þ | ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
o | TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 |
1 | ||||||||
3 | ||||||||
4 | ||||||||
5 | ||||||||
10 | ||||||||
Exhibits: |
||||||||
Exhibit 23.1 Consent of Independent Registered Public Accounting Firm |
||||||||
Exhibit 23.2 Consent of Independent Registered Public Accounting Firm |
||||||||
EX-23.1 Consent of Ernst & Young LLP | ||||||||
Ex-23.2 Consent of Hoyman, Dobson & Company,P.A. |
1
2
June 30 | ||||||||
2006 | 2005 | |||||||
ASSETS |
||||||||
Investments at fair value: |
||||||||
Common stocks |
$ | 615,497,213 | $ | 594,173,911 | ||||
Registered investment companies |
306,263,810 | 237,313,330 | ||||||
Common/collective trust funds |
904,627,150 | 860,924,212 | ||||||
Master trust investment account |
39,825,775 | | ||||||
Guaranteed investment contracts, at contract value |
509,727,788 | 508,673,004 | ||||||
Corporate bonds and debentures |
1,057,637 | 1,084,013 | ||||||
Real estate investments |
1,349,268 | 2,116,577 | ||||||
Participant loans |
29,279,610 | 27,460,670 | ||||||
Total investments |
2,407,628,251 | 2,231,745,717 | ||||||
Receivables: |
||||||||
Contributions receivable: |
||||||||
Harris Corporation |
48,593,346 | 44,447,187 | ||||||
Participants |
4,207,861 | 3,635,631 | ||||||
Accrued interest and dividends |
397,666 | 149,596 | ||||||
Due from broker for securities sold |
1,707,235 | 4,680,375 | ||||||
Total receivables |
54,906,108 | 52,912,789 | ||||||
Cash and Cash Equivalents |
5,304,624 | 4,661,045 | ||||||
Total assets |
2,467,838,983 | 2,289,319,551 | ||||||
LIABILITIES |
||||||||
Due to participants |
| 42,199 | ||||||
Accrued expenses |
336,272 | 537,232 | ||||||
Due to broker for securities purchased |
1,153,533 | 3,362,439 | ||||||
Total liabilities |
1,489,805 | 3,941,870 | ||||||
Net assets available for benefits |
$ | 2,466,349,178 | $ | 2,285,377,681 | ||||
3
Additions to net assets attributed to: |
||||
Investment income: |
||||
Net appreciation in fair value of investments |
$ | 176,584,618 | ||
Interest |
3,331,465 | |||
Dividends |
10,866,347 | |||
Total investment income |
190,782,430 | |||
Contributions: |
||||
Participant rollovers |
6,237,302 | |||
Employer profit sharing |
46,103,048 | |||
Employer matching |
41,999,482 | |||
Participant |
72,600,343 | |||
Total contributions |
166,940,175 | |||
Transfer of assets into the Plan |
1,438,526 | |||
Total additions |
359,161,131 | |||
Deductions from net assets attributed to: |
||||
Benefits paid to participants |
174,495,770 | |||
Administrative expenses |
3,691,858 | |||
Transfer of assets out of the Plan |
2,006 | |||
Total deductions |
178,189,634 | |||
Net increase |
180,971,497 | |||
Net assets available for benefits: |
||||
Beginning of year |
2,285,377,681 | |||
End of year |
$ | 2,466,349,178 | ||
4
A. | General The Plan is a defined contribution plan with a 401(k) feature covering substantially all eligible employees of Harris Corporation and certain of its subsidiaries (collectively, the Company or Employer) as defined in the Plan document. The Plan Administrator is the Harris Corporation Employee Benefits Committee comprised of persons appointed by Harris Corporation. The Plan is subject to the provisions of the Employee Retirement Income Security Act of 1974 (ERISA), as amended. | ||
B. | Contributions Participants may contribute a percentage of both pre-tax and after-tax eligible compensation, as defined in the Plan document and subject to Internal Revenue Code (the Code) limitations. Participants age 50 and older by the end of the Plan year can contribute an additional amount above the annual pre-tax limitation, as defined in the Plan document and subject to the Code limitation. The Company matches 100% of pre-tax and after-tax contributions subject to a limit of 6% of eligible compensation for any eligible employee who has completed one year of service. Participants who make no election with respect to pre-tax or after-tax contributions receive an automatic deferment of 6% of eligible compensation on a pre-tax basis. For Plan years ending prior to June 30, 2005, the Employer had an obligation to make a profit sharing contribution to the Plan in the amount of 11.5% of adjusted consolidated net income as defined in the Plan document. Such contribution was allocated to eligible participants as defined in the Plan document who have completed one year of service and were employed on the last day of the Plan year. Effective for Plan years commencing after June 30, 2005, the Plan adopted a new profit sharing formula tied to the Companys earnings per share and related financial targets. The new formula is described in the Plan document. The Employer may also make additional discretionary profit sharing contributions which are allocated to eligible employees based on compensation and excess compensation as defined in the Plan document. | ||
C. | Payments of Benefits Prior to termination of employment, a participant may withdraw all or any portion of his or her after-tax account balance or rollover balance. Upon death, disability, retirement or termination of employment a participant may elect to receive either a lump-sum amount equal to the participants vested interest in his or her account, or installments over a future period. An employee may also receive a distribution for financial hardship per the Plan document. | ||
D. | Participant Loans The loan program permits employees to borrow against their pre-tax, after-tax and rollover contributions. Employees may borrow in increments of $100 from a minimum of $500 to a maximum of 50% of the vested portion of the participants account or $50,000 whichever is lower, within certain limitations established by the Plan. Payback periods range from one to five years at the option of the participant and may be longer if the loan is to be used for the purchase of a principle residence. Interest rates are established by the Company based on market rates. Loans are paid back ratably through payroll deductions. The outstanding loans have been established as a separate fund. | ||
E. | Participant Accounts Each participants account is credited with the participants contribution and allocations of (a) the Companys matching contribution, (b) the Companys profit sharing contribution, (c) the Companys additional discretionary profit sharing contribution, if any, and, (d) Plan earnings and charged with an allocation of administrative expenses. Allocations are based on participant earnings or account balances, as defined. The benefit to which a participant is entitled is the benefit that can be provided from the participants vested account. |
5
F. | Vesting Participants are immediately vested in their pre-tax and after-tax contributions plus actual earnings thereon. Vesting in the Employer matching, profit sharing and discretionary contributions plus earnings is based on years of continuous service. A participant is 100% vested after six years of credited service, based on the following schedule: |
Years of Service | Vesting Percentage | |||
Less than 2 years |
0% | |||
2 years |
20% | |||
3 years |
40% | |||
4 years |
60% | |||
5 years |
80% | |||
6 years or more |
100% |
G. | Forfeitures A participant who terminates employment for reasons other than retirement or other specified circumstances and is not 100% vested will forfeit the non-vested portion of the Companys contributions unless the participant returns to employment within five years. The forfeited contributions are used first to restore recently located missing participants, as defined in the Plan document; next, to restore accounts of participants who were reemployed prior to incurring a break in service of five consecutive years; next, to fund any matching or profit sharing contributions to be allocated to participants who are reemployed after a period of qualified military service, as defined in the Plan document; and finally, to reduce future contributions to the Plan by the Company. Forfeited amounts included in Plan assets at June 30, 2006 and 2005 were $96,862 and $138,123, respectively. For the year ended June 30, 2006 Employer contributions were reduced by $1,487,274 from forfeited nonvested accounts. | ||
H. | Plan Termination Although it has not expressed any intent to do so, the Company has the right under the Plan to discontinue its contributions at any time and to terminate the Plan subject to the provisions of ERISA. In the event of Plan termination, participants will become 100 percent vested in their accounts. | ||
I. | Investment Options Upon enrollment into the Plan, a participant may direct Employer and Participant contributions in any of several investment options, except that profit sharing contributions may not be invested in the Harris Stock Fund. The investment options are fully described in the Employer Summary Plan Description available to participants. Elections to change funds can be made daily; however, amounts in the Stable Value Fund, which is comprised of unallocated insurance contracts, cannot be transferred directly to the Money Market Fund. A participant may not transfer amounts from other investment funds to the Harris Stock Fund and are governed by other limitations described in the Plan document. |
6
Net appreciation(depreciation) in fair value as determined by quoted market prices: |
||||
Common stocks |
$ | 58,519,749 | ||
Registered investment companies |
42,164,775 | |||
Corporate bonds and debentures |
(26,375 | ) | ||
Real estate investments |
41,297 | |||
100,699,446 | ||||
Net appreciation in fair value as determined by investee company: |
||||
Common/collective trusts |
54,616,781 | |||
Master trust investment account |
1,182,541 | |||
Guaranteed investment contracts |
20,085,850 | |||
75,885,172 | ||||
Total net appreciation in fair value |
$ | 176,584,618 | ||
7
2006 | 2005 | |||||||
MFB NTGI-QM Collective Daily Russell 1000 Equity Index Fund |
$ | 210,377,575 | $ | 214,365,209 | ||||
MFB NTGI-QM
Collective Daily S&P 500 Equity Index Fund |
258,641,075 | 256,845,027 | ||||||
MFO Bank of New York Collective TR Aggregate Index Fund |
262,613,561 | 247,248,311 | ||||||
MFO Columbia FDS SER TR Intl. Fund |
161,920,365 | * | ||||||
Harris Corporation common stock |
125,800,040 | * |
Assets |
||||
Investments at fair value: |
||||
Cash and cash equivalents |
$ | 6,866,695 | ||
Common Stocks |
32,079,729 | |||
Real Estate investments |
869,757 | |||
Other |
273,229 | |||
Receivables: |
||||
Due from broker for securities sold |
129,461 | |||
Accrued investment income receivable |
32,004 | |||
Total assets |
40,250,875 | |||
Liabilities |
||||
Due to broker for securities purchased |
420,417 | |||
Other payables |
4,683 | |||
Total liabilities |
425,100 | |||
Net
assets |
$ | 39,825,775 | ||
Investment
results: |
||||
Net appreciation in fair value of investments |
$ | 1,318,672 | ||
Interest |
9,094 | |||
Dividends |
14,485 | |||
Less: administrative expenses |
(4,683 | ) | ||
Net
transfers into the Master Trust Investment Account |
38,488,207 | |||
Increase in
net assets of the Master Trust Investment Account |
$ | 39,825,775 | ||
8
2006 | 2005 | ||||||||||||||||
Shares | Fair Value | Shares | Fair Value | ||||||||||||||
Harris Corporation common stock |
3,030,596 | $ | 125,800,040 | 3,063,887 | $ | 95,623,913 | |||||||||||
2006 | ||||
Net assets available for benefits per the financial statements |
$ | 2,466,349,178 | ||
Due to participants |
(347,347 | ) | ||
Net assets available for benefits per the form 5500 |
$ | 2,466,001,831 | ||
2006 | ||||
Benefits paid to participants per the financial statements |
$ | 174,495,770 | ||
Due to participants |
347,347 | |||
Benefits paid to participants per the form 5500 |
$ | 174,843,117 | ||
9
(c) | ||||||||||||
Description of Investment | ||||||||||||
(b) | Including | (e) | ||||||||||
Identity of Issue, Borrower, Lessor, | Maturity Date, Rate of Interest, | (d) | Current | |||||||||
(a) | or Similar Party | Collateral, Par or Maturity Value | Cost | Value | ||||||||
(In Shares/Par Value except | ||||||||||||
Participant Loans) | ||||||||||||
Corporate Debt Instruments Other | ||||||||||||
LUCENT TECHNOLOGIES INC SUB DEB CONV 8 DUE 08-01-2031/08-15-2006 REG PUT |
1,055,000 | $1,057,638 | ||||||||||
Total Corporate Debt Instruments Other |
$1,057,638 | |||||||||||
10
(c) | ||||||||||||
Description of Investment | ||||||||||||
(b) | Including | (e) | ||||||||||
Identity of Issue, Borrower, Lessor, | Maturity Date, Rate of Interest, | (d) | Current | |||||||||
(a) | or Similar Party | Collateral, Par or Maturity Value | Cost | Value | ||||||||
(In Shares/Par Value except | ||||||||||||
Participant Loans) | ||||||||||||
Corporate Common Stock | ||||||||||||
1ST CMNTY BANCORP CAL COM | 4645 | $ | 274,427 | |||||||||
5TH 3RD BANCORP COM | 97300 | 3,595,235 | ||||||||||
ABAXIS INC COM | 14545 | 325,372 | ||||||||||
ABBOTT LAB COM | 58500 | 2,551,185 | ||||||||||
ABRAXIS BIOSCIENCE INC COM STK | 21500 | 512,560 | ||||||||||
ACCENTURE LTD BERMUDA CLS A COM | 29923 | 847,419 | ||||||||||
ADOBE SYS INC COM | 14100 | 428,076 | ||||||||||
ADR AMERICA MOVIL S A DE C V SPONSORED ADR REPSTG SER L SHS | 34000 | 1,130,840 | ||||||||||
ADR BP P L C SPONSORED ADR | 43856 | 3,052,816 | ||||||||||
ADR DESARROLLADORA HOMEX S A DE C V SPONSORED ADR | 5500 | 180,455 | ||||||||||
ADR ERICSSON L M TEL CO ADR CL B SEK 10 NEW ERICSSON L M TEL CO ADR | 19900 | 657,496 | ||||||||||
ADR HDFC BK LTD ADR REPSTG 3 SHS | 11170 | 609,324 | ||||||||||
ADR ICON PUB LTD CO | 8835 | 488,576 | ||||||||||
ADR NOKIA CORP SPONSORED ADR | 135100 | 2,737,126 | ||||||||||
ADR O2MICRO INTL LTD SPONSORED ADR | 29095 | 223,741 | ||||||||||
BK OF IRELAND ORD STK EUR0.64 | 55500 | 989,963 | ||||||||||
ADR ROYAL DUTCH SHELL PLC SPONSORED ADR REPSTG A SHS | 76500 | 5,123,970 | ||||||||||
ADR SONY CORP AMERN SH NEW | 52200 | 2,298,888 | ||||||||||
ADR TEVA PHARMACEUTICAL INDS | 60000 | 1,895,400 | ||||||||||
ADVISORY BRD CO COM | 2875 | 138,259 | ||||||||||
AES CORP COM | 5600 | 103,320 | ||||||||||
AETNA INC | 34800 | 1,389,564 | ||||||||||
AKAMAI TECHNOLOGIES INC COM STK | 2798 | 101,260 | ||||||||||
ALCOA INC COM STK | 71500 | 2,313,740 | ||||||||||
ALEXZA PHARMACEUTICALS INC COM | 9435 | 69,159 | ||||||||||
ALLEGHENY TECHNOLOGIES INC COM | 15100 | 1,045,524 | ||||||||||
ALLERGAN INC COM | 17000 | 1,823,420 | ||||||||||
ALLTEL CORP COM | 52300 | 3,338,309 | ||||||||||
ALTRIA GROUP INC COM | 15900 | 1,167,537 | ||||||||||
AMAZON COM INC COM | 22421 | 867,244 | ||||||||||
AMERICAN TOWER CORP CL A | 50122 | 1,559,797 | ||||||||||
AMERN INTL GROUP INC COM | 64400 | 3,802,820 | ||||||||||
AMGEN INC COM | 11,732 | 765,278 | ||||||||||
AMR CORP COM | 54100 | 1,375,222 | ||||||||||
AMSURG CORP COM | 28865 | 656,679 | ||||||||||
ANADARKO PETRO CORP COM | 56800 | 2,708,792 | ||||||||||
ANALOG DEVICES INC COM | 93,430 | 3,002,840 |
11
(c) | ||||||||||||
Description of Investment | ||||||||||||
(b) | Including | (e) | ||||||||||
Identity of Issue, Borrower, Lessor, | Maturity Date, Rate of Interest, | (d) | Current | |||||||||
(a) | or Similar Party | Collateral, Par or Maturity Value | Cost | Value | ||||||||
(In Shares/Par Value except | ||||||||||||
Participant Loans) | ||||||||||||
Corporate Common Stock | ||||||||||||
ANHEUSER BUSCH COS INC COM | 85100 | 3,879,709 | ||||||||||
ANNTAYLOR STORES CORP COM | 9700 | 420,786 | ||||||||||
APOLLO GROUP INC CL A CL A | 42500 | 2,195,975 | ||||||||||
APPLE COMPUTER INC COM | 59000 | 3,370,080 | ||||||||||
APPLIED MATERIALS INC COM | 56602 | 921,481 | ||||||||||
ARGON ST INC COM | 6155 | 163,908 | ||||||||||
ARTHROCARE CORP COM | 4195 | 176,232 | ||||||||||
AT&T INC COM | 192341 | 5,364,390 | ||||||||||
AUTODESK INC COM | 7825 | 269,650 | ||||||||||
AUTOMATIC DATA PROCESSING INC COM | 20788 | 942,736 | ||||||||||
AVERY DENNISON CORP COM | 47600 | 2,763,656 | ||||||||||
AVON PRODS INC COM USD0.25 | 83800 | 2,597,800 | ||||||||||
BANK AMER CORP COM | 64978 | 3,125,442 | ||||||||||
BANK OF THE OZARKS INC COM | 14657 | 488,078 | ||||||||||
BAXTER INTL INC COM | 51800 | 1,904,168 | ||||||||||
BEACON ROOFING SUPPLY INC COM | 18018 | 396,565 | ||||||||||
BED BATH BEYOND INC COM | 4176 | 138,518 | ||||||||||
BEST BUY INC COM STK | 22400 | 1,228,416 | ||||||||||
BIG 5 SPORTING GOODS CORP COM | 7125 | 138,938 | ||||||||||
BIOGEN IDEC INC COM STK | 11400 | 528,162 | ||||||||||
BJS WHSL CLUB INC COM STK | 7600 | 215,460 | ||||||||||
BLOCK H & R INC COM | 59600 | 1,422,056 | ||||||||||
BLUE NILE INC COM | 5625 | 180,900 | ||||||||||
BOSTON SCIENTIFIC CORP COM | 67100 | 1,129,964 | ||||||||||
BRISTOL MYERS SQUIBB CO COM | 87500 | 2,262,750 | ||||||||||
BUILDING MATLS HLDG CORP COM | 21500 | 599,205 | ||||||||||
BURL NORTHN SANTA FE CORP COM | 5800 | 459,650 | ||||||||||
CAMPBELL SOUP CO COM | 71800 | 2,664,498 | ||||||||||
CAREMARK RX INC COM | 19530 | 973,961 | ||||||||||
CATERPILLAR INC COM | 6600 | 491,568 | ||||||||||
CBS CORP NEW CL B | 80250 | 2,170,763 | ||||||||||
CENT GARDEN & PET CO COM | 4604 | 198,202 | ||||||||||
CEPHALON INC CON | 6600 | 396,660 | ||||||||||
CERADYNE INC DEL COM | 7100 | 351,379 | ||||||||||
CERNER CORP COM | 3300 | 122,463 | ||||||||||
CHEMTURA CORP COM | 48887 | 456,605 | ||||||||||
CHEVRON CORP COM | 101478 | 6,297,726 | ||||||||||
CHGO MERCANTILE EXCHANGE HLDGS INC CL A | 6800 | 3,339,820 | ||||||||||
CHUBB CORP COM | 38400 | 1,916,160 | ||||||||||
CIGNA CORP COM | 6000 | 591,060 | ||||||||||
CIRCUIT CY STORES INC COM | 20500 | 558,010 | ||||||||||
CISCO SYS INC COM | 116300 | 2,271,339 | ||||||||||
CITIGROUP INC COM | 37300 | 1,799,352 | ||||||||||
COCA COLA CO COM | 88800 | 3,820,176 | ||||||||||
COCA COLA ENTERPRISES INC COM | 12900 | 262,773 | ||||||||||
COGNIZANT TECHNOLOGY SOLUTIONS CORP CL ACL A | 5847 | 393,912 | ||||||||||
COLGATE-PALMOLIVE CO COM | 71800 | 4,300,820 | ||||||||||
COMCAST CORP NEW CL A | 89806 | 2,940,248 | ||||||||||
COOPER INDUSTRIES INC COM | 24100 | 2,239,372 | ||||||||||
COPART INC COM | 40505 | 994,803 | ||||||||||
CORNING INC COM | 30910 | 747,713 | ||||||||||
CORPORATE EXECUTIVE BRD CO COMMON STOCK | 1000 | 100,200 | ||||||||||
COSTAR GROUP INC COM | 1600 | 95,728 | ||||||||||
CRA INTL INC COM | 2600 | 117,364 | ||||||||||
CSX CORP COM | 1200 | 84,528 | ||||||||||
CVS CORP COM STK | 11800 | 362,260 |
12
(c) | ||||||||||||
Description of Investment | ||||||||||||
(b) | Including | (e) | ||||||||||
Identity of Issue, Borrower, Lessor, | Maturity Date, Rate of Interest, | (d) | Current | |||||||||
(a) | or Similar Party | Collateral, Par or Maturity Value | Cost | Value | ||||||||
(In Shares/Par Value except | ||||||||||||
Participant Loans) | ||||||||||||
Corporate Common Stock | ||||||||||||
CYBERONICS INC COM | 9105 | 194,119 | ||||||||||
CYBERSOURCE CORP DEL COM | 17590 | 205,803 | ||||||||||
CYMER INC COM | 25800 | 1,198,668 | ||||||||||
D R HORTON INC COM | 34900 | 831,318 | ||||||||||
DANAHER CORP COM | 19776 | 1,271,992 | ||||||||||
DEALERTRACK HLDGS INC COM STK | 12357 | 273,213 | ||||||||||
DEERE & CO COM | 27400 | 2,287,626 | ||||||||||
DELL INC COM STK | 84100 | 2,052,881 | ||||||||||
DEVON ENERGY CORP NEW COM | 6600 | 398,706 | ||||||||||
DEXCOM INC COM | 5932 | 80,557 | ||||||||||
DISNEY WALT CO COM | 103400 | 3,102,000 | ||||||||||
DOW JONES & CO INC COM | 72900 | 2,552,229 | ||||||||||
DU PONT E I DE NEMOURS & CO COM STK | 79100 | 3,290,560 | ||||||||||
DUKE ENERGY CORP NEW COM STK | 115000 | 3,377,550 | ||||||||||
E*TRADE FIN CORP COM | 22188 | 506,330 | ||||||||||
EASTMAN KODAK CO COM | 91600 | 2,178,248 | ||||||||||
EATON CORP COM | 20100 | 1,515,540 | ||||||||||
EBAY INC COM | 110721 | 3,243,018 | ||||||||||
ECHOSTAR COMMUNICATIONS CORP NEW CL A | 45900 | 1,414,179 | ||||||||||
ELI LILLY & CO COM | 67300 | 3,719,671 | ||||||||||
EMC CORP COM | 42784 | 469,340 | ||||||||||
ENCYSIVE PHARMACEUTICALS INC COM | 9890 | 68,538 | ||||||||||
ENDO PHARMACEUTICALS HLDGS INC COM | 10000 | 329,800 | ||||||||||
ENERGY CONVERSION DEVICES INC COM | 13165 | 479,601 | ||||||||||
ENTERGY CORP NEW COM | 37300 | 2,638,975 | ||||||||||
EOG RESOURCES INC COM | 8200 | 568,588 | ||||||||||
EXXON MOBIL CORP COM | 114826 | 7,044,575 | ||||||||||
FACTSET RESH SYS INC COM | 19717 | 932,614 | ||||||||||
FID NATL FINL INC COM | 19300 | 751,735 | ||||||||||
FIRSTENERGY CORP COM | 39535 | 2,143,192 | ||||||||||
FNMA COM STK | 31700 | 1,524,770 | ||||||||||
FORD MTR CO DEL COM PAR $0.01 | 84700 | 586,971 | ||||||||||
FORTUNE BRANDS INC COM STK | 26800 | 1,903,068 | ||||||||||
FOXHOLLOW TECHNOLOGIES INC COM STK | 7735 | 211,320 | ||||||||||
FRKLN RES INC COM | 8426 | 731,461 | ||||||||||
GARMIN GARMIN CORPORATION | 6134 | 646,769 | ||||||||||
GEN DYNAMICS CORP COM | 7920 | 518,443 | ||||||||||
GEN MILLS INC COM | 72000 | 3,719,520 | ||||||||||
GENENTECH INC COM STK | 62089 | 5,078,880 | ||||||||||
GENERAL ELEC CO COM | 368790 | 12,155,318 | ||||||||||
GENUINE PARTS CO COM | 44500 | 1,853,870 | ||||||||||
GENZYME CORP COM | 38000 | 2,319,900 | ||||||||||
GFI GROUP INC COM STK | 2795 | 150,790 | ||||||||||
GILEAD SCI INC COM | 37934 | 2,244,175 | ||||||||||
GOLF GALAXY INC COM STK | 1500 | 20,175 | ||||||||||
GOOGLE INC CL A CL A | 15848 | 6,645,541 | ||||||||||
GUITAR CTR INC COM | 19150 | 851,601 | ||||||||||
HANSEN NAT CORP COM COM | 1100 | 209,407 | ||||||||||
HARBOR FLA BANCSHARES INC COM | 4150 | 154,131 | ||||||||||
HARMAN INTL INDS INC NEW COM STK USD0.01 | 7752 | 661,788 | ||||||||||
*HARRIS CORP COM | 3030596 | 125,800,040 | ||||||||||
HEALTHSPRING INC COM STK | 11360 | 213,000 | ||||||||||
HEALTHWAYS INC COM STK | 8665 | 456,126 | ||||||||||
HERCULES INC VTG COM | 32100 | 489,846 | ||||||||||
HESS CORP COM STK | 80100 | 4,233,285 | ||||||||||
HEWLETT PACKARD CO COM | 40200 | 1,273,536 | ||||||||||
HIBBETT SPORTING GOODS INC COM | 21632 | 517,005 |
13
(c) | ||||||||||||
Description of Investment | ||||||||||||
(b) | Including | (e) | ||||||||||
Identity of Issue, Borrower, Lessor, | Maturity Date, Rate of Interest, | (d) | Current | |||||||||
(a) | or Similar Party | Collateral, Par or Maturity Value | Cost | Value | ||||||||
(In Shares/Par Value except | ||||||||||||
Participant Loans) | ||||||||||||
Corporate Common Stock | ||||||||||||
HITTITE MICROWAVE CORP COM STK | 700 | 25,312 | ||||||||||
HOME DEPOT INC COM | 44000 | 1,574,760 | ||||||||||
HONEYWELL INTL INC COM STK | 115000 | 4,634,500 | ||||||||||
HUMANA INC COM | 17490 | 939,213 | ||||||||||
INTIGRATED DEVICE TECHNOLOGY INC COM | 16872 | 239,245 | ||||||||||
INTEL CORP COM | 115696 | 2,192,439 | ||||||||||
INTERCONTINENTALEXCHANGE INC COM | 12000 | 695,280 | ||||||||||
INTERNATIONAL BUSINESS MACHS CORP COM COM | 48000 | 3,687,360 | ||||||||||
INTL FLAVORS & FRAGRANCES INC COM | 65800 | 2,318,792 | ||||||||||
INTL GAME TECH COM | 23816 | 903,579 | ||||||||||
INTL PAPER CO COM | 161796 | 5,226,011 | ||||||||||
INTUITIVE SURGICAL INC COM NEW STK | 7000 | 825,790 | ||||||||||
IRON MTN INC COM STK | 16000 | 598,080 | ||||||||||
JACKSON HEWITT TX SVC INC COM | 4980 | 156,123 | ||||||||||
JLG INDS INC COM | 20400 | 459,000 | ||||||||||
JOHNSON & JOHNSON COM | 70800 | 4,242,336 | ||||||||||
JOY GLOBAL INC COM | 26500 | 1,380,385 | ||||||||||
JPMORGAN CHASE & CO COM | 194024 | 8,149,008 | ||||||||||
JUNIPER NETWORKS INC COM | 70479 | 1,126,959 | ||||||||||
KB HOME COM | 11700 | 536,445 | ||||||||||
KIMBERLY-CLARK CORP COM | 36200 | 2,233,540 | ||||||||||
KNIGHT TRANSN INC COM COM | 56623 | 1,143,785 | ||||||||||
KOHLS CORP COM | 21148 | 1,250,270 | ||||||||||
KOMAG INC COM NEW STK | 30200 | 1,394,636 | ||||||||||
KYPHON INC COM | 8230 | 315,703 | ||||||||||
LAMAR ADVERTISING CO CL A COM | 19725 | 1,062,389 | ||||||||||
LECG CORP COM | 11365 | 209,912 | ||||||||||
LEGG MASON INC COM | 8182 | 814,273 | ||||||||||
LENNAR CORP CL A | 14100 | 625,617 | ||||||||||
LIFE TIME FITNESS INC COM | 5010 | 231,813 | ||||||||||
LIGAND PHARMACEUTICALS INC CL B | 7775 | 65,699 | ||||||||||
LINCOLN NATL CORP COM | 54223 | 3,060,346 | ||||||||||
LOCKHEED MARTIN CORP COM | 28100 | 2,015,894 | ||||||||||
LOOPNET INC COM STK | 2160 | 40,198 | ||||||||||
LOWES COS INC COM | 48400 | 2,936,428 | ||||||||||
LUCENT TECHNOLOGIES INC COM STK | 356000 | 861,520 | ||||||||||
MACROVISION CORP COM | 6570 | 141,386 | ||||||||||
MANITOWOC INC COM | 28600 | 1,272,700 | ||||||||||
MARSH & MCLENNAN COS INC COM | 177900 | 4,783,731 | ||||||||||
MARVELL TECH GROUP COM USD02 | 31925 | 1,415,235 | ||||||||||
MATTEL INC COM | 164800 | 2,720,848 | ||||||||||
MAXIM INTEGRATED PRODS INC COM | 35145 | 1,128,506 | ||||||||||
MC CORMICK & CO INC COM NON-VTG | 44800 | 1,503,040 | ||||||||||
MC DONALDS CORP COM | 2900 | 97,440 | ||||||||||
MCCLATCHY CO CL A CL A | 12436 | 498,932 | ||||||||||
MEADWESTVACO CORP COM | 50800 | 1,418,844 | ||||||||||
MEDCO HLTH SOLUTIONS INC COM | 7800 | 446,784 | ||||||||||
MEDIMMUNE INC COM | 48400 | 1,311,640 | ||||||||||
MEDTRONIC INC COM | 40654 | 1,907,486 | ||||||||||
MELLON FINL CORP COM | 104800 | 3,608,264 | ||||||||||
MEMC ELECTR MATLS INC COM COM | 22900 | 858,750 | ||||||||||
MERCANTILE BANKSHARES CORP COM | 30500 | 1,087,935 | ||||||||||
MERCK & CO INC COM | 137000 | 4,990,910 | ||||||||||
MERITAGE HOMES CORP COM | 7090 | 335,003 | ||||||||||
MICREL INC COM | 48785 | 488,338 | ||||||||||
MICROCHIP TECHNOLOGY INC COM | 18200 | 610,610 | ||||||||||
MICROSOFT CORP COM | 310947 | 7,245,065 |
14
(c) | ||||||||||||
Description of Investment | ||||||||||||
(b) | Including | (e) | ||||||||||
Identity of Issue, Borrower, Lessor, | Maturity Date, Rate of Interest, | (d) | Current | |||||||||
(a) | or Similar Party | Collateral, Par or Maturity Value | Cost | Value | ||||||||
(In Shares/Par Value except | ||||||||||||
Participant Loans) | ||||||||||||
Corporate Common Stock | ||||||||||||
MICROTUNE INC DEL COM | 21577 | 135,072 | ||||||||||
MONSANTO CO NEW COM | 5950 | 500,931 | ||||||||||
MOODYS CORP COM | 31000 | 1,688,260 | ||||||||||
MORGAN STANLEY | 87757 | 5,547,120 | ||||||||||
MOTOROLA INC COM | 105000 | 2,115,750 | ||||||||||
MURPHY OIL CORP COM | 39200 | 2,189,712 | ||||||||||
MYRIAD GENETICS INC COM | 4375 | 110,469 | ||||||||||
N V R INC COM | 260 | 127,725 | ||||||||||
NATL CY CORP COM | 38400 | 1,389,696 | ||||||||||
NAVTEQ CORP COM | 19789 | 884,173 | ||||||||||
NEOPHARM INC COM | 7145 | 3,808,385 | ||||||||||
NEUROCHEM INC COM NEUROCHEM INC COM STK | 13685 | 144,103 | ||||||||||
NEUSTAR INC CL A | 8680 | 292,950 | ||||||||||
NEW YORK TIMES CO CL A ISIN | 129900 | 3,187,746 | ||||||||||
NEWELL RUBBERMAID INC COM | 119300 | 3,081,519 | ||||||||||
NISOURCE INC COM | 142400 | 3,110,016 | ||||||||||
NORFOLK SOUTHN CORP COM COM | 46600 | 2,480,052 | ||||||||||
NORTHN TR CORP COM | 15000 | 829,500 | ||||||||||
NORTHSTAR NEUROSCIENCE INC COM | 5420 | 56,260 | ||||||||||
NOVACEA INC COM STK | 4800 | 43,536 | ||||||||||
NUVASIVE INC COM | 10310 | 187,951 | ||||||||||
NVIDIA CORP COM | 41940 | 892,903 | ||||||||||
NXSTAGE MED INC COM STK | 10420 | 90,967 | ||||||||||
O REILLY AUTOMOTIVE INC COM | 44999 | 1,403,519 | ||||||||||
ORACLE CORP COM | 43480 | 630,025 | ||||||||||
OUTDOOR CHANNEL HLDGS INC COM NEW COM NEW | 11085 | 114,397 | ||||||||||
P F CHANGS CHINA BISTRO INC COM STK | 4775 | 181,546 | ||||||||||
PAC SUNWEAR CAL INC COM | 6685 | 119,862 | ||||||||||
PALL CORP COM | 74000 | 2,072,000 | ||||||||||
PATTERSON COS INC COM | 19000 | 663,670 | ||||||||||
PEDIATRIX MED GROUP COM | 6590 | 298,527 | ||||||||||
PEETS COFFEE & TEA INC COM | 2550 | 76,985 | ||||||||||
PENN NATL GAMING INC COM | 9100 | 352,898 | ||||||||||
PEPSICO INC COM | 6200 | 372,248 | ||||||||||
PETCO ANIMAL SUPPLIES INC COM NEW | 7355 | 150,263 | ||||||||||
PFIZER INC COM STK $.11 1/9 PAR | 158900 | 3,729,383 | ||||||||||
PHARMACEUTICAL PROD DEV INC COM | 6080 | 213,530 | ||||||||||
PINNACLE ENTMT INC COM | 9100 | 278,915 | ||||||||||
PINNACLE W. CAP CORP COM | 21300 | 850,083 | ||||||||||
PLX TECH INC COM | 22585 | 275,989 | ||||||||||
POOL CORP COM STK | 6325 | 275,960 | ||||||||||
PRA INTL COM STK | 7710 | 171,702 | ||||||||||
PROCTER & GAMBLE CO COM | 2800 | 155,680 | ||||||||||
PROGRESS ENERGY INC COM | 53300 | 2,284,971 | ||||||||||
PROSPERITY BANCSHARES INC COM | 6690 | 220,034 | ||||||||||
PRUDENTIAL FINL INC COM | 3300 | 256,410 | ||||||||||
PWR INTEGRATIONS INC COM | 26550 | 464,094 | ||||||||||
QIAGEN N V COM | 29145 | 399,869 | ||||||||||
QUALCOMM INC COM | 67400 | 2,700,718 | ||||||||||
QWEST COMMUNICATIONS INTL INC COM | 530500 | 4,291,745 | ||||||||||
RADIAN GROUP INC COM | 11100 | 685,758 | ||||||||||
RADIOSHACK CORP DEL COM | 66000 | 924,000 | ||||||||||
RAYTHEON CO COM NEW COM NEW | 60500 | 2,696,485 | ||||||||||
RED HAT INC COM | 64302 | 1,504,667 | ||||||||||
REDWOOD TR INC COM | 5639 | 275,352 | ||||||||||
RES CONNECTION INC COM | 15275 | 382,181 |
15
(c) | ||||||||||||
Description of Investment | ||||||||||||
(b) | Including | (e) | ||||||||||
Identity of Issue, Borrower, Lessor, | Maturity Date, Rate of Interest, | (d) | Current | |||||||||
(a) | or Similar Party | Collateral, Par or Maturity Value | Cost | Value | ||||||||
(In Shares/Par Value except | ||||||||||||
Participant Loans) | ||||||||||||
Corporate Common Stock | ||||||||||||
RESMED INC COM | 5440 | 255,408 | ||||||||||
RETALIX LTD | 9850 | 219,754 | ||||||||||
RYLAND GROUP INC COM | 15900 | 692,763 | ||||||||||
S.W. AIRL CO COM | 75539 | 1,236,573 | ||||||||||
SALIX PHARMACEUTICALS LTD COM DE | 6060 | 74,538 | ||||||||||
SARA LEE CORP COM | 16400 | 262,728 | ||||||||||
SCHERING-PLOUGH CORP COM | 76700 | 1,459,601 | ||||||||||
SCHLUMBERGER LTD COM STK | 70314 | 4,578,145 | ||||||||||
SCHWAB CHARLES CORP COM NEW | 193400 | 3,090,532 | ||||||||||
SEABOARD CORP DEL COM | 179 | 229,120 | ||||||||||
SEAGATE TECH HLDGS COM USD0001 | 50500 | 1,143,320 | ||||||||||
SEMTECH CORP | 7140 | 103,173 | ||||||||||
SEPRACOR INC COM | 12498 | 714,136 | ||||||||||
SILICON LABORATORIES INC COM | 10950 | 384,893 | ||||||||||
SIRF TECHNOLOGY HLDGS INC COM | 9924 | 319,751 | ||||||||||
SLM CORP COM | 21873 | 1,157,519 | ||||||||||
SPRINT NEXTEL CORP | 141600 | 2,830,584 | ||||||||||
SRA INTL INC CL A | 11665 | 310,639 | ||||||||||
ST JUDE MED INC COM | 16548 | 536,486 | ||||||||||
ST PAUL TRAVELERS CORP | 65249 | 2,908,800 | ||||||||||
ST STR CORP COM | 75129 | 4,364,244 | ||||||||||
STANTEC INC COM STK | 19820 | 374,598 | ||||||||||
STARBUCKS CORP COM | 120000 | 4,531,200 | ||||||||||
STRAYER ED INC COM | 4850 | 471,032 | ||||||||||
STRYKER CORP COMMON COMMON | 30700 | 1,292,777 | ||||||||||
SUN TR BANKS INC COM | 35400 | 2,699,604 | ||||||||||
SUNOCO INC COM | 1700 | 117,793 | ||||||||||
SYMYX TECHNOLOGIES INC COM | 3700 | 89,355 | ||||||||||
SYSCO CORP COM | 47687 | 1,457,315 | ||||||||||
TARGET CORP COM | 11126 | 543,728 | ||||||||||
TD AMERITRADE HLDG CORP COM STK | 29900 | 442,819 | ||||||||||
TECHNE CORP COM | 14165 | 721,282 | ||||||||||
TECO ENERGY INC COM | 31800 | 475,092 | ||||||||||
TELUS CORPORATION COM NPV | 13300 | 550,489 | ||||||||||
TELUS CORP NON VTG SHS | 19500 | 787,410 | ||||||||||
TESSERA TECHNOLOGIES INC COM STK | 13030 | 358,325 | ||||||||||
TEXAS INSTRS INC COM COM | 24958 | 755,978 | ||||||||||
TEXAS ROADHOUSE INC COM CL A STK CL A | 1300 | 17,576 | ||||||||||
THOMAS WEISEL PARTNERS GROUP INC COM | 5495 | 104,460 | ||||||||||
TIME WARNER INC NEW COM | 247000 | 4,273,100 | ||||||||||
TITANIUM METALS CORP COM NEW | 22300 | 766,674 | ||||||||||
TOREADOR RES CORP COM | 8905 | 250,498 | ||||||||||
TRANSOCEAN INC | 7394 | 593,886 | ||||||||||
TREX INC COM | 248 | 6,421 | ||||||||||
TRIBUNE CO COM | 128000 | 4,151,040 | ||||||||||
TUESDAY MORNING CORP COM NEW | 13735 | 180,615 | ||||||||||
TXU CORP COM | 5600 | 334,824 | ||||||||||
TYCO INTL LTD NEW COM | 64300 | 1,768,250 | ||||||||||
UCBH HLDGS INC COM | 14880 | 246,115 | ||||||||||
UN PAC CORP COM | 52800 | 4,908,288 | ||||||||||
UNITEDHEALTH GROUP INC COM | 45648 | 2,044,117 | ||||||||||
UNUMPROVIDENT CORP COM | 112700 | 2,043,251 | ||||||||||
UNVL TECH INST INC COM | 11610 | 255,652 | ||||||||||
URS CORP NEW COM | 4600 | 193,200 | ||||||||||
UST INC COM | 33900 | 1,531,941 | ||||||||||
UTD SURGICAL PARTNERS INTL INC COM | 28418 | 854,529 |
16
(c) | ||||||||||||
Description of Investment | ||||||||||||
(b) | Including | (e) | ||||||||||
Identity of Issue, Borrower, Lessor, | Maturity Date, Rate of Interest, | (d) | Current | |||||||||
(a) | or Similar Party | Collateral, Par or Maturity Value | Cost | Value | ||||||||
(In Shares/Par Value except | ||||||||||||
Participant Loans) | ||||||||||||
Corporate Common Stock | ||||||||||||
UTD THERAPEUTICS CORP DEL COM STK | 13300 | 768,341 | ||||||||||
VALERA PHARMACEUTICALS INC COM STK | 7610 | 63,848 | ||||||||||
VALERO ENERGY CORP COM STK NEW | 900 | 59,868 | ||||||||||
VARIAN MED SYS INC COM ISIN | 20500 | 970,675 | ||||||||||
VERIZON COMMUNICATIONS COM | 91234 | 3,055,427 | ||||||||||
VIACOM INC NEW CL B | 83893 | 3,006,725 | ||||||||||
VULCAN MATERIALS CO COM | 29000 | 2,262,000 | ||||||||||
WAL-MART STORES INC COM | 117427 | 5,656,459 | ||||||||||
WALGREEN CO COM | 78052 | 3,499,852 | ||||||||||
WASTE MGMT INC DEL COM STK | 82572 | 2,962,683 | ||||||||||
WEBSENSE INC COM STK ISIN# US9476841062 | 6165 | 126,629 | ||||||||||
WELLS FARGO & CO NEW COM STK | 25300 | 1,697,124 | ||||||||||
WESTN DIGITAL CORP COM | 72000 | 1,426,320 | ||||||||||
WINNEBAGO INDS INC COM | 5970 | 185,309 | ||||||||||
WYETH COM | 79300 | 3,521,713 | ||||||||||
WYNN RESORTS LTD COM | 8375 | 613,888 | ||||||||||
XCEL ENERGY INC COM | 102200 | 1,960,196 | ||||||||||
XILINX INC COM | 44572 | 1,009,556 | ||||||||||
YAHOO INC COM | 102704 | 3,389,232 | ||||||||||
ZIMMER HLDGS INC COM | 13500 | 765,720 | ||||||||||
Corporate Common Stock Total
|
$ | 615,497,213 | ||||||||||
17
(c) | ||||||||||||
Description of Investment | ||||||||||||
(b) | Including | (e) | ||||||||||
Identity of Issue, Borrower, Lessor, | Maturity Date, Rate of Interest, | (d) | Current | |||||||||
(a) | or Similar Party | Collateral, Par or Maturity Value | Cost | Value | ||||||||
(In Shares/Par Value except | ||||||||||||
Participant Loans) | ||||||||||||
Participant Loans | ||||||||||||
*PARTICIPANT LOAN ASSET HARRIS CORP. |
5.0% to 10.5% Maturing through 2011 |
$ | 29,279,610 | |||||||||
Participant Loans Total | $ | 29,279,610 |
18
(c) | ||||||||||||
Description of Investment | ||||||||||||
(b) | Including | (e) | ||||||||||
Identity of Issue, Borrower, Lessor, | Maturity Date, Rate of Interest, | (d) | Current | |||||||||
(a) | or Similar Party | Collateral, Par or Maturity Value | Cost | Value | ||||||||
(In Shares/Par Value except | ||||||||||||
Participant Loans) | ||||||||||||
Value of Interest in Common/Collective Trusts | ||||||||||||
COLTV SHORT TERM INVT FD | 19,042,879 | $ | 19,042,879 | |||||||||
MFB NTGI-QM COLLECTIVE DAILY SMALLCAP EQUITY INDEX FUND LENDING\\ | 309,751 | 76,491,166 | ||||||||||
MFB NTGI-QM COLTV DAILY AGGREGATE BD INDEX FD-LNDG | 48,323 | 15,626,473 | ||||||||||
MFB NTGI-QM COLTV DAILY RUSSELL 1000 EQTY INDEX FD-LENDING | 1,318,684 | 210,377,575 | ||||||||||
MFB NTGI-QM COLTV DAILY RUSSELL 1000 GROWTH EQTY INDEX FD-LENDING | 6,300 | 1,348,227 | ||||||||||
MFB NTGI-QM COLTV DAILY RUSSELL 2000 GROWTH EQTY INDEX FD-LENDING | 324,262 | 60,486,194 | ||||||||||
MFB NTGI-QM COLTV DAILY S&P 500 EQTY INDEX FD-LENDING | 75,927 | 258,641,075 | ||||||||||
MFO BK OF NY COLTV TR AGGREGATE INDEX FD | 24,737,159 | 262,613,561 | ||||||||||
Value of Interest in Common/Collective Trusts Total | $ | 904,627,150 | ||||||||||
19
MFO ALLIANZ FDS RCM TECHNOLOGY FD INSTL CL |
838823 | $ 30,851,905 | ||||||||||
MFO COLUMBIA FDS SER TR INTL VALUE FD CLA |
6893162 | 161,920,366 | ||||||||||
MFO DODGE & COX STOCK FD OPEN END FD |
482964 | 69,778,691 | ||||||||||
MFO STI CLASSIC FDS INSTL CASH MGMT MONEY MKT FD INSTL CL |
36076734 | 36,076,734 | ||||||||||
MFO TROWE PRICE RESERVED INVT FD |
7636115 | 7,636,115 | ||||||||||
Value of Interest in Registered |
||||||||||||
Investment
Companies Total |
$306,263,810 | |||||||||||
20
GIC ING USA
ANNUITY & LIFE INSURANCE CO CNTRCT # IUS0121 RATE: 3.65% MAT: 8/6/07 |
10706026 | $ | 10,706,026 | |||||||||
GIC JACKSON
NATIONAL LIFE INSURANCE CONTRACT NO. 1473-1 MTY 09/28/07 **INC |
11647572 | 11,647,572 | ||||||||||
GIC
MONUMENTAL CNTRCT NO. SV04375Q MTY 05/29/07 RATE 3.84% UNALLOCATE GEN |
6492665 | 6,492,665 | ||||||||||
GIC
TRAVELERS INS CO CONTRCT # GR-18614 RATE: 2.41% MAT: 7/10/06 UNALLOCATED |
6440556 | 6,440,556 | ||||||||||
GIC BANK OF
AMERICA CNTRCT # 05-004 RATE 5% MAT: 00/00/0000 SYNTHETIC |
93254536 | 93,254,536 | ||||||||||
GIC IXIS
CNTRCT # 1121-02 RATE 4.63% MAT: 00/00/0000 SYNTHETIC |
57252539 | 57,252,539 | ||||||||||
GIC JP
MORGAN CHASE CNTRCT #433121-S RATE 4.62% MAT: 00/00/0000 SYNTHETIC |
54229085 | 54,229,085 | ||||||||||
GIC JPMORGAN
CHASE CNTRCT # 433121-LT 4.97% MAT: 0/0/00 SNTHETIC |
12865610 | 12,865,610 | ||||||||||
GIC
MONUMENTAL LIFE CNTRCT # MDA-00683TRRATE 5.30% MAT: 00/00/0000 SYNTHETIC |
93074335 | 93,074,335 | ||||||||||
GIC STATE
STREET CNTRCT # 105004 RATE 5.13% MAT: 00/00/0000 SYNTHETIC |
70464221 | 70,464,221 | ||||||||||
GIC UBS
CNTRCT # 5204 RATE 4.86% MAT: 00/00/0000 SYNTHETIC |
93300643 | 93,300,643 | ||||||||||
Guaranteed Investment Contracts Total |
$ | 509,727,788 | ||||||||||
21
(c) | ||||||||||||
Description of Investment | ||||||||||||
(b) | Including | (e) | ||||||||||
Identity of Issue, Borrower, Lessor, | Maturity Date, Rate of Interest, | (d) | Current | |||||||||
(a) | or Similar Party | Collateral, Par or Maturity Value | Cost | Value | ||||||||
(In Shares/Par Value except | ||||||||||||
Participant Loans) | ||||||||||||
Master Trust Investment | ||||||||||||
MFO HARRIS RS INVESTMENTS UNIT A | 3858249 | $39,825,775 | ||||||||||
Total Master Trust Investment | $39,825,775 |
SIMON PPTY GROUP INC COM |
16268 | 1,349,268 | ||||||||||
Total Real Estate Investments |
1,349,268 | |||||||||||
Total Investments |
$ | 2,407,628,251 | ||||||||||
22
Harris Corporation Retirement Plan Employee Benefits Committee, as Plan Administrator |
||||
By: | /s/ Ronald A. Wyse | |||
Ronald A. Wyse, Plan Administrator | ||||
23