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Table of Contents

UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington D.C. 20549
______________________________________ 
FORM 11-K
 ______________________________________ 
(Mark One)
x
ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
For the fiscal year ended December 31, 2015
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



Table of Contents

MONSANTO SAVINGS AND INVESTMENT PLAN
FINANCIAL STATEMENTS AS OF DEC. 31, 2015 AND 2014,
AND FOR THE YEAR ENDED DEC. 31, 2015, AND SUPPLEMENTAL SCHEDULES
AS OF AND FOR THE YEAR ENDED DEC. 31, 2015, AND
REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM


Table of Contents

MONSANTO SAVINGS AND INVESTMENT PLAN
Financial Statements and Supplemental Schedules
Table of Contents
 
Page
 
 
Financial Statements:
 
 
 
 
 
 
 
 
 
Supplemental Schedules:
 
 
 
 
 
 
 
 
 
 
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.


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REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

To the Trustees of the Monsanto Company Savings and Investment Plan

We have audited the accompanying statements of net assets available for benefits of the Monsanto Savings and Investment Plan (the “Plan”) as of December 31, 2015 and 2014, and the related statement of changes in net assets available for benefits for the year ended December 31, 2015. 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, 2015 and 2014, and the changes in net assets available for benefits for the year ended December 31, 2015 in conformity with accounting principles generally accepted in the United States of America.

As discussed in Note 2 to the financial statements, in 2015, the Plan adopted new accounting guidance in regards to Accounting Standard Updates (“ASU”) No. 2015-07, Disclosures for Investments in Certain Entities That Calculate Net Asset Value per Share (or Its Equivalent) and ASU No. 2015-12, Plan Accounting: Defined Benefit Pension Plans (Topic 960), Defined Contribution Pension Plans (Topic 962), Health and Welfare Benefit Plans (Topic 965).

The supplemental schedules of (1) assets (held at end of year) as of December 31, 2015 and (2) assets (acquired and disposed of within year) for the year ended December 31, 2015, have been subjected to audit procedures performed in conjunction with the audit of the Plan’s financial statements. The supplemental schedules are the responsibility of the Plan’s management. Our audit procedures included determining whether the supplemental schedules reconcile to the financial statements or the underlying accounting and other records, as applicable, and performing procedures to test the completeness and accuracy of the information presented in the supplemental schedules. In forming our opinion on the supplemental schedules, we evaluated whether the supplemental schedules, including their form and content, are presented in compliance with the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. In our opinion, such schedules are fairly stated, in all material respects, in relation to the financial statements as a whole.



/s/ Deloitte & Touche LLP
St. Louis, Missouri
June 8, 2016


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Table of Contents


MONSANTO SAVINGS AND INVESTMENT PLAN
STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS
 
As of Dec. 31,
 
2015
 
2014
(Dollars in thousands)
 
 
 
ASSETS:
 
 
 
Investments:
 
 
 
Investments at fair value — (Note 4)
$
2,571,552

 
$
2,759,119

Investments at contract value — (Note 3)
551,868

 
555,399

Total investments
3,123,420

 
3,314,518

Receivables:
 
 
 
Employer contribution receivable
8,255

 
6,123

Dividends, interest and trades receivable
2,154

 
3,223

Loans to participants, interest rates from 3.25% to 9.5%,
maturities through March 2022
33,194

 
31,337

Total receivables
43,603

 
40,683

Total assets
3,167,023

 
3,355,201

LIABILITIES:
 
 
 
Amount payable for investment securities transactions
1,633

 
2,717

Total liabilities
1,633

 
2,717

NET ASSETS AVAILABLE FOR BENEFITS
$
3,165,390

 
$
3,352,484

See accompanying notes to financial statements.


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MONSANTO SAVINGS AND INVESTMENT PLAN
STATEMENT OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS
  
Year Ended
Dec. 31,
 
2015
(Dollars in thousands)
 
CONTRIBUTIONS:
 
Employee contributions
$
112,075

Employer contributions
63,812

Rollovers from other plans
12,580

Total contributions
188,467

INVESTMENT LOSS:
 
Depreciation in investments - net
(169,195
)
Interest
21,265

Dividends
27,234

Total investment loss
(120,696
)
INTEREST ON LOANS TO PARTICIPANTS
1,584

DEDUCTIONS:
 
Administrative and investment management expenses
(7,052
)
Benefits paid to participants
(249,397
)
Total deductions
(256,449
)
DECREASE IN NET ASSETS AVAILABLE FOR BENEFITS
(187,094
)
NET ASSETS AVAILABLE FOR BENEFITS — Beginning of year
3,352,484

NET ASSETS AVAILABLE FOR BENEFITS — End of year
$
3,165,390

See accompanying notes to financial statements.


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MONSANTO SAVINGS AND INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS
AS OF DEC. 31, 2015 AND DEC. 31, 2014 AND FOR THE YEAR ENDED DEC. 31, 2015
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 Company 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 are eligible to participate in the Plan after 1,000 hours of service. Most costs of Plan administration are borne by Plan participants.
Each participant’s account balance reflects 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 also reduced by the record keeping administrative expense on a fixed fee basis. 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 to 25 percent of an employee’s eligible pay. Employees have an option to make before-tax contributions, after-tax contributions or Roth contributions. Subject to annual limits on before-tax contributions and Roth contributions, and on the results of required Internal Revenue Service (“IRS”) discrimination testing, contributions may be all before-tax, all after-tax, all Roth or any combination of these three categories. 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 can be allocated in any combination to the following investment fund options at the direction of the participant: a stable value fund, a bond index 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 primarily 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 Stable Value Fund. Generally, participants may 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.

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MONSANTO SAVINGS AND INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS (continued)

The Plan has an automatic enrollment feature with respect to newly hired and re-hired employees. If such an employee becomes eligible to participate in the SIP, he or she will be automatically enrolled in the Plan at a before-tax salary deferral rate (equal to five percent of non-incentive eligible pay). The automatic enrollment will occur 45 days after the employee's 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 a different percentage salary deferral rate or elects not to participate.

The SIP has an automatic salary deferral rate increase feature applicable to participants who had been automatically enrolled in the Plan for at least six months as of the last day of the prior Plan year and have not made changes to their salary deferral rate. With respect to those participants, on or around January 10th of each Plan year, the before-tax salary deferral rate applicable to his or her non-incentive eligible pay will be increased by one percent, up to a maximum before-tax rate of eight percent, unless the participant (a) elects to opt out of the automatic increase feature, (b) elects a different percentage salary deferral rate or (c) elects to not participate in the Plan.
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 eight percent of their eligible pay per pay period to the SIP or had reached the IRS annual limit on before-tax and Roth contributions ($18,000 in 2015). For 2015, eligible participants could have elected a before-tax and/or Roth catch-up contributions of up to $6,000. The catch-up contributions are not eligible for Company matching contributions and are subject to the same rules as other before-tax and Roth 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 59½, 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 have been deducted. Withdrawal of after-tax employee contributions can be made with no penalty.
Roth contributions allow participants to contribute amounts from their eligible pay after income taxes have been deducted. If certain requirements are met, a participant can withdraw the amount of his or her Roth contributions together with earnings thereon without incurring any income tax liability. However, a participant will have to treat the withdrawal of earnings on Roth contributions as taxable unless such earnings are withdrawn either (a) after the date on which the participant attains age 59½ and after the participant’s account has held Roth contributions for at least five years or (b) after the participant’s death or disability. Also, an additional10 percent tax will be imposed upon the withdrawal of any contributions which the participant has “converted” into Roth contributions under an election mechanism provided for in the Plan and upon the withdrawal of any earnings on Roth contributions unless at the time of the withdrawal, (a) the participant has attained age 59½, (b) the participant had terminated employment from the Company on or after attaining age 55 or (c) the participant had died or become disabled.
COMPANY CONTRIBUTIONS AND VESTING
The Company matches 80 percent of employee contributions, up to a maximum of eight percent of eligible pay. Company matching contributions are made as a cash contribution to the Plan and invested pursuant to the participant's current investment elections. In 2015, Company matching contributions of $55.6 million were applied to the Plan.
Participants hired after July 8, 2012 are also eligible for an age-based, Company core non-elective contribution, provided that they are employed on the last day of the Plan year. The amount of the contribution is based upon a participant's attained age and ranges from 3 to 7 percent of eligible pay. The last day requirement is waived in the case of death, disability, involuntary termination without cause and voluntary termination after attainment of age 55 with at least five years of service. Company core non-elective contributions were $8.2 million in 2015.
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 Qualified Non-Elective Contribution ("QNEC") are fully vested in those amounts. Company contributions immediately vest upon a change of control of the 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 Plan account attributable to participant after-tax contributions, rollover contributions and vested Company contributions (other than Company core non-elective contribution, QNECs and unvested qualified matching 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 Plan account attributable to participant after-tax contributions, rollover contributions and vested Company contributions (other than those Company contributions made to the account during the immediately preceding 24 months,

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MONSANTO SAVINGS AND INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS (continued)

Company core non-elective contribution, QNECs and unvested qualified matching contributions). At age 59½, a Plan participant may withdraw any portion of his or her Plan account to the extent vested.
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 (1) 50 percent of the total vested account balance (including employer contributions but excluding any Company core non-elective contributions) reduced by the participant's highest total outstanding loan balances in the twelve months before the loan is made, and (2) $50,000 reduced by the participant’s highest total outstanding loan balances in the twelve months before the loan is made. 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, 2015, or Dec. 31, 2014. If a participant does not provide payment within the applicable period and fails to bring the delinquent payment current within the applicable period, the unpaid loan balance, plus accrued interest, is deemed distributed to the participant and the participant’s Plan account is reduced by the outstanding loan payment, all in accordance with Plan rules and procedures.
PAYMENT OF BENEFITS
On termination of service with the Company (including 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 70½, participants can elect to defer receiving benefits if their vested account balance is greater than $1,000.
FORFEITED ACCOUNTS
At Dec. 31, 2015, and Dec. 31, 2014, the value of forfeited non-vested accounts totaled $0.7 million and $2.1million, respectively. As permitted by the terms of the Plan, during the Plan year ended Dec. 31, 2015, the Company determined to apply approximately $4.2 million of forfeited amounts to fund Company matching contributions.
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.
 
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, 2015, and Dec. 31, 2014, 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.
NEW ACCOUNTING STANDARDS
In July 2015, the Financial Accounting Standards Board (FASB) issued Accounting Standards Update (ASU) 2015-12, Plan Accounting: Defined Benefit Pension Plans (Topic 960), Defined Contribution Pension Plans (Topic 962), Health and Welfare Benefit Plans (Topic 965): (Part I) Fully Benefit-Responsive Investment Contracts, (Part II) Plan Investment Disclosures, (Part III) Measurement Date Practical Expedient. Part I eliminates the requirements to measure the fair value of fully benefit-responsive investment contracts and provide certain disclosures. Contract value is the only required measure for fully benefit-responsive investment contracts. Part II eliminates the requirements to disclose individual investments that represent 5 percent or more of net assets available for benefits and the net appreciation or depreciation in fair value of investments by general type.

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MONSANTO SAVINGS AND INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS (continued)

Part II also simplifies the level of disaggregation of investments that are measured using fair value. Plans will continue to disaggregate investments that are measured using fair value by general type; however, plans are no longer required to also disaggregate investments by nature, characteristics and risks. Further, the disclosure of information about fair value measurements shall be provided by general type of plan asset. Part III is not applicable to the Plan. The ASU is effective for fiscal years beginning after Dec. 15, 2015, with early adoption permitted. Parts I and II are to be applied retrospectively. The Plan has elected to adopt Parts I and II early for the year ended Dec. 31, 2015. The adoption did not have a material effect on the financial statements. The investments section of the Statements of Net Assets Available for Benefits and the fair value hierarchy table included within Note 4 — Fair Value Measurements for the comparative prior period has been recast to conform to current year presentation as a result of this implementation.

In May 2015, the FASB issued ASU 2015-07, Fair Value Measurement (Topic 820): Disclosures for Investments in Certain Entities That Calculate Net Asset Value per Share (or Its Equivalent), which exempts investments measured using the net asset value (NAV) practical expedient in ASC 820, Fair Value Measurement, from categorization within the fair value hierarchy. The standard should be applied retrospectively to all periods presented. The Plan has elected to early adopt this ASU for the year ended Dec. 31, 2015, and the financial statements include these changes. The adoption did not have a material effect on the financial statements. The fair value hierarchy table included within Note 4 - Fair Value Measurements for the comparative prior period has been recast to conform to current year presentation as a result of this implementation.

FULLY BENEFIT-RESPONSIVE INVESTMENT CONTRACTS
The Stable Value Fund is invested in synthetic guaranteed investment contracts ("Synthetic GICs") and a separate guaranteed investment contract, as described in Note 3 — Stable Value Fund. In accordance with ASU 2015-12, the Statements of Net Assets Available for Benefits present the synthetic guaranteed investment contracts and the separate account investment contract at contract value. Contract value is the relevant measurement attributable for that portion of the net assets available for benefits of a defined contribution plan attributable to fully benefit-responsive investment contracts. This is because contract value is the amount participants would receive if they were to initiate permitted transactions under the terms of the Plan.
INVESTMENT VALUATION AND INCOME RECOGNITION
The Plan’s investments are stated at fair value, except for the stable value fund, which is valued at contract value. Common stock is valued at quoted market prices. See Note 4 — Fair Value Measurements — for further details.
Purchases and sales of securities are recorded on a trade-date basis. Dividend income is recorded on the ex-dividend date. 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 appreciation and depreciation on these investments.
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 the Company.
NOTE 3. STABLE VALUE FUND
The Stable Value Fund invests in Synthetic GICs and a separate account guaranteed investment contract. The Synthetic GICs consist 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. The separate account guaranteed investment contract is with an insurance company. The insurance company owns the underlying assets, held in a separate account established for the sole benefit of the Plan's Stable Value Fund participants.
The assets in the GIC and separate account guaranteed investment contract represent the Stable Value Fund investment option. Almost all underlying assets are comprised of cash and temporary investments, debt securities and interest rate futures derivatives.
Separate, individual synthetic investment contracts were in place on Dec. 31, 2015, and Dec. 31, 2014, with Transamerica Premier Life Insurance Company (formerly known as Monumental Life Insurance Company), Metropolitan Life Insurance and Prudential Insurance Company. The Contracts provide that participants execute plan transactions at contract value. Contract value represents participant contributions made to the fund, plus earnings, less participant withdrawals.
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 Trust's ability to receive amounts due

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MONSANTO SAVINGS AND INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS (continued)

pursuant to the wrapper contracts depends on the issuers ability to meet their financial obligation under the wrapper contacts , which may be affected by future economic and regulatory events. The Company believes that the occurrence of events that would cause the Plan to transact at less than contract value is improbable.
The following summarizes the contract value of the Synthetic GICs and the separate account guaranteed investment contract as of Dec. 31, 2015, and Dec. 31, 2014.
Guaranteed Investment Contract and Synthetic Guaranteed Investment Contracts
 
As of Dec. 31,
 
2015
 
2014
(Dollars in thousands)
 
 
 
Metropolitan Life (separate account, guaranteed investment contract)
$
134,483

 
$
135,470

Transamerica Premier Life Insurance Company (formerly known as Monumental Life Insurance Company)
239,444

 
240,606

Prudential Insurance Company
177,941

 
179,323

Total
$
551,868

 
$
555,399

Each of the Contracts provide for the determination of a gross interest crediting rate (“Contract Rate”) which is reset quarterly based on the current yield and duration of the underlying fixed income portfolio and the spread between the market value and contract value of the underlying fixed income portfolio. The quarterly Contract Rate cannot be less than zero percent.

NOTE 4. 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, discounted cash flow models, or other model-based valuation techniques adjusted, as necessary, for credit risk.
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.
 
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, 2015, and Dec. 31, 2014. 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.


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MONSANTO SAVINGS AND INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS (continued)

 
Fair Value Measurements at Dec. 31, 2015 Using
(Dollars in thousands)
Quoted Prices in
Active Markets for
Identical Items
(Level 1)
Significant Other
Observable Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
 
Balance as of
Dec. 31, 2015
Investments at Fair Value:
 
 
 
 
 
Short Term Investments
$

$
58,443

$

 
$
58,443

Debt Securities

109,158


 
109,158

Common Stock — Monsanto Company
677,325



 
677,325

Common and Preferred Stock — Other
785,788

1,901

882

 
788,571

Total Assets in the Fair Value Hierarchy
$
1,463,113

$
169,502

$
882

 
$
1,633,497

Collective Investment Funds Measured at Net Asset Value as a Practical Expedient
 
 
 
 
938,055

Total Investments at Fair Value



 
$
2,571,552



 
Fair Value Measurements at Dec. 31, 2014 Using (1)
(Dollars in thousands)
Quoted Prices in
Active Markets for
Identical Items
(Level 1)
Significant Other
Observable Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
 
Balance as of
Dec. 31, 2014
Investments at Fair Value:
 
 
 
 
 
Cash and Temporary Investment Funds
$

$
67,294

$

  
$
67,294

Debt Securities

117,044


 
117,044

Common Stock — Monsanto Company
859,530



  
859,530

Common and Preferred Stock — Other
770,936

1,871

521

 
773,328

Total Assets in the Fair Value Hierarchy
$
1,630,466

$
186,209

$
521

 
$
1,817,196

Collective Investment Funds Measured at Net Asset Value as a Practical Expedient
 
 
 
 
941,923

Total Investments at Fair Value



 
$
2,759,119

(1) Table for Fair Value Measurements has been revised to conform to current year presentation based on implementation of ASU 2015-12.

For the years ended Dec. 31, 2015, and Dec. 31, 2014, there were no significant transfers in or out of Levels 1, 2 or 3.
Level 3 Gains and Losses — The table below sets forth a summary of changes in the fair value of the Plan’s Level 3 investment assets for the years ended Dec. 31, 2015, and Dec. 31, 2014.
 
Fair Value Measurements Using Significant Unobservable Inputs
(Dollars in thousands)
Common and Preferred Stock — Other:
Domestic Large Capitalization
Fair Value at Jan. 1, 2015
$
521

     Purchases
359

     Net Transfers Into / (Out of) Level 3
2

Fair Value at Dec. 31, 2015
882

Net Unrealized Gains (Losses) Still Held Included in Earnings
$

 
Fair Value Measurements Using Significant Unobservable Inputs
(Dollars in thousands)
Common and Preferred Stock — Other:
Domestic Large Capitalization
Fair Value at Jan. 1, 2014
$

     Purchases
521

Fair Value at Dec. 31, 2014
$
521

Net Unrealized Gains (Losses) Still Held Included in Earnings
$


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Tables of Contents
MONSANTO SAVINGS AND INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS (continued)

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 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/Short-term 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/short-term 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.
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. All debt securities included in the Plan are classified as Level 2.
Common and preferred stock and 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 large-capitalization stocks (companies with market capitalizations greater than $2 billion) as well as international developed and emerging markets. All such investments that are valued using observable, unadjusted quoted prices from the various public stock exchanges, both domestic and foreign (e.g., NYSE, NASDAQ, LSE), represent active market trades and are classified as Level 1. Some common and preferred stock holdings are valued based on quoted prices for similar instruments in active markets, and thus are classified as Level 2. Some common stock was acquired through private placement and are unlisted securities, and thus there is not significant
observable information. These assets were classified as Level 3.
 
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 Large Cap Growth Equity Fund, and the Treasury Inflation-protected Securities Fund (TIPS). As a practical expedient, each commingled fund is valued at its NAV, which is calculated daily. Each fund also has a daily redemption period.
NOTE 5. INFORMATION REGARDING TAX STATUS

On Aug. 15, 2013, the IRS issued Monsanto a favorable determination letter with respect to the Plan as amended and restated
effective Jan. 1, 2006 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”). Pursuant to IRS procedures, on Jan. 31, 2013, Monsanto filed an application for a new determination letter for the Plan, which was amended and restated effective June 1, 2012. On March 12, 2015, the IRS issued Monsanto a favorable determination letter with respect to Plan amendments and restatements effective June 1, 2012 and November 3, 2014.  The Company believes that the Plan is currently designed in compliance with the applicable requirements of the IRC, and the Administrative Committee 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.
The Plan is subject to routine audits; however, there are currently no audits for any tax periods in progress. The Administrative Committee believes it is no longer subject to income tax examinations for years prior to 2012.

NOTE 6. 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 IRC as more fully described and set forth in the Plan document.

10

Tables of Contents
MONSANTO SAVINGS AND INVESTMENT PLAN
NOTES TO FINANCIAL STATEMENTS (continued)

NOTE 7. RELATED PARTY/PARTY-IN-INTEREST INVESTMENTS AND TRANSACTIONS
As of Dec. 31, 2015, and Dec. 31, 2014, the Plan holds approximately $677 million and $860 million, respectively, of common stock of Monsanto, the Plan sponsor, which approximately represents 22 percent and 26 percent, respectively, of the Plans investments.
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 exempt party-in-interest investments. Fees for Northern’s investment management services are paid by the Plan as described in Note 2 — Summary of Significant Accounting Policies.

FMR Corp. and its affiliates (individually and collectively, “Fidelity”) reported to the SEC owning less than five percent of the Company's outstanding common stock. Fidelity Workplace Investing, LLC, a subsidiary of FMR Corp., currently provides recordkeeping, third party administrative and other plan-related services to or on behalf of the Plan.
NOTE 8. 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, 2015, and Dec. 31, 2014.
 
As of Dec. 31,
(Dollars in thousands)
2015
 
2014
Net assets available for benefits:
 
 
 
      Investments, at fair value per financial statements
$
2,571,552

 
$
2,759,119

      Investments, at contract value per financial statements
551,868

 
555,399

Loans to participants
33,194

 
31,337

Total investments per Form 5500 Schedule of Assets
(Held at End of Year)
$
3,156,614

 
$
3,345,855

NOTE 9. SUBSEQUENT EVENTS
Effective January 1, 2016, the SIP will offer additional investment fund selections consisting of a series of lifecycle funds, the Vanguard Target Retirement funds. The Vanguard Target Retirement funds are currently managed by the Vanguard Equity Investment Group. In general, a target retirement fund is a broadly diversified portfolio that is automatically adjusted to a more conservative asset mix as investors move toward-and possibly enter-retirement. The objective of the Target Retirement funds is to provide capital appreciation and current income consistent with its current asset allocation.
Effective January 1, 2016, an employee who is automatically enrolled in the SIP and makes no specific investment elections will be automatically enrolled in the SIP's default investment, which is the Vanguard Target Retirement fund with a maturity date nearest to the participant's sixty-fifth birthday. This represents a change from the SIP's previous default investment, which was the Moderately Aggressive Portfolio.
*****


11

Table of Contents


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, 2015


12

Table of Contents

5500 Supplemental Schedules
 
Account number 7879
 
 
Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
#REORG/ADT CORP COM CASH MERGER 05-02-2016
50,950

 
1,839,428

 
1,680,331

#REORG/FERRARI N V MANDATORY EXCHANGE FERRARI N V 221UA41 01-04-2016
5,980

 
301,549

 
287,040

#REORG/KAUPTHING BK HF WORTHLESS SECURITY 03-22-2016
800,000

 
805,086

 
8

#REORG/MCGRAW HILL NAME CHANGE S&P GLOBAL INC 211FAQ1 04-28-2016
8,226

 
727,177

 
810,919

#REORG/MCGRAW HILL NAME CHANGE S&P GLOBAL INC 211FAQ1 04-28-2016
24,340

 
2,431,168

 
2,399,437

&&& AIRBNB INC SERIES D CVT PFD STOCK TROWE PRICE ONLY
1,188

 
145,101

 
145,101

&&& DROPBOX INC CL A COM STK - TROWE PRICE ONLY
1,630

 
31,135

 
31,135

&&& LIVING SOCIAL INC PFD STK SER F TROWE PRICE ONLY
4,555

 
35,028

 
2,095

&&& SER C CVT PFD STK DROPBOX SERIES C PREFERRED TROWE PRICE ONLY
7,384

 
141,043

 
141,043

&&&UBER TECHNOLOGIES INC SER E PFD STK-TROWE PRICE ONLY
6,124

 
204,037

 
204,037

1ST QUANTUM MINLS COM NPV
79,768

 
1,238,847

 
297,458

21ST CENTY FOX 6.4% DUE 12-15-2035
125,000

 
156,330

 
143,978

21ST CENTY FOX 6.65% DUE 11-15-2037
275,000

 
326,534

 
319,567

ABB LTD CHF0.86 (REGD)
35,400

 
729,062

 
635,149

ABBOTT LAB COM
35,949

 
1,336,285

 
1,614,470

ACCOR EUR3
19,370

 
813,863

 
841,770

ACTAVIS FDG SCS 3% DUE 03-12-2020
475,000

 
474,976

 
474,622

ACTAVIS FDG SCS 3.45% DUE 03-15-2022
250,000

 
248,283

 
250,273

ACTAVIS FUNDING SCS FIXED 3.8% DUE 03-15-2025
260,000

 
259,077

 
258,672

ADOBE SYS INC COM
14,790

 
886,734

 
1,389,373

ADOBE SYS INC COM
24,740

 
2,024,438

 
2,324,076

ADR AEGON N V NY REGISTRY SHS SHS
240,318

 
1,726,924

 
1,362,603

ADR ALIBABA GROUP HLDG LTD-SP A
14,147

 
1,158,980

 
1,149,727

ADR ARM HLDGS PLC SPONSORED ADR
14,670

 
599,830

 
663,671

ADR ASML HLDG NV NY REG 2012 (POST REV SPLIT)
7,500

 
660,816

 
665,775

ADR ASTRAZENECA PLC SPONSORED ADR UK
56,200

 
1,908,916

 
1,907,990

ADR BAIDU INC SPONSORED ADR
2,940

 
594,775

 
555,778

ADR EMBRAER S A SPONSORED ADR REPSTG 4 COM SHS
13,797

 
427,419

 
407,563

ADR EMBRAER S A SPONSORED ADR REPSTG 4 COM SHS
12,800

 
344,735

 
378,112

ADR FOMENTO ECONOMICO MEXICANO SAB DE CV
8,499

 
628,416

 
784,883

ADR GLAXOSMITHKLINE PLC SPONSORED ADR
38,900

 
1,921,512

 
1,569,615

ADR HDFC BK LTD ADR REPSTG 3 SHS
21,410

 
745,511

 
1,318,856

ADR HONDA MTR LTD ADR REPRESENTING 2 ORDSHS
30,900

 
998,449

 
986,637

ADR ICICI BK LTD
93,142

 
876,470

 
729,302


 

13

Table of Contents

5500 Supplemental Schedules
 
Account number 7879
 
 
Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
ADR INDUSTRIA DE DISENO TEXTIL INDITEX SA ADR ADR
60,873

 
725,880

 
1,050,059

ADR KB FINL GROUP INC SPONSORED ADR REPSTG 1 COM SH ADR
19,324

 
870,058

 
538,560

ADR MMC NORILSK NICKEL PJSC SPONSORED ADR
26,706

 
440,449

 
339,033

ADR NOVARTIS AG
79,000

 
4,587,671

 
6,797,160

ADR NOVO-NORDISK A S ADR
19,292

 
537,149

 
1,120,479

ADR ROYAL DUTCH SHELL PLC SPONSORED ADR REPSTG A SHS
23,964

 
1,582,636

 
1,097,299

ADR ROYAL DUTCH SHELL PLC SPONSORED ADR REPSTG B SHS
24,857

 
1,483,249

 
1,144,416

ADR TENCENT HLDGS LTD ADR
106,360

 
2,066,795

 
2,086,783

ADR TENCENT HLDGS LTD ADR
44,224

 
772,994

 
867,675

ADR TENCENT HLDGS LTD ADR
50,700

 
915,344

 
994,734

ADR TEVA PHARMACEUTICAL INDS
26,845

 
1,149,219

 
1,762,106

ADR TEVA PHARMACEUTICAL INDS
16,745

 
845,388

 
1,099,142

ADR VODAFONE GROUP PLC NEW SPONSORED ADRNO PAR
41,272

 
1,378,573

 
1,331,435

AEGON NV COM STK EUR0.12
153,560

 
1,121,894

 
872,428

AERCAP HOLDINGS N.V. EUR0.01
5,422

 
229,272

 
234,014

AES CORP COM
68,019

 
811,159

 
650,942

AFLAC INC COM
1,870

 
119,708

 
112,013

AIA GROUP LTD NPV
123,600

 
361,541

 
743,180

AIA GROUP LTD NPV
136,600

 
854,932

 
821,347

AKAMAI TECHNOLOGIES INC COM STK
24,890

 
1,778,144

 
1,309,961

AKAMAI TECHNOLOGIES INC COM STK
7,700

 
529,175

 
405,251

AKZO NOBEL NV EUR2
15,300

 
866,999

 
1,025,146

AKZO NOBEL NV EUR2
12,200

 
727,330

 
817,436

ALASKA AIR GROUP INC COM
9,600

 
712,690

 
772,896

ALASKA AIR GROUP INC COM
9,690

 
479,058

 
780,142

ALEXION PHARMACEUTICALS INC COM
12,840

 
2,512,728

 
2,449,230

ALEXION PHARMACEUTICALS INC COM
21,100

 
2,972,526

 
4,024,825

ALEXION PHARMACEUTICALS INC COM
6,978

 
816,231

 
1,331,054

ALLERGAN PLC. COMMON STOCK
3,975

 
968,074

 
1,242,188

ALLERGAN PLC. COMMON STOCK
11,767

 
3,159,015

 
3,677,188

ALLIANZ SE NPV(REGD)(VINKULIERT)
4,355

 
567,808

 
773,728

ALLSTATE CORP COM
14,420

 
578,537

 
895,338

ALLSTATE CORP COM
13,400

 
627,042

 
832,006

ALLY FINL INC COM
34,666

 
717,780

 
646,174


 

14

Table of Contents

5500 Supplemental Schedules
 
Account number 7879
 
 
Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
ALPHABET INC CAP STK CL A CAP STK CL A
2,418

 
657,762

 
1,881,228

ALPHABET INC CAP STK CL A CAP STK CL A
3,300

 
1,230,338

 
2,567,433

ALPHABET INC CAP STK CL A CAP STK CL A
4,960

 
2,651,739

 
3,858,930

ALPHABET INC CAP STK CL A CAP STK CL A
6,185

 
2,011,758

 
4,811,992

ALPHABET INC CAP STK CL C CAP STK CL C
3,548

 
921,489

 
2,692,506

ALPHABET INC CAP STK CL C CAP STK CL C
3,008

 
1,027,674

 
2,282,711

ALPHABET INC CAP STK CL C CAP STK CL C
7,320

 
3,417,529

 
5,555,002

ALPHABET INC CAP STK CL C CAP STK CL C
2,711

 
869,364

 
2,057,324

AMAZON COM INC COM
5,442

 
769,158

 
3,678,193

AMAZON COM INC COM
13,125

 
2,886,479

 
8,871,056

AMAZON COM INC COM
8,020

 
2,683,314

 
5,420,638

AMDOCS ORD GBP0.01
4,640

 
160,360

 
253,205

AMER ELEC PWR CO INC COM
11,600

 
484,034

 
675,932

AMERICAN AIRLINES INC COM USD1
2,922

 
129,630

 
123,747

AMERICAN AIRLINES INC COM USD1
56,200

 
2,122,599

 
2,380,070

AMERICAN EXPRESS CO
41,500

 
3,078,544

 
2,886,325

AMERICAN INTERNATIONAL GROUP INC COM
20,500

 
998,108

 
1,270,385

AMERICAN INTERNATIONAL GROUP INC COM
46,100

 
1,770,329

 
2,856,817

AMERICAN TOWER CORP
8,452

 
527,314

 
819,421

ANADARKO PETRO CORP COM
3,202

 
245,367

 
155,553

ANHEUSER-BUSCH INBEV NV
11,320

 
765,761

 
1,406,767

ANHUI CONCH CEMENT 'H'CNY1
229,500

 
767,702

 
617,417

ANTHEM INC COM
10,100

 
1,329,280

 
1,408,344

ANTHEM INC COM
13,300

 
1,922,123

 
1,854,552

ANTHEM INC COM
6,900

 
657,880

 
962,136

ANTHEM INC COM
691

 
58,888

 
96,353

AOL TIME WARNER 7.625% DUE 04-15-2031
525,000

 
630,846

 
649,609

AOL TIME WARNER 7.7% DUE 05-01-2032
594,000

 
651,035

 
741,408

APACHE CORP COM
60,700

 
4,559,914

 
2,699,329

APPLE INC COM STK
23,683

 
851,103

 
2,492,873

APPLE INC COM STK
1,137

 
87,478

 
119,681

APPLE INC COM STK
14,800

 
1,683,185

 
1,557,848

APPLE INC COM STK
55,922

 
4,309,560

 
5,886,350

ARM HLDGS ORD GBP0.0005
63,240

 
900,718

 
968,446


 

15

Table of Contents

5500 Supplemental Schedules
 
Account number 7879
 
 
Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
ASML HOLDING NV EUR0.09
10,240

 
927,016

 
918,262

ASPEN TECHNOLOGY INC COM
4,247

 
160,235

 
160,367

ASSURANT INC COM
4,170

 
193,530

 
335,852

ASSURED GUARANTY LTD COMMON STK
18,409

 
496,493

 
486,550

ASTELLAS PHARMA NPV
53,400

 
567,837

 
768,628

ASTRA INTL IDR50
1,367,200

 
799,419

 
595,082

AT&T CORP USD SR NT VAR RATE DUE 11-15-2031BEO
500,000

 
597,354

 
668,040

AT&T INC 3.4% DUE 05-15-2025
150,000

 
149,556

 
144,164

AT&T INC 4.75% DUE 05-15-2046
175,000

 
174,377

 
160,229

AT&T INC 5.35% DUE 09-01-2040
200,000

 
219,436

 
197,543

AT&T INC COM
20,850

 
691,383

 
717,449

ATLASSIAN CORPORATION PLC COM USD0.1 CL A
1,002

 
21,042

 
30,140

AVIVA ORD GBP0.25
154,280

 
996,487

 
1,173,349

AXA EUR2.29
36,500

 
677,350

 
1,000,368

AXA EUR2.29
45,260

 
878,879

 
1,240,457

AXIS CAPITAL HOLDINGS LTD COM USD0.0125
5,345

 
231,380

 
300,496

BAC CAP TR XI 6.625% DUE 05-23-2036
825,000

 
913,904

 
939,744

BAE SYSTEMS ORD GBP0.025
144,820

 
818,241

 
1,066,397

BAKER HUGHES INC COM
80,000

 
3,613,128

 
3,692,000

BANGKOK BANK THB10 (NVDR)
138,700

 
782,012

 
587,794

BANK AMER CORP 5.625% DUE 07-01-2020
200,000

 
229,224

 
222,154

BANK AMER CORP 7.625% DUE 06-01-2019
575,000

 
695,015

 
666,033

BANK NEW YORK MELLON CORP COM STK
140,500

 
3,827,489

 
5,791,410

BANK NEW YORK MELLON CORP COM STK
8,100

 
211,426

 
333,882

BANK OF AMERICA CORP
148,755

 
2,033,552

 
2,503,547

BANK OF AMERICA CORP
113,005

 
1,998,872

 
1,901,874

BANK OF AMERICA CORP
422,500

 
4,888,197

 
7,110,675

BANK OF AMERICA CORP BNDS 4.2 DUE 08-26-2024
225,000

 
225,440

 
223,240

BANK ONE CAP III 8.75% DUE 09-01-2030
350,000

 
422,216

 
501,263

BANK RAKYAT INDONESIA PERSER
911,700

 
679,729

 
755,616

BARCLAYS PLC 4.375% DUE 09-11-2024
525,000

 
524,049

 
513,356

BARCLAYS PLC ORD GBP0.25
313,850

 
1,162,427

 
1,012,595

BARCLAYS PLC ORD GBP0.25
325,362

 
1,321,014

 
1,049,737

BAYER AG NPV (REGD)
8,410

 
637,562

 
1,057,924


 

16

Table of Contents

5500 Supplemental Schedules
 
Account number 7879
 
 
Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
BAYER AG NPV (REGD)
10,677

 
682,176

 
1,343,098

BB&T CORP COM
63,000

 
1,589,350

 
2,382,030

BBVA(BILB-VIZ-ARG) EUR0.49
77,059

 
819,715

 
564,116

BECTON DICKINSON & 3.734% DUE 12-15-2024
275,000

 
277,178

 
277,345

BECTON DICKINSON & CO COM
5,000

 
712,603

 
770,450

BED BATH & BEYOND INC COM
8,278

 
478,420

 
399,414

BED BATH & BEYOND INC COM
18,300

 
1,170,148

 
882,975

BEST BUY INC COM STK
1,370

 
47,623

 
41,717

BG GROUP ORD GBP0.10
101,305

 
1,815,995

 
1,470,737

BHP BILLITON LTD NPV
46,230

 
1,756,154

 
600,715

BIG LOTS INC COM
1,270

 
53,330

 
48,946

BIOGEN INC COMMON STOCK
2,400

 
436,031

 
735,240

BIOGEN INC COMMON STOCK
3,470

 
614,868

 
1,063,035

BIOMARIN PHARMACEUTICAL INC COM ISIN CH0008107010
7,653

 
534,052

 
801,728

BIOMARIN PHARMACEUTICAL INC COM ISIN CH0008107010
6,400

 
620,113

 
670,464

BM&FBOVESPA SA COM NPV
153,500

 
837,110

 
422,525

BNP PARIBAS BNDS 4.25 DUE 10-15-2024
775,000

 
772,610

 
767,719

BNP PARIBAS EUR2
26,770

 
1,293,083

 
1,518,862

BNSF RY CO 2006-2 5.629% DUE 04-01-2024
138,677

 
138,677

 
151,696

BOEING CO COM
32,200

 
3,214,833

 
4,655,798

BOEING CO COM
9,551

 
817,244

 
1,380,979

BOEING CO COM
4,000

 
331,255

 
578,360

BOSTON PROPERTIES LP DTD 4-19-2010 5.625DUE 11-15-2020
250,000

 
262,301

 
278,255

BP ORD USD0.25
264,250

 
1,750,086

 
1,378,752

Brazilian real
8,332

 
8,332

 
8,332

BRF SA COM NPV
25,965

 
461,440

 
363,592

BRISTOL MYERS SQUIBB CO COM
23,343

 
1,226,454

 
1,605,765

BRISTOL MYERS SQUIBB CO COM
48,600

 
3,356,216

 
3,343,194

BRISTOL MYERS SQUIBB CO COM
24,100

 
1,569,807

 
1,657,839

BRITISH AMERICAN TOBACCO ORD GBP0.25
29,536

 
1,397,417

 
1,641,634

British pound sterling
4,796

 
4,796

 
4,796

British pound sterling
4

 
4

 
4

BSTN PPTYS LTD 3.125% DUE 09-01-2023
300,000

 
296,886

 
292,085

BSTN PPTYS LTD 3.8% DUE 02-01-2024
150,000

 
149,541

 
152,522


 

17

Table of Contents

5500 Supplemental Schedules
 
Account number 7879
 
 
Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
BSTN PPTYS LTD 4.125% DUE 05-15-2021
200,000

 
191,964

 
209,480

BSTN SCIENTIFIC 6% DUE 01-15-2020
350,000

 
405,776

 
388,644

BUNGE LTD
4,200

 
358,223

 
286,776

BUNGE LTD
6,687

 
566,459

 
456,588

BURBERRY GROUP ORD GBP0.0005
39,760

 
750,161

 
700,297

BURL NORTHN SANTA 3.05% DUE 09-01-2022
700,000

 
696,535

 
699,384

BURL NORTHN SANTA 8.251% DUE 01-15-2021
191,121

 
196,028

 
215,144

CADENCE DESIGN SYS INC COM
5,050

 
112,846

 
105,091

CADENCE DESIGN SYS INC COM
38,000

 
291,302

 
790,780

CAL MAINE FOODS INC COM NEW STK
9,356

 
542,576

 
433,557

CALIFORNIA ST 7.3% 10-01-2039 BEO TAXABLE
375,000

 
490,374

 
523,973

CALIFORNIA ST 7.5% 04-01-2034 BEO TAXABLE
275,000

 
285,885

 
385,041

CALIFORNIA ST 7.625% 03-01-2040 BEO TAXABLE
150,000

 
183,474

 
218,141

CALIFORNIA STATE 7.55 MUN BDS DUE 04-01-2039 USD5000
250,000

 
247,812

 
363,418

CALPINE CORP COM NEW STK
99,200

 
1,952,156

 
1,435,424

Canadian dollar
13,646

 
13,646

 
13,646

Canadian dollar
377

 
377

 
377

CANADIAN PAC RY LTD COM NPV
8,700

 
1,315,568

 
1,110,120

CAP 1 FINL CORP 3.5% DUE 06-15-2023
875,000

 
807,083

 
869,652

CAP 1 FINL CORP 4.2% DUE 10-29-2025
150,000

 
149,988

 
148,103

CAP 1 FINL CORP 4.75% DUE 07-15-2021
200,000

 
224,586

 
216,631

CAP 1 FNCL COM
15,700

 
891,175

 
1,133,226

CAP 1 FNCL COM
5,610

 
399,260

 
404,930

CAP 1 FNCL COM
112,500

 
5,113,452

 
8,120,250

CARDINAL HLTH INC
8,596

 
501,404

 
767,365

CARLISLE COMPANIES INC COM
18,270

 
1,837,830

 
1,620,366

CARMAX INC COM
10,800

 
502,756

 
582,876

CBL & ASSOC PPTYS INC COM
18,623

 
277,922

 
230,367

CBRE GROUP INC CL A CL A
18,107

 
575,805

 
626,140

CBS CORP NEW CL B
11,000

 
494,898

 
518,430

CCO SAFARI II LLC SR SECD NT 144A 4.908% 23 JUL 2025
250,000

 
249,175

 
249,757

CDN NATL RAILWAYS COM NPV
15,780

 
612,303

 
878,686

CELANESE CORP DEL COM SER A STK
34,000

 
1,478,645

 
2,289,220


 

18

Table of Contents

5500 Supplemental Schedules
 
Account number 7879
 
 
Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
CELGENE CORP COM
11,097

 
942,022

 
1,328,977

CELGENE CORP COM
14,458

 
736,519

 
1,731,490

CELGENE CORP COM
24,540

 
2,196,211

 
2,938,910

CF INDS HLDGS INC COM
12,400

 
637,396

 
506,044

CHARTER 6.484% DUE 10-23-2045
175,000

 
175,000

 
175,287

CHASE ISSUANCE TR 1.38% DUE 11-15-2019
760,000

 
759,911

 
757,827

CHASE ISSUANCE TR 1.59% DUE 02-18-2020
480,000

 
481,123

 
479,933

CHINA LIFE INSURANCE CO 'H' CNY1
306,000

 
753,546

 
989,052

CHINA MOBILE LTD HKD0.10
80,000

 
834,714

 
903,208

CHINA TELECOM CORP LTD 'H'CNY1
2,422,000

 
1,290,991

 
1,137,537

CHIPOTLE MEXICAN GRILL INC COM STK
1,364

 
763,478

 
654,515

CIE DE ST-GOBAIN EUR4
23,970

 
958,858

 
1,037,639

CIGNA CORP 5.875% DUE 03-15-2041
175,000

 
199,545

 
201,275

CIGNA CORP 7.875 DEB DUE 05-15-2027
300,000

 
373,960

 
394,138

CIGNA CORP CIGNA CORP 5.375% DUE 03-15-2017/03-15-2007
150,000

 
162,357

 
156,319

CIGNA CORP NT DTD 07/23/1998 STEP UP DUE1-15-33 BEO 8.3 TIL 1-15-23 8.08 AFTER
100,000

 
123,537

 
131,351

CIGNA CORPORATION
7,100

 
1,149,654

 
1,038,943

CIGNA CORPORATION
30,000

 
2,394,037

 
4,389,900

CIMAREX ENERGY CO COM
340

 
40,042

 
30,389

CISCO SYSTEMS INC
154,000

 
4,220,575

 
4,181,870

CITIGROUP CAP XIII 7.875% TR PFD SECS FIXED/FLTG
39,570

 
1,070,155

 
1,028,424

CITIGROUP INC 3.5% DUE 05-15-2023
100,000

 
92,743

 
98,322

CITIGROUP INC COM NEW COM NEW
13,098

 
782,207

 
677,822

CITIGROUP INC COM NEW COM NEW
34,100

 
1,825,115

 
1,764,675

CITIGROUP INC COM NEW COM NEW
48,784

 
1,956,574

 
2,524,572

CITIGROUP INC GLOBAL SR NT FLTG RATE DUE05-15-2018 REG
475,000

 
381,313

 
483,041

CITIGROUP INC NT VAR RATE 12-31-2049 REG
1,450,000

 
1,450,000

 
1,395,625

CITIZENS FINL GROUP INC COM
42,100

 
935,486

 
1,102,599

CITRIX SYS INC COM
2,869

 
216,326

 
217,040

CK HUTCHISON HLDGS HKD1
76,000

 
824,503

 
1,025,735

CK HUTCHISON HLDGS HKD1
61,888

 
704,622

 
835,272

CK PROPERTY LTD HKD1
61,888

 
318,490

 
402,464

CK PROPERTY LTD HKD1
76,000

 
329,103

 
494,236

CNH INDUSTRIAL NV COM STK
120,300

 
995,407

 
822,852


 

19

Table of Contents

5500 Supplemental Schedules
 
Account number 7879
 
 
Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
CNOOC LTD HKD0.02
717,000

 
1,000,307

 
746,591

COACH INC COM
45,500

 
2,374,613

 
1,489,215

COBALT INTL ENERGY INC COM
167,300

 
2,395,835

 
903,420

COGNIZANT TECH SOLUTIONS CORP CL A
35,220

 
2,215,696

 
2,113,904

COMCAST CORP NEW 6.3% DUE 11-15-2017
200,000

 
200,076

 
217,597

COMCAST CORP NEW-CL A
16,000

 
985,412

 
902,880

COMCAST CORP NEW-CL A
103,035

 
1,896,127

 
5,814,265

COMMERZBANK AG NPV
46,590

 
547,982

 
484,446

CONCHO RES INC COM STK
6,379

 
550,284

 
592,354

CONCHO RES INC COM STK
12,800

 
1,285,455

 
1,188,608

CONSTELLATION BRANDS INC CL A CL A
18,310

 
1,087,976

 
2,608,076

CONTINENTAL AG ORD NPV
5,050

 
1,202,692

 
1,231,840

COOPER TIRE & RUBBER CO COM, NO PAR
6,276

 
256,985

 
237,547

CORNING INC COM
136,400

 
2,250,652

 
2,493,392

CORNING INC COM
138,500

 
1,959,701

 
2,531,780

COSTCO WHOLESALE CORP NEW COM
7,663

 
634,098

 
1,237,575

COX COMMUNICATIONS 2.95% DUE 06-30-2023
650,000

 
612,792

 
572,595

CREDIT SUISSE AG CHF0.04(REGD)
61,081

 
1,467,161

 
1,323,523

CREDIT SUISSE AG CHF0.04(REGD)
44,688

 
1,368,958

 
968,314

CRH ORD EUR0.32
58,350

 
1,159,233

 
1,692,396

CUMMINS INC
16,000

 
1,647,238

 
1,408,160

DANA HLDG CORP COM
4,757

 
71,554

 
65,647

DANAHER CORP COM
18,800

 
1,524,409

 
1,746,144

DANAHER CORP COM
47,022

 
2,597,258

 
4,367,403

DBS GROUP HLDGS NPV
98,000

 
1,077,908

 
1,152,941

DECKERS OUTDOOR CORP COM
1,400

 
131,939

 
66,080

DELPHI AUTOMOTIVE PLC
30,720

 
2,081,513

 
2,633,626

DELTA AIR LINES INC DEL COM NEW COM NEW
56,040

 
2,136,948

 
2,840,668

DELTA AIR LINES INC DEL COM NEW COM NEW
16,190

 
502,071

 
820,671

DEUTSCHE BOERSE AG NPV(REGD)
13,290

 
987,446

 
1,175,022

DEUTSCHE LUFTHANSA ORD NPV (REGD)(VINK)
50,620

 
967,875

 
800,908

DEUTSCHE POST AG NPV(REGD)
16,530

 
314,548

 
466,062

DISCOVERY COMMUNICATIONS INC NEW COM SERA STK
30,100

 
875,608

 
803,068

DISH NETWORK CORP CL A COM STK
26,900

 
814,142

 
1,538,142


 

20

Table of Contents

5500 Supplemental Schedules
 
Account number 7879
 
 
Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
DOMINION RES INC FLTG RT 5.75% DUE 10-01-2054
475,000

 
475,000

 
465,405

DOMTAR CORP COM NEW COM NEW
5,534

 
214,704

 
204,481

DOW CHEM CO 4.25% DUE 11-15-2020
124,000

 
132,963

 
129,799

DOW CHEM CO 7.375% DUE 11-01-2029
575,000

 
625,736

 
710,153

DOW CHEM CO 8.55 DUE 05-15-2019
217,000

 
228,505

 
255,767

DOW CHEM CO NT 9.4 DUE 05-15-2039
75,000

 
74,672

 
107,784

DOW CHEMICAL CO 3% DUE 11-15-2022
125,000

 
121,121

 
119,665

DR PEPPER SNAPPLE GROUP INC COM STK
3,600

 
217,550

 
335,520

DR REDDYS LABS LTD ADR REPSTG 1/2 SH
8,010

 
314,273

 
370,783

DRIL-QUIP INC COM
1,854

 
132,344

 
109,812

EATON CORP PLC COM USD0.50
12,200

 
653,254

 
634,888

EBAY INC COM USD0.001
29,548

 
827,444

 
811,979

EBAY INC COM USD0.001
9,400

 
174,806

 
258,312

EDISON INTL COM
11,414

 
530,503

 
675,823

ELECTR ARTS COM
36,630

 
2,531,114

 
2,517,214

ELI LILLY & CO COM
15,400

 
1,044,826

 
1,297,604

EMC CORP COM
211,000

 
5,485,558

 
5,418,480

ENI SPA EUR1
66,306

 
1,478,224

 
993,989

ENSCO PLC SHS CLASS A COM
52,454

 
1,018,628

 
807,267

ENTERGY CORP NEW COM
13,345

 
909,227

 
912,264

EOG RESOURCES INC COM
10,146

 
675,734

 
718,235

EOG RESOURCES INC COM
1,200

 
105,847

 
84,948

ERICSSON
98,100

 
1,175,832

 
942,741

ERICSSON SER'B' NPV
35,110

 
390,198

 
342,746

ERP OPERATING LP 4.625 DUE 12-15-2021 REG
675,000

 
763,466

 
732,565

ESSILOR INTL EUR0.18
4,759

 
529,649

 
594,774

EVEREST RE GROUP COM
2,290

 
263,994

 
419,276

EXELON CORP COM
8,200

 
261,890

 
227,714

EXPRESS SCRIPTS HLDG CO COM
8,900

 
610,651

 
777,949

EXPRESS SCRIPTS HLDG CO COM
58,800

 
4,498,453

 
5,139,708

EXXON MOBIL CORP COM
3,476

 
298,380

 
270,954

FACEBOOK INC CL A CL A
43,570

 
2,298,309

 
4,560,036

FACEBOOK INC CL A CL A
33,734

 
1,680,104

 
3,530,600

FACEBOOK INC CL A CL A
28,543

 
1,237,003

 
2,987,310




21

Table of Contents

5500 Supplemental Schedules
 
Account number 7879
 
 
Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
FANUC CORP NPV
4,000

 
607,480

 
700,944

FEDERAL HOME LN MTG CORP POOL #1Q-0481 FLTG 02-01-2038 BEO
130,107

 
138,564

 
136,685

FEDERAL HOME LN MTG CORP POOL #849409 3.046% 08-01-2044 BEO
1,391,824

 
1,441,408

 
1,431,948

FEDERAL HOME LN MTG CORP POOL #C91001 6.5% 11-01-2026 BEO
202,197

 
206,746

 
231,652

FEDERAL HOME LN MTG CORP POOL #C91362 4.5% 03-01-2031 BEO
341,591

 
367,050

 
371,054

FEDERAL HOME LN MTG CORP POOL #G01513 6%03-01-2033 BEO
118,440

 
119,902

 
135,343

FEDERAL HOME LN MTG CORP POOL #G06801 4.5% 09-01-2041 BEO
788,147

 
845,041

 
852,928

FEDERAL HOME LN MTG CORP POOL #G06875 5.5% 12-01-2038 BEO
496,953

 
546,881

 
552,377

FEDERAL HOME LN MTG CORP POOL #G07598 4.5% 11-01-2043 BEO
426,800

 
457,810

 
469,839

FEDERAL HOME LN MTG CORP POOL #G11288 6.5% 06-01-2017 BEO
7,681

 
8,037

 
7,818

FEDERAL HOME LN MTG CORP POOL #G11431 6%02-01-2018 BEO
5,338

 
5,520

 
5,457

FEDERAL HOME LN MTG CORP POOL #G11452 6.5% 04-01-2018 BEO
8,635

 
9,087

 
8,831

FEDERAL HOME LN MTG CORP POOL #G11564 6.5% 08-01-2017 BEO
39,568

 
41,867

 
40,655

FEDERAL HOME LN MTG CORP POOL #G11622 6%02-01-2018 BEO
39,943

 
41,940

 
40,785

FEDERAL HOME LN MTG CORP POOL #G13432 5.5% 01-01-2024 BEO
122,775

 
133,978

 
132,935

FEDERAL HOME LN MTG CORP POOL #G14590 4.5% 07-01-2026 BEO
285,137

 
305,231

 
305,462

FEDERAL HOME LN MTG CORP POOL #G14762 4%07-01-2026 BEO
433,469

 
457,038

 
457,777

FEDERAL HOME LN MTG CORP POOL #H09212 5.5% 05-01-2038 BEO
78,684

 
83,651

 
84,498

FEDERAL HOME LN MTG CORP SER 3420 CL AD 5.5 DUE 11-15-2037
185,189

 
196,300

 
194,847

FEDERAL HOME LN MTG CORP SER 3530 CL AC 4.25 05-15-2039
876,973

 
922,740

 
914,497

FEDERAL HOME LN MTG CORP SR 4283 CL EW VAR RT 12-15-2043
1,612,000

 
1,783,779

 
1,747,642

FEDERAL NATL MTG ASSN GTD MTG POOL #AJ7670 4.5% 12-01-2041 BEO
313,621

 
338,858

 
339,151

FEDERAL NATL MTG ASSN GTD MTG POOL #AK9481 ADJ RT DUE 04-01-2042 BEO
1,350,318

 
1,397,157

 
1,408,908

FEDERAL NATL MTG ASSN GTD MTG POOL #AL1845 ADJ RT DUE 06-01-2039 BEO
209,015

 
224,169

 
223,399

FEDERAL NATL MTG ASSN GTD MTG POOL #AL3358 5% 04-01-2025 BEO
297,687

 
321,491

 
319,109

FEDERAL NATL MTG ASSN GTD MTG POOL #AL4147 4.5% 01-01-2025 BEO
230,732

 
244,972

 
248,180

FEDERAL NATL MTG ASSN GTD MTG POOL #AL4577 4.5% 01-01-2034 BEO
1,263,924

 
1,357,928

 
1,375,555

FEDERAL NATL MTG ASSN GTD MTG POOL #AL5133 2.707% 04-01-2044 BEO
421,102

 
436,498

 
434,975

FEDERAL NATL MTG ASSN GTD MTG POOL #AL5145 4% 10-01-2033 BEO
879,368

 
939,962

 
940,846

FEDERAL NATL MTG ASSN GTD MTG POOL #AL5362 5% 09-01-2039 BEO
1,533,711

 
1,689,957

 
1,694,836

FEDERAL NATL MTG ASSN GTD MTG POOL #AL5440 4.5% 02-01-2041 BEO
158,562

 
172,461

 
173,062

FEDERAL NATL MTG ASSN GTD MTG POOL #AL5749 4.5% 07-01-2042 BEO
815,473

 
883,896

 
882,595

FEDERAL NATL MTG ASSN GTD MTG POOL #AL7205 3.5% 12-01-2029 BEO
286,771

 
302,185

 
300,591

FEDEX CORP COM
4,180

 
646,716

 
622,778





22

Table of Contents

5500 Supplemental Schedules
 
Account number 7879
 
 
Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
FEDEX CORP COM
30,000

 
2,105,198

 
4,469,700

FEDEX CORP COM
7,700

 
1,093,556

 
1,147,223

FEDT RETAIL HLDGS 6.375% DUE 03-15-2037
125,000

 
138,144

 
126,495

FHLMC GOLD E01140 6 05-01-2017
7,742

 
8,000

 
7,916

FHLMC GOLD G11516 6 03-01-2018
5,686

 
5,971

 
5,802

FHLMC GOLD G14730 4 02-01-2027
317,132

 
336,854

 
334,914

FHLMC GOLD G30317 6.5 01-01-2027
271,253

 
277,865

 
309,537

FHLMC GOLD H09901 6.5 08-01-2036
56,910

 
59,898

 
63,505

FHLMC MULTICLASS SER 1955 CL Z 7.5 05-20-2027
153,880

 
165,349

 
174,305

FHLMC MULTICLASS SER T-41 CL 2A 5.70550207-25-2032
71,374

 
74,067

 
81,677

FHLMC POOL #1Q1313 ADJ RT 09-01-2037
71,619

 
77,661

 
75,881

FHLMC POOL #849096 ADJ RT 10-01-2041
332,948

 
344,653

 
346,479

FHLMC POOL #849386 ADJ RT 07-01-2044
786,842

 
813,520

 
809,546

FHLMC POOL #G05603 7 11-01-2038
129,506

 
140,716

 
151,665

FHLMC POOL #G30248 6.5 12-01-2023
122,206

 
129,023

 
139,175

FHLMC POOL #H01579 6.5 08-01-2036
11,698

 
11,819

 
13,007

FIREEYE INC COM
5,455

 
247,974

 
113,137

FLEETCOR TECHNOLOGIES INC COM
5,656

 
706,995

 
808,412

FLEXTRONICS INTL LTD COM STK
37,718

 
347,122

 
422,819

FLOWSERVE CORP COM
20,420

 
1,190,703

 
859,274

FLSMIDTH & CO A/S SER'B'DKK20
9,900

 
506,110

 
345,862

FNMA 2001-T10 CL A1 PASS THROUGH 7 12-25-2041
35,293

 
36,820

 
41,389

FNMA POOL #357906 5.5% 08-01-2035 BEO
189,573

 
206,693

 
214,015

FNMA POOL #545090 6% DUE 07-01-2016 REG
1,654

 
1,734

 
1,663

FNMA POOL #555299 7% 11-01-2017 BEO
2,846

 
3,027

 
2,894

FNMA POOL #555531 5.5% 06-01-2033 BEO
158,197

 
166,823

 
177,854

FNMA POOL #725135 6% 05-01-2018 BEO
8,771

 
9,211

 
8,951

FNMA POOL #725510 6.5% 07-01-2017 BEO
13

 
14

 
14

FNMA POOL #731243 5.5% 08-01-2033 BEO
519,919

 
579,710

 
579,009

FNMA POOL #735417 6.5% 03-01-2035 BEO
156,354

 
162,535

 
180,953

FNMA POOL #735439 6% 09-01-2019 BEO
59,182

 
60,671

 
61,158

FNMA POOL #735857 6.5 06-01-2033 BEO
311,007

 
321,588

 
367,404

FNMA POOL #745329 6% DUE 07-01-2035 BEO
24,028

 
24,280

 
27,418

FNMA POOL #888368 7% 03-01-2037 BEO
71,151

 
80,623

 
82,741



23

Table of Contents

5500 Supplemental Schedules
 
Account number 7879
 
 
Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
FNMA POOL #888369 7% DUE 03-01-2037 REG
252,332

 
280,002

 
292,817

FNMA POOL #907860 ADJ RT DUE 02-01-2037 BEO
576,392

 
613,227

 
612,798

FNMA POOL #AB8193 6% 10-01-2038 BEO
110,821

 
120,743

 
122,339

FNMA POOL #AD0163 6% 11-01-2034 BEO
382,015

 
403,742

 
435,330

FNMA POOL #AD0276 5.5% 01-01-2024 BEO
164,079

 
174,001

 
176,011

FNMA POOL #AD0310 7% 12-01-2038 BEO
128,294

 
139,480

 
152,977

FNMA POOL #AE0381 5.5% 12-01-2024 BEO
197,620

 
212,843

 
214,412

FNMA POOL #AL5964 ADJ RT 10-01-2044
1,103,635

 
1,138,468

 
1,129,989

FNMA POOL #AL6209 4.887% 07-01-2021
118,007

 
126,729

 
126,169

FNMA POOL #AO4092 2.084% 05-01-2042 BEO
529,029

 
547,793

 
543,365

FNMA POOL #AO7685 2.196% 07-01-2042 BEO
1,394,156

 
1,444,041

 
1,443,724

FNMA POOL #AP2512 ADJ RATE DUE 08-01-2042
500,022

 
512,445

 
512,251

FNMA POOL #AU6423 4.5% 10-01-2043 BEO
251,279

 
270,871

 
272,315

FNMA POOL #MA0232 4.5% 11-01-2029 BEO
693,068

 
744,073

 
748,532

FNMA POOL #MA0563 4% 11-01-2030 BEO
117,488

 
124,978

 
125,396

FNMA POOL #MA0634 4.5% 01-01-2031 BEO
158,064

 
171,302

 
171,697

FNMA POOL #MA1814 4% 03-01-2034 BEO
586,083

 
631,962

 
627,037

FNMA POOL #MA2019 4% 09-01-2034 BEO
1,266,545

 
1,354,610

 
1,355,144

FNMA POOL #MA2141 4% 01-01-2035 BEO
1,086,360

 
1,170,553

 
1,161,223

FNMA PREASSIGN 00717 6.5 11-25-2041
557,696

 
571,334

 
637,646

FNMA PREASSIGN 00837 7.5 10-25-2040
43,471

 
44,598

 
48,837

FNMA REMIC SER 2002-W6 CL 2A1 FLT RT 06-25-2042
30,936

 
32,585

 
36,011

FNMA REMIC SER 2003-W17 CL PT1 08-25-2033
81,537

 
93,151

 
101,348

FNMA REMIC SER 2014-M13 CLS ASQ2 1.637% 11-25-2017
231,470

 
233,780

 
232,202

FNMA REMIC TR 2004-W9 CL-2A2 7 DUE 02-25-2044
459,044

 
537,082

 
527,296

FNMA SERIES 2001-W3 CLASS-A 7 09-25-2041
29,804

 
32,384

 
33,427

FOOT LOCKER INC COM
4,910

 
234,179

 
319,592

FORD CR AUTO OWNER 1.06% DUE 05-15-2019
520,000

 
519,924

 
518,769

FORD MTR CR CO LLC 4.25% DUE 09-20-2022
225,000

 
228,200

 
230,183

FORD MTR CR CO LLC 4.375% DUE 08-06-2023
250,000

 
257,383

 
256,896

FORD MTR CR CO LLC 5.875 DUE 08-02-2021
250,000

 
281,090

 
278,784

FORD MTR CR CO LLC 8.125% DUE 01-15-2020
400,000

 
501,864

 
471,113

FRESENIUS SE&KGAA NPV
12,270

 
475,394

 
879,308

GALP ENERGIA SGPS EUR1
80,480

 
1,130,917

 
937,201



24

Table of Contents

5500 Supplemental Schedules
 
Account number 7879
 
 
Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
GEN ELEC CAP CORP 4.625 DUE 01-07-2021 REG
72,000

 
77,057

 
79,083

GEN ELEC CAP CORP MEDIUM TERM NTS BO TRANCHE # TR 00849 4.65 DUE 10-17-2021
172,000

 
189,125

 
190,433

GEN MTRS CO COM
13,800

 
496,524

 
469,338

GEN MTRS CO COM
36,100

 
1,150,278

 
1,227,761

GENERAL DYNAMICS CORP COM
3,430

 
477,522

 
471,145

GENWORTH FINL INC COM CL A COM CL A
49,403

 
223,867

 
184,273

GETINGE AB SER'B'NPV
29,610

 
884,344

 
781,466

GIC METLIFE CONTRACT # 32713 RATE 2.90%MAT EVERGREEN
134,482,576

 
134,482,576

 
134,482,576

GIC MONUMENTAL CONTRACT# MDA01050TR RATE 2.9000% MAT EVERGREEN SYNTHETIC
239,443,884

 
239,443,884

 
239,443,884

GIC PRUDENTIAL CONTRACT# GA-62301 RATE 2.6100% MAT EVERGREEN (SYNTHETIC)
177,941,280

 
177,941,280

 
177,941,280

GILEAD SCIENCES INC
7,651

 
780,625

 
774,205

GILEAD SCIENCES INC
9,893

 
1,008,293

 
1,001,073

GILEAD SCIENCES INC
12,400

 
376,100

 
1,254,756

GLAXOSMITHKLINE ORD GBP0.25
59,870

 
1,251,761

 
1,211,568

GLENCORE PLC ORD USD0.01
282,520

 
513,235

 
376,764

GLENCORE PLC ORD USD0.01
194,402

 
1,116,500

 
259,252

GOLD POOL #G14668 4 12-01-2026
299,272

 
317,462

 
316,031

GOLDMAN SACHS GROUP INC COM
3,460

 
468,825

 
623,596

GOLDMAN SACHS GROUP INC COM
26,000

 
3,055,292

 
4,685,980

GOLDMAN SACHS GROUP INC COM
1,890

 
348,315

 
340,635

GOLDMAN SACHS GROUP INC COM
3,300

 
564,893

 
594,759

GOODYEAR TIRE & RUBBER CO COM
15,731

 
500,746

 
513,932

H.LUNDBECK A/S DKK5
24,000

 
539,074

 
822,382

HAIER ELECTRONICS HKD0.10
100,800

 
190,436

 
204,457

HANA FINANCIAL GRP KRW5000
24,832

 
934,673

 
499,795

HANESBRANDS INC COM STK
36,200

 
1,037,015

 
1,065,366

HANG LUNG PROPERTIES HKD1
140,000

 
630,259

 
318,652

HARLEY DAVIDSON COM USD0.01
19,100

 
1,037,799

 
866,949

HARLEY DAVIDSON COM USD0.01
10,100

 
568,629

 
458,439

HARRIS CORP COM
18,200

 
1,571,947

 
1,581,580

HARTFORD FINL SVCS GROUP INC COM
4,713

 
216,622

 
204,827

HAWAIIAN HOLDINGS INC COM
1,794

 
68,817

 
63,382

HCA INC 4.25% DUE 10-15-2019
275,000

 
272,250

 
280,500

HEALTHNET INC SR NT 6.375% DUE 06-01-2017/05-18-2007
250,000

 
250,962

 
260,000



25

Table of Contents

5500 Supplemental Schedules
 
Account number 7879
 
 
Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
HEIDELBERGCEMENT NPV
17,000

 
914,426

 
1,396,482

HELMERICH & PAYNE INC COM
2,760

 
159,713

 
147,798

HENKEL AG & CO KGAA NON-VTG PRF NPV
11,140

 
923,611

 
1,248,863

HERBALIFE LTD COM STK
10,420

 
572,896

 
558,720

HESS CORP COM STK
1,060

 
72,847

 
51,389

HESS CORP COM STK
37,000

 
2,094,118

 
1,793,760

HEWLETT PACKARD ENTERPRISE CO COM
85,800

 
1,265,391

 
1,304,160

HEWLETT PACKARD ENTERPRISE CO COM
343,000

 
4,633,721

 
5,213,600

HILTON WORLDWIDE HLDGS INC COM
83,547

 
2,002,690

 
1,787,906

HOME DEPOT INC COM
3,869

 
509,700

 
511,675

HOME DEPOT INC COM
35,610

 
4,143,944

 
4,709,423

HON HAI PRECISION GDR(REP 2 SHS TWD10)REG'S
111,143

 
538,782

 
567,941

HONDA MOTOR CO NPV
34,000

 
1,172,522

 
1,105,117

HOST HOTELS & RESORTS INC REIT
7,000

 
165,788

 
107,380

HP INC COM
35,600

 
452,044

 
421,504

HP INC COM
315,300

 
3,538,168

 
3,733,152

HSBC HLDGS PLC 6.5% DUE 05-02-2036
600,000

 
671,604

 
716,089

HSBC HLDGS PLC 6.5% DUE 09-15-2037
200,000

 
242,681

 
239,943

HSBC HOLDINGS PLC 5.1 DUE 04-05-2021
325,000

 
331,218

 
361,322

HSBC HOLDINGS PLC ORD USD0.50(HONGKONG REG)
136,000

 
1,465,145

 
1,086,224

HSBC HOLDINGS PLC ORD USD0.50(HONGKONG REG)
157,200

 
1,593,656

 
1,255,547

HUMANA INC COM
5,900

 
694,062

 
1,053,209

HUMANA INC COM
3,200

 
263,116

 
571,232

HUNTINGTON BANCSHARES INC COM
56,750

 
593,540

 
627,655

HUNTINGTON INGALLS INDS INC COM
2,402

 
160,562

 
304,694

HYUNDAI MOBIS KRW5000
4,378

 
1,041,740

 
920,368

HYUNDAI MOBIS KRW5000
3,151

 
762,493

 
662,421

HYUNDAI MOTOR CO KRW5000
5,314

 
916,342

 
675,268

IL ST TAXABLE-PENSION 5.1 DUE 06-01-2033BEO TAXABLE SINKING FD 06-01-2024 N/C
250,000

 
237,625

 
236,513

ILLINOIS ST 5.665 MUN BD DUE 03-01-2018
600,000

 
652,264

 
632,370

ILLINOIS ST 4.961% 03-01-2016 BEO TAXABLE
75,000

 
78,977

 
75,436

ILLINOIS ST 5.365% 03-01-2017 BEO TAXABLE
1,000,000

 
1,046,424

 
1,035,050

ILLUMINA INC COM
1,300

 
178,938

 
249,529

ILLUMINA INC COM
5,296

 
302,346

 
1,016,541



26

Table of Contents

5500 Supplemental Schedules
 
Account number 7879
 
 
Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
IMPERIAL TOB FIN 4.25% DUE 07-21-2025
775,000

 
761,321

 
786,442

INCYTE CORP COM
6,700

 
544,119

 
726,615

INDUSTRIAL & COMMERCIAL BANK CHINA 'H'
697,860

 
547,257

 
421,409

INFINEON TECHNOLOG ORD NPV (REGD)
79,940

 
691,634

 
1,172,758

INFOSYS LIMITED ADR
42,520

 
571,456

 
712,210

ING GROEP NV CVA EUR0.24
94,560

 
1,183,436

 
1,278,871

ING GROEP NV CVA EUR0.24
96,620

 
1,013,793

 
1,306,731

INGREDION INC COM
2,797

 
245,862

 
268,064

INPEX CORPORATION NPV
84,700

 
1,004,340

 
834,713

INTACT FINL CORP COM NPV
9,170

 
560,289

 
585,412

INTEL CORP COM
37,430

 
1,179,484

 
1,289,464

INTERCONTINENTAL EXCHANGE INC COM
6,940

 
1,471,223

 
1,778,444

INTERCONTINENTAL EXCHANGE INC COM
10,650

 
2,074,769

 
2,729,169

INTERPUBLIC GROUP COMPANIES INC COM
15,000

 
143,130

 
349,200

INTL CONS AIRL DI
45,440

 
183,269

 
408,876

INTL PAPER CO COM
8,100

 
374,146

 
305,370

INTL PAPER CO COM
10,600

 
564,868

 
399,620

INTUITIVE SURGICAL INC COM NEW STK
4,703

 
2,037,311

 
2,568,590

JABIL CIRCUIT INC COM
18,450

 
397,923

 
429,701

JAPAN TOBACCO INC NPV
28,200

 
801,022

 
1,048,108

Japanese yen
5,015

 
5,015

 
5,015

JETBLUE AWYS CORP COM
7,290

 
154,845

 
165,119

JOHNSON & JOHNSON COM USD1
23,413

 
2,333,211

 
2,404,983

JOHNSON CTL INC COM
33,900

 
1,150,494

 
1,338,711

JONES LANG LASALLE INC COM STK
1,829

 
287,840

 
292,384

JPMORGAN CHASE & 4.35% DUE 08-15-2021
75,000

 
77,187

 
79,817

JPMORGAN CHASE & 6.1% DUE 10-29-2049
7,000,000

 
7,000,000

 
7,035,700

JPMORGAN CHASE & CO COM
36,040

 
1,998,037

 
2,379,721

JPMORGAN CHASE & CO COM
28,200

 
1,148,026

 
1,862,046

JPMORGAN CHASE & CO COM
64,000

 
3,108,822

 
4,225,920

JUNIPER NETWORKS INC COM
18,700

 
418,792

 
516,120

JUNIPER NETWORKS INC COM
19,600

 
568,470

 
540,960

JUNIPER NETWORKS INC COM
13,160

 
362,012

 
363,216

KASIKORNBANK PLC THB10 (ALIEN MKT)
56,400

 
258,404

 
235,882



27

Table of Contents

5500 Supplemental Schedules
 
Account number 7879
 
 
Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
KDDI CORP NPV
39,400

 
782,213

 
1,033,024

KELLOGG CO COM USD0.25
6,500

 
392,985

 
469,755

KEYENCE CORP NPV
1,600

 
718,028

 
892,207

KINDER MORGAN ENERGY PARTNERS 5.0% 08-15-2042
725,000

 
621,512

 
534,917

KINDER MORGAN ENERGY PARTNERS L P 5 DUE 03-01-2043
250,000

 
253,483

 
185,201

KINDER MORGAN INC 4.3% DUE 06-01-2025
175,000

 
174,297

 
151,201

KINGFISHER ORD GBP0.157142857
207,639

 
895,216

 
1,008,399

KOMATSU NPV
38,400

 
946,924

 
635,877

KONICA MINOLTA INC NPV
93,700

 
1,032,888

 
951,838

KONINKLIJKE PHILIP EUR0.20
15,430

 
478,731

 
394,904

KONNINKLIJKE PHILIPS N.V
12,186

 
345,249

 
310,134

KOSMOS ENERGY LTD
57,900

 
515,223

 
301,080

KROGER CO COM
19,875

 
256,450

 
831,371

KROGER CO COM
48,130

 
1,995,555

 
2,013,278

KUBOTA CORP NPV
42,000

 
402,655

 
659,180

KUNLUN ENERGY CO COMSTK
374,000

 
639,999

 
332,974

LAFARGE S A 6.5% DUE 07-15-2016
450,000

 
449,116

 
461,358

LAFARGEHOLCIM LTD
12,684

 
826,839

 
637,368

LANXESS AG NPV
12,940

 
678,828

 
599,941

LARSEN & TOUBRO SPON GDR EA REPR 1 ORD REG
22,275

 
436,492

 
432,135

LEAR CORP COM NEW COM NEW
6,860

 
497,678

 
842,614

LENDINGCLUB CORP COM
6,046

 
116,798

 
66,808

LEVEL 3 COMMUNICATIONS INC COM NEW
27,940

 
1,516,016

 
1,518,818

LEXMARK INTL INC NEW CL A
2,060

 
102,521

 
66,847

LIBERTY INTERACTIVE CORPORATION QVC GROUP SER A
56,075

 
424,670

 
1,531,969

LINCOLN NATL CORP COM
9,800

 
406,783

 
492,548

LINKEDIN CORP CL A
5,662

 
642,686

 
1,274,403

LINKEDIN CORP CL A
5,700

 
1,018,019

 
1,282,956

LLOYDS BANKING GP ORD GBP0.1
841,830

 
438,283

 
906,633

LLOYDS BANKING GP ORD GBP0.1
1,106,130

 
1,425,509

 
1,191,278

LLOYDS BKG GROUP 4.5% DUE 11-04-2024
275,000

 
275,778

 
279,160

LOWES COS INC COM
25,000

 
1,223,289

 
1,901,000



28

Table of Contents

5500 Supplemental Schedules
 
Account number 7879
 
 
Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
LYONDELLBASELL IND N V COM USD0.01 CL 'A'
6,074

 
526,474

 
527,831

MACK CALI RLTY CORP COM REIT
4,540

 
104,661

 
106,009

MAKITA CORP NPV
15,200

 
787,622

 
888,283

MARATHON OIL CORP COM
15,720

 
418,234

 
197,915

MARATHON OIL CORP COM
107,300

 
2,672,835

 
1,350,907

MARATHON PETE CORP COM
18,333

 
839,873

 
950,383

MARKS & SPENCER GP ORD GBP0.25
172,930

 
1,151,822

 
1,153,084

MARRIOTT INTL INC NEW COM STK CL A
16,122

 
985,488

 
1,080,819

MASTERCARD INC CL A
24,137

 
666,336

 
2,349,978

MAXIM INTEGRATED PRODS INC COM
55,500

 
1,317,049

 
2,109,000

MAY DEPT STORES CO 6.65% DUE 07-15-2024
125,000

 
71,250

 
140,810

MAY DEPT STORES CO 6.7% DUE 09-15-2028
875,000

 
838,565

 
963,695

MAY DEPT STORES CO 6.9% DUE 01-15-2032
100,000

 
122,618

 
110,361

MC DONALDS CORP COM
5,152

 
579,874

 
608,657

MCKESSON CORP
3,662

 
360,842

 
722,256

MCKESSON CORP
2,806

 
231,495

 
553,427

MEDTRONIC PLC COMMON STOCK STOCK
12,119

 
557,206

 
932,193

MEDTRONIC PLC COMMON STOCK STOCK
22,500

 
823,662

 
1,730,700

MEGGITT ORD GBP0.05
104,530

 
646,191

 
577,288

MERCK & CO INC NEW COM
57,000

 
1,619,472

 
3,010,740

MERCK KGAA NPV
12,470

 
590,423

 
1,213,330

METLIFE INC COM STK USD0.01
68,000

 
2,858,428

 
3,278,280

METRO AG ORD NPV
20,430

 
699,862

 
656,028

MFB NT COLLECTIVE TIPS INDEX FUND - NON LENDING
301,858

 
38,774,142

 
39,594,770

MFB NT COLLECTIVE AGGREGATE BOND INDEX FUND-NON LENDING
1,128,747

 
143,595,528

 
149,367,109

MFB NT COLLECTIVE MSCI ACWI EX-US INDEX FUND-NON LENDING
627,546

 
78,398,938

 
81,912,984

MFB NT COLLECTIVE RUSSELL 1000 GROWTH INDEX FUND - NON LENDING
222,197

 
62,556,198

 
65,686,007

MFB NT COLLECTIVE RUSSELL 1000 VALUE INDEX FUND - NON LENDING
499,073

 
95,161,182

 
135,016,126

MFO EB DAILY LIQUIDITY NON SL STOCK FUND
1,186,194

 
166,310,284

 
253,976,040

MGIC INVT CORP WIS COM
41,953

 
394,126

 
370,445

MGM RESORTS INTERNATIONAL COM
78,870

 
1,796,487

 
1,791,926

MICHAEL KORS HOLDINGS LTD COM NPV
8,011

 
327,669

 
320,921

MICHELIN (CGDE) EUR2
13,750

 
1,086,532

 
1,312,929

MICROSOFT CORP COM
22,290

 
1,024,291

 
1,236,649



29

Table of Contents

5500 Supplemental Schedules
 
Account number 7879
 
 
Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
MICROSOFT CORP COM
47,400

 
1,657,418

 
2,629,752

MICROSOFT CORP COM
51,800

 
2,396,298

 
2,873,864

MICROSOFT CORP COM
156,300

 
4,292,775

 
8,671,524

MICROSOFT CORP COM
16,139

 
877,638

 
895,392

MITSUI FUDOSAN CO LTD NPV
24,000

 
654,915

 
609,701

MOBILEYE NV EUR0.01
9,800

 
421,911

 
414,344

MONDELEZ INTL INC COM
33,732

 
1,006,356

 
1,512,543

MONSANTO CO NEW COM
67

 
3,156

 
6,601

MONSANTO CO NEW COM
3,906,427

 
184,024,700

 
384,861,188

MONSANTO CO NEW COM
2,968,508

 
220,335,596

 
292,457,408

MONSANTO PARTICIPANT LOANS
33,193,975

 
33,193,975

 
33,193,975

MOODYS CORP COM
7,700

 
730,670

 
772,618

MORGAN STANLEY COM STK USD0.01
19,500

 
502,829

 
620,295

MORGAN STANLEY COM STK USD0.01
30,003

 
975,466

 
954,395

MORGAN STANLEY COM STK USD0.01
88,600

 
2,701,994

 
2,818,366

MORPHOSYS NPV
9,300

 
651,530

 
582,414

MUENCHENER RUECKVE NPV(REGD)
2,200

 
347,448

 
441,049

MURPHY OIL CORP COM
9,808

 
273,708

 
220,190

MURPHY OIL CORP COM
24,600

 
1,251,797

 
552,270

MYRIAD INTL HLDGS 5.5% DUE 07-21-2025
400,000

 
399,848

 
384,813

N V R INC COM
40

 
57,964

 
65,720

NABORS INDUSTRIES COM USD0.10
26,592

 
433,878

 
226,298

NASPERS 'N' ZAR0.02
11,210

 
1,108,531

 
1,533,684

NATIONAL OILWELL VARCO COM STK
48,500

 
2,970,416

 
1,624,265

NATIONAL OILWELL VARCO COM STK
2,890

 
141,914

 
96,786

NETAPP INC COM STK
75,700

 
2,527,031

 
2,008,321

NETFLIX INC COM STK
15,947

 
811,740

 
1,824,018

NETFLIX INC COM STK
2,000

 
96,912

 
228,760

NETSUITE INC COM STK
10,300

 
897,561

 
871,586

NEW JERSEY ST TPK AUTH TPK REV 7.102% 01-01-2041 BEO TAXABLE
500,000

 
570,394

 
688,665

NEWS CORP NEW CL A CL A
26,875

 
151,150

 
359,050

NIDEC CORPORATION NPV
9,200

 
600,048

 
675,842

NIKE INC CL B
32,646

 
549,351

 
2,040,375

NIKE INC CL B
12,600

 
791,981

 
787,500



30

Table of Contents

5500 Supplemental Schedules
 
Account number 7879
 
 
Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
NIKE INC CL B
37,220

 
1,603,460

 
2,326,250

NISSAN MOTOR CO LTD
133,800

 
1,284,872

 
1,423,144

NITTO DENKO CORP NPV
7,000

 
405,819

 
518,592

NN GROUP N.V. EUR0.12
17,670

 
490,706

 
624,795

NOBLE CORP PLC COMMON STOCK
63,388

 
958,471

 
668,743

NOBLE GROUP HKD0.25
788,000

 
712,692

 
222,183

NORDSTROM INC COM
9,100

 
564,376

 
453,271

NORTHROP GRUMMAN CORP COM
4,957

 
423,705

 
935,931

NOVARTIS AG CHF0.50 (REGD)
19,230

 
1,186,811

 
1,667,497

NOVARTIS AG CHF0.50 (REGD)
7,270

 
422,617

 
630,406

NOW INC COM
5,400

 
162,228

 
85,428

NRG ENERGY INC COM NEW
75,200

 
1,212,216

 
885,104

NRG ENERGY INC COM NEW
10,269

 
114,684

 
120,866

NT COLLECTIVE RUSSELL 2000 GROWTH INDEX FUND - NON LENDING
544,037

 
98,464,079

 
137,025,622

NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND
1,649

 
1,649

 
1,649

NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND
2,600,759

 
2,600,759

 
2,600,759

NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND

 

 

NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND

 

 

NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND
1,888,709

 
1,888,709

 
1,888,709

NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND
3,436,862

 
3,436,862

 
3,436,862

NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND

 

 

NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND

 

 

NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND
4,933,269

 
4,933,269

 
4,933,269

NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND
865,839

 
865,839

 
865,839

NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND
638,564

 
638,564

 
638,564

NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND

 

 

NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND

 

 

NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND

 

 

NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND

 

 

NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND

 

 

NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND

 

 

NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND

 

 

NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND
18,053,054

 
18,053,054

 
18,053,054

NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND
223,490

 
223,490

 
223,490



31

Table of Contents

5500 Supplemental Schedules
 
Account number 7879
 
 
Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND
5,360,653

 
5,360,653

 
5,360,653

NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND
4,872,779

 
4,872,779

 
4,872,779

NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND
2,503,100

 
2,503,100

 
2,503,100

NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND
1,687,337

 
1,687,337

 
1,687,337

NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND
7,289,187

 
7,289,187

 
7,289,187

NTGI NT COLLECTIVE RUSSELL 2000 VALUE INDEX FUND - NON LENDING
345,872

 
57,746,028

 
75,476,125

NU SKIN ENTERPRISES INC CL A CL A
4,641

 
195,056

 
175,847

NXP SEMICONDUCTORS N V COM STK
9,500

 
779,193

 
800,375

NXP SEMICONDUCTORS N V COM STK
7,202

 
727,630

 
606,769

OCEANEERING INTL INC COM
8,953

 
389,961

 
335,917

OIL STS INTL INC COM ISIN US6780261052
13,500

 
758,851

 
367,875

OMNICOM GROUP INC COM
4,500

 
320,470

 
340,470

ORACLE CORP COM
51,800

 
1,662,480

 
1,892,254

ORANGE EUR4
61,430

 
980,913

 
1,033,336

OWENS & MINOR INC NEW COM
2,061

 
77,026

 
74,155

PACCAR INC COM
8,700

 
369,824

 
412,380

PACKAGING CORP AMER COM ISIN US6951561090
5,400

 
347,989

 
340,470

PALO ALTO NETWORKS INC COM USD0.0001
11,094

 
1,355,804

 
1,954,097

PALO ALTO NETWORKS INC COM USD0.0001
1,822

 
318,622

 
320,927

PALO ALTO NETWORKS INC COM USD0.0001
4,000

 
574,525

 
704,560

PARKER-HANNIFIN CORP COM
8,000

 
977,718

 
775,840

PAYPAL HLDGS INC COM
21,900

 
762,811

 
792,780

PEMEX PROJ FDG MASTER TR GTD BD 6.625% DUE 06-15-2035 REG
275,000

 
321,475

 
245,781

PEPSICO INC COM
6,567

 
654,622

 
656,175

PERNOD RICARD NPV EUR 1.55
7,490

 
782,412

 
855,948

PERRIGO COMPANY LIMITED COM EUR0.001
3,447

 
300,046

 
498,781

PETROBRAS GLOBAL 4.375% DUE 05-20-2023
475,000

 
472,918

 
313,500

PETROBRAS GLOBAL 6.25% DUE 03-17-2024
300,000

 
299,316

 
215,250

PETROFAC ORD USD0.02
48,950

 
677,654

 
574,293

PETROLEOS MEXICANOS 6.375% 01-23-2045
450,000

 
452,538

 
380,871

PFIZER INC COM
62,980

 
2,166,443

 
2,032,994

PHILIP MORRIS INTL COM STK NPV
5,626

 
481,728

 
494,582

PING AN INSURANCE GROUP 'H' CNY1
155,500

 
666,694

 
862,758



32

Table of Contents

5500 Supplemental Schedules
 
Account number 7879
 
 
Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
POSCO KRW5000
2,732

 
951,180

 
387,939

PPL CORP COM ISIN US69351T1060
14,000

 
429,219

 
477,820

PRECISION DRILLING COM NPV
45,800

 
288,425

 
180,351

PROVIDENT COS INC 7.25% DUE 03-15-2028
125,000

 
124,786

 
145,377

PRUDENTIAL FINL INC COM
770

 
65,054

 
62,686

PRUDENTIAL GBP0.05
69,781

 
1,028,521

 
1,574,637

PUB SERVICE ENTERPRISE GROUP INC COM
11,550

 
468,623

 
446,870

PVTPL &&&AIRBNB INC SER E CVT PFD STK T-ROWE
1,928

 
179,486

 
179,486

PVTPL &&&UBER TECHNOLOGIES INC SER G CVTPFD STK T-ROWE
3,671

 
179,043

 
179,043

PVTPL BHP BILLITON FIN USA LTD 6.75% D UE 10-19-2075
500,000

 
503,250

 
482,500

PVTPL BNP PARIBAS 4.375% 09-28-2025
225,000

 
222,863

 
220,347

PVTPL CHASE ISSUANCE TR CHASESERIES 2013-8 NT CL A 1.01% DUE 10-15-2018 REG
210,000

 
210,328

 
209,812

PVTPL CODELCO INC SR NT 144A 4.5% DUE 09-16-2025 BEO
200,000

 
196,916

 
188,337

PVTPL COX COMMUNICATIONS INC NEW NT 3.85% DUE 02-01-2025 BEO
650,000

 
652,513

 
595,505

PVTPL COX COMMUNICATIONS INC NEW NT 144A3.25% DUE 12-15-2022 BEO
425,000

 
397,159

 
386,203

PVTPL CRH AMERICA INC BNDS 3.875% DUE 05-18-2025 BEO
500,000

 
500,503

 
496,513

PVTPL ENEL FIN INTL S A GTD NT 144A 6.8%DUE 09-15-2037/09-20-2007 BEO
175,000

 
186,197

 
213,673

PVTPL FORD CR AUTO OWNER TR 2015-REV1 2.12%DUE 07-15-2026 BEO
265,000

 
266,077

 
261,658

PVTPL GDR SAMSUNG ELECTRS LTD GDR 1995 RPSTG COM
3,100

 
1,277,601

 
1,665,601

PVTPL GE CAP INTL FDG CO MEDIUM TERM NTSBOOK TR 00126 2.342 11-15-20 BEO
689,000

 
659,834

 
683,254

PVTPL HEWLETT PACKARD ENTERPRISE CO 144A3.6% DUE 10-15-2020/10-09-2015 BEO
800,000

 
799,776

 
801,836

PVTPL IMPERIAL TOBBACCO FINANCE 3.75% 07-21-2022
200,000

 
196,770

 
200,801

PVTPL MYRIAD INTL HLDGS B V GTD NT 6 DUE 07-18-2020
550,000

 
568,500

 
585,162

PVTPL PETROLEOS MEXICANOS 5.625% DUE 01-23-2046 BEO
325,000

 
322,641

 
248,690

PVTPL PETROLEOS MEXICANOS TRANCHE # TR 00025 4.25% DUE 01-15-2025 REG
525,000

 
529,579

 
459,375

PVTPL RIO OIL FIN TR SER 2014-1 144A 6.25 DUE 07-06-2024 BEO
1,100,000

 
1,079,041

 
814,000

PVTPL SLM PRIVATE ED LN TR 2012-B CL A-2 3.75 DUE 12-16-2030
408,963

 
408,921

 
414,595

PVTPL SLM PVT ED LN TR 2012-C NT CL A-2 RED 3.336 DUE 10-15-2046 BEO
285,000

 
296,371

 
288,591

PVTPL TELECOM ITALIA S P A NEW 144A 5.303% DUE 05-30-2024 BEO
275,000

 
267,438

 
271,563

PVTPL1 ENEL FINANCE INTL NV 6.0% 10-07-2039/10-07-2009 BEO
475,000

 
494,637

 
531,117

QUEST DIAGNOSTICS INC COM
1,700

 
128,911

 
120,938

RED HAT INC COM
10,000

 
487,813

 
828,100

RED HAT INC COM
15,483

 
726,722

 
1,282,147

REED ELSEVIER CAP 8.625% DUE 01-15-2019
93,000

 
96,911

 
108,464





33

Table of Contents

5500 Supplemental Schedules
 
Account number 7879
 
 
Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
REED ELSEVIER CAP INC 3.125 DUE 10-15-2022
638,000

 
558,549

 
619,580

REGENERON PHARMACEUTICALS INC COM
1,935

 
966,813

 
1,050,453

REGENERON PHARMACEUTICALS INC COM
1,900

 
720,668

 
1,031,453

REGENERON PHARMACEUTICALS INC COM
3,610

 
1,830,599

 
1,959,761

REINSURANCE GROUP AMER INC COM NEW STK
2,038

 
153,794

 
174,351

REXAM ORD GBP0.8035714
74,229

 
648,577

 
661,360

RICHEMONT(CIE FIN) CHF1 (REGD)
12,380

 
832,343

 
891,706

RIO OIL FIN TR STEP CPN 9.75% DUE 01-06-2027
1,075,000

 
1,075,000

 
790,125

RIO TINTO FIN USA 1.375% DUE 06-17-2016
475,000

 
473,613

 
474,723

RIO TINTO FIN USA 2.25% DUE 12-14-2018
400,000

 
396,344

 
390,025

RLJ LODGING TR COM REIT
8,670

 
208,973

 
187,532

ROCHE HLDGS AG GENUSSCHEINE NPV
6,105

 
1,198,339

 
1,685,736

ROCHE HLDGS AG GENUSSCHEINE NPV
5,680

 
860,090

 
1,568,384

ROCKWELL COLLINS INC COM
7,200

 
605,840

 
664,560

ROWAN COMPANIES PLC
42,060

 
822,196

 
712,917

ROYAL BK SCOTLAND 6.125% DUE 12-15-2022
950,000

 
963,610

 
1,034,263

ROYAL BK SCOTLAND GROUP PLC 6 DUE 12-19-2023 REG
300,000

 
309,097

 
323,105

ROYAL CARIBBEAN CRUISES COM STK
9,100

 
805,495

 
921,011

S.W. AIRL CO COM
15,300

 
300,717

 
658,818

SABMILLER PLC ORD USD0.10
9,660

 
467,522

 
579,410

SALESFORCE COM INC COM STK
25,460

 
1,874,348

 
1,996,064

SALESFORCE COM INC COM STK
19,900

 
812,193

 
1,560,160

SALESFORCE COM INC COM STK
20,170

 
660,475

 
1,581,328

SAMSUNG ELECTRONIC GDR
2,764

 
1,245,447

 
1,469,066

SANDS CHINA LTD USD0.01
111,600

 
390,355

 
382,313

SANOFI EUR2
14,701

 
1,242,706

 
1,255,218

SANOFI EUR2
15,200

 
1,116,023

 
1,297,824

SANOFI SPONSORED ADR
33,500

 
1,521,432

 
1,428,775

SANOFI SPONSORED ADR
115,025

 
4,414,284

 
4,905,816

SAP SE
4,810

 
253,087

 
383,418

SAP SE
19,720

 
1,200,222

 
1,571,934

SBA COMMUNICATIONS CORP CL A COM
26,623

 
2,614,704

 
2,797,279

SBM OFFSHORE NV EUR0.25
43,174

 
568,792

 
546,853

SCHLUMBERGER LTD COM COM
83,500

 
5,513,241

 
5,824,125



34

Table of Contents

5500 Supplemental Schedules
 
Account number 7879
 
 
Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
SCHNEIDER ELECTRIC EUR4.00
15,531

 
1,178,404

 
886,757

SCHWAB CHARLES CORP COM NEW
240,000

 
3,890,917

 
7,903,200

SCHWAB CHARLES CORP COM NEW
62,820

 
2,104,285

 
2,068,663

SERVICENOW INC COM USD0.001
21,670

 
1,335,023

 
1,875,755

SERVICENOW INC COM USD0.001
13,400

 
651,372

 
1,159,904

SHERWIN-WILLIAMS CO COM
9,600

 
2,560,719

 
2,492,160

SHIN-ETSU CHEMICAL NPV
8,400

 
437,625

 
462,054

SHIRE PLC ADR
6,941

 
1,523,311

 
1,422,905

SIAM CEMENT PCL-NVDR
36,000

 
437,376

 
460,192

SIEMENS AG NPV(REGD)
9,940

 
1,118,834

 
970,508

SINGAPORE TELECOMMUNICATIONS NEW COM STK
358,000

 
947,752

 
926,134

SINOPHARM GROUP CO. LTD. 'H'SHS CNY1
130,800

 
336,374

 
524,878

SINOPHARM GROUP CO. LTD. 'H'SHS CNY1
204,000

 
627,250

 
818,616

SKY PLC
61,320

 
883,785

 
1,005,021

SLM CORP 6 25 JAN 2017
550,000

 
560,941

 
563,750

SLM CORP 6.25 DUE 01-25-2016
150,000

 
165,375

 
150,266

SLM CORP MEDIUM 8.45% DUE 06-15-2018
200,000

 
222,250

 
210,500

SLM CORP TRANCHE # TR 00109 4.625 09-25-2017
75,000

 
76,688

 
73,875

SMALL BUSINESS ADMIN GTD DEV PARTN CTF 2007-20D PARTN CTF 5.32 DUE 04-01-27 REG
151,285

 
151,285

 
166,647

SMALL BUSINESS ADMIN GTD DEV PARTN CTF DEB SER 1997-20 F 7.2 6-1-17/00 REG
2,820

 
2,925

 
2,894

SMALL BUSINESS ADMIN GTD DEV PARTN CTF DEB SER 1997-20 I 6.9 DUE 09-01-2017
3,995

 
4,080

 
4,113

SMALL BUSINESS ADMIN GTD DEV PARTN CTF DEB SER 1998-20G 6.1 DUE 07-01-2018
8,163

 
8,163

 
8,550

SMALL BUSINESS ADMIN GTD DEV PARTN CTF DEB SER 2000-20 C 7.625 03-01-2020 REG
26,927

 
29,060

 
28,563

SMALL BUSINESS ADMIN GTD DEV PARTN CTF DEB SER 2003-20 B 0 DUE 02-01-2023 REG
44,943

 
44,789

 
47,848

SMALL BUSINESS ADMIN GTD DEV PARTN CTF SER 2005-20 A 4.86 DUE 01-01-2025 REG
180,000

 
180,000

 
191,403

SOFTBANK GROUP CORP
16,300

 
986,262

 
831,836

SOFTWARE AG NPV (BR)
21,330

 
737,989

 
612,172

SOUTH32 LTD NPV
46,230

 
123,209

 
35,821

SOUTHERN CO COM STK
13,700

 
597,591

 
641,023

SPIRIT AEROSYSTEMS HLDGS INC CL A
10,697

 
475,099

 
535,599

SPLUNK INC COMSTK COM USD0.001
12,956

 
529,106

 
761,942

SPRINT CORP COM SER 1 COM SER 1
357,443

 
1,766,390

 
1,293,944

STANDARD CHARTERED PLC SHS
99,180

 
1,574,206

 
824,025

STANDARD CHARTERED PLC SHS
74,545

 
1,581,224

 
619,348


35

Table of Contents

5500 Supplemental Schedules
 
Account number 7879
 
 
Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
STARBUCKS CORP COM
15,278

 
353,803

 
917,138

STARBUCKS CORP COM
21,034

 
796,770

 
1,262,671

STATE STR CORP COM
19,400

 
1,214,635

 
1,287,384

STATE STR CORP COM
9,300

 
695,169

 
617,148

SUBSEA 7 SA USD2
55,340

 
537,650

 
394,198

SUMITOMO MITSUI FINANCIAL GROUP NPV
33,900

 
1,356,315

 
1,298,004

SUN TR BANKS INC COM
14,400

 
353,113

 
616,896

SUN TR BANKS INC COM
21,712

 
911,971

 
930,142

SUNCOR ENERGY INC COM NPV 'NEW'
31,800

 
987,670

 
817,721

SUNCOR ENERGY INC COM NPV 'NEW'
21,000

 
661,603

 
540,004

SUNTORY BEVERAGE & NPV
29,300

 
937,968

 
1,295,781

SWIRE PACIFIC 'A' NPV
34,000

 
443,035

 
382,547

Swiss franc
1

 
1

 
1

SWISS RE AG CHF0.10
12,870

 
613,295

 
1,261,929

SYMANTEC CORP COM
36,367

 
882,212

 
763,707

SYMANTEC CORP COM
202,100

 
3,584,966

 
4,244,100

SYNOPSYS INC COM
35,900

 
808,954

 
1,637,399

TAIWAN SEMICONDUCTOR MFG CO LTD SPONSORED ADR
55,990

 
787,001

 
1,273,773

TAIWAN SEMICONDUCTOR MFG CO LTD SPONSORED ADR
35,138

 
398,360

 
799,390

TAKE-TWO INTERACTIVE SOFTWARE INC CDT-COM CDT-COM
13,802

 
451,578

 
480,862

TARGET CORP COM STK
7,600

 
489,707

 
551,836

TARGET CORP COM STK
28,100

 
1,676,862

 
2,040,341

TD AMERITRADE HLDG CORP COM STK
25,000

 
523,306

 
867,750

TE CONNECTIVITY LTD
50,000

 
1,616,245

 
3,230,500

TECHNIP NPV
11,850

 
836,135

 
588,731

TECK RESOURCES LTD 3.75% DUE 02-01-2023
325,000

 
247,098

 
150,313

TELECOM ITALIA CAP 6.999% DUE 06-04-2018
150,000

 
174,390

 
162,000

TELECOM ITALIA CAP 7.721% DUE 06-04-2038
400,000

 
413,688

 
417,000

TELEFONICA SA EUR1
89,319

 
1,853,976

 
993,074

TELENOR ASA ORD NOK6
66,340

 
1,124,406

 
1,111,494

TERADATA CORP DEL COM STK
13,000

 
490,317

 
343,460

TERADYNE INC COM
6,080

 
122,303

 
125,674

TESCO ORD GBP0.05
407,380

 
1,800,385

 
897,654

TESLA MTRS INC COM
3,698

 
645,231

 
887,557


36

Table of Contents

5500 Supplemental Schedules
 
Account number 7879
 
 
Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
TESLA MTRS INC COM
5,040

 
924,011

 
1,209,650

TESORO CORP
8,168

 
519,019

 
860,662

TEXTRON INC COM
32,200

 
1,404,008

 
1,352,722

THE PRICELINE GROUP INC
1,500

 
1,878,694

 
1,912,425

THE PRICELINE GROUP INC
3,689

 
2,820,627

 
4,703,291

THE PRICELINE GROUP INC
995

 
573,679

 
1,268,575

THERMO FISHER CORP
400

 
53,225

 
56,740

TI CAPITAL 7.175% DUE 06-18-2019
750,000

 
836,442

 
826,890

TIFFANY & CO COM
7,803

 
745,991

 
595,291

TIME WARNER CABLE 4% DUE 09-01-2021
125,000

 
136,038

 
126,216

TIME WARNER CABLE 4.125% DUE 02-15-2021
175,000

 
187,731

 
178,688

TIME WARNER CABLE 7.3% DUE 07-01-2038
275,000

 
300,798

 
298,143

TIME WARNER CABLE 8.75% DUE 02-14-2019
450,000

 
506,418

 
522,024

TIME WARNER CABLE INC 8.25 DUE 04-01-2019 REG
350,000

 
410,101

 
401,905

TIME WARNER CABLE INC COM
42,819

 
2,837,442

 
7,946,778

TIME WARNER INC USD0.01
86,433

 
2,629,524

 
5,589,622

TIME WARNER INC USD0.01
9,586

 
837,051

 
619,927

TJX COS INC COM NEW
11,265

 
575,816

 
798,801

TJX COS INC COM NEW
33,670

 
1,949,573

 
2,387,540

T-MOBILE US INC COM
23,900

 
937,299

 
934,968

TNT EXPRESS NV, AMSTERDAM SHS
88,926

 
671,968

 
752,516

TOKYO ELECTRON NPV
15,300

 
876,772

 
931,266

TORONTO-DOMINION COM NPV
34,119

 
1,398,471

 
1,332,240

TOSHIBA CORP NPV
149,000

 
603,558

 
309,532

TOTAL EUR2.5
25,530

 
1,397,513

 
1,144,412

TOYOTA MOTOR CORP NPV
18,400

 
744,550

 
1,145,344

TOYOTA MOTOR CORP NPV
24,200

 
1,442,961

 
1,506,377

TRACTOR SUPPLY CO COM
14,600

 
804,695

 
1,248,300

TRANSCANADA TR SUB TR NT SER 2015-A DUE 05-20-2075/05-20-2025 REG
500,000

 
500,938

 
462,292

TRANSOCEAN LTD
13,941

 
195,458

 
172,590

TRAVELERS COS INC COM STK
9,400

 
659,635

 
1,060,884

TRINITY IND INC COM
9,536

 
259,386

 
229,055

TRIPADVISOR INC COM COM STK
8,663

 
723,224

 
738,521

TULLOW OIL ORD GBP0.10
25,610

 
424,067

 
62,546


37

Table of Contents

5500 Supplemental Schedules
 
Account number 7879
 
 
Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
TWENTY-FIRST CENTY FOX INC CL A CL A
110,000

 
1,373,671

 
2,987,600

TWENTY-FIRST CENTY FOX INC CL B CL B
25,000

 
725,259

 
680,750

TWITTER INC COM
17,324

 
718,132

 
400,877

TYCO INTERNATIONAL PLC EUR1.00
52,500

 
1,465,812

 
1,674,225

UBS GROUP CHF0.10 (REGD)
19,900

 
338,784

 
388,060

UBS GROUP CHF0.10 (REGD)
61,961

 
1,262,863

 
1,208,270

UN PAC RR CO 5.866 DUE 07-02-2030
742,145

 
747,916

 
843,191

UN PAC RR CO PASS 7.6% DUE 01-02-2020
197,222

 
197,222

 
224,222

UNDER ARMOR INC CL A
12,596

 
594,615

 
1,015,364

UNICREDIT SPA NPV (POST SPLIT)
184,873

 
1,375,232

 
1,031,249

UNILEVER PLC ORD GBP0.031111
30,810

 
1,192,526

 
1,328,949

UNITED CONTL HLDGS INC COM STK
10,300

 
690,323

 
590,190

United States dollar
2,423,242

 
2,423,242

 
2,423,242

United States dollar
1,631,913

 
1,631,913

 
1,631,913

UNITED STATES TREAS NTS .375% DUE 02-15-2016 REG
595,000

 
595,781

 
595,000

UNITED STATES TREAS NTS .875 05-15-2017 REG
1,500,000

 
1,498,945

 
1,499,063

UNITED STATES TREAS NTS 1.5 DUE 07-31-2016
10,000

 
10,224

 
10,050

UNITED STATES TREAS NTS DTD 05/31/2014 .375% DUE 05-31-2016 REG
2,900,000

 
2,902,925

 
2,898,866

UNITEDHEALTH GROUP INC COM
34,600

 
2,780,131

 
4,070,344

UNITEDHEALTH GROUP INC COM
24,990

 
3,037,324

 
2,939,824

UNITEDHEALTH GROUP INC COM
19,400

 
1,375,912

 
2,282,216

UNUM CORP NT 6.75 DUE 12-15-2028 BEO
223,000

 
188,402

 
265,131

UNUM GROUP
6,400

 
170,065

 
213,056

UNUM GROUP
22,100

 
523,009

 
735,709

UTD STATES TREAS .625% DUE 11-15-2016
1,825,000

 
1,829,428

 
1,822,576

UTD THERAPEUTICS CORP DEL COM STK
5,257

 
457,483

 
823,299

VALEANT PHARMACEUTICALS INTERNATIONAL INC COMMON STOCK
13,700

 
1,272,291

 
1,392,605

VALERO ENERGY CORP COM STK NEW
15,141

 
753,389

 
1,070,620

VERISIGN INC COM
8,110

 
522,183

 
708,490

VERISK ANALYTICS INC COM STK
35,490

 
2,568,940

 
2,728,471

VERIZON 4.15% DUE 03-15-2024
300,000

 
300,195

 
308,299

VERIZON 4.272% DUE 01-15-2036
1,184,000

 
1,035,582

 
1,068,913

VERIZON COMMUNICATIONS 6.55 BDS DUE 09-15-2043 USD2000 BEO
125,000

 
126,347

 
148,401

VERIZON COMMUNICATIONS COM
18,750

 
897,124

 
866,625


38

Table of Contents

5500 Supplemental Schedules
 
Account number 7879
 
 
Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
VERTEX PHARMACEUTICALS INC COM
2,993

 
141,930

 
376,609

VERTEX PHARMACEUTICALS INC COM
10,000

 
913,493

 
1,258,300

VISA INC COM CL A STK
63,500

 
3,187,439

 
4,924,425

VISA INC COM CL A STK
29,251

 
978,010

 
2,268,415

VISA INC COM CL A STK
62,240

 
3,492,717

 
4,826,712

VMWARE INC CL A COM CL A COM
11,500

 
667,825

 
650,555

VODAFONE GROUP ORD USD0.2095238
620,849

 
2,181,453

 
2,022,303

VODAFONE GROUP ORD USD0.2095238
359,927

 
1,234,545

 
1,172,397

VOYA FINL INC COM
21,142

 
865,239

 
780,351

VULCAN MATERIALS CO COM
19,400

 
1,158,132

 
1,842,418

VULCAN MATLS CO 7.5% DUE 06-15-2021
450,000

 
474,233

 
524,250

WABTEC CORP COM
12,400

 
758,846

 
881,888

WADDELL & REED FINL INC CL A COM
7,300

 
237,380

 
209,218

WALGREENS BOOTS ALLIANCE INC COM
23,160

 
2,141,145

 
1,972,190

WAL-MART STORES INC COM
10,300

 
715,638

 
631,390

WAL-MART STORES INC COM
72,550

 
4,758,874

 
4,447,315

WALT DISNEY CO
10,974

 
334,741

 
1,153,148

WEATHERFORD INTERNATIONAL LTD(IE)USD0.001
102,400

 
1,440,504

 
859,136

WEG SA COM NPV
30,073

 
141,750

 
113,641

WEICHAI POWER CO 'H'CNY1
218,000

 
476,394

 
241,342

WELLPOINT INC 3.7% DUE 08-15-2021
400,000

 
408,440

 
408,817

WELLPOINT INC NT 4.35 DUE 08-15-2020
100,000

 
107,689

 
105,915

WELLS FARGO & CO FLTG RT 5.875% DUE 12-29-2049
5,200,000

 
5,200,000

 
5,473,000

WELLS FARGO & CO NEW COM STK
166,534

 
6,927,283

 
9,052,788

WELLS FARGO & CO NEW COM STK
11,585

 
396,431

 
629,761

WELLS FARGO & CO NEW MEDIUM TERM SR NTS TRANCHE # TR 00155 4.3% DUE 07-22-2027
500,000

 
499,792

 
510,767

WELLS FARGO BANK NATL ASSOCIATION TRANCHE # SB 00008 6% DUE 11-15-2017
250,000

 
248,008

 
269,632

WESTN REFNG INC COM
10,576

 
450,329

 
376,717

WHOLE FOODS MKT INC COM
4,599

 
206,374

 
154,067

WORKDAY INC CL A COM USD0.001
5,800

 
397,591

 
462,144

WORKDAY INC CL A COM USD0.001
10,160

 
715,965

 
809,549

WP GLIMCHER INC COM
4,976

 
58,870

 
52,795

WPP PLC ORD GBP0.10
52,790

 
779,951

 
1,216,126

WYNN MACAU LTD HKD0.001
106,800

 
424,580

 
124,850










39

Table of Contents

5500 Supplemental Schedules
 
Account number 7879
 
 
Account name MONSANTO CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
XEROX CORP 5.625% DUE 12-15-2019
125,000

 
140,745

 
132,974

XEROX CORPORATION 4.5 DUE 05-15-2021
725,000

 
765,333

 
731,729

ZIMMER BIOMET HLDGS INC COM
6,400

 
555,807

 
656,576

ZOETIS INC 3.45% DUE 11-13-2020
150,000

 
149,802

 
150,175

ZOETIS INC 4.5% DUE 11-13-2025
300,000

 
299,307

 
304,036

ZOETIS INC COM USD0.01 CL 'A'
40,090

 
1,856,083

 
1,921,113

Grand Total
795,234,419

 
2,553,500,742

 
3,156,612,756



40

Table of Contents

5500 Supplemental Schedules
 
Account Number 7870
 
 
Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
&&&BOND FUTURES OFFSET - LONG
204

 
53,573,460

 
53,540,289

21ST CENTY FOX 4% DUE 10-01-2023
145,000

 
144,126

 
149,772

21ST CENTY FOX 4.5% DUE 02-15-2021
525,000

 
601,514

 
564,917

ABBVIE INC FIXED 4.5% DUE 05-14-2035
600,000

 
595,854

 
587,758

ACE INA HLDGS INC 2.7% DUE 03-13-2023
280,000

 
261,905

 
273,514

ACTAVIS FDG SCS 2.45% DUE 06-15-2019
210,000

 
209,404

 
207,729

ACTAVIS FDG SCS 3.45% DUE 03-15-2022
830,000

 
828,821

 
830,906

ACTAVIS FUNDING SCS FIXED 3.8% DUE 03-15-2025
375,000

 
373,669

 
373,085

AETNA INC NEW 2.2% DUE 03-15-2019
190,000

 
189,810

 
189,015

AGRIUM INC 3.375% DUE 03-15-2025
360,000

 
359,478

 
328,449

ALLSTATE CORP 3.15% DUE 06-15-2023
45,000

 
44,911

 
44,965

ALLY AUTO .48% DUE 02-15-2017
21,512

 
21,510

 
21,507

ALLY AUTO RECEIVABLES SER 15-1 A3 1.39% 09-16-2019
405,000

 
404,949

 
403,351

ALLY AUTO RECEIVABLES TR 2013-1 ASSET BACKED CTF CL A-3 .68 DUE 05-15-2017
36,494

 
36,528

 
36,483

ALLY MASTER OWNER 1.54% DUE 09-15-2019
650,000

 
649,815

 
646,112

ALLY MASTER OWNER 1.54% DUE 09-15-2019
815,000

 
814,768

 
810,125

ALLY MASTER OWNER 1.6% DUE 10-15-2019
595,000

 
594,989

 
591,925

ALLY MASTER OWNER TR SR 2014-4 CL A2 1.43 06-17-2019
920,000

 
919,772

 
916,700

AMERICAN EXPRESS CREDIT 2.25 DUE 08-15-2019 REG
715,000

 
714,564

 
715,125

AMERICAN EXPRESS CREDIT 2.6% 09-14-2020
265,000

 
264,791

 
265,612

AMERISOURCEBERGEN 3.25% DUE 03-01-2025
175,000

 
174,064

 
169,434

AMERN EXPRESS CR 1.49% DUE 04-15-2020
450,000

 
452,250

 
450,159

AMGEN INC 3.875 DUE 11-15-2021
685,000

 
683,082

 
713,684

AOL TIME WARNER 7.625% DUE 04-15-2031
505,000

 
606,111

 
624,862

APPLE INC 3.85% DUE 05-04-2043
420,000

 
399,313

 
386,951

APPLE INC 4.375% DUE 05-13-2045
260,000

 
259,051

 
262,525

AT&T INC 2.625 DUE 12-01-2022
375,000

 
356,415

 
355,535

AT&T INC 3.4% DUE 05-15-2025
1,005,000

 
1,002,025

 
965,895

AT&T INC 3.4% DUE 05-15-2025
375,000

 
373,890

 
360,409

AT&T INC GLOBAL NT FLTG RATE DUE 11-27-2018 REG
515,000

 
515,000

 
515,449

BANK AMER CORP 3.75% DUE 07-12-2016
245,000

 
223,169

 
248,072

BANK AMER CORP 3.875% DUE 08-01-2025
590,000

 
588,932

 
598,926

BANK AMER CORP 4% DUE 01-22-2025
40,000

 
39,759

 
39,157

BANK AMER CORP 5.625% DUE 07-01-2020
55,000

 
55,264

 
61,092



41

Table of Contents

5500 Supplemental Schedules
 
Account Number 7870
 
 
Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
BANK AMER CORP 5.65% DUE 05-01-2018
1,340,000

 
1,366,391

 
1,440,913

BANK AMER CORP 5.875% DUE 01-05-2021
700,000

 
709,884

 
792,220

BANK AMER CORP 7.625% DUE 06-01-2019
225,000

 
286,555

 
260,622

BANK OF AMERICA CORP 2.6 DUE 01-15-2019
210,000

 
209,964

 
210,684

BANK OF AMERICA CORP BNDS 4.2 DUE 08-26-2024
1,400,000

 
1,411,805

 
1,389,049

BANK OF AMERICA CORPORATION FRN FLTG RTDUE 01-15-2019
665,000

 
673,519

 
667,441

BARCLAYS PLC 4.375% DUE 09-11-2024
325,000

 
318,581

 
317,792

BECTON DICKINSON & 3.125% DUE 11-08-2021
130,000

 
133,693

 
131,093

BECTON DICKINSON & 3.734% DUE 12-15-2024
100,000

 
100,000

 
100,853

BHP BILLITON FIN USA LTD 3.85 DUE 09-30-2023 REG
320,000

 
319,606

 
302,981

BHP BILLITON FIN USA LTD 6.5 DUE 04-01-2019
550,000

 
614,697

 
605,848

BIOGEN INC 3.625% DUE 09-15-2022
170,000

 
169,864

 
171,883

BK NEW YORK INC 2.1 DUE 01-15-2019
170,000

 
169,788

 
170,790

BK NEW YORK INC 2.2% DUE 05-15-2019
795,000

 
793,458

 
796,181

BK NEW YORK INC 2.3% DUE 09-11-2019
190,000

 
189,964

 
190,559

BK NEW YORK INC MEDIUM TERM SR NTS 2.2 03-04-2019
195,000

 
194,784

 
195,591

BNP PARIBAS BNDS 4.25 DUE 10-15-2024
1,225,000

 
1,221,643

 
1,213,491

BOSTON PPTYS LTD PARTNERSHIP 3.7 15 NOV 2018
170,000

 
177,949

 
176,107

BP CAP MKTS P L C 1.846% DUE 05-05-2017
625,000

 
625,000

 
627,993

BSTN PPTYS LTD 4.125% DUE 05-15-2021
1,125,000

 
1,224,031

 
1,178,325

BURL NORTHN SANTA 3.05% DUE 09-01-2022
1,150,000

 
1,181,135

 
1,148,988

CALIFORNIA ST 5.7% 11-01-2021 BEO TAXABLE
555,000

 
662,988

 
650,110

CALIFORNIA ST 6.2% 10-01-2019 BEO TAXABLE
950,000

 
1,169,146

 
1,092,291

CAP 1 BK USA NATL 8.8% DUE 07-15-2019
180,000

 
191,533

 
214,432

CAP 1 FINL CORP 3.5% DUE 06-15-2023
425,000

 
395,622

 
422,402

CAP 1 FINL CORP 4.75% DUE 07-15-2021
750,000

 
870,195

 
812,368

CAP 1 FINL CORP 6.75% DUE 09-15-2017
285,000

 
344,850

 
305,763

CAP AUTO SER 2013-1CL A-4 .97 DUE 01-22-2018
600,000

 
599,960

 
599,497

CCO SAFARI II LLC SR SECD NT 144A 4.908% 23 JUL 2025
650,000

 
650,000

 
649,368

CELGENE CORP 3.55% DUE 08-15-2022
100,000

 
99,729

 
100,972

CELGENE CORP 3.55% DUE 08-15-2022
305,000

 
304,173

 
307,965

CHASE ISSUANCE TR 1.62% DUE 07-15-2020
1,200,000

 
1,199,672

 
1,195,920

CHASE ISSUANCE TR 5.16% DUE 04-16-2018
170,000

 
171,175

 
170,841

CIGNA CORP 7.65 DUE 03-01-2023
184,000

 
238,422

 
223,186


42

Table of Contents

5500 Supplemental Schedules
 
Account Number 7870
 
 
Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
CITIBANK CR CARD .73% DUE 02-07-2018
140,000

 
140,038

 
139,979

CITIGROUP INC 2.15% DUE 07-30-2018
210,000

 
209,945

 
209,844

CITIGROUP INC 2.5% DUE 07-29-2019
120,000

 
119,927

 
119,819

CITIGROUP INC 3.5% DUE 05-15-2023
135,000

 
125,203

 
132,734

CITIGROUP INC 3.875% DUE 10-25-2023
310,000

 
309,287

 
320,360

CITIGROUP INC 4.05% DUE 07-30-2022
1,125,000

 
1,114,277

 
1,150,723

CMO FEDERAL HOME LN MTG CORP SER 2945 CLBD 5.5% DUE 10-15-2034 REG
104,542

 
114,948

 
113,412

CMO GAHR CML MTG TR 2015-NRF P-THRU CTF CL A-FX 144A 3.2349 DUE 12-15-19 BEO
465,000

 
478,950

 
472,027

CMO MORGAN STANLEY BAML TRUST SER 2013-C13 CL A-4 FLTG RT 11-15-2046
310,000

 
319,278

 
327,656

COCA-COLA FEMSA S 2.375% DUE 11-26-2018
460,000

 
459,397

 
459,332

COMCAST CORP NEW 6.3% DUE 11-15-2017
430,000

 
503,531

 
467,833

COMERICA INC 2.125 05-23-2019
215,000

 
215,000

 
213,495

CONOCOPHILLIPS CO 3.35% DUE 11-15-2024
1,225,000

 
1,222,832

 
1,120,282

CONOCOPHILLIPS CO 4.15% DUE 11-15-2034
435,000

 
434,822

 
377,121

CONS EDISON CO N Y 5.3% DUE 12-01-2016
475,000

 
473,651

 
492,678

CONTL RES INC 5 DUE 09-15-2022
315,000

 
320,856

 
232,313

CPL TRANSITION FDG FLTG RT 6.25% DUE 01-15-2017
162,412

 
168,718

 
162,746

DAIMLER FIN N AMER 1.125% DUE 03-10-2017
635,000

 
634,644

 
630,182

DAIMLER FIN N AMER 2.375% DUE 08-01-2018
515,000

 
513,723

 
515,776

DEUTSCHE BK AG 1.35 DUE 05-30-2017
535,000

 
534,813

 
531,552

DEVON ENERGY CORP 3.25% DUE 05-15-2022
405,000

 
402,602

 
344,265

DEVON ENERGY CORP 5% DUE 06-15-2045
60,000

 
43,739

 
45,474

DIRECTV HLDGS LLC 6.375% DUE 03-01-2041
60,000

 
64,423

 
64,399

DIRECTV HLDGS/FING 6 DUE 08-15-2040
110,000

 
112,141

 
112,566

DOMINION RES INC 1.95% DUE 08-15-2016
170,000

 
169,959

 
170,428

DOMINION RES INC 2.5% DUE 12-01-2019
420,000

 
419,370

 
418,448

DOMINION RES INC 3.9% DUE 10-01-2025
230,000

 
229,715

 
230,239

DOW CHEMICAL CO 3% DUE 11-15-2022
1,450,000

 
1,442,369

 
1,388,108

DOW CHEMICAL CO 3% DUE 11-15-2022
825,000

 
810,695

 
789,786

DUKE ENERGY 5.1% DUE 04-15-2018
155,000

 
154,518

 
166,129

EASTMAN CHEM CO 2.7% DUE 01-15-2020
480,000

 
478,997

 
475,259

EATON CORP OHIO 2.75% DUE 11-02-2022
300,000

 
303,246

 
290,293

EMD FIN LLC 2.4% DUE 03-19-2020
475,000

 
474,976

 
462,388

ENCANA CORP 3.9% DUE 11-15-2021
865,000

 
864,853

 
713,991


 

43

Table of Contents

5500 Supplemental Schedules
 
Account Number 7870
 
 
Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
ENERGY TRANSFER 4.15% DUE 10-01-2020
605,000

 
603,965

 
558,108

ENSCO PLC FORMERLY 4.5% DUE 10-01-2024
315,000

 
315,966

 
216,837

ENTERPRISE FLEET 1.38% DUE 09-20-2019
725,000

 
724,863

 
722,350

ERP OPER LTD 4.75% DUE 07-15-2020
425,000

 
467,001

 
459,077

ERP OPERATING LP 4.625 DUE 12-15-2021 REG
700,000

 
772,345

 
759,697

EXELON CORP 2.85% DUE 06-15-2020
600,000

 
599,886

 
596,720

EXELON GENERATION CO LLC 4.25 06-15-2022
575,000

 
600,289

 
582,587

FEDERAL HOME LN MTG CORP POOL #A22684 5.5% 10-01-2034 BEO
562,197

 
598,213

 
628,563

FEDERAL HOME LN MTG CORP POOL #A34054 6%04-01-2035 BEO
111,163

 
121,445

 
124,913

FEDERAL HOME LN MTG CORP POOL #A61558 6.5% 10-01-2036 BEO
178,538

 
194,121

 
205,284

FEDERAL HOME LN MTG CORP POOL #C91296 5%04-01-2030 BEO
68,821

 
72,090

 
75,348

FEDERAL HOME LN MTG CORP POOL #C91402 4%10-01-2031 BEO
545,966

 
573,776

 
583,617

FEDERAL HOME LN MTG CORP POOL #C91746 4.5% 12-01-2033 BEO
1,536,949

 
1,653,901

 
1,669,162

FEDERAL HOME LN MTG CORP POOL #G01548 7.5% 07-01-2032 BEO
241,948

 
267,164

 
295,987

FEDERAL HOME LN MTG CORP POOL #G01777 6%02-01-2035 BEO
1,215,851

 
1,338,575

 
1,388,079

FEDERAL HOME LN MTG CORP POOL #G03392 6%10-01-2037 BEO
54,819

 
58,379

 
61,831

FEDERAL HOME LN MTG CORP POOL #G05903 5.5% 03-01-2040 BEO
307,997

 
330,733

 
346,067

FEDERAL HOME LN MTG CORP POOL #G08587 4.5% 05-01-2044 BEO
401,845

 
435,750

 
433,876

FEDERAL HOME LN MTG CORP POOL #G60153 4.5% 10-01-2044 BEO
1,661,940

 
1,803,335

 
1,793,912

FEDERAL HOME LN MTG CORP POOL #J12899 4%09-01-2025 BEO
567,534

 
600,167

 
599,318

FEDERAL HOME LN MTG CORP POOL #J17720 3%01-01-2027 BEO
200,920

 
209,396

 
207,261

FEDERAL HOME LN MTG CORP POOL #J18087 3%03-01-2027 BEO
163,572

 
170,753

 
168,875

FEDERAL HOME LN MTG CORP POOL #Q20773 4%08-01-2043 BEO
879,031

 
919,961

 
932,427

FEDERAL HOME LN MTG CORP POOL #Q2-8481 3.5% 09-01-2044 BEO
4,966,849

 
5,154,658

 
5,122,307

FEDERAL NATL MTG ASSN GTD MTG POOL #AH5817 4.5% 02-01-2041 BEO
459,791

 
494,994

 
500,078

FEDERAL NATL MTG ASSN GTD MTG POOL #AJ4098 4% DUE 10-01-2026 BEO
1,360,199

 
1,464,339

 
1,428,307

FEDERAL NATL MTG ASSN GTD MTG POOL #AJ6972 4% 11-01-2026 BEO
120,055

 
129,584

 
127,204

FEDERAL NATL MTG ASSN GTD MTG POOL #AL0475 5.5% 03-01-2035 BEO
527,726

 
578,024

 
593,558

FEDERAL NATL MTG ASSN GTD MTG POOL #AL3598 6% 07-01-2039 BEO
769,669

 
852,408

 
875,473

FEDERAL NATL MTG ASSN GTD MTG POOL #AL5109 5.5% 10-01-2038 BEO
1,007,825

 
1,113,490

 
1,131,207

FEDERAL NATL MTG ASSN GTD MTG POOL #AL5635 3.019% 09-01-2020 BEO
198,044

 
206,523

 
207,089

FEDERAL NATL MTG ASSN GTD MTG POOL #AL5861 4.5% 01-01-2031 BEO
454,104

 
494,547

 
492,925

FEDERAL NATL MTG ASSN GTD MTG POOL #AL5957 4% 05-01-2027 BEO
513,693

 
551,979

 
544,765

FEDERAL NATL MTG ASSN GTD MTG POOL #AL6132 4.5% 03-01-2029 BEO
1,601,707

 
1,736,350

 
1,721,511


 

44

Table of Contents

5500 Supplemental Schedules
 
Account Number 7870
 
 
Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
FHLMC GOLD G03323 6 08-01-2037
201,562

 
214,778

 
227,711

FHLMC GOLD G0-7338 6 10-01-2038
201,127

 
220,360

 
228,948

FHLMC GOLD POOL #J11208 5 11-01-2024
415,178

 
437,753

 
446,169

FHLMC GOLD POOL Q32971 3.5% 04-01-2045
2,334,786

 
2,400,451

 
2,407,953

FHLMC GOLD Q02881 5 08-01-2041
217,233

 
243,301

 
242,418

FHLMC GOLD Q06616 3.5% DUE 03-01-2042
1,325,696

 
1,420,980

 
1,365,766

FHLMC GOLD SINGLE FAMILY 4% 30 YEARS SETTLES JANUARY
4,115,000

 
4,340,593

 
4,347,033

FHLMC GOLD SINGLE FAMILY 4.5 30 YEARS SETTLES JAN
880,000

 
947,788

 
947,980

FHLMC MULTICLASS SER 2080 CL 2080-PJ 6.508-15-2028
202,285

 
210,557

 
223,909

FHLMC MULTICLASS SER 2926 CL EW 5 01-15-2025
1,321,625

 
1,443,876

 
1,425,323

FHLMC POOL #84-8209 FLTG RT 11-01-2036
342,131

 
367,951

 
363,986

FIN CORP PRIN FICO STRIPS SER 1 REP PRINPMT 5-11-18 CPN 10 BD DUE 2018 REG
905,000

 
842,265

 
876,675

FING CORP PRIN FICO STRIPS PRINPMT ON9.817FIN CP DUE 11-30-2017 REG
3,486,000

 
2,800,738

 
3,403,866

FNMA .875 12-20-2017
2,165,000

 
2,155,366

 
2,154,612

FNMA POOL #254485 7% DUE 11-01-2031 REG
11,896

 
12,419

 
13,397

FNMA POOL #256939 7% 10-01-2037 BEO
164,643

 
186,252

 
187,726

FNMA POOL #257135 5.5% 03-01-2038 BEO
787,045

 
843,122

 
851,070

FNMA POOL #323979 6.5% DUE 04-01-2029 REG
7,301

 
7,533

 
8,344

FNMA POOL #407591 6.5% DUE 12-01-2027 REG
45,333

 
46,671

 
51,809

FNMA POOL #759385 ADJ RT DUE 01-01-2034 BEO
283,678

 
288,524

 
301,962

FNMA POOL #771060 6.5% 02-01-2033 BEO
526,674

 
578,683

 
621,446

FNMA POOL #880993 6% 01-01-2022 BEO
112,663

 
122,124

 
120,921

FNMA POOL #888367 7% 03-01-2037 BEO
984,844

 
1,114,105

 
1,139,507

FNMA POOL #890229 5% 07-01-2025 BEO
815,826

 
890,525

 
858,733

FNMA POOL #909207 6.5% 07-01-2023 BEO
341,121

 
378,461

 
370,820

FNMA POOL #922228 6.5% DUE 12-01-2036 REG
32,765

 
33,472

 
39,047

FNMA POOL #931279 4% 06-01-2024 BEO
714,157

 
762,809

 
756,019

FNMA POOL #AA9188 5% 08-01-2039 BEO
417,256

 
433,946

 
467,144

FNMA POOL #AB2083 4% 01-01-2041 BEO
550,084

 
556,573

 
583,599

FNMA POOL #AB2172 4% 02-01-2041 BEO
776,354

 
785,027

 
825,610

FNMA POOL #AB5248 3% 05-01-2042 BEO
829,064

 
863,457

 
832,641

FNMA POOL #AC0607 5% 12-01-2039 BEO
115,739

 
130,785

 
127,311

FNMA POOL #AC3295 5% 10-01-2024 BEO
274,117

 
292,063

 
294,808

FNMA POOL #AD0110 5.5% 04-01-2036 BEO
1,077,359

 
1,149,745

 
1,223,304


 

45

Table of Contents

5500 Supplemental Schedules
 
Account Number 7870
 
 
Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
FNMA POOL #AD0495 5.5% 02-01-2035 BEO
828,416

 
907,374

 
930,280

FNMA POOL #AD4384 5.5% 05-01-2040 BEO
140,996

 
151,901

 
157,125

FNMA POOL #AD4941 6% 06-01-2040 BEO
113,984

 
123,708

 
128,978

FNMA POOL #AD5541 5% 05-01-2030 BEO
90,481

 
94,963

 
100,053

FNMA POOL #AD5542 5% 05-01-2030 BEO
87,272

 
91,640

 
96,532

FNMA POOL #AD6448 5% 05-01-2040 BEO
77,558

 
87,641

 
85,330

FNMA POOL #AD7112 5.5% 07-01-2040 BEO
272,709

 
294,696

 
304,353

FNMA POOL #AD8676 5% 07-01-2040 BEO
1,084,097

 
1,146,094

 
1,214,028

FNMA POOL #AD9321 5% 08-01-2040 BEO
886,244

 
941,496

 
983,505

FNMA POOL #AE0178 6% 08-01-2024 BEO
92,640

 
101,267

 
101,885

FNMA POOL #AE4273 5% 09-01-2040 BEO
986,452

 
1,051,188

 
1,091,845

FNMA POOL #AN0407 3% 12-01-2025 BEO
400,000

 
401,625

 
400,286

FNMA POOL #AN0515 2.99% 01-01-2026 BEO
435,000

 
437,447

 
436,409

FNMA POOL #AO1770 4% 04-01-2037 BEO
483,039

 
517,456

 
512,440

FNMA POOL #AO3244 3.5% DUE 08-01-2032 BEO
651,898

 
698,447

 
681,611

FNMA POOL #AQ3298 3% 10-01-2042 BEO
928,259

 
979,023

 
932,422

FNMA POOL #AR8240 3% 04-01-2043 BEO
1,365,588

 
1,378,924

 
1,368,551

FNMA POOL #AR9199 3 DUE 03-01-2043
2,805,057

 
2,862,911

 
2,811,351

FNMA POOL #AS0564 4.5% 09-01-2043 BEO
837,126

 
902,527

 
907,381

FNMA POOL #AS2276 4.5% 04-01-2044 BEO
2,192,257

 
2,382,025

 
2,368,991

FNMA POOL #AS6154 3% 11-01-2030 BEO
2,206,783

 
2,287,123

 
2,276,166

FNMA POOL #AU7305 4% 08-01-2043 BEO
601,068

 
629,618

 
638,630

FNMA POOL #AY5229 3% 05-01-2030 BEO
1,154,452

 
1,201,352

 
1,190,426

FNMA POOL #AY9308 3.5% 05-01-2030 BEO
320,475

 
338,601

 
336,611

FNMA POOL #MA0193 5.5% 08-01-2024 BEO
550,301

 
584,780

 
600,141

FNMA POOL #MA0200 4.5% 10-01-2029 BEO
1,780,567

 
1,911,606

 
1,923,061

FNMA POOL #MA0232 4.5% 11-01-2029 BEO
253,706

 
272,377

 
274,009

FNMA POOL #MA0634 4.5% 01-01-2031 BEO
102,664

 
111,262

 
111,519

FNMA POOL #MA0878 4% DUE 10-01-2031 REG
1,620,681

 
1,707,792

 
1,733,846

FNMA POOL #MA1630 4% 10-01-2033 BEO
1,223,679

 
1,309,337

 
1,309,034

FNMA POOL #MA2141 4% 01-01-2035 BEO
1,120,790

 
1,207,651

 
1,198,026

FNMA REMIC SER 2007-117 CL-MD 5.5 07-25-2037
505,508

 
532,047

 
552,293

FNMA REMIC SER 2014-M13 CLS ASQ2 1.637% 11-25-2017
267,081

 
269,746

 
267,925

FNMA REMIC TR 2002-W7 CL-A4 6 06-25-2029
1,273,156

 
1,424,343

 
1,380,202



46

Table of Contents

5500 Supplemental Schedules
 
Account Number 7870
 
 
Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
FNMA REMIC TR 2009-30 CL-AD 6.5 04-25-2039
186,630

 
202,785

 
193,817

FNMA SINGLE FAMILY MORTGAGE 4% 30 YEARS SETTLES JANUARY
22,790,000

 
24,148,594

 
24,115,740

FNMA TRANCHE 540 1.875 09-18-2018
3,685,000

 
3,752,284

 
3,736,601

FORD CR AUTO OWNER 1.06% DUE 05-15-2019
930,000

 
929,863

 
927,798

FORD CR AUTO OWNER 1.28% DUE 09-15-2019
640,000

 
639,949

 
638,967

FORD CR AUTO OWNER 2.26% DUE 11-15-2025
850,000

 
849,788

 
856,857

FORD CR AUTO OWNER 2.26% DUE 11-15-2025
710,000

 
709,823

 
715,728

FORD CR FLOORPLAN MASTER OWNER SER 2014-4 CL A1 1.4 08-15-2019
670,000

 
669,808

 
666,978

FORD CR FLOORPLAN MASTER OWNER TR A 2013-5 CL A-1 .85 DUE 09-15-2018
365,000

 
364,922

 
365,597

FORD MTR CR CO LLC 2.597% DUE 11-04-2019
500,000

 
500,000

 
490,919

FORD MTR CR CO LLC 3.219% DUE 01-09-2022
325,000

 
325,000

 
318,094

FORD MTR CR CO LLC FLTG RT 1.46235% DUE 03-12-2019
1,005,000

 
1,005,000

 
983,815

FREDDIE MAC GOLD POOL?3.5% 10-01-2045
1,195,257

 
1,234,476

 
1,232,863

FUT MAR 16 10 YR T-NOTES
9

 
1,136,813

 
1,133,156

FUT MAR 16 5 YR T NOTE
145

 
17,190,430

 
17,156,445

FUT MAR 16 CBT UL T-BONDS
33

 
5,198,432

 
5,236,688

FUT MAR 16 U.S. T-BONDS
(124
)
 
(19,010,508
)
 
(19,065,000
)
FUT MAR 16 US 2YR T-NOTE
(267
)
 
(58,088,627
)
 
(58,001,578
)
GEN ELEC CAP CORP 5.3% DUE 02-11-2021
227,000

 
237,827

 
255,970

GEN ELEC CAP CORP MEDIUM TERM NTS BO TRANCHE # TR 00849 4.65 DUE 10-17-2021
387,000

 
441,706

 
428,474

GENERAL ELEC CAP CORP FLT RT DUE 01-14-2019 REG
600,000

 
600,000

 
599,239

GENERAL ELEC CO 2.7 DUE 10-09-2022 REG
230,000

 
229,460

 
229,036

GIC METLIFE CONTRACT # METLIFE SA 698 RATE 00.0000% MAT 00/00/0000
1,325,092

 
122,457,555

 
138,723,180

GILEAD SCIENCES 2.55% DUE 09-01-2020
285,000

 
284,487

 
284,892

GILEAD SCIENCES 3.25% DUE 09-01-2022
265,000

 
264,626

 
266,836

GILEAD SCIENCES 3.65% DUE 03-01-2026
485,000

 
483,041

 
489,112

GILEAD SCIENCES 3.7% DUE 04-01-2024
550,000

 
549,115

 
563,375

GM FINL AUTOMOBILE 1.73% DUE 06-20-2019
700,000

 
699,908

 
695,840

GNMA II JUMBOS 4.5% 30 YEARS SETTLES JANUARY
2,460,000

 
2,644,884

 
2,642,963

GNMA POOL #706848 5.5% 05-15-2040 BEO
765,029

 
827,187

 
875,413

GNMA POOL #781232 6.5% 12-15-2023 BEO
78,347

 
89,524

 
89,640

GNMA POOL #MA3243 3% 11-20-2045 BEO
458,986

 
465,476

 
465,834

GOLDMAN SACHS 5.75% DUE 01-24-2022
305,000

 
304,588

 
346,852

GOLDMAN SACHS GROUP INC 2.75% DUE 09-15-2020
135,000

 
134,725

 
134,911


 

47

Table of Contents

5500 Supplemental Schedules
 
Account Number 7870
 
 
Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
GOLDMAN SACHS GROUP INC 7.5 02-15-2019 MTN1
1,160,000

 
1,362,350

 
1,327,343

GOLDMAN SACHS GROUP INC MEDIUM TERM NTS TRANCHE # TR 00590 VAR RT DUE 11-15-2018
650,000

 
653,101

 
652,640

GOLDMAN SACHS GROUP INC VAR RT 11-29-2023
615,000

 
615,000

 
620,458

HALLIBURTON CO 3.375% DUE 11-15-2022
600,000

 
599,507

 
590,480

HLTH CARE REIT INC 2.25% DUE 03-15-2018
245,000

 
243,777

 
244,780

HSBC BANK USA NA 4.875 DUE 08-24-2020 BEO
1,200,000

 
1,256,520

 
1,310,098

HSBC FIN CORP 6.676% DUE 01-15-2021
755,000

 
763,109

 
866,495

HSBC HLDGS PLC 4 DUE 03-30-2022
440,000

 
464,943

 
461,897

HSBC HOLDINGS PLC 5.1 DUE 04-05-2021
200,000

 
235,890

 
222,352

HUMANA INC 2.625% DUE 10-01-2019
280,000

 
279,986

 
280,708

ILLINOIS ST 5.365% 03-01-2017 BEO TAXABLE
425,000

 
475,575

 
439,896

ILLINOIS ST 5.65% 03-01-2020 BEO TAXABLE
45,000

 
46,350

 
47,715

ILLINOIS ST 5.727% 04-01-2020 BEO TAXABLE
230,000

 
238,227

 
244,352

INTL PAPER CO 5% DUE 09-15-2035
465,000

 
461,694

 
461,103

J P MORGAN CHASE 2.9599% DUE 04-15-2046
1,140,000

 
1,174,191

 
1,122,160

J P MORGAN CHASE 4.1664% DUE 12-15-2046
900,000

 
926,993

 
956,556

JPMORGAN CHASE & 3.375% DUE 05-01-2023
625,000

 
622,210

 
614,261

JPMORGAN CHASE & 4.35% DUE 08-15-2021
485,000

 
482,672

 
516,153

JPMORGAN CHASE & 4.4% DUE 07-22-2020
530,000

 
528,437

 
565,711

JPMORGAN CHASE & 6.3% DUE 04-23-2019
290,000

 
320,589

 
325,177

JPMORGAN CHASE & CO FORMERLY J P MORGAN 6 DUE 01-15-2018 BEO
420,000

 
413,574

 
453,626

JPMORGAN CHASE & FIXED 2.25% DUE 01-23-2020
690,000

 
689,284

 
678,809

JPMORGAN CHASE BK N A NEW YORK N Y FORME6 DUE 10-01-2017
1,210,000

 
1,342,701

 
1,293,684

KINDER MORGAN 3.45% DUE 02-15-2023
750,000

 
673,358

 
622,846

KINDER MORGAN 3.5 DUE 03-01-2021
415,000

 
412,900

 
371,374

KINDER MORGAN 4.15% DUE 02-01-2024
700,000

 
720,153

 
603,959

KINDER MORGAN 6.85% DUE 02-15-2020
400,000

 
446,676

 
413,729

KINDER MORGAN ENERGY PARTNERS L P 3.5 DUE 09-01-2023
340,000

 
318,923

 
281,899

KINDER MORGAN INC 4.3% DUE 06-01-2025
630,000

 
627,467

 
544,324

KINDER MORGAN INC 4.3% DUE 06-01-2025
200,000

 
199,196

 
172,801

KROGER CO 2.95% DUE 11-01-2021
235,000

 
234,925

 
232,599

LLOYDS BKG GROUP 4.5% DUE 11-04-2024
600,000

 
600,945

 
609,076

LOCKHEED MARTIN 3.35 DUE 09-15-2021
580,000

 
578,434

 
594,171

LOCKHEED MARTIN 3.55% DUE 01-15-2026
635,000

 
630,098

 
637,235


 

48

Table of Contents

5500 Supplemental Schedules
 
Account Number 7870
 
 
Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
LYONDELLBASELL 5% DUE 04-15-2019
580,000

 
626,325

 
617,003

MAY DEPT STORES CO 6.65% DUE 07-15-2024
1,450,000

 
1,816,850

 
1,633,390

MEDTRONIC INC 3.15% DUE 03-15-2022
915,000

 
913,088

 
924,989

MEDTRONIC INC 3.5% DUE 03-15-2025 REG
1,200,000

 
1,192,277

 
1,209,804

MEDTRONIC INC 3.5% DUE 03-15-2025 REG
625,000

 
619,013

 
630,106

MERRILL LYNCH & CO INC MEDIUM TERM NTS BTRANCHE # TR 00677 6.875% DUE 04-25-2018
105,000

 
104,180

 
115,842

METLIFE INC FIXED 2.463% DUE 12-15-2017
495,000

 
496,511

 
497,912

MICROSOFT CORP 3.5% DUE 02-12-2035
565,000

 
558,503

 
522,198

MONDELEZ INTL INC 4 DUE 02-01-2024
440,000

 
439,525

 
453,550

MORGAN STANLEY 3.75% DUE 02-25-2023
180,000

 
178,898

 
184,368

MORGAN STANLEY 3.875% DUE 04-29-2024
605,000

 
599,700

 
616,724

MORGAN STANLEY 4% DUE 07-23-2025
105,000

 
104,914

 
108,126

MORGAN STANLEY 5.5% DUE 01-26-2020
350,000

 
354,694

 
385,319

MOSAIC CO NEW 4.25% DUE 11-15-2023
395,000

 
394,171

 
391,218

NEVADA PWR CO 7.125% DUE 03-15-2019
140,000

 
139,845

 
160,119

NEW JERSEY ECONOMIC DEV AUTH REV 4.447% 06-15-2020 BEO TAXABLE
605,000

 
605,000

 
602,501

NISOURCE FIN CORP 5.45% DUE 09-15-2020
180,000

 
203,175

 
197,321

NISOURCE FIN CORP 6.125% DUE 03-01-2022
300,000

 
311,874

 
343,389

NORTHROP GRUMMAN 1.75% DUE 06-01-2018
1,155,000

 
1,151,812

 
1,144,702

NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND
8,803,673

 
8,803,673

 
8,803,673

NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND
1

 
1

 
1

NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND
2,392,263

 
2,392,263

 
2,392,263

NTGI COLLECTIVE GOVERNMENT SHORT TERM INVESTMENT FUND
26,800,148

 
26,800,148

 
26,800,148

ORACLE CORP 2.25% DUE 10-08-2019
90,000

 
89,899

 
90,939

ORACLE CORP 3.9% DUE 05-15-2035
750,000

 
744,938

 
703,203

PAC GAS & ELEC CO 8.25% DUE 10-15-2018
775,000

 
1,004,547

 
900,756

PACIFICORP 2.95% DUE 06-01-2023
890,000

 
887,330

 
888,273

PARKER-HANNIFIN FIXED 3.3% DUE 11-21-2024
290,000

 
289,362

 
292,495

PECO ENERGY CO 4.15% DUE 10-01-2044
375,000

 
373,714

 
368,588

Pending trade purchases: United States dollar

 
(29,445,481
)
 
(29,445,481
)
Pending trade purchases: United States dollar

 
(13,368,201
)
 
(13,368,201
)
Pending trade sales: United States dollar

 
5,234,518

 
5,234,518

PERRIGO FIN PLC 3.5% DUE 12-15-2021
200,000

 
199,874

 
194,398

PETROBRAS GLOBAL 4.375% DUE 05-20-2023
625,000

 
619,820

 
412,500

 

49

Table of Contents

5500 Supplemental Schedules
 
Account Number 7870
 
 
Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
PETROBRAS INTL FIN 3.875% DUE 01-27-2016
600,000

 
614,906

 
597,600

PETROBRAS INTL FIN 5.375% DUE 01-27-2021
375,000

 
397,926

 
279,375

PETROLEOS 3.5% DUE 07-18-2018
300,000

 
304,875

 
297,681

PETROLEOS 4.875% DUE 01-18-2024
750,000

 
745,898

 
699,375

PETROLEOS MEXICANOS 144A TRANCHE # TR 00028 4.5% DUE 01-23-2026 REG
1,100,000

 
1,098,020

 
966,350

PNC BK N A CORP BD 2.2 DUE 01-28-2019
300,000

 
303,069

 
300,980

PNC BK N A PITT PA 2.25% DUE 07-02-2019
375,000

 
373,830

 
376,665

PNC BK N A PITT PA 2.4% DUE 10-18-2019
470,000

 
469,657

 
471,822

PVTPL BAE SYS PLC NT 144A 4.75% DUE 10-11-2021 BEO
830,000

 
829,153

 
883,407

PVTPL BAXALTA INC 3.6% DUE 06-23-2022 BEO
620,000

 
620,231

 
619,834

PVTPL BAYER US FINANCE LLC 2.375% DUE 10-08-2019 BEO
655,000

 
652,000

 
655,411

PVTPL BG ENERGY CAP PLC GTD NT 144A 4% DUE 10-15-2021 BEO
560,000

 
555,576

 
581,172

PVTPL CHASE ISSUANCE TR CHASESERIES 2013-8 NT CL A 1.01% DUE 10-15-2018 REG
2,100,000

 
2,102,049

 
2,098,121

PVTPL CMO EXTENDED STAY AMER TR 2013-ESHCL A-1-7 2.2952 DUE 12-05-2031 BEO
1,300,000

 
1,296,746

 
1,296,490

PVTPL CMO HILTON USA TR 2013-HLT CL AFX 2.6621 DUE 11-05-2030 BEO
735,000

 
734,999

 
735,551

PVTPL DEUTSCHE TELEKOM INTL FIN B V NT 2.25 DUE 03-06-2017
595,000

 
591,650

 
598,705

PVTPL EMD FIN LLC GTD NT 144A 1.7% DUE 03-19-2018 BEO
410,000

 
409,930

 
406,089

PVTPL EXELON CORP NT 144A 3.95% DUE 06-15-2025/06-11-2015 BEO
350,000

 
349,283

 
349,535

PVTPL FORD CR AUTO OWNER TR 2015-REV1 2.12%DUE 07-15-2026 BEO
665,000

 
664,763

 
656,613

PVTPL FORD CR AUTO OWNER TR 2015-REV1 2.12%DUE 07-15-2026 BEO
600,000

 
598,617

 
592,433

PVTPL GE CAP INTL FDG CO MEDIUM TERM NTSBOOK TR 00126 2.342 11-15-20 BEO
1,097,000

 
1,098,357

 
1,087,851

PVTPL GE CAP INTL FDG CO MEDIUM TERM NTSBOOK TR 00126 2.342 11-15-20 BEO
654,000

 
589,362

 
648,546

PVTPL HEINZ H J CO SR NT 144A 3.5% DUE 07-15-2022/07-02-2015 BEO
335,000

 
334,209

 
337,310

PVTPL HEINZ H J CO SR NT 144A 3.95% DUE 07-15-2025/07-02-2015 BEO
310,000

 
309,276

 
312,886

PVTPL HEWLETT PACKARD ENTERPRISE CO 144A3.6% DUE 10-15-2020/10-09-2015 BEO
1,000,000

 
999,720

 
1,002,295

PVTPL HEWLETT PACKARD ENTERPRISE CO 4.4%DUE 10-15-2022/10-09-2015 BEO
345,000

 
344,209

 
343,678

PVTPL NY LIFE GLOBAL FDG MEDIUM TERM NTSTRANCHE # TR 00039 2.1 DUE 01-02-2019
735,000

 
734,155

 
735,960

PVTPL OMEGA HEALTHCARE INVS INC 5.25% 01-15-2026
265,000

 
264,250

 
270,495

PVTPL SABMILLER HLDGS INC 3.75 DUE 01-15-2022
245,000

 
243,829

 
251,979

PVTPL SIEMENS FINANCIERINGSMAATSCHAPPIJ N V NT 2.9% DUE 05-27-2022 BEO
800,000

 
800,000

 
799,682

PVTPL TSMC GLOBAL LTD 1.625 DUE 04-03-2018
580,000

 
579,611

 
568,473

REED ELSEVIER CAP INC 3.125 DUE 10-15-2022
295,000

 
303,870

 
286,483

REGENCY CTRS L P 5.875% DUE 06-15-2017
52,000

 
51,754

 
54,835


 

50

Table of Contents

5500 Supplemental Schedules
 
Account Number 7870
 
 
Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
REPUBLICA ORIENT URUGUAY 4.5% 08-14-2024
110,000

 
118,331

 
111,650

REPUBLICA ORIENTAL DEL URUGUAY BD 4.375%DUE 10-27-2027 REG
190,000

 
188,366

 
186,675

REYNOLDS AMERICAN INC 4.85 DUE 09-15-2023 REG
785,000

 
784,388

 
839,159

REYNOLDS AMERN INC 3.75% DUE 05-20-2023
490,000

 
479,247

 
488,876

RIO TINTO FIN USA LTD 9 DUE 05-01-2019
245,000

 
305,503

 
286,016

ROGERS 4.1% DUE 10-01-2023
290,000

 
289,458

 
298,809

RSB BONDCO LLC 5.82% DUE 06-28-2019
495,000

 
569,637

 
512,038

SANTANDER DR AUTO 1.27% DUE 02-15-2019
750,000

 
749,897

 
747,467

SCHLUMBERGER HLDGS CORP 144A 3.0% 12-21-2020 BEO
835,000

 
833,113

 
824,213

SHELL INTL FIN B V 4.125% DUE 05-11-2035
920,000

 
912,327

 
878,165

SIMON PPTY GROUP L P 3.5% DUE 09-01-2025
300,000

 
298,062

 
303,729

SLM CORP 6 25 JAN 2017
575,000

 
622,438

 
589,375

SLM CORP TRANCHE # TR 00109 4.625 09-25-2017
300,000

 
311,250

 
295,500

SLM STUDENT LN TR 2006 6 CL A 10-25-2022BEO
43,777

 
43,606

 
43,752

SLM STUDENT LN TR 2006-10 CL A-4 FLT RT 07-25-2023/01-25-2016 BEO
2,228

 
2,223

 
2,226

SMALL BUSINESS ADMIN GTD DEV PARTN CTF 4.92 DUE 10-01-2023/04-01-2007 REG
194,122

 
207,710

 
208,799

SMALL BUSINESS ADMIN GTD DEV PARTN CTF SBA 04-20C CL 1 4.34% DUE 03-01-2024 REG
285,428

 
302,197

 
298,694

SOUTHN CAL EDISON 5.5% DUE 08-15-2018
250,000

 
305,010

 
272,376

SPECTRA ENERGY 2.95 DUE 09-25-2018
70,000

 
69,880

 
68,779

SPECTRA ENERGY 2.95% DUE 06-15-2016
290,000

 
295,388

 
291,049

SPECTRA ENERGY 4.75 DUE 03-15-2024
110,000

 
112,248

 
106,554

ST STR CORP 3.7 DUE 11-20-2023
1,425,000

 
1,421,580

 
1,482,745

STATOIL ASA 3.7% DUE 03-01-2024
230,000

 
240,679

 
233,022

SYNCHRONY FINL 3.75% DUE 08-15-2021
280,000

 
280,267

 
279,694

TALISMAN ENERGY 3.75% DUE 02-01-2021
230,000

 
230,751

 
208,539

THERMO FISHER 3.3% DUE 02-15-2022
130,000

 
129,988

 
129,681

THERMO FISHER SCIENTIFIC INC 2.4 DUE 02-01-2019 REG
370,000

 
369,245

 
369,838

TIME WARNER CABLE 7.3% DUE 07-01-2038
215,000

 
247,039

 
233,094

TIME WARNER CABLE 8.75% DUE 02-14-2019
500,000

 
596,330

 
580,027

TIME WARNER CABLE INC 8.25 DUE 04-01-2019 REG
375,000

 
486,518

 
430,613

TIME WARNER INC 3.55% DUE 06-01-2024
370,000

 
369,660

 
363,060

TIME WARNER INC NEW NT 4.75 DUE 03-29-2021
750,000

 
829,591

 
806,168

TIME WARNER NEW 4.7 DUE 01-15-2021
1,575,000

 
1,810,856

 
1,695,110

TOTAL CAP INTL 2.75% DUE 06-19-2021
585,000

 
583,894

 
582,745


 

51

Table of Contents

5500 Supplemental Schedules
 
Account Number 7870
 
 
Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
TOYOTA AUTO .4% DUE 12-15-2016
33,278

 
33,275

 
33,269

TRANSCANADA 3.75% DUE 10-16-2023
305,000

 
303,082

 
300,158

TXU ELEC DELIVERY 5.29% DUE 05-15-2018
283,899

 
309,095

 
288,260

U S BK NATL ASSN FIXED 2.125% DUE 10-28-2019
335,000

 
334,699

 
334,746

UNION PAC CORP 4.163% DUE 07-15-2022
150,000

 
171,968

 
162,187

UNION PACIFIC CORP 3.646 DUE 02-15-2024 BEO
971,000

 
1,326,785

 
1,013,571

UNITED STATES OF AMER TREAS BONDS DTD 02/15/2015 2.5% DUE 02-15-2045 REG
6,390,000

 
5,819,434

 
5,733,281

UNITED STATES TREAS BDS 00245 2.875% DUE 08-15-2045 REG
2,450,000

 
2,416,046

 
2,379,467

UNITED STATES TREAS BDS 2.875 DUE DUE 05-15-2043
1,005,000

 
850,507

 
979,875

UNITED STATES TREAS BDS 3% DUE 11-15-2044 REG
2,300,000

 
2,538,499

 
2,291,644

UNITED STATES TREAS BDS 3% DUE 05-1 5-2045
5,420,000

 
5,429,909

 
5,395,231

UNITED STATES TREAS BILLS 0% 01-07-2016
7,990,000

 
7,989,982

 
7,989,968

UNITED STATES TREAS NTS .375% DUE 02-15-2016 REG
3,400,000

 
3,404,145

 
3,400,000

UNITED STATES TREAS NTS .75 DUE 01-15-2017 REG
2,295,000

 
2,293,698

 
2,292,939

UNITED STATES TREAS NTS .875 DUE 11-30-2016
4,685,000

 
4,690,490

 
4,687,745

UNITED STATES TREAS NTS 1.625% DUE 07-31-2020 REG
6,135,000

 
6,182,622

 
6,105,761

UNITED STATES TREAS NTS 1.625% DUE 11-30-2020 REG
8,000,000

 
7,965,313

 
7,952,496

UNITED STATES TREAS NTS DTD 00392 1.375%DUE 02-28-2019 REG
845,000

 
845,551

 
844,439

UNITED STATES TREAS NTS DTD 00424 1% DUE09-30-2019 REG
665,000

 
653,363

 
651,024

UNITED STATES TREAS NTS DTD 00438 1.125%DUE 12-31-2019 REG
1,080,000

 
1,064,470

 
1,059,497

UNITED STATES TREAS NTS DTD 02/15/2015 2% DUE 02-15-2025 REG
690,000

 
687,089

 
674,502

UNITED STATES TREAS NTS DTD 04/30/2015 FLTG RATE .3141457% DUE 04-30-2017 REG
1,130,000

 
1,130,078

 
1,129,004

UNITED STATES TREAS NTS DTD 05/31/2014 .375% DUE 05-31-2016 REG
5,500,000

 
5,504,824

 
5,497,850

UNITED STATES TREAS NTS DTD 05/31/2014 1.5% DUE 05-31-2019 REG
1,600,000

 
1,586,625

 
1,601,501

UNITED STATES TREAS NTS DTD 06/30/2015 1.625% DUE 06-30-2020 REG
3,825,000

 
3,864,628

 
3,809,310

UNITED STATES TREAS NTS DTD 07/31/2014 1.625% DUE 07-31-2019 REG
1,495,000

 
1,502,801

 
1,500,198

UNITED STATES TREAS NTS DTD 07/31/2015 FLTG RATE .3171457% DUE 07-31-2017 REG
4,860,000

 
4,852,127

 
4,852,146

UNITED STATES TREAS NTS DTD 08/15/2014 .875% DUE 08-15-2017 REG
13,320,000

 
13,295,828

 
13,290,336

UNITED STATES TREAS NTS DTD 08/31/2014 1.625% DUE 08-31-2019 REG
4,220,000

 
4,231,733

 
4,232,035

UNITED STATES TREAS NTS DTD 09/30/2014 1.75% DUE 09-30-2019 REG
9,580,000

 
9,696,339

 
9,644,742

UNITED STATES TREAS NTS DTD 10/15/2013 .625% DUE 10-15-2016 REG
3,800,000

 
3,808,859

 
3,796,436

UNITED STATES TREAS NTS DTD 11/30/2014 1.5% DUE 11-30-2019 REG
11,260,000

 
11,263,909

 
11,215,140

UNITED STATES TREAS NTS DTD 12/31/2011 .875% DUE 12-31-2016 REG
2,950,000

 
2,953,111

 
2,951,844

UNITED STATES TREAS NTS DTD 12/31/2014 1.625% DUE 12-31-2019 REG
11,775,000

 
11,827,490

 
11,775,459

UNITED STATES TREAS NTS NT 3.625% DUE 08-15-2019 REG
2,230,000

 
2,433,769

 
2,394,289

UNITEDHEALTH GROUP 2.7% DUE 07-15-2020
900,000

 
899,460

 
909,429

UNITEDHEALTH GROUP 2.875% DUE 12-15-2021
400,000

 
399,568

 
405,548


 


 

52

Table of Contents

5500 Supplemental Schedules
 
Account Number 7870
 
 
Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Held at End of Year)
 
 
31-Dec-15
 
 

Security Description / Asset ID
Share/Par Value
 
Historical Cost
 
Current Value
UNITEDHEALTH GROUP INC 2.875 DUE 03-15-2022 REG
300,000

 
301,251

 
299,615

US TREAS BDS USD1000 7.25 DUE 05-15-2016REG
770,000

 
796,085

 
788,649

US TREAS NTS .875 DUE 01-31-2017 REG
3,280,000

 
3,282,197

 
3,280,256

US TREAS NTS DTD 1.625 DUE 03-31-2019 REG
520,000

 
524,139

 
523,250

US TREAS NTS INDEX LINKED 1.625 DUE 01-15-2018 REG
5,130,000

 
6,030,321

 
6,006,319

UTD STATES TREAS .625% DUE 11-15-2016
1,845,000

 
1,842,694

 
1,842,550

UTD STATES TREAS .625% DUE 12-31-2016
4,500,000

 
4,517,754

 
4,492,440

UTD STATES TREAS .75% DUE 03-15-2017
905,000

 
903,657

 
903,692

UTD STATES TREAS 1.375% DUE 09-30-2020
4,000,000

 
3,961,955

 
3,930,936

UTD STATES TREAS 1.50 DUE 06-30-2016
1,645,000

 
1,652,968

 
1,652,582

UTD STATES TREAS 1.625% DUE 04-30-2019
715,000

 
720,370

 
719,161

UTD STATES TREAS 1.625% DUE 06-30-2019
1,725,000

 
1,742,672

 
1,732,749

UTD STATES TREAS 1.75% DUE 09-30-2022
200,000

 
197,096

 
196,031

UTD STATES TREAS 2.125% DUE 05-15-2025
4,060,000

 
4,028,387

 
4,007,029

UTD STATES TREAS 2.125% DUE 06-30-2022
2,395,000

 
2,417,827

 
2,407,349

VERIZON COMMUNICATIONS 4.522% 09-15-2048
1,200,000

 
925,029

 
1,073,156

VERIZON COMMUNICATIONS 5.15 BDS DUE 09-15-2023 USD2000 REG
2,100,000

 
2,093,196

 
2,308,585

VERIZON COMMUNICATIONS 5.15 BDS DUE 09-15-2023 USD2000 REG
275,000

 
294,249

 
302,315

VERIZON COMMUNICATIONS 6.4 NTS DUE 09-15-2033 USD REG
74,000

 
73,926

 
84,307

VISA INC 2.8% DUE 12-14-2022
815,000

 
813,867

 
818,368

VODAFONE GROUP PLC NEW 2.95 DUE 02-19-2023
495,000

 
492,708

 
463,859

WALGREENS BOOTS 3.3% DUE 11-18-2021
500,000

 
498,635

 
490,363

WALGREENS BOOTS FIXED 3.8% DUE 11-18-2024
545,000

 
534,653

 
528,742

WASTE MGMT INC DEL 4.75% DUE 06-30-2020
275,000

 
279,573

 
298,069

WASTE MGMT INC DEL 6.1% DUE 03-15-2018
190,000

 
217,126

 
207,104

WELLPOINT INC 2.3% DUE 07-15-2018
410,000

 
416,229

 
409,227

WELLS FARGO & CO NEW MEDIUM TERM SR NTS 3 DUE 01-22-2021
665,000

 
663,876

 
672,287

WELLS FARGO & CO NEW MEDIUM TERM SR NTS TRANCHE # TR 00155 4.3% DUE 07-22-2027
445,000

 
443,309

 
454,583

WELLS FARGO & CO TRANCHE # SR 00129 3.45DUE 02-13-2023
600,000

 
593,100

 
601,414

WELLS FARGO & COMPANY 2.125 04-22-2019
220,000

 
219,534

 
220,266

WFRBS COML MTG TR 3.337% DUE 06-15-2046
910,000

 
937,269

 
918,587

WILLIAMS PARTNERS 3.35 DUE 08-15-2022
355,000

 
354,911

 
269,466

WILLIAMS PARTNERS 4% DUE 11-15-2021
220,000

 
232,789

 
183,497

WILLIAMS PARTNERS 7.25% DUE 02-01-2017
30,000

 
34,763

 
30,592

XEROX CORP 5.625% DUE 12-15-2019
525,000

 
593,817

 
558,489

XEROX CORPORATION 4.5 DUE 05-15-2021
50,000

 
52,672

 
50,464

ZIMMER BIOMET 3.55% DUE 04-01-2025
305,000

 
304,283

 
296,375

Grand Total
452,573,397

 
545,721,943

 
559,924,666





 

 



53

Table of Contents

MONSANTO SAVINGS AND INVESTMENT PLAN
Schedule of Assets (Held at Year End)
As of Dec. 31, 2015
(Dollars in thousands)
 
 
Cost
 
Current Value
Identity of issuer, borrower, lessor or similar party
 
 
 
Total Assets Held per page 40 of attached detail
$
2,553,501

 
$
3,156,614

Reconciling Items:
 
 
 
Participant loans receivable
(33,194
)
 
(33,194
)
Total investments per financial statements
$
2,520,307

 
$
3,123,420


 
 
Cost
 
Current Value
Identity of issuer, borrower, lessor or similar party
 
 
 
Total Investment Contract Assets per page 53 of attached detail
$
545,722

 
$
559,925

Reconciling Items:
 
 
 
Accrued interest income which is included in the $134,483, 239,444, and 177,941 on page 25 of the attached detail
1,913

 
1,913

Adjustment from fair value to contract value for fully benefit-responsive investment contracts

 
(9,970
)
Total investments at contract value per financial statements
$
547,635

 
$
551,868


54

Table of Contents

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 Jan. 1, 2015 through Dec. 31, 2015



55

Table of Contents

5500 Supplemental Schedules
 
Account number 7879
 
 
Account name MONSANTO CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
 
 
January 1, 2015 - December 31, 2015
 
 

Security Description / Asset ID
Acquired Share/Par Value
Cost of Acquisition Net Amount
Disposed Share/Par Value
Proceeds of Dispositions Net Amount
# REORG/CHEUNG MANDATORY EXCHANGE HUTCHISON HOLDINGS LTD 4A5TA5U 18/03/2015
20,000

(367,430
)


#REORG/CATAMARAN CASH MERGER 07/24/15
9,200

(447,088
)
(9,200
)
545,451

ADR ALIBABA GROUP HLDG LTD-SP A
14,891

(1,279,529
)
(29,199
)
1,998,924

ADR ARM HLDGS PLC SPONSORED ADR
1,514

(67,345
)
(1,875
)
97,751

ADR ASML HLDG NV NY REG 2012 (POST REV SPLIT)
7,500

(660,816
)
(6,200
)
659,321

ADR BAIDU INC SPONSORED ADR
3,040

(616,551
)
(7,699
)
1,319,536

ADR EMBRAER S A SPONSORED ADR REPSTG 4 COM SHS
4,300

(127,582
)
(8,643
)
275,597

ADR FOMENTO ECONOMICO MEXICANO SAB DE CV
2,060

(187,893
)
(1,140
)
114,552

ADR GLAXOSMITHKLINE PLC SPONSORED ADR
5,300

(227,371
)
(46,700
)
1,994,761

ADR HONDA MTR LTD ADR REPRESENTING 2 ORDSHS
13,400

(403,429
)
(3,900
)
137,681

ADR ICICI BK LTD
45,822

(432,216
)
(57,380
)
565,099

ADR INDUSTRIA DE DISENO TEXTIL INDITEX SA ADR ADR
7,258

(133,906
)
(5,081
)
78,914

ADR JD COM INC SPONSORED ADR REPSTG COM CL A
8,141

(273,670
)
(8,141
)
208,448

ADR TENCENT HLDGS LTD ADR
201,554

(3,759,853
)
(270
)
4,937

ADR VIPSHOP HLDGS LTD SPONSORED ADR
5,200

(118,139
)
(32,000
)
611,752

ADR VODAFONE GROUP PLC NEW SPONSORED ADRNO PAR
3,900

(129,981
)
(8,800
)
319,021

AGGREKO ORD GBP0.048329113924
3,584

(80,943
)
(23,000
)
369,944

BBVA(BILB-VIZ-ARG) EUR0.49 (STK DIV 14/04/15)


(77,059
)

BG GROUP ORD GBP0.10
28,510

(374,659
)
(12,110
)
204,550

BNP PARIBAS EUR2
3,200

(191,016
)
(13,561
)
851,137

CANADIAN PAC RY LTD COM NPV
8,880

(1,347,674
)
(16,086
)
2,766,776

CHASE ISSUANCE TR .79% DUE 06-15-2017
230,000

(230,288
)
(230,000
)
230,135

CREDIT SUISSE GP CHF0.04 (S/R 03/12/15)


(91,667
)
1

FANUC CORP NPV
900

(151,436
)
(400
)
83,844

HON HAI PRECISION GDR(REP 2 SHS TWD10)REG'S
5,293


(1
)

INDUSTRIAL & COMMERCIAL BANK CHINA 'H'
383,000

(337,940
)
(265,000
)
159,312

JAPAN TOBACCO INC NPV
16,500

(465,046
)
(3,300
)
116,523

KDDI CORP NPV


(3,200
)
74,884

KONNINKLIJKE PHILIPS N.V
11,800

(345,262
)
(45,000
)
1,205,730

LONMIN ORD USD0.000001


(2,099
)
4,472

NIDEC CORPORATION NPV
10,800

(704,405
)
(1,600
)
121,675

NITTO DENKO CORP NPV
2,600

(157,104
)
(5,700
)
435,973

NXP SEMICONDUCTORS N V COM STK
16,740

(1,510,730
)
(38
)
3,629

PING AN INSURANCE GROUP 'H' CNY1
115,500

(391,612
)
(23,000
)
336,502

PVTPL GE CAP INTL FDG CO MEDIUM TERM NTSBOOK TR 00126 2.342 11-15-20 BEO


(1,338
)
1,338

PVTPL RIO OIL FIN TR SER 2014-1 144A 6.25 DUE 07-06-2024 BEO
125,000

(115,000
)
(250,000
)
249,063

PVTPL VERIZON COMMUNICATIONS INC 4.272% DUE 01-15-2036


(777
)
777

ROCHE HLDGS AG GENUSSCHEINE NPV
575

(157,366
)
(230
)
62,050

SANOFI SPONSORED ADR
12,000

(527,133
)
(8,100
)
421,173

SHIRE PLC ADR
13,072

(2,976,746
)
(9,691
)
2,005,157

SHOPIFY INC SHOPIFY INC
18

(306
)
(18
)
479

STANDARD CHART PLC ORD USD0.50 (NPD)


(32,545
)

SUNCOR ENERGY INC COM NPV 'NEW'
5,600

(155,120
)
(7,860
)
205,501

TECHNIP NPV
6,400

(368,483
)
(9,040
)
531,665

 


56

Table of Contents

5500 Supplemental Schedules
 
Account number 7879
 
 
Account name MONSANTO CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
 
 
January 1, 2015 - December 31, 2015
 
 

Security Description / Asset ID
Acquired Share/Par Value
Cost of Acquisition Net Amount
Disposed Share/Par Value
Proceeds of Dispositions Net Amount
TELEFONICA SA EUR1 (S/RIGHT 02/12/2015)


(89,319
)
32,259

TELEFONICA SA EUR1 (SUB RIGHT 12/04/2015)


(84,065
)

TOYOTA MOTOR CORP NPV
4,000

(272,796
)
(1,700
)
113,752

VALEANT PHARMACEUTICALS INTERNATIONAL INC COMMON STOCK
4,400

(693,947
)
(5,400
)
1,078,338

WEG SA COM NPV


(33,367
)
142,843

WPP PLC ORD GBP0.10
12,150

(269,160
)
(12,290
)
287,579

Grand Total
1,373,602

(21,056,969
)
(1,584,789
)
21,028,810



57

Table of Contents

5500 Supplemental Schedules
 
Account number 7870
Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
 
 
January 1, 2015 - December 31, 2015
 
 

Security Description / Asset ID
Acquired Share/Par Value
Cost of Acquisition Net Amount
Disposed Share/Par Value
Proceeds of Dispositions Net Amount
ABBVIE INC 4.4% DUE 11-06-2042
210,000

(224,561
)
(210,000
)
189,634

ABBVIE INC FIXED 4.5% DUE 05-14-2035
650,000

(645,509
)
(50,000
)
49,147

ACTAVIS FDG SCS 3% DUE 03-12-2020
740,000

(739,963
)
(740,000
)
747,281

ACTAVIS FUNDING SCS FIXED 3.8% DUE 03-15-2025
620,000

(617,799
)
(245,000
)
249,606

AMERICAN EXPRESS CR A/C MASTER TR2014-4 CL A 1.43% DUE 06-15-2020
1,850,000

(1,857,732
)
(1,850,000
)
1,859,105

AT&T INC 3.875% DUE 08-15-2021
300,000

(314,871
)
(300,000
)
309,081

BANK AMER CORP 4% DUE 01-22-2025
280,000

(278,312
)
(240,000
)
240,181

BARCLAYS PLC 4.375% DUE 09-11-2024
525,000

(514,631
)
(200,000
)
195,350

BECTON DICKINSON & 3.734% DUE 12-15-2024
115,000

(120,589
)
(115,000
)
121,418

BIOGEN INC 3.625% DUE 09-15-2022
345,000

(344,724
)
(175,000
)
177,482

CELGENE CORP 3.55% DUE 08-15-2022
660,000

(658,211
)
(255,000
)
258,689

CHASESERIES 2012-8 NT CL A .54 DUE 10-16-2017
715,000

(715,084
)
(2,635,000
)
2,635,094

CITIGROUP COML MTG 3.192% DUE 04-10-2048
660,000

(679,768
)
(660,000
)
651,441

COMCAST CORP NEW 4.4% DUE 08-15-2035
315,000

(314,808
)
(315,000
)
323,269

CVS HEALTH CORP 3.5% DUE 07-20-2022
65,000

(64,972
)
(65,000
)
67,950

EXELON CORP 3.95% DUE 06-15-2025
350,000

(349,283
)


FHLB DISC NT 07-17-2015 0% DISC NTS 17/07/2015 USD
7,650,000

(7,649,762
)
(7,650,000
)
7,650,000

FID NATL 3.625% DUE 10-15-2020
485,000

(484,365
)
(485,000
)
491,735

GENERAL ELEC CO 4.5% DUE 03-11-2044
235,000

(274,414
)
(235,000
)
245,032

GIC METLIFE CONTRACT # METLIFE SA 698 RATE 00.0000% MAT 00/00/0000
3,773

(391,477
)
(83,275
)
8,641,477

GILEAD SCIENCES 3.25% DUE 09-01-2022
320,000

(319,549
)
(55,000
)
55,542

HOME DEPOT INC 2.625% DUE 06-01-2022
295,000

(293,914
)
(295,000
)
299,148

ILLINOIS ST 4.961% 03-01-2016 BEO TAXABLE
300,000

(311,148
)
(300,000
)
303,690

ILLINOIS ST 5.365% 03-01-2017 BEO TAXABLE
175,000

(187,229
)
(1,725,000
)
1,826,143

INTEL CORP 3.1% DUE 07-29-2022
455,000

(454,834
)
(455,000
)
470,315

LOWES COS INC 3.375% DUE 09-15-2025
150,000

(149,132
)
(150,000
)
153,846

MEDTRONIC INC 3.15% DUE 03-15-2022


(700,000
)
721,724

MERCK & CO INC 2.35% DUE 02-10-2022 REG
585,000

(584,210
)
(585,000
)
587,007

MICROSOFT CORP 4.2% DUE 11-03-2035
530,000

(528,505
)
(530,000
)
530,671

MORGAN STANLEY 4.3% DUE 01-27-2045
265,000

(263,013
)
(265,000
)
254,795

PETROBRAS INTL FIN 5.75% DUE 01-20-2020
305,000

(310,368
)
(305,000
)
280,295

PVTPL GE CAP INTL FDG CO MEDIUM TERM NTSBOOK TR 00126 2.342 11-15-20 BEO


(1,316
)
1,316

PVTPL HEWLETT PACKARD ENTERPRISE CO 144A3.6% DUE 10-15-2020/10-09-2015 BEO
1,345,000

(1,344,623
)
(345,000
)
346,977

PVTPL REYNOLDS AMERN INC SR NT 3.75% DUE 05-20-2023




PVTPL SIEMENS FINANCIERINGSMAATSCHAPPIJ N V NT 2.9% DUE 05-27-2022 BEO
1,050,000

(1,050,000
)
(250,000
)
251,485

PVTPL VERIZON COMMUNICATIONS INC 4.522% DUE 09-15-2048


(59
)
59

REPUBLICA ORIENT URUGUAY 4.5% 08-14-2024
290,000

(311,963
)
(180,000
)
190,800

SHELL INTL FIN B V 4.125% DUE 05-11-2035
1,465,000

(1,452,782
)
(545,000
)
536,349

SIMON PPTY GROUP L P 3.5% DUE 09-01-2025
625,000

(620,963
)
(325,000
)
329,014

TECK RESOURCES LTD 4.75% DUE 01-15-2022
375,000

(307,031
)
(375,000
)
315,000

UNITED STATES OF AMER TREAS NOTES 0.125% INFL IDX 04-15-2020
6,030,000

(6,085,075
)
(6,030,000
)
6,152,898

UNITEDHEALTH GROUP 3.35% DUE 07-15-2022
210,000

(209,742
)
(210,000
)
218,466


58

Table of Contents

5500 Supplemental Schedules
 
Account number 7870
Account name MONSANTO WRAPPED CONSOLIDATED
Schedule of Assets (Acquired and Disposed of Within Year)
 
 
January 1, 2015 - December 31, 2015
 
 

Security Description / Asset ID
Acquired Share/Par Value
Cost of Acquisition Net Amount
Disposed Share/Par Value
Proceeds of Dispositions Net Amount
US TREAS NTS INDEX LINKED 1.625 DUE 01-15-2018 REG
5,160,000

(6,065,586
)
(30,000
)
35,252

US TSY INFL IX TREAS BD 0.625 01-15-2024
2,415,000

(2,513,326
)
(2,415,000
)
2,499,476

VERIZON 2.625% DUE 02-21-2020


(509,000
)
507,122

ZOETIS INC 3.45% DUE 11-13-2020
200,000

(199,736
)
(200,000
)
200,746

Grand Total
39,318,773

(40,803,562
)
(33,288,649
)
42,171,106


 








59

Table of Contents


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/ Jayme L. Collins
 
 
Jayme L. Collins, Chairperson of the
 
 
Monsanto Company Employee Benefits Plans Committee, Administrator of the Plan
June 8, 2016

60

Table of Contents

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



61