corporation   585   shares         123
    Corning Inc   1,206   shares         10,756
    Corvis Corporation   5,550   shares         17,926
    Countrywide Credit Industries   800   shares         32,776
    Covad Communications Group Inc   100   shares         286
    Cree Inc   100   shares         2,946
    Cryolife Inc   130   shares         3,900
    CyberCare Inc   50   shares         48
    Cypress Semiconductor   100   shares         1,993
    Cytogenix Inc   2,000   shares         390
    Cytyc Corporation   100   shares         2,610
    DCH Technology Inc   675   shares         358
    DR Horton Corporation   1   share         8
    Data Return Corporation   72,858   shares         105,644
    De Luxe Corporation   50   shares         2,079
    Decorize Inc   400   shares         1,300
    Dell Computer Corporation   2,032   shares         55,230
    Delta Woodside Industries Inc   100   shares         88
    Detour Magazine Inc   1,000   shares         25
    Deutsche Telekom Ag Adr   800   shares         13,520

-14-


Table of Contents

     
Phelps Dodge Employee Savings Plan
Schedule of Assets (Held at End of Year)
December 31, 2001
  Supplemental Information
Schedule I

                       
        (c) Description of investment        
        including maturity date, rate of   (d)    
        interest, collateral, par or maturity   Cost   (e) Current
(a)   (b) Identity of issue, borrower, lessor or similar party   value, or number of shares   **   Value

 
 
 
 
    Common Stocks: (Continued)                
        Digital Lightwave Inc   20   shares       $ 188
        Dippy Foods Inc   2,000   shares         90
        Disney, Walt Holding Company   660   shares         13,682
        Diversa Corporation   155   shares         2,193
        Divine Inc Class A   80,296   shares         59,419
        Dollar General Corporation   37   shares         551
        Dow Chemical Company   100   shares         3,378
        Drkoop.com Inc   280   shares        
        Du Pont E I De Nemour & Company   105   shares         4,468
        Duke Energy Corporation   200   shares         7,852
        Dynacq International Inc   50   shares         1,114
        Dynasil Corporation America   2,000   shares         1,300
        Dynegy Inc Class A   148   shares         3,774
        E Com Tech Corporation   20,300   shares         426
        E Digital Corporation   1,000   shares         1,320
        EMC Corporation   4,153   shares         55,816
        E.Spire Communications Inc   19,500   shares         2,126
        Ebay Inc   100   shares         6,690
        EchoStar Communications Corporation Class A   250   shares         6,867
        Ectel Limited   100   shares         1,732
        Egghead.com Inc   50   shares        
        El Paso Corporation   201   shares         8,954
        Elastic Networks Inc   20,000   shares         15,600
        Elcom Intl Inc   500   shares         690
        Emerson Electric Company   200   shares         11,420
        Empire Exhangeco Service A   500   shares        
        Empire Exhangeco Service B   500   shares        
        Emulex Corporation   1,073   shares         42,394
        Endwave Corporation   100   shares         114
        Energy Power Systems Ltd   100   shares         420
        Enron Corporation   11,501   shares         6,901
        Enviro-Energy Corporation   1,000   shares         18
        EPIQ Systems Inc   550   shares         10,642
        Ericsson Tel Adr B   4,100   shares         21,402
        Etoys Inc   500   shares         3
        E-Trade Group Inc   310   shares         3,178
        EuroTech Ltd   10,000   shares         11,000
        Evolve One Inc   19,500   shares         175
        Evolving Systems Inc   2,000   shares         1,580
        Exelon Corporation   100   shares         4,788
        EXFO Electro-Optical Engineering Inc   198   shares         2,352
        Exodus Communications Inc   11,050   shares         431
        Exxon Mobil Corporation   823   shares         32,349

-15-


Table of Contents

     
Phelps Dodge Employee Savings Plan
Schedule of Assets (Held at End of Year)
December 31, 2001
  Supplemental Information
Schedule I

                       
        (c) Description of investment        
        including maturity date, rate of   (d)    
        interest, collateral, par or maturity   Cost   (e) Current
(a)   (b) Identity of issue, borrower, lessor or similar party   value, or number of shares   **   Value

 
 
 
 
    Common Stocks: (Continued)                
    FYI Inc   75   shares       $ 2,512
    F2 Broadcast Network   62   shares        
    Famous Fixins Inc   400   shares         4
    Federal-Mogul Corporation   300   shares         237
    Fedex Corporation   40   shares         2,075
    Finova Group Inc   507   shares         309
    First Capital International Inc   1,500   shares         165
    Flextronics International Ltd   400   shares         9,596
    Floor Décor Inc   5,000   shares         4,600
    Fonix Corporation   2,000   shares         208
    Ford Motor Company   400   shares         6,288
    Foundry Networks Inc   100   shares         815
    Freemarkets Inc   40   shares         959
    Fuelcell Energy Inc   352   shares         6,385
    Fundtech Ltd   3,000   shares         16,080
    Galtech Semiconductor Material   6,000   shares         900
    Gap Inc   151   shares         2,111
    Gart Sports Company   200   shares         4,200
    Gemstar TV Guide International   9   shares         249
    Gene Logic Inc   135   shares         2,543
    General Chemical Group Inc   200   shares         670
    General Electric Company   5,311   shares         212,880
    General Magic Inc   180   shares         70
    Genome Therapeutics Corporation   500   shares         3,405
    Giant Inds Inc AZ   5,100   shares         47,073
    Gilat Satellite Networks Ordf   100   shares         548
    Glamis Gold Ltd   1,300   shares         4,693
    Global Crossing Ltd   8,870   shares         7,451
    Global Escience Corporation   260   shares         7
    Global Imaging Systems Inc   232   shares         3,464
    Global Sports Inc   94   shares         1,875
    Global Telesystems Inc   600   shares         4
    GlobalNet Inc   56,225   shares         24,177
    Globalstar Telecom Ord   4,529   shares         734
    Globespan Virata Inc   51   shares         660
    GoAmerica Inc   175   shares         397
    Goldman Sachs Group Inc   101   shares         9,408
    Goodyear Tire & Rubber   500   shares         11,905
    Guidant Corporation   500   shares         24,900
    H Power Corporation   400   shares         1,248
    Handspring Inc   1,100   shares         7,414
    Harley Davidson Inc   200   shares         25,912
    Harmony Gold Mining SP Adr   100   shares         651

-16-


Table of Contents

     
Phelps Dodge Employee Savings Plan
Schedule of Assets (Held at End of Year)
December 31, 2001
  Supplemental Information
Schedule I

                       
        (c) Description of investment        
        including maturity date, rate of   (d)    
        interest, collateral, par or maturity   Cost   (e) Current
(a)   (b) Identity of issue, borrower, lessor or similar party   value, or number of shares   **   Value

 
 
 
 
    Common Stocks: (Continued)                
    Harrah’s Entertainment Inc   20   shares       $ 740
    Hartford Financial Services Group   100   shares         6,283
    Harvard Bioscience Inc   100   shares         994
    Hathaway Corporation   3,000   shares         8,640
    Heilig-Meyers Company   100   shares        
    Hewlett-Packard Company   3,005   shares         61,726
    Hitachi Ltd Adr   150   shares         10,978
    Home Depot Inc   864   shares         44,996
    Home Fing Centers Inc   5   shares        
    House2Home Inc   1,000   shares         10
    Hauneng Power International Adr   300   shares         7,230
    Hurry Inc Class A   5,000   shares         1,850
    Hydrogiene Corporation   3,000   shares         3
    Hytek Micro Systems Inc   3,000   shares         5,700
    I2 Technologies Inc   542   shares         4,282
    IXYS Corporation   424   shares         3,430
    iAsiaworks Inc   35,000   shares         4,550
    iBeam Broadcasting   150   shares         4
    iGo Corporation   265   shares         125
    iJoin Systems Inc   10,000   shares         4,300
    iPet Holdings Inc   100   shares         7
    iStar Financial Inc   107   shares         2,675
    Image Entertainment   200   shares         480
    Imclone Systems Inc   40   shares         1,858
    Immulabs Corporation   4   shares        
    Immunex Corporation   138   shares         3,824
    Impath Inc   700   shares         31,157
    Industrial Rubber Products   5,000   shares         1,600
    Indo Pacific Energy   110   shares         143
    Infonet Services Corporation   152   shares         372
    Infonow Corporation   17,311   shares         64,397
    Informax Inc   1,000   shares         2,950
    Infospace Inc   1,750   shares         3,587
    Inhale Therapeutic Systems Inc   450   shares         8,348
    Inktomi Corporation   4,150   shares         27,846
    Integrated Device Technology Inc   600   shares         15,954
    Intel Corporation   10,226   shares         321,601
    Interamerican Res Inc   999   shares         6
    Interliant Inc   100   shares         35
    Internet Business’s Intl   600   shares         8
    Interwoven Inc   1,370   shares         13,344
    International Business Machines   20   shares         2,456
    International FiberCom Inc   2,000   shares         500

-17-


Table of Contents

     
Phelps Dodge Employee Savings Plan
Schedule of Assets (Held at End of Year)
December 31, 2001
  Supplemental Information
Schedule I

                       
        (c) Description of investment        
        including maturity date, rate of   (d)    
        interest, collateral, par or maturity   Cost   (e) Current
(a)   (b) Identity of issue, borrower, lessor or similar party   value, or number of shares   **   Value

 
 
 
 
    Common Stocks: (Continued)                  
    International Merchantile Corp   3,000   shares       $ 1,650
    International Rectifier Corporation   300   shares         10,464
    Intuit Inc   50   shares         2,139
    Island Critical Care Corp.   10,000   shares         1,000
    Itronics Inc   500   shares         58
    Ivax Corporation   25   shares         504
*   J.P. Morgan Chase & Company   2,600   shares         94,510
    Jabil Circuit Inc   806   shares         18,312
    Jawz Inc   150   shares         1
    JDS Uniphase Corporation   3,230   shares         28,036
    JNI Corporation   600   shares         4,986
    Johnson & Johnson   245   shares         14,496
    Juniper Networks Inc   1,047   shares         19,841
    JustWebit.com Inc   2,000   shares         44
    KLA Tencor Corporation   222   shares         11,002
    K Mart Corporation   200   shares         1,092
    Kemet Corporation   125   shares         2,219
    Kismet Energy Corporation   1,000   shares         10
    Knight Trading Group   30   shares         331
    Kon Philips Electric NV   550   shares         16,010
    Kopin Corporation   100   shares         1,400
    Kraft Foods Inc   111   shares         3,777
    Krispy Kreme Doughnut Corporation   200   shares         8,840
    Kushner-Locke Company   2,200   shares         55
    LTV Corporation   11,700   shares         164
    L90 Inc   1,000   shares         1,550
    Learn2 Corporation   474   shares         57
    LeCroy Corporation   395   shares         7,189
    Level 3 Communications   330   shares         1,650
    Liberty Satellite & Tech Class A   1,050   shares         987
    Lifecore Biomedical Inc   120   shares         1,337
    Linear Technology Corporation   600   shares         23,442
    Loch Harris Inc   4,000   shares         120
    Loral Space & Communications Ltd   1,350   shares         4,037
    Lowes Companies Inc   890   shares         41,310
    LSI Logic Corporation   967   shares         15,259
    Lucent Technologies Inc   20,075   shares         126,273
    MRV Communications Inc   2,000   shares         8,480
    Macromedia Inc   206   shares         3,667
    Manpower Inc   20   shares         674
    MarchFirst Inc   400   shares        
    Marex Inc   500   shares         255
    Martha Stewart Living Omni   900   shares         14,805

-18-


Table of Contents

     
Phelps Dodge Employee Savings Plan
Schedule of Assets (Held at End of Year)
December 31, 2001
  Supplemental Information
Schedule I

                       
        (c) Description of investment        
        including maturity date, rate of   (d)    
        interest, collateral, par or maturity   Cost   (e) Current
(a)   (b) Identity of issue, borrower, lessor or similar party   value, or number of shares   **   Value

 
 
 
 
    Common Stocks: (Continued)                
    Massey Energy Company   147   shares       $ 3,050
    Maxim Integrated Products   145   shares         7,614
    Maxim Pharmaceuticals   1,000   shares         6,900
    McData Corporation Class A   15   shares         367
    MedCom Usa Inc   400   shares         16
    Medialink Worldwide Inc   110   shares         288
    Mediax Corporation   5,000   shares         5
    Medicis Pharamaceutical Corp Class A   200   shares         12,918
    Medquist Inc   35   shares         1,024
    Medtronic Inc   1,003   shares         51,341
    Merck & Co Inc   417   shares         24,520
    Metromedia Fiber Network Inc   6,000   shares         2,640
    Michaels Stores Inc   90   shares         2,965
    Microage Inc   487   shares         2
    Microsoft Corporation   2,957   shares         195,901
    Millennium Pharmaceuticals Inc   400   shares         9,804
    Minnesota Mining & Manufacturing   212   shares         25,061
    Miracle Entertainment   3,237   shares         81
    Motorola Incorporated   2,301   shares         34,559
    Mylan Laboratories Inc   300   shares         11,250
    Myriad Genetics Inc   100   shares         5,264
    MyTurn.com Inc   24,000   shares         67
    NCS Healthcare Inc Class A   3,940   shares         749
    NL Industries Inc   260   shares         3,972
    National Beauty Corp   22   shares         11
    National Residential PPTYS Inc   210,000   shares         105
    National Semiconductor Corporation   500   shares         15,395
    Navisite Inc   2,000   shares         720
    Net2Phone Inc   1,000   shares         6,750
    NetLojix Communications Inc   1,000   shares         170
    NetSilicon Inc   1,000   shares         3,850
    Network Appliance Inc   668   shares         14,609
    New Century Company   20   shares         42
    New Tel Limited Spon Adr   15   shares         18
    Newell Rubbermaid Inc   358   shares         9,873
    Newport Corporation   1,554   shares         29,963
    NewPower Holdings Inc   5   shares         4
    Nexell Therapeutics   24,200   shares         34,364
    Niku Corporation   1,150   shares         1,875
    Nisource Inc Holding Company   29   shares         668
    Nokia Corporation Spon Adr   6,898   shares         169,208
    Nordic American Tanker Shipping Inc   219   shares         3,033
    Nortel Networks Corporation (Holding Company)   1,802   shares         13,515

-19-


Table of Contents

     
Phelps Dodge Employee Savings Plan
Schedule of Assets (Held at End of Year)
December 31, 2001
  Supplemental Information
Schedule I

                       
        (c) Description of investment        
        including maturity date, rate of   (d)    
        interest, collateral, par or maturity   Cost   (e) Current
(a)   (b) Identity of issue, borrower, lessor or similar party   value, or number of shares   **   Value

 
 
 
 
    Common Stocks: (Continued)                
    Novatel Wireless Inc   3,250   shares       $ 3,965
    Nutrition 21 Inc   300   shares         213
    O’Charley’s Inc   230   shares         4,257
    o2wireless Solutions Inc   1,000   shares         1,740
    Ocean Energy Inc   100   shares         1,920
    Office Depot Inc   397   shares         7,360
    Omnisky Corporation   300   shares         4
    On Semiconductor Corporation   200   shares         414
    Onvia.com Inc   4   shares         2
    Openwave Systems Inc   68   shares         666
    Optical Communications Products Inc   200   shares         788
    Oracle Corporation   7,992   shares         110,370
    Orchid Biosciences Inc   600   shares         3,300
    Owens Corning   300   shares         570
    Oxy Corporation (Occidential Petroleum Corporation)   5,423   shares         143,870
    PMC-Sierra Inc   222   shares         4,720
    Pacific Century Cyberworks Ord   300   shares         75
    Palm Inc   4,306   shares         16,707
    Paradigm Genetics Inc   600   shares         3,420
    Paravant Inc   370   shares         870
    Parts.com Inc   61   shares         20
    Penton Media Inc   100   shares         626
    PeopleSoft Inc   510   shares         20,502
    Pepsico Incorporated   102   shares         4,944
    Petroleum Geo-Services ASA   100   shares         796
    Pfizer Incorporated   1,877   shares         74,807
    Pharmaceutical Product Development   266   shares         8,594
    Pharmacia Corporation   23   shares         981
    Pharmos Corporation   600   shares         1,410
    Phoenix Companies   100   shares         1,850
    Pinnacle Business Management Inc   257,142   shares         3,729
    Pixelworks Inc   1,965   shares         31,558
    Placer Dome Inc   220   shares         2,400
    Plug Power Inc   1,400   shares         12,236
    Polycom Inc   100   shares         3,407
    Poore Brothers Inc   60   shares         150
    Portal Software Inc   1,100   shares         2,288
    Presstek Inc   400   shares         3,668
    Priceline.com Inc   1,300   shares         7,566
    PrimeLink Systems Inc   100   shares         62
    Procter & Gamble Company   120   shares         9,496
    Proginet Corporation   625   shares         162
    Providian Financial Corporation   400   shares         1,420

-20-


Table of Contents

     
Phelps Dodge Employee Savings Plan
Schedule of Assets (Held at End of Year)
December 31, 2001
  Supplemental Information
Schedule I

                       
        (c) Description of investment        
        including maturity date, rate of   (d)    
        interest, collateral, par or maturity   Cost   (e) Current
(a)   (b) Identity of issue, borrower, lessor or similar party   value, or number of shares   **   Value

 
 
 
 
    Common Stocks: (Continued)                
    Prudential Financial Inc   92   shares       $ 3,053
    PSINet Inc   988   shares         6
    QLogic Corporation   70   shares         3,116
    QUALCOMM Incorporated   1,559   shares         78,730
    Quanta Services Inc   400   shares         6,172
    Quentra Networks Inc   700   shares         1
    Quintus Corporation   400   shares         20
    Quokka Sports Inc   1   shares        
    Qwest Communications International Inc   350   shares         4,945
    Rambus Inc   1,905   shares         15,221
    Ramtron International Corporation   60   shares         269
    Rayonier Inc   100   shares         5,047
    Raytheon Company   344   shares         11,186
    Razorfish Inc Class A   90   shares         20
    Reality Wireless Networks Inc   407   shares         102
    Recordlab Corporation   450   shares         2
    Redback Networks Inc   1,000   shares         3,950
    Redhat Inc   130   shares         923
    Remington Oil and Gas Corporation   78   shares         1,349
    Research In Motion Limited   100   shares         2,372
    Rite Aid Corporation   4,300   shares         21,758
    Rockford Corporation   20   shares         172
    Rockwell Collins Inc   100   shares         1,950
    Ross Stores Inc   50   shares         1,604
    Rudolph Technologies Inc   178   shares         6,109
    Ryan’s Family Steakhouse Inc   50   shares         1,082
    SBC Communications Inc   246   shares         9,621
    Safeguard Scientific Inc   800   shares         2,800
    Safeway Inc   1,150   shares         48,013
    Sandisk Corporation   488   shares         7,027
    Sanmina SCI Corporation   667   shares         13,273
    Sara Lee Corporation   120   shares         2,667
    Satyam Infoway Limited Adr   400   shares         608
    Schlumberger Limited   32   shares         1,758
    Scient Inc   643   shares         270
    Scientific Atlanta Inc   786   shares         18,828
    Seattle Genetics Inc   1,000   shares         5,700
    Semotus Solutions Inc   1,000   shares         730
    Serena Software Inc   50   shares         1,087
    Service Corporation International   335   shares         1,672
    Shaman Pharmaceuticals   100,001   shares         600
    Siebel Systems Inc   857   shares         23,979
    Silicon Image Inc   1,000   shares         3,760

-21-


Table of Contents

     
Phelps Dodge Employee Savings Plan
Schedule of Assets (Held at End of Year)
December 31, 2001
  Supplemental Information
Schedule I

                       
        (c) Description of investment        
        including maturity date, rate of   (d)    
        interest, collateral, par or maturity   Cost   (e) Current
(a)   (b) Identity of issue, borrower, lessor or similar party   value, or number of shares   **   Value

 
 
 
 
    Common Stocks: (Continued)                  
    Sirius Satellite Radio   710   shares       $ 8,257
    Siskon Gold Corporation   3,000   shares         9
    Socket Communications Inc   3,000   shares         5,040
    Solectron Corporation   540   shares         6,091
    Sonera Group PLC Adr   100   shares         486
    Sonic Solutions   315   shares         1,562
    SONICblue Inc   1,000   shares         4,040
    Sonus Networks Inc   1,000   shares         4,620
    Southwall Technologies   462   shares         3,303
    Southwest Airlines Company   2,746   shares         50,744
    Southwest Gas Corporation   100   shares         2,235
    Spatializer Audio Laboratories Inc   1,000   shares         115
    Sprint FON Group   615   shares         12,343
    Sprint PCS Group   500   shares         12,205
    Stamford International Inc   1,800   shares         2
    Starbucks Corporation   300   shares         5,715
    Stillwater Mining Corporation   885   shares         16,372
    StorageNetworks Inc   220   shares         1,360
    Stratos Lightwave Inc   500   shares         3,075
    Styling Technology Corporation   130   shares         3
    Sun Healthcare Group Inc   1,500   shares         6
    Sun Microsystems Inc   5,026   shares         61,820
    Sungard Data Systems Inc   136   shares         3,934
    Sunrise Technologies International Inc   1,000   shares         240
    Sycamore Networks Inc   309   shares         1,656
    Symantec Corporation   140   shares         9,286
    Synergy Brands Inc   5,280   shares         5,702
    Synopsys Inc   200   shares         11,814
    TRC Companies Inc   200   shares         10,000
    TVI Corporation   7,000   shares         1,750
    TVX Gold Inc   2,000   shares         860
    Take-Two Interactive Software Inc   100   shares         1,617
    Talk Visual Corporation   52,000   shares         1,820
    Target Corporation   28   shares         1,164
    Taro Pharmaceuticals Industries Class A   60   shares         2,397
    Tellabs Inc   1,800   shares         26,928
    Telynx Inc   500   shares         3
    Texas Instruments Inc   815   shares         22,828
    ThatLook.com Inc   670   shares         2
    THCG Inc   60   shares         4
    The Charles Schwab Corporation   853   shares         13,201
    Tiffany & Co.   85   shares         2,675
    Titanium Metals Corporation   1,500   shares         5,985

-22-


Table of Contents

     
Phelps Dodge Employee Savings Plan
Schedule of Assets (Held at End of Year)
December 31, 2001
  Supplemental Information
Schedule I

                       
        (c) Description of investment        
        including maturity date, rate of   (d)    
        interest, collateral, par or maturity   Cost   (e) Current
(a)   (b) Identity of issue, borrower, lessor or similar party   value, or number of shares   **   Value

 
 
 
 
    Common Stocks: (Continued)                
    Tommy Hilfiger Corporation   210   shares       $ 2,888
    Trans Orient Pete Ltd   83   shares         12
    Transocean Sedco Forex   200   shares         6,764
    Travelocity.com Inc   11   shares         316
    Triangle Pharmaceuticals Inc   150   shares         601
    Trident Microsystems   1,000   shares         7,650
    Tyco International Ltd.   310   shares         18,259
    U.S. Bancorp   30   shares         628
    Ultra Petroleum Corporation   175   shares         1,066
    Union Planters Corporation   108   shares         4,885
    Uniprime Capital Acceptance Inc   11,975   shares         180
    Unisource Energy Corporation   642   shares         11,674
    Unit Corporation   200   shares         2,580
    United Online Inc   30   shares         126
    United Parcel Service Class B   266   shares         14,521
    USLab.com Inc Restricted Shares   230   shares         374
    Utilicorp United Inc   303   shares         7,630
    VDC Communications Inc   1,000   shares         6
    VISX Inc Delaware   108   shares         1,431
    VA Software Corporation   51   shares         125
    Varian Semiconductor Equipment Associates Inc   120   shares         4,151
    Vasomedical Inc   1,450   shares         5,365
    Vast Solutions Inc Class B1   46   shares        
    Vast Solutions Inc Class B2   46   shares        
    Vast Solutions Inc Class B3   46   shares         1
    VaxGen Inc   150   shares         1,740
    Verisign Inc   85   shares         3,233
    Vialta Inc Class A   237   shares         294
    Vidamed Inc   1,000   shares         7,820
    Viragen Inc   2,000   shares         2,460
    Vishay Intertechnology   50   shares         975
    Vista Gold Corporation   2,000   shares         120
    Vital Living Products   300   shares         27
    Vitesse Semiconductor Corporation   240   shares         2,983
    Vitria Technology Inc   13,550   shares         86,585
    Vivendi Universal Adr   16   shares         861
    Vixel Corporation   50   shares         92
    Walgreen Company   101   shares         3,415
    Wal-Mart De Cv Spn Adr   60   shares         1,611
    Wal-Mart Stores Inc   1,990   shares         114,517
    Wamex Holdings Inc   1,660   shares         18
    Wasatch Pharmaceutical Inc   60   shares         5
    Washington Mutual Inc   451   shares         14,751

-23-


Table of Contents

     
Phelps Dodge Employee Savings Plan
Schedule of Assets (Held at End of Year)
December 31, 2001
  Supplemental Information
Schedule I

                       
        (c) Description of investment        
        including maturity date, rate of   (d)    
        interest, collateral, par or maturity   Cost   (e) Current
(a)   (b) Identity of issue, borrower, lessor or similar party   value, or number of shares   **   Value

 
 
 
 
    Common Stocks: (Continued)                  
    Wave Systems Corporation Class A   5,150   shares       $ 11,536
    Wavo Corporation   2,100   shares         19
    Webb Interactive Services   1,100   shares         781
    Webvan Group Inc   1,000   shares        
    Wells Fargo & Company   200   shares         8,690
    Western Wireless Corporation Class A   200   shares         5,650
    Williams Communications Group Class A   600   shares         1,410
    Williams Companies   400   shares         10,208
    Wind River Systems Inc   250   shares         4,477
    Wireless Data Solutions   1,000   shares         140
    Wireless Synergies Inc   545   shares         87
    World Gaming PLC Adr   30,000   shares         14,400
    World Wrestling Federation Class A  

150

  shares         1,973
    WorldCom Inc — MCI Group  

73

  shares         927
    WorldCom Inc WorldCom Group  

1,845

  shares         25,978
    Worldgate Communications Inc  

1,980

  shares         4,950
    Worldwide Web Ntwrx Corporation  

300

  shares         2
    Xerox Corporation  

2,600

  shares         27,092
    Xo Communications Class A  

100

  shares         10
    Xybernaut Corporation  

25

  shares         60
    Yahoo! Inc  

1,501

  shares         26,628
    Zap.com Corporation  

2

  shares        
    Zymetx Inc  

750

  shares         278
                     
                  Total Common Stocks  

 

            7,291,338
    Registered Investment Companies:                
    ABN Amro/Veredus Aggressive Growth Fund Class N  

107

  shares         2,063
*   American Century Global Gold Fund  

9,882

  shares         52,374
*   American Century Growth Fund  

870

  shares         16,990
*   American Century International Growth Fund Investor  

2,399

  shares         19,124
*   American Century Real Estate Fund Investor Class  

101

  shares         1,520
*   American Century Small Cap Value Fund Investor Class  

439

  shares         3,524
*   American Century Technology Fund  

11,891

  shares         25,565
*   American Century Value Fund  

346

  shares         2,423
    Amerindo Technology Fund Class D  

165

  shares         949
    Ameristock Fund  

418

  shares         17,058
    Ariel Appreciation Fund  

183

  shares         6,792
    Ariel Fund  

117

  shares         4,403
    Artisan International Fund  

3,720

  shares         68,299
    Artisan Midcap Fund  

422

  shares         10,874
    Baron Growth Fund  

85

  shares         2,605
    Baron Iopportunity Fund  

201

  shares         1,176
    Berger Small Cap Value Fund Investor Shares  

1,186

  shares         33,291

-24-


Table of Contents

     
Phelps Dodge Employee Savings Plan
Schedule of Assets (Held at End of Year)
December 31, 2001
  Supplemental Information
Schedule I

                       
        (c) Description of investment          
        including maturity date, rate of   (d)      
        interest, collateral, par or maturity   Cost   (e) Current
(a)   (b) Identity of issue, borrower, lessor or similar party   value, or number of shares   **   Value

 
 
 
 
    Registered Investment Companies: (Continued)                  
    Bjurman Micro Cap Growth Fund   986   shares       $ 48,594
    Boston Partners Small Cap Value II Fund Investor   289   shares         5,145
    Buffalo Small Cap Fund   938   shares         18,732
    Burnham Financial Services Fund Class A   127   shares         2,000
    Clipper Fund   587   shares         49,029
    Columbia Small Cap Fund   442   shares         9,806
    Credit Suisse Global Technology — Common   227   shares         6,828
    Credit Suisse Japan Growth Fund   279   shares         1,455
    Credit Suisse Japan Small Cap Fund   270   shares         483
    Dodge & Cox Balanced Fund   22   shares         1,438
    Dodge & Cox Stock Fund   44   shares         4,388
    Dresdner RCM Biotechnology Fund Class N   1,346   shares         36,893
    Dresdner RCM Global Healthcare Fund Class N   1,812   shares         37,183
    Dresdner RCM Global Technology Fund   347   shares         10,520
    Dreyfus Intermediate Term Income Fund   313   shares         3,967
    Dreyfus Midcap Value Fund   152   shares         3,988
    Dreyfus Premier Technology Growth Fund Class A   224   shares         5,611
    Excelsior Energy and Natural Resources   837   shares         11,188
    Excelsior Value and Restructuring Fund   3,393   shares         108,765
    Federated Income Institutional   967   shares         10,042
    Federated International Small Company Fund Class A   508   shares         8,937
    Fidelity Aggressive Growth Fund   111   shares         2,118
    Fidelity Contrafund II   550   shares         5,695
    Fidelity Equity Income Fund   41,809   shares         2,039,041
    Fidelity Growth Company Fund   22   shares         1,195
    Fidelity Magellan Fund   47,026   shares         4,901,004
    Fidelity Magellan Fund   1,467   shares         152,912
    Fidelity Select Biotechnolgy   20   shares         1,306
    First American Microcap Fund Class A   94   shares         1,000
    Firsthand Communications Fund   547   shares         1,821
    Firsthand Technology Innovators Fund   2,782   shares         45,620
    Firsthand Technology Leaders Fund   464   shares         8,751
    Firsthand Technology Value Fund   327   shares         13,473
    FMI Focus Fund   99   shares         2,921
    Gabelli Asset Fund   73   shares         2,406
    Gabelli Equity Trust Inc   1,103   shares         11,900
    Gabelli Westwood Balanced Fund Retail   265   shares         2,916
    GE US Equity Fund Class A   2,045   shares         55,620
    Harbor Capital Appreciation Fund   1,368   shares         39,985
    Heartland Value Fund   91   shares         3,402
    Henlopen Fund   1,401   shares         27,997
    ICON Healthcare Fund Class A   497   shares         5,663
    ICON Information Technology Fund   1,460   shares         14,845

-25-


Table of Contents

     
Phelps Dodge Employee Savings Plan
Schedule of Assets (Held at End of Year)
December 31, 2001
  Supplemental Information
Schedule I

                       
        (c) Description of investment          
        including maturity date, rate of   (d)      
        interest, collateral, par or maturity   Cost   (e) Current
(a)   (b) Identity of issue, borrower, lessor or similar party   value, or number of shares   **   Value

 
 
 
 
    Registered Investment Companies: (Continued)                  
    Internet Fund   54   shares       $ 1,173
    INVESCO Dynamics Fund   1,118   shares         17,806
    INVESCO Energy Fund   266   shares         4,615
    INVESCO Financial Services Fund   260   shares         7,087
    INVESCO Health Sciences Fund   20   shares         1,001
    INVESCO Technology Fund   388   shares         12,635
    INVESCO Telecommunications Fund   407   shares         6,763
    Investec Internet.com Index Fund   58   shares         255
    Investec Wired Index Fund   419   shares         5,461
    IPS Millennium Fund Class A   448   shares         13,410
    iShares MSCI EMU Index Fund   275   shares         15,397
    iShares MSCI Japan Index Fund   790   shares         6,091
    iShares Trust Dow Jones US Energy   290   shares         13,833
    iShares Trust Dow Jones Re US Real Estate Index Fund   196   shares         15,641
    iShares Trust S&P SmallCap   307   shares         35,121
    iShares Trust S&P 500 Index   254   shares         29,040
    Janus Balanced Fund   3,101   shares         60,880
    Janus Enterprise Fund   718   shares         22,962
    Janus Fund   847   shares         20,845
    Janus Global Life Sciences Fund   905   shares         15,895
    Janus Global Technology Fund   4,016   shares         48,753
    Janus Growth & Income Fund   274   shares         8,201
    Janus High Yield Fund   268   shares         2,513
    Janus Mercury Fund   7,104   shares         147,700
    Janus Olympus Fund   2,865   shares         79,803
    Janus Special Situations Fund   3,142   shares         46,654
    Janus Strategic Value Fund   462   shares         4,280
    Janus Twenty Fund   775   shares         29,821
    Janus Worldwide Fund   595   shares         26,081
*   J.P. Morgan Mid-Cap Growth Fund   248   shares         1,254
    Julius Baer International Equity Class A   1,835   shares         38,196
    Leuthold Core Investment Fund   93   shares         1,095
    LongLeaf Partners International Fund   562   shares         6,935
    Lord Abbett Affiliated Fund Class A   1,404   shares         19,216
    Lord Abbett Mic-Cap Value Fund Class A   424   shares         7,386
    Managers Bond Fund   64   shares         1,420
    Matthews Pacific Tiger Fund   1,564   shares         13,782
    Meridian Growth Fund   241   shares         6,941
    Millennium Growth & Income Fund   604   shares         3,779
    Munder NetNet Fund Class A   64   shares         1,146
    Murphy New World Biotechnology Fund   106   shares         695
    Navellier Aggressive Micro Cap Portfolio   113   shares         2,617
    Navellier Large Cap Growth Fund   1,667   shares         27,717

-26-


Table of Contents

     
Phelps Dodge Employee Savings Plan
Schedule of Assets (Held at End of Year)
December 31, 2001
  Supplemental Information
Schedule I

                       
        (c) Description of investment          
        including maturity date, rate of   (d)      
        interest, collateral, par or maturity   Cost   (e) Current
(a)   (b) Identity of issue, borrower, lessor or similar party   value, or number of shares   **   Value

 
 
 
 
    Registered Investment Companies: (Continued)                  
    Navellier Mid Cap Growth Portfolio   5,473   shares       $ 122,970
    Navellier Small Cap Value Portfolio   176   shares         2,149
    Neuberger Berman Genesis Fund — Investor Class   639   shares         12,992
    Needham Growth Fund   69   shares         1,920
    Nevis Fund   55   shares         815
    Nicholas II Fund   217   shares         4,364
    Northern Technology Fund   94   shares         1,177
    Oak Value Fund   280   shares         8,139
    Oakmark Equity Income Fund   1,317   shares         24,541
    Oakmark Select Fund   3,153   shares         85,875
    Payden & Rygel European Agressive Growth Fund Class R   204   shares         1,735
    PBHG Global Technology & Communications Fund   667   shares         2,734
    PBHG Large Cap 20 Fund   239   shares         3,894
    PBHG Large Cap Growth Fund   61   shares         1,278
    PBHG Large Cap Value Fund   472   shares         6,442
    PBHG Mid-Cap Value Fund   837   shares         13,321
    PBHG Select Equity Fund   603   shares         14,717
    PBHG Technology & Communications Fund   475   shares         7,785
    Pennsylvania Mutual Fund   405   shares         2,995
    Pin Oak Aggressive Stock Fund   104   shares         2,477
    Pioneer High Yield Fund   276   shares         3,030
    Red Oak Technology Select Portfolio   922   shares         8,846
    Reynolds Blue Chip Growth   21   shares         717
    Royce Opportunity Fund   269   shares         2,423
    Royce Premier Fund   4,011   shares         42,275
    Royce Total Return Fund   1,512   shares         12,990
    RS Diversified Growth Fund   455   shares         10,578
    RS Internet Age Fund   571   shares         3,290
    Rushmore American Gas Index Fund   309   shares         4,632
    Rydex Venture 100 Fund   107   shares         5,238
    Safeco Growth Opportunities Fund   1,162   shares         31,675
    Schwab 1000 Fund   1,301   shares         41,575
    Schwab MarketTrack All Equity Portfolio   87   shares         836
    Schwab MarketTrack Balanced Portfolio   82   shares         1,106
    Schwab S&P 500 Fund — Investor Shares   5,139   shares         90,863
    Schwab Total Bond Market Index Fund   17,085   shares         170,506
    Schwab Total Stock Market Fund — Investor Shares   2,097   shares         37,822
    Schwab Value Advantage Money Fund   183,949   shares         183,949
    Scudder Balanced Fund   512   shares         8,957
    Scudder Greater Europe Growth Fund Class S   611   shares         14,045
    Scudder Health Care Fund   233   shares         4,865
    Selected American Shares   1,117   shares         34,619
    SSgA Growth & Income Fund   1,170   shares         23,205

-27-


Table of Contents

     
Phelps Dodge Employee Savings Plan
Schedule of Assets (Held at End of Year)
December 31, 2001
  Supplemental Information
Schedule I

                       
        (c) Description of investment          
        including maturity date, rate of   (d)      
        interest, collateral, par or maturity   Cost   (e) Current
(a)   (b) Identity of issue, borrower, lessor or similar party   value, or number of shares   **   Value

 
 
 
 
    Registered Investment Companies: (Continued)                  
    SteinRoe Intermediate Bond Fund   1,294   shares       $ 11,469
    Strong Advantage Fund   546   shares         5,326
    Strong Opportunity Fund   694   shares         27,284
    T Rowe Price Emerging Markets Stock Fund   453   shares         4,873
    T Rowe Price Equity Income Fund   588   shares         13,913
    T Rowe Price Health Sciences Fund   993   shares         19,931
    T Rowe Price International Discovery Fund   125   shares         2,395
    T Rowe Price Latin America Fund   941   shares         8,628
    T Rowe Price Mid Cap Growth Fund   939   shares         37,004
    T Rowe Price New Asia Fund   991   shares         6,157
    T Rowe Price New Horizon Fund   216,488   shares         4,899,125
    T Rowe Price Science & Technology Fund   189,042   shares         3,954,766
    T Rowe Price Small Cap Value Fund   480   shares         10,868
    T Rowe Price Spectrum Income Fund   1,532   shares         16,244
    TCW Galileo Value Opportunity Fund N   226   shares         4,242
    Third Avenue Value Fund   376   shares         13,711
    Transamerica Premier Balanced Fund   127   shares         2,372
    Turner Midcap Growth Fund   343   shares         7,509
    Turner Small Cap Value Fund   322   shares         6,291
    Turner Top 20 Fund   380   shares         2,885
    Tweedy Browne Global Value Fund   2,247   shares         41,634
    UMB Scout Worldwide Fund   4,482   shares         83,681
    Van Wagoner Technology Fund   44   shares         701
    Vanguard GNMA Fund   905   shares         9,397
    Vanguard Gold & Precious Metals Fund   7,207   shares         61,620
    Vanguard Index Trust 500 Fund   40   shares         4,197
    Vanguard Mid Capitalization Index Fund   336   shares         3,974
    Vanguard Short-Term Treasury Fund — Investor Shares   1,193   shares         12,562
    Vanguard STAR Fund   250   shares         4,115
    Vanguard Total Bond Market Index Fund   207   shares         2,096
    Vanguard Total Stock Market Index Fund   1,662   shares         42,769
    Wasatch Core Growth Fund   582   shares         20,136
    Wasatch Small Cap Value Fund   2,842   shares         11,651
    Weitz Value Portfolio   844   shares         28,928
    Westport Small Cap Fund Class R   262   shares         5,090
    White Oak Growth Stock Fund   2,851   shares         109,575
    Willaim Blair International Growth Fund — Class N   710   shares         10,983
    T Rowe Price Small Cap Stock Fund   1,028,811   shares         26,058,422
    AF Europacific Fund   856,847   shares         23,006,021
*   American Century Equity Growth Fund   3,961,402   shares         76,234,522
*   American Century Income & Growth Fund   2,325,535   shares         63,627,408
                     
                Total Registered Investment Companies                 208,322,346

-28-


Table of Contents

     
Phelps Dodge Employee Savings Plan
Schedule of Assets (Held at End of Year)
December 31, 2001
  Supplemental Information
Schedule I

                       
        (c) Description of investment          
        including maturity date, rate of   (d)      
        interest, collateral, par or maturity   Cost   (e) Current
(a)   (b) Identity of issue, borrower, lessor or similar party   value, or number of shares   **   Value

 
 
 
 
    Employer Stock:                  
    Phelps Dodge Corporation   1,563,007   shares       $ 50,641,431
    Phelps Dodge Corporation (Participant directed — Schwab)   17   shares         551
                     
                Total Employer Stock                 50,641,982
                       
    Participant Loans:                  
    Loans To Various Participants   6% — 11.5% maturing through 2016         23,802,951
                     
                Total Participant Loans                 23,802,951
                       
    Other Assets:                  
    Airlease Ltd. Depostry Unit   150   shares         977
    EOTT Energy Partners LP   1,000   shares         15,050
    Glimcher Realty Trust   1,200   shares         22,596
    Kinder Morgan Energy LP Unit Ltd Partnership   558   shares         21,115
    Nasdaq 100 Shares   1,065   shares         41,439
    SPDR Trust Unit Sr 1 Expiring 1/22/2118   200   shares         22,846
    Saun Juan Basis Royalty Trust   321   shares         3,076
    Tokheim Corporation Ser C 06 Wt Warrants Exp 10/2   300   shares         5
    Weingarten Realty Investors SBI   17   shares         794
    Williams Coal Seam Gas Royalty Trust   455   shares         6,026
    Synthetic wrapper value   Synthetic guaranteed investment        
        contract       (2,014,935)
                     
                Total Other Assets                 (1,881,011)
                     
                Total Assets Held For Investment                 $462,361,784
                     


*   This is a related party to the Plan’s Recordkeeper, a party-in-interest for which a statutory exemption exists.
**   All investments are participant directed, therefore disclosure of cost is not required.

See Report of Independent Accountants.

-29-


Table of Contents

     
Phelps Dodge Employee Savings Plan
Schedule of Reportable Transactions
Year Ended December 31, 2001
  Supplemental Information
Schedule II
                                                                 
                                                    (h) Current        
                                    (f) Expenses           value on        
    (b) Description   (c) Purchase   (d) Selling   (e) Lease   incurred with   (g) Cost of   transaction        
(a) Identity of party involved   of asset   price   price   Rental   transaction   asset   date   (i) Net loss

 
 
 
 
 
 
 
 
Phelps Dodge Corporation
  Stock   $ 16,505,504     $     —     $     —     $     —     $ 16,505,504     $16,505,504     $     —    
Phelps Dodge Corporation
  Stock   $     —     $ 16,273,325     $     —     $     —     $ 19,191,367     $16,273,325     $ (2,918,042 )

 

See Report of Independent Accountants.

-30-


Table of Contents

Consent of Independent Accountants

We hereby consent to the incorporation by reference in the Registration Statement on Form S-8 (No. 33-26442) of Phelps Dodge Corporation of our report dated June 24, 2002 relating to the financial statements of the Phelps Dodge Employee Savings Plan, which appears in this Form 11-K.

 

PricewaterhouseCoopers LLP
Phoenix, Arizona
June 25, 2002