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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington D.C. 20549
FORM 11-K
(Mark One)
     
þ   ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
For the fiscal year ended December 31, 2010
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 001-16167
A. Full title of the plan and the address of the plan, if different from that of issuer named below:
MONSANTO SAVINGS AND INVESTMENT PLAN
B. Name of issuer of the securities held pursuant to the plan and the address of its principal executive office:
MONSANTO COMPANY
800 North Lindbergh Blvd.
St. Louis, MO 63167
 
 

 


 

MONSANTO SAVINGS AND INVESTMENT PLAN
FINANCIAL STATEMENTS AS OF DEC. 31, 2010 AND 2009,
AND FOR THE YEAR ENDED DEC. 31, 2010, AND SUPPLEMENTAL SCHEDULES
AS OF AND FOR THE YEAR ENDED DEC. 31, 2010, AND
REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

 


 

MONSANTO SAVINGS AND INVESTMENT PLAN
Financial Statements and Supplemental Schedules
Table of Contents
         
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Financial Statements:
       
 
       
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          NOTE:   All other schedules required by Section 2520.103-10 of the Department of Labor’s Rules and Regulations for Reporting and Disclosures 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 Trustees and Participants of Monsanto Savings and Investment Plan,
Pension and Savings Funds Investment Committee of Monsanto Company,
and Monsanto Company Employee Benefits Plans Committee
We have audited the accompanying statements of net assets available for benefits of Monsanto Savings and Investment Plan (the “Plan”) as of December 31, 2010 and 2009, and the related statement of changes in net assets available for benefits for the year ended December 31, 2010. These financial statements are the responsibility of the Plan’s management. Our responsibility is to express an opinion on these financial statements based on our audits.
We conducted our audits in accordance with 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. The Plan is not required to have, nor were we engaged to perform, an audit of its internal control over financial reporting. Our audits included consideration of internal control over financial reporting as a basis for designing audit procedures that are appropriate in the circumstances, but not for the purpose of expressing an opinion on the effectiveness of the Plan’s internal control over financial reporting. Accordingly, we express no such opinion. An audit also 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, as well as evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.
In our opinion, such financial statements present fairly, in all material respects, the net assets available for benefits of the Plan as of December 31, 2010 and 2009, and the changes in net assets available for benefits for the year ended December 31, 2010 in conformity with accounting principles generally accepted in the United States of America.
Our audits were conducted for the purpose of forming an opinion on the basic financial statements taken as a whole. The supplemental schedules of (1) Schedule of Assets (Held at End of Year) as of December 31, 2010, (2) Schedule of Assets (Acquired and Disposed of Within Year) for the Year Ended Dec. 31, 2010, (3) Schedule of Reportable Transactions for the Year Ended December 31, 2010, and (4) Schedule of Loans or Fixed Income Obligations in Default or Classified as Uncollectible for the Year Ended December 31, 2010 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. Such supplemental schedules have been subjected to the auditing procedures applied in our audit of the basic 2010 financial statements and, in our opinion, are fairly stated in all material respects when considered in relation to the basic financial statements taken as a whole.
/s/ Deloitte & Touche LLP
St. Louis, Missouri
June 17, 2011

1


 

MONSANTO SAVINGS AND INVESTMENT PLAN
STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS
                 
    As of Dec. 31,
(Dollars in thousands)   2010   2009
     
ASSETS:
               
Investments:
               
Common stock — Monsanto Company — Allocated
  $ 671,656     $ 820,299  
Common stock — Monsanto Company — Unallocated
    79,675       150,383  
     
Total common stock — Monsanto Company
    751,331       970,682  
Cash and temporary investments
    50,686       46,479  
Debt securities including U.S. Government securities (securities on loan $106 in 2010 and $375 in 2009)
    65,840       66,657  
Common and preferred stock — other (securities on loan $17,814 in 2010 and $27,369 in 2009)
    549,264       451,755  
Collective investment funds
    364,799       361,987  
Synthetic guaranteed investment contracts (underlying securities on loan $22,935 in 2009) at fair value
    571,000       565,228  
Collateral held under securities lending agreements
    18,371       52,051  
     
Total investments
    2,371,291       2,514,839  
 
               
Receivables:
               
Employee contribution receivable
    2,944       2,997  
Employer contribution receivable
    56,748       52,558  
Dividends, interest and trades receivable
    1,622       5,768  
Loans to participants, interest rates from 3.25% to 9.5%, maturities through December 2014
    28,122       26,511  
     
Total receivables
    89,436       87,834  
 
               
     
Total assets
    2,460,727       2,602,673  
     
 
               
LIABILITIES:
               
Liability to return collateral held under securities lending agreements
    18,371       52,169  
Deferred employer contribution
    56,748       52,558  
ESOP debt
    3,395       5,236  
Other liabilities
    616        
Amount payable for investment securities transactions
    1,597       1,199  
     
 
               
Total liabilities
    80,727       111,162  
     
 
               
NET ASSETS AVAILABLE FOR BENEFITS REFLECTING INVESTMENTS AT FAIR VALUE
    2,380,000       2,491,511  
     
 
               
Adjustment from fair value to contract value for fully benefit-responsive investment contracts
    (24,601 )     (9,770 )
     
 
               
NET ASSETS AVAILABLE FOR BENEFITS
  $ 2,355,399     $ 2,481,741  
     
See Accompanying Notes to Financial Statements.

2


 

MONSANTO SAVINGS AND INVESTMENT PLAN
STATEMENT OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS
         
    Year Ended  
    Dec. 31,  
(Dollars in thousands)   2010  
CONTRIBUTIONS:
       
Employee contributions
  $ 87,254  
Employer contributions
    1,611  
Rollovers from other plans
    7,803  
 
     
Total contributions
    96,668  
 
       
INVESTMENT INCOME (LOSS):
       
(Depreciation) appreciation in fair value of investments
       
 
       
Common stock — Monsanto Company
    (150,351 )
Debt securities
    1,580  
Common and preferred stock — other
    65,773  
Collective investment funds
    41,445  
 
     
Total depreciation in fair value of investments — net
    (41,553 )
Interest
    30,478  
Dividends
    17,420  
 
     
Total investment income
    6,345  
 
     
 
       
INTEREST ON LOANS TO PARTICIPANTS
    1,169  
 
       
OTHER DEDUCTIONS:
       
Interest expense on ESOP debt
    (189 )
Administrative and investment management expenses
    (5,457 )
Benefits paid to participants
    (224,878 )
 
     
Total other deductions
    (230,524 )
 
     
 
       
DECREASE IN NET ASSETS AVAILABLE FOR BENEFITS
    (126,342 )
 
       
NET ASSETS AVAILABLE FOR BENEFITS — Beginning of year
    2,481,741  
 
     
 
       
NET ASSETS AVAILABLE FOR BENEFITS — End of year
  $ 2,355,399  
 
     
See Accompanying Notes to Financial Statements.

3


 

MONSANTO SAVINGS AND INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS
AS OF DEC. 31, 2010 AND DEC. 31, 2009 AND FOR THE YEAR ENDED DEC. 31, 2010
NOTE 1. INFORMATION REGARDING THE PLAN
GENERAL
The following description of the Monsanto Savings and Investment Plan (the “Plan” or the “SIP”) provides only general information. Participants should refer to the Plan document for a more complete description of the Plan’s provisions.
The Plan was established as of June 11, 2001, as a successor to a portion of the Pharmacia Corporation Savings and Investment Plan (“Pharmacia Plan”) for the benefit of certain employees and former employees (“Transferred Participants”) of Monsanto Company (“Monsanto” or the “Company”). Effective July 1, 2001, the assets of the Pharmacia Plan that were allocated to the accounts of the Transferred Participants were transferred to the trust established under the Plan. Also effective July 1, 2001, a portion of the unallocated assets and liabilities (primarily debt) of the leveraged employee stock ownership plan (“ESOP”) component of the Pharmacia Plan were transferred to the Plan.
ADMINISTRATION
Monsanto is the sponsor of the Plan. The Monsanto Company Employee Benefits Plans Committee (“Administrative Committee”) is responsible for administering the Plan in accordance with the Employee Retirement Income Security Act of 1974 (“ERISA”) and Plan documents. Fidelity Workplace Investing LLC serves as the record keeper of the Plan. The Monsanto Pension and Savings Funds Investment Committee (“Investment Committee”) is responsible for monitoring Plan investments. The trustee of the Plan is The Northern Trust Company (“Northern”).
PARTICIPANT ACCOUNTS
The Plan is a contributory defined contribution profit sharing plan with individual accounts for each participant. U.S. employees classified as “regular employees” and who have attained age 18 generally are eligible to participate in the Plan upon employment. U.S. employees classified as “temporary employees” and who have attained age 18 generally are eligible to participate in the Plan after 1,000 hours of service. The cost of Plan administration is borne by Plan participants.
Each participant’s account is credited with the participant’s contributions, Company contributions and the pro-rata share of any Plan investment earnings and is reduced by the pro-rata share of any Plan investment losses, transaction costs and certain administrative and investment management expenses. Participants’ accounts are valued on a daily basis. The benefit to which a participant is entitled is the benefit that can be provided from the participant’s vested account balance.
EMPLOYEE CONTRIBUTIONS
The Plan provides for voluntary employee contributions generally ranging from one percent to 25 percent of an employee’s eligible pay. Employees have an option to make before-tax contributions or after-tax contributions. Subject to annual limits on before-tax contributions and the results of required Internal Revenue Service (“IRS”) discrimination testing, contributions may be all before-tax, all after-tax, or a combination of both. Plan participants other than those also participating in the Company’s ERISA Parity Savings and Investment Plan may change the amounts of their contributions on a daily basis. Generally, participant contributions to the Plan may be invested in one percent increments and, during 2009 and 2010, could be allocated in any combination to the following investment fund options at the direction of the participant: a fixed income fund, a balanced fund consisting of both fixed income and equity securities, a growth and income equity fund, an international equity fund, a growth equity fund, a U.S. equity index fund, a treasury inflation-protected securities (TIPS) bond fund, a value equity fund, a small cap growth equity fund, a small cap value equity fund, the Monsanto Stock Fund, which invests in Monsanto common stock, and four asset allocation funds consisting of varying pre-set mixes of certain of the aforementioned investment funds. The four asset allocation funds allow participants varying degrees of risk and return. The Plan includes targeted “roundtrip” participant trading restrictions. A roundtrip is defined as an exchange in and then out of a fund in less than a 30-day period. Under these restrictions, participants are limited to one roundtrip transaction per fund within any 90-day rolling period and four roundtrip transactions across all funds over a rolling 12-month period. These targeted restrictions apply to all investment options except the Fixed Income Fund. Generally, participants may

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MONSANTO SAVINGS AND INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS (continued)
AS OF DEC. 31, 2010 AND DEC. 31, 2009 AND FOR THE YEAR ENDED DEC. 31, 2010
transfer their contributions, Company contributions and any earnings thereon among the investment options on a daily basis, subject to the roundtrip trading restrictions described above.
The Plan has an automatic enrollment feature with respect to newly hired employees. If the employee is eligible to participate in the SIP, he or she will be automatically enrolled in the Plan at a four percent before-tax salary deferral rate, 45 days after date of hire or rehire (or for temporary employees hired on or after July 1, 2007, 45 days after completing 1,000 hours of service) unless, within such 45 day period he or she elects not to participate.
Participants may be eligible to make a before-tax catch-up contribution if they are at least age 50 on or before the end of the calendar year and either currently contributing at least 7 percent of their eligible pay per pay period to the SIP or had reached the IRS annual limit on before-tax contributions ($16,500 in 2010). For 2010, eligible participants could have elected a before-tax catch-up contribution of up to $5,500. The catch-up contributions are not eligible for Company matching contributions and are subject to the same rules as other before-tax contributions. The annual catch-up contribution limit may increase in future years in accordance with limits prescribed by the IRS.
The before-tax option allows participants to elect to make before-tax contributions from eligible gross pay before most income taxes are deducted. Participants generally cannot withdraw before-tax contributions without income tax penalties until age 59 1/2, disability, death, separation from service after age 55, or for payments that are part of a series of substantially equal periodic payments made for the life of the employee or the joint lives of the employee and a designated beneficiary. After-tax contributions are made from participants’ eligible pay after income taxes are deducted. Withdrawal of after-tax employee contributions can be made with no penalty.
COMPANY CONTRIBUTIONS AND VESTING
Employee contributions to the Plan, up to a maximum of seven percent of eligible pay, generally are matched 60 percent by Monsanto. In 2010 and 2009, Company matching contributions of $29.3 million and $33.5 million, respectively, were applied to the Plan. The Plan also has a Company discretionary match contribution feature. Generally, Company matching contributions are invested in Monsanto common stock held in the Monsanto Stock Fund investment option in participants’ accounts. Participants may transfer matching contributions and all other amounts from the Monsanto Stock Fund into any other investment option available under the Plan at any time, whether or not they are fully vested in those amounts.
In December 2010 and 2009, Monsanto determined that a discretionary matching contribution of an additional 10 percent and 20 percent, respectively, on the first 10 percent of eligible pay would be made to active participants employed by the Company on Dec. 31, 2010, and 2009, as applicable. The value of these discretionary matching contributions of $6.9 million and $15.0 million, respectively, were applied to the Monsanto Stock Fund investment option in eligible participants’ accounts in February 2011 and March 2010, respectively, through an allocation of previously unallocated Monsanto Company common stock held by the ESOP, based on the value of a share of Monsanto common stock on Feb. 18, 2011, and March 30, 2010, respectively.
In order for the Plan to pass certain IRS nondiscrimination testing requirements with respect to each of the 2010 and 2009 Plan years, the Company made Qualified Non-Elective Contributions (“QNECs”), each in an amount equivalent to 5 percent of eligible pay to all non-highly compensated employees of the Company and other employees participating in the Plan whose total Plan eligible pay in 2010 was $280.00 or less and in 2009 was $604.74 or less, were at least age 21, and had at least one year of service by Dec. 31, 2010, and 2009, respectively, whether or not the employee was contributing to the Plan. As permitted by the terms of the Plan, amounts attributable to Plan forfeitures as of Dec. 31, 2010, and 2009, were used to fund each of the QNECs. A QNEC in an amount of less than $0.1 million was allocated to eligible participants’ accounts in each of May 2011 and June 2010. The contributions were applied to eligible participants’ accounts in accordance with their then-current investment elections for participant contributions. In the absence of such election, the contribution was applied to the participant’s account in accordance with the Plan’s default investment option, the Moderately Aggressive pre-mixed portfolio.
Generally, Company contributions vest and become non-forfeitable at the rate of 20 percent per year of service, such that Company contributions are 100 percent vested after five years of service; participants receiving a QNEC referred to above are fully vested in those amounts. Company contributions immediately vest upon a change of control of the

5


 

MONSANTO SAVINGS AND INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS (continued)
AS OF DEC. 31, 2010 AND DEC. 31, 2009 AND FOR THE YEAR ENDED DEC. 31, 2010
Company, as defined in the Plan.
An actively employed Plan participant with at least five years of service under the Plan may, at any time, withdraw all or a portion of his or her account attributable to participant after-tax contributions and vested Company contributions. An actively employed Plan participant with less than five years of service under the Plan may, at any time, withdraw all or a portion of his or her account attributable to participant after-tax contributions and vested Company contributions (other than those Company contributions made to the account during the immediately preceding 24 months).
LEVERAGED ESOP
Pursuant to the establishment of the Plan in 2001, a portion of the original ESOP debt component of the Pharmacia Plan was transferred to the Plan, and restructured and refinanced. Following the spinoff of Monsanto from Pharmacia on Aug. 13, 2002, the unallocated Pharmacia shares held by the Plan’s ESOP component were gradually converted to shares of Monsanto common stock through open market transactions and through the exchange of Pharmacia stock for Monsanto common stock with certain Pharmacia employee benefit plans at market rates. The unallocated shares of Monsanto common stock, which were converted from Pharmacia shares as described above, held by the Plan’s ESOP component are released for allocation to participant accounts in accordance with the terms of the Plan as principal and accrued interest on the ESOP promissory note are paid.
In December 2004 the Plan’s ESOP debt was restructured and refinanced, (the “2004 refinancing”) The terms of the restructuring were determined pursuant to an arm’s length negotiation between Monsanto and an independent trust company as fiduciary for the Plan.
Under the terms of the 2004 refinancing, Monsanto committed to funding an additional $41 million to the Plan before Dec. 31, 2017 above the number of shares currently scheduled for release under the restructured debt schedule. As of Dec. 31, 2010, and 2009, the Plan has recorded an employer contribution receivable of $52 million and $48 million, respectively, and a deferred employer contribution of $52 million and $48 million, respectively, related to the 2004 refinancing agreement. The employer contribution receivable and deferred employer contribution related the 2004 refinancing have increased because of the accretion as defined in the agreement.
In November 2008 the Plan’s ESOP debt was again restructured and refinanced (the “2008 refinancing”) with a single ESOP promissory note to Monsanto, payable in the principal amount of $9.5 million, bearing interest at the rate of 4.20% per annum, and having a maturity date of Dec. 31, 2027 (the “4.20% Note”). The terms of the restructuring were determined pursuant to an arm’s length negotiation between Monsanto and an independent trust company as fiduciary for the Plan. In this role, the independent fiduciary determined that the restructuring, including certain financial commitments and enhancements that were or will be made in the future by Monsanto to benefit participants and beneficiaries of the Plan, was completed in accordance with the best interests of Plan participants.
As of Dec. 31, 2010, the 4.20% Note had an outstanding principal balance of $3.4 million, which approximates fair value. Scheduled maturities on the 4.20% Note are $100,000 semi-annually in each Plan year until the principal is repaid in full. Interest on the 4.20% Note is payable semi-annually on June 30 and December 31 of each year. The borrowing is collateralized by the unallocated shares of Monsanto common stock in the ESOP suspense account. The minimum number of shares allocated to participant accounts under the ESOP in a given year is determined by the Plan’s net debt service (principal and interest) during that year relative to the total amount of the Plan’s remaining debt service as of the beginning of that year. The 2008 refinancing resulted in a decrease in the minimum number of shares to be allocated in 2010 when compared with allocations that previously would have been required. The reduction of shares allocated in 2010 will result in more shares available for allocation in subsequent years.
Under the terms of the 2008 refinancing, Monsanto committed to funding an additional $8 million to the Plan, above the number of shares currently scheduled for release under the restructured debt schedule. As of Dec. 31, 2010, $5 million of the commitment remains. As of Dec. 31, 2010, and 2009, the Plan has recorded an employer contribution receivable of $5 million, and a deferred employer contribution of $5 million, related to the 2008 refinancing.
The Plan obtains the funds to repay the ESOP debt to Monsanto primarily through Company contributions and dividends paid on Monsanto common stock held in the ESOP. Employer contributions related to the refinancings are paid to the

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MONSANTO SAVINGS AND INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS (continued)
AS OF DEC. 31, 2010 AND DEC. 31, 2009 AND FOR THE YEAR ENDED DEC. 31, 2010
Plan based on scheduled ESOP debt repayments. In the year ended Dec. 31, 2010, the Plan paid ESOP principal and interest payments of $2 million solely through the use of dividends paid on Monsanto common stock held in the ESOP suspense account. While the ESOP debt is repaid semi-annually, shares of Monsanto common stock are released for allocation to participant accounts throughout the year. The remaining $5 million of the 2008 refinancing enhancement will be paid within five years after the ESOP debt is repaid. In the year ended Dec. 31, 2010, the Plan’s repayment of ESOP debt resulted in the release of approximately 695,000 equivalent shares of Monsanto common stock for allocation to participant accounts. As of Dec. 31, 2010, and 2009, approximately 1.1 million shares and 1.8 million shares, respectively, of Monsanto common stock remained unallocated with an approximate market value of $79 million and $150 million, respectively. $1.6 million in dividends on Monsanto common stock held in the ESOP are included in Employer contributions for 2010.
VOTING RIGHTS
Participants have the right to instruct the Plan’s trustee how to vote the shares of Monsanto common stock represented by units in their accounts. The Trustee will vote the unallocated shares in the same proportion as the allocated shares on which they receive voting instructions from participants.
PARTICIPANT LOANS
Most Plan participants can obtain loans from their accounts for up to five years at an interest rate in effect as of the effective date of the loan, as determined by the Administrative Committee. A participant with a Plan account balance in excess of $2,000 may borrow up to the lesser of 50 percent of the total vested account balance less any outstanding loan balances at the time of the loan, $50,000 minus the participant’s highest outstanding loan balances during the last year, or 100 percent of his or her employee account value excluding the employer portion and any outstanding loan balances at the time of the loan. The minimum loan is $1,000; generally, the maximum number of outstanding loans at any one time is two. No allowance for credit losses has been recorded as of Dec. 31, 2010, or Dec. 31, 2009. If a participant does not provide payment within 30 days of the monthly payment due date and fails to bring the delinquent payment current within a 30-day cure period, the unpaid loan balance, plus accrued interest, is deemed distributed to the participant and the participant’s Plan account is reduced by outstanding loan payment, all in accordance with Plan rules and procedures.
PAYMENT OF BENEFITS
On termination of service due to death, disability, or retirement, a participant may elect to receive either a lump-sum amount equal to the value of the participant’s vested interest in his or her account, or annual installments over a certain number of years. If employment is terminated before age 70 1/2, participants can elect to defer receiving benefits if their vested account balance is greater than $5,000.
FORFEITED ACCOUNTS
At Dec. 31, 2010, and 2009, the value of forfeited non-vested accounts totaled $0.7 million and $0.6 million, respectively. As permitted under the terms of the Plan, the Company determined to use $0.4 million of forfeited amounts to pay Plan administrative expenses during the plan year ended Dec. 31, 2009. During the Plan year ended Dec. 31, 2010, the Company determined to fund the less than $0.1 million QNEC with respect to the 2010 Plan year with forfeited amounts, and determined to apply approximately $1.7 million of forfeited amounts to fund Company matching contributions during June 2010.
NOTE 2. SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
The accompanying financial statements of the Plan have been prepared on the accrual basis of accounting.
The preparation of financial statements in conformity with accounting principles generally accepted in the United States of America requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities, disclosure of contingent liabilities at the date of the financial statements and reported amounts of increases and decreases during the reporting period. Actual results could differ from those estimates.

7


 

MONSANTO SAVINGS AND INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS (continued)
AS OF DEC. 31, 2010 AND DEC. 31, 2009 AND FOR THE YEAR ENDED DEC. 31, 2010
RISKS AND UNCERTAINTIES
The Plan is invested in various types of financial assets including common stock, debt securities and investment contracts, the values of which are determined by market factors including but not limited to interest rates, overall market volatility, credit ratings, and default rates. The investment values recorded in the financial statements as of Dec. 31, 2010, reflect the market environment, risks and uncertainties at that point in time. It is reasonably possible that subsequent changes in the market environment could result in investment values materially different from those shown in the financial statements.
INVESTMENT VALUATION AND INCOME RECOGNITION
The Plan’s investments are stated at fair value. Common stock is valued at quoted market prices. The common collective investment trust funds are stated at fair value as determined by the fund’s administrator based on the fair market value of the underlying investments. When available, fair value is determined by quoted market prices. Amounts for securities that have no quoted market price represent estimated fair value. Debt securities without quoted market prices are generally valued based on yields currently available on comparable securities of issuers with similar credit ratings and similar maturities. See Note 6 — Fair Value Measurements — for further details.
The fixed income fund is invested in synthetic guaranteed investment contracts, as described in Note 4. In accordance with Financial Services — Investment Companies topic of the Financial Accounting Standards Board (FASB) Accounting Standards Codification (ASC), the Statements of Net Assets Available for Benefits present the synthetic investment contracts at fair value, as well as an additional line item showing an adjustment of fully benefit-responsive investment contracts from fair value to contract value. The Statement of Changes in Net Assets Available for Benefits is presented on a contract value basis.
Purchases and sales of securities are recorded on a trade-date basis. Dividend income is recorded on the ex-dividend date. Realized gains and losses from security transactions are reported on the average cost method. In the Statement of Changes in Net Assets Available for Benefits, the Plan presents the net depreciation in the fair value of its investments, which consists of the realized gains and losses and the unrealized depreciation on these investments.
The Plan uses certain financial derivative instruments to hedge, acquire or change equity, currency or fixed income positions/durations in the portfolio. However, the Plan’s guidelines do not allow for derivatives to be used to leverage portfolio exposure. All derivatives are recognized in the synthetic guaranteed investment contracts on the Statement of Net Assets Available for Benefits at fair value adjusted to contract value. Changes in fair value of a derivative are recorded currently in the Statement of Changes in Net Assets as interest income.
The Plan pays certain outside service provider expenses (e.g. recordkeeping and trustee fees) incurred in the operation of the Plan. All investment manager fees are paid by the Plan and are included in administrative and investment management expenses. Certain other expenses are paid by Monsanto.
NEW ACCOUNTING STANDARDS
In January 2010, the FASB issued an amendment to the Fair Value Measurements and Disclosures topic of the ASC. This amendment requires disclosures about transfers into and out of Level 1 and 2 and separate disclosures about purchases, sales, issuances, and settlements relating to Level 3 measurements. It also clarifies existing fair value disclosures about the level of disaggregation and about inputs and valuation techniques used to measure fair value. This amendment is effective for periods beginning after Dec. 15, 2009. Accordingly, the Plan adopted this amendment as of Jan. 1, 2010.
In July 2010, the FASB issued a new update that requires enhanced disclosures regarding credit quality and the related allowance for credit losses of financing receivables. The new disclosures will require additional information for nonaccrual and past due accounts, the allowance for credit losses, impaired loans, credit quality, and account modifications. Accordingly, the Plan will include the new disclosure requirements as of the end of the reporting period beginning as of Dec. 31, 2010, and the disclosures related to activities during the reporting period beginning as of Jan. 1, 2011. See Note 1 — Information Regarding the Plan — for further information.

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MONSANTO SAVINGS AND INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS (continued)
AS OF DEC. 31, 2010 AND DEC. 31, 2009 AND FOR THE YEAR ENDED DEC. 31, 2010
In September 2010, the FASB issued a new update that requires participant loans to be classified as notes receivable in conformity with accounting principles generally accepted in the United States and measured at unpaid principal balance plus accrued but unpaid interest. Adopting this new standard eliminates the need to calculate fair values and present disclosures for these loans in accordance with FASB ASC 820. Prior-period participant loans have been reclassified to conform with the current-year presentation. Prior to the adoption of this new standard, participant loans were classified as investments.
NOTE 3. NONPARTICIPANT-DIRECTED INVESTMENTS
All funds in the Plan are participant-directed except as noted below. Common stock — Monsanto Company includes both participant and nonparticipant-directed investments and only the nonparticipant-directed portion is shown below.
Information about the investments and the significant components of the changes in investments relating to the nonparticipant-directed investment amounts in the Plan (as of Dec. 31, 2010, and Dec. 31, 2009, and the year ended Dec. 31, 2010) is outlined in the table below.
                 
    As of Dec. 31,
(Dollars in thousands)   2010   2009
     
Investments:
               
Cash and temporary investments
  $ 3,682     $ 2,951  
Dividends and interest receivable
          4,109  
Common stock — Monsanto Company
    501,954       667,556  
     
 
               
Total Investments
  $ 505,636     $ 674,616  
     
         
    Year Ended  
(Dollars in thousands)   Dec. 31, 2010  
Changes in Investments:
       
Interest income
  $ 3  
Dividends
    8,321  
Net depreciation
    (104,444 )
Interest expense on ESOP debt
    (189 )
Administrative and investment management expense
    (2,367 )
Benefit payments and transfers
    (70,304 )
 
     
Changes in Investments
  $ (168,980 )
 
     
NOTE 4. GUARANTEED INVESTMENT CONTRACTS
The fixed income fund invests in synthetic guaranteed investment contracts (“Synthetic GICs”). A Synthetic GIC consists of an underlying portfolio of fixed income assets which are held by the trustee and owned by the plan and benefit-responsive wrap contracts (“Contracts”) issued by financial services companies. Separate, individual Contracts were in place on Dec. 31, 2010, with Monumental Life Insurance Company, J.P. Morgan Chase Bank and Prudential Insurance Company. The Contracts provide that participants execute plan transactions at contract value. Contract value represents contributions made to the fund, plus earnings, less participant withdrawals. The interest rates are reset quarterly based on the current yield of the underlying investments, the duration of the underlying investments and the spread between the market value and contract value, but the rate cannot be less than zero percent. Certain employer-initiated events such as a Plan merger or termination could limit the ability of the Plan to transact at contract value or could allow for the termination of the Contract at less than contract value. The Company believes that the occurrence of events that would cause the Plan to transact at less than contract value is probable of not occurring.

9


 

MONSANTO SAVINGS AND INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS (continued)
AS OF DEC. 31, 2010 AND DEC. 31, 2009 AND FOR THE YEAR ENDED DEC. 31, 2010
The following summarizes the contract value of the Synthetic GICs as of Dec. 31, 2010, and Dec. 31, 2009.
                 
Guaranteed Investment Contracts   As of Dec. 31,
(Dollars in thousands)   2010   2009
     
Commonwealth General Corporation
  $     $ 222,184  
J.P. Morgan Chase Bank
    166,984       166,637  
State Street Bank
          166,637  
Monumental Life Insurance Company
    219,296        
Prudential Insurance Company
    160,119        
     
Total
  $ 546,399     $ 555,458  
     
The rate of return for the Synthetic GICs currently in place generally fluctuates with the return on the underlying assets. The 12-month average yield for such contracts, net of all applicable administrative and investment fees, was 4.38 percent for the period from Jan. 1, 2010, to Dec. 31, 2010. Participant accounts are credited with an interest rate which is determined quarterly by the issuers of the benefit responsive contracts based on the investments in the underlying fixed income portfolio. The annualized gross crediting interest rates as of Dec. 31, 2010, and Dec. 31, 2009 were 4.75 percent and 4.46 percent, respectively.
NOTE 5. INVESTMENTS
Investments that represent more than 5 percent of the net assets available for benefits as of either Dec. 31, 2010, or Dec. 31, 2009, were as follows:
                 
    As of Dec. 31,
(Dollars in thousands)   2010   2009
     
Common stock — Monsanto Company (partially nonparticipant directed)
  $ 751,331     $ 970,682  
Collective investment funds:
               
Capital Guardian International Equity Fund
          144,120  
Mellon Equity Index Fund
    147,508        
At Dec. 31, 2010, the Plan participated in a securities lending program through Northern, whereby the Plan’s investment securities are loaned to broker-dealers. Securities so loaned are fully collateralized primarily by cash and U.S. government securities. U.S. securities are loaned and collateralized by securities valued at 102 percent of the market value of the securities plus any accrued interest (105 percent for non-U.S. securities). As the market value of the securities loaned changes, the borrower must adjust the collateral accordingly. Northern pools all collateral received from securities lending transactions and invests any cash collateral in an actively managed commingled (i.e., pooled) fund. The Plan holds a prorated share of the collateral provided to Northern by the borrowers of the securities. Each investment option within the Plan that participates in the program receives its pro-rata share of the income or loss earned by the collateral investment fund monthly and is reflected in the calculation of the investment option’s net asset value (NAV).
The Investment Committee, Northern or the borrower has the right to close the loan at any time. When the loan closes, the borrower returns the securities to Northern who returns the associated collateral to the borrower. The Plan cannot pledge or sell the collateral unless the borrower fails to return the securities borrowed. At Dec. 31, 2010, and 2009, approximately $18 million and $51 million, respectively, of the Plan’s securities were on loan under these programs, and collateral held was $18 million and $52 million (net of deficiency impairment loss), respectively. As of Dec. 31, 2010, there was no deficiency impairment, and as of Dec. 31, 2009, the remaining deficiency impairment was $0.1 million. Income from this program was $0.1 million for the year ended Dec. 31, 2010. As of Jan. 31, 2011, the Plan no longer participates in the securities lending program.

10


 

MONSANTO SAVINGS AND INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS (continued)
AS OF DEC. 31, 2010 AND DEC. 31, 2009 AND FOR THE YEAR ENDED DEC. 31, 2010
NOTE 6. FAIR VALUE MEASUREMENTS
The Plan determined the fair market values of its investments based on the fair value hierarchy established in the Fair Value Measurements and Disclosures topic of the ASC, which requires an entity to maximize the use of observable inputs and minimize the use of unobservable inputs when measuring fair value. The hierarchy contains three levels as follows, with Level 3 representing the lowest level of input:
     Level 1 — Values based on unadjusted quoted prices in active markets that are accessible at the measurement date for identical assets or liabilities.
     Level 2 — Values based on quoted prices for similar instruments in active markets, quoted prices for identical or similar instruments in markets that are not active, or model-based valuation techniques for which all significant assumptions are observable in the market.
     Level 3 — Values generated from model-based techniques that use significant assumptions not observable in the market. These unobservable assumptions would reflect our own estimates of assumptions that market participants would use in pricing the asset or liability. Valuation techniques could include use of option pricing models, discounted cash flow models and similar techniques.

11


 

MONSANTO SAVINGS AND INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS (continued)
AS OF DEC. 31, 2010 AND DEC. 31, 2009 AND FOR THE YEAR ENDED DEC. 31, 2010
The following tables set forth by level the Plan’s investment assets that were accounted for at fair value on a recurring basis as of Dec. 31, 2010, and Dec. 31, 2009. As required by the Fair Value Measurements and Disclosures topic of the ASC, assets are classified in their entirety based on the lowest level of input that is a significant component of the fair value measurement. The Plan’s assessment of the significance of a particular input to the fair value measurement requires judgment and may affect the classification of fair value assets within the fair value hierarchy levels.
                                         
            Fair Value Measurements at Dec. 31, 2010 Using
    Quoted Prices in           Significant            
    Active Markets for   Significant Other   Unobservable            
    Identical Items   Observable Inputs   Inputs           Balance as of
(Dollars in thousands)   (Level 1)   (Level 2)   (Level 3)   Offset   Dec. 31, 2010
 
Investments at Fair Value:
                                       
Common Stock — Monsanto Company
  $ 751,331     $     $     $     $ 751,331  
Cash and Temporary Investment Funds
          50,686                   50,686  
Debt Securities:
                                       
U.S. Government Debt
          3,875                   3,875  
U.S. Agency Debt:
                                       
U.S. Agency Debentures
          907                   907  
U.S. Agency Mortgages
          28,477                   28,477  
U.S. State & Municipal Debt
          2,714                   2,714  
Foreign Government Debt
          479                   479  
U.S. Corporate Debt
          27,015                   27,015  
Asset-Backed Securities
          2,373                   2,373  
     
Total Debt Securities
          65,840                   65,840  
Common and Preferred Stock — Other:
                                       
Domestic Small Capitalization
    275                         275  
Domestic Large Capitalization
    410,546                         410,546  
International Developed Markets
    121,293                         121,293  
Emerging Markets
    15,979       1,171                   17,150  
     
Total Common and Preferred Stock — Other
    548,093       1,171                   549,264  
Collective Investment Funds:
                                       
Common Stock:
                                       
Domestic Large Capitalization
          179,659                   179,659  
Domestic Small Capitalization
          91,920                   91,920  
International
          51,028                   51,028  
Debt Securities Funds
          42,192                   42,192  
     
Total Collective Investment Funds
          364,799                   364,799  
Synthetic Guaranteed Investment Contracts:
                                       
Cash and Temporary Investments
    1,055       35,811             (25,813) (1)     11,053  
Debt Securities:
                                       
U.S. Government Debt
          167,471                   167,471  
U.S. Agency Debt:
                                       
U.S. Agency Debentures
          24,249                   24,249  
U.S. Agency Mortgages
          165,379                   165,379  
U.S. State & Municipal Debt
          1,537                   1,537  
Foreign Government Debt
          8,134                   8,134  
U.S. Corporate Debt
          152,782                   152,782  
Foreign Corporate Debt
          22,522                   22,522  
Mortgage-Backed Securities
          7,764                   7,764  
Asset-Backed Securities
          10,109                   10,109  
Interest Rate Futures
    (42 )                 42 (2)      
     
Total Synthetic Guaranteed Investment Contracts
    1,013       595,758             (25,771 )     571,000  
Collateral Held Under Securities Lending Agreements Commingled Fund
          18,371                   18,371  
 
Total Investments at Fair Value
  $ 1,300,437     $ 1,096,625     $     $ (25,771 )   $ 2,371,291  
 
 
(1)   Offset for cash & temporary investments held within the synthetic guaranteed investment contracts represents unsettled pending purchases and sales.
 
(2)   Interest rate futures have been offset by cash collateral held by the counterparty

12


 

MONSANTO SAVINGS AND INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS (continued)
AS OF DEC. 31, 2010 AND DEC. 31, 2009 AND FOR THE YEAR ENDED DEC. 31, 2010
                                         
            Fair Value Measurements at Dec. 31, 2009 Using
    Quoted Prices in           Significant            
    Active Markets for   Significant Other   Unobservable            
    Identical Items   Observable Inputs   Inputs           Balance as of
(Dollars in thousands)   (Level 1)   (Level 2)   (Level 3)   Offset   Dec. 31, 2009
 
Investments at Fair Value:
                                       
Common Stock — Monsanto Company
  $ 970,682     $     $     $     $ 970,682  
Cash and Temporary Investment Funds
          46,479                   46,479  
Debt Securities:
                                       
U.S. Government Debt
          6,382                   6,382  
U.S. Agency Debt:
                                       
U.S. Agency Debentures
          997                   997  
U.S. Agency Mortgages
          28,338                   28,338  
U. S. State & Municipal Debt
          1,519                   1,519  
Foreign Government Debt
          1,442                   1,442  
U. S. Corporate Debt
          25,445                   25,445  
Asset-Backed Securities
          2,534                   2,534  
     
Total Debt Securities
          66,657                   66,657  
Common and Preferred Stock — Other:
                                       
Domestic Small Capitalization
    28,881                         28,881  
Domestic Large Capitalization
    422,874                         422,874  
     
Total Common and Preferred Stock — Other
    451,755                         451,755  
Collective Investment Funds:
                                       
Common Stock Other Funds
          327,236                   327,236  
Debt Securities Funds
          34,751                   34,751  
     
Total Collective Investment Funds
          361,987                   361,987  
Synthetic Guaranteed Investment Contracts:
                                       
Cash and Temporary Investments
    1,055       25,629             (21,616 )(3)     5,068  
Debt Securities:
                                       
U.S. Government Debt
          103,217                   103,217  
U.S. Agency Debt:
                                       
U.S. Agency Debentures
          26,837                   26,837  
U.S. Agency Mortgages
          222,428                   222,428  
U.S. State & Municipal Debt
          1,516                   1,516  
Foreign Government Debt
          7,587                   7,587  
U.S. Corporate Debt
          139,812                   139,812  
Foreign Corporate Debt
          30,240                   30,240  
Mortgage-Backed Securities
          20,656                   20,656  
Asset-Backed Securities
          7,834                   7,834  
Collective Investment Funds
          33                   33  
Derivative Futures
    (267 )                 267 (4)      
     
Total Synthetic Guaranteed Investment Contracts
    788       585,789             (21,349 )     565,228  
Collateral Held Under Securities Lending Agreements Commingled Fund
          52,051                   52,051  
 
Total Investments at Fair Value
  $ 1,423,225     $ 1,112,963     $     $ (21,349 )   $ 2,514,839  
 
 
(3)   Offset for cash & temporary investments held within the synthetic guaranteed investment contracts represents unsettled pending purchases and sales.
 
(4)   Futures derivative assets have been offset by cash collateral held by the counterparty.
For assets that are measured using quoted prices in active markets, the total fair value is the published market price per unit multiplied by the number of units held without consideration of transaction costs, which have been determined to be immaterial. Assets that are measured using significant other observable inputs are primarily valued by reference to

13


 

MONSANTO SAVINGS AND INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS (continued)
AS OF DEC. 31, 2010 AND DEC. 31, 2009 AND FOR THE YEAR ENDED DEC. 31, 2010
quoted prices of markets that are not active. The following methods and assumptions were used to estimate the fair value of each class of financial instrument:
Cash and temporary investments: The carrying value of cash equivalents approximates fair value as maturities are less than three months, and temporary investments (maturities less than 12 months) primarily consist of fixed income deposits and commercial paper which are measured at fair value using observable inputs in an active market. A large portion of the Plan’s temporary investments are short-term collective investment funds — these commingled pools are in turn comprised of short-term fixed income assets that trade on a regular basis in active markets. However, because the commingled vehicles lack any formal listing or associated price quotes, they are classified as Level 2. Other temporary investment holdings are fixed income holdings with maturities of less than 12 months. Because these bonds are not traded on listed exchanges, yet do have observable valuation inputs, these are classified as Level 2 assets. This presentation is in accordance with ASU 2009-12.
Common stock & Monsanto Company Stock: The Plan’s common stock consists of investments in listed U.S. and foreign company stock, including Monsanto stock. These investments include both small-capitalization stocks (defined as companies with market capitalizations less than $2 billion), and large-capitalization stocks (companies with market capitalizations greater than $2 billion). All such investments are valued using stock prices from the various public markets — equity securities trade on formal exchanges, both domestic and foreign (e.g., NYSE, NASDAQ, LSE), and are traded in active markets. The observable valuation inputs are unadjusted quoted prices that represent active market trades and are classified as Level 1.
Collective investment funds: Some investment options are structured as commingled pools, or funds - this encompasses the International Equity Fund, the Equity Index Fund, the Value Equity Fund, the Small-Cap Growth Equity Fund, the Small-Cap Value Equity Fund, the Treasury Inflation-protected Securities Fund (TIPS), and the pre-mix portfolios (Conservative, Moderate, Moderate Aggressive and Aggressive). These funds are comprised of other broad asset category types, such as equity and debt securities, derivatives and cash and temporary investments. Irrespective of the underlying securities that comprise these collective funds, the funds themselves lack a formal listed market or publicly available quotes, and are therefore all classified as Level 2. This presentation is in accordance with ASU 2009-12.
Synthetic guaranteed investment contracts: Also referred to as Synthetic GICs, the assets in this category represent the fixed income fund investment option. Almost all underlying assets are comprised of cash and temporary investments, debt securities and derivatives (see related sections). Assets within the Synthetic GICs are assessed individually to assign level determination for the purposes of the Fair Value Measurements and Disclosures topic of the ASC, the discussion of which is incorporated into the appropriate asset categories.
Debt securities: Debt securities assets consist of U.S. and foreign corporate credit, U.S. and foreign government issues (including related Agency Debentures and Mortgages), mortgage-backed securities, asset-backed securities and U.S. State and Municipal securities. U.S. treasury and U.S government agency bonds, as well as foreign government issues, are generally priced by institutional bids, which reflect estimated values based on underlying model frameworks at various dealers and vendors. While some corporate issues are formally listed on exchanges, dealers exchange bid and ask offers to arrive at executed transaction prices. Collateralized securities (both mortgage-backed and asset-backed) are valued using models with readily observable market data as inputs. All Foreign Government and Foreign Corporate Debt securities are denominated in U.S. dollars. Although most of the debt securities held in the Plan are included in Synthetic GICs in the Statement of Net Assets Available for Benefits, there are other debt securities held outside the Synthetic GICs. All debt securities included in the Plan are classified as Level 2.
Derivatives: The Plan holds interest rate futures contacts. Derivative securities are included within the Synthetic guaranteed investment contracts on the Statement of Net Assets Available for Benefits. Interest rate futures, and all listed options are measured at fair value using quoted market prices and are classified as Level 1.
Collateral held under securities lending agreements: The Plan participates in a securities lending program through Northern. Securities loaned are fully collateralized by cash and U.S. government securities. Northern pools all collateral received and invests any cash in an actively managed commingled fund, the underlying assets of which include short-

14


 

MONSANTO SAVINGS AND INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS (continued)
AS OF DEC. 31, 2010 AND DEC. 31, 2009 AND FOR THE YEAR ENDED DEC. 31, 2010
term (weighted average maturity 143 days as of Dec. 31, 2010) fixed income securities such as commercial paper, U.S. Treasury Bills, and various forms of asset-backed securities, all of which would be classified individually as Level 2. Because the collateral pool itself lacks a formal public market and price quotes, it is classified as Level 2. This presentation is in accordance with ASU 2009-12.
NOTE 7. FINANCIAL INSTRUMENTS
During the years ended Dec. 31, 2010, and Dec. 31, 2009, the Plan at times utilized exchange-traded financial futures (fixed income interest rate, and equity index), as well as options on similar underlying futures contracts. Derivatives are used at the discretion of those managers so authorized to help meet the objectives of the portfolios, and to manage exposures to interest rate sensitivity and market fluctuations. Other intended uses included creating synthetic market exposures, altering aggregate bond portfolio duration, or temporarily hedging certain exposures within the portfolio. The Plan’s investment policy states that financial instruments are neither held nor issued by the Plan for trading purposes, and no instruments may be used in such a manner that creates financial leverage, whereby the notional value of derivative contracts at inception of the derivative exceeds the fair value of the total being hedged. The fair values of all derivatives are included under Synthetic GICs on the Statements of Net Assets Available for Benefits. Gains or losses on derivatives are recognized as interest in the Statement of Changes in Net Assets Available for Benefits.
As of Dec. 31, 2010, and Dec. 31, 2009, the Plan held standardized interest rate futures. Derivative securities are included within the Synthetic GICs on the Statement of Net Assets Available for Benefits. Interest rate futures are measured at fair value using quoted market prices.
The notional amounts of the Plan’s derivative instruments outstanding as of Dec. 31, 2010, and Dec. 31, 2009, were as follows:
                 
    As of Dec. 31,
(Dollars in millions)   2010   2009
 
Derivatives Not Designated as Hedges:
               
Interest rate futures(1)
  $ (37,539 )   $ 30,063  
 
Total Derivatives
  $ (37,539 )   $ 30,063  
 
 
(1)   Interest rate futures were held in a net short position at Dec. 31, 2010, and shown as a negative amount. On Dec. 31, 2009, they were held in a net long position.
The fair values of the Plan’s derivative instruments outstanding as of Dec. 31, 2010, and Dec. 31, 2009, were as follows:
                     
        As of Dec. 31,
    Net Assets Available        
(Dollars in millions)   for Benefits Location   2010   2009
 
Derivatives Not Designated as Hedges:
                   
Interest rate futures
  Synthetic guaranteed
investment contract(1)
  $ (42 )   $ (267 )
 
Total Liability Derivatives
      $ (42 )   $ (267 )
 
 
(1)   As allowed by the Derivatives and Hedging topic of the ASC, futures derivative assets have been offset by cash collateral held by the counterparty. Therefore, all derivatives are included in Synthetic GICs within the Statements of Net Assets Available for Benefits. See Note 6 — Fair Value Measurements — for a reconciliation to amounts reported in the Statements of Net Assets Available for Benefits as of Dec. 31, 2010, and Dec. 31, 2009.

15


 

MONSANTO SAVINGS AND INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS (continued)
AS OF DEC. 31, 2010 AND DEC. 31, 2009 AND FOR THE YEAR ENDED DEC. 31, 2010
The gains and losses on the Plan’s derivative instruments for the years ended Dec. 31, 2010, and Dec. 31, 2009, were as follows:
                         
    Amount of Gain (Loss)    
    Recognized    
    Year Ended Dec. 31,    
                    Changes in Net Assets Available
(Dollars in thousands)   2010   2009   for Benefits Classifications
 
Derivatives Not Designated as Hedges:
                       
Interest rate futures
  $ 2,304     $ (965 )   Interest
Options
    (89 )     925     Interest
Foreign currency forwards
    12           Interest
Equity contracts
    19           Interest
 
Total Derivatives Not Designated as Hedges
  $ 2,246     $ (40 )        
 
Total Derivatives
  $ 2,246     $ (40 )        
 
NOTE 8. INFORMATION REGARDING TAX STATUS
On Oct. 17, 2003, the IRS issued Monsanto a favorable determination letter stating that the Plan as then designed, was qualified for federal income tax purposes in compliance with section 401(a) of the Internal Revenue Code (“IRC”). As required by the IRS procedures, on Jan. 9, 2008, Monsanto filed an application for a new determination letter for the amended and restated Plan. That application is still pending review by the IRS. The Company believes that the Plan is currently designed in compliance with the applicable requirements of the IRC, and the Plan administrator believes that the Plan is being operated in accordance with its terms. Therefore, no provision for income taxes has been included in the Plan’s financial statements.
Accounting principles generally accepted in the United States of America require the evaluation of tax positions taken by the Plan and recognize a tax liability if the Plan has taken an uncertain tax position that is not more likely than not to be sustained upon examination by the IRS. The Company, on behalf of the Plan, has analyzed the tax positions taken by the Plan, and has concluded that as of Dec. 31, 2010, there are no uncertain tax positions taken or expected to be taken that would require recognition of a liability or disclosure in the financial statements. The Plan is subject to routine audits; however, there are currently no audits for any tax periods in progress. The Plan administrator believes it is no longer subject to income tax examinations for years prior to 2007.
NOTE 9. PRIORITIES UPON TERMINATION OF THE PLAN
If the Plan is terminated, all participants’ account balances will be fully vested, and all participants would then be entitled to a full distribution of their account balances in accordance with ERISA and the Internal Revenue Code as more fully described and set forth in the Plan document.
NOTE 10. PARTY-IN-INTEREST INVESTMENTS AND TRANSACTIONS
The Company is not aware of any nonexempt prohibited transactions with parties-in-interest during the period from Jan. 1, 2010, to Dec. 31, 2010. As of Dec. 31, 2010, and 2009, the Plan holds $751 million and $971 million, respectively, of common stock of Monsanto, the Plan sponsor.
Monsanto is the holder of the Plan’s ESOP debt. During 2010, the Company paid approximately $12 million in dividends with respect to shares held by the ESOP.
Certain Plan investments are units of collective investment funds managed by Northern specifically for employee benefit trusts. Northern is also the Plan trustee as defined by the Plan and, therefore, these collective investment funds qualify as

16


 

MONSANTO SAVINGS AND INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS (continued)
AS OF DEC. 31, 2010 AND DEC. 31, 2009 AND FOR THE YEAR ENDED DEC. 31, 2010
exempt party-in-interest investments. Fees for Northern’s investment management services are paid by the Plan as described in Note 2.
Northern also manages the collateral pool collective fund for the securities lending program in which the Plan participated as of Dec. 31, 2010, as described in Note 5.
NOTE 11. RECONCILIATION OF FINANCIAL STATEMENTS TO FORM 5500
The following is a reconciliation of the Plan’s investments at fair value per the financial statements with the investments as reported on the Form 5500 Schedule of Assets as of Dec. 31, 2010, and 2009.
                 
    As of Dec. 31,
(Dollars in thousands)   2010   2009
     
Net assets available for benefits:
               
Investments, at fair value per financial statements
  $ 2,371,291     $ 2,514,839  
Adjustment from fair value to contract value for fully benefit-responsive investment contracts
    (24,601 )     (9,770 )
Collateral held under securities lending agreements
    (18,371 )     (52,051 )
Loans to participants
    28,122       26,511  
Securities lending adjustment included within collateral and investments in the financial statements
          (118 )
     
Total investments per Form 5500 Schedule of Assets (Held at End of Year)
  $ 2,356,441     $ 2,479,411  
     
*****

17


 

MONSANTO SAVINGS AND INVESTMENT PLAN
EIN 43-1878297
SUPPLEMENTAL SCHEDULE 1
Form 5500, Schedule H, Part IV, Line 4i —
Schedule of Assets (Held at End of Year) as of Dec. 31, 2010

18


 

     
5500 Supplemental Schedules   Account number 7879
    Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
 
  Values                
Row Labels
  Sum of Shares   Sum of Cost   Sum of Market Value
 
#REORG MOTOROLA INC COM REVERSE SPLIT MOTOROLA INC COM 2065052 EFF 01-04-2011
    510,400.00       6,813,108.04       4,629,328.00  
#REORG/COVIDIEN REV STK SPLT/FOR STK  SPLT COVIDIEN 2067522 3-18-2011
    36,400.00       1,411,170.93       1,662,024.00  
#REORG/TYCO NAME CHANGE TE 2067466 3-17-2011
    82,500.00       2,234,304.55       2,920,500.00  
&&&INVESTMENT MANAGEMENT EXPENSE  ACCRUAL
                 
&&&TRUST/CUSTODY EXPENSE ACCRUAL
                 
3M CO COM
    9,368.00       790,427.93       808,458.40  
5TH 3RD BANCORP COM
    25,300.00       336,146.09       371,404.00  
ABB LTD CHF1.03 (REGD)
    27,200.00       587,684.26       606,012.25  
ABBOTT LAB COM
    4,087.00       203,865.50       195,808.17  
ACCENTURE PLC SHS CL A NEW
    25,401.00       1,110,059.28       1,231,694.49  
ADECCO SA CHF1(REGD)
    10,250.00       618,301.46       671,511.08  
ADMINISTRATOR FEE
                 
ADR AEGON N V NY REGISTRY SHS SHS
    187,918.00       1,626,178.35       1,151,937.34  
ADR ANHEUSER BUSCH INBEV SA/NV SPONSOREDADR
    9,553.00       584,587.82       545,380.77  
ADR ASML HOLDING NV NY REGISTERED SHS
    8,647.00       288,497.65       331,525.98  
ADR ASTRAZENECA PLC SPONSORED ADR UK
    12,200.00       528,849.78       563,518.00  
ADR BAIDU INC SPONSORED ADR
    22,803.00       2,129,776.84       2,201,173.59  
ADR CEMEX SAB DE CV
    63,924.00       1,222,767.63       684,626.04  
ADR CREDIT SUISSE GROUP SPONSORED ADR ISIN US2254011081
    8,500.00       462,692.83       343,485.00  
ADR CTRIP COM INTL LTD AMERICAN DEP SHS AMERICAN DEP SHS
    8,379.00       410,003.93       338,930.55  
ADR EMBRAER S A SPONSORED ADR REPSTG 4 COM SHS
    37,090.00       1,056,210.34       1,090,446.00  
ADR ERICSSON L M TEL CO ADR CL B SEK 10 NEW ERICSSON L M TEL CO ADR
    71,400.00       707,033.01       823,242.00  
ADR FOMENTO ECONOMICO MEXICANA SAB DE CV
    6,400.00       357,733.12       357,888.00  
ADR GLAXOSMITHKLINE PLC SPONSORED ADR
    94,300.00       4,354,790.30       3,698,446.00  
ADR HDFC BK LTD ADR REPSTG 3 SHS
    4,400.00       800,292.32       735,284.00  
ADR HSBC HLDGS PLC SPONSORED ADR NEW
    22,078.00       1,510,947.37       1,126,861.12  
ADR ICICI BK LTD
    26,970.00       1,513,398.90       1,365,760.80  
ADR ITAU UNIBANCO HLDG SA SPONSORED ADR REPSTG 500 PFD PFD ADR
    47,080.00       1,178,862.56       1,130,390.80  
ADR KB FINL GROUP INC SPONSORED ADR  REPSTG 1 COM SH ADR
    13,920.00       663,839.23       736,228.80  
ADR MOBILE TELESYSTEMS OJSC SPONSORED
    15,000.00       351,180.00       313,050.00  
ADR NOKIA CORP SPONSORED ADR
    96,500.00       1,070,071.24       995,880.00  
ADR NOVARTIS AG
    84,800.00       4,535,576.80       4,998,960.00  
ADR PANASONIC CORP ADR ADR
    102,000.00       1,459,593.91       1,438,200.00  
ADR PETROLEO BRASILEIRO SA PETROBRAS  SPONSORED ADR
    18,000.00       651,699.60       681,120.00  

19


 

     
5500 Supplemental Schedules   Account number 7879
    Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
ADR PETROLEO BRASILEIRO SA PETROBRAS  SPONSORED ADR NON VTG
    18,160.00       592,865.22       620,527.20  
ADR ROYAL DUTCH SHELL PLC SPONSORED ADR REPSTG A SHS
    11,000.00       556,448.85       734,580.00  
ADR ROYAL DUTCH SHELL PLC SPONSORED ADR REPSTG B SHS
    41,250.00       2,586,679.33       2,750,137.50  
ADR SANOFI-AVENTIS SPONSORED ADR
    93,800.00       3,725,416.34       3,023,174.00  
ADR SONY CORP AMERN SH NEW
    63,000.00       1,994,464.28       2,249,730.00  
ADR TAIWAN SEMICONDUCTOR MFG CO LTD  SPONSORED ADR
    109,350.00       1,227,377.21       1,371,249.00  
ADR TEVA PHARMACEUTICAL INDS
    39,850.00       1,927,669.36       2,077,380.50  
ADR TOTAL SA
    3,000.00       186,705.71       160,440.00  
ADR UNILEVER PLC SPONSORED ADR NEW
    15,354.00       446,363.46       474,131.52  
ADR VALE S A ADR
    53,465.00       1,804,397.91       1,848,285.05  
ADR VALE S A ADR REPSTG PFD PREF ADR
    9,990.00       287,012.70       301,897.80  
ADR VODAFONE GROUP PLC NEW SPONSORED  ADR
    161,500.00       3,424,688.21       4,268,445.00  
AGILENT TECHNOLOGIES INC COM
    56,379.00       1,959,984.58       2,335,781.97  
AGRIUM INC COM
    3,200.00       212,593.60       293,600.00  
AIA GROUP LTD COM PAR USD 1
    161,600.00       471,694.60       454,298.66  
AKZO NOBEL NV EUR2
    6,420.00       399,626.91       398,789.47  
ALCOA INC COM STK
    25,500.00       359,152.31       392,445.00  
ALLERGAN INC COM
    23,856.00       1,560,559.19       1,638,191.52  
ALLSTATE CORP COM
    39,600.00       1,162,466.57       1,262,448.00  
ALSTOM EUR7.0
    6,840.00       344,461.66       327,307.71  
ALTERA CORP COM
    11,724.00       329,428.33       417,139.92  
ALTRIA GROUP INC COM
    16,300.00       302,155.02       401,306.00  
AMAZON COM INC COM
    40,794.00       5,013,453.26       7,342,920.00  
AMER ELEC PWR CO INC COM
    2,500.00       64,957.00       89,950.00  
AMER MOVIL SAB DE C V SPONSORED ADR  REPSTG SER L SHS
    7,400.00       423,724.00       424,316.00  
AMERICAN EXPRESS CO
    62,140.00       2,615,104.19       2,667,048.80  
AMERICAN TOWER CORP CL A
    58,602.00       3,036,677.47       3,026,207.28  
AMERN INTL GROUP 8.25% DUE 08-15-2018
    300,000.00       300,000.00       345,619.80  
AMGEN INC COM
    82,800.00       4,052,891.55       4,545,720.00  
ANHEUSER-BUSCH INBEV NV
    7,900.00       494,040.92       451,821.28  
AOL INC COM STK
    23,530.00       607,407.41       557,896.30  
AOL TIME WARNER 7.625% DUE 04-15-2031
    275,000.00       304,717.87       334,312.83  
AOL TIME WARNER 7.7% DUE 05-01-2032
    594,000.00       651,035.36       725,090.45  
APACHE CORP COM
    1,717.00       185,639.15       204,717.91  
APPLE INC COM STK
    40,698.00       4,975,220.24       13,127,546.88  
APPLIED MATERIALS INC COM
    90,906.00       1,125,799.91       1,277,229.30  

20


 

     
5500 Supplemental Schedules   Account number 7879
    Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
ARCHER-DANIELS-MIDLAND CO COM
    6,200.00       200,252.56       186,496.00  
AT&T CORP USD SR NT VAR RATE DUE 11-15-2031/11-14-2031 BEO
    425,000.00       426,627.33       534,176.55  
AT&T INC COM
    32,900.00       916,579.92       966,602.00  
ATLAS COPCO AB SER‘A’NPV
    20,100.00       453,636.39       507,145.22  
ATMOS ENERGY CORP COM
    5,000.00       146,996.50       156,000.00  
AUDITING EXPENSE ACCRUAL
                 
Australian dollar
    9,875.11       9,875.11       9,875.11  
AUTONOMY CORP ORD GBP0.003333
    9,500.00       222,544.50       222,907.69  
AVIVA ORD GBP0.25
    81,160.00       554,543.80       497,278.34  
AXA EUR2.29
    49,900.00       968,660.39       830,167.48  
BAC CAP TR XI 6.625% DUE 05-23-2036
    325,000.00       343,471.80       308,859.85  
BAE SYSTEMS ORD GBP0.025
    116,680.00       646,150.32       600,309.63  
BAKER HUGHES INC COM
    51,000.00       1,788,770.81       2,915,670.00  
BANCO SANTANDER EUR0.50(REGD)
    43,441.00       544,039.77       460,213.42  
BANK AMER CORP 5.625% DUE 07-01-2020
    125,000.00       124,552.50       127,436.50  
BANK AMER CORP 7.625% DUE 06-01-2019
    450,000.00       503,980.47       518,145.75  
BANK NEW YORK MELLON CORP COM STK
    124,000.00       3,443,292.87       3,744,800.00  
BANK OF AMERICA CORP
    101,555.00       1,396,016.87       1,354,743.70  
BANK ONE CAP III 8.75% DUE 09-01-2030
    350,000.00       422,215.50       414,771.35  
BANKAMERICA CAP II SER 2 8 BD DUE 12-15-2026/06 BEO
    375,000.00       396,709.50       377,343.75  
BARCLAYS BK PLC 5.125% DUE 01-08-2020
    850,000.00       835,835.00       868,068.45  
BARCLAYS ORD GBP0.25
    65,300.00       287,315.86       266,378.32  
BAYER AG — ORD SHS
    6,400.00       477,605.30       472,934.42  
BAYER MOTOREN WERK EUR1
    3,750.00       278,400.34       294,899.17  
BB&T CORP COM
    57,500.00       1,195,088.99       1,511,675.00  
BBVA(BILB-VIZ-ARG) EUR0.49
    28,000.00       345,337.84       282,862.68  
BED BATH BEYOND INC COM
    12,045.00       530,047.45       592,011.75  
BELLE INTERNATIONA HKD0.01
    177,000.00       334,914.83       299,238.38  
BERKSHIRE HATHAWAY INC-CL B
    3,800.00       299,386.39       304,418.00  
BG GROUP ORD GBP0.10
    40,000.00       779,041.94       808,220.65  
BHP BILLITON LTD NPV
    30,600.00       1,389,040.21       1,415,524.86  
BK AMER N A CHARLOTTE N C MEDIUM TERM TRANCHE # TR 00229 5.3 DUE 03-15-2017
    450,000.00       449,581.50       456,044.85  
BK RAKYAT IDR500
    251,500.00       341,918.91       292,960.46  
BM&FBOVESPA SA COM NPV
    40,100.00       323,252.26       317,176.51  
BMC SOFTWARE INC COM STK
    27,000.00       527,801.91       1,272,780.00  
BNP PARIBAS EUR2
    7,100.00       519,270.22       451,702.35  

21


 

     
5500 Supplemental Schedules   Account number 7879
    Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
BNSF RY CO 2006-2 5.629% DUE 04-01-2024
    222,840.38       222,840.38       241,106.61  
BOEING CO COM
    9,344.00       519,350.76       609,789.44  
BOSTON PROPERTIES LP DTD 4-19-2010 5.625DUE 11-15-2020
    250,000.00       262,300.50       266,056.50  
BOSTON SCIENTIFIC CORP COM
    256,000.00       2,791,151.49       1,937,920.00  
BP ORD USD0.25
    182,560.00       1,335,384.93       1,325,064.16  
BR PROPERTIES SA COMSTK
    9,000.00       98,836.28       98,457.83  
Brazilian real
    1.08       1.08       1.08  
BRF-BRASIL FOODS COMSTK
    21,400.00       309,010.64       352,455.42  
BRITISH AIRWAYS ORD GBP0.25
    123,040.00       573,732.37       522,730.43  
British pound sterling
    6,080.68       6,080.68       6,080.68  
BROADCOM CORP CL A
    25,606.00       854,469.17       1,115,141.30  
BSTN PPTYS LTD 5.625% DUE 04-15-2015
    100,000.00       98,562.12       109,347.90  
BSTN PPTYS LTD 6.25% DUE 01-15-2013
    79,000.00       81,952.45       86,140.73  
BSTN SCIENTIFIC 5.45% DUE 06-15-2014
    600,000.00       538,500.00       636,789.60  
BSTN SCIENTIFIC 6.4% DUE 06-15-2016
    100,000.00       105,019.00       107,045.80  
BUNGE LTD
    6,600.00       308,604.16       432,432.00  
BURBERRY GROUP ORD GBP0.0005
    23,200.00       394,102.11       406,554.94  
BURL NORTHN SANTA 4.875% DUE 01-15-2015
    375,000.00       351,783.00       408,298.88  
BURL NORTHN SANTA 8.251% DUE 01-15-2021
    326,120.89       334,493.86       396,142.31  
C H ROBINSON WORLDWIDE INC COM NEW COM NEW
    2,467.00       166,821.54       197,828.73  
CA INC COM
    65,946.00       1,546,929.66       1,611,720.24  
CABLEVISION NY GROUP CL A COM
    4,200.00       113,021.24       142,128.00  
CADENCE DESIGN SYS INC COM
    84,100.00       644,696.35       694,666.00  
CALIFORNIA ST 5.45% 04-01-2015 BEO  TAXABLE
    125,000.00       125,772.50       131,961.25  
CALIFORNIA ST 6.2% 10-01-2019 BEO  TAXABLE
    75,000.00       75,032.25       77,599.50  
CALIFORNIA ST 7.3% 10-01-2039 BEO  TAXABLE
    200,000.00       201,646.00       202,870.00  
CALIFORNIA ST 7.5% 04-01-2034 BEO  TAXABLE
    725,000.00       728,733.25       750,092.25  
CALIFORNIA ST 7.625% 03-01-2040 BEO  TAXABLE
    75,000.00       81,380.25       79,043.25  
CALIFORNIA ST RMRKTD 5.65% 04-01-2039 BEO TAXABLE
    75,000.00       75,320.25       79,222.50  
CALIFORNIA ST TAXABLE-VAR PURP 7.55% DUE04-01-2039 BEO TAXABLE N/C
    750,000.00       743,436.50       780,457.50  
CAMERON INTL CORP COM STK
    23,050.00       989,291.36       1,169,326.50  
Canadian dollar
    10,583.38       10,583.38       10,583.38  
CANADIAN IMP BANK COM NPV
    5,000.00       391,049.57       393,878.76  
CANON INC NPV
    13,000.00       617,116.23       674,066.66  
CAP 1 FINL CORP 6.75% DUE 09-15-2017
    775,000.00       779,331.96       893,081.33  
CAP 1 FNCL COM
    141,900.00       5,742,800.96       6,039,264.00  

22


 

     
5500 Supplemental Schedules   Account number 7879
    Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
CAP GEMINI EUR8
    11,840.00       589,363.64       552,644.82  
CAPITALAND LTD NPV
    143,000.00       438,469.84       413,386.26  
CARDINAL HLTH INC
    34,973.00       1,152,138.24       1,339,815.63  
CAREFUSION CORP COM
    45,000.00       1,305,539.84       1,156,500.00  
CARMAX INC COM
    25,700.00       403,786.49       819,316.00  
CARNIVAL CORP COM PAIRED
    25,516.00       1,016,911.55       1,176,542.76  
CDN NATL RAILWAYS COM NPV
    7,700.00       504,087.46       513,802.35  
CELANESE CORP DEL COM SER A STK
    8,500.00       306,367.74       349,945.00  
CELESIO AG NPV(REGD)
    18,640.00       485,773.85       463,291.86  
CELGENE CORP COM
    34,236.00       1,931,324.54       2,024,717.04  
CENTERPOINT ENERGY INC COM
    13,700.00       218,346.51       215,364.00  
CENTURYLINK INC COM
    7,500.00       300,378.54       346,275.00  
CF INDS HLDGS INC COM
    1,600.00       149,284.34       216,240.00  
CHEUNG KONG(HLDGS) HKD0.50
    36,000.00       615,543.63       555,354.56  
CHEVRON CORP COM
    40,711.00       2,217,216.61       3,714,878.75  
CHINA LIFE INSURANCE CO ‘H’ CNY1
    122,000.00       566,833.12       498,370.37  
CHINA MERCHANTS BK COM STK
    164,500.00       505,783.50       415,253.75  
CHINA MOBILE LTD HKD0.10
    62,000.00       663,465.80       615,825.47  
CHINA TELECOM CORP LTD ‘H’CNY1
    1,124,000.00       599,264.21       588,585.25  
CHIPOTLE MEXICAN GRILL INC COM STK
    1,064.00       224,523.68       226,270.24  
CHUBB CORP COM
    1,800.00       102,910.32       107,352.00  
CIA ENERG MG-CEMIG PRF BRL5.00
    25,100.00       438,244.82       403,868.07  
CIGNA CORP 7.875 DEB DUE 05-15-2027
    300,000.00       373,960.00       351,034.50  
CIGNA CORP NT DTD 07/23/1998 STEP UP DUE1-15-33 BEO 8.3 TIL 1-15-23 8.08 AFTER
    100,000.00       123,537.00       118,856.70  
CISCO SYSTEMS INC
    71,546.00       1,646,810.18       1,447,375.58  
CITIGROUP CAP XIII 7.875% TR PFD SECS FIXED/FLTG
    3,000.00       75,000.00       80,730.00  
CITIGROUP INC 4.75% DUE 05-19-2015
    125,000.00       124,308.75       130,887.13  
CITIGROUP INC 6.125% DUE 11-21-2017
    650,000.00       650,433.25       712,325.90  
CITIGROUP INC COM
    591,425.00       2,298,443.97       2,797,440.25  
CITIGROUP INC GLOBAL SR NT FLTG RATE DUE05-15-2018 REG
    475,000.00       381,312.50       452,019.50  
CITRIX SYS INC COM
    25,330.00       1,560,141.79       1,732,825.30  
CLIFFS NAT RES INC COM STK
    4,400.00       254,798.28       343,244.00  
CMS ENERGY CORP COM
    11,200.00       186,785.20       208,320.00  
CNOOC LTD HKD0.02
    394,000.00       883,353.70       934,772.22  
COACH INC COM
    9,826.00       319,639.51       543,476.06  
COCA COLA CO COM
    14,715.00       752,190.08       967,805.55  

23


 

     
5500 Supplemental Schedules   Account number 7879
    Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
COGNIZANT TECHNOLOGY SOLUTIONS CORP CL ACL A
    2,510.00       182,508.56       183,957.90  
COLGATE-PALMOLIVE CO COM
    10,450.00       789,102.61       839,866.50  
COMCAST CORP NEW 5.85% DUE 11-15-2015
    100,000.00       100,332.00       112,408.00  
COMCAST CORP NEW 5.9% DUE 03-15-2016
    225,000.00       224,689.50       251,894.48  
COMCAST CORP NEW 6.3% DUE 11-15-2017
    300,000.00       300,113.25       343,484.40  
COMCAST CORP NEW CL A SPL CL A SPL
    34,000.00       542,956.77       707,540.00  
COMCAST CORP NEW-CL A
    318,635.00       5,585,686.82       7,000,410.95  
COMERICA INC COM
    5,600.00       236,691.84       236,544.00  
COML METALS CO COM
    6,700.00       100,545.56       111,153.00  
COMPAL ELECTRONIC GDR-REPR 5 ORD TWD10 REG S
    65,770.00       414,599.61       436,186.64  
COMPUTER SCI CORP COM
    34,000.00       1,398,240.76       1,686,400.00  
COMPUWARE CORP COM
    92,500.00       651,282.22       1,079,475.00  
CONAGRA FOODS INC
    6,100.00       145,333.95       137,738.00  
CONOCOPHILLIPS COM
    64,910.00       3,439,894.83       4,420,371.00  
CONSTELLATION BRANDS INC CL A CL A
    11,900.00       174,505.22       263,585.00  
CONSTELLATION ENERGY GROUP INC MARYLAND COM
    9,600.00       313,048.01       294,048.00  
CONSULTING FEE
                 
COOPER INDUSTRIES PLC NEW IRELAND COM STK
    13,415.00       607,352.24       781,960.35  
CORNING INC COM
    40,235.00       750,597.03       777,340.20  
COSTCO WHOLESALE CORP NEW COM
    8,001.00       466,609.63       577,752.21  
COX COMMUNICATIONS 5.45% DUE 12-15-2014
    300,000.00       297,605.42       330,262.80  
COX COMMUNICATIONS 5.5% DUE 10-01-2015
    275,000.00       275,166.00       302,577.55  
CREDIT SUISSE AG CHF0.04(REGD)
    8,400.00       358,735.25       338,452.82  
CREE INC COM
    5,901.00       312,085.48       388,816.89  
CRH ORD EUR0.32(DUBLIN LISTING)
    21,700.00       371,623.96       449,456.07  
CROWN CASTLE INTL CORP COM STK
    19,658.00       846,257.76       861,610.14  
CUMMINS INC
    20,530.00       1,637,088.99       2,258,505.30  
CVS CAREMARK CORP COM STK
    19,900.00       685,119.00       691,923.00  
DAIMLER AG
    19,110.00       1,265,669.74       1,291,453.80  
DANAHER CORP COM
    42,122.00       1,482,146.55       1,986,894.74  
DBS GROUP HLDGS NPV
    89,000.00       959,370.99       993,068.28  
DEERE & CO COM
    19,756.00       1,513,060.28       1,640,735.80  
DELL INC COM STK
    40,400.00       536,088.87       547,420.00  
DELTA AIR LINES INC DEL COM NEW COM NEW
    107,820.00       1,473,559.17       1,358,532.00  
DEUTSCHE LUFTHANSA ORD NPV (REGD)(VINK)
    20,500.00       476,171.66       448,022.91  
DEUTSCHE POST AG NPV(REGD)
    29,430.00       566,134.86       499,447.45  

24


 

     
5500 Supplemental Schedules   Account number 7879
    Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
DEVON ENERGY CORP NEW COM
    8,700.00       714,940.58       683,037.00  
DIAGEO PLC SPONSORED ADR NEW
    11,000.00       751,253.53       817,630.00  
DIRECTV COM CL A COM CL A
    42,182.00       1,609,948.95       1,684,327.26  
DISH NETWORK CORP CL A COM STK
    28,500.00       731,895.03       560,310.00  
DOLLAR GEN CORP NEW COM
    26,598.00       778,140.30       815,760.66  
DOMTAR CORP COM NEW COM NEW
    5,875.00       387,034.95       446,030.00  
DOW CHEM CO 7.375% DUE 11-01-2029
    575,000.00       625,736.25       691,220.15  
DOW CHEM CO 8.55% DUE 05-15-2019
    275,000.00       289,580.50       344,643.20  
DOW CHEM CO NT 9.4 DUE 05-15-2039
    75,000.00       74,671.50       108,857.25  
DOW CHEMICAL CO COM
    110,200.00       3,454,940.19       3,762,228.00  
DR REDDYS LABS LTD ADR REPSTG 1/2 SH
    8,100.00       324,655.29       299,376.00  
DUN & BRADSTREET CORP DEL NEW COM
    6,500.00       443,083.17       533,585.00  
E.ON AG COM STK
    30,780.00       987,474.35       943,328.98  
EAST JAPAN RAILWAY CO NPV
    5,000.00       308,915.46       325,148.18  
EATON CORP COM
    38,510.00       3,132,872.11       3,909,150.10  
EBAY INC COM USD0.001
    120,200.00       2,788,733.60       3,345,166.00  
EDENRED EUR2
    3,599.00       81,635.79       85,195.93  
EDISON INTL COM
    24,700.00       783,917.88       953,420.00  
EDWARDS LIFESCIENCES CORP COM
    3,977.00       262,965.13       321,500.68  
ELECTR ARTS COM
    80,900.00       1,495,496.24       1,325,142.00  
ELI LILLY & CO COM
    28,300.00       1,056,601.73       991,632.00  
EMC CORP COM
    144,981.00       2,378,694.90       3,320,064.90  
EMERSON ELECTRIC CO COM
    46,263.00       2,570,940.88       2,644,855.71  
ENCANA CORP COM NPV
    11,900.00       347,298.61       348,140.96  
ENI SPA EUR1
    23,195.00       545,370.23       506,456.61  
ENSCO PLC SPON ADR
    8,100.00       316,988.01       432,378.00  
EOG RESOURCES INC COM
    14,922.00       1,446,864.47       1,364,020.02  
ERICSSON(LM)TEL SER‘B’ NPV
    58,370.00       644,630.98       678,223.94  
ESTEE LAUDER COMPANIES INC CL A  USD0.01
    3,372.00       260,164.53       272,120.40  
Euro
    32,523.64       32,523.64       32,523.64  
EXELON CORP COM
    31,800.00       1,607,687.22       1,324,152.00  
EXPEDITORS INTL WASH INC COM
    24,736.00       1,210,023.89       1,350,585.60  
EXPRESS SCRIPTS INC COM
    73,375.00       3,403,901.35       3,965,918.75  
F5 NETWORKS INC COM STK
    8,910.00       1,037,647.81       1,159,725.60  
FASTENAL CO COM
    10,611.00       551,073.80       635,705.01  
FEDERAL HOME LN MTG CORP POOL #C91001 6.5% 11-01-2026 BEO
    625,584.85       639,660.53       693,838.03  

25


 

     
5500 Supplemental Schedules   Account number 7879
    Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
FEDERAL HOME LN MTG CORP POOL #G01513 6%03-01-2033 BEO
    574,566.77       581,659.09       631,444.28  
FEDERAL HOME LN MTG CORP POOL #G11184 5.5% 09-01-2016 BEO
    189,081.41       194,251.61       202,760.32  
FEDERAL HOME LN MTG CORP POOL #G11288 6.5% 06-01-2017 BEO
    129,922.26       135,951.45       141,635.53  
FEDERAL HOME LN MTG CORP POOL #G11431 6%02-01-2018 BEO
    83,310.49       86,148.26       90,769.36  
FEDERAL HOME LN MTG CORP POOL #G11452 6.5% 04-01-2018 BEO
    150,908.37       158,807.50       164,513.67  
FEDERAL HOME LN MTG CORP POOL #G11564 6.5% 08-01-2017 BEO
    440,526.95       466,132.58       482,170.40  
FEDERAL HOME LN MTG CORP POOL #G11622 6%02-01-2018 BEO
    506,939.22       532,286.18       552,326.00  
FEDERAL HOME LN MTG CORP POOL #G30248 6.5% 12-01-2023 BEO
    410,198.08       433,079.43       455,383.86  
FEDERAL HOME LN MTG CORP POOL #H0-9212 5.5% 05-01-2038 BEO
    673,888.06       716,427.25       714,769.48  
FEDEX CORP 7.375% DUE 01-15-2014
    100,000.00       100,000.00       114,678.70  
FEDEX CORP COM
    56,170.00       3,444,334.52       5,224,371.70  
FEE FOR SECURITIES LENDING ACTIVITY FOR
    6.00              
FHLMC GOLD E01140 6 05-01-2017
    111,974.73       115,701.39       121,791.78  
FHLMC GOLD E78398 6.5 07-01-2014
    37,817.23       38,688.80       40,350.72  
FHLMC GOLD G10449 7 02-01-2011
    89.85       91.99       90.35  
FHLMC GOLD G11516 6 03-01-2018
    113,811.87       119,520.24       124,001.56  
FHLMC GOLD G30317 6.5 01-01-2027
    1,021,710.76       1,046,614.97       1,132,214.91  
FHLMC GOLD H09901 6.5 08-01-2036
    567,331.75       597,116.67       628,165.60  
FHLMC MULTICLASS SER 1955 CL Z 7.5 05-20-2027
    349,309.63       375,344.09       403,803.33  
FHLMC MULTICLASS SER T-41 CL 2A 6.73058223724 07-25-2032
    113,202.21       117,473.53       126,642.71  
FHLMC POOL #G05603 7 11-01-2038
    826,550.48       898,098.75       933,647.45  
FHLMC POOL #H01579 6.5 08-01-2036
    273,986.38       276,811.87       303,365.39  
FIRST SOLAR INC COM
    4,535.00       634,569.23       590,184.90  
FNMA 2001-T10 CL A1 PASS THROUGH 7 12-25-2041
    73,406.03       76,587.70       84,325.18  
FNMA POOL #256937 6.5% 10-01-2037 BEO
    468,077.99       476,561.90       519,292.74  
FNMA POOL #313224 7% DUE 12-01-2011 REG
    4,292.47       4,425.26       4,382.49  
FNMA POOL #535755 6.26% DUE 03-01-2011 REG
    295,267.03       304,863.26       295,109.36  
FNMA POOL #545090 6% DUE 07-01-2016 REG
    75,827.02       79,488.04       82,544.84  
FNMA POOL #545209 6.119% 10-01-2011 BEO
    91,344.98       99,459.02       92,430.71  
FNMA POOL #545316 5.615% DUE 12-01-2011 REG
    140,434.80       148,937.69       143,503.44  
FNMA POOL #555191 4.856% 02-01-2013 BEO
    132,570.46       135,807.02       139,957.55  
FNMA POOL #555299 7% 11-01-2017 BEO
    160,640.87       170,831.53       175,407.30  
FNMA POOL #555316 4.918% 02-01-2013 BEO
    307,002.86       306,810.96       318,763.22  
FNMA POOL #555432 5.5% 05-01-2033 BEO
    1,917,005.86       2,042,509.83       2,066,336.78  
FNMA POOL #555531 5.5% 06-01-2033 BEO
    928,119.94       978,731.50       1,000,418.63  
FNMA POOL #555728 4.02% 08-01-2013 BEO
    179,340.63       168,916.44       188,265.34  

26


 

     
5500 Supplemental Schedules   Account number 7879
    Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
FNMA POOL #725135 6% 05-01-2018 BEO
    156,957.77       164,830.17       170,863.29  
FNMA POOL #725324 5.389% 11-01-2013 BEO
    199,958.94       205,838.24       217,911.05  
FNMA POOL #725510 6.5% 07-01-2017 BEO
    154,018.88       162,369.59       163,619.65  
FNMA POOL #735417 6.5% 03-01-2035 BEO
    506,535.06       526,559.04       569,555.62  
FNMA POOL #735439 6% 09-01-2019 BEO
    653,990.33       670,442.28       711,929.95  
FNMA POOL #735857 6.5 06-01-2033 BEO
    988,537.40       1,022,170.85       1,111,526.28  
FNMA POOL #745329 6% DUE 07-01-2035 BEO
    101,489.99       102,552.47       111,801.68  
FNMA POOL #888369 7% DUE 03-01-2037 REG
    398,851.08       443,472.55       451,681.30  
FNMA POOL #995367 6% 11-01-2038 BEO
    1,520,335.23       1,626,758.69       1,654,375.59  
FNMA POOL #995525 6% 12-01-2038 BEO
    621,152.11       676,085.26       677,468.87  
FNMA POOL #AD0070 6.5% 12-01-2037 BEO
    270,105.53       288,168.85       299,659.13  
FNMA POOL #AD0130 6.5% 08-01-2039 BEO
    136,451.21       148,689.17       151,764.86  
FNMA POOL #AD0163 6% 11-01-2034 BEO
    1,727,847.04       1,826,118.34       1,903,401.48  
FNMA POOL #AD0276 5.5% 01-01-2024 BEO
    994,320.95       1,054,446.30       1,072,157.39  
FNMA POOL #AD0310 7% 12-01-2038 BEO
    895,753.09       973,851.58       1,014,379.46  
FNMA POOL #AD0526 6% 12-01-2038 BEO
    1,360,507.78       1,456,327.92       1,480,032.47  
FNMA POOL #AD0833 6% 01-01-2039 BEO
    659,060.60       700,251.88       717,166.68  
FNMA POOL #AE0381 5.5% 12-01-2024 BEO
    1,290,027.80       1,389,400.26       1,388,593.66  
FNMA PREASSIGN 00717 6.5 09-25-2028
    1,007,544.41       1,032,182.00       1,139,909.55  
FNMA PREASSIGN 00837 7.5 04-25-2029
    76,298.62       78,277.87       86,839.81  
FNMA REMIC SER 2002-W6 CL 2A1 FLT RT 06-25-2042
    55,830.37       58,805.06       62,565.30  
FNMA REMIC SER 2003-W17 CL PT1 08-25-2032
    157,549.61       179,991.81       186,155.26  
FNMA SERIES 2001-W3 CLASS-A 7 09-25-2041
    68,763.15       74,715.49       78,854.14  
FOOT LOCKER INC COM
    13,100.00       140,825.11       257,022.00  
FORD MTR CO DEL COM PAR $0.01 COM PAR$0.01
    145,090.00       1,728,161.21       2,436,061.10  
FORD MTR CR CO LLC 5.625% DUE 09-15-2015
    325,000.00       323,264.50       336,531.33  
FORD MTR CR CO LLC 7.25% DUE 10-25-2011
    1,465,000.00       1,517,634.15       1,514,144.89  
FOREST OIL CORP COM PAR $0.01 COM PAR$0.01
    7,900.00       176,922.95       299,963.00  
FORTUNE BRANDS INC COM USD3.125
    2,500.00       137,788.00       150,625.00  
FRANCE TELECOM EUR4
    32,740.00       800,262.51       682,275.65  
FREEPORT-MCMORAN COPPER & GOLD INC
    4,704.00       314,500.12       564,903.36  
FRKLN RES INC COM
    11,490.00       1,341,344.90       1,277,802.90  
FUJIFILM HOLDINGS CORP NPV
    9,600.00       331,738.58       347,140.02  
GANNETT INC COM
    14,800.00       192,948.76       223,332.00  
GAP INC COM
    53,600.00       1,027,370.98       1,186,704.00  
GARMIN LTD COMMON STOCK
    10,300.00       360,949.47       319,197.00  

27


 

     
5500 Supplemental Schedules   Account number 7879
    Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
GDF SUEZ EUR1
    11,960.00       479,618.59       429,112.62  
GEN ELEC CAP CORP 5.5% DUE 01-08-2020
    350,000.00       362,958.50       374,320.45  
GEN ELEC CAP CORP 5.9% DUE 05-13-2014
    300,000.00       311,480.75       332,027.70  
GEN MTRS CO COM
    27,400.00       916,859.21       1,009,964.00  
GENERAL ELECTRIC CO
    354,200.00       7,229,925.52       6,478,318.00  
GENWORTH FINL INC COM CL A COM CL A
    106,000.00       1,840,887.24       1,392,840.00  
GIC AEGON GLOBAL WRAP CNTRCT CDA00004TR SYNTHETIC
    546,398,261.93       546,398,261.93       546,398,261.93  
GILEAD SCIENCES INC
    22,900.00       886,699.46       829,896.00  
GLAXOSMITHKLINE ORD GBP0.25
    68,030.00       1,379,992.54       1,315,185.79  
GOLDMAN SACHS GROUP INC COM
    10,649.00       1,424,242.99       1,790,735.84  
GOOGLE INC CL A CL A
    13,120.00       5,463,375.76       7,792,886.40  
HALLIBURTON CO COM
    33,470.00       1,352,519.72       1,366,580.10  
HANG LUNG PROPERTIES HKD1
    90,000.00       444,326.64       420,916.14  
HARTFORD FINL SVCS GROUP INC COM
    8,800.00       230,392.57       233,112.00  
HEALTH NET INC COM
    10,300.00       298,975.49       281,087.00  
HEALTHNET INC SR NT 6.375% DUE 06-01-2017/05-18-2007
    200,000.00       197,274.00       201,500.00  
HESS CORP COM STK
    5,500.00       296,622.17       420,970.00  
HEWLETT PACKARD CO COM
    220,198.00       6,078,853.73       9,270,335.80  
HOLCIM CHF2(REGD)
    5,300.00       330,430.99       400,508.06  
HOME DEPOT INC COM
    90,262.00       2,693,198.06       3,164,585.72  
HON HAI PRECISION GDR(REP 2 SHS  TWD10)REG’S
    43,900.00       346,884.28       354,273.00  
HONDA MOTOR CO NPV
    15,500.00       547,683.65       613,747.98  
HSBC HLDGS PLC 6.5% DUE 05-02-2036
    325,000.00       338,055.42       339,325.68  
HSBC HOLDINGS PLC ORD USD0.50(HONGKONG REG)
    123,600.00       1,376,283.90       1,267,434.28  
HUMAN GENOME SCIENCES INC COM
    12,041.00       313,264.11       287,659.49  
HUSKY ENERGY INC COM NPV
    21,300.00       551,589.24       568,733.18  
HUTCHISON WHAMPOA HKD0.25
    28,000.00       300,715.37       288,201.79  
IBERDROLA SA EUR0.75
    70,522.00       581,290.37       543,557.75  
ICAP ORD GBP0.10
    36,300.00       287,255.22       302,778.73  
ILLUMINA INC COM
    10,089.00       471,360.33       639,037.26  
IMERYS EUR2
    3,000.00       198,443.66       199,980.22  
IMPERIAL TOBACCO ORD GBP0.10
    12,700.00       406,782.63       389,667.12  
INCOME FROM SECURITIES LENDING  ACTIVITIES
    6.00              
INDITEX EUR0.15
    4,300.00       358,871.92       321,947.38  
Indonesian rupiah
    1,025.19       1,025.19       1,025.19  
INDUSTRIAL & COMMERCIAL BANK CHINA ‘H’
    530,860.00       419,219.53       395,464.24  

28


 

     
5500 Supplemental Schedules   Account number 7879
    Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
INFINEON TECHNOLOG ORD NPV (REGD)
    81,030.00       680,610.11       753,942.20  
ING GROEP NV CVA EUR0.24
    121,360.00       1,367,209.22       1,180,599.96  
INGERSOLL-RAND PLC COM STK
    22,529.00       786,562.41       1,060,890.61  
INTEL CORP COM
    10,600.00       208,789.26       222,918.00  
INTERCONTINENTALEXCHANGE INC COM
    3,857.00       440,851.63       459,561.55  
INTERNATIONAL BUSINESS MACHS CORP COM
    13,433.00       1,747,185.78       1,971,427.08  
INTERPUBLIC GROUP COMPANIES INC COM
    109,700.00       904,441.80       1,165,014.00  
INTESA SANPAOLO EUR0.52
    129,544.00       462,057.36       351,405.99  
INV MANAGER 6-064706
                 
ITOCHU CORP NPV
    35,100.00       332,171.20       355,350.01  
JAPAN TOBACCO INC NPV
    100.00       328,981.80       370,102.38  
JOHNSON & JOHNSON COM USD1
    30,100.00       1,796,999.05       1,861,685.00  
JOHNSON CTL INC COM
    11,600.00       317,555.96       443,120.00  
JOY GLOBAL INC COM
    13,767.00       819,972.24       1,194,287.25  
JPMORGAN CHASE & CO COM
    129,238.00       4,554,902.21       5,482,275.96  
JUNIPER NETWORKS INC COM
    107,663.00       3,356,465.06       3,974,917.96  
KEYCORP NEW COM
    37,718.00       372,698.57       333,804.30  
KIMBERLY-CLARK CORP COM
    4,700.00       309,564.56       296,288.00  
KINGFISHER ORD GBP0.157142857
    115,680.00       454,358.83       475,049.65  
KOHLS CORP COM
    29,900.00       1,586,114.83       1,624,766.00  
KOMATSU NPV
    21,100.00       550,450.80       638,506.04  
KRAFT FOODS INC CL A
    22,314.00       656,551.21       703,114.14  
KROGER CO COM
    9,200.00       216,049.82       205,712.00  
KUBOTA CORP NPV
    38,000.00       354,876.66       359,904.55  
LAFARGE EUR4
    5,900.00       351,540.91       369,918.31  
LAFARGE S A 6.5% DUE 07-15-2016
    450,000.00       449,115.50       479,316.60  
LAS VEGAS SANDS CORP COM STK
    12,061.00       568,697.62       554,202.95  
LAZARD LTD CL A
    11,750.00       443,297.61       464,007.50  
LEAR CORP COM NEW COM NEW
    2,700.00       193,108.32       266,517.00  
LEGG MASON INC COM
    20,000.00       1,279,341.33       725,400.00  
LI NING CO LTD HKD0.1
    147,000.00       406,685.80       311,690.24  
LIBERTY GLOBAL INC COM SER A
    7,000.00       154,633.27       247,660.00  
LIBERTY GLOBAL INC COM SER C COM SER C
    8,200.00       227,967.66       277,898.00  
LIBERTY MEDIA CORP 8.25% DUE 02-01-2030
    90,000.00       88,112.48       87,300.00  
LIBERTY MEDIA CORP 8.5% DUE 07-15-2029
    112,000.00       110,643.90       109,200.00  
LIBERTY MEDIA CORP NEW INTERACTIVE COM SER A
    145,063.00       1,640,846.97       2,287,643.51  

29


 

     
5500 Supplemental Schedules   Account number 7879
    Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
LINDE AG NPV
    3,300.00       487,207.53       500,722.26  
LOCKHEED MARTIN CORP COM
    24,500.00       1,799,317.40       1,712,795.00  
LOEWS CORP COM
    21,100.00       322,255.72       821,001.00  
LORILLARD INC COM STK
    2,600.00       165,114.90       213,356.00  
LOS ANGELES CALIF UNI SCH DIST 6.758% DUE 07-01-2034 BEO TAXABLE
    300,000.00       300,000.00       313,710.00  
LOWES COS INC COM
    42,009.00       901,021.98       1,053,585.72  
LVMH MOET HENNESSY LOUIS VUITTON EUR0.30
    2,500.00       412,539.56       411,238.61  
LYONDELLBASELL INDU-CL A-W/I
    28,110.00       731,545.37       966,984.00  
MACYS INC COM STK
    70,752.00       1,635,920.81       1,790,025.60  
MACYS RETAIL HLDGS 8.375% DUE 07-15-2015
    125,000.00       124,888.75       146,250.00  
MAN GROUP ORD USD0.03428571
    78,300.00       370,799.28       361,341.98  
MAN SE ORD NPV
    8,310.00       965,136.40       988,184.52  
MARATHON OIL CORP COM
    33,500.00       1,073,612.64       1,240,505.00  
MARKS & SPENCER GP ORD GBP0.25
    183,290.00       1,235,589.50       1,054,459.94  
MARRIOTT INTL INC NEW COM STK CL A
    81,055.00       2,852,520.52       3,367,024.70  
MARVELL TECH GROUP COM USD0.002
    41,069.00       737,845.53       761,829.95  
MASTERCARD INC CL A
    8,059.00       1,673,694.02       1,806,102.49  
MAXIM INTEGRATED PRODS INC COM
    89,800.00       1,123,150.79       2,121,076.00  
MAY DEPT STORES CO 6.65% DUE 07-15-2024
    125,000.00       71,250.00       123,750.00  
MAY DEPT STORES CO 6.7% DUE 09-15-2028
    875,000.00       838,565.00       840,000.00  
MAY DEPT STORES CO 6.9% DUE 01-15-2032
    325,000.00       332,091.50       324,187.50  
MCGRAW-HILL COS COM USD1
    12,600.00       455,921.59       458,766.00  
MCKESSON CORP
    20,062.00       1,348,368.50       1,411,963.56  
MEAD JOHNSON NUTRITION COM  USD0.01
    6,056.00       326,001.93       376,986.00  
MEDCO HEALTH SOLUTIONS INC COM
    8,226.00       387,416.34       504,007.02  
MEDTRONIC INC COM
    20,400.00       755,938.01       756,636.00  
MERCK & CO INC NEW COM
    164,858.00       4,386,673.62       5,941,482.32  
MERCK KGAA NPV
    5,420.00       453,551.76       433,470.21  
METLIFE INC COM
    11,975.00       403,594.42       532,169.00  
MFB NT COLLECTIVE TIPS INDEX FUND — NON LENDING
    364,741.17       40,885,525.57       42,192,164.32  
MFB NT COLLECTIVE MSCI ACWI EX-US INDEX FUND-NON LENDING
    417,102.78       50,886,439.55       51,027,519.90  
MFB NT COLLECTIVE RUSSELL 1000 VALUE INDEX FUND — NON LENDING
    202,938.75       28,988,777.45       32,150,977.35  
MFO EB DAILY LIQUIDITY NON SL STOCK FUND
    1,244,629.39       131,396,758.13       147,508,496.79  
MICHELIN (CGDE) EUR2(REGD)
    8,400.00       681,628.40       602,766.89  
MICROCHIP TECHNOLOGY INC COM
    34,850.00       858,897.42       1,192,218.50  
MICROSOFT CORP COM
    48,200.00       1,178,528.04       1,345,744.00  

30


 

     
5500 Supplemental Schedules   Account number 7879
    Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
MITSUBISHI CORP NPV
    22,100.00       565,839.59       598,270.19  
MITSUBISHI UFJ FIN NPV
    148,500.00       694,350.66       802,912.79  
MOLEX INC CL A
    47,000.00       999,318.48       886,890.00  
MONSANTO CO NEW COM
    10,788,788.00       440,675,197.12       751,331,196.32  
MONSANTO PARTICIPANT LOANS
    28,121,764.51       28,121,764.51       28,121,764.51  
MORGAN STANLEY COM STK USD0.01
    14,100.00       502,568.92       383,661.00  
MOSAIC CO COM
    4,701.00       339,259.42       358,968.36  
MTN GROUP LTD ZAR0.0001
    18,800.00       354,600.88       383,399.89  
MUENCHENER RUECKVE NPV(REGD)
    4,580.00       722,645.58       694,329.78  
MURATA MANUFACTURING CO. NPV
    4,800.00       269,918.11       336,380.57  
N V R INC COM
    400.00       226,415.13       276,408.00  
NATIONAL GRID ORD GBP0.113953
    43,740.00       419,925.05       377,110.70  
NESTLE SA CHF0.10(REGD)
    20,100.00       1,148,769.78       1,177,073.03  
NETAPP INC COM STK
    55,183.00       2,379,864.01       3,032,857.68  
NETFLIX INC COM STK
    5,980.00       859,375.62       1,050,686.00  
NEW ASUSTEK GDR
    3,800.00       153,992.34       172,482.00  
NEW JERSEY ST TPK AUTH TPK REV 7.102% 01-01-2041 BEO TAXABLE
    275,000.00       275,000.00       299,436.50  
NEWFIELD EXPLORATION
    22,760.00       1,300,184.82       1,641,223.60  
NEWS CORP CL A COM
    340,000.00       3,838,099.54       4,950,400.00  
NEXEN INC COM
    13,600.00       296,443.26       311,440.00  
NIDEC CORPORATION NPV
    3,800.00       378,967.01       384,241.40  
NIKE INC CL B
    11,110.00       553,337.92       949,016.20  
NINTENDO CO LTD NPV
    2,900.00       751,408.77       851,136.95  
NISOURCE INC COM
    13,600.00       146,893.99       239,632.00  
NORDSTROM INC 6.25% DUE 01-15-2018
    150,000.00       132,937.50       168,795.90  
NORDSTROM INC 6.75% DUE 06-01-2014
    125,000.00       124,542.50       141,668.38  
NORTHROP GRUMMAN CORP COM
    22,800.00       1,246,955.93       1,476,984.00  
NOVARTIS AG CHF0.50(REGD)
    29,000.00       1,689,873.60       1,704,468.27  
NT COLLECTIVE RUSSELL 2000 GROWTH INDEX FUND — NON LENDING
    367,583.00       47,011,780.76       55,823,727.46  
NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND
    49,512,213.70       49,512,213.70       49,512,213.70  
NTGI NT COLLECTIVE RUSSELL 2000 VALUE INDEX FUND — NON LENDING
    239,642.25       31,654,384.10       36,096,353.55  
O REILLY AUTOMOTIVE INC NEW COM USD0.01
    9,367.00       539,810.85       565,954.14  
OCCIDENTAL PETROLEUM CORP
    80,044.00       4,526,965.51       7,852,316.40  
OFFICE DEPOT INC COM
    30,400.00       183,914.92       164,160.00  
OMRON CORP NPV
    7,000.00       184,233.55       185,445.31  
ORACLE CORP COM
    120,644.00       3,145,326.84       3,776,157.20  

31


 

     
5500 Supplemental Schedules   Account number 7879
    Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
PACCAR INC COM
    11,900.00       471,727.72       683,298.00  
PARKER-HANNIFIN CORP COM
    5,200.00       312,924.19       448,760.00  
PEABODY ENERGY CORP COM STK
    11,518.00       624,579.68       736,921.64  
PEARSON ORD GBP0.25
    41,550.00       662,084.72       652,974.93  
PENNEY J.C CO INC COM
    28,700.00       740,921.47       927,297.00  
PEPSICO INC COM
    19,134.00       1,178,818.79       1,250,024.22  
PERNOD RICARD NPV EUR 1.55
    4,100.00       363,541.34       385,483.24  
PFIZER INC COM STK $.11 1/9 PAR
    379,900.00       7,184,300.21       6,652,049.00  
PFIZER INC NT 4.45 DUE 03-15-2012
    800,000.00       798,904.00       834,764.00  
PHILIP MORRIS INTL COM STK NPV
    5,700.00       276,477.52       333,621.00  
PHILIPS ELEC(KON) EUR0.20
    27,100.00       875,585.17       830,003.11  
PHILLIPS VAN HEUSEN CORP COM
    2,882.00       178,630.33       181,594.82  
PITNEY BOWES INC COM
    36,500.00       1,139,447.63       882,570.00  
PNC FINANCIAL SERVICES GROUP COM STK
    13,444.00       688,132.78       816,319.68  
POLO RALPH LAUREN CORP CL A
    5,525.00       473,710.28       612,833.00  
PORTUGAL TELECOM SGPS EUR0.03
    48,390.00       703,076.04       541,870.44  
PPG IND INC COM
    8,400.00       285,478.50       706,188.00  
PPR EUR4
    2,100.00       352,257.63       333,935.10  
PRAXAIR INC COM
    15,246.00       1,315,530.07       1,455,535.62  
PRECISION CASTPARTS CORP COM
    30,378.00       3,878,921.89       4,228,921.38  
PRICELINE COM INC COM NEW STK
    5,639.00       2,125,420.18       2,253,062.45  
PROCTER & GAMBLE COM NPV
    19,261.00       1,179,264.20       1,239,060.13  
PROVIDENT COS INC 7.25% DUE 03-15-2028
    125,000.00       124,786.25       126,194.63  
PRUDENTIAL FINL INC COM
    5,900.00       191,972.44       346,389.00  
PRUDENTIAL ORD GBP0.05
    31,100.00       314,189.28       323,893.18  
PUB SERVICE ENTERPRISE GROUP INC COM
    21,600.00       673,045.29       687,096.00  
PVTPL COX COMM INC NEW /TS/COXENTCOX  COMM INC 5.875 DUE 12-01-2016
    375,000.00       376,494.25       419,598.38  
PVTPL COX COMMUNICATIONS INC NT 144A 9.375% DUE 01-15-2019/12-15-2008 BEO
    200,000.00       224,958.00       261,591.60  
PVTPL GDR MAIL RU GROUP LTD SPONSORED GDR 144A
    5,387.00       187,724.11       185,097.32  
PVTPL GDR SAMSUNG ELECTRS LTD GDR 1995 RPSTG COM
    2,800.00       986,035.40       1,170,675.80  
PVTPL KAUPTHING BK MEDIUM TERM SUB  TRANCHE # 01 7.125 5-19-16 BD IN DEFAULT
    800,000.00       805,086.00       8.00  
PVTPL LAFARGE S A 5.5 DUE 07-09-2015
    225,000.00       224,806.50       233,804.25  
QUALCOMM INC COM
    98,796.00       4,439,496.86       4,889,414.04  
QUANTA SVCS INC COM
    7,260.00       161,423.97       144,619.20  
RANDSTAD HLDGS NV EUR0.10
    13,110.00       681,460.18       691,983.29  
RANGE RES CORP COM
    14,414.00       563,933.07       648,341.72  

32


 

     
5500 Supplemental Schedules   Account number 7879
    Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
RAYTHEON CO USD0.01
    3,800.00       173,532.90       176,092.00  
RAYTHEON CO WT EXP 06-16-2011
    101.00             880.72  
RECORDKEEPING EXPENSE ACCRUAL
                 
RED HAT INC COM
    8,138.00       334,498.07       371,499.70  
REED ELSEVIER CAP 8.625% DUE 01-15-2019
    425,000.00       442,873.50       540,342.03  
REED ELSEVIER GBP0.1444
    43,210.00       375,672.93       364,793.99  
REED ELSEVIER NV EUR0.07
    30,400.00       400,600.73       376,044.87  
REPSOL YPF SA EUR1
    17,595.00       500,677.69       490,220.14  
RHOEN-KLINIKUM AG ORD NPV
    27,740.00       651,231.24       610,514.35  
RIO TINTO ORD GBP0.10
    14,400.00       931,235.53       1,007,244.99  
ROCHE HLDGS AG GENUSSCHEINE NPV
    6,630.00       973,580.17       971,532.47  
ROCKWELL AUTOMATION
    5,782.00       365,001.48       414,627.22  
ROLLS ROYCE GROUP ORD GBP0.20
    57,300.00       575,215.45       556,554.40  
ROSS STORES INC COM
    5,300.00       266,482.68       335,225.00  
ROVI CORP COM
    4,000.00       213,112.70       248,040.00  
ROYAL CARIBBEAN CRUISES COM STK
    4,900.00       135,383.86       230,300.00  
ROYAL DUTCH SHELL ‘A’SHS EUR0.07 (DUTCH LIST)
    23,500.00       762,218.21       776,582.85  
SAFEWAY INC COM NEW
    39,200.00       916,663.42       881,608.00  
SALESFORCE COM INC COM STK
    17,362.00       1,577,152.82       2,291,784.00  
SAMSUNG ELECTRONIC GDR REP 1/2 ORD REG’S
    1,930.00       690,738.03       817,258.50  
SANDS CHINA LTD USD0.01 REG‘S’
    86,000.00       190,337.26       188,988.32  
SANOFI-AVENTIS EUR2
    19,290.00       1,399,954.44       1,233,417.16  
SAP AG ORD NPV
    23,980.00       1,250,533.19       1,220,871.55  
SARA LEE CORP COM
    19,900.00       290,701.37       348,449.00  
SCHLUMBERGER LTD COM COM
    124,418.00       7,146,704.75       10,388,903.00  
SCHWAB CHARLES CORP COM NEW
    134,130.00       2,235,226.85       2,294,964.30  
SGS SA CHF1(REGD)
    200.00       338,128.18       335,641.90  
SHIN-ETSU CHEMICAL NPV
    6,800.00       344,357.22       368,501.27  
SHIRE PLC ADR
    7,559.00       440,798.19       547,120.42  
SIEMENS AG NPV(REGD)
    14,860.00       1,701,095.82       1,840,748.10  
SINGAPORE TELECOMMUNICATIONS  NEW COM STK
    443,000.00       1,126,239.90       1,052,809.15  
SINO-OCEAN LAND HL HKD0.80
    425,500.00       305,280.15       278,654.46  
SLM CORP COM
    84,400.00       2,085,862.96       1,062,596.00  
SLM CORP MEDIUM 8.45% DUE 06-15-2018
    775,000.00       748,572.50       805,505.55  
SLM STUDENT LN TR 2007-7 STUDENT LN-BKD NT CL A-2 FLTG 01-25-2016 REG
    780,896.22       780,896.22       778,662.08  
SLM STUDENT LN TR SER 2006-3 CL A4 FLT RT 07-25-2019 REG
    500,000.00       497,539.06       495,365.50  

33


 

     
5500 Supplemental Schedules   Account number 7879
    Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
SMALL BUS ADMIN GTD DEV PARTN CTF DEB SER 1997-20 I 6.9/09-01-2017/09-01-2002
    30,910.91       31,570.55       33,899.47  
SMALL BUSINESS ADMIN GTD DEV PARTN CTF 2007-20D PARTN CTF 5.32 DUE 04-01-27 REG
    358,605.71       358,605.71       387,469.52  
SMALL BUSINESS ADMIN GTD DEV PARTN CTF 6.1% DUE 07-01-2018/01-01-2007 REG
    54,827.14       54,827.14       59,691.29  
SMALL BUSINESS ADMIN GTD DEV PARTN CTF DEB SER 1993-20 F 6.65 6-1-13/99 REG
    27,040.97       28,647.21       28,009.82  
SMALL BUSINESS ADMIN GTD DEV PARTN CTF DEB SER 1997-20 F 7.2 6-1-17/00 REG
    22,429.51       23,257.34       24,902.36  
SMALL BUSINESS ADMIN GTD DEV PARTN CTF DEB SER 2000-20 C 7.625 03-01-2020 REG
    193,165.14       208,463.82       214,455.80  
SMALL BUSINESS ADMIN GTD DEV PARTN CTF DEB SER 2003-20 B 0 DUE 02-01-2023 REG
    195,038.11       194,367.67       207,015.01  
SMALL BUSINESS ADMIN GTD DEV PARTN CTF SER 2005-20 A 4.86 DUE 01-01-2025 REG
    575,691.88       575,691.88       612,621.94  
SMC CORP NPV
    2,900.00       443,277.12       496,823.96  
SMITHFIELD FOODS INC COM
    19,100.00       313,023.84       394,033.00  
SOCIETE GENERALE EUR1.25
    5,100.00       305,389.00       274,099.38  
South African rand
    35.53       35.53       35.53  
SOUTHWESTERN ENERGY CO COM
    27,262.00       1,016,630.08       1,020,416.66  
SPRINT CAP CORP 6.875% DUE 11-15-2028
    125,000.00       100,312.50       109,375.00  
SPRINT CAP CORP 6.9% DUE 05-01-2019
    125,000.00       106,562.50       123,437.50  
SPRINT NEXTEL CORP
    514,700.00       4,916,180.50       2,177,181.00  
SPRINT NEXTEL CORPORATION 6 DUE 12-01-2016 BEO
    375,000.00       342,745.15       362,343.75  
SPX CORP COM
    900.00       42,779.43       64,341.00  
ST PAUL TRAVELERS COS INC  BD 5.5 DUE 12-01-2015 BEO
    250,000.00       243,282.79       280,612.75  
STANDARD CHARTERED ORD USD0.50
    52,780.00       1,627,467.98       1,419,872.34  
STAPLES INC COM
    17,140.00       412,309.69       390,277.80  
STARBUCKS CORP COM
    72,997.00       1,832,240.77       2,345,393.61  
STARWOOD HOTELS & RESORTS WORLDWIDE INC COM STK
    34,145.00       1,325,338.85       2,075,333.10  
STATOILHYDRO ASA NOK2.50
    33,160.00       711,952.52       787,643.06  
STRYKER CORP
    12,204.00       602,922.75       655,354.80  
SUMITOMO CORP NPV
    27,800.00       352,384.80       393,407.13  
SUN TR BANKS INC COM
    36,500.00       728,984.70       1,077,115.00  
SUNCOR ENERGY INC NEW COM STK
    24,941.00       815,822.67       954,990.89  
SWIRE PACIFIC ‘A’HKD0.60
    30,500.00       445,960.33       501,509.71  
SWISS REINSURANCE AG CHF0.1(REGD)
    12,910.00       684,301.77       694,572.29  
SYMANTEC CORP COM
    135,000.00       2,033,195.39       2,259,900.00  
SYMRISE AG NPV (BR)
    9,600.00       305,610.81       263,299.61  
SYNOPSYS INC COM
    53,800.00       1,212,304.00       1,447,758.00  
TALISMAN ENERGY IN COM NPV
    62,400.00       1,233,531.09       1,388,142.81  
TARGET CORP COM STK
    27,623.00       1,365,139.57       1,660,970.99  
TELEFONICA SA EUR1
    42,263.00       1,169,023.35       958,098.16  

34


 

     
5500 Supplemental Schedules   Account number 7879
    Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
TELENOR ASA ORD NOK6
    46,610.00       790,575.63       757,249.75  
TEREX CORP NEW COM
    8,500.00       186,201.60       263,840.00  
TESCO ORD GBP0.05
    84,200.00       575,881.68       557,912.35  
THERMO FISHER CORP
    18,785.00       924,215.33       1,039,937.60  
TIFFANY & CO COM
    6,858.00       287,660.87       427,047.66  
TIME WARNER CABLE 8.25% DUE 04-01-2019
    175,000.00       195,916.25       217,380.28  
TIME WARNER CABLE 8.75% DUE 02-14-2019
    500,000.00       545,170.25       636,234.00  
TIME WARNER CABLE INC COM
    62,419.00       2,346,596.54       4,121,526.57  
TIME WARNER INC USD0.01
    143,433.00       4,187,865.07       4,614,239.61  
TJX COS INC COM NEW
    3,800.00       174,537.42       168,682.00  
TORONTO-DOMINION COM NPV
    7,400.00       552,267.73       552,576.76  
TOTAL EUR2.5
    32,000.00       1,810,313.18       1,695,465.62  
TRAVELERS COS INC COM STK
    32,700.00       1,313,251.87       1,821,717.00  
TRW AUTOMOTIVE HLDGS CORP COM
    5,700.00       92,328.03       300,390.00  
TULLOW OIL ORD GBP0.10
    10,700.00       201,212.21       210,360.32  
TYCO INTERNATIONAL LTD(SWITZERLAND) COM USD0.80
    46,000.00       1,534,506.79       1,906,240.00  
UBS AG CHF0.10
    17,540.00       296,957.93       287,979.25  
UGI CORP NEW COM
    6,800.00       196,146.00       214,744.00  
UN PAC RR CO 5.866 DUE 07-02-2030
    943,084.11       950,417.39       1,082,632.27  
UN PAC RR CO PASS 7.6% DUE 01-02-2020
    361,164.16       361,164.16       437,684.01  
UNICREDIT SPA EUR0.50
    144,980.00       381,438.97       299,898.90  
UNILEVER NV CVA EUR0.16
    29,320.00       938,498.44       912,884.23  
UNILEVER PLC ORD GBP0.031111
    17,500.00       550,894.44       535,578.70  
UNION PAC CORP COM
    40,649.00       3,415,074.96       3,766,536.34  
UNITED PARCEL SVC INC CL B
    13,072.00       868,864.97       948,765.76  
United States dollar
    1,113,942.60       1,113,942.60       1,113,942.60  
UNITED STATES TREAS NTS DTD 00260 1% DUE08-31-2011 REG
    665,000.00       669,213.97       668,350.94  
UNITED STATES TREAS NTS NTS .875% DUE 02-28-2011 REG
    935,000.00       937,274.20       935,986.43  
UNITED TECHNOLOGIES CORP COM
    6,949.00       462,962.20       547,025.28  
UNITEDHEALTH GROUP INC COM
    44,060.00       1,535,326.37       1,591,006.60  
UNUM CORP NT 6.75 DUE 12-15-2028 BEO
    223,000.00       188,401.76       215,115.61  
UNUMPROVIDENT CORP SR NT 7.625% DUE 03-01-2011 BEO
    71,000.00       72,691.94       71,637.72  
URBAN OUTFITTERS INC COM
    3,823.00       131,305.01       136,901.63  
US BANCORP
    33,500.00       733,684.82       903,495.00  
US TREAS NTS .875 DUE 01-31-2011 REG
    2,270,000.00       2,278,458.44       2,271,153.16  
VERIZON COMMUNICATIONS COM
    11,300.00       340,418.64       404,314.00  

35


 

     
5500 Supplemental Schedules   Account number 7879
    Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
VERTEX PHARMACEUTICALS INC COM
    12,307.00       422,423.88       431,114.21  
VESTAS WIND SYSTEM DKK1
    10,600.00       357,205.59       334,642.33  
VIACOM INC NEW CL B
    7,700.00       289,500.98       304,997.00  
VISA INC COM CL A STK
    17,737.00       1,178,910.24       1,248,330.06  
VIVENDI SA EUR5.50
    18,800.00       544,912.76       507,463.76  
VMWARE INC CL A COM CL A COM
    25,979.00       1,915,227.60       2,309,792.89  
VODAFONE GROUP ORD USD0.11428571
    667,740.00       1,889,792.90       1,726,063.90  
VOLKSWAGEN AG NON VTG PRF NPV
    3,700.00       569,040.67       600,227.97  
VULCAN MATERIALS CO COM
    15,600.00       786,088.11       692,016.00  
WACHOVIA BK NATL ASSN MEDIUM TERM SUB BKTRANCHE # SB 00008 6 DUE 11-15-2017
    425,000.00       421,612.75       471,522.63  
WALGREEN CO COM
    50,500.00       1,724,715.19       1,967,480.00  
WAL-MART STORES INC COM
    46,050.00       2,285,182.88       2,483,476.50  
WALT DISNEY CO
    131,167.00       4,246,455.42       4,920,074.17  
WEG SA COM NPV
    6,200.00       80,111.70       81,421.69  
WELLPOINT INC 5.25% DUE 01-15-2016
    825,000.00       806,652.51       907,113.90  
WELLS FARGO & CO NEW COM STK
    344,081.00       12,747,590.42       10,663,070.19  
WHOLE FOODS MKT INC COM
    11,882.00       452,470.64       601,110.38  
WPP PLC ORD GBP0.10
    50,100.00       618,069.44       616,672.82  
WYNN MACAU LTD HKD0.001
    69,200.00       156,617.68       154,918.76  
XEROX CORP 5.625% DUE 12-15-2019
    575,000.00       593,147.25       616,364.93  
XEROX CORP 6.35% DUE 05-15-2018
    225,000.00       247,227.75       253,629.90  
XEROX CORP 6.4% DUE 03-15-2016
    325,000.00       280,554.00       370,532.83  
XEROX CORP 6.875% DUE 08-15-2011
    500,000.00       511,847.83       517,160.00  
XEROX CORP COM
    250,000.00       2,171,273.22       2,880,000.00  
XL GROUP PLC ORD USD0.01
    45,800.00       1,015,221.14       999,356.00  
XSTRATA PLC ORD GBP
    27,600.00       570,280.90       647,820.66  
YAHOO JAPAN CORP NPV
    700.00       244,964.36       271,572.63  
YAMANA GOLD INC COM NPV
    14,400.00       167,399.55       184,934.45  
ZURICH FINL SVCS CHF0.10
    2,200.00       544,762.25       569,928.07  
 
Grand Total
    723,687,429.06       1,951,892,924.67       2,356,441,450.84  
 

36


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
&&& CASH MARGIN REQUIREMENT ON FINANCIALFUTURES (COLLATERAL) HELD ELSEWHERE
    1,055,000.00       1,055,000.00       1,055,000.00  
&&&BOND FUTURES OFFSET — LONG
    316.00       37,538,601.57       37,580,781.25  
&&&INVESTMENT MANAGEMENT EXPENSE ACCRUAL
                 
ACE INA HLDG INC 5.6% DUE 05-15-2015
    220,000.00       219,122.20       242,419.76  
ALLSTATE CORP 6.75% DUE 05-15-2018
    305,000.00       338,278.08       352,675.47  
ALLSTATE CORP SR NT 7.45 DUE 05-16-2019
    120,000.00       125,070.20       145,638.13  
ALLSTATE LIFE GL FDG SECD MED TRM TRANCHE # TR 00039 5.375 DUE 4-30-2013
    765,000.00       833,911.20       833,054.40  
ALTRIA GROUP INC 9.25% DUE 08-06-2019
    715,000.00       857,602.45       933,103.60  
AMEREN CORP 8.875% DUE 05-15-2014
    155,000.00       154,232.75       174,401.20  
AMERICAN EXPRESS CR CORP TRANCHE # TR 00071 7.3% DUE 08-20-2013
    675,000.00       741,311.80       760,629.15  
AMERIPRISE FINL 7.3% DUE 06-28-2019
    245,000.00       265,402.67       289,500.33  
AMERN EXPRESS BK FSB MEDIUM TERM BK N TRANCHE # TR 00061 5.5 DUE 04-16-2013
    770,000.00       832,346.90       829,900.61  
AMERN EXPRESS CR 5.125% DUE 08-25-2014
    120,000.00       124,102.80       129,382.08  
AMERN EXPRESS CR CORP MEDIUM TERM NTS TRANCHE # TR 00069 5.875 DUE 05-02-2013
    170,000.00       164,813.30       184,881.46  
AMERN INTL GROUP 5.05% DUE 10-01-2015
    540,000.00       550,312.50       554,342.40  
ANADARKO PETE CORP 5.95% DUE 09-15-2016
    115,000.00       104,181.95       123,543.24  
ANADARKO PETE CORP 6.375% DUE 09-15-2017
    1,000,000.00       1,139,860.00       1,089,307.00  
ANGLO AMERN CAP 2.15% DUE 09-27-2013
    330,000.00       329,722.80       332,837.34  
ANHEUSER BUSCH COS 5% DUE 01-15-2015
    345,000.00       386,206.80       373,015.73  
ANHEUSER BUSCH COS 5% DUE 03-01-2019
    220,000.00       227,603.20       232,967.02  
ANHEUSER BUSCH COS INC 4.95 DUE 01-15-2014 BEO
    652,000.00       706,207.28       701,578.73  
AOL TIME WARNER 7.625% DUE 04-15-2031
    1,395,000.00       1,674,306.90       1,695,877.79  
AON CORP 3.5% DUE 09-30-2015
    725,000.00       732,632.45       725,357.43  
AON CORP 5% DUE 09-30-2020
    180,000.00       179,346.60       181,674.18  
ARAB REP EGYPT GTD NT 4.45% DUE 09-15-2015 REG
    930,000.00       1,018,283.95       1,019,335.80  
ARCELORMITTAL SA NT 5.25 DUE 08-05-2020
    485,000.00       477,526.15       479,482.16  
AT&T INC 5.6% DUE 05-15-2018
    485,000.00       484,459.60       541,135.84  
AT&T INC 6.3% DUE 01-15-2038
    1,550,000.00       1,611,349.00       1,635,169.40  
AT&T INC 6.7% DUE 11-15-2013
    800,000.00       918,488.00       908,936.00  
AT&T INC SR NT 2.5 DUE 08-15-2015
    105,000.00       107,095.80       104,631.03  
AUSTRALIA & NEW ZEALAND BKG GROUP LTD SR3.7 13 JAN 2015 144A
    960,000.00       997,190.40       989,304.00  
AUTOZONE INC 5.75% DUE 01-15-2015
    305,000.00       347,367.55       335,603.40  
AVALONBAY CMNTYS INC MTN BEO TRANCHE # TR 00007 6.125 DUE 11-01-2012
    460,000.00       500,535.20       496,348.74  

37


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
BAE SYS HLDGS INC 4.95% DUE 06-01-2014
    235,000.00       234,527.65       251,941.86  
BANK AMER CORP 5.625% DUE 07-01-2020
    1,710,000.00       1,719,866.70       1,743,331.32  
BANK AMER CORP 5.75% DUE 12-01-2017
    780,000.00       784,699.45       811,688.28  
BANK ONE CORP 5.25% DUE 01-30-2013
    140,000.00       138,979.40       149,522.52  
BANKAMERICA CORP 7.125 DUE 10-15-2011 REG
    85,000.00       98,001.60       89,118.17  
BARCLAYS BK PLC 5.125% DUE 01-08-2020
    815,000.00       830,868.05       832,324.46  
BB&T CORP 4.75% DUE 10-01-2012
    201,000.00       211,944.45       212,074.50  
BEAR STEARNS AST FLTG RT .7695% DUE 07-25-2035
    316,520.40       288,132.48       304,732.23  
BSTN PPTYS LTD 5% DUE 06-01-2015
    20,000.00       19,369.40       21,447.84  
BSTN PPTYS LTD 5.625% DUE 04-15-2015
    90,000.00       89,908.20       98,413.11  
BSTN PPTYS LTD 5.875% DUE 10-15-2019
    250,000.00       250,405.00       271,112.00  
BSTN PPTYS LTD 6.25% DUE 01-15-2013
    53,000.00       52,814.50       57,790.62  
BURL NORTHN SANTA 3.6% DUE 09-01-2020
    900,000.00       898,812.00       861,619.50  
CANADA GOVT USD BD 2.375% DUE 09-10-2014REG
    940,000.00       936,613.95       969,164.44  
CAP 1 BK USA NATL 8.8% DUE 07-15-2019
    180,000.00       191,532.75       221,407.02  
CAP 1 FINL CORP 6.75% DUE 09-15-2017
    695,000.00       840,950.00       800,892.29  
CARMAX AUTO OWNER 1.41% DUE 02-16-2016
    1,050,000.00       1,049,864.97       1,031,711.10  
CATERPILLAR FINL TRANCHE # TR 00821 7.15DUE 02-15-2019
    360,000.00       360,174.20       442,678.32  
CDN NAT RES LTD 5.15% DUE 02-01-2013
    700,000.00       752,115.00       754,394.20  
CENTERPOINT ENERGY 7% DUE 03-01-2014
    120,000.00       119,973.60       137,142.12  
CITIGROUP FDG INC NT 1.875 DUE 10-22-2012
    725,000.00       740,694.74       739,519.58  
CITIGROUP INC 5.5% DUE 02-15-2017
    2,740,000.00       2,829,652.80       2,836,012.34  
CITIGROUP INC 5.5% DUE 04-11-2013
    525,000.00       464,577.75       559,035.75  
CITIGROUP INC 6% DUE 08-15-2017
    545,000.00       523,050.35       591,159.87  
CITIGROUP INC 6.01% DUE 01-15-2015
    700,000.00       733,523.00       767,918.20  
CITIGROUP INC 6.125% DUE 05-15-2018
    715,000.00       669,086.79       783,301.81  
CITIGROUP INC 6.125% DUE 11-21-2017
    140,000.00       142,261.00       153,424.04  
CITIGROUP INC 6.375% DUE 08-12-2014
    220,000.00       232,075.80       243,145.54  
CITIGROUP INC SR NT 5.3% DUE 01-07-2016
    250,000.00       215,025.00       265,448.75  
CITIGROUP INC SUB NT 5% DUE 09-15-2014
    65,000.00       67,057.25       67,241.07  
CLEV ELEC ILLUM CO 5.65% DUE 12-15-2013
    115,000.00       114,080.00       125,750.89  
CLOROX CO 5.95% DUE 10-15-2017
    1,000,000.00       1,119,870.00       1,115,739.00  
CMO BEAR STEARN CML MTG SECS TR 07-PWR16PTHRU CTF CL A-AB VAR 6-11-40 REG
    185,000.00       188,020.70       198,068.22  

38


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
CMO BEAR STEARNS COML MTG SECS INC 2003-TOP12 CL A3 4.24 DUE 08-13-2039 REG
    153,860.93       154,703.77       156,244.24  
CMO BEAR STEARNS COML MTG SECS INC 2004-PWR3 CL A4 4.715 DUE 02-11-2041 REG
    760,000.00       780,929.69       801,905.64  
CMO BEAR STEARNS COML MTG SECS INC 2004-TOP14 CTF A-4 5.2 1-12-41 REG
    200,000.00       210,031.25       213,921.80  
CMO BEAR STEARNS COML MTG SECS INC 2006-TOP22 CL A-4 DUE 04-12-2038 REG
    460,000.00       488,821.88       499,939.50  
CMO CITIGROUP COML MTG TR 2004-C1 COML MTG PASS THRU CTF CL A-4 4-15-40
    450,000.00       473,501.95       483,215.85  
CMO CITIGROUP COML MTG TR 2006-C5 CL A-45.4310002327% DUE 10-15-2049 BEO
    1,200,000.00       1,210,500.00       1,281,670.80  
CMO CR SUISSE 1ST BSTN MTG SECS CORP 2004-C3 A-3 4.302 07-15-36 REG
    41,288.31       41,247.02       41,262.67  
CMO CREDIT SUISSE FIRST BSTN MTG TR SER 2006-C2 CL A-1 5.25 DUE 03-15-2039 BEO
    173,811.61       169,683.57       174,053.03  
CMO CSFB MTG SECS CORP MSC SER 01-CKN5 CL A4 5.435 DUE 7-15-2011 BEO
    305,792.78       306,357.51       310,715.74  
CMO GE COML MTG CORP 2004-C3 CL A-4 5.189% DUE 07-10-2039 REG
    1,200,000.00       1,283,278.66       1,274,847.60  
CMO GE COML MTG CORP 2005-C4 CL A-4 DUE 11-10-2045 REG
    800,000.00       830,062.50       858,178.40  
CMO GE COML MTG CORP GECMC 04-C2 4.89300012589% DUE 03-10-2040 BEO
    1,280,000.00       1,332,750.00       1,353,340.16  
CMO J P MORGAN CHASE COML MTG SECS CORP 2004-PNC1 COML A-4 DUE 06-12-2041 REG
    1,411,000.00       1,421,506.35       1,505,999.81  
CMO J P MORGAN CHASE COML MTG SECS TR 2006-L CL A-M 5.8755 DUE 04-17-2045 REG
    1,950,000.00       1,998,206.25       2,022,153.90  
CMO LB-UBS COML MTG TR 2001-C3 CL A-2 6.365 EXP 6-15-11 FINAL 12-15-28 BEO
    230,549.09       238,438.19       233,389.45  
CMO LB-UBS COML MTG TR 2006-C1 PASSTHRU CTF CL A-4 5.156 DUE 2-15-2031
    445,000.00       401,230.08       475,339.21  
CMO MERRILL LYNCH MTG TR SER 2005-CKI1 CL A2 5.211274% DUE 11-12-2037 BEO
    82,166.00       82,615.76       82,441.42  
CMO SER 2006-C7 CL A4 FLT RT DUE 06-10-2046 REG
    720,000.00       747,196.88       787,229.28  
CMO TIAA SEASONED COML MTG TR 2007-C4 MTG PTHRU CTF CL A-3 DUE 8-15-39 REG
    195,000.00       195,808.47       214,351.41  
CNA FINL CORP 5.85% DUE 12-15-2014
    185,000.00       194,927.10       195,185.55  
CNA FINL CORP NT 5.875 DUE 08-15-2020
    375,000.00       374,806.80       373,377.38  
CNH EQUIP TR 1.17% DUE 05-15-2015
    1,045,000.00       1,044,950.57       1,043,370.85  
CNH EQUIP TR 1.74000000954% DUE 01-17-2017
    1,170,000.00       1,169,725.99       1,161,674.28  
CNH EQUIP TR 2.49000000954% DUE 01-15-2016
    1,425,000.00       1,477,769.53       1,456,985.55  
COMCAST CORP NEW 4.95% DUE 06-15-2016
    325,000.00       349,716.25       350,157.28  
COMCAST CORP NEW 5.15% DUE 03-01-2020
    620,000.00       665,432.20       651,213.28  
COMCAST CORP NEW 6.3% DUE 11-15-2017
    430,000.00       503,530.50       492,327.64  
COMCAST CORP NEW 6.5 DUE 15-01-2017
    2,485,000.00       2,838,921.45       2,864,638.42  
COMCAST CORP NEW 6.5% DUE 01-15-2015
    45,000.00       49,497.75       51,242.76  
CONOCOPHILLIPS 5.5% DUE 04-15-2013
    750,000.00       822,645.00       822,385.50  
CONS EDISON CO N Y 5.3% DUE 12-01-2016
    475,000.00       473,651.00       533,409.33  
CR SUISSE 1ST BSTN 5.5% DUE 08-15-2013
    1,000,000.00       1,093,750.00       1,094,550.00  
CR SUISSE AG 5.4% DUE 01-14-2020
    390,000.00       408,731.31       398,296.86  

39


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
CR SUISSE N Y BRH FORMERLY CR S SUB 6 DUE 02-15-2018 BEO
    90,000.00       92,527.06       96,506.46  
CSX CORP 5.75% DUE 03-15-2013
    700,000.00       761,922.00       763,234.50  
CVS CAREMARK CORP 6.125% DUE 08-15-2016
    500,000.00       518,745.00       567,291.50  
DET EDISON 6.62% DUE 03-01-2016
    1,425,000.00       1,654,558.59       1,653,480.23  
DEVON FING CORP U 6.875% DUE 09-30-2011
    100,000.00       105,221.00       104,470.80  
DEXIA CR LOC NEW YORK BRH NT 144A 2.75% DUE 04-29-2014 BEO
    1,650,000.00       1,651,122.40       1,673,814.45  
DIAGEO CAP PLC GTD NT 4.828 DUE 07-15-2020
    405,000.00       458,860.95       427,343.85  
DIRECTV HLDGS LLC 5.2% DUE 03-15-2020
    220,000.00       215,908.00       228,070.26  
DIRECTV HLDGS LLC 5.875% DUE 10-01-2019
    405,000.00       440,949.40       440,171.42  
DNB NOR 2.1% DUE 10-14-2015
    1,365,000.00       1,325,441.34       1,298,110.91  
DOW CHEM CO 8.55% DUE 05-15-2019
    510,000.00       646,506.60       639,156.48  
DU PONT E I DE NEMOURS & CO NT 3.625 DUE01-15-2021
    270,000.00       269,619.30       261,054.09  
DUKE CAP CORP 8% DUE 10-01-2019
    675,000.00       828,312.75       822,322.80  
DUKE ENERGY 5.1% DUE 04-15-2018
    155,000.00       154,517.95       170,250.30  
DUKE ENERGY CORP SR NT 6.3% DUE 02-01-2014/01-26-2009
    900,000.00       954,385.87       1,002,460.50  
DUKE RLTY LTD 8.25% DUE 08-15-2019
    330,000.00       367,391.20       388,790.82  
EKSPORTFINANS A S 3% DUE 11-17-2014
    335,000.00       351,100.10       345,694.88  
EKSPORTFINANS A S 5.5% DUE 06-26-2017
    285,000.00       328,080.60       319,870.89  
ELECTR DATA SYS STEP CPN 6% DUE 08-01-2013
    310,000.00       331,473.60       345,537.78  
EMBARQ CORP 7.082% DUE 06-01-2016
    65,000.00       66,947.29       71,884.02  
ENBRIDGE ENERGY 5.875% DUE 12-15-2016
    900,000.00       990,729.00       1,002,003.30  
ENEL FIN INTL S A 3.875% DUE 10-07-2014/10-07-2009
    815,000.00       828,912.05       828,766.98  
ENTERGY ARK INC 5.4% DUE 08-01-2013
    265,000.00       264,981.45       288,905.65  
ENTERGY TEX INC 7.125% DUE 02-01-2019
    165,000.00       177,782.10       192,180.29  
EOG RES INC 4.1% DUE 02-01-2021
    300,000.00       298,728.00       295,056.60  
EXPORT IMPORT BK KOREA NT 5.875% DUE 01-14-2015 REG
    400,000.00       397,704.00       433,171.60  
EXPRESS SCRIPTS 6.25% DUE 06-15-2014
    355,000.00       372,751.70       396,876.51  
FANNIE MAE 1.5% DUE 06-26-2013
    4,900,000.00       5,003,497.80       4,970,275.80  
FED RLTY INVT TR 5.65% DUE 06-01-2016
    155,000.00       155,000.00       166,687.62  
FED RLTY INVT TR 6% DUE 07-15-2012
    75,000.00       74,925.75       79,591.88  
FEDERAL HOME LN MTG CORP POOL #A22684 5.5% 10-01-2034 BEO
    1,070,469.76       1,139,046.73       1,156,096.64  
FEDERAL HOME LN MTG CORP POOL #A34054 6%04-01-2035 BEO
    463,374.96       506,237.14       506,904.40  
FEDERAL HOME LN MTG CORP POOL #A46092 5%07-01-2035 BEO
    341,302.82       331,970.34       360,301.44  

40


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
FEDERAL HOME LN MTG CORP POOL #A61558 6.5% 10-01-2036 BEO
    543,666.17       589,198.20       615,723.68  
FEDERAL HOME LN MTG CORP POOL #A64391 6%08-01-2037 BEO
    392,787.02       393,830.37       427,864.47  
FEDERAL HOME LN MTG CORP POOL #A68726 6.5% 11-01-2037 BEO
    744,394.22       760,910.47       826,075.11  
FEDERAL HOME LN MTG CORP POOL #A78952 5.5% 12-01-2037 BEO
    956,353.55       1,007,252.58       1,020,347.95  
FEDERAL HOME LN MTG CORP POOL #A79570 5.5% 07-01-2038 BEO
    346,755.39       366,233.28       369,850.34  
FEDERAL HOME LN MTG CORP POOL #A83000 5.5% 11-01-2038 BEO
    952,752.29       968,978.86       1,031,452.49  
FEDERAL HOME LN MTG CORP POOL #A86783 4.5% 06-01-2039 BEO
    179,047.83       180,250.82       183,646.67  
FEDERAL HOME LN MTG CORP POOL #A86809 4.5% 06-01-2039 BEO
    263,001.38       264,634.87       269,756.57  
FEDERAL HOME LN MTG CORP POOL #A87263 5.5% 07-01-2039 BEO
    611,686.51       642,366.39       656,632.01  
FEDERAL HOME LN MTG CORP POOL #A87441 4%07-01-2039 BEO
    829,892.07       803,925.53       825,755.06  
FEDERAL HOME LN MTG CORP POOL #A88355 4.5% 09-01-2039 BEO
    471,062.43       472,976.12       483,161.67  
FEDERAL HOME LN MTG CORP POOL #A89640 5%11-01-2039 BEO
    3,157,670.30       3,349,307.69       3,333,442.02  
FEDERAL HOME LN MTG CORP POOL #A90207 5%12-01-2039 BEO
    1,592,565.53       1,658,507.69       1,689,178.52  
FEDERAL HOME LN MTG CORP POOL #A90319 5%12-01-2039 BEO
    950,129.64       1,012,333.43       1,003,018.61  
FEDERAL HOME LN MTG CORP POOL #A91927 4.5% 04-01-2040 BEO
    1,280,800.18       1,280,572.45       1,313,697.53  
FEDERAL HOME LN MTG CORP POOL #A92357 5.5% 05-01-2040 BEO
    2,509,991.70       2,703,731.68       2,676,379.05  
FEDERAL HOME LN MTG CORP POOL #A92473 4.5% 06-01-2040 BEO
    354,238.37       361,682.90       363,336.98  
FEDERAL HOME LN MTG CORP POOL #A93101 5%07-01-2040 BEO
    1,124,620.17       1,182,256.95       1,180,193.28  
FEDERAL HOME LN MTG CORP POOL #A93107 5.5% 07-01-2040 BEO
    1,962,451.44       2,120,060.83       2,092,542.35  
FEDERAL HOME LN MTG CORP POOL #A9-3585 5% 08-01-2040 BEO
    724,408.70       765,496.25       760,205.36  
FEDERAL HOME LN MTG CORP POOL #A9-4007 5% 09-01-2040 BEO
    717,068.11       758,299.53       752,502.03  
FEDERAL HOME LN MTG CORP POOL #A9-4251 4% 10-01-2040 BEO
    398,721.46       408,673.92       396,235.43  
FEDERAL HOME LN MTG CORP POOL #A9-4640 4% 10-01-2040 BEO
    1,395,571.60       1,442,890.20       1,387,742.44  
FEDERAL HOME LN MTG CORP POOL #A9-5529 4.5% 12-01-2040 BEO
    280,000.00       285,993.75       287,191.80  
FEDERAL HOME LN MTG CORP POOL #C01847 5.5% 06-01-2034 BEO
    1,090,519.75       1,055,418.66       1,169,967.39  
FEDERAL HOME LN MTG CORP POOL #C03027 6%09-01-2037 BEO
    168,314.62       168,735.42       183,871.77  
FEDERAL HOME LN MTG CORP POOL #C91296 5%04-01-2030 BEO
    291,574.60       305,424.39       305,982.76  
FEDERAL HOME LN MTG CORP POOL #D9-8047 6% 08-01-2028 BEO
    75,601.43       82,275.61       81,927.68  
FEDERAL HOME LN MTG CORP POOL #G01548 7.5% 07-01-2032 BEO
    441,780.97       487,824.66       515,496.10  
FEDERAL HOME LN MTG CORP POOL #G01704 5.5% 07-01-2033 BEO
    49,413.93       47,892.92       53,060.18  
FEDERAL HOME LN MTG CORP POOL #G01813 5%04-01-2035 BEO
    617,323.25       601,025.06       650,914.89  
FEDERAL HOME LN MTG CORP POOL #G01895 5%07-01-2035 BEO
    240,725.66       238,017.50       253,824.75  
FEDERAL HOME LN MTG CORP POOL #G02186 5%05-01-2036 BEO
    503,260.74       488,556.08       530,331.14  

41


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
FEDERAL HOME LN MTG CORP POOL #G02308 5.5% 09-01-2036 BEO
    389,269.59       379,227.13       416,047.45  
FEDERAL HOME LN MTG CORP POOL #G03392 6%10-01-2037 BEO
    567,995.76       604,881.82       615,880.07  
FEDERAL HOME LN MTG CORP POOL #G04176 5.5% 05-01-2038 BEO
    1,131,779.60       1,204,018.99       1,207,159.52  
FEDERAL HOME LN MTG CORP POOL #G04334 5%04-01-2038 BEO
    552,143.31       571,746.65       582,533.28  
FEDERAL HOME LN MTG CORP POOL #G05903 5.5% 03-01-2040 BEO
    863,094.56       926,805.40       926,513.02  
FEDERAL HOME LN MTG CORP POOL #G05923 5.5% 02-01-2040 BEO
    323,570.04       345,613.25       345,221.73  
FEDERAL HOME LN MTG CORP POOL #G08062 5%06-01-2035 BEO
    186,097.52       177,752.22       196,107.71  
FEDERAL HOME LN MTG CORP POOL #G08368 4.5% 10-01-2039 BEO
    650,299.59       657,818.69       667,002.53  
FEDERAL HOME LN MTG CORP POOL #J10665 4.5% 09-01-2024 BEO
    595,558.30       612,401.44       622,358.42  
FEDERAL HOME LN MTG CORP POOL #J11208 5%11-01-2024 BEO
    1,161,942.55       1,225,123.17       1,243,459.79  
FEDERAL HOME LN MTG CORP POOL #J11561 4.5% 01-01-2025 BEO
    2,852,268.42       2,967,013.75       3,009,143.18  
FEDERAL HOME LN MTG CORP POOL #J12073 4%04-01-2025 BEO
    430,745.00       435,708.67       443,276.66  
FEE FOR SECURITIES LENDING ACTIVITY FOR
    3.00              
FHLB BD 2.625 09-13-2013
    2,000,000.00       2,097,220.00       2,084,290.00  
FHLB DISC NT 02-25-2011 DISC
    1,500,000.00       1,499,405.00       1,499,603.29  
FHLMC DISC NT 01-24-2011
    700,000.00       699,822.08       699,931.13  
FHLMC DISC NT 05-19-2011
    2,100,000.00       2,098,418.87       2,098,418.87  
FHLMC DISC NT 06-27-2011
    1,500,000.00       1,498,284.58       1,498,294.16  
FHLMC GOLD C71284 6.5 03-01-2032
    192,132.80       196,936.11       216,037.00  
FHLMC GOLD G03323 6 08-01-2037
    1,555,016.36       1,656,972.16       1,689,998.00  
FHLMC GOLD G03512 6 10-01-2037
    431,218.40       433,947.19       467,571.84  
FHLMC GOLD G11690 4 02-01-2020
    440,394.76       417,686.90       456,772.16  
FHLMC GOLD G12033 4.5 12-01-2019
    262,955.92       250,218.99       277,582.84  
FHLMC GOLD G12034 4 06-01-2019
    114,337.39       106,548.14       118,589.37  
FHLMC GOLD G12080 4.5 10-01-2018
    266,185.91       252,294.34       280,992.50  
FHLMC GOLD G13174 5 06-01-2023
    1,821,831.21       1,931,995.07       1,924,593.42  
FHLMC GROUP #G10516 6 MTG PARTN CTF DUE 05-01-2011 REG
    10.38       9.97       11.29  
FHLMC MULTICLASS FEDERAL HOME LOAN MORTGAGE CO 5.5 5.5 05-15-2026
    111,771.98       112,383.23       112,919.99  
FHLMC MULTICLASS FHLMC SERIES 3351 CLASSPJ 5.5 06-15-2022/01-15-2011
    46,053.59       47,086.20       46,044.70  
FHLMC MULTICLASS PREASSIGN 00568 04-25-2016
    201,944.38       202,560.36       224,625.36  
FHLMC MULTICLASS SER 2080 CL 2080-PJ 6.###-##-####
    660,567.20       687,580.11       741,200.66  
FHLMC MULTICLASS SER 2672 CL GE 5.5 04-15-2029
    350,333.86       351,702.35       353,244.08  
FHLMC MULTICLASS SER 2672 CL TE 5 03-15-2029
    591,393.41       580,212.36       608,617.15  

42


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
FHLMC MULTICLASS SER 3317 CL PA 5 03-15-2022
    91,807.04       92,753.80       92,402.59  
FHLMC POOL #G13644 5 07-01-2024
    365,074.24       384,910.89       385,666.62  
FHLMC PREASSIGN 00012 5 02-16-2017
    2,690,000.00       3,087,485.16       3,028,692.52  
FHLMC PREASSIGN 00038 4.875 06-13-2018
    1,200,000.00       1,305,109.09       1,342,004.40  
FHLMC PREASSIGN 00049 3.75 03-27-2019
    515,000.00       543,664.90       533,112.04  
FHLMC PREASSIGN 00050 2.5 04-23-2014
    3,000,000.00       3,135,414.00       3,108,240.00  
FINANCEMENT QUE 5% DUE 10-25-2012
    280,000.00       271,353.60       298,849.60  
FNMA 1 DUE 09-23-2013 REG
    1,750,000.00       1,751,800.75       1,747,352.25  
FNMA 30 YR PASS-THROUGHS 5.5 30 YEARS SETTLES JAN
    7,500,000.00       7,983,984.38       8,023,830.00  
FNMA 4.375 DUE 03-15-2013 REG
    2,600,000.00       2,826,242.76       2,801,552.00  
FNMA DISC NT 02-09-2011
    600,000.00       599,897.33       599,914.45  
FNMA NOTES 1.3 07-16-2013/07-16-2012
    2,300,000.00       2,297,700.00       2,309,611.70  
FNMA POOL #254261 6.5% DUE 04-01-2017 REG
    73,204.39       75,103.13       80,101.63  
FNMA POOL #254485 7% DUE 11-01-2031 REG
    19,053.78       19,890.35       21,665.62  
FNMA POOL #254918 4.5% 09-01-2033 BEO
    571,631.79       557,162.37       591,048.41  
FNMA POOL #255706 5.5% 05-01-2035 BEO
    1,400,173.77       1,508,249.68       1,505,744.07  
FNMA POOL #255900 6% 10-01-2035 BEO
    138,082.32       136,507.12       150,687.85  
FNMA POOL #256926 6.5% 10-01-2037 BEO
    331,486.31       337,753.48       368,688.36  
FNMA POOL #323979 6.5% DUE 04-01-2029 REG
    28,837.53       29,753.70       32,425.35  
FNMA POOL #357797 5.5% 06-01-2035 BEO
    177,096.16       173,803.27       190,448.86  
FNMA POOL #403646 6.5% 12-01-2027 BEO
    72,841.44       74,992.00       81,676.38  
FNMA POOL #407591 6.5% DUE 12-01-2027 REG
    80,879.67       83,267.54       90,689.57  
FNMA POOL #535661 7.5% DUE 01-01-2031 REG
    75,388.08       79,440.19       86,512.95  
FNMA POOL #545278 7.5% DUE 11-01-2031 REG
    16,249.60       17,123.01       18,638.73  
FNMA POOL #545759 6.5% DUE 07-01-2032 REG
    572,468.22       586,803.43       643,691.85  
FNMA POOL #545817 6.5% 08-01-2032 BEO
    172,968.87       177,401.22       194,488.79  
FNMA POOL #555967 5.5% 11-01-2033 BEO
    621,924.93       628,390.14       670,371.64  
FNMA POOL #655114 7.5% DUE 08-01-2032 REG
    5,102.91       5,394.71       5,862.29  
FNMA POOL #725424 5.5% 04-01-2034 BEO
    541,150.54       538,680.30       583,305.08  
FNMA POOL #725425 5.5% 04-01-2034 BEO
    148,025.32       143,098.82       158,946.33  
FNMA POOL #725611 5.5% 06-01-2034 BEO
    531,769.99       522,962.55       573,193.81  
FNMA POOL #735224 5.5% 02-01-2035 BEO
    204,647.02       205,586.26       220,588.61  
FNMA POOL #735358 5.5% 02-01-2035 BEO
    446,084.17       435,768.47       480,136.45  

43


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
FNMA POOL #735403 5% 04-01-2035 BEO
    1,857,955.23       1,844,020.56       1,962,745.76  
FNMA POOL #735871 5.5% 07-01-2035 BEO
    692,152.84       693,991.37       744,989.02  
FNMA POOL #740228 5.5% 09-01-2033 BEO
    550,113.99       555,314.28       596,416.53  
FNMA POOL #745274 5.5% 01-01-2036 BEO
    843,289.43       891,383.28       906,871.77  
FNMA POOL #745428 5.5% 01-01-2036 BEO
    237,465.82       254,904.72       255,370.27  
FNMA POOL #759385 ADJ RT DUE 01-01-2034 BEO
    652,960.39       664,114.05       681,750.07  
FNMA POOL #771060 6.5% 02-01-2033 BEO
    1,036,206.44       1,138,531.81       1,172,897.61  
FNMA POOL #829028 4.5% 07-01-2020 BEO
    336,824.87       319,246.81       355,350.24  
FNMA POOL #835760 4.5% 09-01-2035 BEO
    181,057.81       169,520.87       186,868.32  
FNMA POOL #880993 6% 01-01-2022 BEO
    420,894.17       454,144.41       461,602.63  
FNMA POOL #881220 6% 03-01-2030 BEO
    990,263.76       1,064,069.36       1,094,281.07  
FNMA POOL #888100 5.5% 09-01-2036 BEO
    208,198.41       201,822.33       224,091.44  
FNMA POOL #888104 5% 05-01-2021 BEO
    204,239.76       216,526.07       218,440.75  
FNMA POOL #888211 7% DUE 08-01-2036 BEO
    304,548.22       316,825.32       346,760.74  
FNMA POOL #888475 6% 07-01-2037 BEO
    272,634.17       289,998.45       296,670.96  
FNMA POOL #888566 5.5% 01-01-2037 BEO
    1,081,044.64       1,140,100.20       1,162,553.24  
FNMA POOL #888992 6.5% DUE 11-01-2037 REG
    233,982.89       240,399.14       260,242.32  
FNMA POOL #889580 5.5% 06-01-2038 BEO
                 
FNMA POOL #889961 5.5% 08-01-2037 BEO
    314,475.68       307,056.03       338,186.52  
FNMA POOL #894856 6% 09-01-2021 BEO
    236,406.56       240,351.51       257,941.78  
FNMA POOL #905121 6% DUE 12-01-2036 REG
    458,494.95       463,438.09       499,777.84  
FNMA POOL #909207 6.5% 07-01-2023 BEO
    658,630.04       735,195.78       726,827.23  
FNMA POOL #922227 6.5% DUE 12-01-2036 REG
    190,383.24       195,799.97       213,355.83  
FNMA POOL #922228 6.5% DUE 12-01-2036 REG
    183,531.64       187,492.35       205,677.49  
FNMA POOL #930940 5% 04-01-2039 BEO
    473,917.18       490,962.76       503,904.76  
FNMA POOL #931252 4% 05-01-2024 BEO
    704,082.54       734,638.62       726,194.95  
FNMA POOL #937666 6% DUE 06-01-2037 REG
    466,361.48       460,604.85       515,639.57  
FNMA POOL #953744 6.5% DUE 11-01-2037 REG
    346,152.46       359,322.49       385,000.46  
FNMA POOL #955005 6% 09-01-2037 BEO
    237,332.72       237,240.00       258,257.16  
FNMA POOL #995364 6% 10-01-2038 BEO
    835,066.95       888,252.97       913,387.88  
FNMA POOL #995876 6% 11-01-2038 BEO
    605,962.89       644,900.75       659,387.61  
FNMA POOL #AA3064 4% 06-01-2024 BEO
    497,921.59       501,578.20       513,559.32  
FNMA POOL #AA4415 5% 03-01-2039 BEO
    657,260.95       680,835.24       695,563.49  

44


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
FNMA POOL #AA4603 4.5% 04-01-2039 BEO
    606,316.81       617,022.09       623,026.90  
FNMA POOL #AA5062 4.5% 03-01-2039 BEO
    349,607.38       352,543.54       359,188.02  
FNMA POOL #AA9188 5% 08-01-2039 BEO
    868,018.63       902,739.38       921,315.84  
FNMA POOL #AA9357 4.5% 08-01-2039 BEO
    578,118.83       581,506.24       594,051.78  
FNMA POOL #AB1251 5% 07-01-2040 BEO
    817,623.15       867,319.30       860,160.81  
FNMA POOL #AC0227 5% 11-01-2039 BEO
    1,643,253.04       1,700,766.90       1,747,231.52  
FNMA POOL #AC0543 4.5% 09-01-2024 BEO
    517,534.99       537,355.24       542,764.82  
FNMA POOL #AC0771 4.5% 09-01-2039 BEO
    535,919.49       541,746.46       550,689.43  
FNMA POOL #AC1533 4.5% 09-01-2039 BEO
    663,718.66       670,935.15       682,010.75  
FNMA POOL #AC1619 5.5% 08-01-2039 BEO
    537,513.21       567,160.44       581,400.09  
FNMA POOL #AC1915 4% 09-01-2039 BEO
    767,287.96       750,953.11       764,062.28  
FNMA POOL #AC3295 5% 10-01-2024 BEO
    562,338.04       599,153.63       604,601.12  
FNMA POOL #AD0110 5.5% 04-01-2036 BEO
    3,719,424.62       3,969,323.46       4,023,108.20  
FNMA POOL #AD2179 5% 06-01-2040 BEO
    403,034.31       423,186.02       424,002.57  
FNMA POOL #AD4384 5.5% 05-01-2040 BEO
    536,880.88       578,405.27       574,676.22  
FNMA POOL #AD4775 4% 03-01-2025 BEO
    234,862.01       240,852.81       242,238.09  
FNMA POOL #AD5541 5% 05-01-2030 BEO
    225,435.90       236,602.03       237,234.99  
FNMA POOL #AD5542 5% 05-01-2030 BEO
    182,384.29       191,646.00       191,930.10  
FNMA POOL #AD6011 5.5% 06-01-2040 BEO
    2,619,634.94       2,831,661.65       2,804,052.00  
FNMA POOL #AD7112 5.5% 07-01-2040 BEO
    913,331.49       986,968.83       977,628.20  
FNMA POOL #AD8316 5% 07-01-2040 BEO
    2,592,511.01       2,722,136.55       2,727,388.99  
FNMA POOL #AD8431 4.5% 09-01-2040 BEO
    535,792.12       562,707.30       550,474.97  
FNMA POOL #AD8676 5% 07-01-2040 BEO
    1,724,386.07       1,822,999.41       1,830,265.10  
FNMA POOL #AD9321 5% 08-01-2040 BEO
    2,555,087.97       2,714,381.73       2,699,197.49  
FNMA POOL #AD9483 5% 07-01-2040 BEO
    123,834.53       130,026.25       130,277.15  
FNMA POOL #AD9816 4% 07-01-2025 BEO
    769,212.54       799,169.77       795,173.46  
FNMA POOL #AE0178 6% 08-01-2024 BEO
    1,106,162.58       1,209,173.98       1,212,458.17  
FNMA POOL #AE2321 4% 08-01-2025 BEO
    648,376.46       677,553.40       670,259.17  
FNMA POOL #AE4273 5% 09-01-2040 BEO
    2,612,157.33       2,783,580.16       2,764,383.41  
FNMA POOL #AE5133 5% 11-01-2040 BEO
    2,696,773.47       2,859,843.99       2,837,075.81  
FNMA POOL #AE5188 4.5% 09-01-2040 BEO
    298,773.99       314,459.62       307,895.26  
FNMA POOL #AE7229 4.5% 12-01-2040 BEO
    3,042,236.00       3,117,341.20       3,125,605.44  
FNMA POOL #AE8722 4% 11-01-2040 BEO
    723,887.40       746,367.49       720,844.18  

45


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
FNMA POOL #AE8852 4.5% 12-01-2040 BEO
    2,800,000.00       2,875,250.00       2,876,731.20  
FNMA POOL #MA0156 5% 08-01-2029 BEO
    206,033.96       217,719.95       216,817.57  
FNMA POOL #MA0193 5.5% 08-01-2024 BEO
    1,978,938.63       2,102,931.52       2,128,904.58  
FNMA POOL #MA0321 5.5% 01-01-2030 BEO
    205,604.16       221,313.60       220,463.79  
FNMA PREASSIGN 00755 5.5 02-25-2030
    126,594.94       126,033.26       130,410.76  
FNMA REMIC 5 05-25-2035
    201,497.57       197,530.57       215,416.01  
FNMA REMIC SER 2006-73 CL PJ 6 02-25-2028
    23,946.02       24,018.05       23,963.50  
FNMA SER 2002-T3 CL B 5.763 12-25-2011
    310,000.00       332,475.00       324,386.17  
FNMA SINGLE FAMILY MORTGAGE 4% 30 YEARS SETTLES JANUARY
    1,200,000.00       1,188,161.23       1,193,625.60  
FNMA SINGLE FAMILY MORTGAGE 4.5% 15 YEARS SETTLES JANUARY
    7,500,000.00       7,836,328.13       7,862,107.50  
FNMA SINGLE FAMILY MORTGAGE 4.5% 30 YEARS SETTLES JANUARY
    2,400,000.00       2,465,250.00       2,463,374.40  
FUT MAR 11 10 YR T-NOTES
    (9.00 )     (1,084,921.87 )     (1,083,937.50 )
FUT MAR 11 5 YR T NOTE
    (200.00 )     (23,554,617.19 )     (23,543,750.00 )
FUT MAR 11 CBT UL T-BONDS
    23.00       2,879,999.99       2,923,156.25  
FUT MAR 11 U.S. T-BONDS
    (130.00 )     (15,779,062.50 )     (15,876,250.00 )
GE GLOBAL INS HLDG 6.45% DUE 03-01-2019
    235,000.00       241,993.60       250,840.88  
GEN ELEC CAP CORP 2.125 DUE 12-21-2012 FDIC GTD
    1,760,000.00       1,820,843.20       1,808,287.36  
GEN ELEC CAP CORP 2.25% DUE 11-09-2015
    470,000.00       469,647.50       451,836.85  
GEN ELEC CAP CORP 2.8% DUE 01-08-2013
    900,000.00       904,752.00       920,071.80  
GEN ELEC CAP CORP 5.875% DUE 01-14-2038
    2,140,000.00       2,150,892.60       2,221,424.86  
GEN ELEC CAP CORP 6% DUE 08-07-2019
    385,000.00       412,586.60       428,347.54  
GEN ELEC CAP CORP MEDIUM TERM NTS BO TRANCHE # TR 00575 5.45 DUE 01-15-2013
    740,000.00       805,430.80       795,795.26  
GENERAL ELEC CAP CORP MEDIUM TERM NTS BOOK ENTRY MTN 4.375% DUE 09-16-2020
    295,000.00       284,642.55       290,326.32  
GENERAL ELEC CO 5.25% DUE 12-06-2017
    220,000.00       222,045.41       237,620.68  
GLAXOSMITHKLINE 5.65% DUE 05-15-2018
    500,000.00       503,935.00       571,714.50  
GMAC INC FDIC GTD SR NT 1.75 DUE 10-30-2012
    1,785,000.00       1,817,978.96       1,816,615.92  
GNMA II JUMBOS 5% 30 YEARS SETTLES JANUARY
    2,000,000.00       2,115,546.87       2,125,950.00  
GNMA POOL #003624 5.5% 10-20-2034 BEO
    1,047,478.47       1,005,415.64       1,132,866.82  
GNMA POOL #004222 6% 08-20-2038 BEO
    42,444.51       42,782.75       46,564.05  
GNMA POOL #004853 4% 11-20-2040 BEO
    274,999.01       281,959.93       277,239.70  
GNMA POOL #592128 SER 2032 7% DUE 11-15-2032 REG
    5,287.24       5,627.62       6,054.66  
GNMA POOL #596796 SER 2032 7% DUE 12-15-2032 REG
    13,914.86       14,810.58       15,934.55  
GNMA POOL #657162 SER 2037 6% DUE 07-15-2037 REG
    89,657.59       89,202.29       98,739.46  

46


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
GNMA POOL #658058 6% 08-15-2036 BEO
    278,134.11       287,043.10       306,655.37  
GNMA POOL #670159 6.5% 01-15-2039 BEO
    589,004.00       656,463.36       665,770.66  
GNMA POOL #671023 6% 08-15-2037 BEO
    180,852.40       180,562.76       199,171.84  
GNMA POOL #674084 5% 05-15-2038 BEO
    312,906.60       324,347.25       332,886.00  
GNMA POOL #680587 5.5% 08-15-2040 BEO
    807,494.31       873,103.23       873,477.90  
GNMA POOL #682459 4.5% 02-15-2040 BEO
    372,669.20       377,647.84       387,418.33  
GNMA POOL #689858 6% 09-15-2038 BEO
    265,937.43       269,968.05       292,792.59  
GNMA POOL #693518 5.5% 07-15-2038 BEO
    222,823.18       226,740.00       245,487.42  
GNMA POOL #694434 6.5% 09-15-2038 BEO
    574,027.94       639,772.08       650,098.12  
GNMA POOL #694435 6.5% 09-15-2038 BEO
    532,359.45       593,331.25       602,907.72  
GNMA POOL #698091 4.5% 04-15-2039 BEO
    330,999.82       335,861.40       344,099.80  
GNMA POOL #699277 SER 2038 6% DUE 09-15-2038 BEO
    75,700.93       75,724.59       83,345.44  
GNMA POOL #706848 5.5% 05-15-2040 BEO
    1,304,164.98       1,410,128.37       1,428,600.58  
GNMA POOL #706849 5.5% 05-15-2040 BEO
    2,739,861.71       2,962,475.47       3,001,282.88  
GNMA POOL #708590 4.5% 05-15-2039 BEO
    415,263.41       423,617.34       431,698.29  
GNMA POOL #712972 4.5% 04-15-2039 BEO
    617,494.66       626,298.77       641,933.25  
GNMA POOL #714109 SER 2039 4.5% DUE 08-15-2039 REG
    446,377.44       449,795.01       464,043.72  
GNMA POOL #717182 4.5% 06-15-2039 BEO
    216,980.29       218,929.71       225,567.72  
GNMA POOL #718976 5.5% 10-15-2039 BEO
    190,698.53       206,967.50       207,997.56  
GNMA POOL #719222 4.5% 07-15-2040 BEO
    1,965,255.54       2,081,328.44       2,054,089.02  
GNMA POOL #721767 4.5% 08-15-2040 BEO
    715,663.51       754,913.18       748,012.93  
GNMA POOL #726323 SER 2039 5% DUE 09-15-2039 REG
    532,922.72       555,571.95       570,614.21  
GNMA POOL #736632 5.5% 10-15-2032 BEO
    760,975.70       820,902.53       834,572.70  
GNMA POOL #736633 5.5% 02-15-2029 BEO
    962,555.00       1,038,356.20       1,055,647.54  
GNMA POOL #737188 4.5% 04-15-2040 BEO
    705,913.00       711,538.24       733,850.92  
GNMA POOL #740958 5.5% 06-15-2040 BEO
    691,714.74       748,267.84       748,237.52  
GNMA POOL #743760 4.5% 10-15-2040 BEO
    996,630.41       1,048,719.92       1,036,074.05  
GNMA POOL #751018 4% 09-15-2040 BEO
    383,051.61       399,091.90       386,528.95  
GNMA POOL #781862 5.5% 01-15-2035 BEO
    451,169.75       458,430.75       490,292.48  
GNMA POOL #782131 5.5% 12-15-2036 BEO
    263,064.47       269,548.60       285,259.22  
GNMAII POOL #003151 SER 2031 7% DUE 10-20-2031 REG
    52,067.03       54,759.84       59,471.07  
GNMAII POOL #003229 SER 2032 7% DUE 04-20-2032 REG
    23,160.60       24,333.13       26,406.56  
GNMAII POOL #003240 SER 2032 7% DUE 05-20-2032 REG
    23,335.49       24,516.85       26,653.12  

47


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
GNMAII POOL #003599 SER 2034 6.5% DUE 08-20-2034 REG
    60,068.06       61,541.62       67,841.35  
GNMAII POOL #003774 SER 2035 5.5 DUE 10-20-2035 REG
    339,654.51       334,612.75       367,279.63  
GNMAII POOL #004696 SER 2040 4.5% DUE 05-20-2040 REG
    529,600.76       542,178.79       550,560.77  
GNMAII POOL #782156 SER 2037 5% DUE 05-20-2037 REG
    437,530.20       470,003.15       465,625.76  
GOLD FIELDS OROGEN 4.875% DUE 10-07-2020
    475,000.00       471,660.75       454,401.15  
GOLDMAN SACHS 5.125% DUE 01-15-2015
    110,000.00       115,013.80       118,182.24  
GOLDMAN SACHS 5.15% DUE 01-15-2014
    125,000.00       131,768.53       134,633.00  
GOLDMAN SACHS 6.25% DUE 09-01-2017
    2,180,000.00       2,364,869.30       2,405,741.19  
GTE CORP 6.84% DUE 04-15-2018
    350,000.00       396,249.00       396,765.95  
HARSCO CORP 2.7% DUE 10-15-2015
    450,000.00       449,568.00       438,530.85  
HARTFORD FINL SVCS 5.5% DUE 03-30-2020
    165,000.00       164,595.75       167,378.64  
HARTFORD FINL SVCS 5.5% DUE 10-15-2016
    355,000.00       383,698.20       368,384.92  
HEALTHCARE RLTY TR 6.5% DUE 01-17-2017
    755,000.00       822,814.10       814,227.49  
HESS CORP NT 8.125 DUE 02-15-2019 REG
    225,000.00       282,487.50       284,258.25  
HEWLETT PACKARD CO 2.2% DUE 12-01-2015
    845,000.00       833,862.90       832,210.08  
HEWLETT PACKARD CO 5.5% DUE 03-01-2018
    280,000.00       314,605.20       315,483.56  
HRPT PPTYS TR 5.75% DUE 11-01-2015
    240,000.00       239,277.60       249,897.36  
HRPT PPTYS TR 6.25% DUE 08-15-2016
    170,000.00       162,492.80       177,374.43  
HRPT PPTYS TR FLT RT NT DUE 03-16-2011/12-16-2010 BEO
    138,000.00       138,000.00       137,921.34  
HSBC BANK USA NA 4.875 DUE 08-24-2020 BEO
    1,200,000.00       1,256,520.00       1,192,881.60  
HSBC BK USA N A 4.625% DUE 04-01-2014
    950,000.00       998,687.50       990,517.50  
HSBC FIN CORP 6.75% DUE 05-15-2011
    110,000.00       122,096.20       112,389.86  
HSBC FINANCE CORP 6.375% DUE 10-15-2011
    185,000.00       193,943.55       192,864.17  
HYUNDAI AUTO 1.63% DUE 03-15-2017
    1,000,000.00       1,010,000.00       990,067.00  
ILLINOIS ST TAXABLE 4.421% DUE 01-01-2015 BEO TAXABLE N/C
    370,000.00       370,000.00       373,252.30  
INCOME FROM SECURITIES LENDING ACTIVITIES
    3.00              
INTL BUSINESS 2% DUE 01-05-2016
    660,000.00       657,874.80       645,334.80  
INTL PAPER CO 7.95% DUE 06-15-2018
    245,000.00       282,068.50       291,540.94  
JEFFERIES GROUP 3.875% DUE 11-09-2015
    415,000.00       414,327.70       407,905.16  
JERSEY CENT PWR & 7.35% DUE 02-01-2019
    105,000.00       104,866.65       124,259.21  
JPMORGAN CHASE & 4.25% DUE 10-15-2020
    370,000.00       368,187.00       361,360.50  
JPMORGAN CHASE & 6.3% DUE 04-23-2019
    1,600,000.00       1,768,769.13       1,821,208.00  
JPMORGAN CHASE & CO FORMERLY J P MORGAN 6 DUE 01-15-2018 BEO
    420,000.00       413,574.25       469,033.32  

48


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
JPMORGAN CHASE & CO FORMERLY J P MORGAN NT 5.125 DUE 09-15-2014 REG
    125,000.00       124,690.00       133,008.88  
JPMORGAN CHASE & CO FORMERLY J P MORGAN NT DUE 09-01-2015 REG
    1,000,000.00       1,000,000.00       997,313.00  
JPMORGAN CHASE BK N A NY N Y FORME 6 DUE10-01-2017
    2,870,000.00       3,194,493.70       3,181,572.94  
KELLOGG CO 5.125% DUE 12-03-2012
    220,000.00       220,556.60       235,782.14  
KEYBANK NATL ASSN 4.95% DUE 09-15-2015
    1,021,000.00       1,095,236.91       1,053,445.34  
KINDER MORGAN 5.3% DUE 09-15-2020
    280,000.00       285,096.00       290,727.92  
KINDER MORGAN 5.95% DUE 02-15-2018
    200,000.00       195,579.29       220,262.80  
KINDER MORGAN 6.85% DUE 02-15-2020
    400,000.00       446,676.00       458,313.60  
KOREA REP NT 4.25% DUE 06-01-2013 REG
    350,000.00       370,188.00       366,480.45  
KOREA REP NT 7.125% DUE 04-16-2019 REG
    285,000.00       338,381.40       339,408.50  
KRAFT FOODS INC 6% DUE 02-11-2013
    230,000.00       255,051.60       251,862.88  
KRAFT FOODS INC 6.5% DUE 08-11-2017
    1,550,000.00       1,804,913.00       1,804,311.60  
KREDITANSTALT FUR WIEDERAUFBAU KFW GLOBAL NT 4.125% DUE 10-15-2014 REG
    1,225,000.00       1,363,704.10       1,331,936.38  
KREDITANSTALT FUR WIEDERAUFBAU KFW SR NT1.25% DUE 10-26-2015 REG
    265,000.00       263,558.40       253,324.37  
KROGER CO 6.4% DUE 08-15-2017
    165,000.00       193,079.70       189,446.40  
LIAB: WRAPPER FOR SYNTHETIC CONTRACTS
    1.00             (24,601,424.26 )
LIBERTY PPTY LTD 5.5% DUE 12-15-2016
    60,000.00       59,568.60       64,957.98  
LINCOLN NATL CORP 5.65% DUE 08-27-2012
    515,000.00       551,879.15       547,816.32  
LLOYDS TSB BK PLC 5.8% DUE 01-13-2020
    600,000.00       598,954.29       592,419.00  
LORILLARD TOB CO 8.125% DUE 06-23-2019
    335,000.00       368,369.35       372,764.55  
MACK-CALI RLTY L P 5.125% DUE 01-15-2015
    125,000.00       124,231.25       130,930.50  
MACK-CALI RLTY L P 5.25% DUE 01-15-2012
    350,000.00       347,620.00       359,103.15  
MAGELLAN MIDSTREAM 6.55% DUE 07-15-2019
    450,000.00       485,532.00       513,003.15  
MBNA CORP SR MEDIUM TERM NTS BEO TRANCHE# SR 00056 6.125 DUE 03-01-2013
    480,000.00       517,348.80       515,361.12  
MERCK & CO INC NEW 2.25% DUE 01-15-2016
    415,000.00       413,999.85       409,783.04  
MERRILL LYNCH & CO 6.05% DUE 05-16-2016
    285,000.00       282,055.95       293,638.64  
MERRILL LYNCH & CO INC TRANCHE # TR 00677 6.875% DUE 04-25-2018
    795,000.00       788,543.95       870,014.61  
MET LIFE GLOBAL FDG I MEDIUM TE TRANCHE # TR 00048 2.875 DUE 09-17-2012
    365,000.00       371,489.70       374,100.91  
METLIFE INC 5% DUE 06-15-2015
    545,000.00       543,523.05       590,238.27  
MIDAMERICAN ENERGY 6.5% DUE 09-15-2037
    1,810,000.00       2,028,792.80       2,047,499.15  
MORGAN STANLEY 5.5% DUE 01-26-2020
    630,000.00       638,448.30       635,055.75  
MORGAN STANLEY FORMERLY MORGAN STANLEY MORGAN STANLEY 5.95 DUE 12-28-2017
    2,010,000.00       2,093,792.40       2,126,660.40  
MORGAN STANLEY MTN 5.375 DUE 10-15-2015
    1,125,000.00       1,163,856.84       1,181,665.13  

49


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
NABISCO INC 7.55% DUE 06-15-2015
    355,000.00       426,631.90       418,778.95  
NASDAQ OMX GROUP 4% DUE 01-15-2015
    340,000.00       338,266.00       346,062.88  
NATL CY BK CLEV OH MEDIUM T TRANCHE # SB00007 5.8 DUE 06-07-2017
    265,000.00       272,780.40       285,854.97  
NCUA GTD NTS TR 2010-C1 GTD NT CL A-PT 2.65% DUE 10-29-2020 REG
    1,791,125.04       1,800,038.89       1,744,059.65  
NEVADA PWR CO 6.5% DUE 08-01-2018
    270,000.00       278,846.10       311,749.56  
NEVADA PWR CO 7.125% DUE 03-15-2019
    290,000.00       289,678.10       341,599.41  
NEWS AMER INC 5.3 DUE 12-15-2014
    375,000.00       426,371.25       414,387.38  
NEWS AMER INC 6.65% DUE 11-15-2037
    1,215,000.00       1,323,645.30       1,345,723.07  
NIAGARA MOHAWK PWR 4.881% DUE 08-15-2019
    305,000.00       305,000.00       323,874.01  
NISOURCE FIN CORP 6.125% DUE 03-01-2022
    300,000.00       311,874.00       323,237.10  
NISOURCE FIN CORP 6.8% DUE 01-15-2019
    80,000.00       79,779.20       92,560.08  
NORSK HYDRO A S 7.15% DUE 11-15-2025
    110,000.00       127,078.60       133,273.69  
NORSK HYDRO A S 7.25% DUE 09-23-2027
    340,000.00       395,838.20       428,137.52  
NORTHERN TR CORP 4.625% DUE 05-01-2014
    500,000.00       500,000.00       540,563.00  
NORTHROP GRUMMAN 1.85% DUE 11-15-2015
    1,050,000.00       1,008,157.50       1,006,752.60  
NOVARTIS SECS INVT 5.125% DUE 02-10-2019
    270,000.00       311,445.00       298,629.18  
NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND
    30,125,118.35       30,125,118.35       30,125,118.35  
ONCOR ELEC 7% DUE 09-01-2022
    250,000.00       316,202.50       293,668.00  
ONEOK PARTNERS L P 5.9% DUE 04-01-2012
    750,000.00       762,270.00       792,073.50  
ONT (PROV OF) BD 1.875 DUE 09-15-2015 BEO
    170,000.00       166,934.90       166,198.46  
OPTION ONE MTG ACCEP CORP 2003-3 ASSET BKD CTF CL A-2 06-25-2033 BEO
    195,498.29       195,452.47       142,569.08  
PAC GAS & ELEC CO 8.25% DUE 10-15-2018
    775,000.00       1,004,547.25       1,006,921.08  
PACIFICORP 5.45% DUE 09-15-2013
    1,500,000.00       1,642,620.00       1,643,536.50  
PACIFICORP 6.9% DUE 11-15-2011
    790,000.00       840,741.70       832,766.65  
PANHANDLE EASTN 6.2% DUE 11-01-2017
    420,000.00       428,972.25       447,472.20  
Pending trade purchases: United States dollar
          (74,690,949.53 )     (74,690,949.53 )
Pending trade sales: United States dollar
          48,878,347.13       48,878,347.13  
PEPSIAMERICAS INC 4.875% DUE 01-15-2015
    120,000.00       119,241.60       132,147.36  
PERU REP BD 7.125% DUE 03-30-2019 REG
    785,000.00       979,287.50       938,075.00  
PETROBRAS INTL FIN 5.75% DUE 01-20-2020
    1,000,000.00       1,116,920.00       1,037,568.00  
PHILIP MORRIS INTL 5.65% DUE 05-16-2018
    160,000.00       175,606.40       180,387.84  
PHILLIP MORRIS INTL INC NT 6.875 DUE 03-17-2014 BEO
    715,000.00       825,646.25       823,903.80  
PLAINS ALL AMERN 3.95% DUE 09-15-2015
    280,000.00       294,480.80       289,317.84  

50


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
PLAINS ALL AMERN 6.125% DUE 01-15-2017
    500,000.00       515,590.00       548,988.00  
PNC FDG CORP 5.4% DUE 06-10-2014
    300,000.00       301,041.00       328,859.70  
PNC FDG CORP 5.625% DUE 02-01-2017
    660,000.00       709,106.20       705,497.76  
PRIN FINL GROUP 7.875% DUE 05-15-2014
    515,000.00       607,782.40       593,310.90  
PROGRESS ENERGY 6.85% DUE 04-15-2012
    780,000.00       846,096.00       835,510.26  
PRUDENTIAL FINL INC MEDIUM TERM NTS BOOKENTRY MTN 7.375% DUE 06-15-2019
    250,000.00       250,507.50       294,759.75  
PRUDENTIAL FINL INC MTN BOOK TRANCHE # TR 00023 6.1 DUE 06-15-2017
    100,000.00       103,203.00       110,489.70  
PSE&G TRANSITION FDG LLC 2001-1 TRANSITION BD CL A-8 6.89 DUE 12-15-2017
    695,000.00       829,927.73       828,808.35  
PVTPL ACLC FRANCHISE LN RECEIVABLES TR 1997-A CL A-1 144A 7.12 09-17-2012 BEO
    5,571.71       5,575.31       5,113.64  
PVTPL ANHEUSER BUSCH INBEV WORLDWIDE INCGTD NT 144A 5.375% DUE 11-15-2014 BEO
    1,820,000.00       2,007,642.00       2,005,190.46  
PVTPL ANHEUSER BUSCH INBEV WORLDWIDE INCGTD NT 144A 6.875% DUE 11-15-2019 BEO
    400,000.00       396,908.00       476,809.60  
PVTPL BG ENERGY CAP PLC GTD NT 2.5% DUE 12-09-2015 BEO
    440,000.00       437,047.60       435,940.56  
PVTPL CDP FINL INC SR NT 144A 3C7 3% DUE11-25-2014 BEO
    825,000.00       840,435.75       838,617.45  
PVTPL CIT EQUIP COLL 2010-VT1 RECEIVBKD NT CL A-3 TALF 2.41 DUE 5-15-2013
    990,000.00       1,008,639.84       998,277.39  
PVTPL CITIFIN AUTO ISSUANCE TR 2009-1 NTCL A-4 TALF 144A 3.15 DUE 08-15-2016
    1,200,000.00       1,250,906.25       1,235,305.20  
PVTPL CMO AMERN TOWER TR I 5.4197 DUE 04-15-2037 BEO
    500,000.00       547,656.25       540,628.50  
PVTPL CMO EXTENDED STAY AMERICA TRUST 2010-ESHA CL A 2.9505 DUE 11-05-2015
    1,028,349.69       1,028,346.60       1,011,374.72  
PVTPL CMO IMPAC SECD ASSETS CORP 2006-1 MTG PTHRU CTF CL 2-A-1 VAR 1-25-36 REG
    121,822.66       121,822.66       84,550.74  
PVTPL COCA COLA AMATIL LTD SR NT 144A 3.25% DUE 11-02-2014 BEO
    310,000.00       325,933.25       315,001.23  
PVTPL HSBC FIN CORP SR SUB NT 6.676 DUE 01-15-2021
    1,815,000.00       1,834,493.10       1,833,660.02  
PVTPL HUTCHISON WHAMPOA INTL 03/13 LTD GTD NT 144A 6.5% DUE 02-13-2013 BEO
    1,600,000.00       1,740,368.00       1,747,409.60  
PVTPL KANSAS GAS & ELEC CO 1ST MTG BD 144A 6.7% DUE 06-15-2019 BEO
    340,000.00       377,199.85       391,979.54  
PVTPL MASS MUT LIFE INS CO SURP NT 144A 8.875 DUE 06-01-2039 BEO
    1,260,000.00       1,697,799.60       1,686,418.02  
PVTPL MET LIFE GLOBAL FDG I MTN TRANCHE # TR 00001 2.5 DUE 01-11-2013 BEO
    1,200,000.00       1,224,036.00       1,226,208.00  
PVTPL MET LIFE GLOBAL FDG I MTN TRANCHE # TR 00045 5.125 DUE 06-10-2014 BEO
    1,025,000.00       1,117,834.25       1,114,939.65  
PVTPL MOTIVA ENTERPRISES LLC SR NT 144A 5.75% DUE 01-15-2020/01-11-2010 BEO
    1,035,000.00       1,160,969.85       1,160,970.89  
PVTPL NATL CY BK CLEV OH MEDIUM T MTN 144A 5.25 DUE 12-15-2016 BEO
    500,000.00       385,000.00       519,441.50  
PVTPL NY LIFE GLOBAL FDG DTD 05-04-2010 144A 3 DUE 05-04-2015
    1,300,000.00       1,329,614.00       1,326,985.40  
PVTPL PETRONAS CAP LTD USD GTD NT 144A 7% DUE 05-22-2012 BEO
    700,000.00       772,639.00       752,614.80  
PVTPL ROCHE HLDGS INC GTD NT 144A 6% DUE03-01-2019/02-25-2009 BEO
    700,000.00       812,483.00       813,987.30  
QUEBEC PROV CDA 3.5% DUE 07-29-2020
    430,000.00       428,310.10       416,266.66  
QUEBEC PROV CDA NT 4.6% DUE 05-26-2015 BEO
    295,000.00       303,351.70       323,815.90  
QUEST DIAGNOSTICS 6.4% DUE 07-01-2017
    225,000.00       224,518.50       246,434.85  

51


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
RALCORP HLDGS INC 4.95% DUE 08-15-2020
    215,000.00       214,656.00       214,173.54  
REGENCY CTRS L P 5.25% DUE 08-01-2015
    43,000.00       43,029.24       44,868.78  
REGENCY CTRS L P 5.875% DUE 06-15-2017
    70,000.00       69,668.90       74,641.35  
RELIANT ENERGY TRANSITION BD CO LLC 2001-1 TRANSITION BD CL A4 5.63 09-17-13
    617,083.11       661,435.96       663,777.79  
REPUBLIC SVCS INC 5.5% DUE 09-15-2019
    540,000.00       545,488.14       588,889.44  
RIO TINTO FIN USA 9% DUE 05-01-2019
    245,000.00       305,503.15       329,046.27  
ROWAN COS INC 7.875% DUE 08-01-2019
    160,000.00       158,945.60       185,680.32  
SAFEWAY INC 6.35% DUE 08-15-2017
    375,000.00       432,540.00       418,757.63  
SCHERING PLOUGH 6% DUE 09-15-2017
    290,000.00       340,506.40       338,890.23  
SHELL INTL FIN B V 5.2% DUE 03-22-2017/03-22-2007
    750,000.00       836,715.00       831,653.25  
SIMON PPTY GROUP L 5.65% DUE 02-01-2020
    780,000.00       819,536.80       843,752.52  
SLM CORP MEDIUM 5.375% DUE 05-15-2014
    40,000.00       38,571.60       40,197.12  
SOUTHERN CO 2.375% DUE 09-15-2015
    1,060,000.00       1,059,798.60       1,043,458.70  
SOUTHERN PWR CO 4.875% DUE 07-15-2015
    240,000.00       230,556.48       259,646.40  
SOUTHN CAL EDISON 4.65% DUE 04-01-2015
    130,000.00       129,555.40       141,547.90  
SOUTHN CAL PUB PWR AUTH PWR PROJ REV TAXABLE-REF VERDE-B 6.93 DUE 5-15-2017
    690,000.00       842,496.90       823,922.10  
SPAREBANK 1 1.25% DUE 10-25-2013
    1,000,000.00       987,770.00       993,288.00  
STAPLES INC 9.75% DUE 01-15-2014
    240,000.00       277,545.25       290,844.24  
STATOILHYDRO ASA 5.25 DUE 04-15-2019
    280,000.00       293,946.80       311,890.32  
SUNCOR ENERGY INC 6.1% DUE 06-01-2018
    730,000.00       834,032.30       839,342.32  
SVENSKA HANDELSBANKEN AB MEDIUM TERM SR TRANCHE # TR 00001 4.875 DUE 06-10-2014
    300,000.00       299,184.00       318,896.40  
TEACHERS INS & 6.85% DUE 12-16-2039
    1,175,000.00       1,353,153.50       1,374,752.35  
TELE COMMUNICATIONS INC 9.80 BD DUE 2-1-2012 REG
    600,000.00       693,366.00       653,059.80  
TELECOM ITALIA CAP 4.95% DUE 09-30-2014
    800,000.00       821,928.00       819,634.40  
TELECOM ITALIA CAP 6.999% DUE 06-04-2018
    975,000.00       1,047,881.15       1,032,356.33  
TELEFONICA 2.582% DUE 04-26-2013
    850,000.00       851,853.00       850,684.25  
TELEFONICA 5.984% DUE 06-20-2011
    120,000.00       128,170.80       122,661.12  
TELEFONOS DE MEX S 5.5 DUE 11-15-2019
    325,000.00       324,132.25       343,091.78  
TIME WARNER CABLE 6.75% DUE 07-01-2018
    1,280,000.00       1,319,674.77       1,492,069.12  
TIME WARNER CABLE 7.3% DUE 07-01-2038
    1,415,000.00       1,625,863.30       1,654,577.90  
TIME WARNER CABLE 8.75% DUE 02-14-2019
    175,000.00       175,407.65       222,681.90  
TIME WARNER INC 3.15 DUE 07-15-2015
    470,000.00       486,783.70       477,528.46  
TIME WARNER NEW 4.7 DUE 01-15-2021
    280,000.00       283,127.60       285,087.32  

52


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
TOTAL CAP 2.3% DUE 03-15-2016
    510,000.00       508,745.40       498,201.66  
UNION ELEC CO 6% DUE 04-01-2018
    160,000.00       159,516.80       176,200.32  
UNION PAC CORP 4% DUE 02-01-2021
    740,000.00       736,485.00       729,416.52  
UNIONBANCAL CORP 5.25% DUE 12-16-2013
    360,000.00       384,717.60       388,183.68  
UNITED MEXICAN STATES 5.875 DUE 02-17-2014/02-17-2009 REG
    130,000.00       143,520.00       147,875.00  
United States dollar
    (471,157.74 )     (471,157.74 )     (471,157.74 )
UNITED STATES TREAS BDS 0 DEB 15/02/2040USD1000 4.625 DUE 02-15-2040REG
    500,000.00       521,582.03       523,750.00  
UNITED STATES TREAS BDS 8 3/4% 15/8/2020USD1000 8.75% DUE 08-15-2020 REG
    4,500,000.00       6,569,314.87       6,573,514.50  
UNITED STATES TREAS BDS 8 7/8 15/8/2017 USD1000 8.875 DUE 08-15-2017 REG
    10,330,000.00       14,365,770.23       14,349,010.46  
UNITED STATES TREAS BDS DTD 00209 3.5% DUE 02-15-2039 REG
    7,000,000.00       5,968,895.19       6,032,033.00  
UNITED STATES TREAS BDS DTD 00218 3.875%DUE 08-15-2040 REG
    2,125,000.00       1,932,340.14       1,957,324.75  
UNITED STATES TREAS BDS DTD 02/15/1995 7.625% DUE 02-15-2025 REG
    2,345,000.00       3,308,566.22       3,325,503.13  
UNITED STATES TREAS BDS DTD 02/15/2001 5.375 15 FEB 2031
    2,100,000.00       2,707,613.87       2,451,422.40  
UNITED STATES TREAS BDS DTD 08/15/1993 6.25% DUE 08-15-2023 REG
    1,560,000.00       2,103,107.18       1,960,725.00  
UNITED STATES TREAS NTS 2.625 DUE 11-15-2020 REG
    190,000.00       177,553.26       179,223.39  
UNITED STATES TREAS NTS 3.50 DUE 05-15-2020 REG
    2,500,000.00       2,563,095.94       2,560,950.00  
UNITED STATES TREAS NTS DTD 00152 4.625%DUE 02-15-2017 REG
    2,540,000.00       2,961,995.60       2,859,681.86  
UNITED STATES TREAS NTS DTD 00250 2.375%DUE 08-31-2014 REG
    3,870,000.00       4,088,858.03       4,009,080.06  
UNITED STATES TREAS NTS DTD 00254 3% DUE09-30-2016 REG
    45,000.00       47,332.17       46,669.91  
UNITED STATES TREAS NTS DTD 00260 1% DUE08-31-2011 REG
    5,135,000.00       5,152,805.97       5,160,875.27  
UNITED STATES TREAS NTS DTD 00268 3.25% DUE 12-31-2016 REG
    5,390,000.00       5,839,000.02       5,646,025.00  
UNITED STATES TREAS NTS DTD 00273 .875% DUE 01-31-2012 REG
    265,000.00       265,641.80       266,480.29  
UNITED STATES TREAS NTS DTD 00275 1% DUE12-31-2011 REG
    310,000.00       310,553.61       312,022.13  
UNITED STATES TREAS NTS DTD 00276 .75% DUE 11-30-2011 REG
    2,665,000.00       2,676,849.22       2,675,513.43  
UNITED STATES TREAS NTS DTD 00277 1.375%DUE 02-15-2013 REG
    2,385,000.00       2,429,066.60       2,420,961.03  
UNITED STATES TREAS NTS DTD 00295 2.75% DUE 05-31-2017 REG
    590,000.00       625,215.63       597,513.06  
UNITED STATES TREAS NTS DTD 00305 .625% DUE 06-30-2012 REG
    3,780,000.00       3,796,082.40       3,791,226.60  
UNITED STATES TREAS NTS DTD 00306 2.625%DUE 08-15-2020 REG
    210,000.00       201,487.91       199,089.87  
UNITED STATES TREAS NTS DTD 00321 1.375%DUE 11-30-2015 REG
    465,000.00       459,946.64       451,885.61  
UNITED STATES TREAS NTS DTD 00333 .625% DUE 12-31-2012 REG
    5,000,000.00       4,997,087.06       5,002,735.00  
UNITED STATES TREAS NTS DTD 11/30/10 .5 DUE 11-30-2012 REG
    105,000.00       105,118.95       104,864.66  
UNITED STATES TREAS NTS NT 2.375% DUE 02-28-2015 REG
    505,000.00       529,697.66       520,468.15  
UNITED STATES TREAS NTS NT 2.375% DUE 10-31-2014 REG
    2,470,000.00       2,589,127.32       2,556,642.66  

53


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
UNITED STATES TREAS NTS NT 2.625 DUE 07-31-2014 REG
    825,000.00       839,765.25       862,833.68  
UNITED STATES TREAS NTS NT 3.625% DUE 08-15-2019 REG
    4,420,000.00       4,777,296.71       4,617,520.96  
UNITED STATES TREAS NTS NTS 2.75% DUE 02-15-2019 REG
    10,755,000.00       11,147,966.58       10,616,357.30  
UNITED STATES TREAS NTS T-NOTE .375% DUE08-31-2012 REG
    185,000.00       184,653.13       184,667.56  
UNITED STATES TREAS NTS USD 2.125% DUE 11-30-2014 REG
    2,075,000.00       2,153,638.67       2,125,578.13  
UNITEDHEALTH GROUP 4.875% DUE 03-15-2015
    440,000.00       485,635.65       470,280.36  
US BANK NA FLTG RT DUE 04-29-2020
    2,200,000.00       2,277,242.00       2,232,073.80  
US CENTRAL FEDERAL CRED 1.9 DUE 10-19-2012
    1,760,000.00       1,769,996.30       1,796,894.88  
US OF AMER TREAS NOTES 3.75 DUE 11-15-2018 REG
    1,500,000.00       1,582,611.09       1,595,508.00  
US TREAS NTS 1.375 DUE 09-15-2012 REG
    15,650,000.00       15,880,461.70       15,876,799.80  
US TREAS NTS 3.25 DUE 03-31-2017 REG
    3,470,000.00       3,767,009.10       3,623,981.25  
US TREAS NTS 4.625 DUE 11-15-2016 REG
    335,000.00       373,106.25       377,372.14  
US TREAS NTS BILLS OF EXCHANGE 15/01/12 1.125 DUE 01-15-2012 REG
    5,295,000.00       5,336,598.11       5,337,402.36  
US TREAS NTS DTD 00224 .875 DUE 03-31-2011 REG
    955,000.00       954,885.16       956,567.16  
US TREAS NTS DTD 1/31/10 2.25 DUE 01-31-2015 REG
    3,125,000.00       3,297,534.18       3,208,006.25  
US TREASURY DTD 02/15/2010 02-15-2040
    350,000.00       396,504.48       374,846.88  
UTD STATES TREAS .75% DUE 05-31-2012
    34,010,000.00       34,157,991.39       34,172,227.70  
UTD STATES TREAS .875% DUE 04-30-2011
    2,560,000.00       2,558,225.20       2,565,800.96  
UTD STATES TREAS BDS 8.75 BD 15/05/2020 USD1000 8.75 DUE 05-15-2020 REG
    965,000.00       1,398,469.71       1,404,452.32  
UTD STATES TREAS NTS 2.75 NT 31/10/2013 USD1000 2.75 DUE 10-31-2013 REG
    2,000,000.00       2,129,921.88       2,102,344.00  
VA ELEC & PWR CO 5.1% DUE 11-30-2012
    280,000.00       279,904.80       300,930.28  
VA ELEC & PWR CO 5.95% DUE 09-15-2017
    295,000.00       340,899.05       339,093.65  
VALERO ENERGY CORP 6.125% DUE 02-01-2020
    200,000.00       199,864.39       212,413.20  
VALERO ENERGY CORP 6.125% DUE 06-15-2017
    215,000.00       241,862.10       231,765.92  
VERIZON 5.25% DUE 04-15-2013
    700,000.00       710,752.00       761,101.60  
VERIZON 5.5% DUE 02-15-2018
    1,200,000.00       1,320,540.00       1,318,730.40  
VERIZON NEW ENG INC BD 6.5 DUE 09-15-2011 BEO
    125,000.00       138,413.18       129,861.63  
VERIZON WIRELESS 5.55% DUE 02-01-2014
    335,000.00       332,845.95       369,406.51  
VERIZON WIRELESS 8.5% DUE 11-15-2018
    665,000.00       789,350.09       870,185.75  
VODAFONE GROUP PLC NEW 5.75 DUE 03-15-2016 BEO
    275,000.00       299,007.50       307,867.45  
WACHOVIA BK NATL ASSN MEDIUM TERM SUB BKTRANCHE # SB 00001 5 DUE 08-15-2015
    360,000.00       353,407.54       384,203.16  
WACHOVIA BK NATL ASSN MEDIUM TERM SUB BKTRANCHE # SB 00004 4.875 2-01-2015 BEO
    1,725,000.00       1,832,208.75       1,829,288.33  
WAL-MART STORES 5% DUE 10-25-2040
    525,000.00       503,989.50       509,914.13  

54


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
31-Dec-10
                         
Security Description / Asset ID   Share/Par Value   Historical Cost   Current Value
 
WASTE MGMT INC DEL 4.75% DUE 06-30-2020
    275,000.00       279,573.25       281,966.03  
WASTE MGMT INC DEL 6.375% DUE 03-11-2015
    250,000.00       293,095.00       284,592.75  
WELLPOINT INC NT 4.35 DUE 08-15-2020
    475,000.00       481,032.50       471,298.80  
WELLS FARGO & CO 5.625% DUE 12-11-2017
    770,000.00       771,763.20       852,530.91  
WESTPAC BKG CORP 3% DUE 12-09-2015
    1,175,000.00       1,167,221.50       1,172,794.53  
WILLIS N AMER INC 6.2% DUE 03-28-2017
    605,000.00       630,351.80       621,670.17  
XEROX CORP 5.5% DUE 05-15-2012
    65,000.00       63,985.85       68,653.85  
XEROX CORP 5.65% DUE 05-15-2013
    85,000.00       84,207.20       92,128.27  
XEROX CORP 8.25% DUE 05-15-2014
    545,000.00       624,733.10       636,162.15  
XSTRATA CDA CORP 7.25 7/15/12
    120,000.00       127,485.60       128,832.24  
 
Grand Total
    558,977,289.92       562,925,336.16       542,115,553.89  
 

55


 

MONSANTO SAVINGS AND INVESTMENT PLAN
Schedule of Assets (Held at Year End)
As of Dec. 31, 2010
(Dollars in thousands)
                 
    Cost   Current Value
     
Identity of issuer, borrower, lessor or similar party
               
 
               
Total Assets Held per page 36 of attached detail
  $ 1,951,893     $ 2,356,441  
 
               
Reconciling Items:
               
Participant loans receivable
    (28,122 )     (28,122 )
Collateral held under securities lending agreements
          18,371  
Adjustment from fair value to contract value for fully benefit-responsive investment contracts
          24,601  
     
 
               
Total investments per financial statements
  $ 1,923,771     $ 2,371,291  
     
 
 
 
*   Represents party-in-interest to the Plan.
    Cost     Current Value  
     
Identity of issuer, borrower, lessor or similar party
               
 
               
Total Investment Contract Assets per page 55 of attached detail
  $ 562,925     $ 542,116  
 
               
Reconciling Items:
               
Accrued interest income which is included in the $546,399 on page 28 of the attached detail
    4,283       4,283  
Adjustment from fair value to contract value for fully benefit-responsive investment contracts
          24,601  
     
 
               
Total investment contracts per financial statements
  $ 567,208     $ 571,000  
     

56


 

MONSANTO SAVINGS AND INVESTMENT PLAN
EIN 43-1878297
SUPPLEMENTAL SCHEDULE 2
Form 5500, Schedule H, Part IV, Line 4i —
Schedule of Assets (Acquired and Disposed of Within Year) for the Year Ended Dec. 31, 2010

57


 

     
5500 Supplemental Schedules
  Account number 7879
 
  Account name MONSANTO CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
#REORG APPLIED SIGNAL TECHNOLOGY INC COMCASH MERGER EFF 02-01-2011
    2,400       (46,692 )     (2,400 )     45,216  
#REORG BALDOR ELEC CO COM CASH MERGER EFF 01-27-2011
    800       (30,578 )     (800 )     28,888  
#REORG PENN WEST MAND EXHANGE PENN WEST PETROLEUM 3A2EQ7U EFF 31/12/2010
    1,400       (33,246 )     (1,400 )     32,414  
#REORG/ADMINISTAFF NAME CHANGE INSPERITYINC COM 2067266 3-9-2011
    1,700       (45,502 )     (1,700 )     44,489  
#REORG/ARENA RES CASH AND STK MERGER EFF7/16/10
    3,200       (112,352 )     (3,200 )     109,792  
#REORG/EMBRAER NAME CHNG WITH CU CHNG EMBRAER S A SPONS 2064821 12-14-2010
    600       (13,180 )     (7,600 )     205,208  
#REORG/EURAND N.V EUR0.01 CASH MERGER 2-28-2011
    900       (9,441 )     (22,864 )     203,419  
#REORG/IBERDROLA SA WORTHLESS EFF DT 24/12/2010
                    (68,616 )      
#REORG/INVENTIV CASH MERGER EFF 8/3/10
    1,300       (32,749 )     (1,300 )     32,812  
&&& HSBC TX STAMP PAY
    130,147             (130,147 )      
1ST QUANTUM MINLS COM NPV
    1,600       (140,102 )     (1,600 )     150,173  
ABB LTD CHF1.03 (REGD)
    35,067       (757,659 )     (7,867 )     168,472  
ACCOR EUR3
    9,200       (403,738 )                
ADECCO SA CHF1(REGD)
    10,250       (618,301 )                
ADIDAS AG
    2,482       (161,905 )     (2,482 )     162,670  
ADR ANGLO AMERN PLC ADR NEW
    11,400       (262,998 )     (36,800 )     710,698  
ADR ASML HOLDING NV NY REGISTERED SHS
    15,647       (522,045 )     (7,000 )     235,308  
ADR ASTRAZENECA PLC SPONSORED ADR UK
    17,400       (753,265 )     (5,200 )     262,638  
ADR BAIDU INC SPONSORED ADR
    18,882       (2,016,673 )     (395 )     62,710  
ADR CTRIP COM INTL LTD AMERICAN DEP SHS AMERICAN DEP SHS
    8,379       (410,004 )                
ADR ICON PUB LTD CO
    2,525       (70,016 )     (14,005 )     399,203  
ADR INFOSYS TECHNOLOGIES LTD SPONSORED ADR REPSTG 1 EQUITY SH
    1,302       (73,533 )     (1,302 )     77,612  
ADR ITAU UNIBANCO HLDG SA SPONSORED ADR REPSTG 500 PFD PFD ADR
    47,080       (1,178,863 )                
ADR KONINKLIJKE PHILIPS ELECTRS N V N Y REGISTRY SH NEW 2000
    13,700       (471,344 )     (30,142 )     901,974  
ADR NOKIA CORP SPONSORED ADR
    38,500       (316,775 )     (18,800 )     159,021  
ADR NOVARTIS AG
    11,543       (673,430 )     (8,743 )     479,122  
ADR PETROLEO BRASILEIRO SA PETROBRAS SPONSORED ADR
                    (7,000 )     291,697  

58


 

     
5500 Supplemental Schedules
  Account number 7879
 
  Account name MONSANTO CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
ADR ROYAL DUTCH SHELL PLC SPONSORED ADR REPSTG B SHS
    5,400       (289,121 )     (8,000 )     441,927  
ADR SANOFI-AVENTIS SPONSORED ADR
    28,200       (988,095 )     (5,500 )     172,713  
ADR TENCENT HLDGS LTD ADR
    7,763       (166,217 )     (20,463 )     435,772  
ADR TEVA PHARMACEUTICAL INDS
    21,159       (1,072,469 )     (66,809 )     3,490,302  
ADR VALE S A ADR
    24,460       (823,492 )     (39,845 )     1,135,082  
ADR VODAFONE GROUP PLC NEW SPONSORED ADR
    79,000       (1,721,362 )     (37,300 )     908,728  
AGGREKO GBP0.20
    2,842       (74,202 )     (2,842 )     73,758  
AGNICO EAGLE MINES COM NPV
    500       (40,040 )     (500 )     41,344  
AGRICULTURAL BANK OF CHINA CMN STK
    294,000       (155,134 )     (294,000 )     166,245  
AGRIUM INC COM NPV
    500       (42,845 )     (500 )     42,455  
AIA GROUP LTD COM PAR USD 1
    563,000       (1,665,362 )     (401,400 )     1,199,506  
AIR LIQUIDE(L’) EUR5.50
    5,858       (757,730 )     (5,858 )     790,514  
AIXTRON SE ORD NPV
    506       (16,514 )     (506 )     17,068  
AKER SOLUTIONS ASA NOK2
    3,192       (52,972 )     (3,192 )     52,096  
AKZO NOBEL NV EUR2
    6,420       (399,627 )                
ALCON INC COM CHF0.20
    9,105       (1,416,348 )     (47,755 )     7,830,836  
ALEXANDERS INC COM REIT FUND
    100       (32,523 )     (100 )     30,552  
ALFA LAVAL AB NPV
    3,393       (65,108 )     (3,393 )     63,164  
ALFRESA HOLDINGS NPV
    1,300       (58,408 )     (1,300 )     56,369  
ALIMENTATION COUCH CLASS‘B’S/VTG COM NPV
    400       (9,510 )     (400 )     9,540  
ALLIANZ SE (SE SOCIETAS EUROPEAE)
    3,761       (471,304 )     (3,761 )     490,511  
ALSTOM EUR7.0
    9,310       (468,851 )     (2,470 )     118,053  
ANDRITZ AG NPV (BR)
    10,392       (796,049 )     (10,392 )     859,773  
ANGLO AMERICAN USD0.54945
    16,379       (763,181 )     (16,379 )     794,910  
ANHEUSER-BUSCH INBEV NV
    9,720       (607,858 )     (1,820 )     110,479  
AOZORA BANK NPV
    81,000       (135,891 )     (81,000 )     135,220  
ARC ENERGY TRUST UNITS
    400       (9,390 )     (400 )     9,409  

59


 

     
5500 Supplemental Schedules
  Account number 7879
 
  Account name MONSANTO CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
ARCELORMITTAL NPV
    5,358       (193,504 )     (5,358 )     192,716  
ARM HLDGS ORD GBP0.0005
    117,480       (683,873 )     (117,480 )     667,101  
ASAHI KASEI CORP NPV
    17,000       (105,608 )     (17,000 )     107,638  
ASML HOLDING NEW
    40,909       (1,349,935 )     (40,909 )     1,419,445  
ASSA ABLOY SER‘B’NPV
    44,545       (1,141,602 )     (44,545 )     1,236,779  
ASSIC GENERALI SPA EUR1
    6,817       (156,552 )     (6,817 )     150,589  
ASSOCD BRIT FOODS ORD GBP0.0568
    3,284       (57,308 )     (3,284 )     56,837  
ASTELLAS PHARMA NPV
    1,700       (64,005 )     (1,700 )     63,347  
ASTRAZENECA ORD USD0.25
    5,463       (274,061 )     (5,463 )     271,138  
ATHABASCA OIL SAND COM NPV
    600       (7,003 )     (600 )     7,053  
ATLAS COPCO AB SER‘A’NPV
    24,403       (550,751 )     (4,303 )     94,236  
ATOS ORIGIN EUR1
    1,331       (62,507 )     (1,331 )     58,749  
AUST & NZ BANK GRP NPV
    8,145       (203,364 )     (8,145 )     198,653  
AUTOGRILL SPA EUR0.52
    4,554       (62,215 )     (4,554 )     60,790  
AUTONOMY CORP ORD GBP0.003333
    15,611       (365,699 )     (6,111 )     141,859  
AVIVA ORD GBP0.25
    89,103       (608,816 )     (7,943 )     53,657  
AXA ASIA PAC HLDS NPV
    12,069       (69,056 )     (12,069 )     67,872  
AXA EUR2.29
    59,001       (1,145,329 )     (9,101 )     171,970  
BABCOCK INTL GROUP ORD GBP0.60
    7,520       (70,024 )     (7,520 )     69,321  
BAE SYSTEMS ORD GBP0.025
    129,004       (714,398 )     (12,324 )     67,984  
BALFOUR BEATTY GBP0.50
    17,244       (77,909 )     (17,244 )     77,797  
BANCO SANTANDER EUR0.50(REGD)
    68,852       (862,278 )     (25,411 )     300,298  
BANK AMER CORP 7.625% DUE 06-01-2019
    125,000       (142,611 )     (100,000 )     114,030  
BANK HAPOALIM B.M. ILS1
    17,046       (82,947 )     (17,046 )     80,031  
BANK OF CHINA LTD ‘H’CNY1
    931,000       (557,317 )     (931,000 )     575,610  
BANK OF CHINA LTD ‘H’CNY1(SUB RIGHT 03/12/10)
                    (93,100 )     19,657  
BANK OF EAST ASIA HKD2.50
    133,200       (568,810 )     (133,200 )     599,466  

60


 

     
5500 Supplemental Schedules
  Account number 7879
 
  Account name MONSANTO CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
BANK OF IRELAND ORD STK EUR0.1
    122,500       (85,409 )     (122,500 )     51,118  
BARCLAYS ORD GBP0.25
    326,209       (1,435,299 )     (260,909 )     1,237,239  
BARRICK GOLD CORP COM NPV CAD
    3,200       (157,233 )     (3,200 )     164,117  
BASF — ORD SHS COMSTK
    3,033       (242,616 )     (3,033 )     239,586  
BAYER AG — ORD SHS
    17,197       (1,283,340 )     (10,797 )     848,717  
BAYER MOTOREN WERK EUR1
    4,816       (357,540 )     (1,066 )     79,251  
BBVA(BILB-VIZ-ARG) EUR0.49
    37,605       (463,801 )     (9,605 )     110,300  
BCE INC COM NPV
    800       (26,983 )     (800 )     26,556  
BELGACOM SA NPV
    1,310       (52,161 )     (1,310 )     50,054  
BELLE INTERNATIONA HKD0.01
    177,000       (334,915 )                
BENESSE HOLDINGS INC NPV
    1,200       (54,964 )     (1,200 )     54,989  
BEZEQ ISRAEL TELCM ILS1
    27,980       (74,514 )     (27,980 )     73,196  
BG GROUP ORD GBP0.10
    107,756       (2,098,661 )     (67,756 )     1,421,512  
BHP BILLITON LTD NPV
    43,034       (1,955,552 )     (12,434 )     568,973  
BHP BILLITON PLC USD0.50
    43,311       (1,536,115 )     (43,311 )     1,719,433  
BK OF MONTREAL COM NPV
    1,800       (108,824 )     (1,800 )     108,922  
BK OF NOVA SCOTIA COM NPV
    3,300       (179,987 )     (3,300 )     179,832  
BK RAKYAT IDR500
    251,500       (341,919 )                
BLACKSTONE GROUP LP RESTRICTED UNITS
    10,600       (105,680 )     (181,500 )     2,441,189  
BM&FBOVESPA SA COM NPV
    40,100       (327,617 )                
BNP PARIBAS EUR2
    47,293       (3,458,852 )     (40,193 )     3,124,849  
BOC HONG KONG HLDG HKD5
    101,500       (318,205 )     (101,500 )     341,230  
BOMBARDIER INC CLASS‘B’S/VTG NPV
    4,600       (23,166 )     (4,600 )     23,509  
BONAVISTA ENERGY T TRUST UNITS
    200       (5,377 )     (200 )     5,390  
BORAL LIMITED NPV
    15,079       (67,646 )     (15,079 )     68,145  
BOUYGUES EUR1
    24,957       (1,099,852 )     (24,957 )     1,169,679  
BP ORD USD0.25
    246,095       (1,800,129 )     (63,535 )     455,017  

61


 

     
5500 Supplemental Schedules
  Account number 7879
 
  Account name MONSANTO CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
BRAMBLES LTD NPV
    31,300       (195,235 )     (31,300 )     215,388  
BRENNTAG AG NPV
    3,567       (334,351 )     (3,567 )     346,003  
BRF-BRASIL FOODS COMSTK
    21,400       (316,137 )                
BRIDGESTONE CORP NPV
    7,000       (131,246 )     (7,000 )     127,619  
BRITISH AIRWAYS ORD GBP0.25
    123,040       (573,732 )                
BRITISH AMERICAN TOBACCO ORD GBP0.25
    6,432       (255,836 )     (6,432 )     253,974  
BRITISH LAND CO ORD GBP0.25
    8,833       (75,363 )     (8,833 )     73,090  
BROOKFIELD ASSET LIMITED VTG SHARES CLASS A
    1,700       (52,595 )     (1,700 )     53,755  
BROOKFIELD PROPERT COM NPV
    1,000       (18,231 )     (1,000 )     18,660  
BURBERRY GROUP ORD GBP0.0005
    27,264       (463,138 )     (4,064 )     67,846  
CABLE & WIRELESS WORLDWIDE ORD GBP0.05
    229,221       (257,832 )     (229,221 )     259,062  
CAE INC COM NPV
    800       (9,100 )     (800 )     8,998  
CAIRN ENERGY PLC ORD GBP0.006154
    152,894       (945,390 )     (152,894 )     964,111  
CAMECO CORP COM NPV
    46,800       (1,447,666 )     (46,800 )     1,556,509  
CAN PACIFIC RYS COM NPV
    500       (33,325 )     (500 )     32,642  
CANADIAN IMP BANK COM NPV
    6,200       (484,901 )     (1,200 )     94,062  
CANADIAN OIL SANDS TRUST UNITS
    800       (21,804 )     (800 )     21,846  
CANADIAN TIRE CORP CLASS‘A’CUM NON.V NPV CAD
    300       (17,919 )     (300 )     17,932  
CANON INC NPV
    17,300       (821,239 )     (4,300 )     207,904  
CAP GEMINI EUR8
    11,840       (589,364 )                
CAPITALAND LTD NPV
    143,000       (438,470 )                
CARREFOUR EUR2.50
    1,800       (97,869 )     (1,800 )     95,009  
CDN NATL RAILWAYS COM NPV
    9,200       (602,286 )     (1,500 )     95,998  
CDN NATURAL RESOUR COMMON STOCK (CAN QUOTE)
    6,900       (251,187 )     (6,900 )     272,753  
CDN UTILITIES CLASS‘A’COM NON-VTG NPV
    300       (14,870 )     (300 )     14,827  
CELESIO AG NPV(REGD)
    18,640       (485,774 )                
CENOVUS ENERGY INC COM NPV
    24,600       (684,496 )     (24,600 )     733,924  

62


 

     
5500 Supplemental Schedules
  Account number 7879
 
  Account name MONSANTO CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
CENTRAL JAPAN RLWY NPV
    10       (75,610 )     (10 )     75,265  
CENTRICA ORD GBP0.061728395
    14,123       (76,468 )     (14,123 )     76,040  
CERAGON NETWORKS LTDSEDOL 2616148
    3,640       (41,667 )     (29,335 )     314,365  
CGI GROUP INC ‘A’SUB-VTG NPV
    800       (12,440 )     (800 )     12,385  
CHEUNG KONG(HLDGS) HKD0.50
    36,000       (615,544 )                
CHINA LIFE INSURANCE CO ‘H’ CNY1
    122,000       (566,833 )                
CHINA MERCHANTS BK COM STK
    164,500       (505,784 )                
CHINA MOBILE LTD HKD0.10
    62,000       (663,466 )                
CHINA RAILWAY CONS ‘H’CNY1
    192,500       (240,652 )     (192,500 )     245,829  
CHINA SEC & SURVEILLANCE TECHNOLOGY INC COM STK
    6,000       (31,401 )     (6,000 )     29,700  
CHINA SHENHUA ENERGY CO ‘H’
    142,500       (634,262 )     (142,500 )     675,776  
CHINA TELECOM CORP LTD ‘H’CNY1
    1,124,000       (599,264 )                
CHUBU ELECTRIC POWER CO INC NPV
    2,100       (51,814 )     (2,100 )     51,530  
CHUGOKU ELECTRIC POWER CO INC NPV
    3,700       (76,094 )     (3,700 )     74,839  
CI FINANCIAL CORP COMSTK
    500       (10,909 )     (500 )     10,849  
CIA ENERG MG-CEMIG PRF BRL5.00
    25,100       (448,352 )                
CIE DE ST-GOBAIN EUR4
    1,178       (60,221 )     (1,178 )     59,956  
CIE FINANCIE RICHEMONT CHF
    5,492       (273,921 )     (5,492 )     301,022  
CLP HOLDINGS HKD5
    8,500       (70,306 )     (8,500 )     70,079  
CNOOC LTD HKD0.02
    427,000       (957,340 )     (33,000 )     71,477  
COBHAM ORD GBP0.025
    17,662       (59,804 )     (17,662 )     59,655  
COCA-COLA AMATIL NPV
    58,467       (696,748 )     (58,467 )     733,914  
COMMONWEALTH BANK OF AUSTRALIA NPV
    5,142       (260,737 )     (5,142 )     254,469  
CORE LABORATORIES NV NLG0.03
    310       (46,575 )     (2,165 )     307,175  
CREDIT SUISSE AG CHF0.04(REGD)
    12,468       (532,466 )     (4,068 )     178,949  
CRESCENT POINT EN COM NPV
    700       (28,428 )     (700 )     28,299  
CRH ORD EUR0.32(DUBLIN LISTING)
    56,472       (967,113 )     (34,772 )     667,598  

63


 

     
5500 Supplemental Schedules
  Account number 7879
 
  Account name MONSANTO CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
CSL LTD NPV
    32,753       (1,052,922 )     (32,753 )     1,133,703  
DAIHATSU MOTOR CO NPV
    4,000       (55,193 )     (4,000 )     55,433  
DAIICHI SANKYO COM NPV
    4,100       (89,324 )     (4,100 )     89,445  
DAIMLERCHRYSLER ORD NPV(REGD)
    32,671       (2,156,641 )     (32,671 )     2,314,512  
DAIWA HOUSE INDS NPV
    8,000       (89,262 )     (8,000 )     90,171  
DANONE EUR0.25
    36,877       (2,333,945 )     (36,877 )     2,429,320  
DBS GROUP HLDGS NPV
    89,000       (959,371 )                
DELHAIZE GROUP NPV
    942       (67,358 )     (942 )     67,449  
DENSO CORP NPV
    34,900       (1,086,439 )     (34,900 )     1,118,045  
DEUTSCHE BANK AG NPV(REGD)
    12,564       (724,270 )     (12,564 )     746,907  
DEUTSCHE LUFTHANSA ORD NPV (REGD)(VINK)
    20,500       (476,172 )                
DEUTSCHE POST AG NPV(REGD)
    29,430       (566,135 )                
DEUTSCHE TELEKOM NPV(REGD)
    7,579       (110,523 )     (7,579 )     106,814  
DEXUS PROPERTY GP NPV (STAPLED)
    81,566       (69,126 )     (81,566 )     67,772  
DIAGEO ORD PLC
    35,368       (652,843 )     (35,368 )     667,123  
DSV DKK1
    2,765       (59,753 )     (2,765 )     59,127  
E.ON AG COM STK
    37,086       (1,189,781 )     (6,306 )     196,136  
EAST JAPAN RAILWAY CO NPV
    5,000       (308,915 )                
EDENRED EUR2
    6,300       (142,902 )     (2,701 )     65,651  
EISAI CO NPV
    2,800       (96,872 )     (2,800 )     97,438  
ELDORADO GOLD CORP COM NPV
    1,700       (32,151 )     (1,700 )     32,280  
ELECTRIC POWER DEVELOPMENT CO LTD NPV
    2,000       (61,823 )     (2,000 )     60,237  
EMPIRE CO CLASS‘A’N/VTG COM NPV
    100       (5,720 )     (100 )     5,712  
ENAGAS SA EUR1.50
    2,907       (64,529 )     (2,907 )     61,202  
ENBRIDGE INC COM NPV
    1,200       (67,821 )     (1,200 )     67,486  
ENCANA CORP COM NPV
    19,700       (595,602 )     (7,800 )     226,545  
ENEL EUR1
    21,118       (123,713 )     (21,118 )     119,418  

64


 

     
5500 Supplemental Schedules
  Account number 7879
 
  Account name MONSANTO CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
ENERPLUS RES FUND TRUST UNITS-SERIES ‘G’
    600       (17,608 )     (600 )     17,562  
ENI SPA EUR1
    32,229       (757,781 )     (9,034 )     205,851  
ENSCO PLC SPON ADR
    4,500       (196,986 )     (1,000 )     40,722  
ENSIGN ENERGY SVS COM NPV
    400       (5,096 )     (400 )     5,061  
ERAMET EUR3.05
    163       (61,381 )     (163 )     60,511  
ERICSSON(LM)TEL SER‘B’ NPV
    72,771       (803,674 )     (14,401 )     153,500  
ESSILOR INTL EUR0.18
    952       (64,902 )     (952 )     63,567  
EURASIAN NATURAL ORD USD0.20
    4,045       (64,137 )     (4,045 )     64,332  
EUROPEAN AERONAUTIC DEFENCE & SPACE EUR1
    6,100       (160,328 )     (6,100 )     160,173  
FAIRFAX FINL HLDGS SUB-VTG COM NPV
    50       (20,434 )     (50 )     20,201  
FANUC LTD NPV
    6,000       (868,659 )     (6,000 )     893,939  
FAST RETAILING CO LTD NPV
    600       (89,188 )     (600 )     89,062  
FINMECCANICA SPA EUR 4.40
    6,598       (89,515 )     (6,598 )     86,101  
FINNING INTL INC COM NPV
    500       (12,009 )     (500 )     12,239  
FIRSTGROUP ORD GBP0.05
    11,948       (79,255 )     (11,948 )     78,360  
FORD MTR CR CO LLC 7.25% DUE 10-25-2011
    1,790,000       (1,849,313 )     (325,000 )     340,438  
FORTIS INC COM NPV
    600       (19,834 )     (600 )     20,084  
FORTUM OYJ EUR3.40
    2,576       (74,928 )     (2,576 )     71,641  
FRANCE TELECOM EUR4
    42,144       (1,030,124 )     (9,404 )     223,641  
FRANCO NEVADA CORP COM NPV
    400       (13,736 )     (400 )     13,266  
FRASER & NEAVE LTD NPV
    10,000       (52,141 )     (10,000 )     52,425  
FRESENIUS MEDICAL CARE NPV
    857       (53,734 )     (857 )     52,482  
FRESNILLO PLC ORD USD0.50
    2,917       (65,931 )     (2,917 )     66,342  
FUJIFILM HOLDINGS CORP NPV
    13,200       (456,141 )     (3,600 )     125,943  
FURUKAWA ELECTRIC NPV
    19,000       (72,631 )     (19,000 )     73,960  
GALP ENERGIA EUR1
    2,041       (42,176 )     (2,041 )     40,924  
GDF SUEZ EUR1
    16,282       (652,939 )     (4,322 )     172,689  

65


 

     
5500 Supplemental Schedules
  Account number 7879
 
  Account name MONSANTO CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
GEORGE WESTON COM NPV
    200       (15,702 )     (200 )     15,300  
GETINGE AB SER‘B’NPV
    3,019       (68,179 )     (3,019 )     66,432  
GIC AEGON GLOBAL WRAP CNTRCT CDA00004TR SYNTHETIC
    39,666,326       (39,666,326 )     (48,725,690 )     48,725,690  
GILDAN ACTIVEWEAR COM NPV
    400       (11,156 )     (400 )     11,174  
GKN ORD GBP0.10
    292,464       (830,858 )     (292,464 )     841,093  
GLAXOSMITHKLINE ORD GBP0.25
    85,479       (1,733,947 )     (17,449 )     352,939  
GOLAR LNG LIMITED
    2,300       (31,346 )     (2,300 )     29,946  
GOLDCORP INC COM NPV
    2,400       (111,234 )     (2,400 )     114,528  
GPE BRUXELLES LAM NPV
    774       (71,870 )     (774 )     69,792  
GPE EUROTUNNEL (EUR) EURO 0.40
    5,383       (55,155 )     (5,383 )     54,323  
GREAT WEST LIFECO COM CAD1
    900       (24,134 )     (900 )     24,182  
GS YUASA CORP NPV
    9,000       (61,014 )     (9,000 )     61,974  
HANG LUNG GROUP HKD1
    9,000       (62,765 )     (9,000 )     60,324  
HANG LUNG PROPERTIES HKD1
    90,000       (444,327 )                
HEIDELBERGCEMENT NPV
    10,040       (525,183 )     (10,040 )     592,684  
HENDERSON LAND DEVELOPMENT HKD2
    8,000       (62,035 )     (8,000 )     61,776  
HENNES & MAURITZ SER‘B’NPV
    21,394       (753,894 )     (21,394 )     752,444  
HERMES INTL NPV
    419       (93,853 )     (419 )     90,021  
HITACHI CHEMICAL NPV
    3,700       (68,990 )     (3,700 )     70,372  
HITACHI NPV
    17,000       (79,631 )     (17,000 )     80,624  
HOLCIM CHF2(REGD)
    17,220       (1,073,589 )     (11,920 )     816,757  
HONDA MOTOR CO NPV
    21,500       (759,690 )     (6,000 )     219,883  
HONG KONG & CHINA GAS HKD0.25
    520,000       (1,253,185 )     (520,000 )     1,274,914  
HONG KONG EXCHANGES & CLEAR
    2,800       (68,756 )     (2,800 )     71,241  
HSBC HLDGS ORD USD0.50(UK REG)
    231,024       (2,402,783 )     (231,024 )     2,624,073  
HSBC HOLDINGS PLC ORD USD0.50(HONGKONG REG)
    123,600       (1,376,284 )                
HUSKY ENERGY INC COM NPV
    22,100       (572,306 )     (800 )     20,802  

66


 

     
5500 Supplemental Schedules
  Account number 7879
 
  Account name MONSANTO CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
HUTCHISON WHAMPOA HKD0.25
    42,000       (451,073 )     (14,000 )     151,911  
IAMGOLD CORP COM NPV
    1,100       (20,128 )     (1,100 )     20,471  
IBERDROLA SA EUR0.75
    83,804       (693,811 )     (13,282 )     108,524  
IBIDEN CO LTD NPV
    6,600       (162,562 )     (6,600 )     164,290  
ICAP ORD GBP0.10
    36,300       (287,255 )                
ICBC H SHARES — RIGHTS
                    (22,860 )      
ICL-ISRAEL CHEM ILS1
    30,063       (459,772 )     (30,063 )     463,492  
IGM FINANCIAL INC COM NPV
    400       (17,096 )     (400 )     17,080  
ILIAD NPV
    479       (54,634 )     (479 )     53,153  
IMERYS EUR2
    4,028       (266,444 )     (1,028 )     67,568  
IMPALA PLATINUM ZAR0.025
    5,841       (165,009 )     (5,841 )     177,213  
IMPERIAL OIL COM NPV
    1,000       (38,880 )     (1,000 )     38,664  
IMPERIAL TOBACCO ORD GBP0.10
    54,860       (1,757,173 )     (42,160 )     1,397,115  
INDITEX EUR0.15
    5,259       (438,909 )     (959 )     76,088  
INDL ALLIANCE INS COM NPV
    300       (9,617 )     (300 )     9,397  
INDUSTRIAL & COMMERCIAL BANK CHINA ‘H’
    632,860       (501,334 )     (102,000 )     89,340  
INFINEON TECHNOLOG ORD NPV (REGD)
    81,030       (680,610 )                
ING GROEP NV CVA EUR0.24
    134,207       (1,511,940 )     (12,847 )     141,163  
INMARSAT ORD EUR0.0005
    5,472       (59,150 )     (5,472 )     61,343  
INMET MINING CORP COM NPV
    12,900       (771,259 )     (12,900 )     819,268  
INS AUSTRALIA NPV
    21,213       (84,925 )     (21,213 )     84,689  
INTACT FINL CORP COM NPV
    10,500       (475,511 )     (10,500 )     494,715  
INTESA SANPAOLO EUR0.52
    167,568       (597,681 )     (38,024 )     130,466  
INVENSYS ORD GBP0.10
    12,146       (59,950 )     (12,146 )     62,751  
INVESTOR AB SER‘B’NPV
    3,958       (84,600 )     (3,958 )     82,072  
ISETAN MITSUKOSHI NPV
    5,800       (66,746 )     (5,800 )     66,302  
ISUZU MOTORS NPV
    281,000       (1,082,531 )     (281,000 )     1,103,475  

67


 

     
5500 Supplemental Schedules
  Account number 7879
 
  Account name MONSANTO CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
ITOCHU CORP NPV
    42,200       (399,363 )     (7,100 )     68,044  
IVANHOE MINES COM NPV
    15,300       (366,320 )     (15,300 )     407,463  
JAPAN PRIME REALTY REIT
    23       (57,045 )     (23 )     57,543  
JAPAN REAL ESTATE INVESTMENT CO
    7       (73,674 )     (7 )     73,036  
JAPAN RETAIL FUND REIT
    39       (62,775 )     (39 )     60,677  
JAPAN TOBACCO INC NPV
    115       (378,329 )     (15 )     49,169  
JARDINE CYCLE & CARRIAGE SGD1
    2,000       (59,893 )     (2,000 )     59,431  
JC DECAUX SA NPV
    10,171       (297,903 )     (10,171 )     303,047  
JGC CORP NPV
    28,000       (535,860 )     (28,000 )     564,980  
JOHNSON MATTHEY ORD GBP1
    3,104       (100,161 )     (3,104 )     98,232  
JX HOLDINGS INC NPV
    14,500       (89,019 )     (14,500 )     94,131  
K&S AG NPV
    3,654       (254,324 )     (3,654 )     270,181  
KAJIMA CORP NPV
    29,000       (70,906 )     (29,000 )     72,161  
KAO CORP NPV
    3,500       (92,726 )     (3,500 )     90,971  
KERRY PROPERTIES HKD1
    10,000       (60,226 )     (10,000 )     60,254  
KEYENCE CORP NPV
    7,300       (1,809,831 )     (7,300 )     1,873,423  
KINGFISHER ORD GBP0.157142857
    115,680       (454,359 )                
KINROSS GOLD CORP COM
    3,600       (67,679 )     (3,600 )     69,040  
KIRIN HOLDINGS CO NPV
    7,000       (96,535 )     (7,000 )     93,644  
KLEPIERRE EUR1.40
    1,396       (55,360 )     (1,396 )     54,117  
KOMATSU NPV
    25,900       (675,672 )     (4,800 )     134,517  
KONICA MINOLTA HLD NPV
    6,500       (67,909 )     (6,500 )     68,620  
KONINKLIJKE DSM NV EUR1.50
    4,750       (253,988 )     (4,750 )     256,325  
KONINKLIJKE KPN
    154,592       (2,581,848 )     (154,592 )     2,611,968  
KRAFT FOODS INC 5.375% DUE 02-10-2020
    225,000       (223,146 )     (225,000 )     249,959  
KUBOTA CORP NPV
    38,000       (354,877 )                
KURITA WATER INDS NPV
    29,400       (764,331 )     (29,400 )     855,753  

68


 

     
5500 Supplemental Schedules
  Account number 7879
 
  Account name MONSANTO CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
KYOCERA CORP NPV
    600       (62,305 )     (600 )     64,080  
KYOWA HAKKO KIRIN CO LTD NPV
    7,000       (70,769 )     (7,000 )     71,570  
LAFARGE EUR4
    5,900       (351,541 )                
LAND SECURITIES GP ORD GBP0.10
    6,792       (76,487 )     (6,792 )     75,921  
LI & FUNG LTD HKD0.025
    132,000       (697,369 )     (132,000 )     746,884  
LI NING CO LTD HKD0.1
    147,000       (406,686 )                
LINDE AG NPV
    3,802       (561,322 )     (502 )     73,824  
LLOYDS BANKING GP ORD GBP0.1
    1,836,192       (2,028,314 )     (1,836,192 )     2,111,021  
LOBLAWS COS LTD COM NPV
    400       (17,134 )     (400 )     16,685  
L’OREAL EUR0.20
    9,703       (1,139,213 )     (9,703 )     1,187,348  
LULULEMON ATHLETICA INC COM
    4,082       (164,089 )     (4,082 )     164,002  
LVMH MOET HENNESSY LOUIS VUITTON EUR0.30
    3,436       (566,994 )     (936 )     154,715  
M UFJ LEASE
    1,750       (59,279 )     (1,750 )     58,916  
MACQUARIE GP LTD NPV
    2,662       (100,617 )     (2,662 )     99,882  
MAGNA INTL INC COM NPV
    300       (29,781 )     (300 )     30,004  
MAN GROUP ORD USD0.03428571
    78,300       (370,799 )                
MAN SE ORD NPV
    8,310       (965,136 )                
MANULIFE FINL CORP COM NPV
    5,600       (83,085 )     (5,600 )     85,916  
MAPFRE EUR0.10
    22,653       (75,669 )     (22,653 )     72,492  
MARKS & SPENCER GP ORD GBP0.25
    183,290       (1,235,590 )                
MAZDA MOTOR CORP NPV
    148,000       (377,040 )     (148,000 )     386,558  
MDC PARTNERS INC CL A SUB VTG SHS
    32,275       (320,185 )     (32,275 )     381,110  
MELLANOX TECHNOLOGIES LTD
    19,200       (364,443 )     (19,200 )     454,450  
MERCK KGAA NPV
    5,420       (453,552 )                
METCASH LIMITED NPV
    18,748       (84,349 )     (18,748 )     83,396  
METRO AG ORD NPV
    1,764       (123,636 )     (1,764 )     133,505  
METRO INC CLASS‘A’SUB VTG NPV
    300       (13,960 )     (300 )     14,038  

69


 

     
5500 Supplemental Schedules
  Account number 7879
 
  Account name MONSANTO CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
METSO OYJ NPV
    1,496       (77,618 )     (1,496 )     75,714  
MICHELIN (CGDE) EUR2(REGD)
    8,400       (681,628 )                
MILLICOM INTL CELL SDR EACH REP 1 USD1.50
    729       (70,572 )     (729 )     67,419  
MITSUBISHI CORP NPV
    28,700       (734,823 )     (6,600 )     170,326  
MITSUBISHI HVY IND NPV
    30,000       (107,631 )     (30,000 )     108,279  
MITSUBISHI MOTORS JPY50
    72,000       (86,681 )     (72,000 )     88,692  
MITSUBISHI UFJ FIN NPV
    186,200       (870,627 )     (37,700 )     176,009  
MITSUI & CO LTD NPV
    7,500       (121,376 )     (7,500 )     124,908  
MITSUI ENG&SHIPBG NPV
    32,000       (70,695 )     (32,000 )     72,531  
MITSUI FUDOSAN CO LTD NPV
    51,000       (963,988 )     (51,000 )     1,003,330  
MITSUI O.S.K.LINES NPV
    107,000       (686,129 )     (107,000 )     700,349  
MIZUHO FINANCIAL GROUP NPV
    58,500       (86,558 )     (58,500 )     85,754  
MODERN TIMES GROUP SER‘B’NPV
    724       (58,007 )     (724 )     56,365  
MONSANTO PARTICIPANT LOANS
    15,551,846       (15,551,846 )     (13,940,024 )     13,940,024  
MTN GROUP LTD ZAR0.0001
    18,800       (354,601 )                
MUENCHENER RUECKVE NPV(REGD)
    5,315       (838,616 )     (735 )     117,910  
MURATA MANUFACTURING CO. NPV
    30,600       (1,720,728 )     (25,800 )     1,449,967  
NATIONAL GRID ORD GBP0.113953
    54,057       (518,973 )     (10,317 )     97,185  
NATL AUSTRALIA BK NPV
    6,868       (182,442 )     (6,868 )     181,008  
NATL BK OF CANADA COM NPV
    500       (33,209 )     (500 )     33,429  
NESTE OIL OYJ NPV
    3,533       (60,434 )     (3,533 )     58,521  
NESTLE SA CHF0.10(REGD)
    32,199       (1,803,356 )     (12,099 )     698,156  
NEW WORLD DEVELOPMENT CO HKD1
    30,000       (67,386 )     (30,000 )     68,975  
NEWCREST MINING LTD NPV
    19,902       (778,747 )     (19,902 )     856,223  
NEXEN INC COM
    4,900       (105,412 )     (2,900 )     74,790  
NEXEN INC COM NPV
    1,700       (36,999 )     (1,700 )     37,039  
NGK INSULATORS LTD NPV
    4,000       (61,002 )     (4,000 )     60,951  

70


 

     
5500 Supplemental Schedules
  Account number 7879
 
  Account name MONSANTO CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
NIDEC CORPORATION NPV
    3,800       (378,967 )                
NIKO RESOURCES COM NPV
    100       (9,882 )     (100 )     9,967  
NINTENDO CO LTD NPV
    5,400       (1,399,175 )     (2,500 )     647,077  
NIPPON BUILDING FD REIT
    8       (81,741 )     (8 )     83,272  
NIPPON MEAT PACKER JPY50
    5,000       (59,612 )     (5,000 )     60,052  
NIPPON TELEGRAPH & TELEPHONE CORP NPV
    1,100       (50,303 )     (1,100 )     50,204  
NISSAN CHEMICAL IN NPV
    6,100       (75,433 )     (6,100 )     76,119  
NISSAN MOTOR CO LTD
    15,800       (150,218 )     (15,800 )     151,617  
NISSHIN SEIFUN GRP NPV
    5,000       (63,428 )     (5,000 )     63,994  
NITTO DENKO CORP NPV
    2,200       (84,180 )     (2,200 )     85,231  
NOKIA OYJ EUR0.06
    18,737       (202,203 )     (18,737 )     198,998  
NOVARTIS AG CHF0.50(REGD)
    36,614       (2,133,553 )     (7,614 )     442,114  
NOVO-NORDISK AS DKK1 SER‘B’
    17,115       (1,801,501 )     (17,115 )     1,789,425  
NTT DATA CORP NPV
    19       (61,750 )     (19 )     62,515  
NTT DOCOMO NPV
    75       (126,291 )     (75 )     125,275  
ODAKYU ELEC RLWY NPV
    9,000       (85,067 )     (9,000 )     84,812  
OIL SEARCH LTD NPV
    90,227       (563,678 )     (90,227 )     619,131  
ONESTEEL NPV
    32,285       (85,357 )     (32,285 )     87,575  
ONEX CORP SUB VTG NPV
    5,500       (161,072 )     (5,500 )     163,962  
OPEN TEXT CO COM NPV
    200       (8,858 )     (200 )     8,771  
ORACLE CORP JAPAN NPV
    14,900       (677,703 )     (14,900 )     689,210  
ORTHOFIX INTL N.V COM STK USD0.10
    1,400       (48,339 )     (1,400 )     47,026  
OZ MINERALS LTD COMSTK
    38,285       (67,061 )     (38,285 )     66,336  
PACIFIC RUBIALES COM NPV
    800       (27,829 )     (800 )     26,540  
PAN AMER SILVER COM NPV
    300       (10,391 )     (300 )     10,966  
PANASONIC CORP
    8,900       (129,588 )     (8,900 )     132,986  
PEARSON ORD GBP0.25
    41,550       (662,085 )                

71


 

     
5500 Supplemental Schedules
  Account number 7879
 
  Account name MONSANTO CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
PERNOD RICARD NPV EUR 1.55
    27,476       (2,436,259 )     (23,376 )     2,136,274  
PETROBAKKEN ENERGY COM NPV CLASS ‘A’
    200       (4,565 )     (200 )     4,692  
PETROBANK ENERGY & COM NPV
    300       (13,173 )     (300 )     13,530  
PETROFAC ORD USD0.02
    2,875       (71,484 )     (2,875 )     70,627  
PHILIPS ELEC(KON) EUR0.20
    30,601       (988,700 )     (3,501 )     110,695  
PIRELLI + C. ORD COMMON STOCK
    7,982       (70,187 )     (7,982 )     66,830  
PORTUGAL TELECOM SGPS EUR0.03
    52,999       (770,042 )     (4,609 )     64,251  
POTASH CORP SASK COM NPV
    2,200       (318,154 )     (2,200 )     310,599  
POWER CORP CANADA SUB-VTG NPV
    1,100       (32,000 )     (1,100 )     31,320  
POWER FINL CORP COM NPV
    800       (25,072 )     (800 )     24,882  
PPR EUR4
    2,100       (352,258 )                
PREMIER FARNELL ORD GBP0.05
    43,628       (190,353 )     (43,628 )     201,898  
PROGRESS ENERGY COM
    600       (6,716 )     (600 )     7,030  
PROVIDENT ENERGY T TRUST UNITS
    900       (7,090 )     (900 )     7,307  
PRUDENTIAL ORD GBP0.05
    56,602       (571,824 )     (25,502 )     268,668  
PUBLICIS GROUPE SA EUR0.40
    1,228       (62,976 )     (1,228 )     61,074  
QANTAS AIRWAYS NPV
    308,029       (856,612 )     (308,029 )     894,692  
QBE INS GROUP NPV
    5,362       (94,601 )     (5,362 )     92,744  
RADWARE LTD COM STK
    23,125       (396,201 )     (23,125 )     464,439  
RANDGOLD RESOURCES ORD USD0.05
    766       (74,612 )     (766 )     74,009  
RANDSTAD HLDGS NV EUR0.10
    13,110       (681,460 )                
RECKITT BENCK GRP ORD GBP0.10
    2,064       (122,584 )     (2,064 )     119,152  
REED ELSEVIER GBP0.1444
    43,210       (375,673 )                
REED ELSEVIER NV EUR0.07
    30,400       (400,601 )                
REPSOL YPF SA EUR1
    19,701       (560,605 )     (2,106 )     58,189  
RESEARCH IN MOTION COM NPV
    3,000       (170,627 )     (3,000 )     167,907  
RESEARCH IN MOTION LTD COM
    4,900       (326,817 )     (4,900 )     344,480  

72


 

     
5500 Supplemental Schedules
  Account number 7879
 
  Account name MONSANTO CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
RHOEN-KLINIKUM AG ORD NPV
    27,740       (651,231 )                
RIO TINTO LIMITED NPV
    1,825       (159,277 )     (1,825 )     161,622  
RIO TINTO ORD GBP0.10
    24,141       (1,561,178 )     (9,741 )     686,468  
RIOCAN REAL ESTATE TRUST UNITS NPV
    400       (9,202 )     (400 )     9,205  
RITCHIE BROS AUCTI COM NPV
    300       (6,364 )     (300 )     6,237  
ROCHE HLDGS AG GENUSSCHEINE NPV
    20,577       (3,021,623 )     (13,947 )     2,093,919  
ROGERS COMMS INC CLASS‘B’COM CAD1.62478
    6,300       (229,530 )     (6,300 )     230,211  
ROLLS ROYCE GROUP ORD GBP0.20
    62,723       (629,655 )     (5,423 )     53,096  
ROTORK ORD GBP0.05
    4,985       (133,791 )     (4,985 )     142,043  
ROYAL BK OF CANADA COM NPV
    4,600       (253,718 )     (4,600 )     253,196  
ROYAL BK SCOT GRP ORD GBP0.25
    94,927       (74,735 )     (94,927 )     66,820  
ROYAL DUTCH SHELL ‘A’SHS EUR0.07 (DUTCH LIST)
    65,995       (2,140,536 )     (42,495 )     1,447,502  
ROYAL DUTCH SHELL ‘A’SHS EUR0.07 (UK LIST)GBP
    11,736       (403,149 )     (11,736 )     389,675  
ROYAL DUTCH SHELL ‘B’ORD EUR0.07
    8,937       (301,782 )     (8,937 )     292,054  
RWE AG NPV
    1,501       (109,696 )     (1,501 )     105,761  
SABMILLER ORD USD0.10
    2,642       (88,234 )     (2,642 )     86,253  
SAGE GROUP ORD GBP0.01
    18,596       (81,624 )     (18,596 )     80,927  
SAINSBURY(J) ORD GBP0.28571428
    12,069       (75,518 )     (12,069 )     74,209  
SAMPO OYJ SER‘A’NPV
    45,891       (1,285,682 )     (45,891 )     1,325,398  
SANDS CHINA LTD USD0.01 REG‘S’
    86,000       (190,337 )                
SANDVIK AB NPV
    5,814       (96,738 )     (5,814 )     96,862  
SANOFI-AVENTIS EUR2
    23,048       (1,672,688 )     (3,758 )     266,935  
SAP AG ORD NPV
    41,419       (2,159,960 )     (17,439 )     920,360  
SAPUTO INC COM NPV
    500       (19,020 )     (500 )     18,336  
SASOL NPV
    7,450       (335,264 )     (7,450 )     357,633  
SCANIA AB SER‘B’NPV
    3,046       (69,702 )     (3,046 )     67,481  
SCHNEIDER ELECTRIC EUR8
    763       (114,479 )     (763 )     112,259  

73


 

     
5500 Supplemental Schedules
  Account number 7879
 
  Account name MONSANTO CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
SEADRILL LTD 3.625% CNV BDS 08/11/12 USD
    100,000       (115,210 )     (100,000 )     120,675  
SEADRILL LTD USD2
    42,502       (1,287,215 )     (42,502 )     1,381,300  
SECOM CO NPV
    1,600       (74,127 )     (1,600 )     73,516  
SECURITIES LENDING COLLATERAL FUND PARTIAL REVERSAL ADJUSTMENT
                    (48,003 )     48,003  
SEKISUI HOUSE NPV
    9,000       (86,110 )     (9,000 )     88,471  
SERCO GROUP ORD GBP0.02
    7,580       (69,865 )     (7,580 )     68,468  
SES FDR EACH REP1 ‘A’ NPV
    34,757       (890,792 )     (34,757 )     916,139  
SES NPV
    16,459       (421,830 )     (16,459 )     433,557  
SEVEN & I HOLDINGS NPV
    2,300       (55,477 )     (2,300 )     54,795  
SGS SA CHF1(REGD)
    200       (338,128 )                
SHAW COMMUNICATION ‘B’CNV NPV
    1,100       (23,811 )     (1,100 )     23,616  
SHERRITT INTERNATIONAL CORPORATION COMMON
    900       (7,788 )     (900 )     7,756  
SHIMAMURA CO NPV
    1,900       (182,282 )     (1,900 )     185,748  
SHIN-ETSU CHEMICAL NPV
    9,500       (481,087 )     (2,700 )     137,695  
SHIRE PLC ADR
    3,966       (275,164 )     (2,997 )     183,246  
SHIRE PLC ORD GBP0.05
    37,508       (884,061 )     (37,508 )     908,809  
SHISEIDO CO LTD NPV
    4,000       (85,159 )     (4,000 )     85,046  
SHOPPERS DRUG MART COM
    9,000       (346,856 )     (9,000 )     333,770  
SHOWA SHELL SEKIYU KK NPV
    7,400       (63,402 )     (7,400 )     65,085  
SIEMENS AG NPV(REGD)
    17,585       (2,013,040 )     (2,725 )     322,789  
SILVER WHEATON COR COM NPV
    1,000       (32,498 )     (1,000 )     35,267  
SINGAPORE AIRLINES NPV
    6,000       (74,523 )     (6,000 )     75,399  
SINGAPORE TELECOMMUNICATIONS NEW COM STK
    487,000       (1,238,101 )     (44,000 )     112,089  
SINO-FOREST CORP COM NPV
    800       (16,931 )     (800 )     17,845  
SINO-OCEAN LAND HL HKD0.80
    425,500       (305,280 )                
SKANSKA AB SER‘B’NPV
    4,131       (82,077 )     (4,131 )     78,937  
SL- CORE USA SUB FD
                    (1,520 )     24,992  

74


 

     
5500 Supplemental Schedules
  Account number 7879
 
  Account name MONSANTO CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
SMC CORP NPV
    5,100       (779,556 )     (2,200 )     351,860  
SMITH & NEPHEW ORD USD0.20
    10,817       (103,784 )     (10,817 )     102,418  
SMITHS GROUP ORD GBP0.375
    4,951       (100,948 )     (4,951 )     97,668  
SNAM RETE GAS EUR1
    8,724       (48,026 )     (8,724 )     46,266  
SNC-LAVALIN GROUP COM NPV
    500       (26,605 )     (500 )     27,506  
SOCIETE GENERALE EUR1.25
    9,674       (579,281 )     (4,574 )     289,877  
SOFTBANK CORP NPV
    118,200       (3,804,429 )     (118,200 )     3,944,472  
SONY CORP NPV
    6,200       (207,260 )     (6,200 )     208,707  
STANDARD CHARTERED ORD
    4,000       (115,596 )     (4,000 )     125,200  
STANDARD CHARTERED ORD USD0.50
    59,193       (1,827,155 )     (6,413 )     200,055  
STATOILHYDRO ASA NOK2.50
    38,257       (821,386 )     (5,097 )     107,820  
STMICROELECTRONICS EUR1.04
    9,127       (83,972 )     (9,127 )     82,464  
STORA ENSO OYJ NPV SER‘R’
    40,795       (405,385 )     (40,795 )     426,683  
SUEZ ENVIRONNEMENT EUR4
    3,394       (68,236 )     (3,394 )     65,998  
SUMITOMO CHEMICAL CO. LTD NPV
    93,000       (405,660 )     (93,000 )     399,563  
SUMITOMO CORP NPV
    57,600       (730,121 )     (29,800 )     404,944  
SUMITOMO METAL IND NPV
    54,000       (130,952 )     (54,000 )     134,369  
SUMITOMO MITSUI FINANCIAL GROUP NPV
    3,900       (115,924 )     (3,900 )     114,435  
SUN HUNG KAI PROP HKD0.50
    14,000       (239,862 )     (14,000 )     264,655  
SUN LIFE FINL INC COM NPV
    1,800       (52,979 )     (1,800 )     52,901  
SUNCOR ENERGY INC COM NPV ‘NEW’
    5,000       (178,835 )     (5,000 )     179,972  
SUNCOR ENERGY INC NEW COM STK
    41,941       (1,353,226 )     (63,120 )     2,020,815  
SUZUKEN CO LTD NPV
    1,800       (58,893 )     (1,800 )     51,176  
SUZUKI MOTOR CORP NPV
    15,000       (365,918 )     (15,000 )     384,550  
SVENSKA CELLULOSA SER‘B’NPV
    15,302       (237,312 )     (15,302 )     242,379  
SVENSKA HANDELSBKN SER‘A’SEK4.30
    9,482       (310,002 )     (9,482 )     318,994  
SWIRE PACIFIC ‘A’HKD0.60
    45,500       (665,285 )     (15,000 )     239,453  

75


 

     
5500 Supplemental Schedules
  Account number 7879
 
  Account name MONSANTO CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
SWISS REINSURANCE AG CHF0.1(REGD)
    14,206       (752,997 )     (1,296 )     68,412  
SWISSCOM AG CHF1(REGD)
    2,500       (1,044,426 )     (2,500 )     1,064,421  
SYMRISE AG NPV (BR)
    9,600       (305,611 )                
SYNGENTA AG REG CHF0.1
    3,571       (987,798 )     (3,571 )     1,040,775  
SYNTHES INC CHF0.001
    2,357       (281,202 )     (2,357 )     291,237  
SYSMEX CORP NPV
    12,600       (864,334 )     (12,600 )     852,304  
TABCORP HOLDINGS LTD NPV
    12,613       (95,858 )     (12,613 )     94,703  
TAIYO NIPPON SANSO CORP NPV
    9,000       (73,177 )     (9,000 )     75,832  
TAKEDA PHARMACEUTICAL CO NPV
    3,500       (171,245 )     (3,500 )     171,164  
TALISMAN ENERGY IN COM NPV
    65,700       (1,298,766 )     (3,300 )     65,358  
TDK CORP NPV
    3,700       (211,281 )     (3,700 )     226,805  
TECK RESOURCES LIMITED
    1,600       (77,568 )     (1,600 )     80,242  
TEEKAY TANKERS LTD COM STK
    2,900       (35,760 )     (2,900 )     34,510  
TELE2 AB SER‘B’NPV
    2,701       (61,759 )     (2,701 )     59,596  
TELECOM ITALIA SPA DI RISP EUR0.55
    55,390       (67,271 )     (55,390 )     64,610  
TELEFONICA SA EUR1
    55,363       (1,531,378 )     (13,100 )     336,701  
TELENOR ASA ORD NOK6
    52,243       (886,120 )     (5,633 )     92,856  
TELIASONERA AB NPV
    9,437       (82,000 )     (9,437 )     79,175  
TELSTRA CORP LTD NPV
    530,359       (1,386,614 )     (530,359 )     1,441,646  
TELUS CORPORATION COM NPV
    200       (9,119 )     (200 )     9,106  
TELUS CORPORATION NON VOTING SHS NPV
    19,000       (803,631 )     (19,000 )     820,687  
TERUMO CORP NPV
    4,300       (218,289 )     (4,300 )     231,627  
TESCO ORD GBP0.05
    311,873       (2,133,040 )     (227,673 )     1,549,769  
TEVA PHARMA IND ILS0.1
    2,932       (149,378 )     (2,932 )     148,800  
THOMAS COOK GROUP ORD EUR0.10
    25,980       (76,463 )     (25,980 )     76,771  
THOMSON-REUTERS CO COM NPV
    1,200       (45,469 )     (1,200 )     45,333  
TIM HORTONS INC COMSTK
    600       (23,216 )     (600 )     23,312  

76


 

     
5500 Supplemental Schedules
  Account number 7879
 
  Account name MONSANTO CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
TINGYI(CAYMAN ISL) USD 0.005
    140,000       (381,106 )     (140,000 )     384,603  
TMX GROUP INC COM
    200       (7,138 )     (200 )     7,109  
TOHOKU ELEC POWER NPV
    2,800       (63,547 )     (2,800 )     62,430  
TOKIO MARINE HOLDINGS INC NPV
    9,500       (267,756 )     (9,500 )     277,939  
TOKYO ELEC POWER NPV
    5,000       (117,340 )     (5,000 )     117,025  
TOKYO ELECTRON NPV
    6,300       (355,833 )     (6,300 )     380,446  
TOLL HLDGS LTD NPV
    12,852       (83,014 )     (12,852 )     82,563  
TOPPAN PRINTING CO NPV
    9,000       (74,977 )     (9,000 )     74,723  
TORONTO-DOMINION COM NPV
    10,200       (761,234 )     (2,800 )     208,096  
TOSHIBA CORP NPV
    16,000       (82,473 )     (16,000 )     83,174  
TOTAL EUR2.5
    39,410       (2,230,430 )     (7,410 )     417,267  
TOYO SUISAN KAISHA NPV
    3,000       (64,117 )     (3,000 )     63,341  
TOYOTA MOTOR CORP NPV
    9,900       (361,950 )     (9,900 )     365,734  
TOYOTA TSUSHO CORP NPV
    4,900       (78,937 )     (4,900 )     80,520  
TRANSALTA CORP MTN COM NPV
    700       (14,722 )     (700 )     14,345  
TRANSCANADA CORP COM NPV
    2,200       (82,213 )     (2,200 )     81,840  
TRANSOCEAN LTD COM CHF15
    4,191       (265,549 )     (4,191 )     268,548  
TREND MICRO INC NPV
    56,900       (1,610,787 )     (56,900 )     1,709,614  
TUI TRAVEL PLC ORD GBP0.10
    19,878       (68,102 )     (19,878 )     66,787  
TULLOW OIL ORD GBP0.10
    16,337       (317,648 )     (5,637 )     111,473  
UBS AG CHF0.10
    129,966       (2,200,367 )     (112,426 )     2,017,074  
UMICORE COMMON STOCK NPV
    1,321       (69,383 )     (1,321 )     66,995  
UNICREDIT SPA EUR0.50
    181,800       (478,312 )     (36,820 )     92,202  
UNILEVER NV CVA EUR0.16
    35,103       (1,123,605 )     (5,783 )     181,560  
UNILEVER PLC ORD GBP0.031111
    21,542       (678,135 )     (4,042 )     123,940  
UNITED UTILITIES GROUP ORD GBP0.05
    9,028       (92,454 )     (9,028 )     89,994  
UNIVERSAL HEALTH RLTY INCOME TR SH BEN INT SH BEN INT
    900       (30,802 )     (900 )     30,231  

77


 

     
5500 Supplemental Schedules
  Account number 7879
 
  Account name MONSANTO CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
UNY CO JPY50 (8270)
    7,200       (62,040 )     (7,200 )     62,617  
VALEANT PHARM INTL COM NPV
    900       (24,641 )     (900 )     23,115  
VEOLIA ENVIRONNEME EUR5
    17,196       (505,097 )     (17,196 )     517,996  
VERBUND (OEST) CLS‘A’NPV SUB RGHT 23/11/10
                    (1,699 )      
VERBUND AG CLASS‘A’NPV
    1,699       (68,312 )     (1,699 )     64,539  
VERMILION ENERGY INC COMSTKUT
    300       (12,011 )     (300 )     12,045  
VESTAS WIND SYSTEM DKK1
    12,860       (433,365 )     (2,260 )     72,597  
VIENNA INS GRP AG WIEN NPV (BR)
    2,330       (125,317 )     (2,330 )     129,459  
VINCI EUR2.50
    2,404       (134,794 )     (2,404 )     132,344  
VITERRA INC COM NPV
    1,200       (11,884 )     (1,200 )     11,776  
VIVENDI SA EUR5.50
    24,385       (706,792 )     (5,585 )     158,668  
VODAFONE GROUP ORD USD0.11428571
    839,839       (2,376,856 )     (172,099 )     485,789  
VOLKSWAGEN AG NON VTG PRF NPV
    4,577       (703,919 )     (877 )     142,012  
VOLVO AB SER‘B’NPV
    6,693       (98,928 )     (6,693 )     96,319  
WARTSILA EUR3.50
    982       (74,642 )     (982 )     72,377  
WEG SA COM NPV
    6,200       (81,959 )                
WESFARMERS LTD NPV
    3,820       (131,605 )     (3,820 )     130,946  
WESTFIELD GROUP NPV STAPLED UNITS
    8,696       (114,274 )     (8,696 )     107,235  
WESTPAC BKG CORP NPV
    9,960       (237,814 )     (9,960 )     224,955  
WHARF(HLDGS) HKD1
    184,000       (1,208,288 )     (184,000 )     1,359,639  
WHITBREAD ORD GBP0.76797385
    2,321       (67,133 )     (2,321 )     66,976  
WILMAR INTERNATIONAL LTD NPV
    50,000       (247,242 )     (50,000 )     260,923  
WM MORRISON SUPERMARKETS ORD GBP0.10
    21,576       (98,226 )     (21,576 )     95,740  
WOLSELEY GBP0.10
    2,756       (80,412 )     (2,756 )     79,662  
WOLTERS KLUWER EUR0.12
    51,069       (1,161,728 )     (51,069 )     1,185,681  
WOODSIDE PETROLEUM NPV
    3,150       (147,123 )     (3,150 )     146,377  
WOOLWORTHS LTD NPV
    20,402       (566,370 )     (20,402 )     594,943  

78


 

     
5500 Supplemental Schedules
  Account number 7879
 
  Account name MONSANTO CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
WPP PLC ORD GBP0.10
    50,100       (618,069 )                
WYNN MACAU LTD HKD0.001
    90,000       (203,694 )     (20,800 )     47,340  
XSTRATA PLC ORD GBP
    34,151       (705,640 )     (6,551 )     144,235  
YAHOO JAPAN CORP NPV
    1,208       (422,738 )     (508 )     178,084  
YAMADA DENKI CO LTD NPV
    1,260       (83,390 )     (1,260 )     80,400  
YAMANA GOLD INC COM NPV
    16,800       (195,299 )     (2,400 )     28,548  
YELLOW MEDIA INC COM NPV
    1,600       (10,190 )     (1,600 )     10,170  
ZURICH FINL SVCS CHF0.10
    2,806       (694,487 )     (606 )     146,899  
 
Grand Total
    80,710,717       (296,853,974 )     (77,865,876 )     227,858,868  

79


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
&&&BOND FUTURES OFFSET — LONG
                               
1ST UN NATL BK N C CHARLOTTE MTN 7.8 DUE08-18-2010 BEO
    2,000,000       (2,039,915.00 )     (2,000,000.00 )     2,000,000.00  
ADOBE SYS INC 4.75 DUE 02-01-2020
    205,000       (204,321.60 )     (205,000.00 )     201,629.80  
AEGON N V 4.625% DUE 12-01-2015
    275,000       (273,869.75 )     (275,000.00 )     277,788.50  
AFFILIATED 5.2% DUE 06-01-2015
    370,000       (384,781.50 )     (370,000.00 )     386,587.10  
AGRIBANK FCB PVTPL 144A SUB NT 144A 9.125 15 JUL 2019
    250,000       (288,467.50 )     (660,000.00 )     797,208.80  
ALLSTATE CORP SR NT 7.45 DUE 05-16-2019
                    (110,000.00 )     130,328.00  
ALLTEL CORP 7.875% DUE 07-01-2032
    145,000       (181,329.75 )     (145,000.00 )     188,897.30  
ALLY AUTO 3.29% DUE 03-16-2015
    435,000       (434,915.83 )     (435,000.00 )     449,069.53  
ALTRIA GROUP INC 10.2% DUE 02-06-2039
    100,000       (136,190.00 )     (295,000.00 )     408,956.90  
ALTRIA GROUP INC 9.25% DUE 08-06-2019
    595,000       (737,745.25 )                
AMERICAN EXPRESS CR CORP TRANCHE # TR 00071 7.3% DUE 08-20-2013
    340,000       (390,486.60 )     (195,000.00 )     220,632.75  
AMERICREDIT 3.72000002861% DUE 11-17-2014
    800,000       (811,798.42 )     (800,000.00 )     828,250.00  
AMERICREDIT 5.19000005722% DUE 08-17-2015
    575,000       (608,705.86 )     (575,000.00 )     609,140.63  
AMERIPRISE FINL 7.3% DUE 06-28-2019
    160,000       (200,483.20 )     (240,000.00 )     290,433.60  
AMERN EXPRESS CO 8.125% DUE 05-20-2019
    210,000       (267,588.30 )     (360,000.00 )     447,760.20  
AMGEN INC 4.95% DUE 10-01-2041
    330,000       (327,300.60 )     (330,000.00 )     324,033.60  
ANGLO AMERN CAP 2.15% DUE 09-27-2013
    530,000       (529,554.80 )     (200,000.00 )     202,726.00  
ANHEUSER BUSCH COS 5% DUE 01-15-2015
    660,000       (738,830.40 )     (315,000.00 )     341,809.65  
ANHEUSER BUSCH COS 5.5% DUE 01-15-2018
    195,000       (201,415.50 )     (195,000.00 )     211,498.95  
AOL TIME WARNER 7.7% DUE 05-01-2032
                    (470,000.00 )     581,938.40  
AOL TIME WARNER INC 6.875 DUE 05-01-2012BEO
    800,000       (881,320.00 )     (800,000.00 )     880,000.00  
ARCELORMITTAL SA NT 5.25 DUE 08-05-2020
    990,000       (974,744.10 )     (505,000.00 )     497,904.75  
ASIAN DEV BK SR NT 1.625% DUE 07-15-2013REG
    305,000       (303,859.30 )     (305,000.00 )     307,995.10  
ASSURANT INC 5.625% DUE 02-15-2014
    330,000       (345,569.40 )     (330,000.00 )     347,866.20  
AT&T CORP USD SR NT VAR RATE DUE 11-15-2031/11-14-2031 BEO
                    (37,000.00 )     45,996.28  
AT&T INC 6.3% DUE 01-15-2038
    1,550,000       (1,611,349.00 )     (215,000.00 )     237,325.60  

80


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
AT&T INC 6.7% DUE 11-15-2013
    1,400,000       (1,607,354.00 )     (600,000.00 )     685,698.00  
AT&T INC SR NT 2.5 DUE 08-15-2015
    475,000       (482,409.20 )     (370,000.00 )     373,743.60  
AT&T WIRELESS SVCS 8.75% DUE 03-01-2031
    350,000       (459,871.30 )     (350,000.00 )     495,288.50  
AUTOZONE INC 5.75% DUE 01-15-2015
    655,000       (745,986.05 )     (350,000.00 )     390,036.50  
AVALONBAY CMNTYS INC MEDIUM TERM NTS 6.1DUE 03-15-2020
                    (200,000.00 )     221,624.00  
AVALONBAY CMNTYS INC MTN BEO TRANCHE # TR 00007 6.125 DUE 11-01-2012
    760,000       (826,971.20 )     (300,000.00 )     324,609.00  
BA CR CARD TR 03-15-2014 BEO
    2,000,000       (1,992,578.13 )     (2,000,000.00 )     1,995,625.00  
BANK AMER CORP 4.25% DUE 10-01-2010 BEO
    200,000       (201,902.00 )     (200,000.00 )     200,000.00  
BANK AMER CORP 4.9% DUE 05-01-2013
    1,300,000       (1,384,019.00 )     (1,300,000.00 )     1,355,211.00  
BANK AMER CORP 5.625% DUE 07-01-2020
    3,105,000       (3,168,031.80 )     (1,395,000.00 )     1,384,802.55  
BANK AMER CORP 5.75% DUE 12-01-2017
                    (860,000.00 )     882,444.00  
BARCLAYS BK PLC SR NT 6.75 DUE 05-22-2019
                    (580,000.00 )     638,089.90  
BB&T CORP SR 6.85% DUE 04-30-2019
                    (175,000.00 )     200,628.75  
BEAR STEARNS COS INC BEAR STEARNS CO 6.410 2 17 6.4% DUE 10-02-2017
                    (435,000.00 )     497,110.40  
BELLSOUTH TELECOMMUNICATIONS INC STEP UPBD DUE 12-15-2045 RT=0 TIL 12-15-15
    130,000       (98,294.30 )     (430,000.00 )     308,447.60  
BK OF TOKYO 2.45% DUE 09-11-2015
    675,000       (673,771.50 )     (675,000.00 )     678,969.00  
BSTN PPTYS LTD 5.875% DUE 10-15-2019
                               
BURL NORTHN DEB 5.05 DUE 03-01-2041
    95,000       (94,649.45 )     (95,000.00 )     92,282.05  
BURL NORTHN SANTA 3.6% DUE 09-01-2020
    1,700,000       (1,697,756.00 )     (800,000.00 )     766,256.00  
BURL NORTHN SANTA 5.9% DUE 07-01-2012
    1,015,000       (1,103,913.30 )     (1,015,000.00 )     1,087,904.15  
CAP 1 BK USA NATL 8.8% DUE 07-15-2019
                    (835,000.00 )     1,032,091.15  
CAP 1 MULTI-ASSET 4.79% DUE 08-15-2013
    1,000,000       (1,017,031.25 )     (1,000,000.00 )     1,001,875.00  
CARMAX AUTO OWNER 3.75% DUE 12-15-2015
    105,000       (104,979.14 )     (105,000.00 )     108,806.25  
CATERPILLAR FINL SVCS CORP MEDIUM TERM NTRANCHE # TR 00814 VAR RT DUE 6-24-2011
    415,000       (418,029.50 )     (415,000.00 )     417,364.26  
CBS CORP NEW 4.3% DUE 02-15-2021
    125,000       (124,665.00 )     (125,000.00 )     120,960.00  
CDN NAT RES LTD 5.15% DUE 02-01-2013
    1,300,000       (1,396,785.00 )     (600,000.00 )     646,122.00  
CHASE ISSUANCE TR 2006-5 NT CL A FLTG RATE 11-15-2013 REG
    3,000,000       (2,992,031.25 )     (3,000,000.00 )     2,996,250.00  

81


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
CHICAGO ILL TRAN AUTH SALES TAX RCPTS REV 6.2% 12-01-2040 BEO TAXABLE
    615,000       (612,333.00 )     (615,000.00 )     617,195.55  
CISCO SYS INC 5.5% DUE 01-15-2040
    100,000       (94,867.00 )     (395,000.00 )     415,306.80  
CITIGROUP INC 5.5% DUE 04-11-2013
    300,000       (315,891.00 )     (300,000.00 )     312,888.00  
CITIGROUP INC 5.85% DUE 12-11-2034
    125,000       (112,248.75 )     (125,000.00 )     124,891.25  
CITIGROUP INC 5.875% DUE 05-29-2037
                    (60,000.00 )     59,222.40  
CITIGROUP INC 6% DUE 08-15-2017
    300,000       (308,049.00 )     (285,000.00 )     289,349.10  
CITIGROUP INC 6.01% DUE 01-15-2015
    1,000,000       (1,047,890.00 )     (300,000.00 )     326,547.00  
CITIGROUP INC 6.125% DUE 05-15-2018
                               
CITIGROUP INC 6.125% DUE 11-21-2017
                               
CITIGROUP INC 8.125% DUE 07-15-2039
                    (35,000.00 )     43,571.85  
CITIGROUP INC 8.5% DUE 05-22-2019
                    (805,000.00 )     986,479.20  
CITIGROUP RESDNTL MTG TR SER 2006 1 MTG CTF CL A-3 5.706 DUE08-25-2036REG
    441,917       (443,100.39 )     (441,916.93 )     444,068.73  
CMO BANC AMER COML MTG INC SER 2004-6 CLA-4 4.625% DUE 12-10-2042 BEO
    520,000       (523,737.50 )     (520,000.00 )     546,406.25  
CMO BANC AMER COML MTG INC SER 2004-6 CLA5 4.8109998703% DUE 12-10-2042 REG
    730,000       (757,590.63 )     (730,000.00 )     776,366.41  
CMO BANC AMER COML MTG TR 2006-4 SER 2006-4 CL-A4 5.634% DUE 07-10-2046 REG
    1,425,000       (1,456,960.93 )     (1,425,000.00 )     1,447,219.92  
CMO BANC AMER MTG TR 2007 4 MTG PASS THRU CTF CL A-4 DUE 02-10-2051 REG
    730,000       (687,055.47 )     (1,355,000.00 )     1,318,238.68  
CMO BEAR STEARNS COML MTG SECS II INC 2006 PW11 A4 5.454629 DUE 03-11-2039 BEO
    2,375,000       (2,602,397.85 )     (3,125,000.00 )     3,394,061.52  
CMO BEAR STEARNS COML MTG SECS INC 2004-PWR6 CL A-6 4.826 11-11-2041 REG
    295,000       (297,950.00 )     (295,000.00 )     317,309.38  
CMO BEAR STEARNS COML MTG SECS INC 2004-TOP14 CTF A-4 5.2 1-12-41 REG
    330,000       (343,565.63 )     (130,000.00 )     140,389.84  
CMO BEAR STEARNS COML MTG SECS INC 2005-PWR10 CL A-4 DUE 12-11-2040 REG
    1,510,000       (1,560,136.72 )     (1,510,000.00 )     1,627,289.84  
CMO BEAR STEARNS COML MTG SECS TR 2007-TOP26 CL A4 FLT RT 1-12-2045 BEO
    500,000       (498,423.44 )     (1,690,000.00 )     1,826,241.80  
CMO CD 2007-CD4 COML MTG TR MTG PASSTHRUCTF CL A-4 VAR 12-11-2049 BEO
    2,320,000       (2,255,839.26 )     (2,320,000.00 )     2,295,601.57  
CMO CD 2007-CD5 MTG TR DUE 11-15-2044 BEO
    578,000       (587,112.97 )     (578,000.00 )     604,701.72  
CMO CITIGROUP COML MTG TR 2006-C5 CL A-45.4310002327% DUE 10-15-2049 BEO
    1,200,000       (1,210,500.00 )     (275,000.00 )     280,070.31  
CMO COML MTG TR 2007-GG9 MTG PASSTHRU CTF CL A-4 5.444 DUE 03-10-2039 REG
    545,000       (519,655.08 )     (1,260,000.00 )     1,197,496.88  
CMO COMM 2004-LNB3 VARI RATE SER 2004-LB3A CL A5 DUE 07-10-2037 REG
    1,300,000       (1,372,414.06 )     (1,300,000.00 )     1,404,710.94  
CMO COMM 2006-C8 MTG TR MTG PASSTHRU CTFCL A-4 5.3060002327% DUE 12-10-2046 REG
    1,250,000       (1,217,968.75 )     (1,250,000.00 )     1,211,181.64  

82


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
CMO COMM 2007-C9 MTG TR CL A-4 FLT RT DUE 12-10-2049 BEO
                    (510,000.00 )     515,996.48  
CMO CR SUISSE 1ST BSTN MTG SECS CORP SER2004-C5 CL A4 4.829 DUE 11-15-2037 REG
    190,000       (190,957.42 )     (190,000.00 )     203,032.81  
CMO CR SUISSE COML MTG TR SER 2006-C5 COML MTG PASSTHRU 5.311 DUE 12-15-39
    785,000       (749,821.68 )     (785,000.00 )     758,193.55  
CMO GE COML MTG CORP 2004-C3 CL A-4 5.189% DUE 07-10-2039 REG
    3,010,000       (3,218,890.63 )     (1,810,000.00 )     1,927,650.00  
CMO GS MTG SECS CORP II SERIES 2005-GG4 CLASS-A4 DUE 07-10-2039 BEO
    1,140,000       (1,135,413.28 )     (1,140,000.00 )     1,138,174.22  
CMO GS MTG SECS TR 2006-GG8 SER 2006-GG8CLASS-A4 5.56 DUE 11-10-2039 REG
    275,000       (275,128.91 )     (275,000.00 )     272,905.27  
CMO GS MTG SECS TR 2007 GG10 MTG PASS THRU CTF CL A-4 DUE 08-10-2045 REG
    2,330,000       (2,188,678.73 )     (2,905,000.00 )     2,770,365.22  
CMO J P MORGAN CHASE COML MTG SECS CORP 2004-PNC1 COML A-4 DUE 06-12-2041 REG
    2,411,000       (2,427,693.01 )     (1,000,000.00 )     1,076,076.17  
CMO J P MORGAN CHASE COML MTG SECS CORP 2005-CIBC13 MTG PASSTHRU DUE 01-12-43
    1,270,000       (1,290,806.64 )     (1,270,000.00 )     1,296,392.19  
CMO J P MORGAN CHASE COML MTG SECS CORP 2006-C14 CTF A-SB 5.506 DUE 12-12-44 REG
    205,000       (215,522.27 )     (205,000.00 )     215,248.59  
CMO J P MORGAN CHASE COML MTG SECS TR 2006-L CL A-M 5.8755 DUE 04-17-2045 REG
    2,160,000       (2,188,781.25 )     (210,000.00 )     203,700.00  
CMO J P MORGAN CHASE COML MTG SECS TR 2006-LDP7 CL A-4 DUE 04-15-2045 REG
    1,035,000       (1,084,359.96 )     (1,035,000.00 )     1,137,971.88  
CMO J P MORGAN CHASE COML MTG SECS TR 2007 C DUE 02-12-2051 REG
    175,000       (145,250.00 )     (175,000.00 )     159,250.00  
CMO J P MORGAN CHASE COML MTG SECS TR 2007-C 5.631 DUE 02-15-2051 REG
    1,875,000       (1,604,333.79 )     (1,875,000.00 )     1,679,872.07  
CMO LB-UBS COML MTG TR 2006-C1 PASSTHRU CTF CL A-4 5.156 DUE 2-15-2031
                               
CMO MERRILL LYNCH MTG TR SER 2005-CKI1 CL A-3 DUE 11-12-2037 BEO
    200,000       (206,968.75 )     (200,000.00 )     207,562.50  
CMO ML CFC COML MTG TR 2006 3 MTG PASSTHRU CTF CL A4 DUE 07-12-2046 REG
    520,000       (525,281.25 )     (520,000.00 )     552,032.81  
CMO ML-CFC COML MTG TR 2007-8 MTG PASS THRU CTF-CL A-3 DUE 08-12-2049 BEO
    1,360,000       (1,363,195.32 )     (1,360,000.00 )     1,395,924.02  
CMO MORGAN STANLEY CAP I TR 06-IQ12 COMLMTG PASSTHRU CTF CL A-4 DUE 121543 REG
    950,000       (946,879.10 )     (950,000.00 )     959,023.24  
CMO SER 2006-C7 CL A4 FLT RT DUE 06-10-2046 REG
    1,200,000       (1,245,328.13 )     (480,000.00 )     528,543.75  
CMO SER 2007-T27 CL A4 DUE 06-11-2042 BEO
    607,000       (630,299.69 )     (957,000.00 )     1,058,382.19  
CMO WACHOVIA BK COML MTG TR CML PSTHR COML MTG CTF CL A-3 DUE 07-15-45 REG
    460,000       (444,115.63 )     (460,000.00 )     472,632.03  
CMO WACHOVIA BK COML MTG TR COML MTG PASS-TH CL A-2 5.275 DUE 11-15-2048 BEO
    90,000       (92,387.11 )     (620,000.00 )     638,848.44  
CMO WACHOVIA BK COML MTG TR COML MTG PASS-TH CL A-4 5.572 DUE 10-15-2048 BEO
    1,160,000       (1,112,580.86 )     (1,160,000.00 )     1,126,748.24  
CMO WACHOVIA BK COML MTG TR SER 2004-C15CLASS-F 4.803 DUE 10-15-2041 REG
    40,000       (40,293.75 )     (40,000.00 )     42,373.44  
COCA COLA 6.95% DUE 11-15-2026
    100,000       (118,865.00 )     (100,000.00 )     130,507.00  
COCA COLA 7.0 NT DUE 10-01-2026 REG PUTTABLE 10-1-2006 @ PAR HOLDERS MU**PUT
    305,000       (354,275.80 )     (305,000.00 )     394,235.05  

83


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
COCA COLA CO 1.5% DUE 11-15-2015
    285,000       (284,344.50 )     (285,000.00 )     278,502.00  
COCA COLA CO 3.15% DUE 11-15-2020
    335,000       (333,974.90 )     (335,000.00 )     318,940.10  
COMCAST CORP NEW 5.15% DUE 03-01-2020
    990,000       (1,055,587.10 )     (370,000.00 )     383,257.90  
COMCAST CORP NEW 6.4% DUE 05-15-2038
    300,000       (302,709.00 )     (300,000.00 )     330,354.00  
COMCAST CORP NEW 6.5 DUE 15-01-2017
    2,485,000       (2,838,921.45 )                
COMCAST CORP NEW 6.5% DUE 01-15-2015
                    (590,000.00 )     667,667.60  
CONS EDISON CO N Y INC NT 8.125 DUE 05-01-2010 BEO
    200,000       (204,396.00 )     (200,000.00 )     200,000.00  
COUNTRYWIDE FINL CORP MEDIUM TERM NTS BOTRANCHE # TR 00159 5.8 DUE 06-07-2012
    800,000       (850,576.00 )     (1,020,000.00 )     1,084,486.00  
CR SUISSE 1ST BSTN 5.5% DUE 08-15-2013
    1,700,000       (1,859,375.00 )     (700,000.00 )     771,358.00  
CR SUISSE 1ST BSTN FLTG RT .5195% DUE 07-25-2035
    (62,007 )     2,450.18       (306,766.42 )     250,045.61  
CR SUISSE AG 5.4% DUE 01-14-2020
    780,000       (813,425.10 )     (390,000.00 )     404,735.10  
CR SUISSE N Y BRH FORMERLY CR S SUB 6 DUE 02-15-2018 BEO
                    (95,000.00 )     100,667.70  
CSX CORP 5.75% DUE 03-15-2013
    1,300,000       (1,414,998.00 )     (600,000.00 )     655,704.00  
CSX CORP 6.15% DUE 05-01-2037
    65,000       (67,697.50 )     (65,000.00 )     65,252.20  
CVS CAREMARK CORP 6.036 DUE 12-10-2028
                    (204,174.83 )     216,157.89  
DEUTSCHE TELEKOM STEP CPN 8.75% DUE 06-15-2030
                    (125,000.00 )     163,255.00  
DIAGEO CAP PLC GTD NT 4.828 DUE 07-15-2020
    590,000       (607,184.55 )     (590,000.00 )     656,085.90  
DIRECTV HLDGS LLC 5.2% DUE 03-15-2020
    385,000       (377,839.00 )     (165,000.00 )     175,218.45  
DIRECTV HLDGS LLC 5.875% DUE 10-01-2019
    430,000       (488,209.10 )     (240,000.00 )     264,816.00  
DIRECTV HLDGS/FING 6 DUE 08-15-2040
    360,000       (355,172.40 )     (360,000.00 )     377,380.80  
DOW CHEM CO 4.25% DUE 11-15-2020
    300,000       (299,175.00 )     (300,000.00 )     298,669.45  
DOW CHEM CO 8.55% DUE 05-15-2019
    780,000       (988,774.80 )     (390,000.00 )     487,299.30  
DOW CHEM CO NT 9.4 DUE 05-15-2039
    160,000       (201,790.00 )     (160,000.00 )     212,574.40  
DU PONT E I DE 5.25% DUE 12-15-2016
    170,000       (181,135.00 )     (170,000.00 )     193,407.30  
DUKE ENERGY CORP 1ST & REF MTG BD 4.5 DUE 04-01-2010 BEO
    325,000       (327,656.00 )     (325,000.00 )     325,000.00  
DUKE ENERGY CORP SR NT 6.3% DUE 02-01-2014/01-26-2009
    700,000       (783,699.00 )     (700,000.00 )     784,763.00  
DUKE RLTY LTD 6.75% DUE 03-15-2020
    70,000       (69,988.10 )     (70,000.00 )     78,257.20  

84


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
EBAY INC 1.625% DUE 10-15-2015
    320,000       (318,816.00 )     (320,000.00 )     319,331.20  
EDF S A 5.6% DUE 01-27-2040
    372,000       (363,453.00 )     (372,000.00 )     364,699.23  
EKSPORTFINANS A S 3% DUE 11-17-2014
    800,000       (838,448.00 )     (465,000.00 )     487,971.00  
EKSPORTFINANS A S 5.5% DUE 06-26-2017
    385,000       (437,876.60 )     (470,000.00 )     548,273.80  
ENBRIDGE ENERGY 5.875% DUE 12-15-2016
    1,300,000       (1,431,053.00 )     (400,000.00 )     446,904.00  
ENTERPRISE PRODS 6.5% DUE 01-31-2019
                    (220,000.00 )     249,684.60  
FORD CR AUTO OWNER 3.22% DUE 03-15-2016
    600,000       (599,993.04 )     (600,000.00 )     618,937.50  
FRANCE TELECOM SA NT STEP UP 03-01-2011 02-01-2002
    1,180,000       (1,245,989.80 )     (1,710,000.00 )     1,761,265.80  
FRANKLIN RES INC 3.125% DUE 05-20-2015
    270,000       (269,703.00 )     (270,000.00 )     282,452.40  
FRKLN AUTO TR 6.09999990463% DUE 05-20-2016
    440,000       (465,850.00 )     (440,000.00 )     463,650.00  
FUT CALL APR 10 T-NOTE OPTION 1165
    100       (109,656.00 )     (100.00 )     46,624.00  
FUT CALL DEC 10 T-NOTE OPTION 1255
    85       (118,442.40 )     (85.00 )     98,042.40  
FUT CALL OCT 10 T-NOTE OPTION 1220
    65       (98,698.60 )     (65.00 )     79,036.10  
FUT DEC 10 10 YR T-NOTES
                               
FUT DEC 10 5 YR T NOTE
                               
FUT DEC 10 CBT UL T-BONDS
                               
FUT DEC 10 U.S. T-BONDS
                               
FUT DEC 10 US 2YR T-NOTE
                               
FUT JUN 10 10 YR T-NOTES
                               
FUT JUN 10 5 YR T NOTE
                               
FUT JUN 10 U.S. T-BONDS
                               
FUT JUN 10 US 2YR T-NOTE
                               
FUT MAR 10 10 YR T-NOTES
                               
FUT MAR 10 5 YR T NOTE
                               
FUT MAR 10 US 2YR T-NOTE
                               
FUT MAR 11 10 YR T-NOTES
                               
FUT MAR 11 5 YR T NOTE
                               

85


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
FUT MAR 11 CBT UL T-BONDS
                               
FUT MAR 11 U.S. T-BONDS
                               
FUT MAR 11 US 2YR T-NOTE
                               
FUT SEP 10 10 YR T-NOTES
                               
FUT SEP 10 5 YR T NOTE
                               
FUT SEP 10 U.S. T-BONDS
                               
FUT SEP 10 US 2YR T-NOTE
                               
FUT US 5YR FUTR OPTN OCT10C
    40       (27,878.62 )     (40.00 )     63,004.40  
FUT US 5YR FUTR OPTN OCT10P
    40       (34,134.16 )     (40.00 )     504.40  
FUT US ULTRA BD(CBT)SEP10
                               
GE CAP CR CARD 2.21000003815% DUE 06-15-2016
    310,000       (309,965.81 )     (310,000.00 )     314,480.47  
GEN ELEC CAP CORP 2.8% DUE 01-08-2013
    1,600,000       (1,608,448.00 )     (700,000.00 )     718,438.00  
GEN ELEC CAP CORP 5.5% DUE 01-08-2020
    1,365,000       (1,360,369.15 )     (1,365,000.00 )     1,422,218.25  
GEN ELEC CAP CORP 5.625% DUE 05-01-2018
    670,000       (738,474.00 )     (910,000.00 )     1,001,124.10  
GEN ELEC CAP CORP 5.875% DUE 01-14-2038
    3,090,000       (3,053,630.10 )     (1,765,000.00 )     1,779,702.45  
GEN ELEC CAP CORP 6% DUE 08-07-2019
    385,000       (412,586.60 )     (855,000.00 )     908,852.40  
GEN ELEC CAP CORP MEDIUM TERM NTS BO TRANCHE # TR 00575 5.45 DUE 01-15-2013
    1,620,000       (1,763,240.40 )     (880,000.00 )     946,352.00  
GEN ELEC CAP CORP MEDIUM TERM NTS BO TRANCHE # TR 00709 4.875 10-21-2010REG
    725,000       (735,309.50 )     (725,000.00 )     726,950.25  
GEN ELEC CAP CORP MEDIUM TERM NTS BO TRANCHE # TR 00818 6.875 DUE 01-10-2039
    510,000       (569,109.00 )     (510,000.00 )     559,689.40  
GENERAL ELEC CAP CORP MEDIUM TERM NTS BOOK ENTRY MTN 4.375% DUE 09-16-2020
    535,000       (522,763.35 )     (240,000.00 )     242,474.40  
GENERAL ELEC CO 5.25% DUE 12-06-2017
                    (390,000.00 )     403,876.30  
GOLD FIELDS OROGEN 4.875% DUE 10-07-2020
    675,000       (670,254.75 )     (200,000.00 )     190,958.00  
GOLDMAN SACHS 5.15% DUE 01-15-2014
    520,000       (554,389.90 )     (495,000.00 )     535,911.75  
GOLDMAN SACHS 6.15% DUE 04-01-2018
                    (640,000.00 )     685,580.80  
GOLDMAN SACHS GROUP INC MEDIUM TERM NTS BOOK ENTRY NT 5.375% DUE 03-15-2020
    100,000       (99,099.00 )     (100,000.00 )     98,219.00  
HARTFORD FINL SVCS 5.5% DUE 03-30-2020
    315,000       (314,228.25 )     (150,000.00 )     157,045.50  
HARTFORD FINL SVCS SR NT 4 DUE 03-30-2015
    185,000       (184,874.20 )     (185,000.00 )     191,286.30  

86


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
HEALTHCARE RLTY TR 5.125% DUE 04-01-2014
    185,000       (189,859.95 )     (185,000.00 )     193,019.75  
HEWLETT PACKARD CO 2.125% DUE 09-13-2015
    455,000       (454,485.85 )     (455,000.00 )     448,056.70  
HOME DEPOT INC 4.625% DUE 08-15-2010
    1,000,000       (1,012,757.00 )     (1,000,000.00 )     1,001,587.00  
HOUSEHOLD FIN CORP 8% DUE 07-15-2010
    500,000       (508,445.00 )     (580,000.00 )     580,000.00  
HSBC BANK USA NA 4.875 DUE 08-24-2020 BEO
    2,000,000       (2,094,200.00 )     (800,000.00 )     799,392.00  
HSBC FIN CORP 6.75% DUE 05-15-2011
                               
HSBC FINANCE CORP 6.375% DUE 10-15-2011
                               
HSBC HLDGS PLC 6.5% DUE 05-02-2036
    290,000       (306,124.00 )     (1,010,000.00 )     1,118,898.20  
INTERNATIONAL BUSINESS MACHS CORP IBM FLOAT JS X01535 DUE 07-28-2011 BEO
    2,100,000       (2,118,152.40 )     (2,100,000.00 )     2,112,268.20  
INTL BUSINESS 5.6% DUE 11-30-2039
                    (110,000.00 )     125,594.70  
INTL BUSINESS 7.625% DUE 10-15-2018
                    (650,000.00 )     846,519.75  
J P MORGAN CHASE & CO NT 6.75 DUE 02-01-2011 BEO
    750,000       (775,222.50 )     (750,000.00 )     765,390.00  
J P MORGAN CHASE & CO SR NT 4.5 DUE 11-15-2010 REG
    1,000,000       (1,014,820.00 )     (1,000,000.00 )     1,005,110.00  
J P MORGAN CHASE 4.3109998703% DUE 08-05-2032
    1,620,000       (1,636,193.52 )     (1,620,000.00 )     1,636,453.13  
JPMORGAN CHASE & 4.4% DUE 07-22-2020
    190,000       (189,678.90 )     (190,000.00 )     187,615.50  
JPMORGAN CHASE & 6.3% DUE 04-23-2019
    1,830,000       (2,116,007.20 )     (1,510,000.00 )     1,722,510.00  
JPMORGAN CHASE & CO FORMERLY J P MORGAN 6 DUE 01-15-2018 BEO
                    (335,000.00 )     360,918.60  
KELLOGG CO 6.6% DUE 04-01-2011
    800,000       (827,864.00 )     (800,000.00 )     820,936.00  
KEYSPAN CORP 7.625% DUE 11-15-2010
    1,225,000       (1,255,672.25 )     (1,225,000.00 )     1,231,027.00  
KINDER MORGAN 5.95% DUE 02-15-2018
                    (195,000.00 )     215,024.55  
KINDER MORGAN ENERGY PARTNERS L P SR NT 7.5 DUE 11-01-2010 BEO
    500,000       (523,440.00 )     (500,000.00 )     500,990.00  
KOREA DEV BK 4.375% DUE 08-10-2015
    200,000       (200,436.00 )     (200,000.00 )     202,616.00  
KRAFT FOODS INC 5.375% DUE 02-10-2020
    370,000       (366,951.20 )     (370,000.00 )     367,556.60  
KRAFT FOODS INC 6% DUE 02-11-2013
    440,000       (487,924.80 )     (665,000.00 )     733,186.30  
KRAFT FOODS INC 6.5% DUE 02-09-2040
    260,000       (268,445.20 )     (260,000.00 )     299,839.80  
KRAFT FOODS INC 6.5% DUE 08-11-2017
    1,885,000       (2,179,496.60 )     (335,000.00 )     397,936.45  
KRAFT FOODS INC 6.875% DUE 01-26-2039
                    (290,000.00 )     351,404.60  

87


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
KRAFT FOODS INC NT 7% DUE 08-11-2037
                    (180,000.00 )     217,360.80  
KREDITANSTALT FUR 1.375% DUE 07-15-2013
    305,000       (304,362.55 )     (305,000.00 )     310,868.81  
KROGER CO 6.4% DUE 08-15-2017
    165,000       (193,079.70 )     (125,000.00 )     138,635.00  
LINCOLN NATL CORP 6.25% DUE 02-15-2020
    75,000       (79,044.75 )     (415,000.00 )     456,619.35  
LINCOLN NATL CORP SR NT 8.75 DUE 07-01-2019
    340,000       (412,039.20 )     (340,000.00 )     427,981.80  
LLOYDS TSB BK PLC 5.8% DUE 01-13-2020
    2,295,000       (2,290,612.65 )     (1,695,000.00 )     1,624,346.80  
LORILLARD TOB CO 6.875% DUE 05-01-2020
    245,000       (244,755.00 )     (245,000.00 )     245,793.80  
LOS ANGELES CALIF DEPT WTR & PWR REV BUILD AMERICA BONDS 5.716 DUE 07-01-39
    230,000       (230,000.00 )     (230,000.00 )     232,300.00  
LOS ANGELES CALIF UNI SCH DIST 6.758% DUE 07-01-2034 BEO TAXABLE
    275,000       (275,000.00 )     (275,000.00 )     304,213.25  
MACQUARIE GROUP LTD SR MEDIUM TERM TRANCHE # TR 00003 6 14/01/2020
    295,000       (294,737.45 )     (295,000.00 )     295,654.55  
MANITOBA PROV CDA GLOBAL DEB 2.125% DUE 04-22-2013 REG
    305,000       (304,624.85 )     (305,000.00 )     313,607.10  
MERRILL LYNCH & CO INC TRANCHE # TR 00677 6.875% DUE 04-25-2018
                    (380,000.00 )     417,753.00  
METLIFE INC 7.717% DUE 02-15-2019
                    (340,000.00 )     417,552.70  
METROPOLITAN TRANSN AUTH N Y DEDICATED TAX FD 6.089% 11-15-2040 BEO TAXABLE
    25,000       (24,936.25 )     (25,000.00 )     26,250.00  
METROPOLITAN TRANSN AUTH N Y REV 6.548% 11-15-2031 BEO TAXABLE
    430,000       (453,271.60 )     (430,000.00 )     455,894.60  
MICROSOFT CORP 1.625% DUE 09-25-2015
    355,000       (353,441.55 )     (355,000.00 )     349,728.25  
MORGAN STANLEY FORMERLY MORGAN STANLEY MORGAN STANLEY 5.95 DUE 12-28-2017
    1,710,000       (1,802,408.40 )     (200,000.00 )     210,006.00  
MORGAN STANLEY MORGAN STANLEY 6.25% DUE 08-28-2017/08-28-2007
    655,000       (706,271.05 )     (655,000.00 )     706,456.80  
MORGAN STANLEY MTN 5.375 DUE 10-15-2015
    1,485,000       (1,556,174.60 )     (845,000.00 )     902,146.30  
N FORK 5.875% DUE 08-15-2012
    188,000       (198,340.00 )     (188,000.00 )     199,445.44  
NASDAQ OMX GROUP 5.55% DUE 01-15-2020
    105,000       (104,562.15 )     (105,000.00 )     105,069.30  
NATIONAL CITY CORP 6.875% DUE 05-15-2019
    235,000       (260,525.75 )     (300,000.00 )     341,463.00  
NATIONWIDE BLDG 6.25% DUE 02-25-2020
    540,000       (539,562.60 )     (540,000.00 )     545,313.60  
NATL AUSTRALIA BK LTD GLOBAL MEDIUM TRANCHE # SR 00029 3.75 02/03/2015
    385,000       (384,930.70 )     (385,000.00 )     391,221.60  
NEW ENG TEL & TEL CO 40 YR 7.875 DEB DUE11-15-2029,REGISTERED ONE-TIME PUT **PUT
    100,000       (109,877.00 )     (280,000.00 )     318,995.60  
NEW JERSEY ST TRANSN TR FD AUTH 6.561% 12-15-2040 BEO TAXABLE
    450,000       (486,207.75 )     (450,000.00 )     494,496.00  
NEW YORK N Y TAXABLE-SER D-1-BUILD AMER BDS 5.985% DUE 12-01-2036 REG TAXABLE
    345,000       (342,360.75 )     (345,000.00 )     363,095.25  

88


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
NEWS AMER INC 5.3 DUE 12-15-2014
    865,000       (983,496.35 )     (490,000.00 )     550,054.40  
NEWS AMER INC 6.65% DUE 11-15-2037
    1,215,000       (1,323,645.30 )     (470,000.00 )     535,513.30  
NEWS AMER INC 7.85% DUE 03-01-2039
                    (290,000.00 )     365,162.20  
NISOURCE FIN CORP 6.125% DUE 03-01-2022
    300,000       (311,874.00 )                
NISOURCE FIN CORP 6.8% DUE 01-15-2019
                               
NISOURCE FIN CORP 7.875% DUE 11-15-2010
    1,000,000       (1,024,820.00 )     (1,000,000.00 )     1,005,100.00  
NORDEA BK AG 4.875% DUE 01-27-2020
    270,000       (268,520.40 )     (270,000.00 )     270,442.80  
NORFOLK SOUTHN 8.625% DUE 05-15-2010
    1,000,000       (1,014,028.20 )     (1,000,000.00 )     1,003,810.00  
NOVA SCOTIA PROV CDA BD 2.375% DUE 07-21-2015 REG
    440,000       (437,923.20 )     (440,000.00 )     446,274.40  
NOVARTIS CAP CORP 1.9% DUE 04-24-2013
    245,000       (244,674.15 )     (245,000.00 )     251,259.75  
NOVARTIS CAP CORP 2.9% DUE 04-24-2015
    395,000       (392,241.50 )     (395,000.00 )     415,721.70  
NOVARTIS SECS INVT 5.125% DUE 02-10-2019
    470,000       (542,145.00 )     (265,000.00 )     294,096.05  
OHIO PWR CO 5.375% DUE 10-01-2021
                    (250,000.00 )     274,637.50  
ONTARIO PROV CDA BD 1.875% DUE 11-19-2012 BEO
    1,500,000       (1,512,780.00 )     (1,500,000.00 )     1,532,325.00  
ONTARIO PROV CDA BD 5.125% DUE 07-17-2012 BEO
    500,000       (542,205.00 )     (2,400,000.00 )     2,590,752.00  
ONTARIO PROV CDA GLOBAL NT 3.5% DUE 07-15-2013 REG
    280,000       (293,291.60 )     (280,000.00 )     297,283.56  
ONTARIO PROV CDA NT 4.1% DUE 06-16-2014 BEO
    215,000       (233,454.74 )     (435,000.00 )     467,948.90  
PACIFICORP 6.9% DUE 11-15-2011
                               
PETROBRAS INTL FIN 5.75% DUE 01-20-2020
    1,000,000       (1,116,920.00 )     (260,000.00 )     266,500.00  
PETROBRAS INTL FIN CO 6.875 DUE 01-20-2040 REG
    100,000       (103,900.00 )     (470,000.00 )     470,100.00  
PETRO-CDA 6.05% DUE 05-15-2018
    330,000       (357,980.70 )     (330,000.00 )     352,836.00  
PFIZER INC NT 7.2 DUE 03-15-2039
    350,000       (478,317.00 )     (350,000.00 )     471,236.50  
PHILIP MORRIS INTL 5.65% DUE 05-16-2018
    160,000       (175,606.40 )     (745,000.00 )     869,586.35  
PHILLIP MORRIS INTL INC NT 6.875 DUE 03-17-2014 BEO
    890,000       (1,026,313.50 )     (265,000.00 )     306,726.90  
PLAINS ALL AMERN 3.95% DUE 09-15-2015
    560,000       (588,961.60 )     (280,000.00 )     293,563.20  
PLAINS ALL AMERN 6.7% DUE 05-15-2036
                    (180,000.00 )     196,068.60  
PLAINS ALL AMERN 8.75% DUE 05-01-2019
                    (130,000.00 )     162,121.70  

89


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
PNC FDG CORP 5.125% DUE 02-08-2020
    310,000       (312,290.90 )     (310,000.00 )     316,286.80  
PNC FDG CORP SR NT 6.7 DUE 06-10-2019
                    (490,000.00 )     552,601.20  
POTASH CORP SASK 7.75% DUE 05-31-2011
    1,000,000       (1,052,440.00 )     (1,000,000.00 )     1,040,920.00  
PRAXAIR INC 2.125% DUE 06-14-2013
    1,250,000       (1,248,500.00 )     (1,250,000.00 )     1,269,756.00  
PRIN FINL GROUP 8.875% DUE 05-15-2019
    280,000       (340,323.24 )     (405,000.00 )     509,478.30  
PROGRESS ENERGY 6.85% DUE 04-15-2012
    800,000       (874,707.00 )     (200,000.00 )     214,578.00  
PROLOGIS 6.625% DUE 05-15-2018
    350,000       (355,365.50 )     (350,000.00 )     351,445.50  
PRUDENTIAL FINANCIAL INC TRANCHE # TR 00033 4.75% DUE 09-17-2015
                    (1,093,000.00 )     1,128,655.08  
PRUDENTIAL FINL INC MED TRM NTS BOOK TRANCHE # TR 00028 6.625 12-01-2037
                    (65,000.00 )     73,496.15  
PRUDENTIAL FINL INC MEDIUM TERM NTS BOOKENTRY MTN 7.375% DUE 06-15-2019
                    (310,000.00 )     369,014.70  
PVPL CMO CROWN CASTLE TOWERS LLC/CROWN 06-1 SR SCD RV NT CL D144A 5.817 D111536
    100,000       (104,750.00 )     (100,000.00 )     100,000.00  
PVTPL ANGLO AMERICAN CAPITAL SR NT 144A 9.375% DUE 04-08-2019 BEO
    200,000       (255,277.00 )     (200,000.00 )     258,168.00  
PVTPL ANHEUSER BUSCH INBEV WORLDWIDE INCGTD NT 144A 5.375% DUE 11-15-2014 BEO
    1,820,000       (2,007,642.00 )     (55,000.00 )     61,707.25  
PVTPL ANHEUSER BUSCH INBEV WORLDWIDE INCGTD NT 144A 6.875% DUE 11-15-2019 BEO
    400,000       (450,944.00 )     (600,000.00 )     736,254.00  
PVTPL ANHEUSER BUSCH INBEV WORLDWIDE INCGTD NT 144A 7.2% DUE 01-15-2014 BEO
                    (180,000.00 )     207,860.40  
PVTPL ARI FLEET LEASE TR 2010-A AST BACKED NT FLTG 144A VAR RT DUE 8-15-2018
    275,000       (275,000.00 )     (275,000.00 )     273,654.61  
PVTPL AT&T INC 144A 5.35 DUE 09-01-2040
                    (217,006.89 )     217,968.20  
PVTPL BAE SYS HLDGS INC GTD NT 144A 4.75% DUE 08-15-2010/07-25-2005 BEO
    1,000,000       (1,017,050.00 )     (1,000,000.00 )     1,000,000.00  
PVTPL BANK AMER AUTO TR 2009-1 NT CL A-1TALF 144A .668% DUE 07-15-2010 BEO
                    (260,542.78 )     260,542.78  
PVTPL CME GROUP INDEX SVCS LLC GTD SR NT144A 4.4% DUE 03-15-2018/03-18-2010 BEO
    725,000       (722,209.00 )     (725,000.00 )     770,870.75  
PVTPL CMO CCI 06-1 SR SECD REV NT CL C 144A 5.4696 DUE 11-15-2036 BEO
    120,000       (125,550.00 )     (120,000.00 )     125,648.08  
PVTPL CMO EXTENDED STAY AMERICA TRUST 2010-ESHA CL A 2.9505 DUE 11-05-2015
    1,030,000       (1,029,996.91 )     (1,650.31 )     1,650.31  
PVTPL CMO VORNADO DP LLC TR 2010 MTG PASS THRU A-2 FX 144A 4.0035 9-13-2028
    1,490,000       (1,507,727.69 )     (1,490,000.00 )     1,534,700.00  
PVTPL COX COMMUNICATIONS INC NEW NT 144A8.375% DUE 03-01-2039 BEO
                    (330,000.00 )     430,261.50  
PVTPL DIRECTV HLDGS LLC / DIRECTV FING INC SR NT 144A 5.875% DUE 10-01-2019 BEO
                               
PVTPL GE DEALER MASTER NT TR 2009-2 AST BKD NT CL A 144A FLTG DUE 10-20-2014
    325,000       (325,000.00 )     (325,000.00 )     325,863.28  
PVTPL HARLEY-DAVIDSON FDG CORP MEDIUM TRM NT SER C 144A 6.8 6-15-2018
                    (215,000.00 )     234,313.45  

90


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
PVTPL HUTCHISON WHAMPOA INTL 03/13 LTD GTD NT 144A 6.5% DUE 02-13-2013 BEO
    1,935,000       (2,134,363.05 )     (1,100,000.00 )     1,205,886.00  
PVTPL HUTCHISON WHAMPOA INTL 9/19 LTD GTD NT 144A 5.75 DUE 09-11-2019 BEO
    350,000       (361,172.00 )     (770,000.00 )     854,938.70  
PVTPL MET LIFE GLOBAL FDG I MTN TRANCHE # TR 00001 2.5 DUE 01-11-2013 BEO
    2,000,000       (2,040,060.00 )     (800,000.00 )     816,248.00  
PVTPL METLIFE GLOBAL FUNDING I SR NT 144A 4.625 DUE 08-19-2010 BEO
    100,000       (102,294.00 )     (200,000.00 )     200,000.00  
PVTPL MOSAIC CO SR NT 144A STEP UP DUE 12-01-2016/12-01-2007 BEO
    220,000       (241,800.00 )     (220,000.00 )     240,878.00  
PVTPL MOTIVA ENTERPRISES LLC SR NT 144A 5.75% DUE 01-15-2020/01-11-2010 BEO
    1,435,000       (1,563,177.85 )     (400,000.00 )     440,690.40  
PVTPL MOTIVA ENTERPRISES LLC SR NT 144A 6.85% DUE 01-15-2040/01-11-2010 BEO
    120,000       (142,086.00 )     (120,000.00 )     142,291.20  
PVTPL NATIONWIDE MUT INS CO SURPLUS NT 144A 9.375% DUE 08-15-2039 REG
    410,000       (469,096.25 )     (410,000.00 )     488,736.40  
PVTPL NISSAN MASTER OWNER TR RECV 2010-ANT FLTG 144A DUE 01-15-2015
    350,000       (350,000.00 )     (350,000.00 )     350,875.00  
PVTPL NISSAN MTR ACCEP CORP NT 144A 4.5%DUE 01-30-2015/01-27-2010 BEO
    120,000       (119,499.60 )     (120,000.00 )     121,294.80  
PVTPL NY LIFE GLOBAL FDG MEDIUM TERM NTSMTN 144A 4.625 DUE 08-16-2010 BEO
    500,000       (510,840.00 )     (500,000.00 )     500,000.00  
PVTPL ORACLE CORP NT 144A 5.375 DUE 07-15-2040
    220,000       (217,450.20 )     (220,000.00 )     231,013.20  
PVTPL PACIFIC LIFECORP SR NT 144A 6% DUE02-10-2020 BEO
    200,000       (199,628.00 )     (200,000.00 )     201,032.00  
PVTPL ROCHE HLDGS INC GTD NT 144A 6% DUE03-01-2019/02-25-2009 BEO
    840,000       (967,080.80 )     (340,000.00 )     400,683.85  
PVTPL WEA FIN LLC / WT FIN AUST PTY LTD GTD SR NT 144A 6.75% DUE 09-02-2019 BEO
                    (280,000.00 )     327,303.20  
PVTPL XLLIAC GLOBAL FDG SR SECD MEDIUM TERM NT 144A 4.8 DUE 08-10-2010 REG
                    (250,000.00 )     250,000.00  
QUEBEC PROV CDA GLOBAL DEB SER PJ 6.125%DUE 01-22-2011 BEO
    1,000,000       (1,031,640.00 )     (1,000,000.00 )     1,015,090.00  
QUEST DIAGNOSTICS 4.75% DUE 01-30-2020
    375,000       (398,085.00 )     (515,000.00 )     534,127.10  
REED ELSEVIER CAP 8.625% DUE 01-15-2019
    300,000       (397,188.00 )     (600,000.00 )     762,576.00  
REPUBLIC SVCS INC 5.5% DUE 09-15-2019
                               
REVERSE REPO W/ BARCLAYS 912828ND8
    16,103,548       (16,103,547.69 )     (16,103,547.69 )     16,103,547.69  
REVERSE REPO W/BARCLAYS
    4,439,828       (4,439,828.44 )     (4,439,828.44 )     4,439,828.44  
RIO TINTO FIN USA 5.875% DUE 07-15-2013
    1,700,000       (1,891,505.00 )     (1,700,000.00 )     1,924,349.00  
RIO TINTO FIN USA 7.125% DUE 07-15-2028
    445,000       (526,407.40 )     (445,000.00 )     551,055.00  
RIO TINTO FIN USA 9% DUE 05-01-2019
    145,000       (182,308.70 )                
ROYAL BK SCOTLAND 3.95% DUE 09-21-2015
    200,000       (199,586.00 )     (200,000.00 )     201,526.00  
SANTANDER DR AUTO 1.24000000954% DUE 02-17-2014
    380,000       (379,935.17 )     (380,000.00 )     380,000.00  

91


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
SANTANDER DR AUTO 1.84000003338% DUE 11-17-2014
    980,000       (979,960.70 )     (980,000.00 )     991,025.00  
SBC COMMUNICATIONS 6.15% DUE 09-15-2034
                    (135,000.00 )     145,604.25  
SECURITIES LENDING COLLATERAL FUND PARTIAL REVERSAL ADJUSTMENT
                    (70,406.55 )     70,406.55  
SIMON PPTY GROUP L 5.3% DUE 05-30-2013
    1,200,000       (1,271,160.00 )     (1,200,000.00 )     1,329,540.00  
SIMON PPTY GROUP L 5.65% DUE 02-01-2020
    1,090,000       (1,145,250.15 )     (310,000.00 )     345,336.90  
SIMON PPTY GROUP L 6.75% DUE 02-01-2040
    505,000       (502,161.90 )     (505,000.00 )     591,203.50  
SIMON PPTY GROUP L 6.75% DUE 05-15-2014
                    (200,000.00 )     232,952.00  
SL- CORE USA SUB FD
                    (2,230.17 )     36,661.47  
SOUTHERN CO 2.375% DUE 09-15-2015
    1,860,000       (1,859,646.60 )     (800,000.00 )     790,464.00  
SOUTHN COPPER CORP 6.75% DUE 04-16-2040
    445,000       (441,662.50 )     (445,000.00 )     459,708.90  
STAPLES INC 9.75% DUE 01-15-2014
    320,000       (396,080.00 )     (350,000.00 )     428,683.50  
SUMITOMO MITSUI BK 3.15% DUE 07-22-2015
    315,000       (314,581.05 )     (315,000.00 )     328,428.45  
SUNCOR ENERGY INC 6.1% DUE 06-01-2018
    730,000       (834,032.30 )     (335,000.00 )     364,898.75  
TECK RESOURCES LTD 10.75% DUE 05-15-2019
    780,000       (942,225.00 )     (780,000.00 )     976,411.80  
TELECOM ITALIA CAP 6.999% DUE 06-04-2018
    665,000       (742,804.25 )                
TELEFONICA 5.134% DUE 04-27-2020
    450,000       (450,000.00 )     (450,000.00 )     444,531.60  
TELEFONICA 6.421% DUE 06-20-2016
    250,000       (278,397.50 )     (250,000.00 )     270,820.00  
TEVA 3% DUE 06-15-2015
    280,000       (279,652.80 )     (280,000.00 )     290,346.00  
TI CAPITAL 7.175% DUE 06-18-2019
                    (195,000.00 )     203,427.90  
TIME WARNER CABLE 6.75% DUE 06-15-2039
                    (65,000.00 )     69,501.25  
TIME WARNER CABLE 6.75% DUE 07-01-2018
    810,000       (926,728.50 )     (825,000.00 )     951,862.50  
TIME WARNER CABLE 8.75% DUE 02-14-2019
                               
TIME WARNER INC 5.875% DUE 11-15-2016
                    (145,000.00 )     166,777.55  
TOTAL CAP 2.3% DUE 03-15-2016
    710,000       (708,253.40 )     (200,000.00 )     198,336.00  
UBS AG STAMFORD 4.875% DUE 08-04-2020
    440,000       (439,036.40 )     (440,000.00 )     446,296.40  
UBS AG STAMFORD BRH MEDIUM TERM SR DEP NTRANCHE # SR 00108 5.875 DUE 12-20-2017
                    (110,000.00 )     112,064.70  
UBS AG STAMFORD BRH MEDIUM TERM SR DEP NTS BOOK ENTRY MTN 3.875% DUE 01-15-2015
    250,000       (248,932.50 )     (250,000.00 )     249,760.00  

92


 

5500 Supplemental Schedules   Account number 7870
    Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
31-Dec-10
                                 
    Acquired   Cost of Acquisition   Disposed   Proceeds of Dispositions
Security Description / Asset ID   Share/Par Value   Net Amount   Share/Par Value   Net Amount
 
UNILEVER CAP CORP 7.125% DUE 11-01-2010
    115,000       (118,730.60 )     (115,000.00 )     115,000.00  
UNION PAC CORP 6.125% DUE 02-15-2020
                    (175,000.00 )     203,833.00  
UNITEDHEALTH GROUP 5.8% DUE 03-15-2036
                    (170,000.00 )     178,304.50  
US BANK NA FLTG RT DUE 04-29-2020
    3,800,000       (3,933,418.00 )     (1,600,000.00 )     1,628,144.00  
VA ELEC & PWR CO 4.5% DUE 12-15-2010
    1,000,000       (1,022,957.00 )     (1,000,000.00 )     1,007,970.00  
VA ELEC & PWR CO SR NT 2008 SER B 8.875 DUE 11-15-2038
    870,000       (1,229,440.50 )     (1,620,000.00 )     2,427,846.70  
VALERO ENERGY CORP 6.125% DUE 02-01-2020
    385,000       (383,697.04 )     (185,000.00 )     207,151.90  
VERIZON 5.5% DUE 02-15-2018
    1,200,000       (1,320,540.00 )     (245,000.00 )     259,408.45  
VERIZON 8.95% DUE 03-01-2039
                    (210,000.00 )     279,921.60  
VERIZON GLOBAL FDG CORP NT 7.25 DUE 12-01-2010 BEO
    1,200,000       (1,245,636.00 )     (1,200,000.00 )     1,232,664.00  
VERIZON NT 5.35 DUE 02-15-2011
    445,000       (458,398.95 )     (445,000.00 )     452,827.55  
VERIZON NT 6.35 DUE 04-01-2019
    400,000       (440,796.00 )     (1,040,000.00 )     1,184,838.90  
VERIZON WIRELESS 8.5% DUE 11-15-2018
    225,000       (295,776.00 )     (300,000.00 )     394,749.00  
WACHOVIA BK NATL ASSN MEDIUM TERM SUB BKTRANCHE # SB 00001 5 DUE 08-15-2015
    120,000       (131,221.20 )     (310,000.00 )     335,311.50  
WAL-MART STORES 5.625% DUE 04-01-2040
    660,000       (654,423.00 )     (660,000.00 )     684,437.20  
WAL-MART STORES INC WAL-MART STORES 4.75% DUE 08-15-2010 BEO
    500,000       (511,915.00 )     (500,000.00 )     500,000.00  
WASTE MGMT INC DEL 6.125% DUE 11-30-2039
                    (230,000.00 )     255,424.20  
WEATHERFORD INTL 9.625% DUE 03-01-2019
                    (65,000.00 )     86,504.60  
WELLS FARGO & CO 5.625% DUE 12-11-2017
                               
XEROX CORP 5.625% DUE 12-15-2019
                    (60,000.00 )     65,589.60  
XEROX CORP 6.35% DUE 05-15-2018
                    (85,000.00 )     97,591.05  
 
Grand Total
    215,604,616       (224,979,545.51 )     (198,173,401.01 )     209,111,330.52  

93


 

MONSANTO SAVINGS AND INVESTMENT PLAN
EIN 43-1878297
SUPPLEMENTAL SCHEDULE 3
Form 5500, Schedule H, Part IV, Line 4j –
Schedule of Reportable Transactions for the Year Ended Dec. 31, 2010

94


 

5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u   5% Report — Part A
 
    Single Transaction in Excess of 5%
                                                                         
                    Acquisition   Disposition   Lease   Expenses           Current Value on    
Security Description / Asset ID   Shares/Par Value   Date   Price   Price   Rental   Incurred   Cost   Transaction Date   Net Gain/Loss
 
U.S. Government Securities
                                                                       
 
                                                                       
United States - USD
                                                                       
UTD STATES TREAS .75% DUE 05-31-2012 CUSIP: 912828NE6
    33,000,000.00     17 Dec 10     100.43                       0.00       33,143,196.49       33,143,196.49       0.00  
Value of Interest in Common/Collective Trusts
                                                                       
 
                                                                       
United States - USD
                                                                       
 
                                                                       
NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND CUSIP: 195997MV0
    64,037,587.76     13 Dec 10     1.00                       0.00       64,037,587.76       64,037,587.76       0.00  
NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND CUSIP: 195997MV0
    27,795,281.84     13 Dec 10     1.00                       0.00       27,795,281.84       27,795,281.84       0.00  
NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND CUSIP: 195997MV0
    151,944,356.77     17 Dec 10     1.00                       0.00       151,944,356.77       151,944,356.77       0.00  
NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND CUSIP: 195997MV0
    -64,072,007.05     1 Apr 10             1.00               0.00       64,072,007.05       64,072,007.05       0.00  
NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND CUSIP: 195997MV0
    -63,658,543.00     17 Dec 10             1.00               0.00       63,658,543.00       63,658,543.00       0.00  
NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND CUSIP: 195997MV0
    -84,040,751.20     17 Dec 10             1.00               0.00       84,040,751.20       84,040,751.20       0.00  
NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND CUSIP: 195997MV0
    -116,289,106.81     20 Dec 10             1.00               0.00       116,289,106.81       116,289,106.81       0.00  
NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

95


 

5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u   5% Report — Part B
 
    Series of Non-Security Transactions with Same Party in Excess of 5%
                                                                         
                    Acquisition   Disposition   Lease   Expenses           Current Value on    
Security Description / Asset ID   Shares/Par Value   Date   Price   Price   Rental   Incurred   Cost   Transaction Date   Net Gain/Loss
 
 
                                                                       
THERE ARE NO REPORTABLE TRANSACTIONS
NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

96


 

5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u   5% Report — Part C Summary
 
    Series of Transactions by Issue in Excess of 5%
                                                                 
            Number of     — Transaction Aggregate —     Lease     Expenses             Current Value of Asset  
Security Description / Asset ID           Transactions     Acquisition Price     Disposition Price     Rental     Incurred     Cost of Asset     on Transaction  
 
FHLMC GOLD SINGLE FAMILY 4.5% 30 YEARS SETTLES JUNE CUSIP: 02R042660
  Total acquisitions     8       16,807,750.01                       0.00       16,807,750.01       16,807,750.01  
 
  Total dispositions     10               16,821,578.13               0.00       16,807,750.01       16,821,578.13  
FNMA SINGLE FAMILY MORTGAGE 5% 30 YEARS SETTLES JUNE CUSIP: 01F050668
  Total acquisitions     7       16,130,387.51                       0.00       16,130,387.51       16,130,387.51  
 
  Total dispositions     7               16,247,249.42               0.00       16,130,387.51       16,247,249.42  
FNMA SINGLE FAMILY MORTGAGE 5% 30 YEARS SETTLES MAY CUSIP: 01F050650
  Total acquisitions     9       22,583,415.63                       0.00       22,583,415.63       22,583,415.63  
 
  Total dispositions     9               22,639,594.35               0.00       22,583,415.63       22,639,594.35  
NTGI COLLECTIVE GOVERNMENT SHORT TERM IN VESTMENT FUND CUSIP: 195997MV0
  Total acquisitions     464       732,462,926.43                       0.00       732,462,926.43       732,462,926.43  
 
  Total dispositions     335               711,439,036.25               0.00       711,439,036.25       711,439,036.25  
REVERSE REPO W/ BARCLAYS 912828ND8 CUSIP: 999400AB0
  Total acquisitions     7       16,103,547.69                       0.00       16,103,547.69       16,103,547.69  
 
  Total dispositions     7               16,103,547.69               0.00       16,103,547.69       16,103,547.69  
UNITED STATES TREAS BDS BD DTD 11/16/1998 5.25% DUE 11-15-2028 REG CUSIP: 912810FF0
  Total acquisitions     8       14,538,352.03                       0.00       14,538,352.03       14,538,352.03  
 
  Total dispositions     10               14,686,368.40               0.00       14,538,352.03       14,686,368.40  
UNITED STATES TREAS BDS DTD 00218 3.875% DUE 08-15-2040 REG CUSIP: 912810QK7
  Total acquisitions     5       15,013,281.10                       0.00       15,013,281.10       15,013,281.10  
 
  Total dispositions     9               13,056,415.65               0.00       13,080,940.96       13,056,415.65  
UNITED STATES TREAS NTS DTD 00092 4.125% DUE 05-15-2015 REG CUSIP: 912828DV9
  Total acquisitions     10       54,924,145.31                       0.00       54,924,145.31       54,924,145.31  
 
  Total dispositions     33               55,374,719.23               0.00       54,924,145.31       55,374,719.23  
UNITED STATES TREAS NTS DTD 00250 2.375% DUE 08-31-2014 REG CUSIP: 91282BLK4
  Total acquisitions     12       27,998,343.73                       0.00       27,998,343.73       27,998,343.73  
 
  Total dispositions     22               27,480,786.00               0.00       27,418,893.67       27,480,786.00  
NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

97


 

5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u   5% Report — Part C Summary
 
    Series of Transactions by Issue in Excess of 5%
                                                                 
            Number of     — Transaction Aggregate —     Lease     Expenses             Current Value of Asset  
Security Description / Asset ID           Transactions     Acquisition Price     Disposition Price     Rental     Incurred     Cost of Asset     on Transaction  
 
UNITED STATES TREAS NTS DTD 00306 2.625% DUE 08-15-2020 REG CUSIP: 912828NT3
  Total acquisitions     24       23,812,050.15                       0.00       23,812,050.15       23,812,050.15  
 
  Total dispositions     24               23,379,642.93               0.00       23,610,562.24       23,379,642.93  
UNITED STATES TREAS NTS DTD 00321 1.375% DUE 11-30-2015 REG CUSIP: 912828PJ3
  Total acquisitions     7       17,772,058.85                       0.00       17,772,058.85       17,772,058.85  
 
  Total dispositions     19               17,313,473.18               0.00       17,312,112.21       17,313,473.18  
UNITED STATES TREAS NTS DTD 11/15/2009 3.375% DUE 11-15-2019 REG CUSIP: 912828LY4
  Total acquisitions     30       48,827,998.08                       0.00       48,327,998.08       48,827,998.08  
 
  Total dispositions     27               49,392,104.71               0.00       49,395,373.30       49,392,104.71  
UNITED STATES TREAS NTS NTS 2.75% DUE 02-15-2019 REG CUSIP: 912828KD1
  Total acquisitions     29       48,621,390.37                       0.00       48,621,390.37       48,621,390.37  
 
  Total dispositions     16               37,493,301.28               0.00       37,965,198.19       37,493,301.28  
UNITED STATES TREAS NTS 2.625 DUE 11-15-2020 REG CUSIP: 912828PC8
  Total acquisitions     15       23,199,811.02                       0.00       23,199,811.02       23,199,811.02  
 
  Total dispositions     19               22,989,208.92               0.00       23,022,257.76       22,989,208.92  
UNITED STATES TREAS NTS 2% DISC NT 30/11/2013 USD1000 2% DUE 11-30-2013 RE CUSIP: 912828JT8
  Total acquisitions     7       21,212,762.69                       0.00       21,212,762.69       21,212,762.69  
 
  Total dispositions     13               25,051,271.54               0.00       25,038,815.60       25,051,271.54  
UNITED STATES TREAS NTS 3.50 DUE 05-15-2020 REG CUSIP: 912828ND8
  Total acquisitions     32       65,418,557.72                       0.00       65,418,557.72       65,418,557.72  
 
  Total dispositions     35               63,456,797.15               0.00       62,855,461.78       63,456,797.15  
US TREAS NTS 1.375 DUE 09-15-2012 REG CUSIP: 912828LM0
  Total acquisitions     32       71,375,074.39                       0.00       71,375,074.39       71,375,074.39  
 
  Total dispositions     26               55,748,064.92               0.00       55,494,612.69       55,748,064.92  
UTD STATES TREAS .75% DUE 05-31-2012 CUSIP: 912828NE6
  Total acquisitions     6       39,229,936.56                       0.00       39,229,936.56       39,229,936.56  
 
  Total dispositions     2               5,071,291.67               0.00       5,071,945.17       5,071,291.67  
NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

98


 

5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u   5% Report — Part D
 
    Series of Transactions with Same Party in Excess of 5%
                                                                         
                    Acquisition   Disposition   Lease   Expenses           Current Value on    
Security Description / Asset ID   Shares/Par Value   Date   Price   Price   Rental   Incurred   Cost   Transaction Date   Net Gain/Loss
 
GOLDMAN SACHS & COMPANY
                                                                       
U.S. Government Securities
                                                                       
 
                                                                       
United States — USD
                                                                       
 
                                                                       
##FED HOME LN MTG CORP 1.3 DUE 07-16-2013 REG DO NOT USE SEE 3-474340 CUSIP: 31398AV90
    4,000,000.00     28 Jun 10     99.90                       0.00       3,996,000.00       3,996,000.00       0.00  
BK AMER CORP MED TRM NTS SER L BK FDIC GTD TRNCHE #TR 00007 2.1 DUE 04-30-12 CUSIP: 06050BAG6
    170,000.00     08 Apr 10     101.72                       0.00       172,929.10       172,929.10       0.00  
CITIGROUP FDG INC NT 1.875 DUE 10-22-2012 CUSIP: 17313YAL5
    40,000.00     08 Apr 10     100.76                       0.00       40,304.00       40,304.00       0.00  
FEDERAL HOME LN MTG CORP POOL #A87127 4% 07-01-2039 BEO CUSIP: 3129334L6
    -394,945.64     09 Nov 10             102.98               0.00       406,670.59       406,732.30       61.71  
FEDERAL HOME LN MTG CORP POOL #A9-4640 4% 10-01-2040 BEO CUSIP: 312943EM1
    1,397,921.25     29 Oct 10     103.39                       0.00       1,445,319.52       1,445,319.52       0.00  
FEDERAL HOME LN MTG CORP POOL #D98098 6% 11-01-2028 BEO CUSIP: 3128E47K2
    -61,329.78     27 Oct 10             108.50               0.00       65,700.89       66,542.81       841.92  
FEDERAL HOME LN MTG CORP POOL #G0-6025 4.5% 09-01-2040 BEO CUSIP: 3128M8A20
    2,319,545.34     08 Oct 10     105.15                       0.00       2,438,965.68       2,438,965.68       0.00  
FEDERAL HOME LN MTG CORP POOL #G05894 4.5% 04-01-2040 BEO CUSIP: 3126M73B0
    -1,000,000.78     08 Oct 10             104.45               0.00       1,044,688.32       1,044,532.07       -156.25  
FEDERAL HOME LN MTG CORP POOL #G05894 4.5% 04-01-2040 BEO CUSIP: 3128M73B0
    -1,000,000.78     08 Oct 10             104.45               0.00       1,044,688.32       1,044,532.07       -156.25  
FEDERAL HOME LN MTG CORP POOL #G05923 5,5% 02-01-2040 BEO CUSIP: 3128M74G8
    -2,000,000,06     12 Jul 10             107.02               0.00       2,131,015.70       2,140,312.57       9,296.87  
FHLB PREASSIGN 00198 5.375 05-18-2016 CUSIP: 3133XFJF4
    -760,000.00     19 Mar 10             112.20               0.00       850,159.56       852,697.20       2,537.64  
FHLMC DTD 10/25/2000 6.75 03-15-2031 CUSIP: 3134A4AA2
    70,000.00     08 Apr 10     120.89                       0.00       84,625.80       84,625.80       0.00  
FHLMC GOLD SINGLE FAMILY 4.5% 30 YEARS SETTLES SEPTEMBER CUSIP: 02R042694
    2,000,000.00     01 Sep 10     104.72                       0.00       2,094,453.13       2,094,453.13       0.00  
NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

99


 

5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u   5% Report — Part D
 
    Series of Transactions with Same Party in Excess of 5%
                                                                         
                    Acquisition   Disposition   Lease   Expenses           Current Value on    
Security Description / Asset ID   Shares/Par Value   Date   Price   Price   Rental   Incurred   Cost   Transaction Date   Net Gain/Loss
 
GOLDMAN SACHS & COMPANY
                                                                       
FHLMC GOLD SINGLE FAMILY 4.5% 30 YEARS SETTLES SEPTEMBER CUSIP: 02R042694
    -2,000,000.00     05 Aug 10             104.21               0.00       2,078,984.38       2,084,218.75       5,234.37  
FHLMC GOLD SINGLE FAMILY 4% 30 YEARS SETTLES NOVEMBER CUSIP: 02R0406B3
    1,400,000.00     09 Nov 10     102.98                       0.00       1,441,781.25       1,441,781.25       0.00  
FHLMC GOLD SINGLE FAMILY 4% 30 YEARS SETTLES NOVEMBER CUSIP: 02R0406B3
    -1,400,000.00     29 Oct 10             102.98               0.00       1,441,562.50       1,441,781.25       218.75  
FHLMC GOLD TBA POOL #9999999 6.5 04-13-2030 CUSIP: 02R062643
    3,050,000.00     25 Feb 10     107.47                       0.00       3,277,796.88       3,277,796.88       0.00  
FHLMC GOLD TBA POOL #9999999 6.5 04-13-2030 CUSIP: 02R062643
    -625,000.00     02 Mar 10             108.33               0.00       671,699.48       677,050.78       5,351.30  
FHLMC GOLD TBA POOL #9999999 6.5 04-13-2030 CUSIP: 02R062643
    -2,425,000.00     03 Mar 10             108.16               0.00       2,606,193.96       2,622,789.06       16,595.10  
FHLMC GOLD TBA POOL 6.5 30YR MAR CUSIP: 02R062635
    3,050,000.00     12 Feb 10     108.16                       0.00       3,298,765.63       3,298,765.63       0.00  
FHLMC GOLD TBA POOL 6.5 30YR MAR CUSIP: 02R062635
    -3,050,000.00     25 Feb 10             107.77               0.00       3,299,731.21       3,287,089.84       -12,641.37  
FHLMC PREASSIGN 00046 2.5 01-07-2014 CUSIP: 3137EABX6
    1,000,000.00     26 Jul 10     103.74                       0.00       1,037,404.00       1,037,404.00       0.00  
FHLMC PREASSIGN 00046 2.5 01-07-2014 CUSIP: 3137EABX6
    2,000,000.00     03 Aug 10     104.53                       0.00       2,090,626.00       2,090,626.00       0.00  
FHLMC PREASSIGN 00049 3.75 03-27-2019 CUSIP: 3137EACA5
    515,000.00     02 Dec 10     105.57                       0.00       543,664.90       543,664.90       0.00  
FHLMC PREASSIGN 00050 2.5 04-23-2014 CUSIP: 3137EACB3
    3,000,000.00     16 Sep 10     104.51                       0.00       3,135,414.00       3,135,414.00       0.00  
FNMA POOL #AC8655 4.5% 02-01-2040 BEO CUSIP: 31417VTM5
    399,999.97     14 Jun 10     102.28                       0.00       409,124.97       409,124.97       0.00  
FNMA POOL #AC8655 4.5% 02-01-2040 BEO CUSIP: 31417VTM5
    -399,999.97     14 Jun 10             102.31               0.00       409,124.97       409,249.97       125.00  
FNMA POOL #AD0720 5.5% 12-01-2034 BEO CUSIP: 31418MYS5
    2,027,080.84     11 Jun 10     107.78                       0.00       2,184,813.06       2,184,813.06       0.00  
NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

100


 

5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u   5% Report — Part D
 
    Series of Transactions with Same Party in Excess of 5%
                                                                         
                    Acquisition   Disposition   Lease   Expenses           Current Value on    
Security Description / Asset ID   Shares/Par Value   Date   Price   Price   Rental   Incurred   Cost   Transaction Date   Net Gain/Loss
 
GOLDMAN SACHS & COMPANY
                                                                       
FNMA POOL #AD7903 4.5% 07-01-2040 BEO CUSIP: 31418VX98
    1,000,000.00     14 Jun 10     102.28                       0.00       1,022,812.50       1,022,812.50       0.00  
FNMA POOL #AD7903 4.5% 07-01-2040 BEO CUSIP: 31418VX98
    1,000,000.00     14 Jun 10     102.28                       0.00       1,022,812.50       1,022,812.50       0.00  
FNMA POOL #AE0178 6% 08-01-2024 BEO CUSIP: 31419AFU6
    1,260,000.00     23 Jun 10     109.31                       0.00       1,377,337.50       1,377,337.50       0.00  
FNMA POOL #MA0156 5% 08-01-2029 BEO CUSIP: 31417YE60
    226,547.84     11 Jun 10     105.67                       0.00       239,397.35       239,397.35       0.00  
FNMA POOL #MA0243 5% 11-01-2029 BEO CUSIP: 31417YHV2
    393,947.90     30 Apr 10     104.66                       0.00       412,291.10       412,291.10       0.00  
FNMA POOL #MA0384 5% 04-01-2030 BEO CUSIP: 31417YNA1
    923,075.69     23 Apr 10     104.09                       0.00       960,864.11       960,864.11       0.00  
FNMA POOL #745044 4.5% 08-01-2035 BEO CUSIP: 31403CWD9
    -693,173.70     25 May 10             103.00               0.00       652,612.20       713,968.91       61,356.71  
FNMA POOL #831455 6.5% 05-01-2036 BEO CUSIP: 31407HWQ5
    -90,535.89     09 Apr 10             108.39               0.00       92,357.97       98,132.41       5,774.44  
FNMA POOL #852684 6% 03-01-2036 BEO CUSIP: 31408JJ51
    -261,183.46     22 Jun 10             108.88               0.00       263,301.88       284,363.49       21,061.61  
FNMA POOL #887070 6.5% 07-01-2036 BEO CUSIP: 31410EQX9
    -88,099.09     09 Apr 10             108.39               0.00       89,872.13       95,491.16       5,619.03  
FNMA POOL #888339 4.5% 04-01-2037 BEO CUSIP: 31410F4Y8
    -1,667,857.31     25 May 10             102.91               0.00       1,631,216.52       1,716,329.41       85,112.89  
FNMA POOL #888702 6.5% 08-01-2037 BEO CUSIP: 31410GKP7
    -961,018.45     11 Mar 10             107.02               0.00       1,034,145.95       1,028,439.90       -5,706.05  
FNMA POOL #938944 6.5% DUE 08-01-2037 REG CUSIP: 31412YS94
    -171,072.35     02 Aug 10             110.19               0.00       184,865.05       188,500.35       3,635.30  
FNMA POOL #940665 6.5% DUE 09-01-2037 REG CUSIP: 31413BQS3
    943,244.69     12 Jan 10     107.67                       0.00       1,015,609.24       1,015,609.24       0.00  
FNMA POOL #942561 6.5% DUE 08-01-2037 REG CUSIP: 31413DTS6
    -19,291.02     09 Mar 10             107.02               0.00       20,758.94       20,644.40       -114.54  
     NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

101


 

5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u   5% Report — Part D
 
    Series of Transactions with Same Party in Excess of 5%
                                                                         
                    Acquisition   Disposition   Lease   Expenses           Current Value on    
Security Description / Asset ID   Shares/Par Value   Date   Price   Price   Rental   Incurred   Cost   Transaction Date   Net Gain/Loss
 
GOLDMAN SACHS & COMPANY
                                                                       
FNMA POOL #952423 6.5% 09-01-2037 BEO CUSIP: 31413QSL3
    -19,591.13     09 Mar 10             107.02               0.00       21,081.89       20,965.57       -116.32  
FNMA POOL #965213 6.5% 09-01-2038 BEO CUSIP: 31414FYJ4
    28,516.74     12 Jan 10     107.67                       0.00       30,704.51       30,704.51       0.00  
FNMA POOL #967692 6.5% 01-01-2038 BEO CUSIP: 31414JRM7
    28,237.97     12 Jan 10     107.67                       0.00       30,404.35       30,404.35       0.00  
FNMA POOL #988060 6.5% 08-01-2038 BEO CUSIP: 31415STR3
    -547,026.04     29 Mar 10             107.19               0.00       560,103.39       586,343.54       26,240.15  
FNMA POOL #988065 6.5% 08-01-2038 BEO CUSIP: 31415STW2
    -243,386.85     29 Mar 10             107.19               0.00       249,205.31       260,880.28       11,674.97  
FNMA POOL #995914 6.5% 01-01-2039 BEO CUSIP: 31416CK39
    -2,969,894.92     12 Feb 10             107.03               0.00       3,214,911.26       3,178,715.66       -36,195.60  
FNMA PREASSIGN 00338 4.125 04-15-2014 CUSIP: 31359MUT8
    2,080,000.00     21 Jul 10     109.79                       0.00       2,283,632.00       2,283,632.00       0.00  
FNMA SEMI ANNUAL 5.375 06-12-2017 CUSIP: 31398ADM1
    1,145,000.00     19 Mar 10     111.69                       0.00       1,278,816.15       1,278,816.15       0.00  
FNMA SEMI ANNUAL 5.375 06-12-2017 CUSIP: 31398ADM1
    -1,415,000.00     21 Jul 10             117.69               0.00       1,576,936.65       1,665,341.80       88,405.15  
FNMA SINGLE FAMILY MORTGAGE 4.5% 30 YEARS SETTLES JUNE CUSIP: 01F042665
    2,400,000.00     25 May 10     102.28                       0.00       2,454,750.00       2,454,750.00       0.00  
FNMA SINGLE FAMILY MORTGAGE 4.5% 30 YEARS SETTLES JUNE CUSIP: 01F042665
    -400,000.00     14 Jun 10             102.28               0.00       409,250.00       409,125.00       -125.00  
FNMA SINGLE FAMILY MORTGAGE 4.5% 30 YEARS SETTLES JUNE CUSIP: 01F042665
    -2,000,000.00     14 Jun 10             102.28               0.00       2,046,250.00       2,045,625.00       -625.00  
FNMA SINGLE FAMILY MORTGAGE 5% 30 YEARS SETTLES APRIL CUSIP: 01F050643
    400,000.00     26 Feb 10     103.16                       0.00       412,625.00       412,625.00       0.00  
FNMA SINGLE FAMILY MORTGAGE 5% 30 YEARS SETTLES APRIL CUSIP: 01F050643
    -400,000.00     03 Mar 10             103.52               0.00       411,450.74       414,062.50       2,611.76  
FNMA SINGLE FAMILY MTG 6.5 30 YEARS SETTLES MAR CUSIP: 01F062630
    1,000,000.00     09 Mar 10     107.02                       0.00       1,070,156.25       1,070,156.25       0.00  
NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

102


 

5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u   5% Report — Part D
 
    Series of Transactions with Same Party in Excess of 5%
                                                                         
                    Acquisition   Disposition   Lease   Expenses           Current Value on    
Security Description / Asset ID   Shares/Par Value   Date   Price   Price   Rental   Incurred   Cost   Transaction Date   Net Gain/Loss
 
GOLDMAN SACHS & COMPANY
                                                                       
FNMA SINGLE FAMILY MTG 6.5 30 YEARS SETTLES MAR CUSIP: 01F062630
    -1,000,000.00     19 Feb 10             107.02               0.00       1,076,054.69       1,070,156.25       -5,898.44  
FNMA 1.625 10-26-2015 CUSIP: 31398A4M1
    1,085,000.00     15 Oct 10     101.02                       0.00       1,096,110.40       1,096,110.40       0.00  
FNMA 1.625 10-26-2015 CUSIP: 31398A4M1
    2,200,000.00     21 Oct 10     101.11                       0.00       2,224,376.00       2,224,376.00       0.00  
FNMA 4.375 DUE 03-15-2013 REG CUSIP. 31359MRGO
    2,000,000.00     16 Sep 10     108.68                       0.00       2,173,674.00       2,173,674.00       0.00  
GMAC INC FDIC GTD SR NT 1.75 DUE 10-30-2012 CUSIP: 36185JAA7
    135,000.00     08 Apr 10     100.48                       0.00       135,652.05       135,652.05       0.00  
GMAC INC FDIC GTD SR NT 1.75 DUE 10-30-2012 CUSIP: 36185JAA7
    -730,000.00     13 Dec 10             101.84               0.00       743,487.19       743,417.40       -69.79  
GNMA II JUMBOS 5% 30 YEARS SETTLES DECEMBER CUSIP: 21H0506C1
    600,000.00     17 Dec 10     106.05                       0.00       636,328.13       636,328.13       0.00  
GNMA II JUMBOS 5% 30 YEARS SETTLES DECEMBER CUSIP: 21H0506C1
    -600,000.00     08 Dec 10             108.05               0.00       644,466.80       636,328.13       -8,138.67  
GNMA II JUMBOS 5% 30 YEARS SETTLES JANUARY CUSIP: 21H050616
    600,000.00     08 Dec 10     105.81                       0.00       634,875.00       634,875.00       0.00  
GNMA II JUMBOS 5% 30 YEARS SETTLES JANUARY CUSIP: 21H050615
    -600,000.00     17 Dec 10             105.75               0.00       634,875.00       634,500.00       -375.00  
GNMA POOL #004342 5% 01-20-2039 BEO CUSIP: 36202EZF9
    -454,167.65     17 Dec 10             106.05               0.00       487,875.41       481,666.09       -6,209.32  
GNMA POOL #004679 5% 04-20-2040 BEO CUSIP: 36202FFU5
    -108,301.74     17 Dec 10             106.05               0.00       116,339.76       114,859.08       -1,480.68  
TENNESSEE VALLEY AUTH GLOBAL PWR BO 2009 SER C 5.25% DUE 09-15-2039 REG CUSIP: 880591 EH1
    85,000.00     08 Apr 10     98.68                       0.00       83,879.70       83,879.70       0.00  
UNITED STATES NTS06/15/2010 1.125% 06/15/2013 CUSIP: 912B28NH9
    310,000.00     22 Jul 10     100.64                       0.00       311,998.05       311,998.05       0.00  
UNITED STATES TREAS BDS BD DTD 11/16/1998 5.25% DUE 11-15-2028 REG CUSIP: 912810FF0
    -415,000.00     19 Jan 10             109.67               0.00       457,296.00       455,138.28       -2,157.72  
NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

103


 

5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u   5% Report — Part D
 
    Series of Transactions with Same Party in Excess of 5%
                                                                         
                    Acquisition   Disposition   Lease   Expenses           Current Value on    
Security Description / Asset ID   Shares/Par Value   Date   Price   Price   Rental   Incurred   Cost   Transaction Date   Net Gain/Loss
 
GOLDMAN SACHS & COMPANY
                                                                       
UNITED STATES TREAS BOS DTD 00210 4.25% DUE 05-15-2039 REG CUSIP: 912810QB7
    460,000.00     04 May 10     96.62                       0.00       444,458.87       444,458.87       0.00  
UNITED STATES TREAS BDS DTD 00210 4.25% DUE 05-15-2039 REG CUSIP: 912810QB7
    -300,000.00     23 Mar 10             94.41               0.00       290,229.13       283,240.99       -6,988.14  
UNITED STATES TREAS BDS DTD 00210 4.25% DUE 05-15-2039 REG CUSIP: 912810QB7
    -105,000.00     13 Aug 10             105.89               0.00       102,920.53       111,184.74       8,264.21  
UNITED STATES TREAS BDS DTD 00218 3.875% DUE 08-15-2040 REG CUSIP: 912810QK7
    -3,200,000.00     20 Dec 10             90.63               0.00       2,916,012.80       2,900,000.00       -16,012.80  
UNITED STATES TREAS BDS DTD 08/15/1993 6.25% DUE 08-15-2023 REG CUSIP: 912810EQ7
    3,000,000.00     23 Sep 10     134.98                       0.00       4,049,414.06       4,049,414.06       0.00  
UNITED STATES TREAS BDS DTD 08/15/1993 6.25% DUE 08-15-2023 REG CUSIP: 912810EQ7
    -400,000.00     07 Jul 10             129.88               0.00       471,561.13       519,500.00       47,948.87  
UNITED STATES TREAS BDS DTD 08/15/1994 7.5 15 NOV 2024 CUSIP: 912810ES3
    -300,000.00     11 Aug 10             147.96               0.00       410,162.18       443,893.33       33,731.15  
UNITED STATES TREAS BDS DTD 08/15/1994 7.5 15 NOV 2024 CUSIP: 912810ES3
    -255,000.00     13 Aug 10             148.70               0.00       348,637.85       379,191.85       30,554.10  
UNITED STATES TREAS BDS 0 DEB 15/02/2040 USD1000 4.625 DUE 02-15-2040REG CUSIP: 912810QE1
    550,000.00     11 Feb 10     98.48                       0.00       541,659.86       541,659.86       0.00  
UNITED STATES TREAS BDS 0 DEB 15/02/2040 USD1000 4.625 DUE 02-15-2040REG CUSIP: S12810QE1
    600,000.00     20 Jul 10     111.67                       0.00       670,031.25       670,031.25       0.00  
UNITED STATES TREAS BDS 0 DEB 15/02/2040 USD1000 4.625 DUE 02-15-2040REG CUSIP: 912810QE1
    665,000.00     18 Aug 10     116.50                       0.00       774,753.64       774,753.64       0.00  
UNITED STATES TREAS BDS 0 DEB 15/02/2040 USD1000 4.625 DUE 02-15-2040REG CUSIP: 912810QE1
    55,000.00     23 Aug 10     116.64                       0.00       64,150.42       64,150.42       0.00  
UNITED STATES TREAS BDS 0 DEB 15/02/2040 USD1000 4.625 DUE 02-15-2040REG CUSP: 912810QE1
    -238,000.00     02 Mar 10             100.40               0.00       234,390.99       238,947.33       4,556.34  
UNITED STATES TREAS BDS 7 1/4% 15/8/2022 USD1000 7.25% DUE 08-15-2022 REG CUSIP: 912810EM6
    325,000.00     01 Jun 10     135.22                       0.00       439,460.94       439,460.94       0.00  
UNITED STATES TREAS BDS 7 1/4% 15/8/2022 USD1000 7.25% DUE 08-15-2022 REG CUSIP: 912810EM6
    -485,000.00     07 Jul 10             139.50               0.00       639,103.16       676,575.00       37,471.84  
NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

104


 

5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u   5% Report — Part D
 
    Series of Transactions with Same Party in Excess of 5%
                                                                         
                    Acquisition   Disposition   Lease   Expenses           Current Value on    
Security Description / Asset ID   Shares/Par Value   Date   Price   Price   Rental   Incurred   Cost   Transaction Date   Net Gain/Loss
 
GOLDMAN SACHS & COMPANY
                                                                       
UNITED STATES TREAS NTS DTD 00092 4.125% DUE 05-15-2015 REG CUSIP: 912828DV9
    395,000.00     18 Aug 10     112.88                     0.00     445,888.43       445,888.43       0.00  
UNITED STATES TREAS NTS DTD 00092 4.125% DUE 05-15-2015 REG CUSIP: 912828DV9
    395,000.00     23 Aug 10     112.68                       0.00       445,086.09       445,086.09       0.00  
UNITED STATES TREAS NTS DTD 00092 4.125% DUE 05-15-2015 REG CUSIP: 912828DV9
    395,000.00     23 Aug 10     112.70                       0.00       445,147.81       445,147.81       0.00  
UNITED STATES TREAS NTS DTD 00092 4.125% DUE 05-15-2015 REG CUSIP: 912828DV9
    120,000.00     24 Aug 10     113.19                       0.00       135,825.40       135,825.40       0.00  
UNITED STATES TREAS NTS DTD 00092 4.125% DUE 05-15-2015 REG CUSIP: 912828DV9
    -280,000.00     07 Sep 10             112.84               0.00       309,811.96       315,962.50       6,150.54  
UNITED STATES TREAS NTS DTD 00092 4.125% DUE 05-15-2015 REG CUSIP: 912828DV9
    -655,000.00     29 Nov 10             112.27               0.00       742,632.20       735,337.65       -7,294.55  
UNITED STATES TREAS NTS DTD 00092 4.125% DUE 05-15-2015 REG CUSIP: 912828DV9
    -1,260,000.00     29 Nov 10             112.28               0.00       1,428,574.92       1,414,739.53       -13,835.39  
UNITED STATES TREAS NTS DTD 00135 4.875% DUE 08-15-2016 REG CUSIP: 912828FQ8
    -475,000.00     01 Feb 10             111.61               0.00       531,447.06       530,144.53       -1,302.53  
UNITED STATES TREAS NTS DTD 00152 4.625% DUE 02-15-2017 REG CUSIP: 912828GH7
    2,540,000.00     07 Sep 10     116.61                       0.00       2,961,995.60       2,961,995.60       0.00  
UNITED STATES TREAS NTS DTD 00176 4.25% DUE 11-15-2017 REG CUSIP: 912828HH6
    -330,000.00     18 Mar 10             106.70               0.00       362,275.00       352,120.31       -154.69  
UNITED STATES TREAS NTS DTD 00176 4.25% DUE 11-15-2017 REG CUSIP: 912828HH6
    -665,000.00     19 Mar 10             106.60               0.00       709,887.50       708,900.39       -987.11  
UNITED STATES TREAS NTS DTD 00225 1.75% DUE 03-31-2014 REG CUSIP: 912828KJ8
    1,125,000.00     18 Mar 10     98.90                       0.00       1,112,607.42       1,112,607.42       0.00  
UNITED STATES TREAS NTS DTD 00229 1.875% DUE 04-30-2014 REG CUSP: 912828KN9
    -2,080,000.00     06 Oct 10             104.13               0.00       2,140,531.25       2,165,800.00       25,268.75  
UNITED STATES TREAS NTS DTD 00250 2.375% DUE 08-31-2014 REG CUSIP: 912828LK4
    1,310,000.00     04 May 10     101.07                       0.00       1,324,076.65       1,324,076.65       0.00  
UNITED STATES TREAS NTS DTD 00250 2.375% DUE 08-31-2014 REG CUSIP: 912828LK4
    -3,480,000.00     08 Fab 10             101.43               0.00       3,509,407.97       3,529,590.00       20,182.03  
NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

105


 

5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u   5% Report — Part D
 
    Series of Transactions with Same Party in Excess of 5%
                                                                         
                    Acquisition   Disposition   Lease   Expenses           Current Value on    
Security Description / Asset ID   Shares/Par Value   Date   Price   Price   Rental   Incurred   Cost   Transaction Date   Net Gain/Loss
 
GOLDMAN SACHS & COMPANY
                                                                       
UNITED STATES TREAS NTS DTD 00250 2.375% DUE 08-31-2014 REG CUSIP: 912828LK4
    -1,800,000.00     04 Nov 10             106.50               0.00       1,903,508.38       1,917,000.00       13,491.62  
UNITED STATES TREAS NTS DTD 00251 3% DUE 08-31-2016 REG CUSIP: 912828LL2
    750,000.00     16 Apr 10     99.84                       0.00       748,828.13       748,828.13       0.00  
UNITED STATES TREAS NTS DTD 00251 3% DUE 08-31-2016 REG CUSIP: 912828LL2
    325,000.00     05 May 10     100.96                       0.00       328,110.35       328,110.35       0.00  
UNITED STATES TREAS NTS DTD 00251 3% DUE 08-31-2016 REG CUSIP: 912828LL2
    160,000.00     29 Jun 10     104.40                       0.00       167,037.50       167,037.50       0.00  
UNITED STATES TREAS NTS DTD 00251 3% DUE 08-31-2016 REG CUSIP: 912828LL2
    -300,000.00     27 Jan 10             100.23               0.00       300,772.82       300,703.13       -69.69  
UNITED STATES TREAS NTS DTD 00254 3% DUE 09-30-2016 REG CUSIP: 912828LP3
    500,000.00     01 Feb 10     99.79                       0.00       498,955.00       498,955.00       0.00  
UNITED STATES TREAS NTS DTD 00254 3% DUE 09-30-2016 REG CUSIP: 912828LP3
    155,000.00     04 Feb 10     100.16                       0.00       155,242.19       155,242.19       0.00  
UNITED STATES TREAS NTS DTD 00254 3% DUE 09-30-2016 REG CUSIP: 912828LP3
    600,000.00     15 Sep 10     106.52                       0.00       639,117.19       639,117.19       0.00  
UNITED STATES TREAS NTS DTD 00254 3% DUE 09-30-2016 REG CUSIP: 912828LP3
    650,000.00     16 Sep 10     106.70                       0.00       693,570.31       693,570.31       0.00  
UNITED STATES TREAS NTS DTD 00254 3% DUE 09-30-2016 REG CUSIP: 912828LP3
    -500,000.00     03 NOV 10             108.61               0.00       524,945.58       543,027.34       18,081.76  
UNITED STATES TREAS NTS DTD 00268 3.25% DUE 12-31-2016 REG CUSIP: 912828MD9
    2,120,000.00     30 Apr 10     101.22                       0.00       2,145,920.31       2,145,920.31       0.00  
UNITED STATES TREAS NTS DTD 00268 3.25% DUE 12-31-2016 REG CUSIP: 912828MD9
    -2,120,000.00     11 May 10             102.02               0.00       2,145,920.31       2,162,731.25       16,810.94  
UNITED STATES TREAS NTS DTD 00271 1.375% DUE 01-15-2013 REG CUSIP: 912828MG2
    470,000.00     13 Jan 10     99.48                       0.00       467,539.84       467,539.84       0.00  
UNITED STATES TREAS NTS DTD 00271 1.375% DUE 01-15-2013 REG CUSIP: 912828MG2
    380,000.00     27 Jan 10     100.00                       0.00       380,000.00       380,000.00       0.00  
UNITED STATES TREAS NTS DTD 00271 1.375% DUE 01-15-2013 REG CUSIP: 912828MG2
    650,000.00     04 Oct 10     102.05                       0.00       663,330.08       663,330.08       0.00  
NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

106


 

5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u   5% Report — Part D
 
    Series of Transactions with Same Party in Excess of 5%
                                                                         
                    Acquisition   Disposition   Lease   Expenses           Current Value on    
Security Description / Asset ID   Shares/Par Value   Date   Price   Price   Rental   Incurred   Cost   Transaction Date   Net Gain/Loss
 
GOLDMAN SACHS & COMPANY
                                                                       
UNITED STATES TREAS NTS DTD 00271 1.375% DUE 01-15-2013 REG CUSIP: 912828MG2
    -20,000.00     09 Mar 10             100.09               0.00       19,981.93       20,018.75       36.82  
UNITED STATES TREAS NTS DTD 00277 1.375% DUE 02-15-2013 REG CUSIP: 912828MN7
    1,500,000.00     18 Feb 10     99.91                       0.00       1,498,715.96       1,498,715.96       0.00  
UNITED STATES TREAS NTS DTD 00277 1.375% DUE 02-15-2013 REG CUSIP: 912828MN7
    20,000.00     09 Mar 10     99.99                       0.00       19,997.66       19,997.66       0.00  
UNITED STATES TREAS NTS DTD 00277 1.375% DUE 02-15-2013 REG CUSIP: 912828MN7
    2,905,000.00     10 Nov 10     101.85                       0.00       2,958,674.41       2,958,674.41       0.00  
UNITED STATES TREAS NTS DTD 00277 1.375% DUE 02-15-2013 REG CUSIP: 912828MN7
    -1,500,000.00     23 Mar 10             99.69               0.00       1,498,715.96       1,495,424.66       -3,291.30  
UNITED STATES TREAS NTS DTD 00277 1.375% DUE 02-15-2013 REG CUSIP: 912828MN7
    -245,000.00     04 Oct 10             102.08               0.00       244,387.50       250,100.98       5,713.48  
UNITED STATES TREAS NTS DTD 00278 3.625% DUE 02-15-2020 REG CUSIP: 912828MP2
    1,150,000.00     11 May 10     100.69                       0.00       1,157,906.25       1,157,906.25       0.00  
UNITED STATES TREAS NTS DTD 00278 3.625% DUE 02-15-2020 REG CUSIP: 912828MP2
    1,155,000.00     11 May 10     100.69                       0.00       1,162,940.63       1,162,940.63       0.00  
UNITED STATES TREAS NTS DTD 00278 3.625% DUE 02-15-2020 REG CUSIP: 912828MP2
    -600,000.10     15 Mar 10             99.20               0.00       596,050.67       595,218.75       -831.92  
UNITED STATES TREAS NTS DTD 00278 3.625% DUE 02-15-2020 REG CUSIP: 912828MP2
    -290,000.00     18 Mar 10             99.49               0.00       288,555.85       288,527.34       -28.51  
UNITED STATES TREAS NTS DTD 00278 3.625% DUE 02-15-2020 REG CUSIP: 912828MP2
    -80,000.00     07 Apr 10             97.27               0.00       78,429.89       77,815.63       -614.26  
UNITED STATES TREAS NTS DTD 00294 2.125% DUE 05-31-2015 REG CUSIP: 912828NF3
    145,000.00     16 Jun 10     100.34                       0.00       145,498.44       145,498.44       0.00  
UNITED STATES TREAS NTS DTD 00294 2.125% DUE 05-31-2015 REG CUSIP: 912828NF3
    -275,000.00     15 Jun 10             100.21               0.00       275,870.56       275,590.82       -279.74  
UNITED STATES TREAS NTS DTD 00302 1.75% DUE 07-31-2015 REG CUSIP: 912828NP1
    -565,000.00     08 Sep 10             101.53               0.00       573,304.69       573,629.49       324.80  
UNITED STATES TREAS NTS DTD 00305 .625% DUE 06-30-2012 REG CUSIP: 912828NS5
    2,600,000.00     13 Oct 10     100.46                       0.00       2,612,085.94       2,612,085.94       0.00  
NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

107


 

5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u 5% Report — Part D
      Series of Transactions with Same Party in Excess of 5%
                                                                 
                Acquisition   Disposition   Lease   Expenses           Current Value on    
Security Description / Asset ID   Shares/Par Value   Date   Price   Price   Rental   Incurred   Cost   Transaction Date   Net Gain/Loss
 
GOLDMAN SACHS & COMPANY
                                                               
UNITED STATES TREAS NTS
DTD 00306 2.625% DUE
08-15-2020 REG
CUSIP: 912828NT3
    1,145,000.00     16 Aug 10     99.75                   0.00       1,142,137.50       1,142,137.50       0.00  
UNITED STATES TREAS NTS
DTD 00306 2.625% DUE
08-15-2020 REG
CUSIP: 912828NT3
    5,770,000.00     20 Aug 10     100.61                   000       5,804,958.63       5,804,958.63       0.00  
UNITED STATES TREAS NTS
DTD 00306 2.625% DUE
08-15-2020 REG
CUSIP: 912828NT3
    220,000.00     14 Oct 10     101.47                   0.00       223,231.25       223,231.25       0.00  
UNITED STATES TREAS NTS
DTD 00306 2.625% DUE
08-15-2020 REG
CUSIP: 912828NT3
    500,000.00     04 Nov 10     101.13                   0.00       505,664.06       505,664.06       0.00  
UNITED STATES TREAS NTS
DTD 00306 2.625% DUE
08-15-2020 REG
CUSIP: 912828NT3
    -90,000.00     29 Nov 10             98.60           0.00       90,444.70       88,741.05       -1,703.65  
UNITED STATES TREAS NTS
DTD 00312 1.25% DUE
09-30-2015 REG
CUSIP: 912828NZ9
    -2,225,000.00     21 Oct 10             100.58           0.00       2,238,129.76       2,237,863.28       -266.48  
UNITED STATES TREAS NTS
DTD 00321 1.375% DUE
11-30-2015 REG
CUSIP: 912828PJ3
    15,000,000.00     17 Dec 10     97.28                   0.00       14,592,237.75       14,592,237.75       0.00  
UNITED STATES TREAS NTS
DTD 00323.75% DUE
12-15-2013 REG
CUSIP: 912828PL8
    365,000.00     21 Dee 10     99.23                   0.00       362,205.47       362,205.47       0.00  
UNITED STATES TREAS NTS
DTD 00323.75% DUE
12-15-2013 REG
CUSIP: 912828PL8
    -1,205,000,00     23 Dec 10             98.99           0.00       1,196,296.03       1,192,804.75       -3,491.28  
UNITED STATES TREAS NTS
DTD 05-17-2010 1.375 DUE
05-15-2013 CUSIP: 912828NC0
    -320,000.00     09 Jun 10             100.60           0.00       321,728.42       321,912.50       184.08  
UNITED STATES TREAS NTS
DTD 05-17-2010 1.375 DUE
05-15-2013 CUSIP: 912828NC0
    -715,000.00     07 Dec 10             101.70           0.00       727,941.50       727,177.34       -764.16  
UNITED STATES TREAS NTS
DTD 11/15/2009 3.375% DUE
11-15-2019 REG
CUSIP: 91 2828LY4
    160,000.00     06 Jan 10     96.40                   0.00       154,237.50       154,237.50       0.00  
UNITED STATES TREAS NTS
DTD 11/15/2009 3.375% DUE
11-15-2019 REG
CUSIP: 912828LY4
    120,000.00     08 Jan 10     96.59                   0.00       115,912.50       115,912.50       0.00  
UNITED STATES TREAS NTS
DTD 11/15/2009 3.375% DUE
11-15-2019 REG
CUSIP: 912828LY4
    -265,000.00     01 Sep 10             107.07           0.00       285,911.22       283,724.92       -2,186.30  
UNITED STATES TREAS NTS
DTD 11/30/09 2.75% DUE
11-30-2016 REG
CUSIP: 912828MA5
    2,180,000.00     11 May 10     99.07                   0.00       2,159,732.81       2,159,732.81       0.00  
NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

108


 

5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u 5% Report — Part D
      Series of Transactions with Same Party in Excess of 5%
                                                                 
                Acquisition   Disposition   Lease   Expenses           Current Value on    
Security Description / Asset ID   Shares/Par Value   Date   Price   Price   Rental   Incurred   Cost   Transaction Date   Net Gain/Loss
 
GOLDMAN SACHS & COMPANY
                                                               
UNITED STATES TREAS NTS DTD 7-15-10 1.0% DUE 07-15-2013 CUSIP: 912828NN6
    -285,000.00     07 Dec 10             100.75           0.00       286,403.12       287,137.50       734.38  
UNITED STATES TREAS NTS NT 1.125% DUE 12-15-2012 REG CUSIP: 912828MB3
    -485,000.00     13 Jan 10             98.93           0.00       481,233.01       479,790.04       -1,442.97  
UNITED STATES TREAS NTS NT 1.875% DUE 02-28-2014 REG CUSIP: 912828KF6
    -2,230,000.00     21 Jul 10             102.59           0.00       2,256,132.81       2,287,823.90       31,691.09  
UNITED STATES TREAS NTS NT 2.375% DUE 02-28-2015 REG CUSIP: 912828MR8
    75,000.00     03 Mar 10     100.50                   0.00       75,375.00       75,375.00       0.00  
UNITED STATES TREAS NTS NT 2.375% DUE 02-28-2015 REG CUSIP: 912828MR8
    1,195,000.00     09 Mar 10     100.20                   0.00       1,197,333.98       1,197,333.98       0.00  
UNITED STATES TREAS NTS NT 2.375% DUE 02-28-2015 REG CUSIP: 912828MR8
    600,000.00     15 Mar 10     99.80                   0.00       598,781.25       598,781.25       0.00  
UNITED STATES TREAS NTS NT 2.375% DUE 02-28-2015 REG CUSIP: 912828MR8
    220,000.00     22 Mar 10     99.81                   0.00       219,586.40     219,586.40     0.00  
UNITED STATES TREAS NTS NT 2.375% DUE 02-28-2015 REG CUSIP: 912828MR8
    -180,000.00     18 Mar 10             99.79           0.00       179,983.68       179,613.28       -370.40  
UNITED STATES TREAS NTS NT 2.375% DUE 10-31-2014
REG CUSIP: 912828LS7
    1,165,000.00     07 Jul 10     103.41                   0.00       1,204,738.15       1,204,738.15       0.00  
UNITED STATES TREAS NTS NT 2.375% DUE 10-31-2014 REG CUSIP: 912828LS7
    3,300,000.00     01 Oct 10     105.48                   0.00       3,480,726.56       3,480,726.56       0.00  
UNITED STATES TREAS NTS NT 2.375% DUE 10-31-2014 REG CUSIP: 912828LS7
    -1,400,000.00     24 Feb 10             100.65           0.00       1,415,618.84       1,409,073.44       -6,545.40  
UNITED STATES TREAS NTS NT 2.375% DUE 10-31-2014
REG CUSIP: 912828LS7
    -70,000.00     15 Sep 10             104.83           0.00       72,074.52       73,379.69       1,305.17  
UNITED STATES TREAS NTS NT 2.5% DUE 04-30-2015 REG CUSIP: 912828MZ0
    -295,000.00     24 Jun 10             102.96           0.00       298,148.08       303,734.77       5,586.69  
UNITED STATES TREAS NTS NT 2.5% DUE 06-30-2017 REG CUSIP: 912828NK2
    1,520,000.00     21 Jul 10     101.22                   0.00       1,538,525.00       1,538,525.00       0.00  
UNITED STATES TREAS NTS NT 2.625 DUE 07-31-2014 REG CUSIP: 912828LC2
    3,510,000.00     08 Feb 10     102.63                   0.00       3,602,137.50       3,602,137.50       0.00  
NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

109


 

5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u   5% Report — Part D
 
    Series of Transactions with Same Party in Excess of 5%
                                                                     
                Acquisition   Disposition   Lease   Expenses           Current Value on    
Security Description / Asset ID   Shares/Par Value   Date   Price   Price   Rental   Incurred   Cost   Transaction Date   Net Gain/Loss
 
GOLDMAN SACHS & COMPANY
                                                                   
UNITED STATES TREAS NTS NT 2.625 DUE 07-31-2014 REG CUSIP: 912828LC2
    -750,000.00     04 Mar 10             102.55               0.00       769,687.50       769,130.86       -556.64  
UNITED STATES TREAS NTS NT 2.625 DUE 07-31-2014 REG CUSIP: 912828LC2
    -210,000.00     08 Apr 10             101.18               0.00       213,758.43       212,477.34       -1,281.09  
UNITED STATES TREAS NTS NT 3.625% DUE 08-15-2019 REG CUSIP: 912828LJ7
    400,000.00     15 Jan 10     99.74                       0.00       398,954.73       398,954.73       0.00  
UNITED STATES TREAS NTS NT 3.625% DUE 08-15-2019 REG CUSIP: 912828LJ7
    400,000.00     05 Feb 10     100.55                       0.00       402,204.73       402,204.73       0.00  
UNITED STATES TREAS NTS NT 3.625% DUE 08-15-2019 REG CUSIP: 912828LJ7
    265,000.00     22 Apr 10     99.70                       0.00       264,192.58       264,192.58       0.00  
UNITED STATES TREAS NTS NT 3.625% DUE 08-15-2019 REG CUSIP: 912828LJ7
    275,000.00     28 Apr 10     99.34                       0.00       273,195.31       273,195.31       0.00  
UNITED STATES TREAS NTS NT 3.625% DUE 08-15-2019 REG CUSIP: 912828LJ7
    750,000.00     30 Jul 10     106.58                       0.00       799,335.94       799,335.94       0.00  
UNITED STATES TREAS NTS NT 3.625% DUE 08-15-2019 REG CUSIP: 912828LJ7
    1,600,000.00     01 Oct 10     109.68                       0.00       1,754,875.00       1,754,875.00       0.00  
UNITED STATES TREAS NTS NT 3.625% DUE 08-15-2019 REG CUSIP: 912828LJ7
    1,650,000.00     21 Oct 10     110.60                       0.00       1,824,925.78       1,824,925.78       0.00  
UNITED STATES TREAS NTS NT 4.25 DUE 08-15-2015 REG CUSIP: 912828EE6
    -195,000.00     22 Mar 10             108.56               0.00       211,468.36       211,696.88       228.52  
UNITED STATES TREAS NTS NT 5.125% DUE 05-15-2016 REG CUSIP: 912828FF2
    795,000.00     31 Mar 10     112.16                       0.00       891,704.30       891,704.30       0.00  
UNITED STATES TREAS NTS NT 5.125% DUE 05-15-2016 REG CUSIP: 912828FF2
    550,000.00     01 Jun 10     114.90                       0.00       631,941.41       631,941.41       0.00  
UNITED STATES TREAS NTS NT 5.125% DUE 05-15-2016 REG CUSIP: 912828FF2
    -285,000.00     06 May 10             114.18               0.00       321,585.98       325,423.24       3,837.26  
UNITED STATES TREAS NTS NT 5.125% DUE 05-15-2016 REG CUSIP: 912828FF2
    -2,795,000.00     07 Sep 10             119.09               0.00       3,233,149.55       3,328,670.31       95,520.76  
UNITED STATES TREAS NTS NTS 2.75% DUE 02-15-2019 REG CUSIP: 912828KD1
    4,000,000.00     20 Oct 10     104.67                       0.00       4,186,718.75       4,186,718.75       0.00  
NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

110


 

5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u   5% Report — Part D
 
    Series of Transactions with Same Party in Excess of 5%
                                                                         
                    Acquisition   Disposition   Lease   Expenses           Current Value on    
Security Description / Asset ID   Shares/Par Value   Date   Price   Price   Rental   Incurred   Cost   Transaction Date   Net Gain/Loss
 
GOLDMAN SACHS & COMPANY
                                                                       
UNITED STATES TREAS NTS NTS 2.75% DUE 02-15-2019 REG CUSIP: 912828KD1
    -225,000.00     07 Jan 10             92.25               0.00       212,787.00       207,553.71       -5,233.29  
UNITED STATES TREAS NTS NTS 2.75% DUE 02-15-2019 REG CUSIP: 912828KD1
    -295,000.00     28 Apr 10             93.47               0.00       278,987.40       275,744.34       -3,243.06  
UNITED STATES TREAS NTS NTS 2.75% DUE 02-15-2019 REG CUSIP: 912828KD1
    -1,000,000.00     28 Oct 10             103.06               0.00       1,034,369.15       1,030,625.00       -3,744.15  
UNITED STATES TREAS NTS NTS 2.75% DUE 02-15-2019 REG CUSIP: 912828KD1
    -2,000,000.00     29 Oct 10             103.45               0.00       2,068,709.34       2,068,906.25       196.91  
UNITED STATES TREAS NTS T-NOTE 1.25% DUE 08-31-2015 REG CUSIP: 912828NV8
    565,000.00     08 Sep 10     99.03                       0.00       559,504.49       559,504.49       0.00  
UNITED STATES TREAS NTS T-NOTE 1.25% DUE 08-31-2015 REG CUSIP: 912828NV8
    275,000.00     15 Sep 10     99.05                       0.00       272,400.39       272,400.39       0.00  
UNITED STATES TREAS NTS T-NOTE 1.25% DUE 08-31-2015 REG CUSIP: 912828NV8
    60,000.00     15 Sep 10     99.06                       0.00       59,437.50       59,437.50       0.00  
UNITED STATES TREAS NTS T-NT 1.75% DUE 08-15-2012 REG CUSIP: 912828LH1
    -415,000.00     26 Jan 10             101.58               0.00       418,213.01       421,549.22       3,336.21  
UNITED STATES TREAS NTS T-NT 3.25% DUE 06-30-2016 REG CUSIP: 912828KZ2
    -160,000.00     04 Feb 10             102.20               0.00       161,887.87       163,512.50       1,624.63  
UNITED STATES TREAS NTS UNITED STATES TREAS NOTES 2.5% DUE 03-31-2013 REG CUSIP: 912828HV5
    -7,095,000.00     13 Jan 10             102.77               0.00       7,287,714.22       7,291,221.09       3,506.87  
UNITED STATES TREAS NTS UNITED STATES TREAS NTS 3.5% DUE 02-15-2018 REG CUSIP: 912828HR4
    745,000.00     03 Feb 10     100.88                       0.00       751,521.73       751,521.73       0.00  
UNITED STATES TREAS NTS UNITED STATES TREAS NTS 3.5% DUE 02-15-2018 REG CUSIP: 912828HR4
    550,000.00     01 Apr 10     100.05                       0.00       550,257.81       550,257.81       0.00  
UNITED STATES TREAS NTS UNITED STATES TREAS NTS 3.5% DUE 02-15-2018 REG CUSIP: 912828HR4
    -615,000.00     05 Jan 10             99.77               0.00       622,621.87       613,604.18       -9,017.69  
UNITED STATES TREAS NTS UNITED STATES TREAS NTS 3.5% DUE 02-15-2018 REG CUSIP: 912828HR4
    -175,000.00     19 Mar 10             101.14               0.00       181,712.89       176,996.09       -4,716.80  
UNITED STATES TREAS NTS 1.875 DUE 08-31-2017 CUSIP: 912828NW6
    2,970,000.00     14 Sep 10     98.53                       0.00       2,926,378.13       2,926,378.13       0.00  
NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

111


 

5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u   5% Report — Part D
 
    Series of Transactions with Same Party in Excess of 5%
                                                                         
                    Acquisition   Disposition   Lease   Expenses           Current Value on    
Security Description / Asset ID   Shares/Par Value   Date   Price   Price   Rental   Incurred   Cost   Transaction Date   Net Gain/Loss
 
GOLDMAN SACHS & COMPANY
                                                                       
UNITED STATES TREAS NTS 1.875 DUE 08-31-2017 CUSIP: 912828NW6
    -760,000.00     10 Nov 10             99.91               0.00       759,168.75       759,346.88       178.13  
UNITED STATES TREAS NTS 2.625 DUE 11-15-2020 REG CUSIP: 912828PC8
    560,000.00     10 Nov 10     99.02                       0.00       554,487.50       554,487.50       0.00  
UNITED STATES TREAS NTS 2.625 DUE 11-15-2020 REG CUSIP: 912828PC8
    -235,000.00     22 Dec 10             93.91               0.00       219,605.34       220,679.69       1,074.35  
UNITED STATES TREAS NTS 2% DISC NT 30/11/2013 USD1000 2% DUE 11-30-2013 RE CUSIP: 912828JT8
    6,020,000.00     13 Jan 10     100.02                       0.00       6,020,940.63       6,020,940.63       0.00  
UNITED STATES TREAS NTS 2% DISC NT 30/11/2013 USD1000 2% DUE 11-30-2013 RE CUSIP: 912828JT8
    405,000.00     15 Mar 10     100.59                       0.00       407,390.22       407,390.22       0.00  
UNITED STATES TREAS NTS 2% DISC NT 30/11/2013 USD1000 2% DUE 11-30-2013 RE CUSIP: 912828JT8
    -800,000.00     25 Feb 10             100.93               0.00       805,484.82       807,434.82       1,950.00  
UNITED STATES TREAS NTS 3.50 DUE 05-15-2020 REG CUSIP: 912828ND8
    -1,120,000.00     16 Aug 10             107.49               0.00       1,156,421.42       1,203,912.50       47,491.08  
UNITED STATES TREAS NTS 3.50 DUE 05-15-2020 REG CUSIP: 912828ND8
    -4,300,000.00     23 Sep 10             108.40               0.00       4,623,910.75       4,661,300.78       37,390.03  
UNITED STATES TREAS NTS 3.50 DUE 05-15-2020 REG CUSIP: 912828ND8
    -685,000.00     21 Oct 10             108.88               0.00       707,275.60       745,793.75       38,518.15  
UNITED STATES TREAS NTS 3.50 DUE 05-15-2020 REG CUSIP: 912828ND8
    -485,000.00     04 Nov 10             109.09               0.00       500,771.78       529,066.80       28,295.02  
US CENTRAL FEDERAL CRED 1.9 DUE 10-19-2012 CUSIP: 90345AAC6
    275,000.00     08 Apr 10     100.82                       0.00       277,260.50       277,260.50       0.00  
US OF AMER TREAS NOTES 1.75 DUE 01-31-2014 REG CUSIP: 912828JZ4
    1,000,000.00     01 Apr 10     98.77                       0.00       987,695.31       987,695.31       0.00  
US OF AMER TREAS NOTES 3.75 DUE 11-15-2018 REG CUSIP: 912828JR2
    -950,000.00     13 Dec 10             106.40               0.00       1,002,320.35       1,010,785.16       8,464.81  
US TREAS BDS 0 TREAS NT 15/11/2039 USD1000 4.375 DUE 11-15-2039 REG CUSIP: 912810QD3
    2,655,000.00     16 Feb 10     95.23                       0.00       2,528,303.40       2,528,303.40       0.00  
US TREAS BDS 0 TREAS NT 15/11/2039 USD1000 4.375 DUE 11-15-2039 REG CUSIP: 912810QD3
    85,000.00     28 Apr 10     95.97                       0.00       81,573.44       81,573.44       0.00  
NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

112


 

5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u   5% Report — Part D
 
    Series of Transactions with Same Party in Excess of 5%
                                                                         
                    Acquisition   Disposition   Lease   Expenses           Current Value on    
Security Description / Asset ID   Shares/Par Value   Date   Price   Price   Rental   Incurred   Cost   Transaction Date   Net Gain/Loss
 
GOLDMAN SACHS & COMPANY
                                                                       
US TREAS BDS 0 TREAS NT 15/11/2039 USD1000 4.375 DUE 11-15-2039 REG CUSIP: 912810QD3
    325,000.00     07 Jul 10     108.17                       0.00       351,539.50       351,539.50       0.00  
US TREAS BDS 0 TREAS NT 15/11/2039 USD1000 4.375 DUE 11-15-2039 REG CUSIP: 912810QD3
    280,000.00     30 Jul 10     106.80                       0.00       299,031.25       299,031.25       0.00  
US TREAS BDS 0 TREAS NT 15/11/2039 USD1000 4.375 DUE 11-15-2039 REG CUSIP: 912810QD3
    -200,000.00     04 Mar 10             97.02               0.00       191,200.60       194,046.88       2,846.28  
US TREAS BDS 0 TREAS NT 15/11/2039 USD1000 4.375 DUE 11-15-2039 REG CUSIP: 912810QD3
    -600,000.00     24 Mar 10             94.23               0.00       574,216.63       565,382.81       -8,833.82  
US TREAS BDS 4.375 DUE 05-15-2040 REG CUSIP: 912810QH4
    120,000.00     15 Sep 10     108.77                       0.00       130,518.75       130,518.75       0.00  
US TREAS BDS 4.375 DUE 05-15-2040 REG CUSIP: 912810QH4
    -100,000.00     26 Aug 10             115.78               0.00       112,069.89       115,781.25       3,711.36  
US TREAS BDS 4.375 DUE 05-15-2040 REG CUSIP: 912810QH4
    -275,000.00     13 Sep 10             109.55               0.00       308,243.06       301,275.39       -6,967.67  
US TREAS BDS 8 11/15/2021 USD1000 8 DUE 11-15-2021 REG CUSIP: 912810EL8
    -830,000.00     11 May 10             139.38               0.00       1,163,518.90       1,156,854.00       -6,664.90  
US TREAS NTS DTD 00161 4.5 DUE 05-15-2017 REG CUSIP: 912828GS3
    345,000.00     18 Mar 10     108.87                       0.00       375,605.27       375,605.27       0.00  
US TREAS NTS DTD 00161 4.5 DUE 05-15-2017 REG CUSIP: 912828GS3
    180,000.00     19 Mar 10     108.77                       0.00       195,778.13       195,778.13       0.00  
US TREAS NTS DTD 00161 4.5 DUE 05-15-2017 REG CUSIP: 912828GS3
    695,000.00     19 Mar 10     108.77                       0.00       755,921.09       755,921.09       0.00  
US TREAS NTS DTD 00161 4.5 DUE 05-15-2017 REG CUSIP: 912828GS3
    315,000.00     22 Apr 10     108.70                       0.00       342,414.84       342,414.84       0.00  
US TREAS NTS DTD 00161 4.5 DUE 05-15-2017 REG CUSIP: 912828GS3
    -605,000.00     18 Mar 10             108.90               0.00       659,975.07       658,835.55       -1,139.52  
US TREAS NTS DTD 00161 4.5 DUE 05-15-2017 REG CUSIP: 912828GS3
    -315,000.00     07 May 10             110.62               0.00       342,414.84       348,444.14       6,029.30  
US TREAS NTS DTD 00285 2.5 DUE 03-31-2015 REG CUSIP: 912828MW7
    185,000.00     08 Apr 10     99.51                       0.00       184,089.45       184,089.45       0.00  
NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

113


 

5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u   5% Report - Part D
 
    Series of Transactions with Same Party in Excess of 5%
                                                                         
                    Acquisition     Disposition     Lease     Expenses             Current Value on        
Security Description / Asset ID   Shares/Par Value     Date     Price     Price     Rental     Incurred     Cost     Transaction Date     Net Gain/Loss    
GOLDMAN SACHS & COMPANY
                                                                       
US TREAS NTS DTD 1/31/10 2.25 DUE 01-31-2015 REG CUSIP: 912828MH0
    310,000.00     24 Jun 10     101.96                       0.00       316,066.80       316,066.80       0.00  
US TREAS NTS DTD 1/31/10 2.25 DUE 01-31-2015 REG CUSIP: 912828MH0
    1,720,000.00     06 Oct 10     105.48                       0.00       1,814,331.25       1,814,331.25       0.00  
US TREAS NTS DTD 1/31/10 2.25 DUE 01-31-2015 REG CUSIP: 912828MH0
    -310,000.00     15 Sep 10             104.16               0.00       316,066.80       322,908.59       6,841.79  
US TREAS NTS 1.375 DUE 03-15-2013 REG CUSIP: 912828MT4
    2,000,000.00     01 Apr 10     99.33                       0.00       1,986,562.50       1,986,562.50       0.00  
US TREAS NTS 1.375 DUE 09-15-2012 REG CUSIP: 912828LM0
    405,000.00     26 Jan 10     100.49                       0.00       406,980.45       406,980.45       0.00  
US TREAS NTS 1.375 DUE 09-15-2012 REG CUSIP: 912828LM0
    935,000.00     23 Aug 10     101.74                       0.00       951,256.06       951,256.06       0.00  
US TREAS NTS 1.375 DUE 09-15-2012 REG CUSIP: 912826LM0
    1,975,000.00     30 Sep 10     101.84                       0.00       2,011,420.68       2,011,420.68       0.00  
US TREAS NTS 1.375 DUE 09-15-2012 REG CUSIP: 912828LM0
    1,575,000.00     29 Nov 10     101.58                       0.00       1,599,922.27       1,599,922.27       0.00  
US TREAS NTS 1.375 DUE 09-15-2012 REG CUSIP: 912828LM0
    -280,000.00     19 Aug 10             101.75               0.00       284,900.00       284,910.00       10.00  
US TREAS NTS 1.875 DUE 06-30-2015 CUSIP: 912828NL0
    -305,000.00     14 Jul 10             100.30               0.00       306,010.78       305,923.34       -87.44  
US TREAS NTS 2.625 DUE 12-31-2014 REG CUSIP: 912828ME7
    -75,000.00     03 Mar 10             102.00               0.00       75,046.92       76,497.07       1,450.15  
US TREAS NTS 2.625 DUE 12-31-2014 REG CUSIP: 912S28ME7
    -1,220,000.00     09 Mar 10             101.69               0.00       1,220,763.24       1,240,587.50       19,824.26  
US TREAS NTS 3.25 DUE 03-31-2017 REG CUSIP: 912828MV9
    105,000.00     07 Apr 10     99.02                       0.00       103,966.41       103,966.41       0.00  
US TREAS NTS 3.25 DUE 03-31-2017 REG CUSIP: 912828MV9
    -600,000.00     13 Dec 10             104.84               0.00       651,356.04       629,062.50       -22,293.54  
US TREAS NTS 3.875 NTS 15/05/2018 USD1000 3.875 DUE 05-15-2018 REG CUSIP: 912828HZ6
    -580,000.00     22 Apr 10             103.45               0.00       602,656.25       599,982.81       -2,673.44  
NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

114


 

5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u   5% Report — Part D
 
    Series of Transactions with Same Party in Excess of 5%
                                                                         
                    Acquisition     Disposition     Lease     Expenses             Current Value on        
Security Description / Asset ID   Shares/Par Value     Date     Price     Price     Rental     Incurred     Cost     Transaction Date     Net Gain/Loss  
GOLDMAN SACHS & COMPANY
                                                                       
US TREAS NTS 4.625 DUE 11-15-2016 REG CUSIP: 912828FY1
    335,000.00     07 May 10     111.38                       0.00       373,106.25       373,106.25       0.00  
US TREAS SEC 4.5 DUE 08-15-2039 REG CUSIP: 912810QC5
    -2,625,000.00     16 Feb 10             97.28               0.00       2,702,163.99       2,553,632.81       -148,531.18  
US TREAS 7.875 BD 2-15-2021 REG CUSIP: 912810EH7
    -880,000.00     11 May 10             137.16               0.00       1,167,132.94       1,207,034.40       39,901.46  
UTD STATES TREAS .75% DUE
05-31-2012 CUSIP: 912828NE6
    1,515,000.00     13 Sep 10     100.41                       0.00       1,521,181.20       1,521,181.20       0.00  
UTD STATES TREAS .75% DUE
05-31-2012 CUSIP: 912828NE6
    33,000,000.00     17 Dee 10     100.43                       0.00       33,143,196.49       33,143,196.49       0.00  
UTD STATES TREAS .75% DUE
05-31-2012 CUSIP: 912828NE6
    1,400,000.00     20 Dec 10     100.44                       0.00       1,406,184.38       1,406,184.38       0.00  
UTD STATES TREAS .75% DUE
05-31-2012 CUSIP: 912828NE6
    720,000.00     23 Dec 10     100.33                       0.00       722,393.04       722,393.04       0.00  
UTD STATES TREAS .75% DUE
05-31-2012 CUSIP: 912828NE6
    -3,400,000.00     21 Dee 10             100.43               0.00       3,414,774.97       3,414,465.17       –309.80  
UTD STATES TREAS .75% DUE
09-15-2013 CUSIP: 912828NY2
    635,000.00     07 Dec 10     99.99                       0.00       634,925.59       634,925.59       0.00  
UTD STATES TREAS .75% DUE
09-15-2013 CUSIP: 912828NY2
    340,000.00     07 Dec 10     99.96                       0.00       339,867.19       339,867.19       0.00  
UTD STATES TREAS .875% DUE
02-29-2012 CUSIP: 912828MQ0
    -255,000.00     06 May 10             100.23               0.00       254,601.56       255,577.73       976.17  
UTD STATES TREAS .875% DUE
02-29-2012 CUSIP: 912828MQ0
    -3,520,000.00     13 Sep 10             100.66               0.00       3,542,091.52       3,543,091.20       999.68  
UTD STATES TREAS BDS 8.75 BD 15/05/2020 USD1000 8.75 DUE
05-15-2020 REG CUSIP: 912810EF1
    -120,000.00     06 Jan 10             141.36               0.00       173,902.97       169,635.94       -4,267.03  
UTD STATES TREAS 1.25% DUE
10-31-2015 CUSIP: 912828PE4
    -280,000.00     04 Nov 10             101.07               0.00       282,354.30       282,985.94       631.64  
NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

115


 

5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u   5% Report — Part D
 
    Series of Transactions with Same Party in Excess of 5%
                                                                         
                    Acquisition     Disposition     Lease     Expenses             Current Value on        
Security Description / Asset ID   Shares/Par Value     Date     Price     Price     Rental     Incurred     Cost     Transaction Date     Net Gain/Loss    
GOLDMAN SACHS & COMPANY
                                                                       
Corporate Debt Instruments — Preferred
                                                                       
 
                                                                       
Australia — USD
                                                                       
 
                                                                       
PVTPL COMMONWEALTH BANK AUST TRANCHE # TR 00081 5% DUE 10-15-2019 BEO CUSIP: 2027A0DJ5
    -225,000.0     23 Mar 10             101.11               0.00       224,194.50       227,497.50       3,303.00  
 
                                                                       
Germany — USD
                                                                       
 
                                                                       
SIEMENS 6.125% DUE 08-17-2026 CUSIP: 826200AD9
    -175,000.00     23 Sep 10             116.96               0.00       174,639.50       204,683.50       30,044.00  
 
                                                                       
Japan — USD
                                                                       
 
                                                                       
SUMITOMO MITSUI BK 3.15% DUE 07-22-2015 CUSIP: 865622AE4
    315,000.00     14 Jul 10     99.87                       0.00       314,581.05       314,581.05       0.00  
 
                                                                       
Netherlands — USD
                                                                       
 
                                                                       
TELEFONICA EUROPE 8.25% DUE 09-15-2030 CUSIP: 879385AD4
    -360,000.00     23 Mar 10             126.43               0.00       409,077.45       455,133.60       46,056.15  
 
                                                                       
Netherlands Antilles — USD
                                                                       
 
                                                                       
TEVA 3% DUE 06-15-2015 CUSIP: 88166CAA6
    280,000.00     15 Jun 10     99.88                       0.00       279,652.80       279,652.80       0.00  
 
                                                                       
Sweden — USD
                                                                       
 
                                                                       
NORDEA BK AG 3.7% DUE 11-13-2014 CUSIP: 65557CAA1
    -170,000.00     16 Jun 10             100.40               0.00       169,753.50       170,673.20       919.70  
 
                                                                       
NORDEA BK AG 4.875% DUE 01-27-2020 CUSIP: 65557CAJ2
    -270,000.00     23 Mar 10             100.16               0.00       268,520.40       270,442.80       1,922.40  
NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

116


 

5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u   5% Report — Part D
 
    Series of Transactions with Same Party in Excess of 5%
                                                                         
                    Acquisition     Disposition     Lease     Expenses             Current Value on        
Security Description / Asset ID   Shares/Par Value     Date     Price     Price     Rental     Incurred     Cost     Transaction Date     Net Gain/Loss    
GOLDMAN SACHS & COMPANY
                                                                       
United Kingdom — USD
                                                                       
 
GLAXOSMITHKLINE 4.85% DUE 05-1 5-2013 CUSIP: 377372AC1
    -330.000.00     27 Jan 10             108.61               0.00       329,303.70       358,409.70       29,106.00  
 
                                                                       
United States — USD
                                                                       
 
                                                                       
ALLTEL CORP 7.875% DUE 07-01-2032 CUSIP: 020039DC4
    -145,000.00     15 Sep 10             130.27               0.00       181,329.75       188,897.30       7,567.55  
AMGEN INC 4.95% DUE 10-01-2041 CUSIP: 031162BE9
    330,000.00     13 Sep 10     99.18                       0.00       327,300.60       327,300.60       0.00  
BELLSOUTH TELECOMMUNICATIONS INC STEP UP BD DUE 12-15-2045 RT=0 TIL 12-15-15 CUSIP: 079867AS6
    130,000.00     26 Aug 10     75.61                       0.00       98,294.30       98,294.30       0.00  
CMO BANC AMER COML MTG TR 2006-4 SER 2006-4 CL-A4 5.634% DUE 07-10-2046 REG CUSIP: 05950WAF5
    485,000.00     16 Apr 10     103.16                       0.00       500,345.70       500,345.70       0.00  
CMO BANC AMER COML MTG TR 2006-4 SER 2006-4 CL-A4 5.634% DUE 07-10-2046 REG CUSIP: 05950WAF5
    -470,000.00     09 Apr 10             102.05               0.00       479,106.25       479,638.67       532.42  
CMO CD 2007-CD4 COML MTG TR MTG PASSTHRUCTF CL A-4 VAR 12-11-2049 BEO CUSIP: 12513YAF7
    -405,000.00     10 May 10             97.18               0.00       389,596.07       393,561.91       3,965.84  
CMO CD 2007-CD4 COML MTG TR MTG PASSTHRUCTF CL A-4 VAR 12-11-2049 BEO CUSIP: 12513YAF7
    -155.000.00     19 Aug 10             102.58               0.00       154,378.05       159,002.15       4,624.10  
CMO CD 2007-CD4 COML MTG TR MTG PASSTHRUCTF CL A-4 VAR 12-11-2049 BEO CUSIP: 12513YAF7
    -145,000.00     01 Sep 10             102.35               0.00       144,418.18       148,409.77       3,991.59  
CMO COML MTG TR 2007-GG9 MTG PASSTHRU CTF CL A-4 5.444 DUE 03-10-2039 REG CUSIP: 20173QAE1
    305,000.00     06 Jan 10     92.70                       0.00       282,720.70       282,720.70       0.00  
CMO COML MTG TR 2007-GG9 MTG PASSTHRU CTF CL A-4 5.444 DUE 03-10-2039 REG CUSIP: 20173QAE1
    240,000.00     17 Jun 10     98.72                       0.00       236,934.38       236,934.38       0.00  
CMO COML MTG TR 2007-GG9 MTG PASSTHRU CTF CL A-4 5.444 DUE 03-10-2039 REG CUSIP: 20173QAE1
    -350,000.00     06 Jan 10             92.68               0.00       255,361.33       324,392.58       69,031.25  
CMO COML MTG TR 2007-GG9 MTG PASSTHRU CTF CL A-4 5.444 DUE 03-10-2039 REG CUSIP: 20173QAE1
    -410,000.00     08 Jan 10             91.96               0.00       375,545.14       377,023.83       1,478.69  
NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

117


 

5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u   5% Report — Part D
 
    Series of Transactions with Same Party in Excess of 5%
                                                                         
                    Acquisition     Disposition     Lease     Expenses             Current Value on        
Security Description / Asset ID   Shares/Par Value     Date     Price     Price     Rental     Incurred     Cost     Transaction Date     Net Gain/Loss    
GOLDMAN SACHS & COMPANY
                                                                       
CMO COML MTG TR 2007-GG9 MTG PASSTHRU CTF CL A-4 5.444 DUE 03-10-2039 REG CUSIP: 20173QAE1
    -260,000.00     12 Feb 10             94.14               0.00       238,150.58       244,755.47       6,604.89  
CMO CR SUISSE COML MTG TR SER 2006-C5 COML MTG PASSTHRU 5.311 DUE 12-15-39 CUSIP: 22545LAD1
    410,000.00     10 May 10     95.96                       0.00       393,439.84       393,439.84       0.00  
CMO CREDIT SUISSE 1ST BSTN MTG SECS CORP 2005-C2 CL A-AB 4.681 DUE 04-15-2037 RE CUSIP: 225458RS9
    -100,000.00     01 Feb 10             102.85               0.00       98,382.81       102,851.56       4,468.75  
CMO J P MORGAN CHASE COML MTG SECS TR 2006-LDP7 CL A-4 DUE 04-15-2045 REG CUSIP: 46628FAF8
    -335,000.00     16 Sep 10             109.88               0.00       350,976.41       368,081.25       17,104.84  
CMO J P MORGAN CHASE COML MTG SECS TR 2007-C 5.631 DUE 02-15-2051 REG CUSIP: 46630DAD4
    365,000.00     27 Jan 10     84.43                       0.00       308,154.10       308,154.10       0.00  
CMO J P MORGAN CHASE COML MTG SECS TR 2007-C 5.631 DUE 02-15-2051 REG CUSIP: 46630DAD4
    830,000.00     09 Feb 10     85.72                       0.00       711,465.63       711,465.63       0.00  
CMO MORGAN STANLEY CAP 1 TR 06-1Q12 COML MTG PASSTHRU CTF CL A-4 DUE 121543 REG CUSIP:
    485,000.00     09 Apr 10     99.93                       0.00       484,640.04       484,640.04       0.00  
CMO SER 2006-C7 CL A4 FLT RT DUE 06-10-2046 REG CUSIP: 20047QAE5
    300,000.00     05 Apr 10     103.67                       0.00       311,015.63       311,015.63       0.00  
CMO WACHOVIA BK COML MTG TR COML MTG PASS-TH CL A-4 5.572 DUE 10-15-2048 BEO CUSIP: 92978MAE6
    925,000.00     21 Jan 10     96.43                       0.00       891,974.61       891,974.61       0.00  
COCA COLA CO 1.5% DUE 11-15-2015 CUSIP: 191216AP5
    285,000.00     04 Nov10     99.77                       0.00       284,344.50       284,344.50       0.00  
GEN ELEC CAP CORP 5.5% DUE 01-03-2020 CUSIP: 36962G4J0
    80,000.00     05 Jan 10     100.21                       0.00       80,164.80       80,164.80       0.00  
GEN ELEC CAP CORP 5.875% DUE 01-14-2038 CUSIP: 36962G3P7
    -1,765,000.00     23 Sep 10             100.83               0.00       1,605,122.90       1,779,702.45       174,579.55  
GENERAL ELEC CAP CORP MEDIUM TERM NTS BOOK ENTRY MTN 4.375% DUE 09-16-2020 CUSIP: 36962G4R2
    -240,000.00     14 Oct 10             101.03               0.00       238,120.80       242,474.40       4,353.60  
GENERAL ELEC CO 5.25% DUE 12-O6-2017 CUSIP: 369604BC6
    -120,000.00     05 Jan 10             103.37               0.00       121,115.68       124,048.80       2,933.12  
GOLDMAN SACHS GROUP INC FOR FUTURE EQUIT GOLDMAN SACHS GP 5.625 DUE 011517 CUSIP: 38141GEU4
    -100,000.00     01 Mar 10             101.22               0.00       94,895.00       101,223.00       6,328.00  
NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

118


 

5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u   5% Report — Part D
 
    Series of Transactions with Same Party in Excess of 5%
                                                                         
                    Acquisition     Disposition     Lease     Expenses             Current Value on           
Security Description / Asset ID   Shares/Par Value     Date     Price     Price     Rental     Incurred     Cost     Transaction Date     Net Gain/Loss  
GOLDMAN SACHS & COMPANY
                                                                       
GOLDMAN SACHS GROUP INC MEDIUM TERM NTS BOOK ENTRY NT 5.375% DUE 03-15-2020 CUSIP: 38141EA58
    100,000.00     01 Mar 10     99.10                       0.00       99,099.00       99,099.00       0.00  
GOLDMAN SACHS 6.75% DUE 10-01-2037 CUSIP: 38141GFD1
    -20,000.00     23 Apr 10             97.01               0.00       13,527.45       19,402.00       5,874.55  
GOLDMAN SACHS 6.75% DUE 10-01-2037 CUSIP: 38141GFD1
    -95,000.00     27 Apr 10             94.42               0.00       64,255.39       89,702.80       25,447.41  
HEWLETT PACKARD CO 5.5% DUE 03-01-2018 CUSIP: 428236AS2
    280,000.00     22 Dec 10     112.36                       0.00       314,605.20       314,605.20       0.00  
LINCOLN NATL CORP 6.25% DUE 02-15-2020 CUSIP: 534187AY5
    -225,000.00     08 Sep 10             110.05               0.00       226,918.27       247,621.50       20,703.23  
METLIFE INC 6.75% DUE 06-01-2016 CUSIP: 59156RAU2
    -70,000.00     05 Feb 10             112.45               0.00       78,050.00       78,715.70       665.70  
METLIFE INC 7.717% DUE 02-15-2019 CUSIP: 59156RAT5
    -225,000.00     06 Dec 10             123.96               0.00       241,068.00       278,916.75       37,848.75  
PNC FDG CORP SR NT 6.7 DUE 06-10-2019 CUSIP: 693476BF9
    -170,000.00     01 Jul 10             116.12               0.00       169,794.85       197,410.80       27,615.95  
PVTPL GTD SR NT 144A 7.125% DUE 04-15-2018 BEO CUSIP: 92928QAA6
    -305,000.00     23 Sep 10             117.62               0.00       308,791.05       358,731.85       49,940.80  
PVTPL MASS MUT LIFE INS CO SURP NT 144A 8.875 DUE 06-01-2039 BEO CUSIP: 575767AG3
    1,260,000.00     20 Dec 10     134.75                       0.00       1,697,799.60       1,697,799.60       0.00  
PVTPL WEA FIN LLC / WT FIN AUST PTY LTD GTD SR NT 144A 6.75% DUE 0902-2019 BEO CUSIP: 92933WAB4
    -280,000.00     23 Sep 10             116.89               0.00       285,488.95       327,303.20       41,814.25  
TRAVELERS COS INC 5.8% DUE 05-15-2018 CUSIP: 89417EAE9
    -320,000.00     06 Dec 10             113.38               0.00       322,265.60       362,825.60       40,560.00  
VERIZON 8.95% DUE 03-01-2039 CUSIP: 92343VAR5
    -210,000.00     06 Apr 10             133.30               0.00       268,256.85       279,921.60       11,664.75  
WAL-MART STORES 5.625% DUE 04-01-2040 CUSIP: 931142CS0
    660,000.00     24 Mar 10     99.16                       0.00       654,423.00       654,423.00       0.00  
WAL-MART STORES 5% DUE 10-25-2040 CUSIP: 931142CY7
    525,000.00     20 Dec 10     96.00                       0.00       503,989.50       503,989.50       0.00  
NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

119


 

     
5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u    5% Report — Part D
 
    Series of Transactions with Same Party in Excess of 5%
                                                                         
                    Acquisition   Disposition   Lease   Expenses           Current Value on    
Security Description / Asset ID   Shares/Par Value   Date   Price   Price   Rental   Incurred   Cost   Transaction Date   Net Gain/Loss
 
GOLDMAN SACHS & COMPANY
                                                                       
XTO ENERGY INC 6.375% DUE 06-15-2038 CUSIP: 98385XAQ9
    -530,000.00     20 Jul 10             127.32               0.00       525,409.60       674,790.70       149,381.10  
 
                                                                       
Corporate Debt Instruments — Other
                                                                       
 
                                                                       
Canada — USD
                                                                       
 
                                                                       
TECK RESOURCES LTD 10.75% DUE 05-15-2019 CUSIP:
                                                                       
878742AQ8
    300,000.00     18 Jun 10     121.25                       0.00       363,750.00       363,750.00       0.00  
 
                                                                       
United Kingdom — USD
                                                                       
 
                                                                       
PVTPL BRITISH SKY BROADCASTING GROUP PLC SR NT 6.1% DUE 02-15-2018/02-15-2008 BE CUSIP:
    -170,000.00     28 Sep 10             115.32               0.00       171,951.60       196,035.50       24,083.90  
PVTPL PEARSON DLR FIN TWO PLC GTD SR NT 144A 6.25% DUE 05-06-2018 BEO CUSIP: 705010AB2
    -100,000.00     04 Feb 10             107.81               0.00       99,816.00       107,810.00       7,994.00  
PVTPL PEARSON DLR FIN TWO PLC GTD SR NT 144A 6.25% DUE 05-06-2018 BEO CUSIP: 705010AB2
    -305,000.00     27 Sep 10             115.22               0.00       307,719.15       351,411.85       43,692.70  
 
                                                                       
United States — USD
                                                                       
 
                                                                       
ADOBE SYS INC 4.75 DUE 02-01-2020 CUSIP: 00724FAB7
    -205,000.00     11 Fab 10             98.36               0.00       204,321.60       201,629.80       -2,691.80  
 
                                                                       
CMO COMM 2006-C8 MTG TR MTG PASSTHRU CTF CL A-4 5.3060002327% DUE 12-10-2046 REG CUSIP: 20047EAE2
    1,250,000.00     28 Apr 10     97.44                       0.00       1,217,968.75       1,217,968.75       0.00  
CMO COMM 2006-C8 MTG TR MTG PASSTHRU CTF CL A-4 5.3060002327% DUE 12-10-2046 REG CUSIP: 20047EAE2
    -1,250,000.00     11 Jun 10             96.89               0.00       1,217,968.75       1,211,181.64       -6,787.11  
CMO GS MTG SECS TR 2007 GG10 MTG PASS THRU CTF CL A-4 DUE 08-10-2045 REG CUSIP: 36246LAE1
    380,000.00     10 Mar 10     91.79                       0.00       348,813.28       348,813.28       0.00  
CMO GS MTG SECS TR 2007 GG10 MTG PASS THRU CTF CL A-4 DUE 08-10-2045 REG CUSIP: 36246LAE1
    645,000.00     07 May 10     93.96                       0.00       606,048.05       606,048.05       0.00  
CMO GS MTG SECS TR 2007 GG10 MTG PASS THRU CTF CL A-4 DUE 08-10-2045 REG CUSIP: 36246LAE1
    230,000.00     11 May 10     94.24                       0.00       216,748.05       216,748.06       0.00  
NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

120


 

     
5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u    5% Report — Part D
 
    Series of Transactions with Same Party in Excess of 5%
                                                                         
                    Acquisition   Disposition   Lease   Expenses           Current Value on    
Security Description / Asset ID   Shares/Par Value   Date   Price   Price   Rental   Incurred   Cost   Transaction Date   Net Gain/Loss
 
GOLDMAN SACHS & COMPANY
                                                                       
CMO GS MTG SECS TR 2007 GG10 MTG PASS THRU CTF CL A-4 DUE 08-10-2045 REG CUSIP: 36246LAE1
    -200,000.00     13 Apr 10             96.35               0.00       181,466.25       192,695.31       11,229.06  
CMO GS MTG SECS TR 2007 GG10 MTG PASS THRU CTF CL A-4 DUE 08-10-2045 REG CUSIP: 36246LAE1
    -240,000.00     17 Jun 10             96.73               0.00       225,707.36       232,162.50       6,455.14  
CMO GS MTG SECS TR 2007 GG10 MTG PASS THRU CTF CL A-4 DUE 08-10-2045 REG CUSIP: 36246LAE1
    -120,000.00     29 Jun 10             97.99               0.00       112,853.68       117,585.94       4,732.26  
CMO J P MORGAN CHASE COML MTG SECS CORP 2005-CIBC13 MTG PASSTHRU DUE 01-12-43 CUSIP:
    510,000.00     27 Apr 10     101.65                       0.00       518,426.95       518,426.95       0.00  
REVERSAL: CMO J P MORGAN CHASE COML MTG SECS CORP 2005-CIBC13 MTG PASSTHRU DUE 01-12-43 CUSIP:
    -510,000.00     27 Apr 10     101.65                       0.00       -518,426.95       -518,426.95       0.00  
CMO J P MORGAN CHASE COML MTG SECS CORP 2005-CIBC13 MTG PASSTHRU DUE 01-12-43 CUSIP:
    -1,270,000.00     11 Jun 10             102.08               0.00       1,290,806.64       1,296,392.19       5,585.55  
CMO ML CFC COML MTG TR 2006 3 MTG PASSTHRU CTF CL A4 DUE 07-12-2046 REG CUSIP: 60687VAE5
    -520,000.00     02 Sep 10             106.16               0.00       525,281.25       552,032.81       26,751.56  
CNA FINL CORP NT 5.875 DUE 08-15-2020 CUSIP: 126117AQ3
    240,000.00     08 Sep 10     100.15                       0.00       240,357.60       240,357.60       0.00  
COMCAST CORP NEW 4.95% DUE 06-15-2016 CUSIP: 20030NAG6
    325,000.00     30 Jun 10     107.61                       0.00       349,716.25       349,716.25       0.00  
COMCAST CORP NEW 5.9% DUE 03-15-2016 CUSIP: 20030NAL5
    -330,000.00     30 Jun 10             112.61               0.00       349,892.40       371,619.60       21,727.20  
COMCAST CORP NEW 6.4% DUE 05-15-2038 CUSIP: 20030NAX9
    300,000.00     24 Feb 10     100.90                       0.00       302,709.00       302,709.00       0.00  
COMCAST CORP NEW 6.5 DUE 15-01-2017 CUSIP: 20030NAP6
    785,000.00     15 Mar 10     111.50                       0.00       875,251.45       875,251.45       0.00  
COMCAST CORP NEW 6.5% DUE 01-15-2015 CUSIP: 20030NAB7
    -590,000.00     15 Mar 10             113.16               0.00       648,970.50       667,667.60       18,697.10  
DISCOVERY 5.625 DUE 08-15-2019 CUSIP: 25470DAA7
    -145,000.00     05 Nov 10             115.67               0.00       146,416.55       167,718.60       21,302.05  
DOW CHEM CO 8.55% DUE 05-15-2019 CUSIP: 260543BX0
    -120,000.00     08 Jan 10             120.87               0.00       119,752.80       145,039.20       25,286.40  
NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

121


 

     
5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u    5% Report — Part D
 
    Series of Transactions with Same Party in Excess of 5%
                                                                         
                    Acquisition   Disposition   Lease   Expenses           Current Value on    
Security Description / Asset ID   Shares/Par Value   Date   Price   Price   Rental   Incurred   Cost   Transaction Date   Net Gain/Loss
 
GOLDMAN SACHS & COMPANY
                                                                       
HARTFORD FINL SVCS SR NT 4 DUE 03-30-2015 CUSIP: 416515AY0
    185,000.00     18 Mar 10     99.93                       0.00       184,874.20       184,874.20       0.00  
HARTFORD FINL SVCS 5.5% DUE 03-30-2020 CUSIP: 416515AZ7
    315,000.00     18 Mar 10     99.76                       0.00       314,228.25       314,228.25       0.00  
PLAINS ALL AMERN 6.7% DUE 05-15-2036 CUSIP: 72650RAM4
    -180,000.00     23 Sep 10             108.93               0.00       179,204.60       196,068.60       16,864.00  
PLAINS ALL AMERN 8.75% DUE 05-01-2019 CUSIP: 72650RAU6
    -130,000.00     09 Dec 10             124.71               0.00       155,425.85       162,121.70       6,695.85  
PVTPL COX COMMUNICATIONS INC NEW NT 144A 8.375% DUE 03-01-2039 BEO CUSIP: 224044BV8
    -135,000.00     01 Mar 10             124.97               0.00       166,009.21       168,704.10       2,694.89  
PVTPL VIVENDI NT 144A 6.625% DUE 04-04-2018/04-04-2008 CUSIP: 92852EAL9
    -145,000.00     23 Mar 10             109.59               0.00       144,528.75       158,898.25       14,369.50  
REED ELSEVIER CAP 8.625% DUE 01-15-2019 CUSIP: 758202AG0
    -600,000.00     10 Dec 10             127.10               0.00       703,884.65       762,576.00       58,691.35  
TIME WARNER CABLE 7.3% DUE 07-01-2038 CUSIP: 88732JAN8
    1,415,000.00     20 Dec 10     114.90                       0.00       1,625,863.30       1,625,863.30       0.00  
UNION PAC CORP 6.125% DUE 02-15-2020 CUSIP: 907818DD7
    -175,000.00     28 Jul 10             116.48               0.00       173,574.50       203,833.00       30,258.50  
XEROX CORP 6.75% DUE 12-15-2039 CUSIP: 984121CB7
    -90,000.00     28 Apr 10             106.88               0.00       91,191.68       98,192.00       5,000.32  
 
                                                                       
Other
                                                                       
 
                                                                       
Germany — USD
                                                                       
 
                                                                       
KREDITANSTALT FUR WIEDERAUFBAU KFW GLOBAL NT 4.125% DUE 10-15-2014 REG CUSIP: 500769AX2
    65,000.00     07 Oct 10     111.65                       0.00       72,569.25       72,569.25       0.00  
 
                                                                       
United States — USD
                                                                       
 
                                                                       
CHICAGO ILL TRAN AUTH SALES TAX RCPTS REV 6.2% 12-01-2040 BEO TAXABLE CUSIP: 16772PAQ9
    240,000.00     07 Apr 10     97.95                       0.00       235,068.00       235,068.00       0.00  
NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

122


 

5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u   5% Report — Part D
 
    Series of Transactions with Same Party in Excess of 5%
                                                                         
                    Acquisition   Disposition   Lease   Expenses           Current Value on    
Security Description / Asset ID   Shares/Par Value   Date   Price   Price   Rental   Incurred   Cost   Transaction Date   Net Gain/Loss
 
GOLDMAN SACHS & COMPANY
                                                                       
FUT CALL APR 10 T-NOTE OPTION 1165 CUSIP: 999999OA8
    100.00     10 Feb 10     1,093.75                       0.00       109,656.00       109,656.00       0.00  
FUT CALL APR 10 T-NOTE OPTION 1165 CUSIP: 999999OA8
    -100.00     19 Feb 10             468.75               0.00       109,656.00       46,624.00       -63,032.00  
FUT CALL DEC 10 T-NOTE OPTION 1255 CUSIP: 999999OA8
    85.00     02 Sep 10     1,390.63                       0.00       118,442.40       118,442.40       0.00  
FUT CALL DEC 10 T-NOTE OPTION 1255 CUSIP: 999999OA8
    -85.00     07 Sep 10             1.156.25               0.00       118,442.40       98,042.40       -20,400.00  
FUT CALL OCT 10 T-NOTE OPTION 1220 CUSIP: 999999OA8
    65.00     01 Jul 10     1,515.63                       0.00       98,698.60       98,698.60       0.00  
FUT CALL OCT 10 T-NOTE OPTION 1220 CUSIP: 999999OA8
    -65.00     29 Jul 10             1.218.75               0.00       98,698.60       79,036.10       -19,662.50  
FUT CALL OCT 10 T-NOTE OPTION 1250 CUSIP: 999999OA8
    -65.00     01 Jul 10     531.25                       0.00       34,348.60       34,348.60       0.00  
FUT CALL OCT 10 T-NOTE OPTION 1250 CUSIP: 999999OA8
    65.00     29 Jul 10     234.38                       0.00       34,348.60       15,417.35       18,931.25  
FUT CALL SEP 10 T-NOTE OPTION 1170 CUSIP: 999999OA8
    60.00     21 Apr 10     1,046.88                       0.00       62,981.40       62,981.40       0.00  
FUT CALL SEP 10 T-NOTE OPTION 1170 CUSIP: 999999OA8
    50.00     22 Apr 10     1,125.00                       0.00       56,380.50       56,390.50       0.00  
FUT CALL SEP 10 U.S. T-BONDS 125 CUSIP: 999999OA8
    25.00     10 Jun 10     2,343.75                       0.00       58,664.00       58,664.00       0.00  
FUT CALL SEP 10 U.S. T-BONDS 125 CUSIP: 999999OA8
    25.00     10 Jun 10     2,500.00                       0.00       62,670.25       62,570.25       0.00  
FUT PUT SEP 10 T-NOTE OPTION 1120 CUSIP: 999999OA8
    -50.00     28 Apr 10     531.25                       0.00       26,452.00       26,452.00       0.00  
FUT PUT SEP 10 T-NOTE OPTION 1120 CUSIP: 999999OA8
    -20.00     04 May 10     343.75                       0.00       6,818.80       6,818.80       0.00  
FUT PUT SEP 10 T-NOTE OPTION 1120 CUSIP: 999999OA8
    70.00     25 May 10     109.38                       0.00       33,270.80       7,853.30       25,417.50  
NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

123


 

5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u   5% Report — Part D
 
    Series of Transactions with Same Party in Excess of 5%
                                                                         
                    Acquisition   Disposition   Lease   Expenses           Current Value on    
Security Description / Asset ID   Shares/Par Value   Date   Price   Price   Rental   Incurred   Cost   Transaction Date   Net Gain/Loss
 
GOLDMAN SACHS & COMPANY
                                                                       
FUT PUT SEP 10 T-NOTE OPTION 1160 CUSIP: 999999OA8
    -70.00     25 May 10     390.63                       0.00       27,147.40       27,147.40       0.00  
FUT PUT SEP 10 T-NOTE OPTION 1160 CUSIP: 999999OA8
    70.00     28 Jun 10     109.38                       0.00       27,147.40       7,811.30       19,336.10  
METROPOLITAN TRANSN AUTH N Y REV 6.548% 11-15-2031 BEO TAXABLE CUSIP: 59259YCA5
    430,000.00     27 Apr 10     105.41                       0.00       453,271.60       453,271.60       0.00  
MI TOB SETTLEMENT FIN AUTH TOB SET SER A 0 06-01-34 REG TAXABLE CUSIP: 594751AB5
    -415,000.00     23 Nov10             71.45               0.00       415,079.23       296,517.50       -118,561.73  
TOBACCO SETTLEMENT FIN AUTH WEST VA AST BACKED 7.467 06-01-2047 BEO TAXABLE CUSIP: 88880LAA1
    -110,000.00     14 Oct 10             78.40               0.00       110,000.00       86,241.10       -23,758.90  
Other Liabilities
                                                                       
United States — USD
                                                                       
FUT CALL APR 10 T-NOTE OPTION 1180 CUSIP: 999999OA8
    -100.00     10 Feb 10     468.75                       0.00       46,594.00       46,594.00       0.00  
FUT CALL APR 10 T-NOTE OPTION 1180 CUSIP: 999999OA8
    100.00     19 Feb 10     140.63                       0.00       46,594.00       14,314.00       32,280.00  
FUT CALL DEC 10 T-NOTE OPTION 1280 CUSIP: 999999OA8
    -85.00     02 Sep 10     562.50                       0.00       47,573.65       47,573.65       0.00  
FUT CALL DEC 10 T-NOTE OPTION 1280 CUSIP: 999999OA8
    85.00     07 Sep 10     421.88                       0.00       47,573.65       36,098.65       11,475.00  
FUT CALL SEP 10 T-NOTE OPTION 1185 CUSIP: 999999OA8
    -60.00     21 Apr 10     562.50                       0.00       33,581.40       33,581.40       0.00  
FUT CALL SEP 10 T-NOTE OPTION 1185 CUSIP: 999999OA8
    -50.00     22 Apr 10     625.00                       0.00       31,109.50       31,109.50       0.00  
FUT CALL SEP 10 U.S. T-BONDS 128 CUSIP: 999999OA8
    -25.00     10 Jun 10     1,500.00                       0.00       37,429.75       37,429.75       0.00  
FUT CALL SEP 10 U.S. T-BONDS 128 CUSIP: 999999OA8
    -25.00     10 Jun 10     1,390.63                       0.00       34,695.50       34,695.50       0.00  
NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

124


 

5500 Supplemental Schedules   Account number 7870
31 DEC 10   Account Name MONSANTO WRAPPED CONSOLIDATED
u   5% Report — Part D
 
    Series of Transactions with Same Party in Excess of 5%
                                                                         
                    Acquisition   Disposition   Lease   Expenses           Current Value on    
Security Description / Asset ID   Shares/Par Value   Date   Price   Price   Rental   Incurred   Cost   Transaction Date   Net Gain/Loss
 
GOLDMAN SACHS & COMPANY
                                                                       
FUT PUT MAR 10 T-NOTE OPTION 1140 CUSIP: 999999OA8
    -50.00     06 Jan 10     390.63                       0.00       19,391.00       19,391.00       0.00  
FUT PUT MAR 10 T-NOTE OPTION 1140 CUSIP: 999999OA8
    50.00     12 Jan 10     203.13                       0.00       19,391.00       10,297.00       9,094.00  
REVERSE REPO W/ BARCLAYS 912828ND8 CUSIP: 999400AB0
    -998,774.51     15 Jun 10             100.00               0.00       998,774.51       998,774.51       0.00  
 
Total GOLDMAN SACHS & COMPANY
                                                    339,668,433.62       341,116,038.81       1,680,672.89  
NOTE: TRANSACTIONS ARE BASED ON THE 2009-12-31 VALUE (INCLUDING ACCRUALS) OF 555,457,626.25

125


 

MONSANTO SAVINGS AND INVESTMENT PLAN
EIN 43-1878297
SUPPLEMENTAL SCHEDULE 4
Form 5500, Schedule G, Part I –
Schedule of Loans or Fixed Income Obligations in Default or
Classified as Uncollectible for the Year Ended Dec. 31, 2010

126


 

5500 Supplemental Schedules
      31-Dec-10
Schedule of Loans or Fixed Income Obligations in Default or Classified as Uncollectible
                                                                 
                            Unpaid                                
            Original   Amount of   Amount of   Balance                                
            Amount of debt   Prin received   Int received   12-31-10                           Prin   Int
Issue   Cusip   Name & Address   (USD)   in ‘10 (USD)   in ‘10 (USD)   (USD)   Issue Date   Maturity   Interest   Collateral   Description of Uncollectibility   Overdue   Overdue
Kaupthing Bank
  48632HAA5   Borgartun 26, 7th floor,
105 Reykjavik, Iceland
  805,086         805,086     5/19/2006   5/19/2016     7.1 %       The fund manager classified this subordinated note held as “Not
Under Management” (“NUM”). This re-classification was
precipitated by several ongoing issues: 1) manager had to “block”
the security in order to submit it for claim in December, 2009, and is
still not able to sell or transfer the security; 2) while there has been
no explicit statement regarding potential recovery, there have been
disclosures in the monthly Kaupthing Bank Creditor’s Reports and
communications from the Kaupthing Bank Winding Up Committee
indicating that there will be no payout on these subordinated notes;
and 3) the major pricing services are no longer pricing the security.
  N/A   N/A

127


 

SIGNATURE
Pursuant to the requirements of the Securities Exchange Act of 1934, the trustees (or other persons who administer the employee benefit plan) have duly caused this annual report to be signed on its behalf by the undersigned hereunto duly authorized.
         
    MONSANTO SAVINGS AND INVESTMENT PLAN
 
 
    By:    
     /s/ KAREN P. WISHART    
    Karen P. Wishart, Chairperson of the   
    Monsanto Company Employee Benefits Plans Committee, Administrator of the Plan   
 
June 17, 2011

128


 

EXHIBIT INDEX
     
Exhibit    
Number   Description
 
   
23
  Consent of Independent Registered Public Accounting Firm

129