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SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
Form 11-K
     
þ   ANNUAL REPORT PURSUANT TO SECTION 15 (d) OF THE SECURITIES EXCHANGE ACT OF 1934
For the year ended December 31, 2006
OR
     
o   TRANSITION REPORT PURSUANT TO SECTION 15 (d) OF THE SECURITIES EXCHANGE ACT OF 1934
For the transition period from                     to                    
Commission file number 1-4448
A.   Full title of the plan and the address of the plan, if different from that of the issuer named below:
Baxter 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
(847) 948-2000
 
 


 

Baxter International Inc.
and Subsidiaries
Incentive Investment Plan
Financial Statements and Supplemental Schedules
December 31, 2006 and 2005

 


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan

Index
December 31, 2006 and 2005
 
         
    Page(s)  
    1  
 
       
Financial Statements
       
 
       
    2  
 
       
    3  
 
       
    4 - 10  
 
       
Supplemental Information
       
 
       
    11 - 42  
 
       
     43  
Note:   Other schedules required by Section 2520.103-10 of the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974 have been omitted because they are not applicable.

 


 

Report of Independent Registered Public Accounting Firm
To the Participants and Administrative Committee of
the Baxter International Inc. and Subsidiaries Incentive Investment Plan
In our opinion, the accompanying statements of net assets available for benefits and the related statements of changes in net assets available for benefits present fairly, in all material respects, the net assets available for benefits of the Baxter International Inc. and Subsidiaries Incentive Investment Plan (the “Plan”) at December 31, 2006 and 2005, and the changes in net assets available for benefits for the years then ended in conformity with accounting principles generally accepted in the United States of America. These financial statements are the responsibility of the Plan’s management. Our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.
As further described in Note 2, the Plan adopted FASB Staff Position Nos. AAG INV-1 and SOP 94-4-1, “Reporting of Fully Benefit-Responsive Investment Contracts Held by Certain Investment Companies Subject to the AICPA Investment Company Guide and Defined-Contribution Health and Welfare and Pension Plans,” as of December 31, 2006 and 2005.
Our audits were conducted for the purpose of forming an opinion on the basic financial statements taken as a whole. The supplemental Schedule of Assets (Held at End of Year) and Schedule 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 Plan’s management. 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.
/s/ PricewaterhouseCoopers LLP
PricewaterhouseCoopers LLP
Chicago, Illinois
June 25, 2007

1


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan

Statements of Net Assets Available for Benefits
December 31, 2006 and 2005
 
                 
    2006     2005  
 
Assets
               
Investments
               
Cash and cash equivalents
  $ 33,168,843     $ 31,118,478  
Common stock (including securities on loan of $17,081,644 in 2006 and $19,097,230 in 2005)
    481,186,522       461,907,223  
U.S. government and government agency issues
    36,187,676       35,492,806  
Corporate and other obligations (including securities on loan of $16,775,414 in 2006 and $11,742,965 in 2005)
    42,547,956       38,886,788  
Commingled funds
    378,735,234       298,634,721  
Registered investment companies
    13,602,410       11,663,581  
Participant loans
    29,619,239       29,575,488  
Synthetic guaranteed investment contracts (including securities on loan of $52,382,101 in 2006 and $93,799,223 in 2005)
    612,875,198       621,691,044  
Collateral held on loaned securities
    87,326,904       126,971,898  
 
Total investments at fair value
    1,715,249,982       1,655,942,027  
 
Receivables
               
Accrued interest and dividends
    2,922,904       2,984,702  
Due from brokers for securities sold
    318,298       235,820  
 
 
    3,241,202       3,220,522  
 
Total assets
    1,718,491,184       1,659,162,549  
 
Liabilities
               
Accounts payable
    2,826,722       2,747,092  
Due to brokers for securities purchased
    1,090,257       493,675  
Collateral to be paid on loaned securities
    87,326,904       126,971,898  
 
Total liabilities
    91,243,883       130,212,665  
 
Net assets available for benefits, at fair value
    1,627,247,301       1,528,949,884  
Adjustment from fair value to contract value for fully benefit-responsive investment contracts
    (27,502,635 )     (49,731,043 )
 
Net assets available for benefits
  $ 1,599,744,666     $ 1,479,218,841  
 
The accompanying notes are an integral part of these financial statements.

2


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan

Statements of Changes in Net Assets Available for Benefits
For the Years Ended December 31, 2006 and 2005
 
                 
    2006     2005  
 
Additions to net assets attributed to
               
Investment income
               
Interest
  $ 36,837,148     $ 35,005,489  
Participant loan interest
    1,943,886       1,619,102  
Dividends
    6,805,226       5,890,923  
Net appreciation in fair value of investments
    114,810,943       58,542,900  
 
 
    160,397,203       101,058,414  
 
Contributions
               
Sponsor
    22,683,169       22,051,130  
Participant
    65,392,572       59,325,689  
 
 
    88,075,741       81,376,819  
 
Transfer from other plan
          3,123,809  
 
Total additions
    248,472,944       185,559,042  
 
Deductions from net assets attributed to
               
Benefits paid
    123,741,653       116,792,825  
Plan expenses
    4,205,466       4,171,025  
 
Total deductions
    127,947,119       120,963,850  
 
Net increase
    120,525,825       64,595,192  
Net assets available for benefits
               
Beginning of year
    1,479,218,841       1,414,623,649  
 
End of year
  $ 1,599,744,666     $ 1,479,218,841  
 
The accompanying notes are an integral part of these financial statements.

3


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Notes to Financial Statements
December 31, 2006 and 2005
 
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 agreement for more complete information.
 
    The Plan allows tax deferred contributions in compliance with Section 401(k) of the Internal Revenue Code. Eligible participants may make pre-tax contributions up to 20% of their eligible annual compensation within certain limitations. The Plan sponsor, Baxter International Inc. (“Baxter”), matches participant contributions up to a maximum of 3% of the employee’s compensation. Participant contributions and Plan sponsor matching contributions are fully vested and nonforfeitable at all times. Participants may borrow up to the lesser of $50,000 or 50% of their account balance. The loans are secured by the balance in the participant’s account and bear interest at variable rates as outlined in the Plan agreement.
 
    Participants or their beneficiaries may elect lump-sum benefit payments, or benefits may be paid in installments. Subject to certain provisions specified in the Plan agreement, employed participants may withdraw their pre-tax contributions and related earnings in cases of financial hardship.
 
    Upon enrollment in the Plan, a participant may direct contributions to any of eight investment options: Stable Income Fund, Baxter Common Stock Fund, Composite Fund, General Equity Fund, S&P 500 Flagship Fund, International EAFE Equity Index Fund, Small Cap Fund and the Self-Managed 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 spinoff of its cardiovascular business. Participants are not able to make contributions to the Cardinal Health Common Stock Fund or the Edwards Lifesciences Common Stock Fund.
 
2.   Summary of Significant Accounting Policies
 
    New Accounting and Disclosure Standard
The Plan adopted Financial Accounting Standards Board Staff Position Nos. AAG INV-1 and SOP 94-4-1, “Reporting of Fully Benefit-Responsive Investment Contracts Held by Certain Investment Companies Subject to the AICPA Investment Company Guide and Defined-Contribution Health and Welfare and Pension Plans” (the “FSP”) for the plan year ending December 31, 2006. The FSP requires that the Statement of Net Assets Available for Benefits present the fair value of the investment contracts as well as the adjustment of the fully benefit-responsive investment contracts from fair value to contract value. The Statement of Changes in Net Assets Available for Benefits is prepared on a contract value basis for fully benefit-responsive investment contracts. As required, the FSP was applied retroactively to the Statement of Net Assets Available for Benefits as of December 31, 2005. The adoption of the FSP had no impact on net assets. See Synthetic Guaranteed Investment Contracts section below for further information.
 
    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.

4


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Notes to Financial Statements
December 31, 2006 and 2005
 
     
 
Valuation of Investments
The valuation of Plan investments is determined as follows:
   
 
   
Cash and cash equivalents
  Value based on cost which approximates fair value
 
   
Common stock:
   
 
   
Traded on national exchanges
  Value based on composite pricing of all national closing sales prices on the valuation date
 
   
Traded on over-the-counter market
  Value based on last reported sale price defaulting to bid quotations
 
   
U.S. government and government agency issues
  Value based on the last reported sale price from a national security exchange on the valuation date
 
   
Corporate and other obligations
  Value based on the last reported sale price from a national security exchange on the valuation date
 
   
Commingled funds
  Value based on closing prices of the underlying securities on the valuation date
 
   
Registered investment companies
  Value based on the last reported sale price from a national security exchange on the valuation date
 
   
Participant loans
  Valued based on outstanding principal balance which approximates fair value
 
   
Synthetic guaranteed investment contracts
  Value based on closing prices of the underlying securities on the valuation date
 
   
Collateral held on loaned securities
  Value based on cost which approximates fair value
Income Recognition
Plan investment return includes dividend and interest income, gains and losses on sales of investments and unrealized appreciation or depreciation of investments. Purchases and sales of investments are recorded on a trade date basis. Dividends are recorded on the ex-dividend date.

5


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Notes to Financial Statements
December 31, 2006 and 2005
 
    The financial statements reflect the net appreciation or depreciation in the fair value of the Plan’s investments. This net appreciation or depreciation consists of realized gains and losses calculated as the difference between proceeds from a sales transaction and cost determined on a moving average basis, and unrealized gains and losses calculated as the change in the fair value between beginning of the year (or purchase date if later) and the end of the year.
 
    Synthetic Guaranteed Investment Contracts
The Plan holds synthetic guaranteed investment contracts (“GICs”) as part of the Stable Income Fund. The synthetic GICs provide for a fixed return on principal over a specified time through fully benefit-responsive contracts issued by Aegon Institutional Markets and Bank of America NT & SA. The portfolio of assets underlying the synthetic GICS primarily includes U.S government and government agency issues, corporate and other bonds, and commingled trust funds.
 
    The fair value of the synthetic GICs equals the total of the fair value of the underlying assets plus the fair value of the wrapper contracts. The fair value of the wrapper contracts is computed using a replacement cost approach that incorporates a comparison of the current fee rate on similar wrapper contracts to the fee being paid by the Plan. Using this approach, the fair value of the wrapper contracts was zero at both December 31, 2006 and 2005.
 
    Fully benefit-responsive synthetic GICs are valued at contract value, rather than fair value, for determining the 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 $585,372,563 and $571,960,001 at December 31, 2006 and 2005, 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 4.48% and 2.14% at December 31, 2006 and 2005, respectively. The average interest rate credited to participants on the synthetic GICs was approximately 4.73% and 4.49%, respectively, for the years ended December 31, 2006 and 2005. Credit ratings for both issuers of the synthetic GICs at December 31, 2006 and 2005 were AA.
 
    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 as the result of 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.

6


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Notes to Financial Statements
December 31, 2006 and 2005
 
    Payment of Benefits
Benefits are recorded when paid.
 
    Other
Due from or due to brokers for securities sold or purchased, respectively, represent the net cash value of security trades initiated but not yet settled at each respective year-end.
 
    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 amounts reported in the financial statements and related notes to the financial statements. Changes in such estimates may affect amounts reported in future periods.
 
    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 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.
 
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 Citistreet LLC serves as recordkeeper for the Plan.
 
    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.

7


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Notes to Financial Statements
December 31, 2006 and 2005
 
5.   Investments
 
    Investments representing five percent or more of the Plan’s net assets available for benefits at December 31, 2006 and 2005 are summarized as follows:
                 
    2006     2005  
 
Baxter Common Stock, 3,054,026 shares and 3,387,837 shares at December 31, 2006 and 2005, respectively
  $ 141,676,250     $ 127,552,068  
S&P500 Flagship Fund
    190,704,647       171,590,245  
International EAFE Equity Index Fund
    107,860,515       66,909,749  
    Investments as of December 31, 2006 and 2005 are segregated into various investment fund options as follows:
                 
    2006     2005  
 
Cash (available for investment)
  $ 2,319,204     $ 2,277,049  
Stable Income Fund
    624,175,516       627,100,610  
Baxter Common Stock Fund
    143,768,460       134,101,457  
Composite Fund
    169,420,156       168,713,436  
General Equity Fund
    213,002,241       203,616,384  
Cardinal Health Common Stock Fund
    13,053,966       15,656,923  
S&P500 Flagship Fund
    191,119,118       171,590,245  
International EAFE Equity Index Fund
    108,219,284       67,137,153  
Edwards Lifesciences Common Stock Fund
    10,980,586       11,239,586  
Small Cap Fund
    79,995,302       60,019,682  
Self-Managed Fund
    42,250,006       37,942,116  
Loan Fund
    29,619,239       29,575,488  
Collateral held on loaned securities
    87,326,904       126,971,898  
 
Total investments at fair value
    1,715,249,982       1,655,942,027  
 
Adjustment from fair value to contract value for Stable Income Fund
    (27,502,635 )     (49,731,043 )
 
Total investments
  $ 1,687,747,347     $ 1,606,210,984  
 
    The fund amounts above include $30,849,639 and $28,841,429 of cash and cash equivalents at December 31, 2006 and 2005, respectively, which are awaiting investment in their respective portfolios. These amounts are primarily maintained in the State Street Bank Short-Term Investment Fund.

8


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Notes to Financial Statements
December 31, 2006 and 2005
 
    Net appreciation (depreciation) in fair value for each significant class of investment, which includes realized and unrealized gains and losses, is as follows:
                 
    2006     2005  
 
U.S. government and government agency issues
  $ 15,044     $ (472,779 )
Corporate and other obligations
    244,970       (900,695 )
Baxter common stock
    27,164,364       11,180,872  
Other common stock
    28,564,197       29,349,284  
Registered investment companies
    1,029,910       380,801  
Commingled funds
    57,792,458       19,005,417  
 
 
  $ 114,810,943     $ 58,542,900  
 
6.   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. 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 securities 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 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 proceeds from the collateral for such a loan to make the Plan whole.
 
    The collateral received pursuant to securities lending transactions is reflected on the Statements of Net Assets Available for Benefits as both an asset and a liability, and has no effect on the net assets available for benefits of the Plan.
 
    As of December 31, 2006 and 2005, the Plan had securities on loan with a market value of $86,239,159 and $124,639,418, respectively, with cash collateral received of $87,326,904 and $126,971,898, respectively. Cash collateral was invested in a short -term commingled investment fund as of December 31, 2006 and 2005.
 
    Non-cash collateral of $802,508 and $260,330 received for securities on loan at December 31, 2006 and 2005, respectively, consisted of U.S. government and government agency issues held by the Trustee on behalf of the Plan. 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. Securities lending income allocated to the Plan amounted to $239,526 and $143,310 for 2006 and 2005, respectively. Securities lending income is classified as interest income in the Statements of Changes in Net Assets Available for Benefits.

9


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan
Notes to Financial Statements
December 31, 2006 and 2005
 
7.   Plan Termination
 
    Although it has not expressed any intent to do so, the Plan sponsor has the right under the Plan to reduce, suspend or discontinue its contributions at any time and to terminate the Plan subject to the provisions of the ERISA. The termination of the Plan would not reduce the interest of any participating employee or their beneficiaries accrued under the Plan up to the date of such termination.
 
8.   Tax Status of the Plan
 
    The Internal Revenue Service has determined and informed the Plan sponsor by a letter dated July 19, 2006 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.
 
9.   Related Parties
 
    At December 31, 2006 and 2005, the Plan held units of participation in certain common/collective trust funds and short-term investment funds of State Street Bank and Trust Company, the Plan trustee, shares of common stock of Baxter, the Plan sponsor, loans with participants, units of commingled funds and registered investment companies managed by Pacific Investment Management Company, an investment manager for the Plan, and shares of common stock and fixed income securities in various affiliates of Citistreet LLC, the recordkeeper. These transactions are allowable party-in-interest transactions under ERISA and the regulations promulgated thereunder.
 
10.   Plan Merger
 
    During 2001, Baxter acquired Sera-Tec Biologicals, L.P. The Sera-Tec Biologicals 401(k) Plan was merged into the Plan effective July 2005. As a result of this merger, total assets of approximately $3.1 million were transferred into the Plan.
 
11.   Plan Amendment
 
    During 2006, Baxter amended the Plan in response to changes made to its U.S. qualified defined benefit pension plan. Employees hired on or after January 1, 2007 will receive a higher level of company contributions (an additional non-matching 3% of the employee’s compensation) in the Plan but will not be eligible to participate in the pension plan. In addition, these employees will automatically have 3% of their annual salary contributed to the Plan if they do not enroll in the Plan within 60 days of their hire date. Employees hired prior to January 1, 2007 who were not fully vested in the pension plan as of December 31, 2006 were required to elect, by February 15, 2007, to either continue their participation in the pension plan and the Plan, or to cease earning additional service in the pension plan as of December 31, 2006 and participate in the higher level of company contributions in the Plan. There was no change to the plans for employees who were fully vested in the pension plan as of December 31, 2006.

10


 

 
 
 
 
SUPPLEMENTAL SCHEDULES


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2006
Schedule I
                         
Identity of Issue   Description of Investment   Cost**   Current Value
                         
 
                   
Cash and Cash Equivalents:
                   
   
 
                   
*  
SSGA MONEY MARKET FUND
  Short-Term Investment Fund           $ 7,366,161  
*  
State Street Bank + Trust Co
  Short-Term Investment Fund             25,443,915  
   
US Dollar
  US Dollar             358,767  
   
 
                 
   
 
                   
   
Cash and cash equivalents
              $ 33,168,843  
   
 
                 
   
 
                   
Common Stock:
                   
   
 
                   
   
21ST CENTURY HLDG CO
  Common Stock             18,881  
   
3COM CORP
  Common Stock             3,699  
   
3DICON CORP
  Common Stock             2,500  
   
3M COMPANY
  Common Stock             21,374  
   
8X8 INC
  Common Stock             2,340  
   
ABB LTD SPONSORED ADR
  Common Stock             17,980  
   
ABBOTT LABORATORIES
  Common Stock             157,877  
   
ABIOMED INC
  Common Stock             3,736  
   
ABN AMRO HLDG N V SPONSORED ADR
  Common Stock             1,602  
   
ACACIA RES CORP AR COMBIMATRIX COM
  Common Stock             791  
   
ACADIA PHARMACEUTICALS INC
  Common Stock             6,153  
   
ACCLAIM ENTERTAINMENT INC
  Common Stock             4  
   
ACCO BRANDS CORP COM
  Common Stock             185  
   
ACERGY S A SPONSORED ADR
  Common Stock             7,632  
   
ACME PACKET INC COM
  Common Stock             18,370  
   
ACTIVIDENTITY CORP COM
  Common Stock             253  
   
ACTIVISION INC
  Common Stock             5,172  
   
ADAPTIVE BROADBAND CORP
  Common Stock             30  
   
ADC TELECOMMUNICATNS INC COM NEW
  Common Stock             6,204  
   
ADEPT TECHNOLOGY INC COM NEW
  Common Stock             5,738  
   
ADOBE SYS INC
  Common Stock             5,675  
   
ADVANCED MICRO DEVICES INC
  Common Stock             196,683  
   
ADVANCED MICRO DEVICES
  Common Stock     1,815,454       1,357,450  
   
ADVANCED PHOTONIX INC CL A
  Common Stock             13,662  
   
ADVANTAGE ENERGY INCOME
  Common Stock             3,175  
   
ADVENT/CLAYMORE ENHANCED GROWTH & INCOME FD
  Common Stock             5,437  
   
AES CORP
  Common Stock     813,564       1,100,461  
   
AETNA INC
  Common Stock     584,569       890,516  
   
AFFYMETRIX INC
  Common Stock             2,306  
   
AFLAC INC
  Common Stock             31,128  
   
AGERE SYS INC COM
  Common Stock             4,582  
   
AK STEEL HLDG CORP
  Common Stock             13,148  
   
AKAMAI TECHNOLOGIES
  Common Stock     1,045,763       1,116,478  
   
AKAMAI TECHNOLOGIES INC
  Common Stock             25,657  
   
AKSYS LTD
  Common Stock             161  
   
ALCATEL LUCENT SPON ADR
  Common Stock             67,545  
   
ALCOA INC
  Common Stock             16,205  
   
ALCON INC
  Common Stock     2,516,561       3,363,859  
   
ALJ REGL HLDGS INC
  Common Stock             300  
   
ALKERMES INC
  Common Stock             6,685  
   
ALLEGHENY TECH INC
  Common Stock             22,942  
   
ALLIANCE FIBER OPTIC PRODUCTS INC
  Common Stock             4,080  
   
ALLIANCE PHARMACEUTICAL CORP COM
  Common Stock             138  
   
ALLIED CAPITAL CORP
  Common Stock             6,536  
   
ALLIED WASTE INSDS COM
  Common Stock             6,145  
   
ALLOS THERAPEUTICS INC
  Common Stock             31,882  
   
ALMADEN MINERALS LTD
  Common Stock             4,500  
   
ALMOST FAMILY INC
  Common Stock             12,050  
   
ALON USA ENERGY INC COM
  Common Stock             9,208  
   
ALTAIR NANOTECH INC
  Common Stock             2,761  
   
ALTEON INC
  Common Stock             5,475  
   
ALTRIA GROUP
  Common Stock     3,325,582       3,793,841  
   
ALTRIA GROUP INC
  Common Stock             136,928  
   
ALVARION LTD
  Common Stock             3,360  
   
AMAZON.COM INC
  Common Stock             1,342  
   
AMDOCS LTD ORD
  Common Stock             7,750  
   
AMER INTL GROUP INC
  Common Stock             4,443  
   
AMERICA MOVIL SAB DE CV
  Common Stock     1,781,491       2,378,321  
   
AMERICA MOVIL SERIES L ADR
  Common Stock             16,597  
   
AMERICAN CAPITAL STRATEGIES
  Common Stock             12,572  

11


 

     
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)   Schedule I
December 31, 2006    
                         
   
AMERICAN ELECTRIC POWER
  Common Stock     618,523       710,076  
   
AMERICAN INTL GROUP
  Common Stock     6,622,032       7,304,488  
   
AMERICAN ORIENTAL BIOENGINEERING INC
  Common Stock             21,123  
   
AMERICAN SAFETY INS
  Common Stock             18,550  
   
AMERICAN SCIENCE & ENGR INC
  Common Stock             11,902  
   
AMERISOURCEBERGEN CORP
  Common Stock     918,043       878,424  
   
AMGEN INC
  Common Stock             112,302  
   
AMPCO PITTSBURGH CORP
  Common Stock             21,981  
   
ANALOG DEVICES INC
  Common Stock             4,930  
   
ANDREA ELECTRONICS CORP FRMLY ANDREA RADIO CORP
  Common Stock             105  
   
ANHEUSER BUSCH COMPANIES INC
  Common Stock             2,952  
   
ANTIGENICS INC DEL
  Common Stock             229  
   
AON
  Common Stock     117,406       1,300,733  
   
APACHE
  Common Stock     889,874       885,999  
   
APOLLO GROUP INC
  Common Stock             2,338  
   
APPLE COMPUTER INC
  Common Stock             144,313  
   
APPLE INC
  Common Stock     3,430,277       6,061,106  
   
APPLERA CORP. - APPLIED BIOSYS GROUP
  Common Stock             7,338  
   
APPLIED DIGITAL SOLUTIONS INC COM
  Common Stock             42,359  
   
APPLIED MATERIALS INC
  Common Stock             14,944  
   
APPLIED MICRO CIRCUITS CORP CDT
  Common Stock             1,691  
   
APT SATELLITE HOLDING LTD
  Common Stock             930  
   
AQUA AMERICA INC
  Common Stock             2,301  
   
ARCELOR MITTAL
  Common Stock     1,196,197       1,207,028  
   
ARCHER DANIELS MIDLAND
  Common Stock             26,318  
   
ARENA PHARMACEUTICALS INC
  Common Stock             775  
   
ARES CAP CORP COM
  Common Stock             6,022  
   
ARIBA INC COM NEW
  Common Stock             1,285  
   
ARIES MARITIME TRANSPORT LIMITED SHS
  Common Stock             4,585  
   
ARKANSAS BEST CORP
  Common Stock             10,800  
   
ARMOR HLDGS INC DEL
  Common Stock             2,742  
   
AROTECH CORP COM NEW
  Common Stock             433  
   
ARRHYTHMIA RESEARCH TECHNOLOGY INC
  Common Stock             14,679  
   
ASTA FUNDING INC
  Common Stock             15,220  
   
ASTRAZENECA PLC- SPONS ADR
  Common Stock             2,410  
   
AT&T INC
  Common Stock     1,226,543       1,675,646  
   
AT&T INC COM
  Common Stock             53,518  
   
ATARI INC
  Common Stock             2,736  
   
ATHEROGENICS INC
  Common Stock             3,964  
   
ATSI COMMUNICATIONS INC COM NEW
  Common Stock             31  
   
AUDIOCODES LTD
  Common Stock             1,874  
   
AUTODESK INC
  Common Stock             1,416  
   
AUTOMATIC DATA PROCESSING INC
  Common Stock             14,775  
   
AUTOZONE INC NEV
  Common Stock             13,058  
   
AVANEX CORP
  Common Stock             1,890  
   
AVANIR PHARMACEUTICALS
  Common Stock             2,749  
   
AVI BIOPHARMA INC
  Common Stock             954  
   
AVIS BUDGET GROUP INC
  Common Stock             1,518  
   
B & G FOODS INC
  Common Stock             6,006  
   
BACK YD BURGERS INC
  Common Stock             8,925  
   
BACKWEB TECHNOLOGIES LTD
  Common Stock             779  
*  
BANK AMERICA CORP
  Common Stock     4,798,300       5,605,919  
   
BANK NEW YORK INC
  Common Stock             9,477  
*  
BANK OF AMERICA CORP
  Common Stock             110,080  
   
BARCLAYS BK PLC
  Common Stock             1,364  
   
BARR LABS INC
  Common Stock             11,227  
*  
BAXTER INTERNATIONAL
  Common Stock             141,676,250  
   
BAYER AG
  Common Stock             11,910  
   
BEA SYSTEMS INC
  Common Stock             126  
   
BEACON PWR CORP COM
  Common Stock             15,840  
   
BEMA GOLD CORP
  Common Stock             47,250  
   
BERKSHIRE HATHAWAY INC
  Common Stock             54,990  
   
BERKSHRE HATHAWAY INC
  Common Stock     1,191,469       1,628,010  
   
BEST BUY INC
  Common Stock             54,502  
   
BG GROUP PLC
  Common Stock             6,844  
   
BHP BILLITON LTD
  Common Stock             75,525  
   
BIOCRYST PHARMACEUTICALS INC
  Common Stock             23,120  
   
BIOGEN IDEC INC
  Common Stock             27,546  
   
BIOMERICA INC
  Common Stock             5,600  
   
BIOMET INC
  Common Stock             3,095  
   
BIOMIRA INC
  Common Stock             1,140  
   
BIOPURE CORP
  Common Stock             144  
   
BJ SERVICES CO COM
  Common Stock             1,410  
   
BJ SVCS CO
  Common Stock     659,123       595,997  
   
BLACK & DECKER CORP
  Common Stock     926,911       907,481  
   
BLACK BOX CORP
  Common Stock             2,100  

12


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2006
Schedule I
                         
   
BLACKBAUD INC
  Common Stock             7,347  
   
BLACKROCK CORPORATE HIGH YIELD
  Common Stock             2,680  
   
BLOCK (H&R) INC
  Common Stock             9,966  
   
BO PLC
  Common Stock     2,961,637       3,032,499  
   
BOEING CO
  Common Stock     6,384,780       7,635,533  
   
BOEING CO
  Common Stock             17,768  
   
BOOKHAM INC COM
  Common Stock             407  
   
BORDERS GROUP MICHIGAN INC
  Common Stock             898  
   
BOSTON SCIENTIFIC
  Common Stock             162,282  
   
BOSTON SCIENTIFIC CORP
  Common Stock     1,208,787       957,821  
   
BP AMOCO PLC
  Common Stock             10,065  
   
BRADLEY PHARMACETLS INC CL A
  Common Stock             1,235  
   
BRAODCOM CORP
  Common Stock     2,640,309       3,221,706  
   
BRIGGS & STRATTON CORP
  Common Stock             13,475  
   
BRISTOL MYERS SQUIBB
  Common Stock             31,222  
   
BRITISH AWYS PLC ADR 2ND INSTALLMENT
  Common Stock             13,735  
   
BROADCOM CORP CL A
  Common Stock             65,589  
   
BROADWING CORP COM
  Common Stock             54,889  
   
BROCADE COMMUNICATIONS SYS INC
  Common Stock             82  
   
BORG WARNER
  Common Stock     729,894       710,512  
   
BROOKFIELD ASSET MGMT INC COM
  Common Stock             4,834  
   
BROOKFIELD HOMES CORP
  Common Stock             74  
   
BROOKLINE BANCORP INC DEL COM
  Common Stock             7,652  
   
BROWN FORMAN CORP CL B NON VTG
  Common Stock             2,318  
   
BRYN MAWR BK CORP
  Common Stock             2,364  
   
BSI2000 INC
  Common Stock             15  
   
BUILDERS FIRSTSOURCE INC COM
  Common Stock             1,605  
   
C S X CORP
  Common Stock             12,134  
   
CAL MAINE FOODS INC
  Common Stock             8,580  
   
CALAMOS CONV OPPORTU NITIES & INCOME FD
  Common Stock             10,296  
   
CALAMP CORP
  Common Stock             106,563  
   
CALLWAVE INC DEL
  Common Stock             1,345  
   
CALPINE CORP
  Common Stock             4,777  
   
CAMBRIDGE DISPLAY TECHNOLOGY INC
  Common Stock             535  
   
CAMECO CORP
  Common Stock             2,023  
   
CAMPBELL SOUP CO
  Common Stock             100  
   
CANETIC RES TR COM
  Common Stock             7,773  
   
CAPSTEAD MORTGAGE CORP
  Common Stock             4,150  
   
CAPSTONE TURBINE CORP
  Common Stock             12,300  
   
CARDIAC SCIENCE CORP
  Common Stock             242  
   
CARDINAL COMM INC
  Common Stock             5  
   
CARDINAL HEALTH INC
  Common Stock             12,971,065  
   
CARDIOTECH INTL INC
  Common Stock             975  
   
CARMAX INC
  Common Stock             20,058  
   
CARNIVAL CORP PAIRED & 1 TR SH BEN INT P&O PRINCESS SPL VTG TR
  Common Stock             4,905  
   
CASCADE BANCORP
  Common Stock             25,196  
   
CATERPILLAR INC
  Common Stock             650,098  
   
CBIZ INC COM
  Common Stock             1,673  
   
CBS CORP
  Common Stock     2,715,097       3,310,557  
   
CBS CORP NEW CL B
  Common Stock             25,117  
   
CDC CORPORATION
  Common Stock             47,500  
   
CECO ENVIRONMENTAL CORP
  Common Stock             4,485  
   
CELGENE CORP
  Common Stock             21,229  
   
CELL GENESYS INC
  Common Stock             203  
   
CELL THERAPEUTICS INC
  Common Stock             525  
   
CEMEX S A SPONS ADR NEW REP ORD
  Common Stock             10,017  
   
CENTERPLATE INC
  Common Stock             7,600  
   
CENTRAL FD CDA
  Common Stock             20,548  
   
CENVEO INC
  Common Stock             16,960  
   
CERADYNE INC
  Common Stock             3,503  
   
CERUS CORP
  Common Stock             20,510  
   
CHAPARRAL STL CO DEL COM
  Common Stock             6,662  
   
CHARTER COMM INC DEL CL A
  Common Stock             4,896  
   
CHESAPEAKE ENERGY CORPORATION OKLAHOMA
  Common Stock             1,687,846  
   
CHEVRON CORP
  Common Stock     3,145,752       3,889,036  
   
CHEVRONTEXACO CORP
  Common Stock             73,640  
   
CHICAGO MERCANTILE EXCHANGE
  Common Stock     937,549       1,056,305  
   
CHINA ENERGY SVGS TECHNOLOGY INC
  Common Stock             80  
   
CHINA FD INC
  Common Stock             10,254  
   
CHINA MOBILE LTD SPONS ADR
  Common Stock             12,966  
   
CHINA PETEROLEUM & CHEM CORP
  Common Stock             17,046  
   
CHINA PRECISION STL INC
  Common Stock             11,287  
   
CHINA YUCHAI INTERNATIONAL LTD
  Common Stock             13,780  
   
CHUBB CORP
  Common Stock     1,770,113       2,109,268  
   
CIENA CORP COM NEW DELAWARE
  Common Stock             55  
   
CIGNA
  Common Stock     520,052       1,090,558  
   
CINCINNATI FINL CORP
  Common Stock             2,265  
   
CIPHERGEN BIOSYSTEMS INC
  Common Stock             74,760  

13


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2006
Schedule I
                         
   
CISCO SYS INC
  Common Stock             413,202  
   
CISCO SYSTEMS
  Common Stock     896,117       1,186,602  
   
CISCO SYSTEMS INC
  Common Stock     3,578,786       4,120,744  
*  
CITIGROUP
  Common Stock     5,789,609       6,644,987  
*  
CITIGROUP INC
  Common Stock             127,332  
   
CITIZENS COMMUNICATIONS CO
  Common Stock             13,091  
   
CLARENT CORP
  Common Stock             2  
   
CLOROX
  Common Stock     1,235,012       1,392,618  
   
CMGI INC
  Common Stock             5,360  
   
CNOOC LTD SPONSORED ADR
  Common Stock             136  
   
COACH INC
  Common Stock             25,776  
   
COASTAL FINL CP
  Common Stock             10,807  
   
COCA COLA BOTTLING CO
  Common Stock             4,380  
   
COCA COLA CO
  Common Stock             11,123  
   
COGENT INC
  Common Stock             550  
   
COGNIZANT TECHNOLOGY SOLUTIONS INC
  Common Stock             25,000  
   
COHEN & STEERS PREM INCOME RLTY FD INC
  Common Stock             16,726  
   
COLGATE-PALMOLIVE CO
  Common Stock             3,262  
   
COMCAST CORP
  Common Stock     2,297,683       3,554,003  
   
COMCAST CORP NEW
  Common Stock     2,902,739       3,087,023  
   
COMDISCO HLDG CO INC
  Common Stock             250  
   
COMMERCE GROUP INC MASS
  Common Stock             2,975  
   
COMMTOUCH SOFTWARE LTD
  Common Stock             600  
   
COMPANHIA SIDERURGICA NACIONAL
  Common Stock             7,674  
   
COMPANHIA VALE DO RIO DOCE SPONS ADR
  Common Stock             1,190  
   
COMPASS MINERALS INTL INC
  Common Stock             15,464  
   
COMPUCREDIT CORP
  Common Stock             7,962  
   
COMPUWARE CORP
  Common Stock             8,330  
   
CONAGRA FOODS INC
  Common Stock             8,100  
   
CONEXANT SYSTEMS, INC.
  Common Stock             2,244  
   
CONOCOPHILLIPS
  Common Stock     3,129,691       3,741,572  
   
CONOCOPHILLIPS
  Common Stock             146,778  
   
CONSOL ENERGY INC
  Common Stock             36  
   
CONSULIER ENGINEERNG INC COM PAR $0.01
  Common Stock             7,410  
   
CONTANGO OIL & GAS INC COM NEW
  Common Stock             14,304  
   
CONTINENTAL AIRLS INC CL B
  Common Stock             20,625  
   
COOPER INDUSTRIES
  Common Stock     244,914       303,392  
   
CORAUTUS GENETICS INC COM
  Common Stock             83  
   
CORNING INC
  Common Stock     1,150,966       1,251,746  
   
CORNING INC
  Common Stock             32,468  
   
CORPORATE EXECUTIVE BRD CO
  Common Stock             965  
   
COSTCO WHOLESALE CORP
  Common Stock             370  
   
COTHERIX INC
  Common Stock             1,349  
   
COUNTRYWIDE FINANCIAL
  Common Stock     126,834       125,664  
   
COVAD COMMUNICATIONS GROUP INC
  Common Stock             138  
   
CREDIT SUISSE GROUP
  Common Stock     2,750,779       3,087,856  
   
CREE INC
  Common Stock             3,464  
   
CROWN CASTLE INTL
  Common Stock     400,962       481,274  
   
CRYOLIFE INC
  Common Stock             6,120  
   
CRYSTALLEX INTL CORP
  Common Stock             15,837  
   
CSX CORP
  Common Stock     882,313       1,127,945  
   
CUMBERLAND RES LTD
  Common Stock             11,280  
   
CVS CORP DEL
  Common Stock             11,684  
   
D R HORTON INC
  Common Stock             7,947  
   
DAIMLER CHRUSLER
  Common Stock     750,706       933,195  
   
DAIMLERCHRYSLER AG ORD
  Common Stock             7,375  
   
DANA CORP
  Common Stock             1,390  
   
DARDEN RESTAURANTS
  Common Stock             4,017  
   
DATALINK CORP
  Common Stock             1,579  
   
DECODE GENETICS INC
  Common Stock             4,530  
   
DEERE & CO
  Common Stock             15,035  
   
DEERFIELD TRIARC CAP CORP COM
  Common Stock             10,429  
   
DEFERAL HOME LOAN MTG
  Common Stock     2,452,080       2,566,145  
   
DELCATH SYSTEMS INC COM
  Common Stock             14,800  
   
DELL INC
  Common Stock             11,667  
   
DELPHI AUTOMOTIVE SYSTEMS
  Common Stock             621  
   
DELTA AIR LINES INC
  Common Stock             4,623  
   
DENDREON CORP
  Common Stock             12,510  
   
DHB INDUSTRIES INC
  Common Stock             295  
   
DIAMOND OFFSHORE DRILLING INC
  Common Stock             8,007  
   
DIGI INTL INC
  Common Stock             896  
   
DIGITAL LIGHTWAVE INC
  Common Stock             646  
   
DIOMED HLDGS INC COM NEW
  Common Stock             370  
   
DISCOVERY LAB INC
  Common Stock             2,832  
   
DISNEY WALT
  Common Stock     1,057,873       1,423,668  
   
DISNEY WALT CO DEL (HOLDING COMPANY)
  Common Stock             151,987  
   
DOLLAR GENERAL CORP
  Common Stock             4,041  
   
DOMINION RESOURCES INC
  Common Stock             16,215  

14


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2006
Schedule I
                         
   
DONNELLEY R R & SONS
  Common Stock             3,581  
   
DORAL FINANCIAL CORP
  Common Stock             2,870  
   
DOT HILL SYS CORP
  Common Stock             393  
   
DOV PHARMACEUTICAL INC
  Common Stock             270  
   
DOW CHEMICAL CO
  Common Stock             53,266  
   
DRDGOLD LTD SPON ADR
  Common Stock             5,400  
   
DRIL QUIP INC
  Common Stock             7,832  
   
DU PONT E I DE NEMOURS & CO
  Common Stock             38,968  
   
DUKE ENERGY CORP NEW COM
  Common Stock             59,944  
   
DUKE REALTY CORP
  Common Stock             8,180  
   
DYNCORP INTL INC COM CL A
  Common Stock             3,174  
   
DYNEGY INC NEW CL A
  Common Stock             19,005  
   
E M C CORP MASS
  Common Stock             29,436  
   
E TRADE GROUP INC.
  Common Stock             2,242  
   
EAGLE BULK SHIPPING INC
  Common Stock             5,309  
   
EASTMAN KODAK CO
  Common Stock             18,060  
   
EATON VANCE LTD DURATION INCOME FD
  Common Stock             13,898  
   
EBAY INC
  Common Stock             41,617  
   
EDGE PETE CORP
  Common Stock             1,824  
   
EDWARDS LIFESCIENCES CORP
  Common Stock             10,809,174  
   
EL PASO CORP
  Common Stock     746,754       1,011,716  
   
EL PASO CORP
  Common Stock             458  
   
ELAN CORP PLC ADR
  Common Stock             14,750  
   
ELDORADO GOLD CORP
  Common Stock             14,580  
   
ELECTRONIC DATA SYSTEMS
  Common Stock     1,081,713       1,239,650  
   
EMBARQ CORP COM
  Common Stock             3,416  
   
EMCORE CORP
  Common Stock             8,295  
   
EMERSON ELECTRIC CO
  Common Stock             26,454  
   
EMULEX CORP COM NEW
  Common Stock             2,244  
   
ENBRIDGE INC
  Common Stock             1,720  
   
ENCORE WIRE CORP
  Common Stock             1,805  
   
ENCYSIVE PHARMACEUTICALS INC
  Common Stock             4,715  
   
ENDESA -SPONSORED ADR
  Common Stock             12,700  
   
ENERGY CONVERSION DEVICES INC
  Common Stock             6,796  
   
ENERPLUS RES FD TR UNIT SER G NEW
  Common Stock             50,659  
   
ENGLOBAL CORP COM
  Common Stock             579  
   
ENI SPA ADR
  Common Stock             6,728  
   
ENTERGY CORP
  Common Stock     724,831       974,748  
   
ENTERRA ENERGY
  Common Stock             2,399  
   
ENTRAVISION COMMUNICATIONS CORP
  Common Stock             1,233  
   
ENTREMED INC
  Common Stock             656  
   
ENVIRONMENTAL PWR CORP COM NEW
  Common Stock             3,097  
   
EON COMMUN CORP
  Common Stock             864  
   
EPICOR SOFTWARE CORP
  Common Stock             6,755  
   
EPIX PHARMACEUTICALS INC COM NEW
  Common Stock             1,380  
   
ESS TECHNOLOGY INC
  Common Stock             309  
   
EV3 INC
  Common Stock             92,094  
   
EVERGREEN INCOME ADVANTAGE FD COM SHS
  Common Stock             3,735  
   
EVERGREEN UTILS & HIGH INCOME FD
  Common Stock             2,809  
   
EXELIXIS INC
  Common Stock             3,645  
   
EXELON CORP
  Common Stock             30,945  
   
EXETER RESOURCE CORP
  Common Stock             3,560  
   
EXPEDIA INC DEL COM
  Common Stock             11,035  
   
EXPLORATION CO OF DEL INC
  Common Stock             13,340  
   
EXPRESS 1 EXPEDITED SOLUTIONS INC
  Common Stock             1,905  
   
EXPRESSJET HLDGS INC
  Common Stock             8,100  
   
EXXON MOBIL
  Common Stock     3,157,229       4,211,790  
   
EXXON MOBIL CORP
  Common Stock             30,920  
   
FEDERAL NATL MTG
  Common Stock     2,639,381       3,211,490  
   
FEDERATED DEPT STORE INC
  Common Stock             12,774  
   
FEDEX CORP
  Common Stock             39,853  
   
FINISAR CORP
  Common Stock             14,535  
   
FIRST AMERICAN CORP
  Common Stock             2,034  
   
FIRST TR MORNINGSTAR DIVID LEADERS INDEX FD SHS
  Common Stock             7,056  
   
FISERV INC
  Common Stock             6,605  
   
FLAGSTAR BANCORP INC
  Common Stock             890  
   
FLANDERS CORP
  Common Stock             19,800  
   
FLEXTRONICS INTERNATIONAL
  Common Stock     2,164,100       2,177,248  
   
FLORIDA ROCK INDS INC
  Common Stock             86,100  
   
FLUOR CORP NEW
  Common Stock     1,012,249       982,944  
   
FLUOR CORP NEW
  Common Stock             14,768  
   
FOOD TECHNOLOGY SVC INC
  Common Stock             1,250  
   
FORBES MEDI-TECH INC
  Common Stock             6,326  
   
FORD MTR CO DEL COM
  Common Stock             5,708  
   
FORDING CDN COAL TR UNIT
  Common Stock             42,026  
   
FOREST LABS INC CL A
  Common Stock             6,629  
   
FORTUNE BRANDS INC
  Common Stock     635,397       699,355  
   
FORTUNE BRANDS INC
  Common Stock             8,112  

15


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2006
Schedule I
                         
   
FORTUNET INC
  Common Stock             3,036  
   
FOUNDATION COAL HLDGS INC
  Common Stock             3,176  
   
FOWARD INDS II
  Common Stock             5,028  
   
FPL GROUP INC
  Common Stock             5,720  
   
FRANKLIN RES
  Common Stock     2,468,491       3,902,747  
   
FRONTIER FINANCIAL CORP
  Common Stock             1,754  
   
FRONTLINE LTD
  Common Stock             5,151  
   
FUEL SYS SOLUTIONS INC COM
  Common Stock             11,040  
   
FUEL TECH INC COM
  Common Stock             1,922  
   
FUTUREMEDIA PLC-ADR
  Common Stock             97  
   
GAMESTOP CORP NEW CL A
  Common Stock             17,360  
   
GAP INC DEL
  Common Stock             29,250  
   
GARMIN LTD REG SHS
  Common Stock             7,844  
   
GASTAR EXPL LTD
  Common Stock             2,150  
   
GATEWAY INC
  Common Stock             2,010  
   
GEN VEC INC
  Common Stock             2,400  
   
GENCO SHIPPING & TRADING LIMITED SHS
  Common Stock             27,940  
   
GENENTECH INC
  Common Stock             109,039  
   
GENERAL CABLE CORP
  Common Stock             6,119  
   
GENERAL DYNAMICS CORP
  Common Stock             18,587  
   
GENERAL ELECTRIC CO
  Common Stock     8,193,682       8,635,940  
   
GENERAL ELECTRIC CO
  Common Stock             242,584  
   
GENERAL MILLS INC
  Common Stock             51,840  
   
GENERAL MOTORS CORP
  Common Stock             44,114  
   
GENEREX BIOTECHNOLOGY CORP
  Common Stock             7,145  
   
GENETECH INC
  Common Stock     2,490,733       3,058,141  
   
GENTA INC
  Common Stock             1,170  
   
GENWORTH FINANCIAL
  Common Stock     2,555,822       2,747,832  
   
GEOPHARMA INC
  Common Stock             2,030  
   
GEORESOURCES INC
  Common Stock             1,733  
   
GERDAU SA SPONS ADR
  Common Stock             4,800  
   
GETTY IMAGES INC
  Common Stock             2,141  
   
GIGAMEDIA LTD
  Common Stock             29,310  
   
GILEAD SCIENCES
  Common Stock     2,773,145       3,562,319  
   
GILEAD SCIENCES INC
  Common Stock             36,750  
   
GLOBAL HIGH INC DLR FD INC
  Common Stock             13,990  
   
GLOBAL SOURCES LTD
  Common Stock             8,890  
   
GLOBALSANTAFE CORPORATION
  Common Stock     1,186,623       1,252,841  
   
GOLDCORP INC NEW
  Common Stock             77,812  
   
GOLDMAN SACHS GROUP
  Common Stock     2,318,880       3,717,840  
   
GOLDMAN SACHS GROUP INC
  Common Stock             19,479  
   
GOODRICH CORP
  Common Stock             7,044  
   
GOOGLE INC
  Common Stock     4,157,643       6,668,091  
   
GOOGLE INC CL A
  Common Stock             59,402  
   
GRANT PRIDECO INC
  Common Stock             1,988  
   
GREY WOLF INC
  Common Stock             343  
   
GRUPO AEROPORTUARIO DEL SURESTE S A DE S V SPON ADR REPSTG SER B SHS
  Common Stock             2,336  
   
GSI GROUP INC CDA
  Common Stock             1,938  
   
GYMBOREE CORP
  Common Stock             2,099  
   
H & Q HEALTHCARE FD SH BEN INT
  Common Stock             3,507  
   
HALLIBURTON CO
  Common Stock     2,898,415       3,731,827  
   
HALLIBURTON CO HOLDING CO
  Common Stock             44,819  
   
HALOZYME THERAPEUTICS INC
  Common Stock             231,115  
   
HAMPSHIRE GROUP LTD
  Common Stock             1,657  
   
HANCOCK HOLDING CO
  Common Stock             139,762  
   
HANCOCK JOHN PFD EQUITY INCOME FD SH BEN INT
  Common Stock             5,100  
   
HANCOCK JOHN PFD INC ME FD III
  Common Stock             2,241  
   
HANSEN NATURAL CORP
  Common Stock             5,726  
   
HARKEN ENERGY CORP
  Common Stock             510  
   
HARLEY DAVIDSON INC WISC
  Common Stock             7,047  
   
HARRAH’S ENTERTAINMENT INC NFSC IS SPECIALIST IN THIS SECURITY
  Common Stock             25,478  
   
HARTFORD FINANCIAL
  Common Stock     1,059,413       1,150,935  
   
HARVEST ENERGY TR UNITS
  Common Stock             14,633  
   
HARVEST NAT RES INC COM
  Common Stock             1,594  
   
HAUPPAGUE DIGITAL
  Common Stock             17,552  
   
HEADWATERS INC
  Common Stock             28,752  
   
HECLA MINING CO
  Common Stock             38,300  
   
HELIX ENERGY SOLUTIONS GROUP INC
  Common Stock             784  
   
HENRY JACK & ASSOCIATES INC
  Common Stock             3,980  
   
HERCULES OFFSHORE INC COM
  Common Stock             20,230  
   
HERSHEY FOODS CORP
  Common Stock             11,046  
   
HERTZ GLOBAL HOLDINGS
  Common Stock     662,956       758,463  
   
HEWLETT PACKARD CO
  Common Stock     3,856,728       4,487,180  
   
HEWLETT-PACKARD CO
  Common Stock             56,677  
   
HEXCEL CORP COM NEW
  Common Stock             8,705  
   
HILTON HOTELS
  Common Stock     1,415,128       1,680,575  
   
HI-TECH PHARMACAL INC
  Common Stock             5,172  
   
HOLLIS-EDEN PHARMA INC
  Common Stock             368  

16


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2006
Schedule I
                         
   
HOLLY CORP PAR $0.01
  Common Stock             10,525  
   
HOLOGIC INC
  Common Stock             7,092  
   
HOME DEPOT INC
  Common Stock             102,943  
   
HOME SOLUTIONS AMER INC
  Common Stock             1,846  
   
HONDA MOTOR LTD
  Common Stock     739,147       1,346,072  
   
HONDA MOTORS LTD ADR NEW
  Common Stock             29,152  
   
HONEYWELL INTERNATIONAL INC
  Common Stock             13,629  
   
HOSPIRA INC
  Common Stock             406,486  
   
HOST HOTELS & RESORTS INC COM
  Common Stock             5,524  
   
HSBC HOLDINGS PLC SPONS ADR
  Common Stock             45,825  
   
HURON CONSULTING GRP INC COM
  Common Stock             9,068  
   
I TRAX INC NEW FORMERLY I TRAX COM INC
  Common Stock             15,500  
   
IAC / INTERACTIVECRP COM NEW
  Common Stock             41,842  
   
IAMGOLD CORP
  Common Stock             8,325  
   
ICON PLC CORP ADR REPRSTG 1 ORD SHR
  Common Stock             8,294  
   
IDEARC INC
  Common Stock     57,137       60,358  
   
IDEARC INC COM DELAWARE
  Common Stock             2,550  
   
IDM PHARMA INC COM
  Common Stock             26  
   
I-FLOW CORP COM NEW
  Common Stock             7,475  
   
IMA EXPLORATION INC
  Common Stock             520  
   
IMMUCOR INC
  Common Stock             877  
   
IMMUNICON CORP DEL
  Common Stock             1,660  
   
IMMUNOGEN INC
  Common Stock             3,559  
   
IMPAC MTG HLDGS INC
  Common Stock             4,400  
   
INCYTE GENOMICS INC
  Common Stock             30,923  
   
INDEVUS PHARMACEUTICALS INC
  Common Stock             28,400  
   
INDIA FD INC
  Common Stock             22,950  
   
INFOSYS TECHNOLOGIES LIMITED ADR
  Common Stock             3,710  
   
ING CLARION REAL ESTATE INCOME FD COM SHS
  Common Stock             23,025  
   
ING PRIME RATE TR SH BEN INT NFS LLC
  Common Stock             7,230  
   
INGERSOLL RAND
  Common Stock     1,242,811       1,208,556  
   
INNODATA CORP
  Common Stock             356  
   
INSMED INC COM NEW
  Common Stock             2,112  
   
INTEGRATED DEVICE TECH INC
  Common Stock             3,560  
   
INTEL CORP
  Common Stock             161,697  
   
INTER TEL INC
  Common Stock             548  
   
INTERLIANT INC
  Common Stock             3  
   
INTERNATIONAL COAL GROUP INC NEW
  Common Stock             5,450  
   
INTERNATIONAL GAME TECHNOLOGY
  Common Stock             6,699  
   
INTERNET CAP GROUP INC COM NEW
  Common Stock             3,334  
   
INTERPUBLIC GROUP
  Common Stock     2,078,895       2,125,723  
   
INTL BUSINESS MACH NFSC
  Common Stock             13,601  
   
INTL FUEL TECH INC NEW
  Common Stock             2,550  
   
INTL SPEEDWAY CL A
  Common Stock             2,042  
   
INVENTIV HEALTH INC COM
  Common Stock             3,535  
   
ION MEDIA NETWORKS INC CL A COM
  Common Stock             500  
   
ION NETWORKS INC
  Common Stock             50  
   
IOWA TELECOMMUNICATION SVCS INC
  Common Stock             3,449  
   
IRIS INTL INC
  Common Stock             2,277  
   
IRVINE SENSORS CORPORATION NEW
  Common Stock             2,050  
   
ISHARES COMEX GOLD TRUST ISHARES ETF
  Common Stock             8,033  
   
ISHARES INC MSCI AUSTRALIA INDEX FUND
  Common Stock             7,555  
   
ISHARES INC MSCI AUSTRIA INDEX FD
  Common Stock             11,257  
   
ISHARES INC MSCI BELGIUM INDEX FD
  Common Stock             8,129  
   
ISHARES INC MSCI BRAZIL FREE INDEX FU ND
  Common Stock             4,774  
   
ISHARES INC MSCI CANADA INDEX FD
  Common Stock             10,621  
   
ISHARES INC MSCI EMU INDEX FD
  Common Stock             10,523  
   
ISHARES INC MSCI MEXICO FREE INDEX FD
  Common Stock             5,172  
   
ISHARES INC MSCI NETHERLANDS INDEX FD
  Common Stock             21,048  
   
ISHARES INC MSCI PACIFIC EX JAPAN INDEX FD
  Common Stock             6,526  
   
ISHARES INC MSCI SINGAPORE INDEX FD
  Common Stock             6,720  
   
ISHARES INC MSCI SOUTH AFRICA INDEX FD
  Common Stock             1,058  
   
ISHARES INC MSCI SOUTH KOREA INDEX FD
  Common Stock             8,003  
   
ISHARES INC MSCI SPAIN INDEX FD
  Common Stock             5,399  
   
ISHARES SILVER TR ISHARES
  Common Stock             1,672  
   
ISHARES TR DOW JONES U S TELECOMMUNICATIONS SECTOR INDEX FD
  Common Stock             26,083  
   
ISHARES TR FTSE XINHUA HK CHINA 25 INDEX FD
  Common Stock             46,940  
   
ISHARES TR MSCI EMERGING MKTS INDEX FD
  Common Stock             43,122  
   
ISHARES TR S&P 500/ VALUE INDEX FD
  Common Stock             17,592  
   
ISHARES TR S&P GLOBAL 100 INDEX FD
  Common Stock             18,530  
   
ISHARES TR S&P GLOBAL FINLS SECTOR INDEX FD
  Common Stock             6,883  
   
ISHARES TR S&P MIDCAP 400/ VALUE INDEX FD
  Common Stock             44,970  
   
ISHARES TR U S TREAS INFLATION PROTECTED SECS FD
  Common Stock             81,945  
   
ISIS PHARMACEUTICALS
  Common Stock             5,560  
   
IVANHOE ENERGY COM
  Common Stock             8,437  
   
J P MORGAN CHASE & CO
  Common Stock             161,757  
   
JABIL CIRCUIT INC
  Common Stock             32,161  
   
JAMES RIV COAL CO COM NEW
  Common Stock             1,670  

17


 

Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2006
Schedule I
                         
   
JAVELIN PHARMACEUTICALS INC COM
  Common Stock             31,200  
   
JDS UNIPHASE CORP COM PAR $0.001
  Common Stock             33,387  
   
JENSEN PORTFOLIO, INC.
  Common Stock             65,699  
   
JETBLUE AWYS CORP
  Common Stock             8,506  
   
JOHNSON & JOHNSON
  Common Stock             109,059  
   
JOY GLOBAL INC
  Common Stock             2,856  
   
JPMORGAN CHASE & CO
  Common Stock     4,742,769       5,685,914  
   
JUNIPER NETWORKS INC
  Common Stock             177,657  
   
KAYNE ANDERSON MLP INVT CO
  Common Stock             6,596  
   
KELLOGG CO
  Common Stock     735,214       829,875  
   
KERYX BIOPHARMACEUTICALS INC
  Common Stock             1,330  
   
KEY TECH INC
  Common Stock             13,569  
   
KIMBERLY CLARK CORP
  Common Stock             13,590  
   
KINDER MORGAN INC KANS
  Common Stock             10,575  
   
KINDER MORGAN MGMT LLC SHS
  Common Stock             2,056  
   
KINETIC CONCEPTS
  Common Stock     725,289       788,334  
   
KING PHARMACEUTICALS INC
  Common Stock             700  
   
KINROSS GOLD CORP
  Common Stock             19,008  
   
KINTERA INC
  Common Stock             750  
   
KNIGHTSBRIDGE TANK COM
  Common Stock             6,383  
   
KOALA CORP
  Common Stock             2  
   
KOHLS CORP
  Common Stock     2,799,577       2,896,786  
   
KOHL’S CORP
  Common Stock             77,326  
   
KONGZHONG CORP SPONS ADR
  Common Stock             21,960  
   
KOREA FUND INC
  Common Stock             3,491  
   
KRISPY KREME DOUGHNUTS INC
  Common Stock             8,991  
   
KROGER CO
  Common Stock     1,119,668       1,368,153  
   
KRONOS WORLDWIDE INC
  Common Stock             68  
   
L-3 COMMUNICATIONS HLDGS INC
  Common Stock             16,315  
   
LABOR READY INC NEW
  Common Stock             1,833  
   
LABORATORY CORP OF AMERICA HLDGS NEW
  Common Stock             29,388  
   
LADISH COMPANY INC NEW
  Common Stock             2,039  
   
LAMSON & SESSIONS CO
  Common Stock             12,130  
   
LAS VEGAS SANDS CORP
  Common Stock     701,906       1,033,057  
   
LAW ENFORCEMENT ASSOCIATES CORP
  Common Stock             2,688  
   
LEGG MASON INC
  Common Stock     2,617,626       2,532,378  
   
LEHMAN BROS HLDGS CORP
  Common Stock             4,062  
   
LEVEL 3 COMMUNICATIONS INC
  Common Stock             4,480  
   
LEVITT CORP FLA CL A
  Common Stock             4,896  
   
LIBERTY ALL STAR EQUITY FD SBI
  Common Stock             154  
   
LIBERTY MEDIA CORP
  Common Stock     1,080,248       1,459,913  
   
LIFECELL CORP
  Common Stock             10,332  
   
LILLY ELI & CO
  Common Stock             13,546  
   
LINEAR TECHNOLOGY CORP
  Common Stock             39,416  
   
LINUX GOLD CORP
  Common Stock             250  
   
LOCKHEED MARTIN CORP
  Common Stock             6,931  
   
LODGIAN INC COM PAR $.01
  Common Stock             1,130,160  
   
LONE STAR TECHNOLOGIES INC
  Common Stock             968  
   
LOOKSMART LTD COM NEW
  Common Stock             1,785  
   
LOWES COMPANIES
  Common Stock             36,486  
   
LSI LOGIC CORP
  Common Stock             18,000  
   
LUMERA CORP
  Common Stock             3,666  
   
LUNDIN MNG CORP
  Common Stock             1,034  
   
LYONDELL CHEMICAL
  Common Stock     1,090,813       1,100,094  
   
M 2003 PLC SPONSORED ADR
  Common Stock             1  
   
MACQUARIE GLOBAL
  Common Stock             11,294  
   
MANITOWOC INC
  Common Stock             38,347  
   
MARATHON OIL CORP
  Common Stock             9,525  
   
MARKEL CORP HLDG CO
  Common Stock             32,647  
   
MARRIOTT INTL INC CL A
  Common Stock             5,106  
   
MARSH & MCLENNAN
  Common Stock     640,244       662,566  
   
MARVEL ENTMT INC COM
  Common Stock             2,691  
   
MARVELL TECHNOLOGY GROUP LTD
  Common Stock             21,109  
   
MASSMUTUAL PARTN INVS
  Common Stock             29,400  
   
MASTERCARD INC
  Common Stock             17,728  
   
MBIA INC
  Common Stock     465,227       490,232  
   
MCDERMOTT INTL INC
  Common Stock             12,715  
   
MCDONALDS CORP
  Common Stock     4,282,562       5,393,534  
   
MCG CAPITAL CORP
  Common Stock             10,160  
   
MEDIAVEST INC
  Common Stock             55  
   
MEDIFAST INC
  Common Stock             7,856  
   
MEDTRONIC INC
  Common Stock             137,384  
   
MELCO PBL ENTERTAINMENT
  Common Stock     812,069       811,640  
   
MEMC ELECTRONICS MATERIALS INC
  Common Stock             5,871  
   
MERCK & CO
  Common Stock     962,638       1,200,337  
   
MERCK & CO INC
  Common Stock             185,126  
   
MERIDIAN RESOURCE CORP
  Common Stock             8,806  
   
MERIX CORP
  Common Stock             2,787  

18


 

     
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) December 31, 2006   Schedule I
                         
   
MERLIFE
  Common Stock     1,663,287       2,003,073  
   
MERRILL LYNCH & CO INC
  Common Stock     5,387,669       7,321,847  
   
MERRILL LYNCH & CO INC
  Common Stock             7,150  
   
METHANEX CORP
  Common Stock             2,162  
   
METLIFE INC COM
  Common Stock             590  
   
MEXICO EQUITY & INCOME FD
  Common Stock             2,546  
   
MGI PHARMA INC
  Common Stock             9,113  
   
MGP INGREDIENTS INC
  Common Stock             3,392  
   
MICROMET INC COM
  Common Stock             1,500  
   
MICROSOFT
  Common Stock     4,008,268       4,322,476  
   
MICROSOFT CORP
  Common Stock             95,343  
   
MICROTUNE INC DEL
  Common Stock             1,011  
   
MICROVISION INC WASH
  Common Stock             63,800  
   
MIDDLEBY CORP
  Common Stock             2,617  
   
MILACRON INC
  Common Stock             2,640  
   
MILLICOM INTL CELLULAR
  Common Stock             2,959  
   
MINDSPEED TECHNOLOGIES INC
  Common Stock             2,928  
   
MINEFINDERS LTD CORP
  Common Stock             8,900  
   
MIRANT CORP COM NEW
  Common Stock             63  
   
MIRAVANT MEDICAL TECHNOLOGY
  Common Stock             1  
   
MKS INSTRUMENTS INC
  Common Stock             11,064  
   
MOBILITY ELECTRONICS INC
  Common Stock             168  
   
MOGRAN STANLEY
  Common Stock     522,858       755,309  
   
MONSANTO CO NEW
  Common Stock     1,670,900       2,021,551  
   
MONTPELIER REINSURANCE HOLDINGS LTD
  Common Stock             5,583  
   
MORGAN STANLEY DEAN WITTER & CO
  Common Stock             28,501  
   
MOSAIC
  Common Stock     385,887       554,332  
   
MOTOROLA
  Common Stock     884,254       886,578  
   
MOTOROLA INC
  Common Stock             74,039  
   
MOVE INC COM
  Common Stock             1,019  
   
MUELLER WTR PRODS INC COM SER B
  Common Stock             4,917  
   
MULTIBAND CORP
  Common Stock             570  
   
MURPHY OIL CORP
  Common Stock             5,085  
   
NABORS INDUSTRIES LTD
  Common Stock             10,125  
   
NAM TAI ELECTRONICS INC
  Common Stock             7,595  
   
NANOGEN INC
  Common Stock             28,985  
   
NATIONAL CITY
  Common Stock     1,242,211       1,352,851  
   
NEENAH PAPER INC
  Common Stock             212  
   
NEOPHARM INC
  Common Stock             3,340  
   
NETFLIX COM INC COM
  Common Stock             6,206  
   
NETWORK APLIANCE INC
  Common Stock     1,325,884       1,798,465  
   
NETWORK APPLIANCE CORP
  Common Stock             3,142  
   
NEUROCRINE BIOSCIENCES INC
  Common Stock             18,339  
   
NEW CENTY FINL CORP MD COM
  Common Stock             36,624  
   
NEW FRONTIER MEDIA INC
  Common Stock             9,610  
   
NEW YORK & CO INC COM
  Common Stock             6,540  
   
NEWFIELD EXPLORATION CO
  Common Stock             2,757  
   
NEWMARKET CORP
  Common Stock             7,972  
   
NICHOLAS APPLEGATE CONV & FD INCOME
  Common Stock             8,444  
   
NII HLDGS INC NEW
  Common Stock             26,936  
   
NIKE INC
  Common Stock     667,810       664,490  
   
NIKE INC CLASS B
  Common Stock             9,903  
   
NIVIDIA CORP
  Common Stock     1,115,961       1,332,983  
   
NOKIA CORP
  Common Stock     826,532       896,280  
   
NOKIA CORP ADR
  Common Stock             44,771  
   
NORDIC AMERICAN TANKER SHIPPING LTD
  Common Stock             210  
   
NORDSTROM INC
  Common Stock             10,657  
   
NORTEL NETWORKS CORP
  Common Stock             23,415  
   
NORTH AERN ENERGY PARTNERS INC
  Common Stock             32,560  
   
NORTHFIELD LABORATORIES INC
  Common Stock             55,551  
   
NORTHROP GRUMAN CORP
  Common Stock     1,151,696       1,295,994  
   
NOVAMED EYECARE INC
  Common Stock             2,271  
   
NOVARTIS AG ADR
  Common Stock             21,655  
   
NOVASTAR FINANCIAL INC
  Common Stock             3,998  
   
NOVAVAX INC
  Common Stock             3,280  
   
NPS PHARMACEUTICALS INC
  Common Stock             15,764  
   
NUANCE COMMUNICATIONS INC COM
  Common Stock             18,050  
   
NUCOR CORP
  Common Stock             54,660  
   
NUCRYST PHARMACEUTICALS CORP COM
  Common Stock             9,480  
   
NUTRI SYS INC NEW COM
  Common Stock             2,219  
   
NVIDIA CORP
  Common Stock             53,257  
   
NXSTAGE MED INC COM
  Common Stock             1,676  
   
NYSE GROUP
  Common Stock     1,648,021       2,225,189  
   
NYSE GROUP INC COM
  Common Stock             27,313  
   
O2MICRO INTL LTD
  Common Stock             21,375  
   
OCCIDENTAL PETROLEUM CORP
  Common Stock             6,543  
   
OCEANEERING INTL INC
  Common Stock             6,034  
   
OCWEN FINL CORP COM NEW
  Common Stock             4,758  

19


 

     
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) December 31, 2006   Schedule I
                         
   
ODYSSEY MARINE EXPLORATION INC
  Common Stock             29,200  
   
OFFICE DEPOT
  Common Stock     684,754       832,390  
   
OIL SVC HOLDRS TR OIL SVC HOLDERS DEPOSITARY RCPT
  Common Stock             83,796  
   
OM GROUP INC
  Common Stock             679  
   
OMI CORPORATION
  Common Stock             10,585  
   
ON2.COM INC
  Common Stock             36,480  
   
ONCOLYTICS BIOTECH INC
  Common Stock             122,265  
   
ONSCREEN TECHNOLOGIES INC
  Common Stock             140  
   
OPENTV CORP CL A
  Common Stock             406  
   
ORACLE CORP.
  Common Stock             81,963  
   
ORCHID CELLMARK INC
  Common Stock             248  
   
O’REILLY AUTOMOTIVE INC
  Common Stock             74,155  
   
OREZONE RESOURCES INC
  Common Stock             1,470  
   
ORLEANS HOMEBUILDERS INC
  Common Stock             5,640  
   
OSTEOTECH INC
  Common Stock             12,978  
   
OWENS ILL INC
  Common Stock     603,803       507,941  
   
P F CHANGS CHINA BISTRO INC
  Common Stock             1,343  
   
PACIFIC ETHANOL INC
  Common Stock             13,697  
   
PACIFIC RIM MINING CORP COM NEW
  Common Stock             21,000  
   
PALM INC NEW COM
  Common Stock             49,456  
   
PANACOS PHARMACEUTICALS INC
  Common Stock             1,003  
   
PARAMETRIC TECHNOLOGY CORP
  Common Stock             7,208  
   
PATTERSON-UTI ENERGY INC
  Common Stock             11,124  
   
PAYCHEX INC
  Common Stock             15,816  
   
PDI INC
  Common Stock             1,015  
   
PDL BIOPHARMA INC COM
  Common Stock             2,457  
   
PEABODY ENERGY CORP
  Common Stock             6,062  
   
PEMSTAR INC
  Common Stock             2,888  
   
PENGROWTH ENERGY TR UNIT
  Common Stock             9,261  
   
PENN NATIONAL GAMING INC
  Common Stock             18,313  
   
PENN WEST ENERGY
  Common Stock             5,311  
   
PEOPLESUPPORT INC COM
  Common Stock             26,123  
   
PEPISCO INC
  Common Stock     1,183,448       1,252,957  
   
PEPSICO INC
  Common Stock             25,145  
   
PERFICIENT INC COM
  Common Stock             2,215  
   
PERU COPPER INC
  Common Stock             1,710  
   
PETROCHINA CO LTD
  Common Stock             8,651  
   
PETROLEO BRASILEIRO SA PETROBRAS SPONS ADR
  Common Stock             2,575  
   
PETSMART INC
  Common Stock             4,618  
   
PFIZER INC
  Common Stock     5,106,774       5,387,447  
   
PFIZER INC
  Common Stock             183,669  
   
PHARMOS CORP COM PAR
  Common Stock             61  
   
PHILADELPHIA CONS HLDGS CORP
  Common Stock             17,824  
   
PILGRIMS PRIDE CORP
  Common Stock             102,122  
   
PIONEER COS INC COM NEW
  Common Stock             1,863  
   
PIONEER DRILLING CO
  Common Stock             134,128  
   
PITNEY BOWES INC
  Common Stock             32,333  
   
PLUM CREEK TIMBER CO INC
  Common Stock             32,886  
   
PMC-SIERRA INC
  Common Stock             7,381  
   
POP3 MEDIA CORP
  Common Stock             5  
   
PORTFOLIO RECOVERY ASSOCS INC
  Common Stock             10,739  
   
POWERSHARES DB G10 HARVEST COM UT BEN INT CURRENCY
  Common Stock             10,380  
   
POWERWAVE TECHNOLOGIES INC.
  Common Stock             6,450  
   
PRECISION DRILLING TR UNIT
  Common Stock             4,675  
   
PRESSTEK INC
  Common Stock             25,440  
   
PRICESMART INC
  Common Stock             3,224  
   
PRIMEWEST ENERGY
  Common Stock             22,233  
   
PROCTER & GAMBLE CO
  Common Stock     1,073,740       1,192,281  
   
PROCTER & GAMBLE CO
  Common Stock             81,693  
   
PROCTOR AND GAMBLE CO
  Common Stock     4,931,647       5,663,337  
   
PROSPECT ENERGY CORP
  Common Stock             4,197  
   
PROVIDENT ENERGY
  Common Stock             5,888  
   
PRUDENTIAL FINL INC
  Common Stock             4,293  
   
PUTNAM HIGH INCOME CONV & BD FD S B I
  Common Stock             21,450  
   
PW EAGLE INC
  Common Stock             5,188  
   
PYR ENERGY CORP MARYLAND
  Common Stock             15,165  
   
QLOGIC CORP
  Common Stock             6,708  
   
QUADRAMED CORP
  Common Stock             4,140  
   
QUALCOMM INC
  Common Stock     2,240,469       2,244,843  
   
QUALCOMM INC
  Common Stock             17,018  
   
QUALITY SYSTEMS
  Common Stock             8,274  
   
QUANTUM DLT & STORAGE SYSTEMS GROUP
  Common Stock             4,640  
   
QUANTUM FUEL SYS TECHNOLOGIES WORLDWIDE INC
  Common Stock             3,200  
   
QUEST DIAGNOSTICS INC
  Common Stock             5,300  
   
RADIOSHACK CORP
  Common Stock             1,678  
   
RADYNE COMSTREAM INC
  Common Stock             1,074  
   
RAMBUS INC
  Common Stock             32,560  
   
RAMP CORP COM NEW
  Common Stock             2  
   
RAYONIER INC
  Common Stock             6,229  

20


 

     
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) December 31, 2006   Schedule I
                         
   
REALOGY CORP COM
  Common Stock             5,367  
   
REDBACK NETWORKS INC COM NEW
  Common Stock             175  
   
REGAL BELOIT CORP
  Common Stock             7,926  
   
RENAISSANCERE HOLDINGS
  Common Stock     548,429       745,992  
   
RENOVIS INC
  Common Stock             12,640  
   
REPLIGEN CORP
  Common Stock             984  
   
REYNOLDS AMERN INC
  Common Stock             9,245  
   
RF MICRO DEVICES INC
  Common Stock             4,753  
   
RITE AID CORP
  Common Stock             12,050  
   
RIVERBANK INVT CORP
  Common Stock             30  
   
RIVERBED TECHNOLOGY INC COM
  Common Stock             61,400  
   
RIVERVIEW BANCORP INC
  Common Stock             7,600  
   
RMK ADVANTAGE INCOME FD INC
  Common Stock             48,972  
   
RMK STRATEGIC INCOME FD INC
  Common Stock             8,915  
   
ROCKWELL AUTOMATION INC
  Common Stock             24,432  
   
ROCKWELL COLLINS INC
  Common Stock     764,146       780,652  
   
ROCKWELL MEDICAL TECH INC
  Common Stock             1,804  
   
ROYAL DUTCH SHELL
  Common Stock     553,395       684,559  
   
ROYCE VALUE TR INC
  Common Stock             10,809  
   
RTI INTL METALS
  Common Stock             7,822  
   
RUBICON MINERALS CORP
  Common Stock             800  
   
S & P 500 COVERED CALL FD INC
  Common Stock             5,973  
   
SABA SOFTWARE INC COM NEW
  Common Stock             779  
   
SAFENET INC COM
  Common Stock             1,772  
   
SAFEWAY INC
  Common Stock     1,375,127       2,008,638  
   
SANDISK CORP
  Common Stock             245,400  
   
SANOFI-SYNTHELABO ADR
  Common Stock             11,543  
   
SANTARUS INC
  Common Stock             9,999  
   
SARA LEE
  Common Stock     1,555,858       1,594,753  
   
SASOL LTD SPNSRD ADR
  Common Stock             7,946  
   
SCHERING PLOUGH CORP
  Common Stock             35,460  
   
SCHLUMBERGER LTD
  Common Stock     870,586       835,141  
   
SCHWAB CHARLES CORP
  Common Stock     1,442,205       1,498,093  
   
SCO GROUP INC
  Common Stock             650  
   
SEAGATE TECHNOLOGY HOLDINGS
  Common Stock             12,853  
   
SEARS HLDGS CORP
  Common Stock             19,984  
   
SECTOR SPDR TR SHS BEN INT CONSUMER SERVICES
  Common Stock             39,713  
   
SECTOR SPDR TR SHS BEN INT UTILITIES
  Common Stock             18,360  
   
SELECT COMFORT CORP
  Common Stock             42,084  
   
SGL CARBON AG SPON ADR
  Common Stock             1,642  
   
SHANDA INTERACTIVE ENTMT LTD SPON ADR
  Common Stock             11,919  
   
SHIP FINANCE INTERNATIONAL LIMITED
  Common Stock             8,202  
   
SHUFFLE MASTER
  Common Stock             13,152  
   
SILICON IMAGE INC
  Common Stock             12,720  
   
SILVER WHEATON CORP COM
  Common Stock             14,148  
   
SIRENZA MICRODEVICES INC
  Common Stock             3,930  
   
SIRIUS SATELLITE RADIO INC
  Common Stock             200,438  
   
SIRNA THERAPEUTICS INC
  Common Stock             13,010  
   
SIX FLAGS INC
  Common Stock             5,240  
   
SKYWORKS SOLUTIONS INC
  Common Stock             248  
   
SLM CORP COM
  Common Stock             2,439  
   
SMITH MICRO SOFTWARE INC
  Common Stock             32,637  
   
SMURFIT STONE CONTAINER
  Common Stock     967,584       721,079  
   
SOCKET COMM INC
  Common Stock             560  
   
SOLECTRON CORP
  Common Stock     731,700       643,736  
   
SONIC CORP
  Common Stock             8,502  
   
SONUS NETWORKS INC
  Common Stock             15,816  
   
SOUTHERN CO
  Common Stock             14,744  
   
SOUTHERN COPPER CORP DEL COM
  Common Stock             37,155  
   
SOUTHERN UNION CO NEW COM
  Common Stock             283  
   
SOUTHWEST AIRLINES
  Common Stock     1,214,026       1,256,239  
   
SOUTHWEST AIRLINES CO
  Common Stock             15,320  
   
SOUTHWESTERN ENERGY
  Common Stock             35,050  
   
SPECTRANETICS CORP
  Common Stock             26,193  
   
SPECTRUM PHARMACEUTICALS INC
  Common Stock             5,187  
   
SPORTS CONCEPTS INC COM
  Common Stock             885  
   
SPRINT CORP
  Common Stock             32,453  
   
SPRINT NEXTEL
  Common Stock     3,279,582       2,887,327  
   
SPX CORP
  Common Stock     564,857       639,714  
   
ST JOE CORP
  Common Stock             5,357  
   
ST JUDE MEDICAL INC
  Common Stock             93,996  
   
ST PAUL COS INC
  Common Stock             1,779  
   
STANLEY FURNITURE CO.
  Common Stock             888  
   
STANTEC INC
  Common Stock             7,348  
   
STARBUCKS CORP
  Common Stock             5,951  
   
STARWOOD HOTELS & RESORTS
  Common Stock     1,946,705       2,078,369  
*  
STATE STREET CORP
  Common Stock             194  
   
STEEL DYNAMICS INC
  Common Stock             3,050  

21


 

     
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) December 31, 2006   Schedule I
                         
   
STEMCELLS INC
  Common Stock             37,789  
   
STERLING CONSTRUCTION INC
  Common Stock             1,697  
   
STRATOS LIGHTWAVE INC NEW
  Common Stock             190  
   
STREETTRACKS GOLD TR GOLD SHS
  Common Stock             87,230  
   
STREETTRACKS INDEX
  Common Stock             11,675  
   
STREETTRACKS WILSHIRE REIT INDEX FUND
  Common Stock             78,449  
   
STRYKER CORP
  Common Stock             5,952  
   
SULPHCO INC COM
  Common Stock             7,472  
   
SUMMIT FINL GROUP INC
  Common Stock             28,490  
   
SUN MICROSYSTEMS INC
  Common Stock             54,509  
   
SUNOPTA INC
  Common Stock             8,800  
   
SUNTECH PWR HLDGS CO LTD ADR
  Common Stock             7,652  
   
SUNTRUSK BANKS
  Common Stock     1,170,289       1,358,313  
   
SYCAMORE NETWORKS INC
  Common Stock             7,520  
   
SYMANTEC
  Common Stock     1,219,953       1,283,818  
   
SYMBOL TECH INC
  Common Stock             2,549  
   
SYNERON MEDICAL LTD ORD SHS
  Common Stock             32,827  
   
SYNTAX BRILLIAN CORP COM
  Common Stock             17,300  
   
SYSCO CORP
  Common Stock             20,586  
   
TALBOTS INC
  Common Stock             2,410  
   
TANZANIAN RTY EXPL COM
  Common Stock             7,140  
   
TARGET CORP
  Common Stock     3,197,312       3,394,576  
   
TARGET CORP
  Common Stock             17,185  
   
TARGETED GENETICS CORP COM NEW
  Common Stock             107  
   
TASEKO MINES LTD
  Common Stock             10,360  
   
TASER INTERNATIONAL INC
  Common Stock             21,308  
   
TATA MTRS LTD SPONSORED ADR
  Common Stock             2,043  
   
TD AMERITRADE HLDG CORP COM
  Common Stock             8,090  
   
TECH DATA
  Common Stock     732,194       698,795  
   
TELIK INC
  Common Stock             886  
   
TELLABS INC
  Common Stock             402,941  
   
TELSTRA CORP
  Common Stock             16,380  
   
TEMPUR PEDIC INTL INC
  Common Stock             8,184  
   
TENARIS SA SPONS ADR
  Common Stock             11,991  
   
TERRA INDS INC
  Common Stock             7,907  
   
TEVA PHARAMACEUTICAL
  Common Stock     383,272       368,023  
   
TEXAS INSTRUMENTS
  Common Stock     779,139       750,255  
   
TEXAS INSTRUMENTS, INC.
  Common Stock             4,320  
   
THAI FD INC
  Common Stock             5,500  
   
THERMOGENESIS CORP
  Common Stock             3,082  
   
THIRD WAVE TECHNOLOGIES INC
  Common Stock             10,390  
   
THORNBERG MTG ASSET CORP
  Common Stock             5,315  
   
THRESHOLD PHARMACEUTICALS INC
  Common Stock             1,110  
   
TIENS BIOTECH GROUP USA INC
  Common Stock             15,720  
   
TIFFANY & CO
  Common Stock     344,235       340,741  
   
TIMEWARNER INC
  Common Stock             43,277  
   
TIMEWARNER INC
  Common Stock     5,996,054       7,268,489  
   
TITANIUM METALS CORP COM
  Common Stock             20,952  
   
TIVO INC
  Common Stock             10,880  
   
TJX COMPANIES INC
  Common Stock             713  
   
TODCO COM
  Common Stock             15,377  
   
TOLL BROTHERS INC
  Common Stock             6,446  
   
TOOTSIE ROLL INDS
  Common Stock             2,547  
   
TOYOTA MOTOR
  Common Stock     1,577,277       1,775,930  
   
TOYOTA MTRS CORP SPON ADR
  Common Stock             60,571  
   
TPTX INC COM
  Common Stock             89  
   
TRAFFIX INC
  Common Stock             5,480  
   
TRANSCANADA CORP
  Common Stock             6,990  
   
TRANSMERIDIAN EXPL INC
  Common Stock             1,035  
   
TRANSWITCH CORP
  Common Stock             11,200  
*  
TRAVELERS COS
  Common Stock     1,504,205       1,784,660  
   
TRI ISTHMUS GROUP INC
  Common Stock             6  
   
TRIMEDYNE INC
  Common Stock             14,000  
   
TRINITY INDS INC DEL FRMLY TEXAS
  Common Stock             7,064  
   
TRIQUINT SEMICONDUCTOR INC
  Common Stock             8,550  
   
TRONOX INC COM CL B
  Common Stock             632  
   
TRUBION PHARMACEUTICALS INC
  Common Stock             540  
   
TUESDAY MORNING CORP
  Common Stock             6,220  
   
TYCO INTL LTD NEW
  Common Stock             33,976  
   
UBS AG
  Common Stock     745,587       904,877  
   
UGI CORP NEW
  Common Stock             17,748  
   
UNILEVER
  Common Stock     1,368,007       1,621,423  
   
UNILEVER PLC
  Common Stock             10,015  
   
UNION PACIFIC CORP
  Common Stock             1,564  
   
UNITED ONLINE INC
  Common Stock             674  
   
UNITED PARCEL SVC INC CL B
  Common Stock             41,239  
   
UNITEDHEALTH GROUP INC
  Common Stock             29,820  
   
UNIVERSAL DISPLAY CORP
  Common Stock             1,501  

22


 

     
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) December 31, 2006   Schedule I
                         
   
UNIVERSAL TECHNICAL UTI.N
  Common Stock             11,549  
   
UNIVISION COMM INC CL A
  Common Stock             5,136  
   
UNUM
  Common Stock     845,709       1,002,691  
   
US BANCORP
  Common Stock     1,183,071       1,517,715  
   
US BANCORP DEL COM NEW
  Common Stock             8,616  
   
USG CORP COM NEW
  Common Stock             13,700  
   
VA LINUX SYS INC
  Common Stock             14,738  
   
VAALCO ENERGY INC COM NEW
  Common Stock             2,700  
   
VALERO ENERGY CORP
  Common Stock             91,423  
   
VANGUARD INTL EQUITY INDEX FD INC
  Common Stock             9,971  
   
VARIAN INC
  Common Stock             1,344  
   
VASO ACTIVE PHARMACEUTICALS INC
  Common Stock             360  
   
VERISIGN INC
  Common Stock             5,051  
   
VERITAS DGC INC
  Common Stock             17,126  
   
VERIZON COMMUNICATIONS
  Common Stock     1,883,347       1,976,991  
   
VERIZON COMMUNICATIONS
  Common Stock             73,067  
   
VERSANT CORP COM NEW
  Common Stock             2724  
   
VERTEX PHARMACEUTCLS INC
  Common Stock             4490  
   
VERTICALNET INC COM PAR $0.01
  Common Stock             287  
   
VIA NET WORKS INC
  Common Stock             588  
   
VIACELL INC
  Common Stock             1,888  
   
VIRAGEN INC COM NEW
  Common Stock             165  
   
VISEON INC
  Common Stock             11  
   
VOLCANO CORP COM
  Common Stock             16,390  
   
WACHOVIA CORP
  Common Stock     578,979       623,777  
   
WACHOVIA CORP 2ND NEW
  Common Stock             48,408  
   
WAL MART STORES INC
  Common Stock     694,151       674,417  
   
WAL MART STORES INC
  Common Stock             99,287  
   
WALGREEN COMPANY
  Common Stock             760,098  
   
WALTER INDS INC
  Common Stock             5,410  
   
WASHINGTON MUTUAL INC
  Common Stock             28,346  
   
WASHINGTON POST CO
  Common Stock     523,241       520,161  
   
WASTE MANAGEMENT INC of DELWARE
  Common Stock             2,959  
   
WASTE MANANGEMENT INC
  Common Stock     748,687       892,568  
   
WATSON PHARMACEUTICALS
  Common Stock     454,458       400,693  
   
WELLPOINT INC
  Common Stock     5,841,661       6,856,349  
   
WESCO INTERNATIONAL INC
  Common Stock             1,764  
   
WESTELL TECHNOLOGIES INC
  Common Stock             2,500  
   
WESTERN ASSET EMERGING MKTS DEBT FD INC COM
  Common Stock             5,619  
   
WESTERN COPPER CORP COM
  Common Stock             1,029  
   
WESTERN DIGITAL CORP
  Common Stock             30,690  
   
WESTERN UNION CO COM
  Common Stock             2,242  
   
WHOLE FOODS MKT INC
  Common Stock             24,122  
   
WILD OATS MARKETS INC
  Common Stock             1,438  
   
WISDOMTREE TR INTL DIVID TOP100 FD
  Common Stock             12,779  
   
WOMEN FIRST HEALTHCARE INC
  Common Stock             2  
   
WORLD AIR HLDGS INC
  Common Stock             1,940  
   
WORLDGATE COMMUNICATIONS INC
  Common Stock             4,690  
   
WRIGLEY WM JR CO
  Common Stock     1,797,620       1,791,341  
   
WRIGLEY WM JR CO
  Common Stock             16,809  
   
WYNDHAM WORLDWIDE CORP COM
  Common Stock             4,515  
   
X RITE INC
  Common Stock             24,600  
   
XENONICS HLDGS INC
  Common Stock             11,900  
   
XILINX INC
  Common Stock             32,263  
   
XL CAPITAL LTD
  Common Stock     1,296,517       1,385,799  
   
XM SATELLITE RADIO HOLDINGS INC CL A
  Common Stock             14,450  
   
XOMA LTD
  Common Stock             2,486  
   
XTO ENERGY INC
  Common Stock             24,027  
   
XYBERNAUT CORP
  Common Stock             90  
   
XYRATEX LTD COM
  Common Stock             4,316  
   
YAHOO INC
  Common Stock             5,363  
   
YAMANA GOLD INC
  Common Stock             28,996  
   
YM BIOSCIENCES INC
  Common Stock             3,418  
   
YORK WATER CO COM
  Common Stock             10,479  
   
ZAP COM NEW
  Common Stock             5,260  
   
ZIMMER HOLDINGS INC
  Common Stock             627  
   
ZOLTEK COS INC
  Common Stock             9,835  
   
ZUMIEZ INC
  Common Stock             9,748  
   
 
                 
   
 
                   
   
Common Stock
              $ 481,186,522  
   
 
                 

23


 

     
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)   Schedule I
December 31, 2006    
                         
  U.S Government and Government Agency Issues:                    
   
 
                   
   
FED HM LN PC POOL
  5.000 01JUL35      1,020,224       1,028,028  
   
FED HM LN PC POOL
  6.000 01JUN35      1,275,522       1,256,564  
   
FED HM LN PC POOL
  5.000 01DEC35      5,530,779       5,519,304  
   
FED HM LN PC POOL
  5.000 01SEP21      5,596,495       5,593,051  
   
FED HM LN PC POOL
  5.000 01SEP35      2,208,479       2,159,857  
   
FED HM LN PC POOL
  6.000 01MAR31      37,597       38,025  
   
FEDERAL HOME LN MTG
  5.000 15JAN30      381,224       385,672  
   
FEDERAL HOME LN MTG CORP
  5.000 15DEC23      115,386       116,132  
   
FEDERAL HOME LN MTG CORP
  5.000 15MAR19      769,196       776,543  
   
FEDERAL HOME LN MTG CORP
  5.000 15SEP18      199,144       200,409  
   
FEDERAL NATL MTG ASSN
  1.750 26MAR08      397,687       335,122  
   
FNMA POOL
  6.000 01SEP21      597,823       600,984  
   
FNMA POOL
  6.000 01DEC13      169,734       167,773  
   
FNMA POOL
  6.000 01MAY16      73,438       73,092  
   
FNMA POOL
  6.000 01DEC16      102,982       102,466  
   
FNMA POOL
  5.500 01APR33      925,227       906,588  
   
FNMA POOL
  6.000 01AUG34      652,661       641,514  
   
FNMA POOL
  5.000 01OCT35      1,569,998       1,568,857  
   
FNMA POOL
  5.000 01FEB36      1,671,875       1,687,437  
   
FNMA POOL
  5.500 01APR36      2,702,046       2,723,093  
   
FNMA POOL
  5.000 01MAY36      795,161       802,497  
   
FNMA POOL
  6.000 01OCT33      219,324       215,335  
   
FNMA POOL
  5.500 01MAY35      976,164       955,608  
   
FNMA POOL
  5.000 01JUN35      554,012       558,461  
   
FNMA POOL
  5.500 01APR35      939,152       919,233  
   
FNMA POOL
  6.500 01AUG36      1,182,601       1,185,267  
   
FNMA POOL
  5.000 01SEP35      1,385,172       1,393,684  
   
FNMA POOL
  6.000 01JUN21      389,312       393,075  
   
FNMA POOL
  5.500 01NOV36      717,574       723,426  
   
UNITED STATES TREAS NTS
  6.125 15AUG07      833,543       832,090  
   
UNITED STATES TREAS NTS
  4.375 15MAY07      318,837       319,115  
   
UNITED STATES TREAS NTS
  4.000 31AUG07      1,246,472       1,246,521  
   
UNITED STATES TREAS NTS
  4.875 31AUG08      696,407       693,916  
   
UNITED STATES TREAS NTS
  4.875 31OCT08      69,171       68,937  
   
 
                 
   
 
                   
   
U.S Government and Government Agency Issues
              $ 36,187,676  
   
 
                 
   
 
                   
  Corporate and Other Obligations:                    
   
 
                   
   
ALBERTSONS INC
  6.625 01JUN28     44,068       49,151  
   
ALBERTSONS INC
  7.750 15JUN26     85,550       93,274  
   
ALBERTSONS INC
  7.450 01AUG29     325,606       360,642  
   
ALBERTSONS INC
  8.700 01MAY30     9,160       10,281  
   
ALBERTSONS INC
  8.000 01MAY31     245,394       259,607  
   
ALTERNATIVE LN TR
  6.500 25JUN36     894,996       905,218  
   
AMERICAN STORES CO NEW
  8.000 01JUN26     37,283       41,386  
   
AMERICREDIT AUTOMOBILE REC
  3.430 06JUL11     285,387       278,104  
   
ANADARKO PETE CORP
  6.450 15SEP36     513,321       517,237  
   
AT + T CORP ACQUIRED
  8.000 15NOV31     1,370,756       1,367,819  
   
AUSTRIA (REP)
  3.750 03FEB09     46,104       43,867  
   
AVNET INC
  2.000 15MAR34     56,251       59,430  
   
AVNET INC
  6.000 01SEP15     261,745       266,907  
   
AVNET INC
  6.625 15SEP16     215,573       222,687  
   
CD MTG TR
  5.617 15OCT48     984,310       999,090  
   
CHESAPEAKE ENERGRY CORP
  6.500 15AUG17     37,006       38,488  
   
CHESAPEAKE ENERGRY CORP
  6.875 15NOV20     131,276       135,398  
   
CITIZENS COMMUNICATIONS CO
  7.875 15JAN27     570,925       576,635  
   
COLORADO INTST GAS CO
  5.950 15MAR15     59,355       63,130  
   
COLORADO INTST GAS CO
  6.800 15NOV15     15,194       15,353  
   
COLUMBIA HEALTHCARE CORP
  7.500 15DEC23     34,206       36,044  
   
COLUMBIA/HCA HEALTHCARE CORP
  7.580 15SEP25     18,813       20,024  
   
COLUMBIA/HCA HEALTHCARE CORP
  7.690 15JUN25     64,550       69,254  
   
COMCAST CORP NEW
  5.650 15JUN35     805,968       804,181  
   
COMPUTER ASSOC INTL INC
  5.625 01DEC14     1,137,115       1,080,638  
   
CORNING INC
  6.850 01MAR29     25,458       25,610  
   
CORNING INC
  7.250 15AUG36     113,195       121,312  
   
CSC HLDGS INC
  7.875 15FEB18     302,449       304,387  
   
CSC HLDGS INC
  7.625 01APR11     84,821       85,239  
   
CWABS INC
  3.872 25MAR20     210,504       207,406  
   
CWABS INC
  4.615 25FEB35     285,452       276,299  
   
DAIMLERCHRYSLER AUTO TR
  4.200 08JUL10     191,926       189,108  
   
DUKE ENERGY CO
  6.250 15JAN12     198,045       194,743  
   
EL PASO CORP
  6.950 01JUN28     87,614       97,943  
   
EL PASO CORP
  7.420 15FEB37     244,434       278,400  
   
EMBARQ CORP
  7.995 01JUN36     401,132       404,616  

24


 

     
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) December 31, 2006   Schedule I
                         
   
EMBARQ CORP
  7.082 01JUN16     416,331       420,879  
   
ENERGY TRANSFER PARTNERS LP
  6.125 15FEB17     70,630       69,863  
   
ENERGY TRANSFER PARTNERS LP
  6.625 15OCT36     273,529       268,593  
   
ENRON CAP RES L PFD SER A 9% MIP
  Preferred Stock           60  
   
FORD CR AUTO OWNER TR
  4.380 15JAN10     752,994       744,366  
   
FORD MTR CO DEL
  7.450 16AUG31     274,100       278,178  
   
FORD MTR CO DEL
  7.250 25OCT11     302,517       313,284  
   
FORD MTR CO DEL
  7.000 01OCT13     301,502       319,613  
   
FORD MTR CO DEL
  5.700 15JAN10     87,263       94,360  
   
FREESCALE SEMICONDUCTOR INC
  10.125 15DEC16     324,363       325,649  
   
GEN ELEC CAP CORP
  0.550 14OCT08     597,565       591,990  
   
GENERAL ELECTRIC CAPITAL CORPN
  1.000 21MAR12     315,889       306,091  
   
GENERAL ELECTRIC CAPITAL CORPN
  0.750 05FEB09     221,375       214,078  
   
GEORGIA PAC CORP
  7.375 01DEC25     107,314       115,169  
   
GEORGIA PAC CORP
  7.250 01JUN28     164,994       176,642  
   
GEORGIA PAC CORP
  7.750 15NOV29     517,143       549,860  
   
GEORGIA PAC CORP
  8.875 15MAY31     5,303       5,205  
   
GEORGIA PAC CORP
  8.000 15JAN24     9,948       9,991  
   
GERMANY (FED REP)
  3.250 17APR09     231,625       236,966  
   
GOLDMAN SACHS GROUP INC
  5.125 15JAN15     194,776       192,358  
   
HARRAHS OPER INC
  5.750 01OCT17     222,471       193,804  
   
HCA INC
  7.500 06NOV33     11,209       12,034  
   
HONDA AUTO RECEIVABLES
  3.280 18FEB10     723,307       707,001  
   
HONDA AUTO RECEIVABLES OWNERS
  4.030 20DEC10     295,288       289,861  
   
INCYTE CORP
  3.500 15FEB11     64,202       67,250  
   
INTER AMERICAN DEVELOP BANK
  1.900 08JUL09     111,187       110,183  
   
INTERNATIONAL BUSINESS MACHS
  4.250 15SEP09     485,134       481,777  
   
INTERNATIONAL LEASE FIN CORP
  3.500 01APR09     14,114       14,203  
   
INTERNATIONAL LEASE FIN CORP
  4.875 01SEP10     190,055       188,666  
   
INTL LEASE FIN CORP MTN
  5.750 15JUN11     132,716       135,030  
   
INTL LEASE FIN CORP MTN
  5.450 24MAR11     56,982       57,284  
   
INVITROGEN CORP
  1.500 15FEB24     29,445       29,414  
   
J P MORGAN CHASE + CO
  3.625 01MAY08     206,936       197,121  
   
JOHN DEERE OWNER TRUST
  3.980 15JUL09     305,121       302,755  
   
JP MORGAN CHASE COML MTG SECSC
  1.000 15APR45     695,852       730,147  
   
K N ENEGRY INC
  6.670 01NOV27     20,949       22,196  
   
KFW INTERNATIONAL FIN INC
  1.750 23MAR10     1,407,627       1,388,604  
   
KFW INTERNATIONAL FINANCE INC
  2.050 21SEP09     180,598       178,769  
   
KINDER MORGAN ENERGY PARTNERS
  5.800 15MAR35     53,608       58,144  
   
KINDER MORGAN FIN CORP
  5.700 05JAN16     108,429       112,895  
   
KINDER MORGAN FIN CORP
  6.400 05JAN36     494,470       526,578  
   
KINDER MORGAN INC
  6.500 01SEP12     198,808       187,914  
   
KINDER MORGAN INC
  5.150 10MAR15     88,640       92,743  
   
KULICKE + SOFFA INDS INC
  0.500 30NIV08     103,219       104,391  
   
LB COML MTG TR
  4.647 15JUL30     489,684       475,426  
   
LB COML MTG TR
  1.000 15JUN38     89,029       92,145  
   
LB UBS COML MTG TR
  1.000 15MAR39     380,847       388,088  
   
MANDALAY RESORT GROUP
  6.375 15DEC11     255,975       264,447  
   
MERRILL LYNCH MTG INVS INC
  1.000 25FEB35     381,771       385,679  
   
ML CFC MTG TR
  1.000 12JUN46     207,846       215,895  
   
ML CFC MTG TR
  1.000 12FEB39     564,162       564,845  
   
MORGAN STANELY CAP I INC
  4.890 12JUN47     722,491       697,885  
   
MORGAN STANLEY
  4.750 01APR14     194,328       192,939  
   
MORGAN STANLEY CAP I INC
  1.000 25JUL35     233,509       235,092  
   
NAVISTAR FINANCIAL COPR OWNER
  3.530 15OCT12     595,518       578,332  
   
NEKTAR THERAPEUTICS
  3.250 28SEP12     76,898       78,650  
   
NEWS AMER INC
  6.400 15DEC35     160,651       161,352  
   
NISSAN AUTO RECEIVABLES
  5.440 15APR10     629,977       632,841  
   
NORWAY KINGDOM OF
  6.000 16MAY11     128,153       131,032  
   
NORWAY KINGDOM OF
  5.500 15MAY09     274,850       283,512  
   
OESTERREICH KONTROLLBANK
  1.800 22MAR10     26,478       25,455  
   
ONEOK PARTNERS LP
  6.150 01OCT16     140,561       139,830  
   
ONEOK PARTNERS LP
  6.650 01OCT36     324,979       317,151  
   
OWENS CORNING REORG INC
  7.000 01DEC36     192,979       198,800  
   
PITNEY BROWES INC GLOBAL
  5.250 15JAN37     792,200       785,725  
   
RAILI TR
  5.750 25SEP21     913,760       915,864  
   
RALI SER 2006 QS6 TR
  6.000 25JUN21     462,270       459,587  
   
RESIDENTIAL CAP CORP
  6.875 30JUN15     195,112       193,889  
   
RESIDENTIAL CAP CORP
  6.500 17APR13     1,358,204       1,371,671  
   
ROGERS WIRELESS INC
  6.375 01MAR14     533,649       568,095  
   
ROYAL CARIBBEAN CRUISES LTD
  7.500 15OCT27     285,168       279,686  
   
SARA LEE CORP
  6.125 01NOV32     216,342       222,667  
   
SOUTHERN NAT GAS CO
  7.350 15FEB31     222,426       254,628  
   
SPRINT CAP CORP
  6.875 15NOV28     1,229,560       1,226,755  
   
ST PAUL TRAVEL COS INC
  6.750 20JUN36     33,926       38,081  
   
TELEFONICA EMISIONS S A U
  7.045 20JUN36     1,235,364       1,312,162  
   
TENNESSEE GAS PIPELINE CO
  7.000 15OCT28     53,817       57,165  
   
TIME WARNER INC
  6.625 15MAY29     510,635       488,484  

25


 

     
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)   Schedule I
December 31, 2006    
                         
   
TIME WARNER INC NEW
  6.500 15NOV36     335,016       328,217  
   
TOLEDO EDISON CO
  6.150 15MAY37     137,603       135,656  
   
TOYOTA MOTOR CREDIT CORP
  0.750 09JUN08     58,654       57,876  
   
UNITED HEALTH GROUP INC
  5.250 15MAR11     170,252       171,672  
   
USAA AUTO OWNER TR
  3.530 15JUN11     875,835       858,679  
   
VALE OVERSEAS LTD
  6.875 21NOV36     499,227       519,943  
   
VALERO ENEGRY CORP
  4.750 15JUN13     197,182       191,347  
   
VIACOM INC
  6.875 30APR36     334,091       335,758  
   
WAL MART STORES INC
  5.250 01SEP35     417,923       402,249  
   
WAMU MTG PASS THROUGH CTFS
  1.000 25AUG35     286,952       288,926  
   
WASHINGTON MUT MTG SECS CORP
  1.000 25MAR35     187,827       189,509  
   
WEATHERFORD INTL LTD
  6.500 01AUG36     465,120       454,555  
   
WELLS FARGO MTG BKD SECS
  1.000 25OCT35     921,020       923,780  
   
WESTRN UN CO
  5.930 01OCT16     344,393       341,225  
   
WFS FINL 2004 4 OWNER TR
  2.980 17SEP09     194,452       192,755  
   
WFS FINL 2004 4 OWNER TR
  3.440 17MAY12     290,374       283,765  
   
XEROX CORP
  6.400 15MAR16     587,319       621,257  
   
XTO ENERGY INC
  6.100 01APR36     89,892       96,065  
   
 
                 
   
 
                   
   
Corporate and Other Obligations
              $ 42,547,956  
   
 
                 
   
 
                   
  Synthetic Guaranteed Investment Contracts:                    
   
 
                   
   
Cash and Cash Equivalents
                   
   
FEDERAL HOME LN BK CONS DSC DISC NTS
  0.010 28FEB07     4,128,485       4,141,528  
   
FEDERAL HOME LN BK CONS DSC NT DISC NTS
  0.010 07FEB07     676,870       676,870  
   
GENERAL ELEC CAP CORP
  5.25 16JAN07 DTC MMI Generic CUSIPS     2,980,039       2,980,039  
   
SOCIETE GENERALE NORTH AMER
  5.245 08JAN07 DTC MMI Generic St Cusip     288,396       288,396  
*  
STATE STREET BANK & TRUST CO.
  Short-Term Investment Fund     14,326,469       14,326,469  
   
UBS FIN DEL LLC DISC COML3/A3
  5.270 02JAN07 DTC MMI Generic St Cusip     2,347,892       2,347,892  
   
 
                 
   
 
                   
   
 
                24,761,194  
   
 
                 
   
 
                   
   
U.S. Government and Government Agency Issues
                   
   
CREDIT SUISSE FIRST BOSTON MTG 2005
  1.000 25JAN36     342,599       338,801  
   
FED HM LN BKS
  05Oct07 CONS BD     985,001       1,029,465  
   
FED HM LN BKS
  4.25 16MAY08 TRANCHE TR     573,356       580,357  
   
FED HM LN BKS
  5.00 29FEB08 PREASSIGN 00721     610,867       615,149  
   
FED HM LN MTG PC GTD
  6.50 15AUG08 SER 1563 CL     101,477       98,802  
   
FED HM LN PC POOL
  4.00 01MAY14     904,886       897,654  
   
FED HM LN PC POOL
  4.50 01NOV13     249,179       249,551  
   
FED HM LN PC POOL
  4.50 01AUG18     1,222,596       1,244,593  
   
FED HM LN PC POOL
  5.0 01SEP09     785,434       774,625  
   
FED HM LN PC POOL
  4.00 01AUG13     379,114       372,376  
   
FED HM LN PC POOL
  3.500 01SEP10     91,515       92,174  
   
FED HM LN PC POOL
  4.000 01OCT09     133,752       128,764  
   
FED HM LN PC POOL
  4.000 01NOV09     341,593       330,529  
   
FED HM LN PC POOL
  4.000 01JAN10     382,993       370,965  
   
FED HM LN PC POOL A35931
  4.500 01JUL35     441,442       436,554  
   
FED HM LN PC POOL A37435
  4.500 01SEP353     90,436       89,434  
   
FED HM LN PC POOL A46675
  4.500 01AUG35     642,648       635,374  
   
FED HM LN PC POOL A47055
  4.500 01SEP35     775,427       768,424  
   
FED HM LN PC POOL E01343
  5.000 01APR18     1,065,054       1,016,265  
   
FED HM LN PC POOL E01377
  4.500 01MAY18     1,991,442       1,867,605  
   
FED HM LN PC POOL G01843
  6.000 01JUN35     3,112,734       3,066,468  
   
FED HM LN PC POOL G01953
  4.500 01OCT35     897,806       887,644  
   
FED HM LN PC POOL G08119
  4.500 01JAN36     271,877       273,020  
   
FED HM LN POOL 1J1214
  1.00 01SEP35     736,989       739,803  
   
FED HM LN POOL B16497
  5.500 01SEP19     640,640       620,022  
   
FED NATL MTG ASSN
  5.503 25SEP11 PREASN 00664 SER 2001 T11 CL     437,548       434,398  
   
FEDERAL HOME LN BK CONS DSC NT DISC NTS
  0.010 14FEB07     596,591       596,591  
   
FEDERAL HOME LN MTG
  3.500 15JUN17     200,010       198,486  
   
FEDERAL HOME LN MTG
  5.00 15 JUL 25     1,631,611       1,647,541  
   
FEDERAL HOME LN MTG
  5.125 24OCT07     2,745,237       2,747,554  
   
FEDERAL HOME LN MTG COPR
  6.000 15JUL27     239,074       249,630  
   
FEDERAL HOME LN MTG CORP
  6.000 15FEB11     832,142       896,822  
   
FEDERAL HOME LN MTG PC GTD
  4.500 15NOV07     44,918       50,626  
   
FEDERAL HOME LN MTG PC GTD
  6.000 15NOV22     308,701       335,064  
   
FEDERAL HOME LOAN MTG
  5.875 15MAY16     947,638       950,901  
   
FEDERAL NATL MTG ASSN
  4.75 03AUG07 PREASSIGN 00516     448,664       448,836  
   
FEDERAL NATL MTG ASSN
  22JAN08     1,349,428       1,411,594  
   
FEDERAL NATL MTG ASSN
  1.00 25MAY30     4,380,732       4,398,708  
   
FEDERAL NATL MTG ASSN
  4.768 25APR12     517,290       505,814  
   
FEDERAL NATL MTG ASSN
  5.139 25DEC11     581,502       564,645  
   
FEDERAL NATL MTG ASSN DISC NTS
  0.010 11JAN07     6,837,701       6,837,701  

26


 

     
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2006
  Schedule I
                         
   
FEDERAL NATL MTG ASSN REMIC
  5.703 25MAY11     744,129       700,087  
   
FEDERAL NATL MTG ASSN REMIC
  6.088 25MAY11     1,095,633       966,962  
   
FINANCING CORP CPN FICO STRIPS
  03JUL07 SER 15 INT Pmt on 9.65     443,391       470,137  
   
FINANCING CORP CPN FICO STRIPS
  06APR07 GENERIC INT PMT     748,735       810,598  
   
FNMA
  5.50 01DEC99     3,897,245       3,868,949  
   
FNMA
  5.500 01DEC99     3,332,170       3,312,788  
   
FNMA POOL 125420
  5.500 01MAY11     25,020       26,249  
   
FNMA POOL 254088
  5.500 01DEC16     179,330       182,932  
   
FNMA POOL 254140
  5.500 01JAN17     528,208       535,919  
   
FNMA POOL 254503
  5.000 01OCT09     1,344,095       1,345,506  
   
FNMA POOL 254693
  5.500 01APR33     1,168,595       1,147,093  
   
FNMA POOL 254722
  5.500 01MAY18     1,142,796       1,100,445  
   
FNMA POOL 254753
  4.000 01MAY10     432,677       416,372  
   
FNMA POOL 255765
  5.500 01JUL20     360,074       361,848  
   
FNMA POOL 255770
  5.500 01JUL35     831,097       814,730  
   
FNMA POOL 255804
  4.500 01JUL20     764,904       768,663  
   
FNMA POOL 256101
  5.500 01FEB36     3,733,325       3,726,935  
   
FNMA POOL 256114
  4.500 01JAN21     173,643       174,497  
   
FNMA POOL 256269
  5.500 01JUN36     3,149,131       3,176,208  
   
FNMA POOL 313709
  1.000 01JUN07     17,268       16,084  
   
FNMA POOL 323348
  8.500 01JUN12     29,176       28,487  
   
FNMA POOL 323586
  5.50 01FEB14     686,506       697,136  
   
FNMA POOL 343347
  5.500 01APR11     229,932       236,083  
   
FNMA POOL 357797
  5.500 01JUN35     2,270,080       2,236,002  
   
FNMA POOL 357886
  5.500 01JUL35     939,063       938,900  
   
FNMA POOL 386255
  3.530 01JUL10     505,455       500,090  
   
FNMA POOL 386284
  3.640 01JUN10     474,515       460,833  
   
FNMA POOL 456654
  5.500 01FEB14     119,266       115,062  
   
FNMA POOL 545696
  6.00 01JUN22     877,258       853,797  
   
FNMA POOL 545904
  5.500 01SEP17     951,460       920,368  
   
FNMA POOL 555541
  1.00 01APR33     466,240       466,203  
   
FNMA POOL 555677
  5.500 01JUL33     3,415,503       3,352,661  
   
FNMA POOL 623505
  6.00 01DEC11     599,530       577,885  
   
FNMA POOL 722999
  5.000 01JUL18     2,312,665       2,252,225  
   
FNMA POOL 725423
  5.500 01MAY34     988,300       969,140  
   
FNMA POOL 725424
  5.500 01APR34     515,259       505,818  
   
FNMA POOL 725690
  6.000 01AUG34     390,067       383,405  
   
FNMA POOL 725946
  5.500 01NOV34     5,813,098       5,756,173  
   
FNMA POOL 735224
  5.500 01FEB35     2,538,960       2,492,535  
   
FNMA POOL 735227
  5.500 01FEB35     375,448       368,315  
   
FNMA POOL 735230
  5.500 01FEB35     1,641,698       1,609,262  
   
FNMA POOL 735654
  1.00 01OCT44     447,919       450,909  
   
FNMA POOL 735897
  5.500 01OCT35     1,441,798       1,432,380  
   
FNMA POOL 743132
  5.000 01OCT18     2,288,540       2,227,026  
   
FNMA POOL 745054
  1.000 01SEP35     546,107       557,684  
   
FNMA POOL 745179
  5.000 01APR19     2,072,197       2,074,991  
   
FNMA POOL 745275
  5.000 01FEB36     3,387,745       3,388,978  
   
FNMA POOL 745336
  5.00 01MAR36     11,125,370       11,161,937  
   
FNMA POOL 745408
  6.500 01JAN36     431,995       431,022  
   
FNMA POOL 745428
  5.500 01JAN36     2,439,601       2,439,178  
   
FNMA POOL 745569
  4.00 01NOV13     689,184       693,895  
   
FNMA POOL 745571
  4.00 01JAN19     2,212,628       2,246,726  
   
FNMA POOL 759866
  5.500 01FEB34     535,696       525,839  
   
FNMA POOL 786225
  5.00 01JUL19     356,908       351,585  
   
FNMA POOL 791404
  5.00 01OCT19     310,790       301,766  
   
FNMA POOL 795547
  1.000 01SEP34     488,003       490,343  
   
FNMA POOL 803281
  4.500 01DEC19     25,781       25,936  
   
FNMA POOL 808277
  5.500 01AUG35     504,204       494,524  
   
FNMA POOL 814836
  1.000 01APR35     184,547       185,558  
   
FNMA POOL 815039
  5.500 01MAY35     449,094       440,472  
   
FNMA POOL 816048
  4.500 01MAR20     148,950       149,682  
   
FNMA POOL 821398
  5.500 01MAY35     657,979       645,275  
   
FNMA POOL 822298
  1.000 01MAY36     170,789       172,394  
   
FNMA POOL 823293
  5.500 01JUL35     519,155       509,187  
   
FNMA POOL 824480
  4.500 01MJUN20     211,714       212,755  
   
FNMA POOL 825308
  5.500 01MAY35     489,992       480,737  
   
FNMA POOL 825803
  5.500 01SEP35     780,787       765,411  
   
FNMA POOL 826522
  5.500 01JUL35     517,223       507,453  
   
FNMA POOL 826527
  4.500 01JUL20     682,076       685,428  
   
FNMA POOL 827759
  1.000 01JUL35     478,804       481,442  
   
FNMA POOL 830735
  5.500 01JUL35     398,273       390,430  
   
FNMA POOL 830763
  5.500 01AUG35     433,540       425,137  
   
FNMA POOL 830784
  5.500 01AUG35     933,615       915,519  
   
FNMA POOL 830953
  5.500 01AUG35     1,349,172       1,322,603  
   
FNMA POOL 831540
  6.000 01JUN36     2,441,137       2,455,939  
   
FNMA POOL 831679
  6.500 01JUN36     2,465,811       2,471,369  
   
FNMA POOL 832213
  4.500 01JUL20     374,123       375,992  
   
FNMA POOL 833036
  4.500 01SEP20     393,413       395,347  

27


 

     
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2006
  Schedule I
                         
   
FNMA POOL 833350
  5.500 01AUG35     932,717       914,349  
   
FNMA POOL 835164
  5.500 01AUG35     907,061       889,480  
   
FNMA POOL 835268
  5.500 01AUG35     505,548       495,842  
   
FNMA POOL 835687
  5.500 01NOV34     350,366       343,710  
   
FNMA POOL 837220
  4.500 01AUG20     6,999,560       6,965,661  
   
FNMA POOL 837578
  4.500 01AUG20     864,128       868,376  
   
FNMA POOL 837589
  5.500 01SEP34     458,437       449,728  
   
FNMA POOL 841068
  1.00 01NOV34     1,272,054       1,271,673  
   
FNMA POOL 844915
  4.500 01NOV20     50,145       50,392  
   
FNMA POOL 848647
  5.500 01JAN36     2,208,709       2,210,771  
   
FNMA POOL 869087
  5.500 01MAY36     468,126       471,680  
   
FNMA POOL 872502
  1.000 01JUN36     456,101       457,052  
   
FNMA POOL 879131
  5.000 01JUN21     280,895       286,593  
   
FNMA POOL 879394
  5.000 01FEB21     296,076       300,086  
   
FNMA POOL 879600
  5.000 01MAR21     516,315       523,308  
   
FNMA POOL 880626
  5.500 01APR36     6,385,623       6,447,468  
   
FNMA POOL 881670
  1.000 01MAR36     622,196       630,584  
   
FNMA POOL 883573
  5.000 01MAY21     319,405       323,772  
   
FNMA POOL 884032
  6.500 01MAY36     2,368,066       2,371,946  
   
FNMA POOL 888016
  0.010 01JUL36     4,456,100       4,456,372  
   
FNMA TBA JAN 30 SINGLE FAM
  6.000 01DEC99     7,253,263       7,217,210  
   
FNMA TBA JAN 30 SINGLE FAM
  6.500 01DEC99     3,863,103       3,854,236  
   
FREDDIE MAC
  1.00 15DEC29     96,871       97,299  
   
GNMA I TBA JAN 30 SINGLE FAM
  6.000 01DEC99     1,545,199       1,543,059  
   
GNMA II TBA JAN 30 JUMBOS
  6.000 01DEC99     1,453,750       1,450,613  
   
GNMA POOL 654906
  6.000 15APR36     2,276,136       2,303,553  
   
GOV NATL MTG ASSN
  3.022 16JAN19     204,827       201,558  
   
GOVERNMENT NATIONAL MTGE ASSOC
  3.947 06OCT11     1,216,848       1,216,854  
   
GOVERNMENT NATL MTG ASSN
  2.914 16JUN18     178,998       174,851  
   
GOVERNMENT NATL MTG ASSN
  3.607 16AUG18     144,993       142,355  
   
GOVERNMENT NATL MTG ASSN
  4.145 16FEB18     643,801       631,338  
   
GOVERNMENT NATL MTG ASSN
  4.044 16MAY21     185,427       181,438  
   
GOVERNMENT NATL MTG ASSN
  4.385 16AUG30     339,175       336,698  
   
GOVERNMENT NATL MTG ASSN
  4.016 16JUL27     244,079       242,438  
   
GOVERNMENT NATL MTG ASSN
  4.045 16JUL20     499,030       491,194  
   
GOVERNMENT NATL MTG ASSN
  4.015 16NOV10     468,320       459,397  
   
GOVERNMENT NATL MTG ASSN
  4.449 16MAR25     622,687       624,173  
   
GOVERNMENT NATL MTG ASSN
  4.241 16JUL29     393,875       392,811  
   
GOVERNMENT NATL MTG ASSN
  2.712 16FEB20     482,162       469,092  
   
GOVERNMENT NATL MTG ASSN
  3.206 16APR18     203,630       198,946  
   
GOVERNMENT NATL MTG ASSN
  3.110 16JAN19     336,634       324,377  
   
GOVERNMENT NATL MTG ASSN
  2.822 16DEC19     439,998       435,734  
   
GOVERNMENT NATL MTG ASSN
  2.946 16MAR19     957,377       958,346  
   
GOVERNMENT NATL MTG ASSN
  3.084 16MAR22     326,014       319,350  
   
GOVERNMENT NATL MTG ASSN
  4.248 16JUL29     542,194       542,148  
   
GOVERNMENT NATL MTG ASSN GTD
  3.760 16SEP28     438,004       439,169  
   
GOVERNMENT NATL MTG ASSN GTD
  4.212 16JAN28     539,006       537,362  
   
GOVERNMENT NATL MTG ASSN GTD
  4.045 16OCT23     112,227       112,036  
   
GOVERNMENT NATL MTG ASSN GTD
  4.201 16AUG26     1,092,912       1,097,062  
   
GOVERNMENT NATL MTG ASSN GTD
  3.772 16JUN25     1,113,592       1,120,888  
   
GOVERNMENT NATL MTG ASSN GTD
  4.087 16JAN30     308,117       307,240  
   
GOVERNMENT NATL MTG ASSN GTD
  3.888 16JUL26     617,172       616,086  
   
GVNMT NATL MTG ASSN REMIC MTG
  3.377 16JAN23     88,000       85,013  
   
UNITED STATE TREAS BDS
  8.75 15AUG20     2,880,373       2,869,269  
   
UNITED STATE TREAS NTS
  4.625 31MAR08     4,864,751       4,859,038  
   
UNITED STATE TREAS NTS
  4.875 30APR08     4,851,229       4,846,090  
   
UNITED STATE TREAS NTS
  5.00 31JUL08     2,527,363       2,524,703  
   
UNITED STATES TREAS BDS
  8.875 15AUG17     1,401,836       1,309,456  
   
UNITED STATES TREAS BDS
  8.125 15MAY21     1,247,127       1,173,004  
   
UNITED STATES TREAS BDS
  8.750 15MAY17     3,968,003       3,936,810  
   
UNITED STATES TREAS BDS
  6.250 15MAY30     2,305,996       2,332,137  
   
UNITED STATES TREAS BDS
  4.500 15APR36     5,858,787       5,743,261  
   
UNITED STATES TREAS NTS
  3.375 15JAN07     251,542       248,971  
   
UNITED STATES TREAS NTS
  3.625 15JAN08     248,156       247,192  
   
UNITED STATES TREAS NTS
  3.875 15JAN09     252,602       247,563  
   
UNITED STATES TREAS NTS
  4.250 15JAN10     892,186       865,159  
   
UNITED STATES TREAS NTS
  3.875 15FEB13     1,837,344       1,873,678  
   
UNITED STATES TREAS NTS
  4.25 15AUG14     1,063,531       1,045,202  
   
UNITED STATES TREAS NTS
  5.125 15MAY16     1,204,209       1,209,918  
   
UNITED STATES TREAS NTS
  5.125 30JUN11     995,953       995,380  
   
UNITED STATES TREAS NTS
  3.875 15FEB13     252,626       257,631  
   
UNITED STATES TREAS NTS
  3.000 15JUL12     3,459,918       3,482,891  
   
UNITED STATES TREAS NTS
  2.000 15JAN16     1,207,950       1,182,188  
   
UNITED STATES TREAS NTS
  4.875 15MAY09     657,631       662,177  
   
UNITED STATES TREAS NTS
  5.125 15MAY16     2,867,089       2,823,143  
   
UNITED STATES TREAS NTS
  5.125 30JUN08     339,674       338,762  
   
UNITED STATES TREAS NTS
  4.875 15AUG16     3,236,155       3,219,325  
   
UNITED STATES TREAS NTS
  4.625 31AUG11     14,585       14,636  

28


 

     
     
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2006
  Schedule I
                         
   
UNITED STATES TREAS NTS
  4.500 30SEP11     2,347,135       2,323,768  
   
UNITED STATES TREAS NTS
  4.625 15NOV16     88,393       87,519  
   
UNITED STATES TREAS NTS
  4.500 30NOV11     7,920,394       7,829,060  
   
UNITED STATES TREAS NTS
  2.625 15MAY08     3,504,681       3,537,440  
   
UNITED STATES TREAS NTS
  4.500 15FEB16     5,219,544       5,235,319  
   
 
                 
   
 
                   
   
 
                259,899,017  
   
 
                 
   
 
                   
   
Corporate and Other Obligations
                   
   
ACCREDITED MTG LN TR
  1.000 25APR36     223,916       223,916  
*  
AEGON FDG CORP
  5.750 15DEC20     493,880       499,632  
   
AETNA INC
  7.875 01MAR11     2,019,184       1,926,073  
   
AIG SUNAMERICA GLOBAL FING XII
  5.300 30MAY07 SR NT 144A     316,173       293,535  
   
ALLSTATE LIFE GLOBAL FDG I
  4.250 10SEP08 TRANCHE SR 00002 144A     518,244       496,221  
   
AMB PPTY L P
  7.100 30JUN08     1,955,647       2,001,906  
   
AMERADA HESS CORP
  6.650 15AUG11     606,825       616,654  
   
AMERADA HESS CORP
  6.650 15AUG11     298,723       285,394  
   
AMERICAN ELEC PWR INC
  5.250 01JUN15     303,329       315,339  
   
AMERICAN GEN FIN CORP MTN
  2.750 15JUN08     978,362       944,850  
   
AMERICAN GEN FIN CORP MTN
  4.875 15MAY10     236,169       237,153  
   
AMERICAN INTL GROUP
  2.875 15MAY08     1,070,793       1,041,777  
   
AMERICAN INTL GROUP INC
  2.875 15MAR08 Global SR VT     1,189,600       1,183,128  
   
AMERICAN INTL GROUP INC
  5.050 15OCT15     285,815       285,546  
   
AMERICREDIT AUTO RECEIVABLES
  4.260 06MAY09     1,198,617       1,196,412  
   
AMERICREDIT AUTOMOBILE REC TR
  3.430 06JUL11     489,301       476,815  
   
AMGEN INC
  4.00 18NOV09 SR NT     205,506       568,689  
   
AMOCO CORP
  6.500 01AUG07     515,831       457,661  
   
AMVESCAP
  5.90 15JAN07 SR NT     427,555       425,887  
   
AMVESCAP PLC
  5.375 27FEB13     421,161       416,549  
   
ANADARKO PETE CORP
  5.950 15SEP16     653,063       657,210  
   
AOL TIME WARNER INC
  6.750 15APR11     596,262       563,574  
   
ARCHSTONE SMITH OPER TR
  5.250 01MAY15     98,371       96,044  
   
ARCHSTONE SMITH TR
  5.000 15AUG07     365,983       366,142  
   
ARDEN RTLY LTD PARTNERSHIP
  5.200 01SEP11     254,255       253,993  
   
ASSOCIATES CORP NORTH AMER
  6.250 01NOV08     976,267       993,870  
   
ASSURANT INC
  5.625 15FEB14     195,551       195,242  
   
ASSURANT INC
  6.750 15FEB34     357,948       341,810  
   
AT + T CORP
  7.300 15NOV11     470,036       476,905  
   
AT + T INC
  1.000 15MAY08     195,772       195,876  
   
AT + T WIRELESS SVCS INC
  8.750 01MAR31     208,776       222,616  
   
AT+T WIRELESS SVCS INC
  7.500 01MAY07     341,858       344,676  
   
AT+T WIRELESS SVCS INC
  7.875 01MAR11     183,267       192,188  
   
AVALOBAY CMNTYS
  5.000 01AUG07     136,958       131,771  
   
BALL CORP
  6.875 15DEC12     79,190       79,875  
*  
BANC AMER COML MTG INC
  5.334 10SEP45     659,137       657,935  
*  
BANC AMER COML MTG INC
  4.161 10DEC42     550,920       532,628  
*  
BANC AMER COML MTG INC
  5.787 11MAY35     356,930       360,079  
*  
BANC AMER COML MTG INC
  4.128 10AUG42     423,025       409,205  
*  
BANC AMER COML MTG INC
  4.247 10JUL43     464,959       459,142  
*  
BANK AMER COPR
  3.875 15JAN08     1,801,277       1,735,371  
*  
BANK AMER CORP
  5.42 15MAR17 NT 144A     569,183       607,050  
*  
BANK AMER CORP
  4.500 01AUG10     640,212       626,820  
*  
BANK AMER CORP
  5.420 15MAR17     687,192       582,768  
*  
BANK AMER FDG CORP
  4.117 25MAY35 2005 D MTG PASSTHRU CTF CL A1     463,219       460,846  
   
BANK BANK ONE TEX NA MT
  6.25 15FEB08 NTS TRANCHE SB     548,619       568,145  
   
BANKBOSTON NA MTN
  6.375 25MAR08     488,067       495,245  
   
BAYVIEW FINL SECS CO LLC
  1.000 28DEC35     455,149       452,824  
   
BAYVIEW FINL SECS CO LLC
  5.208 28APR39     440,474       430,768  
   
BEAR STREANS COML MTG SECS INC 2003
  4.240 13AUG39     428,137       412,015  
   
BEAR STREANS
  5.533 12OCT41     595,435       599,240  
   
BEAR STREANS ALT A TR
  1.000 25FEB36     576,293       573,241  
   
BEAR STREANS ALT A TR
  1.000 25MAR36     458,089       458,249  
   
BEAR STREANS ALT A TR
  1.000 25MAY36     276,599       277,581  
   
BEAR STREANS ALT A TR
  1.000 25JAN36     420,914       421,179  
   
BEAR STREANS COML MTG SECS INC
  1.000 12OCT42     615,130       608,682  
   
BEAR STREANS COML MTG SECS TR
  1.000 11SEP38     221,444       225,610  
   
BEAR STREANS COML MTG SECS TR
  5.518 11SEP41     127,946       128,685  
   
BEAR STREANS COMMERICAL MTG
  5.171 01DEC38     1,062,934       1,046,839  
   
BEAR STREANS COS INC
  3.250 25MAR09     609,537       610,398  
   
BEAR STREANS COS INC
  5.500 15AUG11     487,517       494,253  
   
BERKSHIRE HATHAWAY FIN CORP
  4.125 15JAN10 GTD SR NT     266,745       535,911  
   
BERKSHIRE HATHAWAY FIN CORP
  4.200 15DEC10     269,260       259,749  
   
BHP BILLITON FIN USA LTD
  4.800 15APR13     415,558       402,684  
   
BMW VEH Owner Tr
  4.28 25FEB10 2005 Asset BKD NT CL A4     725,910       202,670  
   
BOEING CAP CORP
  6.500 15FEB12 SR NT     440,634       264,489  
   
BOEING CAP CORP
  7.375 27SEP10     458,868       430,270  
   
BOEING CAP
  5.125 15FEB13 NT     464,946       441,299  

29


 

     
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2006
  Schedule I
                         
   
BOSTON PPTYS LTD PARTNERSHIP
  6.250 15JAN13     305,666       305,618  
   
BOSTON PPTYS LTD PARTNERSHIP
  5.000 01JUN15     161,160       159,967  
   
BOSTON PPTYS LTD PARTNERSHIP
  5.625 15APR15     127,122       127,705  
   
BOSTON SCIENTIFIC CORP
  6.000 15JUN11     630,791       638,660  
   
BRANDYWINE OPER PARTNERSHIP
  1.000 01APR09     195,772       195,772  
   
BRITISH SKY BROADCASTING GROUP
  6.875 23FEB09     64,373       60,461  
   
BRITISH SKY BROADCASTING GROUP
  8.200 15JUL09     1,050,307       938,063  
   
BRITISH TELECOMMUNICATIONS PLC NT
  1.000 15DEC10     333,763       316,802  
   
BSKYN FIN U K PLC
  5.625 15OCT15     256,944       254,053  
   
BURLINGTON NORTHN SANTA FE
  7.875 15APR07 NT     544,673       493,088  
   
C BASS SER 2006 CB2 TR
  1.000 25DEC36     89,660       89,395  
   
C BASS TR
  1.000 25NOV35     298,552       296,689  
   
CADBURY SCHWEEPES
  3.875 01OCT08 GTD SR NOTE     711,813       705,779  
   
CAPCO AMER SECURITIAZATION CORP MTG
  6.260 15OCT30     900,552       861,559  
   
CAPITAL AUTO REC AST TR
  5.23 15FEB09 2006 ASSET BKD CTF     660,670       464,450  
   
CAPITAL AUTO RECEIVABLES
  5.03 15OCT09 2006 ASSET BKD NT     459,980       658,770  
   
CAPITAL AUTO RECEIVABLES ASSET
  3.580 15JAN09     1,326,144       1,311,189  
   
CAPITAL AUTO RECEIVABLES ASSET
  3.750 15JUL09     92,969       91,327  
   
CAPITAL AUTO RECEIVABLES ASSET
  2.640 17NOV08     548,008       541,541  
   
CAPITAL AUTO RECEIVABLES ASSET 2005
  4.100 15JUN08     367,336       366,450  
   
CAPITAL ONE BK
  5.125 15FEB14     655,506       673,914  
   
CAPITAL ONE MULTI ASSET
  4.40 15AUG11 2005 NT CL A     538,324       454,458  
   
CAPITAL ONE PRIME AUTO RECEIV
  4.320 15AUG09     714,485       710,615  
   
CARNIVAL CORP
  3.750 15NOV07     243,856       241,400  
   
CAROLINA PWR + LT CO
  6.500 15JUL12     1,134,935       1,066,744  
   
CAROLINA PWR + LT CO
  6.500 15JUL12     204,735       210,272  
   
CARRINGTON MTG LN TR
  1.000 25MAY36     202,976       202,990  
   
CATERPILLAR FINL TR
  5.57 25MAY10 SER 2006 A NT CL     193,692       539,467  
   
CENTEX CORP
  5.450 15AUG12     172,780       177,220  
   
CENTEX HOME EQUITY LN TR
  1.000 25JUN36     157,502       157,505  
   
CHASE COML MTG SECS CORP
  7.370 19JUN29     420,788       391,815  
   
CHASE COML MTG SECS CORP
  6.600 19DEC29     383,178       344,775  
   
CHASE INSSUANCE
  3.22 15JUN10 2004 NT CL     240,969       192,652  
   
CHASEFLEX TRUST
  1.000 25SEP46     209,531       209,318  
   
CHEVRONTEXACO CAP CO
  3.500 17SEP07     765,677       749,717  
   
CHEVY CHASE BK FSB
  6.875 01DEC13     198,858       195,772  
   
CHUBB CORP
  5.472 16AUG08     562,120       564,328  
   
CINGULAR WIRELESS
  7.125 15DEC31 SR NT     779,479       244,975  
   
CISCO SYS INC
  5.250 22FEB11     107,469       107,945  
   
CIT GROUP FDG CO CDA
  5.600 02NOV11     322,931       325,324  
   
CIT GROUP INC
  7.750 02APR12     186,704       172,672  
   
CIT GROUP INC
  4.750 15AUG08     400,968       397,926  
   
CIT GROUP INC REORGANIZED
  3.875 03NOV08     2,044,077       2,006,102  
*  
CITIBANK CR CARD ISSUANCE
  3.10 10MAR10 SER 2003 A3 NT     1,148,801       1,145,268  
*  
CITIBANK CR CARD ISSUANCE
  2.90 17MAY10 2003 A 6 CL A6 NT     498,746       1,138,477  
*  
CITICORP RESIDENTIAL MTG TR
  1.000 25SEP36     494,983       493,442  
*  
CITICORP RESIDENTIAL MTG TR
  1.000 25SEP36     1,223,540       1,221,473  
*  
CITIFINANCIAL MTG SECS INC
  3.360 25JAN33     125,956       119,133  
*  
CITIGROUP COML MTG TR
  1.000 15APR40     649,405       650,626  
*  
CITIGROUP INC
  6.00 31OCT33 GLOBAL SUB NT     1,159,859       802,935  
*  
CITIGROUP INC
  4.625 03AUG10     293,620       288,400  
*  
CITIGROUP MTG LM TR
  1.000 25AUG35     513,887       499,335  
*  
CITIGROUP MTG LM TR
  1.000 01MAR36     140,180       139,780  
*  
CITIGROUP MTG LN TR
  1.000 25MAY35     615,733       616,720  
*  
CITIGROUP MTG LN TR
  1.000 25MAR36     754,034       754,170  
*  
CITIGROUP RESIDENTAL MTG TR
  1.000 25JUL36     1,025,419       1,025,165  
*  
CITIGROUP/DEUTSCHE BANK
  5.408 15JAN46     457,442       457,874  
*  
CITIGROUP/DEUTSCHE BANK
  5.408 15JAN46     196,749       196,935  
   
CITY NATL CORP
  5.125 15FEB13     238,231       234,860  
   
COCA COLA ENTERPRISES INC
  8.500 01FEB22     139,008       155,219  
   
COLONIAL BK MONTGOMERY AL
  8.000 15MAR09     88,398       86,557  
   
COLONIAL BK NATL ASSN
  6.375 01DEC15     273,992       276,200  
   
COLONIAL RLTY LTD PARTNERSHIP
  4.750 01FEB10     195,762       190,378  
   
COMCAST
  6.50 15JAN17 NT     403,698       408,838  
   
COMCAST CABLE COMM INC
  6.875 15JUN09     260,935       248,082  
   
COMCAST CORP NEW
  5.650 15JUN35     765,732       764,152  
   
COMCAST CORP NEW
  5.850 15NOV15     1,555,985       1,548,800  
   
COMCAST CORP NEW
  5.500 15MAR11     470,571       462,005  
   
COMCAST CORP NEW
  5.500 15MAR11     155,918       157,278  
   
COMCAST CORP NEW
  6.500 15JAN17     259,484       255,366  
   
CORNED TRANSITIONAL FDG
  5.63 25JUN09 SER 1998 NT CL     739,579       481,045  
   
COMEO TRANSITIONAL FDG
  5.74 25DEC10 SER 1998 NT CL     739,579       679,513  
   
COMMERICIAL NET LEASE RLTY INC
  6.150 15DEC15     175,737       178,147  
   
COMPASS BK BIRMINGHAM AL
  5.500 01APR20     416,995       417,712  
   
CONAGRA INC
  7.875 15SEP10     120,001       114,405  
   
CONOCO FDG CO
  6.350 15OCT11     811,671       762,393  
   
CONOCOPHILLIPS CDA FDG
  5.95 15OCT 36 NT     141,560       143,725  
   
CONOCOPHILLIPS CDA FDG CO I
  5.625 15OCT16     734,087       737,636  

30


 

     
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2006
  Schedule I
                         
   
CONSOLIDATED EDISON CO NY INC
  5.300 01DEC16     780,865       771,540  
   
CONSUMERS ENERGY CO
  5.375 15APR13     322,604       300,510  
   
COORS BREWING CO
  6.375 15MAY12     405,086       400,111  
   
CORNING INC
  6.200 15MAR16     169,528       169,421  
   
COUNTRYWIDE BK ALEXANDRIA
  CTF DEP 1.00 25APR07     489,382       489,435  
   
COUNTRYWIDE FDG CORP MTN
  4.000 22MAR11     331,445       315,959  
   
COUNTRYWIDE FDG CORP MTN
  4.000 22MAR11     234,117       227,676  
   
COUNTRYWIDE FINL CORP
  1.000 05JAN09     978,861       978,635  
   
COVENTRY HEALTH CARE INC
  5.875 15JAN12     290,601       280,278  
   
COX COMMUNICATIONS INC NEW
  5.450 15DEC14     1,326,334       1,335,095  
   
CREDIT SUIS USA
  5.500 16AUG11     677,730       687,723  
   
CREDIT SUISSE COML MTG TR
  1.000 15JUN38     479,193       498,709  
   
CREDIT SUISSE COML MTG TR
  5.467 15SEP39     747,654       749,660  
   
CREDIT SUISSE FIRST BOSTON
  6.30 15nov30 COML MTG 1998     196,526       196,208  
   
CREDIT SUISSE FIRST BOSTON MTG
  3.861 15MAR36     364,174       354,317  
   
CREDIT SUISSE FIRST BOSTON MTG
  1.000 15JAN37     293,144       302,508  
   
CREDIT SUISSE FIRST BOSTON MTG 2002
  1.000 25AUG32     109,211       105,492  
   
CREDIT SUISSE FIRST BOSTON MTG 2006
  1.000 25MAY36     141,932       141,558  
   
CREDIT SUISSE FIRST BOSTON USA
  4.125 15JAN10     617,032       617,283  
   
CRH AMER
  6.00 30SEP16 NT     223,927       226,458  
   
CSX CORP
  6.250 15OCT08     138,030       138,963  
   
CVS CORP
  5.750 15AUG11     635,115       643,912  
   
CVS CORP
  4.000 15SEP09     151,321       146,684  
   
CVS CORP
  5.750 15AUG11     136,794       138,689  
   
CWABS INC
  3.872 25MAR20     352,759       347,568  
   
CWABS INC
  4.615 25FEB35     489,413       473,720  
   
CWABS INC
  1.000 25MAY34     98,659       98,432  
   
CWALT ALTERNATIVE LN TR
  1.000 25JUL21     1,132,879       1,132,357  
   
CWALT INC
  1.000 25DEC35     331,891       331,787  
   
CWHEQ HOME EQUITY LN TR
  1.000 25JUN35     587,111       587,303  
   
D R HORTON INC
  5.375 15JUN12     668,335       676,930  
   
DAIMLER CHRYSLER AUTO TR
  5.06 08OCT08 2006 ASSET BKD CTF     448,479       448,149  
   
DAIMLER CHRYSLER HLDGS
  8.500 18JAN31     101,966       104,874  
   
DAIMLERCHRYLSER AUTO TR
  3.71 08OCT09 SER 2004     738,971       728,301  
   
DAIMLERCHRYSLER AUTO TR
  2.580 08APR09     465,834       460,448  
   
DAIMLERCHRYSLER NORTH AMER
  4.875 15JUN10     136,720       133,588  
   
DAIMLERCHRYSLER NORTH AMER
  4.875 15JUN10     151,288       147,901  
   
DAIMLERCHRYSLER NORTH AMER HLD
  1.000 07MAR07 NT FLTG RATE DTD 7MAR05     288,531       293,705  
   
DB MASTER FIN LLC
  5.779 20JUN31     97,885       99,103  
   
DEERE JOHN CAP CORP
  3.900 15JAN08     1,173,095       1,158,229  
   
DEERE JOHN CAP CORP
  4.400 15JUL09     293,212       287,662  
   
DEFEREATED DEPT STORES
  7.00 15FEB28 DEB     174,955       175,256  
   
DEUTSCHE MTG & ASSET
  6.861 15jun031 COML MTG CTF 1998     223,547       223,087  
   
DEUTSCHE TELEKOM INTL FIN BV
  8.250 15JUN30     521,328       487,358  
   
DEVON FING
  7.875 30SEP31 DEB     263,619       266,401  
   
DIAGEO CAP PLC
  4.375 03MAY10 GTD NT     297,547       289,888  
   
DIAGEO FIN BV
  5.50 01APR13 GTD NT     400,803       401,288  
   
DLJ COML MTG CORP
  6.240 12NOV31     770,954       701,523  
   
DLJ COML MTG CORP
  1.000 12NOV31     289,753       277,076  
   
DOMINION RES INC DEL
  7.195 15SEP14     241,115       225,564  
   
DONNELLEY R R + SONS CO
  4.950 01APR14     78,594       81,246  
   
DOW CHEM CO
  7.375 01NOV29 NT     223,454       227,048  
   
DTE ENERGY COMPANY
  6.350 01JUN16     229,894       238,954  
   
DUKE CAP CORP
  8.00 01OCT19 SR NT     397,105       397,771  
   
DUKE ENERGY FIELD SVCS LLC
  7.875 16AUG10     89,222       84,232  
   
DUKE RLTY CORP
  5.785 15AUG12     243,680       248,533  
   
DUKE RLTY LTD PARTNERSHIP
  3.500 01NOV07     121,835       120,316  
   
DUKE WEEKS RLTY LTD PRTNSHP
  7.750 15NOV09     315,207       284,928  
   
DUKE WELS REALTY CORP
  6.950 15MAR11     98,417       103,320  
   
ECALL 3ML (317504AJ7)
  AUG07 5.37 CALL     (90,027 )     (130,873 )
   
EL PASO CORP
  7.750 15JUN10 NT 144A     399,712       414,058  
   
EMBARQ CORP
  7.995 01JUN36 NT     231,639       229,192  
   
EMBARQ CORP
  7.995 01JUN36     618,481       646,829  
   
EMBARQ CORP
  6.738 01JUN13     24,470       25,047  
   
ENTERPRISE PRODS OPER L P
  5.600 15OCT14     131,252       124,978  
   
ENTERPRISE PRODS OPER L P
  5.600 15OCT14     464,953       461,458  
   
EOP OPER LTD PARTNERSHIP
  4.650 01OCT10     1,510,915       1,560,124  
   
EOP OPER LTD PARTNERSHIP
  7.000 15JUL11     489,433       471,390  
   
EPR OPER LTD PARTNERSHIP
  5.375 01AUG16     116,891       116,236  
   
EQUITY RESIDENTIAL
  5.125 15MAR16     342,214       332,727  
   
ERAC USA FIN CO
  7.350 15JUN08     977,217       1,003,363  
   
ERIE CNTY NY TOB ASSET TAXABLE ASSET
  6.000 01JUN28     334,211       332,197  
   
ERP OPER CTD PARTNERSHIP
  6.625 15MAR12     84,810       77,409  
   
EXELON CORP
  6.750 01MAY11     274,928       270,946  
   
EXXON CAPITAL CORP
  6.125 08SEP08     413,218       372,934  
   
FEDERAL RLTY INVT TR
  5.400 01DEC13     631,366       624,313  
   
FEDERAL RLTY INVT TR
  5.650 01JUN16     274,081       272,941  
   
FEDERAL RLTY INVT TR
  6.000 15JUL12     122,237       124,883  

31


 

     
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2006
  Schedule I
                         
   
FEDERATED RETAIL HLDGS
  5.900 01DEC16 GTD SR NT     195,639       195,049  
   
FEDERATED RETAIL HLDGS INC
  5.900 01DEC16     156,511       156,374  
   
FEDEX CORP
  2.650 01APR07     357,016       354,858  
   
FINANCING CORP CPN FICO STRIPS
  5NOV13 SER 1 INT PMT ON 10PCT 2018     178,064       203,129  
   
FINANCING CORP CPN FICO STRIPS
  07SEP09 SER 15INT PMT ON 9.65 2019     2,081,956       2,266,973  
   
FINANCING CORP CPN FICO STRIPS
  06JUN13 SER 12 INT PMT ON 9.9 2018     620,362       649,188  
   
FIRST NLC TR
  1.000 25DEC35     297,373       297,025  
   
FIRSTENEGRY CORP
  6.450 15JUN11     1,576,755       1,531,151  
   
FIRSTENERGY CORP
  6.450 15NOV11     1,143,703       1,102,429  
   
FIRSTENERGY CORP
  6.450 15NOV11     281,459       275,607  
   
FORD CR AUTO ONWER
  5.04 15SEP08 2006 ASSET BKD NT     575,855       575,273  
   
FORD CR AUTO OWNER TR
  4.380 15JAN10     1,277,351       1,262,715  
   
FORD CR AUTO OWNER TR
  3.540 15NOV08     318,070       314,419  
   
FORD CR AUTO OWNER TR
  4.640 15APR10     337,698       334,889  
   
FORD CREDIT AUTO ONWER
  5.26 15OCT10 2006 NT CL     743,795       744,632  
   
FPL GROUP CAP INC
  5.625 01SEP11     586,818       593,753  
   
FRANCE TELECOM SA
  8.500 01MAR31     491,592       488,292  
   
FRANKLIN RES INC
  3.70 15APR08 SR NT     441,562       430,941  
   
GE COML MTG CORP
  3.915 10NOV38 2004 C1 COML MTG CTF CL A 2     565,631       542,708  
   
GE COML MTG CORP
  4.863 10JUL45     511,550       502,817  
   
GENERAL ELEC CAP CORP
  4.125 01SEP09 TRANCHE TR00699     219,053       219,006  
   
GENERAL ELEC CAP CORP
  7.375 19JAN10 TRANCHE TR00443     481,139       440,771  
   
GENERAL ELEC CAP CORP
  6.00 15JUN 12 TRANCHE TR00551     667,725       637,637  
   
GENERAL ELEC CAP CORP MTN
  3.500 15AUG07     1,975,841       1,937,905  
   
GENERAL MILLS
  5.125 15FEB07 NT     509,660       508,927  
   
GENERAL MTRS ACCEP CORP
  1.000 16JAN07 TRANCHE 00634     193,080       195,771  
   
GOLDMAN SACHS GROUP INC
  6.875 15JAN11 NT     350,258       325,225  
   
GOLDMAN SACHS GROUP INC
  5.70 01SEP12 SR NT     747,578       719,665  
   
GOLDMAN SACHS GROUP INC
  5.25 01APR13 SR NT     500,103       489,347  
   
GOLDMAN SACHS GROUP INC
  4.500 15JUN10     1,338,127       1,331,688  
   
GOLDMAN SACHS GROUP INC
  4.500 15JUN10     455,903       459,863  
   
GREENWICH CAP COML FDG CORP
  4.883 10JUN36 2004 GG1 COML MTG CTF CL A 5     378,745       371,707  
   
GREENWICH CAP COML FDG CORP
  4.305 10AUG42     542,298       538,404  
   
GS MTG SECS CORP
  1.000 25MAR46     354,580       354,580  
   
GS MTG SECS CORP II
  4.751 10JUL39     741,468       707,189  
   
GS MTG SECS CORP II
  5.396 10AUG38     349,566       358,643  
   
GS MTG SECS TR
  5.479 10NOV39     1,288,681       1,293,737  
   
GSAMP TR
  1.000 25MAY36     105,353       105,369  
   
GULF PWR CO
  5.300 01DEC16     929,714       915,251  
   
HARLEY DAVIDSON MOTORCYCLE
  4.30 15MAY10 2005 CONTRACT BACKED NT     111,567       111,663  
   
HARLEY DAVIDSON MOTORCYCLE
  5.06 15JUN10 2006 CONTR BKD NT CL     305,434       304,778  
   
HARTFORD FINL SVCS GROUP INC
  5.500 16AUG08     259,409       260,606  
   
HEALTHCARE RLTY TR IN
  8.125 01MAY11     325,569       307,878  
   
HEINZ H J FIN CO
  6.000 15MAR12     332,725       328,084  
   
HEWLETT PACKARD CO
  1.000 22MAY09     230,032       230,396  
   
HONDA AUTO RECEIVABLE OWNER
  4.85 19OCT09 2005 ASSET BKD CTF     415,934       413,871  
   
HONDA AUTO RECIVABLES
  3.280 18FEB10     1,017,744       994,800  
   
HONDA AUTO REVBLS ONWER
  5.300 21JUL10 2006 NT CL     420,854       421,700  
   
HOST HOTELS + RESORTS L P
  6.875 01NOV14     48,574       49,555  
   
HOUSEHOLD FIN CORP
  4.125 15DE 08 NT     1,230,184       1,197,488  
   
HRPT PPTYS TR
  1.000 16MAR11     269,187       269,279  
   
HSBC FIN CORP
  5.250 14JAN11     977,139       978,888  
   
HSBC FIN CORP
  5.500 19JAN16     422,387       447,484  
   
HUNTINGTON NATL BK
  4.375 15JAN10     246,688       237,354  
   
HUTCHISON WHAMPOA INTL
  6.500 13FEB13     352,695       358,553  
   
HYUNDIA AUTO RECEIVABLES TR
  5.250 15MAY13     543,232       543,099  
   
ICI WILMINGTON INC
  4.375 01DEC08     426,189       432,201  
   
ILLINOIS EDL FACS AUTH
  5.00 01JUL33     914,829       976,374  
   
ILLINOIS PWR SPL
  5.65 25DEC10 1998 TRANSITIONAL FDG     1,117,537       1,031,659  
   
INDYMAC INDX MTG LN TR
  1.000 25SEP36     573,543       578,211  
   
INDYMAC MBS INC
  1.000 25MAY36     327,754       328,871  
   
INTERNATIONAL BUSINESS MACHS
  4.375 01JUN09     82,954       81,772  
   
INTERNATIONAL LEASE FIN CORP
  4.750 13JAN12     370,353       361,666  
   
INTERNATIONAL PAPER CO
  5.300 01APR15     201,883       198,101  
   
INTL LEASE FIN CORP MTN
  5.750 15JUN11     97,760       99,464  
   
IRS
  SWP089550     (55,208 )     79,978  
   
IRS
  SWP088800     (47,361 )     85,310  
   
IRS
  SWP089766     45,740       (14,114 )
   
IRS
  SWP089824     7,743       (2,392 )
   
IRS
  SWP089840     244,982       (75,593 )
   
IRS
  SWP084700     (21,535 )     (48,704 )
   
IRS
  SWP098320     699,531       273,285  
   
ISTAR FINL INC
  5.150 01MAR12     127,045       123,757  
   
ITT CORP NEW
  7.375 15NOV15     241,894       245,528  
   
J P MORGAN CHASE COML MTG
  5.198 15DEC44     418,094       415,122  
   
J P MORGAN CHASE COML MTG
  5.437 12DEC44     541,065       541,858  
   
J P MORGAN CHASE COML MTG
  1.000 15APR45     1,123,596       1,151,125  
   
J P MORGAN CHASE COML MTG
  4.893 15AUG42 2005 LDP3 COML MTG PASS CL A S     565,645       550,099  
   
J P MORGAN CHASE COML MTG SECS
  4.625 15MAR46 2005 LDP1 COML MTG PASSTHR A2     403,325       393,309  
   
J P MORGAN CHASE COML MTG SECS
  3.175 12JAN37 2004 CIBC10 MTG PASS CTF A 1     2,192       2,210  
   
J P MORGAN CHASE COML MTG SECS
  4.790 15OCT42     418,084       408,768  

32


 

     
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2006
  Schedule I
                         
   
J P MORGAN CHASE COML MTG SECS
  6.260 15MAR33     719,110       754,286  
   
J P MORGAN CHASE COML MTG SECS
  4.302 15JAN38     511,495       490,324  
   
J P MORGAN CHASE COML MTG SECS
  4.851 15AUG42     447,592       439,632  
   
J P MORGAN CHASE COML MTG SECS
  4.790 15OCT42     418,084       409,706  
   
J P MORGAN CHASE COML MTG SECS
  1.000 12DEC44     231,169       232,214  
   
J P MORGAN CHASE COML MTG SECS
  1.000 12JUN43     457,415       469,760  
   
JAPAN FIN CORP ME
  1.550 21FEB12     6,126,110       6,041,423  
   
JEFFERIES GROUP INC NEW
  7.750 15MAR12     200,370       218,412  
   
JEFFERIES GROUP INC NEW
  5.500 15MAR16     340,457       333,608  
   
JOHNSON CTLS INC
  5.250 15JAN11     92,980       92,350  
   
JP MORGAN ALT LN TR
  1.000 25OCT46     567,542       567,542  
   
JP MORGAN CHASE
  6.750 01FEB11     766,101       771,815  
   
JP MORGAN CHASE
  1.000 15APR45     254,254       263,264  
   
JPMORGAN CHASE + CO
  5.125 15SEP14     678,621       668,959  
   
KRAFT FOODS INC
  4.000 01OCT08     834,316       813,753  
   
KREDITANST FUR WIEDERAUFBAU
  1.850 20SEP10     2,521,789       2,387,410  
   
KROGER CO
  6.750 15APR12     405,783       395,447  
   
KROGER CO
  6.200 15JUN12     1,179,507       1,149,271  
   
L 3 COMMUNICATIONS CORP
  7.625 15JUN12     164,198       162,099  
   
L 3 COMMUNICATIONS CORP
  6.375 15OCT15     58,294       58,144  
   
LB UBS
  5.372 15SEP39     703,345       701,061  
   
LB UBS COML MTG TR
  2.720 15MAR27 2003 C1 COML MTG CTF CL A 1     419,673       422,869  
   
LB UBS COML MTG TR
  5.300 15NOV38     639,430       637,969  
   
LB UBS COML MTG TR
  4.647 15JUL30     836,179       811,832  
   
LB UBS COML MTG TR
  1.000 15JUN29     176,039       182,794  
   
LB UBS COML MTG TR
  4.201 15DEC29     437,765       423,834  
   
LB UBS COML MTG TR
  1.000 15JUN38     718,348       721,842  
   
LEHMAN BROS INC
  6.500 15APR08     662,027       692,955  
   
LEHMAN BROTHERS HLDGS INC
  5.500 04APR16     789,624       800,552  
   
LEHMAN BROTHERS HLDGS INC
  4.250 27JAN10     619,164       619,351  
   
LEUCADIA NATL CORP
  7.000 15AUG13     233,239       233,483  
   
LIBERTY PPTY LTD PARTNERSHIP
  5.500 15DEC16     121,478       120,295  
   
LUBRIZOL CORP
  4.625 01OCT09     132,444       129,628  
   
LUBRIZOL CORP
  4.625 01OCT09     234,718       230,449  
   
LUBRIZOL CORP
  5.500 01OCT14     146,400       147,910  
   
MACK CALI RLTY L P
  5.125 15JAN15     194,568       188,229  
   
MACK CALI RLTY L P
  5.050 15APR10     136,790       134,812  
   
MACK CALI RLTY L P
  5.250 15JAN12     194,441       192,567  
   
MANUFACTURES + TRADERS TR
  1.000 28DEC20     252,914       247,817  
   
MARSH + MCLENNAN COS INC
  5.750 15SEPT15     663,317       659,666  
   
MASCO CORP
  6.125 03OCT16     462,592       467,513  
   
MASTR ASSET BACKED SECS TR
  1.000 25AUG36     621,577       621,577  
   
MBNA AMER BK NATL ASSN
  5.375 15JAN08 TRANCHE SR00010     247,329       244,714  
   
MBNA CORP ST MTN
  6.125 01MAR13     105,503       101,640  
   
MBNA CR CARD MASTER
  2.75 15OCT10 2003 NT CL A     258,493       260,523  
   
MBNA CR CARD MASTER
  4.20 15SEP10 2005 NT CL A     1,294,100       1,295,074  
   
MBNA CR CARD MASTER NT TR
  2.750 15OCT10     275,251       279,492  
   
MEDCO HEALTH SOLUTIONS INC
  7.250 15AUG13     92,017       89,308  
   
MERRILL LYNCH + CO INC
  6.875 15NOV18 NT     402,235       404,654  
   
MERRILL LYNCH + CO INC
  4.250 08FEB10     1,024,875       998,727  
   
MERRILL LYNCH + CO INC
  4.790 04AUG10     660,731       651,738  
   
MERRILL LYNCH + CO INC
  4.790 04AUG10     627,944       627,600  
   
MERRILL LYNCH + CO INC
  6.220 15SEP26     592,075       610,253  
   
MERRILL LYNCH MTG INVS INC
  1.000 25AUG36     447,108       442,889  
   
MERRILL LYNCH MTG INVS INC
  1.000 25MAR36     486,994       489,419  
   
MERRILL LYNCH MTG TR
  4.806 12SEP42     1,197,169       1,219,391  
   
MERRILL LYNCH MTG TR
  1.000 12NOV37     332,746       330,746  
   
MERRILL LYNCH MTG TR
  4.960 12JUL38     270,665       266,829  
   
MERRILL LYNCH MTG TR
  1.000 12NOV37     196,844       195,734  
   
METLIFE INC
  5.375 15DEC12     98,171       98,101  
   
METLIFE INC
  5.000 15JUN15     927,398       901,908  
   
MGM MIRAGE
  6.000 01OCT09     99,354       97,641  
   
MGM MIRAGE FOMERLY GRAND ICN
  8.500 15SEP10     208,008       209,476  
   
MICHIGAN TOB SETTLEMENT FIN
  7.309 01JUN34     1,160,908       1,200,736  
   
MID ST TR IV
  ASSET BACKED NT 8.33 01APR30     779,447       766,404  
   
MIDAMERICAN ENERGY HLDGS CO
  5.875 01OCT12     141,902       144,482  
   
MIDAMERICAN FDG
  6.75 01MAR11 SER SECD NT     505,191       462,894  
   
ML CFC COML MTG TR
  1.000 12JUN46     378,950       388,486  
   
MOHAWK INDS INC
  6.125 15JAN16     419,951       417,881  
   
MORGAN STANELY CAP I INC
  1.000 15MAR30     534,971       498,244  
   
MORGAN STANELY CAP I INC
  1.000 15DEC31     466,772       479,461  
   
MORGAN STANELY CAP I INC
  5.090 12OCT52     324,794       321,439  
   
MORGAN STANELY CAP I TR 2006
  5.712 20JUL44     605,582       604,864  
   
MORGAN STANLEY
  4.000 15JAN10     614,729       615,649  
   
MORGAN STANLEY CAP I INC
  4.890 12JUN47     1,225,318       1,183,587  
   
MORGAN STANLEY CAP I TR
  1.000 12AUG41     649,599       656,652  
   
MORGAN STANLEY CAPITOL I
  5.325 15DEC43     615,118       611,006  
   
MORGAN STANLEY GROUP INC
  6.750 15APR11     464,370       475,929  

33


 

     
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2006
  Schedule I
                         
   
MORGAN STANLEY GROUP INC
  1.000 09FEB09     274,081       274,515  
   
MORGAN STANLEY HOME EQUITY LN
  1.000 25APR36     231,901       231,865  
   
MORGAN STANLEY MTG LN TR 2006
  1.000 25NOV36     274,081       275,366  
   
MOTOROLA INC
  7.625 15NOV10     29,060       27,403  
   
NATIONAL GRID PLC
  6.300 01AUG16     488,378       506,896  
   
NAVISTAR FINANICAL CORP OWNER
  3.530 15OCT12     955,881       950,587  
   
NEW YORK LIFE GLOBAL FDG
  3.875 15JAN09 TRANCHE TR 00002     758,276       740,971  
   
NEWCASTLE MTG SECS TR
  1.000 25MAR36     336,645       336,645  
   
NEWS A,ER INC
  6.400 15DEC35     82,303       82,657  
   
NEWS AMER HLDGS INC
  7.700 30OCT25     462,963       429,329  
   
NEXTEL COMMUNICATIONS INC
  5.950 15MAR14     141,249       133,452  
   
NIAGRA MOHAWK PWR CORP
  7.750 01OCT08     267,523       253,598  
   
NISOURCE FIN CORP
  7.875 15NOV10     225,288       211,211  
   
NISOURCE FIN CORP
  1.000 23NOV09     113,036       112,602  
   
NISOURCE FIN CORP
  5.250 15SEP17     341,354       321,105  
   
NISSAN AUTO RECEIVABLES
  3.210 16MAR09     92,705       91,871  
   
NISSAN AUTO RECEIVABLES 2006
  5.081 15MAY07     12,388       12,389  
   
NOMURA ASSET ACCEP CORP
  1.000 25FEB35     220,238       212,958  
   
NOMURA ASSET ACCEP CORP
  5.159 25MAR35     283,864       277,189  
   
NOMURA ASSET ACCEP CORP
  4.976 25MAY35     587,293       569,162  
   
NORFOLK SOUTHN CORP
  6.750 15FEB11     159,102       149,268  
   
NORTHROP GRUMMAN CORP
  7.125 15FEB11     166,690       161,837  
   
NORWAY KINGDOM OF
  6.000 16MAY11     695,372       675,903  
   
NUVEEN INVTS INC
  5.000 15SEP10     244,040       240,744  
   
ORACLE CORP
  5.250 15JAN16     131,416       129,357  
   
OTC USD ECAL
  JUL07 4.75 CALL     (28,632 )     (28,632 )
   
OTC USD ECAL
  JUL07 4.75 CALL     32,167       10,011  
   
OWENS CORNING REORG INC
  6.500 01DEC16     131,795       134,239  
   
OWNIT MTG LN TR
  1.000 25DEC36     353,598       351,942  
   
PACIFIC GAS & ELECTRIC
  4.20 01MAR11 1ST MTG BD     268,487       257,001  
   
PACIFIC GAS + ELEC CO
  3.600 01MAR09     176,024       170,191  
   
PECO ENEGRY TRANS
  6.13 01MAR09     493,057       483,314  
   
PEMEX PROJ FDG MASTER TR
  6.125 15AUG08     1,173,788       1,184,031  
   
PEPCO HLDGS INC
  5.500 15AUG07     51,643       48,904  
   
PETRO CDA
  9.250 15OCT21     567,338       584,806  
   
PG&E ENERGY RECOVERY FDG
  3.87 25JUN11 2005 ENERGY RECOVERY     568,060       558,656  
   
PG&E ENERGY RECOVERY FDG
  4.85 25JUN11 2005 ENERGY RECVERY BD     196,952       195,889  
   
PHILLIP MORRIS CO INC
  7.750 15JAN27     477,254       504,581  
   
PHILLIPS PETE CO
  6.650 15JUL18     134,912       159,403  
   
PHOENIX COS INC NEW
  6.675 16FEB08     113,692       113,541  
   
PITNEY BOWES INC
  5.25 15JAN37 TRANCHE NO TR 00002     705,111       699,349  
   
PITNEY BROWES INC GLOBAL
  5.250 15JAN37     656,483       651,117  
   
POTASH CORP SASK INC
  4.875 01MAR13     316,342       306,910  
   
PRAXAIR INC
  6.375 01APR12     414,148       434,988  
   
PROGRESS ENERGY INC
  7.100 01MAR11     104,793       100,074  
   
PROLOGIS
  5.500 01APR12     1,289,845       1,294,624  
   
PROVIDIAN GATEWAY OWNER TR
  3.350 15SEP11     406,412       410,748  
   
PRUDENTIAL FINL INC
  5.100 14DEC11     215,294       213,749  
   
PUBLIC SVC CO COLO
  7.875 01OCT12     153,911       164,740  
   
PUBLIC SVC CO COLO
  4.375 01OCT08     156,430       154,093  
   
QUEST CORP
  8.875 15MAR12     16,078       16,353  
   
QUEST DIAGNOSTICS INC
  5.125 01NOV10     200,289       198,069  
   
RAAC
  1.000 25AUG36     258,733       258,716  
   
RASC
  1.000 25JUN36     431,139       431,004  
   
RAYTHEON
  6.40 15DEC18 DEB     232,727       233,928  
   
RAYTHEON CO
  6.000 15DEC10     108,752       128,068  
   
RAYTHEON CO
  6.750 15AUG07     114,108       100,579  
   
RAYTHEON CO
  5.500 15NOV12     120,276       123,125  
   
REGENCY CTRS L P
  5.250 01AUG15     132,230       128,120  
   
RENAISSACE HOME EQUITY
  2004 HOME LN EQITY 1.00 25NOV34     826,311       830,021  
   
REPUBLIC SVCS INC
  6.750 15AUG11     343,446       348,848  
   
RESIDENTIAL ASSET SEC MTG PASS
  1.000 25MAY33     37,182       37,156  
   
RESIDENTIAL ASSET SECS CORP
  1.000 25APR36     353,270       353,256  
   
RESIDENTIAL CAP COPR
  6.500 17APR13     649,068       659,688  
   
RESIDENTIAL CAP CORP
  6.375 30JUN10     406,474       410,955  
   
RESIDENTIAL FDG MTG SECS I INC
  1.000 25AUG35     402,077       402,840  
   
RESIDENTIAL FDG MTG SECS II
  4.460 25MAY35     244,652       241,677  
   
RESIDENTIAL FDG MTG SECS II
  1.000 25MAR36     97,878       97,565  
   
ROYAL KPN NV
  8.375 01OCT30     132,210       128,977  
   
RUSSELL CO
  5.625 15JAN09 GTD NT 144A     1,087,574       991,341  
   
RUSSIA FEDERATION
  3.000 14MAY11     2,579,006       2,587,510  
   
SAFEWAY INC
  6.500 01MAR11     77,705       75,952  
   
SAFEWAY INC
  5.800 15AUG12     233,974       220,660  
   
SAFEWAY INC
  5.625 15AUG14     347,845       352,555  
   
SALMON BROS MTG SECS VII INC
  1.000 25JAN33     277,725       270,680  
   
SANWA BK LTD N Y BRH
  7.400 15JUN11     111,285       105,753  
   
SAXON ASSET SECS TR
  2002 MTG LN ASSET BK 1.00 25AUG32     9,147       9,144  
   
SBC COMMUNICATIONS
  4.125 15SEP09 GLOBAL NT     166,370       161,192  

34


 

     
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2006
  Schedule I
                         
   
SBC COMMUNICATIONS
  6.125 17AUG26 GTD NT 144A     781,593       780,304  
   
SBC COMMUNICATIONS INC
  5.300 15NOV10     1,349,348       1,375,490  
   
SIEMENS FINANCIERINGS
  3.875 22JAN08 NT 144A     473,770       482,742  
   
SIMON PPTY GROUP LP
  5.750 01MAY12     268,538       272,017  
   
SIMON PPTY GROUP LP
  5.000 01MAR12     419,244       413,501  
   
SLM CORP
  4.500 26JUL10     346,519       338,239  
   
SLM CORP
  5.000 01OCT13     762,666       749,287  
   
SMALL BUSINESS ADMIN
  DEB SER 199 20K 7.060 01NOV19     329,499       343,146  
   
SMALL BUSINESS ADMIN
  DEB SER 1999 20L 7.19 01DEC19     641,687       675,603  
   
SOUNDVIEW HOME LN TR
  1.000 25MAY35     146,829       145,007  
   
SOUTH AFRICA REP
  8.500 23JUN17     2,132,133       2,611,113  
   
SOUTHERN CA EDISON CO
  4.650 01APR15     209,735       198,874  
   
SOUTHTRUST CORP
  5.800 15JUN14     117,280       119,243  
   
SOVEREIGN BANCORP INC
  4.800 01SEP10     453,000       454,971  
   
SPECIALTY UNDERWRITING
  1.000 25FEB37     409,869       409,805  
   
SPRINT CAP CORP
  6.875 15NOV28     192,621       225,365  
   
SPRINT CAP CORP
  6.375 01MAY09     683,710       693,930  
   
SPRINT CAP CORP
  7.625 30JAN11     354,066       366,824  
   
SPRINT CAP CORP
  8.375 15MAR12     172,871       157,744  
   
SPRINT CAP CORP
  8.750 15MAR32     349,340       347,560  
   
STARWOOD HOTELS + RESORTS WORL
  7.875 01MAY12     258,837       262,584  
   
STRUCTRED ADJ RATE MTG LN TR
  1.000 25APR36     403,200       405,429  
   
STRUCTURED ASSET INVESTMENT
  1.000 25JAN36     269,658       269,680  
   
SWAPTION ( 317503N48)
  MAR07 4.85 CALL     (21,400 )     (8,377 )
   
SWAPTION ( 317503XA3)
  JUN07 5.6 CALL     (59,113 )     (148,574 )
   
SWAPTION ( 317503XH8)
  AUG07 5.62 CALL     (42,857 )     (91,979 )
   
SWAPTION ( 317503YV6)
  DEC07 5.15 CALL     (41,012 )     (43,138 )
   
SWAPTION ( 317504CK2)
  JUL 07 4.9 CALL     31,872       25,726  
   
SWAPTION ( 317504CLO )
  JUL07 5 CALL     (30,501 )     (30,253 )
   
SWAPTION (3170503PZ7)
  JUL07 5.5 CALL     57,883       130,260  
   
SWAPTION (317503DX5)
  MAY07 5.22 CALL     (8,508 )     (11,637 )
   
SWAPTION (317503DY3)
  MAY07 5.08 CALL     8,229       7,327  
   
SWAPTION (317503N63)
  MAR07 4.85 CALL     18,708       2,469  
   
SWAPTION (317503NK2)
  JUL07 4.85 CALL     19,342       7,332  
   
SWAPTION (317503VZO)
  AUG07 5.25 CALL     90,151        
   
SWAPTION (317503XGO )
  AUG07 5.5 CALL     42,639       84,331  
   
SWAPTION (317503YW4)
  DEC 07 5 CALL     41,864       39,412  
   
SWAPTION (317504BY3)
  OCT07 4.9 CALL     17,730       20,183  
   
SWAPTION (317504BZ0)
  OCT07 5.01 CALL     (18,023 )     (21,802 )
   
SWAPTION (317504HY7)
  AUG07 4.8 CALL     11,959       8,299  
   
SWAPTION (317504S33)
  AUG07 4.9 CALL     (11,198 )     (9,222 )
   
SWAPTION(317503NL0)
  JUL07 4.95 CALL     (16,915 )     (11,234 )
   
SWEDEN KINGDOM OF
  5.250 15MAR11     2,785,344       2,918,031  
   
SWEDEN KINGDOM OF
  5.000 28JAN09     1,474,427       1,705,612  
   
TCI COMMUNICATIONS INC
  7.875 15FEB26     67,610       83,837  
   
TELECOM ITAILIA CAP
  5.250 15NOV13     356,363       340,667  
   
TELECOM ITAILIA CAP
  4.000 15JAN10     541,812       518,762  
   
TELECOM ITALIA
  4.95 30SEP14GTD SR NT     277,615       285,106  
   
TELEFONICA EMISIONES
  5.984 20JJUN11 SR NT     685,203       694,202  
   
TELEFONICA EMISSIONS S A U
  5.984 20JUN11     318,130       323,834  
   
TEMPLE ISLAND INC
  6.625 15JAN18     223,740       233,458  
   
TEVA PHARMACETICAL FIN CO LLC
  6.150 01FEB36     303,405       294,837  
   
TIAA GLOBAL MKTS
  5.45 18MAY11 NT     1,496,813       1,463,851  
   
TIME WARNER
  6.625 15MAY29 DEB     168,080       173,352  
   
TIME WARNER
  6.50 15NOV36 NT     68,466       68,098  
   
TIME WARNER ENTMT CO
  7.250 01SEP08     954,526       986,261  
   
TIME WARNER INC
  6.625 15MAY29     1,286,203       1,293,704  
   
TIME WARNER INC NEW
  6.500 15NOV36     127,151       126,913  
   
TOBACCO SETTLEMENT
  5.625 01JUN37 ASSET BKD     293,291       312,332  
   
TOBACCO SETTLEMENT
  5.875 15MAY39 ASSET BKD     224,487       315,515  
   
TOBACCO SETTLEMENT
  6.375 15MAY28     250,943       315,715  
   
TOBACCO SETTLEMENT AUTH IA
  6.500 01JUN23     117,463       116,985  
   
TOLL BROS FIN CORP
  6.875 15NOV12     123,224       126,158  
   
TOYOTA MTR CR
  4.125 17MAR08 TRANCHE TR00233     356,090       361,604  
   
TRICON GLOBAL RESTAURANTS
  8.875 15APR11 SR NT     398,681       378,775  
   
TXU AUSTRALIA HLDGS PTY LTD
  6.150 15NOV13     261,485       253,571  
   
TYCO INTL GROUP S A
  6.000 15NOV13     181,730       182,304  
   
TYSON FOODS INC
  1.000 01APR16     166,233       170,870  
   
UBS AG STAMFORD BRH MED TRM
  5.875 15JUL16     586,365       607,032  
   
UFJ FIN ARUBA A E C
  6.750 15JUL13     786,738       757,343  
   
UNION BK CALIF
  5.950 11MAY16     243,751       250,799  
   
UNION PAC CORP
  6.625 01FEB08 NT     736,307       669,663  
   
UNION PAC CORP
  3.875 15FEB09     390,405       379,924  
   
UNION PAC CORP
  3.625 01JUN10     131,236       124,693  
   
UNITED AIRLS PASS THRU TRUST
  9.56 19OCT18     571,725       328,074  
   
UNITED MEXICAN STS MTN
  7.500 14JAN12     688,279       718,797  
   
UNITED MEXICAN STS MTN
  5.625 15JAN17     1,792,113       1,850,918  
   
UNITEDHEALTH GROUP INC
  5.375 15MAR16     463,202       460,437  

35


 

     
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2006
  Schedule I
                         
   
US BK NATL ASSN CINNCINNATI
  7.25 01DEC10 NT     904,523       893,434  
   
US DEPT VETERAN AFFAIRS REMIC VENDEE
  6.000 15APR09     353,445       331,213  
   
USA WASTE SVCS INC
  7.000 15JUL28     91,946       94,549  
   
VALE OVERSEAS LTD
  6.250 23JAN17     1,005,695       1,017,727  
   
VALERO ENERGY CORP NEW
  6.875 15APR12     338,200       326,012  
   
VALUE OVERSEAS LTD
  6.25 23JAN17     291,506       294,993  
   
VERISON VA INC
  4.625 15MAR13     665,856       689,440  
   
VERIZON COMMUNICATIONS INC
  1.000 15AUG07     185,984       185,983  
   
VERIZON GLOBAL FDG
  6.875 15JUN12 BD     495,600       458,827  
   
VERIZON GLOBAL FDG
  4.625 15JUL18 GLOBAL NT     417,176       412,645  
   
VERIZON GLOBAL FDG CORP
  4.900 15SEP15     163,979       163,375  
   
VERIZON GLOBAL FDG CORP
  5.850 15SEP35     306,140       295,313  
   
VERIZON NEW JERSEY INC
  5.875 17JAN12     196,888       198,323  
   
VODAFONE GROUP PLC
  4.55 01MAY13 NT     323,751       325,316  
   
VODAFONE GROUP PLC NEW
  5.500 15JUN11     273,267       274,777  
   
WACHOVIA CORP 2ND NEW
  4.875 15FEB14     817,822       787,840  
   
WACHOVIA CORP NEW
  5.300 15OCT11     1,617,375       1,619,367  
   
WACHOVIA CORP NEW
  5.350 15MAR11     293,641       294,486  
   
WAL MART STORES
  5.125 15FEB07 GLOBAL NT     262,027       263,104  
   
WALT DISNEY CO
  5.700 15JUL11     947,672       966,124  
   
WAMU MTG
  1.000 25OCT33     490,176       480,080  
   
WAMU MTG PASS THROUGH CTFS
  1.000 25JAN45     108,720       109,007  
   
WAMU MTG PASS THROUGH CTFS
  1.000 25JUL44     36,748       36,761  
   
WAMU MTG PASS THROUGH CTFS
  1.000 25AUG34     328,203       323,943  
   
WAMU MTG PASS THROUGH CTFS
  1.000 25APR35     122,071       120,015  
   
WASHINGTON MUT INC
  4.000 15JAN09     342,593       338,802  
   
WASHINGTON MUT INC
  1.000 15JAN10     285,275       285,118  
   
WASHINGTON MUT INC
  4.625 01APR14     868,043       833,890  
   
WASTE MGMT INC DEL
  6.875 15MAY09     546,999       511,009  
   
WASTE MGMT INC DEL
  7.375 15MAY29     31,974       38,687  
   
WASTE MGMT INC DEL
  7.375 01AUG10     110,188       104,122  
   
WELLLS FARGO + CO NEW
  3.500 04APR08     1,175,667       1,150,310  
   
WELLPOINT INC
  3.750 14DEC07     658,847       655,119  
   
WELLPOINT INC
  42.50 15DEC09     414,955       413,899  
   
WELLPOINT INC
  5.000 15JAN11     263,851       261,067  
   
WELLS FARGO & CO NEW
  5.00 15NOV14 SUB NT     219,520       205,555  
   
WELLS FARGO & CO NEW
  4.125 10MAR08 SR NT     86,924       85,882  
   
WELLS FARGO & CO NEW
  4.125 10MAR08 SR NT     665,926       661,691  
   
WELLS FARGO + CO NEW
  6.375 01AUG11     291,275       266,521  
   
WELLS FARGO MBS
  1.000 25AUG36     737,846       741,229  
   
WESTERN FINL BK
  9.625 15MAY12     175,985       171,117  
   
WESTERN UN CORP
  5.93 01OCT16 NT 144A     415,858       415,418  
   
WESTVACO CORP
  7.950 15FEB31     243,816       208,988  
   
WEYERHAEUSER CO
  6.750 15MAR12     1,863,392       1,796,539  
   
WEYERHAEUSER CO
  7.125 15JUL23     242,435       234,862  
   
WFS FINL 2003 2 OWNER TR
  2.410 20DEC10     213,037       211,125  
   
WFS FINL 2004 2 OWNER TR
  3.540 21NOV11     1,809,391       1,776,533  
   
WFS FINL 2004 4 OWNER TR
  3.210 17MAY12     193,802       190,068  
   
WFS FINL 2005 2 ONER TR
  4.570 19NOV12     171,293       169,608  
   
WINDSTREAM CORP
  8.125 01AUG13     215,349       233,116  
   
WINDSTREAM CORP
  8.625 07AUG16     66,839       75,030  
   
WPP FIN UK
  5.875 15JUN14     170,806       171,000  
   
WYETH
  5.500 01FEB14     227,701       222,358  
   
WYETH
  5.500 01FEB14     229,866       226,293  
   
XCEL ENERGY INC
  7.000 01DEC10     233,715       221,974  
   
XTO ENEGRY INC
  4.900 01FEB14     644,130       648,535  
   
ZIONS BANCORPORATION
  6.000 15SEP15     410,316       418,655  
   
ZIONS BANCORPORATION
  1.000 15APR08     234,927       235,078  
   
ZIONS BANK
  5.500 15NOV15     155,348       154,085  
   
 
                 
   
 
                   
   
 
                271,899,585  
   
 
                 
   
 
                   
   
Commingled Funds
                   
*  
PIMCO Private Acct Portfolio
  Commingled Fund     235,152       242,964  
*  
PIMCO Intl Portfolio Instl CL
  Commingled Fund     3,064,265       2,397,807  
*  
PIMCO Real Return BD Portfolio CL
  Commingled Fund     2,682,269       2,367,094  
*  
PIMCO Emerging Mkts Portfolio
  Commingled Fund     3,685,346       3,657,750  
*  
PIMCO Invt Grade Corp Port Instl CL
  Commingled Fund     7,941,793       7,621,147  
*  
PIMCO US Govt Sector Port Instl CL
  Commingled Fund     9,383,526       8,879,941  
*  
PIMCO Mtg Portfolio Instl CL
  Commingled Fund     15,617,867       15,362,836  
*  
PIMCO Short Term Portfolio Instl CL
  Commingled Fund     15,903,349       15,785,863  
   
 
                 
   
 
                   
   
 
                56,315,402  
   
 
                 
   
 
                   

36


 

     
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2006
  Schedule I
                         
   
Benefit-Responsive Interest Rate Wrapper Contracts
                   
*  
AEGON INSTITUTIONAL MARKETS
  Open-Ended Maturity              
*  
BANK OF AMERICA NT & SA
  Open-Ended Maturity              
   
 
                 
   
 
                   
   
 
                 
   
 
                 
   
 
                   
   
Synthetic Guaranteed Investment Contracts
              $ 612,875,198  
   
 
                 
   
 
                   
  Commingled Funds:                    
   
 
                   
   
AMERICAN HOME MTG INVESTMENTS REIT
  Commingled Fund             5,268  
   
ANNALY MORTGAGE MANAGEMENT INC
  Commingled Fund             3,478  
   
BOSTON PPTYS INC
  Commingled Fund             11,971  
   
BP PRODHOE BAY RTY UNIT BEN INT
  Commingled Fund             525  
   
CROSS TIMBERS ROYALTY TRUST
  Commingled Fund             11,921  
   
INTERNATIONAL EAFE EQUITY INDEX FUND
  Commingled Fund             107,860,515  
   
DAYSTAR TECHNOLOGIES CL B WTS EXP 3/22/2009
  Commingled Fund             3,577  
   
ENBRIDGE ENERGY PARTNERSHIP
  Commingled Fund             2,470  
   
ENERGY TRANSFER PARTNERS LP UT PARTNERSHIP INT
  Commingled Fund             43,280  
   
ENTERPRISE PRODUCTS PPTNS LP
  Commingled Fund             37,674  
   
HPRT PPTYS TRUST
  Commingled Fund             6,175  
   
HUGOTON RTY TR TEX UNIT BEN INT
  Commingled Fund             6,039  
   
KINDER MORGAN ENERGY PARTNERS L P
  Commingled Fund             23,248  
   
MESA ROYALTY TR UBI
  Commingled Fund             10,400  
   
MESABI TRUST CTF BEN INT
  Commingled Fund             16,474  
   
MIRANT COREP WTS SER A EXP 1/03/2011
  Commingled Fund             106  
   
NASDAQ 100 TR
  Commingled Fund             128,486  
   
REDBACK NETWORKS INC $5.00 WTS EXP 01/02/2010
  Commingled Fund             160  
   
REDBACK NETWORKS INC $9.00 WTS EXP 01/02/2010
  Commingled Fund             124  
   
S&P 500 Flagship Fund
  Commingled Fund             190,704,647  
   
SAN JUAN BASIN RTY TR UNIT BEN INT
  Commingled Fund             6,570  
   
T C PIPELINES
  Commingled Fund             2,160  
   
US SMALL CAP INDEX FUTURES FD CMT4
  Commingled Fund             79,804,782  
   
WEINGARTEN RLTY INVS SH BEN INT
  Commingled Fund             23,055  
   
WINTHROP REALTY TR SH BEN INT
  Commingled Fund             22,129  
   
 
                 
   
 
                   
   
Commingled Funds
              $ 378,735,234  
   
 
                 
   
 
                   
  Registered Investment Companies:                    
   
 
                   
   
ABN AMRO TALON MID CAP CL N N/C
  Registered Investment Company             13,797  
   
AEGIS VALUE FUND INC
  Registered Investment Company             24,548  
   
AIM MULTI SECTOR CLASS C
  Registered Investment Company             29,183  
   
AIM REAL ESTATE CLASS C
  Registered Investment Company             48,047  
   
ALLEGIANT MID CAP VALUE FD CL I
  Registered Investment Company             553  
*  
ALLIANCEBER INTL VALUE ADVISOR
  Registered Investment Company             17,198  
   
ALLIANZ OCC VALUE INSTITUTIONAL N/C
  Registered Investment Company             370  
   
ALLIANZ RCM BIOTECH FUND CLASS D
  Registered Investment Company             362  
   
ALLIANZ RCM HEALTHCARE FD CL D
  Registered Investment Company             27,522  
   
ALLIANZ RCM TECH INSTL CL
  Registered Investment Company             13,819  
   
ALLIANZ RCM TECHNOLOGY CL D
  Registered Investment Company             1,597  
   
ALPINE DYNAMIC DIVID FUND
  Registered Investment Company             1,250  
   
ALPINE INTERNATIONAL REAL ESTATE EQUITY Y
  Registered Investment Company             10,296  
   
AMER CENTURY TARGET MATURITIES TR 2010
  Registered Investment Company             20,490  
   
AMERICAN AADVANTAGE SMALL CAP VAL INSTL
  Registered Investment Company             37,987  
   
AMERICAN AMCAP CL R2
  Registered Investment Company             13,121  
   
AMERICAN CAPITAL INCOME BUILDER CL F
  Registered Investment Company             32,085  
   
AMERICAN CAPITAL INCOME BUILDER CL R2
  Registered Investment Company             32,937  
   
AMERICAN CAPITAL WORLD GR & INC R2
  Registered Investment Company             13,625  
   
AMERICAN CENTURY EQUITY INCOME
  Registered Investment Company             31,911  
   
AMERICAN CENTURY GLOBAL GOLD
  Registered Investment Company             1,085  
   
AMERICAN EUROPACIFIC GROWTH CLASS F
  Registered Investment Company             104,664  
   
AMERICAN FUNDAMENTAL INVESTORS CL F
  Registered Investment Company             14,852  
   
AMERICAN GROWTH FUND OF AMERICA CLASS F
  Registered Investment Company             42,508  
   
AMERICAN HIGH-INCOME CLASS F
  Registered Investment Company             30,343  
   
AMERICAN INCOME FUND OF AMERICA R5
  Registered Investment Company             543  
   
AMERICAN INCOME FUND OF AMERICA CLASS F
  Registered Investment Company             28,480  
   
AMERICAN INVESTMNT CO OF AMERICA CL A
  Registered Investment Company             14,901  
   
AMERICAN NEW PERSPECTIVE CLASS A
  Registered Investment Company             251  
   
AMERICAN NEW PERSPECTIVE R2
  Registered Investment Company             13,430  
   
AMERICAN NEW WORLD FUND R2
  Registered Investment Company             13,878  
   
AMERISTOCK MUTUAL FUND
  Registered Investment Company             62,802  
   
ARIEL APPRECIATION
  Registered Investment Company             255,938  
   
ARIEL GROWTH CLASS A
  Registered Investment Company             16,330  
   
ARTISAN OPPORTUNISTIC VALUE
  Registered Investment Company             31,452  
   
ARTISAN INTERNAT’L
  Registered Investment Company             43,216  
   
ARTISAN INTL VALUE FUND
  Registered Investment Company             58,690  
   
ARTISAN MID CAP
  Registered Investment Company             21,558  

37


 

     
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2006
  Schedule I
                         
   
ATLANTIC WHITEHALL GROWTH N/C
  Registered Investment Company             3,610  
   
BARON GROWTH & INC
  Registered Investment Company             512  
   
BERKSHIRE FOCUS FUND
  Registered Investment Company             230  
   
BJURMAN MICRO CAP GROWTH
  Registered Investment Company             1,335  
   
BLACK OAK EMERGING TECHNOLOGY FUND
  Registered Investment Company             175  
   
BLACK ROCK ALL CAP GLOBAL RES PORT CL A
  Registered Investment Company             6,607  
   
BRANDYWINE BLUE
  Registered Investment Company             11,162  
   
BRAZOS MICRO CAP GROWTH
  Registered Investment Company             666  
   
BRIDGEWAY AGGRESSIVE INVESTOR 1
  Registered Investment Company             28,354  
   
BRIDGEWAY AGGRESSIVE INVESTOR 2
  Registered Investment Company             269,695  
   
BRIDGEWAY SMALL CAP GROWTH CL N
  Registered Investment Company             9,899  
   
BRIDGEWAY ULTRA SMALL CO MARKET
  Registered Investment Company             1,975  
   
BROWN CAPITAL MGMT SMALL COMPANY INST.
  Registered Investment Company             3,151  
   
BUFFALO MID CAP FUND
  Registered Investment Company             4,991  
   
BUFFALO SMALL CAP GROWTH
  Registered Investment Company             67,864  
   
CALAMOS GROWTH AND INCOME CLASS C
  Registered Investment Company             54,027  
   
CALAMOS GROWTH CLASS A
  Registered Investment Company             66,931  
   
CALAMOS GROWTH FUND CLASS C
  Registered Investment Company             67,311  
   
CALVERT SOCIAL INVST MANAGED GROWTH CL A
  Registered Investment Company             57,744  
   
CAMBIAR OPPORTUNITY INVESTOR CL
  Registered Investment Company             113,288  
   
CHESAPEAKE CORE GROWTH FUND
  Registered Investment Company             16,121  
   
CLIPPER
  Registered Investment Company             66,873  
   
COHEN & STEERS ASIA PACIFIC REALTY CL A
  Registered Investment Company             4,952  
   
COHEN & STEERS REALTY SHARES
  Registered Investment Company             19,735  
   
COLUMBIA ACORN CLASS Z N/C
  Registered Investment Company             9,554  
   
COLUMBIA MARSICO 21ST CENTURY CL Z
  Registered Investment Company             19,821  
   
CRM MID CAP VALUE INVESTOR SHARES
  Registered Investment Company             131  
   
CRM MID-CAP VALUE FD-INSTITUTIONAL
  Registered Investment Company             7,304  
   
DELAWARE EMERGING MARKETS CLASS A
  Registered Investment Company             19,902  
   
DIREXION S&P 500 BEAR 1X FUND
  Registered Investment Company             10,166  
   
DODGE & COX BALANCE
  Registered Investment Company             49,155  
   
DODGE & COX INCOME
  Registered Investment Company             85,881  
   
DODGE & COX INTERNATL STOCK FUND
  Registered Investment Company             321,474  
   
DODGE & COX STOCK
  Registered Investment Company             228,079  
   
DREYFUS EMERGING MARKETS
  Registered Investment Company             31,691  
   
DREYFUS MIDCAP VALUE FUND
  Registered Investment Company             12,967  
   
DREYFUS PREMIER ENTERPRISE CL B
  Registered Investment Company             12,357  
   
DREYFUS PREMIER LTD TERM INCOME CL R
  Registered Investment Company             3,419  
   
DRIEHAUS EUROPEAN OPPORTUNITY
  Registered Investment Company             19,571  
   
EATON VANCE WORLDWIDE HEALTH SCIENCES CLASS A
  Registered Investment Company             1,550  
   
EXCELSIOR EMERGING MARKETS
  Registered Investment Company             2,054  
   
EXCELSIOR REAL ESTATE
  Registered Investment Company             56,455  
   
EXCELSIOR VALUE AND RESTRUCTURING
  Registered Investment Company             107,800  
   
FAIRHOLME FUND
  Registered Investment Company             37,929  
   
FAM VALUE
  Registered Investment Company             60,011  
   
FBR SMALL CAP CLASS A N/C
  Registered Investment Company             15,019  
   
FIDELITY CANADA
  Registered Investment Company             11,860  
   
FIDELITY CAPITAL APPRECIATION
  Registered Investment Company             22,487  
   
FIDELITY CAPITAL & INCOME
  Registered Investment Company             4,351  
   
FIDELITY CHINA REGION
  Registered Investment Company             8,922  
   
FIDELITY CONTRAFUND
  Registered Investment Company             303,815  
   
FIDELITY CONVERTIBLE SECURITIES
  Registered Investment Company             21,303  
   
FIDELITY DIVERSIFIED INTERNATIONAL
  Registered Investment Company             124,334  
   
FIDELITY DIVIDEND GROWTH
  Registered Investment Company             122,360  
   
FIDELITY EMERGING MARKETS
  Registered Investment Company             3,001  
   
FIDELITY EXPORT & MULTINATIONAL
  Registered Investment Company             25,423  
   
FIDELITY FLOATING RATE HIGH INCOME
  Registered Investment Company             7,984  
   
FIDELITY INTERNAT’L REAL ESTATE FUND
  Registered Investment Company             19,277  
   
FIDELITY INTERN’TL SMALL CAP
  Registered Investment Company             13,461  
   
FIDELITY INT’L DISCOVERY
  Registered Investment Company             23,670  
   
FIDELITY JAPAN
  Registered Investment Company             18,639  
   
FIDELITY JAPAN SMALL COMPANIES
  Registered Investment Company             16,991  
   
FIDELITY LARGE CAPITAL STOCK
  Registered Investment Company             9,605  
   
FIDELITY LATIN AMERICA
  Registered Investment Company             25,538  
   
FIDELITY LEVERAGED COMPANY STOCK
  Registered Investment Company             73,669  
   
FIDELITY LOW PRICED STOCK
  Registered Investment Company             63,417  
   
FIDELITY MID CAP STOCK
  Registered Investment Company             41,915  
   
FIDELITY MID CAP GROWTH
  Registered Investment Company             30,409  
   
FIDELITY NEW MARKETS INCOME
  Registered Investment Company             8,434  
   
FIDELITY OVERSEAS
  Registered Investment Company             23,433  
   
FIDELITY REAL ESTATEINVESTMENT
  Registered Investment Company             59,835  
   
FIDELITY SELECT BIOTECHNOLOGY
  Registered Investment Company             245  
   
FIDELITY SELECT DEFENSE & AEROSPACE
  Registered Investment Company             319  
   
FIDELITY SELECT ENERGY SERVICE
  Registered Investment Company             26,760  
   
FIDELITY SELECT GOLD
  Registered Investment Company             1,056  
   
FIDELITY SELECT NATURAL RESOURCES
  Registered Investment Company             21,859  
   
FIDELITY SELECT PHARMACEUTICAL
  Registered Investment Company             1,379  
   
FIDELITY SELECT TECHNOLOGY
  Registered Investment Company             1,935  

38


 

     
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2006
  Schedule I
                         
   
FIDELITY SELECT TRANSPORT
  Registered Investment Company             21,048  
   
FIDELITY SELECT UTILITIES GROWTH
  Registered Investment Company             1,835  
   
FIDELITY SELECT WIRELESS PORTFOLIOS
  Registered Investment Company             1,475  
   
FIDELITY SMALL CAP STOCK
  Registered Investment Company             17,897  
   
FIDELITY SMALL CAP GROWTH
  Registered Investment Company             21,237  
   
FIDELITY SOUTHEAST ASIA
  Registered Investment Company             26,026  
   
FIDELITY STRATEGIC REAL RETURN
  Registered Investment Company             5,274  
   
FIDELITY US BOND INDEX
  Registered Investment Company             17,059  
   
FIDELITY UTILITIES
  Registered Investment Company             2,214  
   
FIDELITY VALUE
  Registered Investment Company             24,255  
   
FIDELITY VALUE DISCOVERY
  Registered Investment Company             868  
   
FIDELITY WORLDWIDE
  Registered Investment Company             8,918  
   
FIRST AMERICAN TAX FREE CL Y
  Registered Investment Company             711  
   
FIRST EAGLE GLOBAL CLASS C
  Registered Investment Company             6,854  
   
FIRSTHAND GLOBAL TECHNOLOGY
  Registered Investment Company             249  
   
FIRSTHAND TECHNOLOGY VALUE
  Registered Investment Company             455  
   
FRANKLIN INCOME CLASS C
  Registered Investment Company             45,096  
   
FRANKLIN NATURAL RESOURCES A
  Registered Investment Company             4,275  
   
FRANKLIN REAL ESTATE SECURITIES CLASS C
  Registered Investment Company             60,913  
   
FUND*X UPGRADER FUND
  Registered Investment Company             13,899  
   
FUNDAMENTAL INVESTORS
  Registered Investment Company             22,991  
   
FUNDX AGGRESSIVE UPGRADER FUND
  Registered Investment Company             6,176  
   
FUNDX STOCK UPGRADE FUND
  Registered Investment Company             1,096  
   
GABELLI EQUITY INCOME FUND
  Registered Investment Company             12,648  
   
GABELLI UTILITIES FUND CLASS C
  Registered Investment Company             8,276  
   
GAMCO GROWTH FUND
  Registered Investment Company             9,820  
   
GARTMORE MICRO CAP EQUITY CLASS A
  Registered Investment Company             6,492  
   
GOLDMAN SACHS ASSET ALLOC GROWTH STRAT C
  Registered Investment Company             15,968  
   
GREENSPRING FUND
  Registered Investment Company             12,702  
   
GROWTH FUND OF AMERICA
  Registered Investment Company             25,965  
   
GUINNESS ATKINSON CHINA & HONG KONG
  Registered Investment Company             2,949  
   
GUINNESS ATKINSON GLOBAL ENERGY
  Registered Investment Company             1,041  
   
HANCOCK HORIZON BURKENROAD FUND CL D
  Registered Investment Company             40,308  
   
HARBOR INTERNATIONAL
  Registered Investment Company             75,919  
   
HEARTLAND VALUE
  Registered Investment Company             36,614  
   
HENNESSY CORNERSTONE GROWTH FD SERIES II
  Registered Investment Company             7,323  
   
HENNESSY CORNERSTONE GROWTH N/C
  Registered Investment Company             46,928  
   
HENNESSY FOCUS 30 FUND
  Registered Investment Company             4,599  
   
HUSSMAN STRATEGIC GROWTH
  Registered Investment Company             21,161  
   
ICON ENERGY
  Registered Investment Company             35,240  
   
ICON HEALTHCARE
  Registered Investment Company             9,248  
   
ICON LONG SHORT CLASS I
  Registered Investment Company             54,009  
   
INVESCO LEISURE N/C
  Registered Investment Company             369  
   
IVY GLOBAL NATURAL RESOURCES CLASS C
  Registered Investment Company             8,962  
   
JAMES ADVANTAGE SMALL CAP
  Registered Investment Company             31,178  
   
JANUS EQUITY INCOME
  Registered Investment Company             66,995  
   
JANUS FLEXIBLE INCOME
  Registered Investment Company             44,987  
   
JANUS GROWTH AND INCOME
  Registered Investment Company             10,266  
   
JANUS MERCURY
  Registered Investment Company             3,461  
   
JANUS MID CAP VALUE INVST SHS N/C
  Registered Investment Company             52,090  
   
JANUS OVERSEAS
  Registered Investment Company             76,434  
   
JANUS RISK MANAGED STOCK FUND
  Registered Investment Company             24,191  
   
JENNISON UTILITY CL C
  Registered Investment Company             617  
   
JP MORGAN MID CAP VALUE INSTL
  Registered Investment Company             23,457  
   
JPMORGAN SMALL CAP EQUITY FND SELECT CL
  Registered Investment Company             14,152  
   
JULIUS BAER INT’L EQUITY
  Registered Investment Company             58,635  
   
KINETICS SMALL CAP OPPORTUNITIES
  Registered Investment Company             5,893  
   
LAUDUS INTERNATIONAL MARKETMASTERS INV CL
  Registered Investment Company             23,653  
   
LEUTHOLD SELECT INDUSTRIES
  Registered Investment Company             66,371  
   
LONGLEAF PARTNERS
  Registered Investment Company             43,038  
*  
LOOMIS SAYLES BOND RETAIL SHARES
  Registered Investment Company             38,123  
*  
LOOMIS SAYLES GLOBAL BOND RETAIL
  Registered Investment Company             4,774  
   
LORD ABBETT AFFILIATED CLASS C
  Registered Investment Company             31,736  
   
LORD ABBETT RESEARCH SMALL CAP CLASS C
  Registered Investment Company             50,711  
   
MAINSTAY ICAP SELECT EQUITY FD CL I
  Registered Investment Company             45,469  
   
MANAGERS FREMONT MICRO-CAP FUND N/C
  Registered Investment Company             64,151  
   
MANAGERS INTERMEDIAT DURATION GOVERNMENT
  Registered Investment Company             24,167  
   
MANNING & NAPIER PRO BLEND MAX TERM SER
  Registered Investment Company             864  
   
MARSICO FOCUS
  Registered Investment Company             34,006  
   
MARSICO GROWTH AND INCOME
  Registered Investment Company             115,734  
   
MARSICO INTERNAT’L OPPORTUNITIES
  Registered Investment Company             41,871  
   
MASTERS SELECT EQUITY
  Registered Investment Company             66,588  
   
MATRIX ADVISORS VALUE
  Registered Investment Company             6,199  
   
MATTHEWS DRAGON CENTURY CHINA
  Registered Investment Company             698  
   
MATTHEWS INDIA FUND
  Registered Investment Company             17,404  
   
MATTHEWS KOREA FUND
  Registered Investment Company             11,263  
   
MATTHEWS PACIFIC TIGER
  Registered Investment Company             158,205  
   
MERIDIAN FUND
  Registered Investment Company             154,310  

39


 

     
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)   Schedule I
December 31, 2006    
                         
   
MERIDIAN VALUE FUND
  Registered Investment Company             4,751  
   
MFS HIGH YIELD OPPORTUNITIES CL C
  Registered Investment Company             44,342  
   
MFS INTERNATIONAL NEW DISCOVERY CL C
  Registered Investment Company             35,519  
   
MFS MID CAP VALUE CLASS C
  Registered Investment Company             24,479  
   
MFS RESEARCH BOND CL C
  Registered Investment Company             47,903  
   
MFS TOTAL RETURN CLASS C
  Registered Investment Company             34,752  
   
MORGAN STA INST INC. US REAL ESTATE CL A
  Registered Investment Company             4,614  
   
NEEDHAM GROWTH FUND
  Registered Investment Company             2,272  
   
NEUBERGER BERMAN INT’L INVESTOR CLASS
  Registered Investment Company             45,234  
   
NEUBERGER BERMAN INT’L TRUST CLASS
  Registered Investment Company             23,557  
   
NEUBERGER BERMAN PARTNERS INVESTOR
  Registered Investment Company             16,321  
   
NEUBERGER BERMAN PARTNERS TRUST CLASS
  Registered Investment Company             16,432  
   
NUVEEN QUALITY PFD INCOME FD 2
  Registered Investment Company             78,624  
   
OAKMARK EQUITY & INCOME FD
  Registered Investment Company             252,806  
   
OAKMARK FUND
  Registered Investment Company             406,736  
   
OAKMARK INTERNAT’L
  Registered Investment Company             67,022  
   
OAKMARK INTERNAT’L SMALL CAP
  Registered Investment Company             7,626  
   
OAKMARK SELECT
  Registered Investment Company             11,362  
   
OIL & GAS ULTRA SECT PRO FDS -INVESTOR
  Registered Investment Company             1,101  
   
OLD MUTUAL LARGE CAP FUND CL Z
  Registered Investment Company             3,704  
   
OLD MUTUAL MID CAP FUND CL Z N/C
  Registered Investment Company             4,912  
   
OPPENHEIMER INT’L BOND CLASS C
  Registered Investment Company             42,998  
   
OPPENHEIMER MIDCAP CLASS C
  Registered Investment Company             23,056  
   
OPPENHEIMER SMALL & MID CAP VALUE CL C
  Registered Investment Company             26,136  
   
PERRITT EMERGING OPPORTUNITIES FUND
  Registered Investment Company             1,114  
*  
PIMCO ALL ASSET INST CLASS
  Registered Investment Company             58,518  
*  
PIMCO COMMODITY REAL
  Registered Investment Company             45,299  
*  
PIMCO FOREIGN BOND F D (UNHEDGED) INST CL
  Registered Investment Company             20,033  
*  
PIMCO REAL RETURN CLASS C
  Registered Investment Company             26,248  
*  
PIMCO REAL RETURN CLASS D
  Registered Investment Company             33,584  
*  
PIMCO SHORT TERM INSTITUTIONAL
  Registered Investment Company             39,829  
*  
PIMCO TOTAL RETURN CLASS D
  Registered Investment Company             7,673  
   
PIN OAK AGGRESSIVE STOCK
  Registered Investment Company             445  
   
PRIMECAP ODYSSEY GROWTH FUND
  Registered Investment Company             22,817  
   
PRUDENT GLOBAL INC FUNDS
  Registered Investment Company             49,580  
   
RAINIER SMALL MID CAP EQUITY
  Registered Investment Company             37,109  
   
RED OAK TECHNOLOGY SELECT
  Registered Investment Company             310  
   
ROWE T PRICE HIGH YIELD FD INC
  Registered Investment Company             7,152  
   
ROYCE LOW PRICED STOCK FUND
  Registered Investment Company             190,650  
   
ROYCE MICROCAP
  Registered Investment Company             74,693  
   
ROYCE OPPORTUNITY FUND
  Registered Investment Company             80,475  
   
ROYCE PA MUTUAL
  Registered Investment Company             159,213  
   
ROYCE PREMIER SERIES
  Registered Investment Company             34,966  
   
ROYCE SPECIAL EQUITY
  Registered Investment Company             5,964  
   
ROYCE TOTAL RETURN FUND
  Registered Investment Company             123,750  
   
ROYCE VALUE FUND SERVICE CL
  Registered Investment Company             10,644  
   
ROYCE VALUE PLUS SERVICE CLASS
  Registered Investment Company             28,684  
   
RS GLOBAL NATURAL RESOURCES N/C
  Registered Investment Company             14,016  
   
RYDEX EUROPE ADVANTAGE CL H
  Registered Investment Company             1,122  
   
RYDEX INVERSE DYNAMI RUSSELL 2000 CL H
  Registered Investment Company             44,671  
   
SELECT ENERGY
  Registered Investment Company             19,301  
   
SELECT MEDICAL DELIVERY
  Registered Investment Company             35,619  
   
SELECT MEDICAL EQUIPMENT & SYSTEMS
  Registered Investment Company             20,045  
   
SELECT NATURAL GAS
  Registered Investment Company             1,759  
   
SELECTED AMERICAN SHARES
  Registered Investment Company             83,048  
   
SKYLINE SPECIAL EQUITIES
  Registered Investment Company             7,192  
   
SPARTAN MARKET INDEX
  Registered Investment Company             14,177  
   
SPARTAN TOTAL MARKET INDEX
  Registered Investment Company             37,636  
*  
SSGA AGGRESSIVE EQUITY
  Registered Investment Company             8,670  
*  
SSGA EMERGING MARKETS
  Registered Investment Company             40,131  
*  
SSGA LIFE SOLUTIONS GROWTH FUND
  Registered Investment Company             11,227  
*  
SSGA SMALL CAP EQUITY
  Registered Investment Company             88,717  
   
T ROWE PRICE EQUITY INCOME
  Registered Investment Company             279,410  
   
T ROWE PRICE INTERNATIONAL BOND
  Registered Investment Company             3  
   
T ROWE PRICE MID CAP GROWTH
  Registered Investment Company             1,446  
   
T ROWE PRICE CAP APPRECIATION
  Registered Investment Company             134,118  
   
T ROWE PRICE CORPORATE INCOME
  Registered Investment Company             29,731  
   
T ROWE PRICE EMERG EURO & MEDITERRANEAN
  Registered Investment Company             151,937  
   
T ROWE PRICE EMERGING MKTS STOCK
  Registered Investment Company             20,084  
   
T ROWE PRICE GROWTH STOCK ADVISOR CL
  Registered Investment Company             1,088  
   
T ROWE PRICE HEALTH SCIENCES
  Registered Investment Company             17,423  
   
T ROWE PRICE INTL DISCOVERY FUND
  Registered Investment Company             48,830  
   
T ROWE PRICE INT’L EMERGING MARKET BOND
  Registered Investment Company             5,252  
   
T ROWE PRICE INT’L JAPAN
  Registered Investment Company             2,543  
   
T ROWE PRICE LATIN AMERICA FUND
  Registered Investment Company             8,173  
   
T ROWE PRICE MID CAP VALUE
  Registered Investment Company             169,833  
   
T ROWE PRICE NEW HORIZONS FD INC
  Registered Investment Company             3,253  
   
T ROWE PRICE REAL ESTATE FUND
  Registered Investment Company             16,369  

40


 

     
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2006
  Schedule I
                         
   
T ROWE PRICE SMALL CAP STOCK
  Registered Investment Company             4,470  
   
TARGET MODERATE ALLOCATION CL C N/C
  Registered Investment Company             15,834  
   
TEMPLETON DEVELOPING MARKETS ADVISOR CL
  Registered Investment Company             37,562  
   
THE CONTRARIAN FUND N/C
  Registered Investment Company             20,749  
   
THIRD AVE SMALL CAP VALUE FD
  Registered Investment Company             48,270  
   
THIRD AVENUE INTL VALUE
  Registered Investment Company             27,019  
   
THIRD AVENUE REAL ESTATE VALUE
  Registered Investment Company             107,169  
   
THIRD AVENUE VALUE
  Registered Investment Company             125,014  
   
THOMPSON PLUMB GROWTH FUND
  Registered Investment Company             28,908  
   
TIMOTHY PLAN CONSERV GROWTH CL C
  Registered Investment Company             18,444  
   
TIMOTHY PLAN FIXED INCOME CLASS C
  Registered Investment Company             3,302  
   
TIMOTHY PLAN STRATEG IC GROWTH CL C
  Registered Investment Company             10,637  
   
TOCQUEVILLE GOLD FUND
  Registered Investment Company             126,744  
   
TRANSAMERICA PREMIER BALANCED
  Registered Investment Company             354  
   
TWEEDY BROWN GLOBAL VALUE FUND
  Registered Investment Company             191,651  
   
UNDISCOVERED MGRS BEHAVIOR VALUE INSTL
  Registered Investment Company             8,326  
   
US GLOBAL REGION EAST EUROPEAN
  Registered Investment Company             46,281  
   
US GLOBAL RESOURCES
  Registered Investment Company             5,785  
   
US GOLD SHARES
  Registered Investment Company             1,473  
   
US WORLD PRECIOUS MINERALS
  Registered Investment Company             8,142  
   
UTILITIES ULTRA SECTOR PRO FUND INV
  Registered Investment Company             957  
   
VALUE LINE SMALL CAP GROWTH
  Registered Investment Company             14,799  
   
VAN KAMPEN EQUITY AND INCOME CLASS C
  Registered Investment Company             16,433  
   
VANGAURD MID CAP VALUE INDEX FD
  Registered Investment Company             5,852  
   
VANGUARD BALANCED INDEX
  Registered Investment Company             5,628  
   
VANGUARD BOND INDEX TOTAL MARKET
  Registered Investment Company             59,747  
   
VANGUARD EXTENDED MARKET INDEX TRUST
  Registered Investment Company             31,597  
   
VANGUARD FIXED INC HIGH YIELD CORP
  Registered Investment Company             64,264  
   
VANGUARD GLOBAL EQUITY
  Registered Investment Company             37,273  
   
VANGUARD GNMA
  Registered Investment Company             1,063  
   
VANGUARD GROWTH INDEX
  Registered Investment Company             5,978  
   
VANGUARD INDEX TRUST S&P 500 PORT
  Registered Investment Company             240,154  
   
VANGUARD INDEX TRUST SMALL CAP GROWTH
  Registered Investment Company             57,705  
   
VANGUARD INFLATION PROTECTED SECS
  Registered Investment Company             74,564  
   
VANGUARD INTERNATL VALUE PORTFOLIO
  Registered Investment Company             13,426  
   
VANGUARD INTER-TERM BOND INDEX PORT
  Registered Investment Company             51,370  
   
VANGUARD INTL EQUITYEUROPEAN
  Registered Investment Company             4,978  
   
VANGUARD INTL EQUITYPACIFIC
  Registered Investment Company             70,375  
   
VANGUARD LIFE STRAT MODERATE GROWTH
  Registered Investment Company             74,502  
   
VANGUARD MID CAP INDEX
  Registered Investment Company             170,820  
   
VANGUARD MID-CAP GROWTH FUND
  Registered Investment Company             5,768  
   
VANGUARD MUNI BOND INTERMEDIATE TM PORT
  Registered Investment Company             1,046  
   
VANGUARD PRECIOUS METALS & MINING FUND
  Registered Investment Company             16,756  
   
VANGUARD SHORT TERM BOND INDEX
  Registered Investment Company             106,695  
   
VANGUARD SHORT TERM CORP FIXED INC SECS
  Registered Investment Company             19,544  
   
VANGUARD SMALL CAP STOCK INDEX TRUST
  Registered Investment Company             55,884  
   
VANGUARD SPECIALIZED ENERGY PORT
  Registered Investment Company             168,231  
   
VANGUARD SPECIALIZED REIT INDEX FUND
  Registered Investment Company             94,647  
   
VANGUARD STRATEGIC EQUITY
  Registered Investment Company             45,428  
   
VANGUARD TARGET RET 2035 FD INVESTOR CL
  Registered Investment Company             231,918  
   
VANGUARD TOTAL INTL STOCK INDEX FUND
  Registered Investment Company             53,765  
   
VANGUARD TOTAL STOCK MARKET
  Registered Investment Company             76,302  
   
VANGUARD UTILITIES INCOME
  Registered Investment Company             4,146  
   
VANGUARD VALUE INDEX
  Registered Investment Company             12,077  
   
VANGUARD WELLINGTON FUND
  Registered Investment Company             152,284  
   
VANGUARD WINDSOR II
  Registered Investment Company             84,951  
   
VANGUARD WINDSOR II ADMIRAL
  Registered Investment Company             136,777  
   
VANGUARD/WELLESLEY INCOME
  Registered Investment Company             81,453  
   
VICE FUND
  Registered Investment Company             14,569  
   
WASATCH HERITAGE GROWTH FUND
  Registered Investment Company             32,165  
   
WASATCH SMALL CAP GROWTH
  Registered Investment Company             16,775  
   
WASATCH SMALL CAP VALUE
  Registered Investment Company             53,737  
   
WEITZ PARTNERS VALUE
  Registered Investment Company             43,009  

41


 

     
Baxter International Inc. and Subsidiaries
Incentive Investment Plan
   
Schedule H, Line 4i - Schedule of Assets (Held at End of Year)
December 31, 2006
  Schedule I
                         
   
WEITZ VALUE
  Registered Investment Company             35,553  
   
WELLS FARGO ASIA PACIFIC FD-INVESTOR
  Registered Investment Company             27,522  
   
WELLS FARGO C&B MID CAP VALUE FD CL D N/C
  Registered Investment Company             8,846  
   
WESTWOOD EQUITY FUND CL AAA
  Registered Investment Company             102,960  
   
WHITE OAK GROWTH STOCK
  Registered Investment Company             999  
   
WILLIAM BLAIR INT’L GROWTH FUND
  Registered Investment Company             10,837  
   
WINTERGREEN FUND
  Registered Investment Company             40,295  
   
YACKTMAN FUND
  Registered Investment Company             16,163  
   
 
                 
   
 
                   
   
Registered Investment Companies
              $ 13,602,410  
   
 
                 
   
 
                   
*  
Participant Loans
  Interest rates range from 5.00% to 10.00%           $ 29,619,239  
   
 
                 
   
 
                   
   
Collateral Held on Loaned Securities:
                   
   
QUALITY D SHORT-TERM INVESTMENT FUND
  Commingled Fund           $ 87,326,904  
   
 
                 
   
 
                   
   
Total Investments
              $ 1,715,249,982  
   
 
                 
*   Party-in-interest
 
**   Investments underlying the Stable Income Fund, Composite Fund and General Equity Fund are considered non-participant-directed for purposes of reporting cost information within this schedule. All other investments are considered to be participant-directed, for which cost information is not required to be reported.

42


 

Baxter International Inc. and Subsidiaries

Incentive Investment Plan
Schedule H, Line 4j — Schedule of Reportable Transactions
Year Ended December 31, 2006 Schedule II

                                                 
Current Value
of Asset on
Purchase Selling Cost of Transaction Net Gain
Identity of Party Involved Description of Asset Price Price Asset Date or (Loss)







State Street Bank and Trust Company
Short-Term Investment Fund
    Interest-bearing cash     $ 408,915,977     $ 406,653,627     $ 406,653,627     $ 406,653,627     $  
United States Treasury Bond
    4.500 15FEB36       48,626,083       42,955,771       42,767,304       42,955,771       188,467  
43


 

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 27, 2007  By:   /s/ Robert M. Davis    
    Robert M. Davis   
    Corporate Vice President and
Chief Financial Officer 
 
 
44