|
A.
|
Full
title of the plan and the address of the plan, if different from that of
the issuer named below:
|
|
B.
|
Name
of issuer of the securities held pursuant to the plan and the address of
its principal executive office:
|
TABLE OF CONTENTS |
REPORT
OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM
|
1
|
FINANCIAL
STATEMENTS:
|
Statements
of Net Assets Available for Benefits as of December 31, 2007 and
2006
|
2
|
Statements
of Changes in Net Assets Available for Benefits for the Years Ended
|
|||
December 31,
2007 and 2006
|
3
|
Notes
to Financial Statements
|
4–8
|
SUPPLEMENTAL
SCHEDULE:
|
Form
5500, Schedule H, Line 4i — Schedule of Assets (Held at End of Year)
|
|||
as
of December 31, 2007
|
9
|
NOTE: |
All other
schedules required by Section 2520.103-10 of the Department of Labor’s
Rules and Regulations for Reporting and Disclosure under the Employment
Retirement Income Security Act of 1974 have been omitted because they are
not applicable.
|
SIGNATURE
PAGE
|
10
|
EXHIBIT
INDEX
|
11
|
BUNGE
SAVINGS PLAN –
Supplement A
|
STATEMENTS
OF NET ASSETS AVAILABLE FOR BENEFITS
|
||||||||
AS
OF DECEMBER 31, 2007 AND 2006
|
||||||||
2007
|
2006
|
|||||||
INVESTMENTS —
At fair value:
|
||||||||
Mutual
funds
|
$ | 1,986,542 | $ | 1,997,291 | ||||
Common
collective trusts
|
570,059 | 536,280 | ||||||
Interest
in Bunge Limited common shares
|
129,203 | 64,889 | ||||||
Participant
loans
|
112,032 | 66,909 | ||||||
Total
investments
|
2,797,836 | 2,665,369 | ||||||
EMPLOYEE
CONTRIBUTIONS RECEIVABLE
|
4,429 | 4,644 | ||||||
PLAN
TRANSFER PAYABLE
|
(44,976 | ) | (33,774 | ) | ||||
PLAN
TRANSFER RECEIVABLE
|
20,650 | – | ||||||
NET
ASSETS AVAILABLE FOR BENEFITS
|
$ | 2,777,939 | $ | 2,636,239 |
BUNGE
SAVINGS PLAN –
Supplement A
|
STATEMENTS
OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS
|
||||||||
FOR
THE YEARS ENDED DECEMBER 31, 2007 AND 2006
|
||||||||
2007
|
2006
|
|||||||
ADDITIONS:
|
||||||||
Investment
income — interest
|
$ | 27,834 | $ | 25,211 | ||||
Investment
income — dividends
|
115,965 | 41,936 | ||||||
Net
appreciation in fair value of investments
|
– | 159,243 | ||||||
Participant
contributions
|
244,151 | 222,896 | ||||||
Total
|
387,950 | 449,286 | ||||||
DEDUCTIONS:
|
||||||||
Net
depreciation on fair value of investments
|
2,372 | – | ||||||
Administrative
expenses
|
4,554 | 2,870 | ||||||
Benefits
paid to participants
|
215,587 | 39,917 | ||||||
Other
deductions
|
23,737 | 16,440 | ||||||
Total
|
246,250 | 59,227 | ||||||
INCREASE
IN NET ASSETS
|
141,700 | 390,059 | ||||||
NET
ASSETS AVAILABLE FOR BENEFITS — Beginning of year
|
2,636,239 | 2,246,180 | ||||||
NET
ASSETS AVAILABLE FOR BENEFITS — End of year
|
$ | 2,777,939 | $ | 2,636,239 |
NOTES TO FINANCIAL STATEMENTS |
1.
|
BASIS
OF PRESENTATION AND SIGNIFICANT ACCOUNTING
POLICIES
|
2.
|
PLAN
DESCRIPTION
|
3.
|
CONTRIBUTIONS
AND WITHDRAWALS
|
4.
|
PARTICIPANT
LOANS
|
5.
|
PLAN
TERMINATION
|
6.
|
FEDERAL
INCOME TAX STATUS
|
7.
|
EXEMPT
PARTY-IN-INTEREST TRANSACTIONS
|
8.
|
INVESTMENTS
|
2007
|
2006
|
|||||||
Legg
Mason Value Fund
|
$ | 684,682 | $ | 817,384 | ||||
SSgA
Money Market Fund
|
519,998 | 478,128 | ||||||
Fidelity
Capital Appreciation Fund
|
392,883 | 404,170 | ||||||
American
Funds New Perspective Fund
|
230,141 | 234,246 | ||||||
SSgA
Moderate Strategic Asset Allocation Fund
|
202,684 | 176,741 | ||||||
SSgA
Conservative Strategic Asset Allocation Fund
|
148,395 | 150,732 | ||||||
PIMCO
Total Return Fund
|
145,932 | 46,479 | * |
2007
|
2006
|
|||||||
Mutual
funds
|
$ | (88,496 | ) | $ | 93,176 | |||
Common
collective trusts
|
35,059 | 52,427 | ||||||
Interest
in Bunge Limited common shares (1)
|
51,065 | 13,640 | ||||||
Net
(depreciation) appreciation in value of investments
|
$ | (2,372 | ) | $ | 159,243 |
9.
|
PLAN
TRANSFERS
|
10.
|
SUBSEQUENT
EVENT
|
PIMCO
Total Return Fund
|
$ | 145,932 | ||
SSgA
Money Market Fund
|
519,998 | |||
SSgA
Russell 2000 Fund
|
5,721 | |||
Oakmark
Select Fund
|
12,906 | |||
Loan
Fund
|
112,032 | |||
Fidelity
Capital Appreciation Fund
|
392,883 | |||
American
Funds New Perspective Fund
|
230,141 | |||
Interest
in Bunge Limited Common Shares
|
129,203 | |||
SSgA
Conservative Strategic Asset Allocation Fund
|
148,395 | |||
SSgA
Moderate Strategic Asset Allocation Fund
|
202,684 | |||
SSgA
Aggressive Strategic Asset Allocation Fund
|
132,486 | |||
SSgA
S&P 500 Index Fund
|
62,022 | |||
Legg
Mason Value Fund
|
684,682 | |||
SSgA
S&P Midcap Index Fund
|
18,751 | |||
Total
|
$ | 2,797,836 |
BUNGE
SAVINGS PLAN –
Supplement A
|
FORM
5500, SCHEDULE H, PART IV, LINE 4i —
|
||||||||||||
SCHEDULE
OF ASSETS (HELD AT END OF YEAR)
|
||||||||||||
AS
OF DECEMBER 31, 2007
|
||||||||||||
Number
of
|
Current
|
|||||||||||
Description
|
Shares/Units
|
Cost**
|
Value
|
|||||||||
INTEREST
IN MUTUAL FUNDS:
|
||||||||||||
PIMCO Total Return Fund | 13,651.2395 | $ | 145,932 | |||||||||
Oakmark Select Fund | 506.9180 | 12,906 | ||||||||||
Fidelity Capital Appreciation Fund | 14,681.7186 | 392,883 | ||||||||||
American Funds New Perspective Fund | 6,827.0739 | 230,141 | ||||||||||
Legg Mason Value Fund | 9,966.2569 | 684,682 | ||||||||||
* | SSgA Money Market Fund | 519,998.5700 | 519,998 | |||||||||
Total
interest in mutual funds
|
1,986,542 | |||||||||||
INTEREST
IN COMMON COLLECTIVE TRUSTS:
|
||||||||||||
* | SSgA Conservative Strategic Asset Allocation Fund | 11,749.3816 | 148,395 | |||||||||
* | SSgA Moderate Strategic Asset Allocation Fund | 14,914.2274 | 202,684 | |||||||||
* | SSgA Aggressive Strategic Asset Allocation Fund | 9,105.5643 | 132,486 | |||||||||
* | SSgA S&P 500 Index Fund | 2,357.2779 | 62,022 | |||||||||
* | SSgA S&P Midcap Fund | 463.4837 | 18,751 | |||||||||
* | SSgA Russell 2000 Fund | 490.4974 | 5,721 | |||||||||
Total
interest in common collective trusts
|
570,059 | |||||||||||
* | INTEREST IN COMMON STOCK — Bunge Limited | |||||||||||
common
shares
|
1,064.0000 | 129,203 | ||||||||||
* | PARTICIPANT LOANS, rates from 4.5% to 8.75%, | 112,032 | ||||||||||
maturities
through January 2013
|
||||||||||||
TOTAL INVESTMENTS | $ | 2,797,836 |
Bunge Savings Plan – Supplement
A
|
||||
Date:
June 26, 2008
|
By:
|
/s/ Philip
Staggs
|
||
Name:
|
Philip Staggs | |||
Title:
|
Plan Administrator | |||
Exhibit
Number
|
Description of
Document
|
|
23.1
|
Consent
of Independent Registered Public Accounting
Firm
|