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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, 2010
OR
     
o   TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
Commission file number 000-12477
THE RETIREMENT AND SAVINGS PLAN FOR
AMGEN MANUFACTURING, LIMITED
State Road 31, Kilometer 24.6, Juncos, Puerto Rico 00777
(Full title and address of the plan)
AMGEN INC.
(Name of issuer of the securities held)
 
     
One Amgen Center Drive,   91320-1799
Thousand Oaks, California   (Zip Code)
(Address of principal executive offices)    
 
 

 


 

The Retirement and Savings Plan for
Amgen Manufacturing, Limited
Audited Financial Statements
and Supplemental Schedules
Years Ended December 31, 2010 and 2009
Contents
 
         
    1  
 
       
Audited Financial Statements:
       
 
       
    2  
    3  
    4  
 
       
Supplemental Schedules:
       
 
       
    17  
    32  
 
       
    33  
    34  

 


Table of Contents

Report of Independent Registered Public Accounting Firm
Amgen Manufacturing, Limited, as Named Fiduciary, and the Plan Participants
     of The Retirement and Savings Plan for Amgen Manufacturing, Limited
We have audited the accompanying statements of net assets available for benefits of The Retirement and Savings Plan for Amgen Manufacturing, Limited (the Plan) as of December 31, 2010 and 2009, and the related statements of changes in net assets available for benefits for the years then ended. 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 the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. We were not engaged to perform an audit of the Plan’s 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, and evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.
In our opinion, the financial statements referred to above present fairly, in all material respects, the net assets available for benefits of the Plan at December 31, 2010 and 2009, and the changes in its net assets available for benefits for the years then ended, in conformity with U.S. generally accepted accounting principles.
Our audits were performed for the purpose of forming an opinion on the financial statements taken as a whole. The accompanying supplemental schedules of assets (held at end of year) as of December 31, 2010 and assets (acquired and disposed of within year) for the year then ended are presented for purposes of additional analysis and are not a required part of the financial statements but are supplementary information required by the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. These supplemental schedules are the responsibility of the Plan’s management. The supplemental schedules have been subjected to the auditing procedures applied in our audits of the financial statements and, in our opinion, are fairly stated in all material respects in relation to the financial statements taken as a whole.
/s/ ERNST & YOUNG LLP     
San Juan, Puerto Rico
June 23, 2011

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The Retirement and Savings Plan for Amgen Manufacturing, Limited
Statements of Net Assets Available for Benefits
 
                 
    December 31  
    2010     2009  
Assets
               
Investments at fair value
  $ 139,999,897     $ 110,477,580  
Notes receivable from participants
    12,248,971       9,963,985  
Other - principally due from broker
    158,686       263,753  
 
           
Total assets
    152,407,554       120,705,318  
 
               
Liabilities
               
Other - principally due to broker
    150,506       215,831  
 
           
Net assets reflecting investments at fair value
    152,257,048       120,489,487  
 
               
Adjustment from fair value to contract value for interest in collective trust fund relating to fully benefit-responsive investment contracts
    (266,989 )     (16,333 )
 
           
 
               
Net assets available for benefits
  $ 151,990,059     $ 120,473,154  
 
           
See accompanying notes.

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The Retirement and Savings Plan for Amgen Manufacturing, Limited
Statements of Changes in Net Assets Available for Benefits
 
                 
    Year Ended December 31  
    2010     2009  
Additions to (deductions from) net assets:
               
Employer contributions
  $ 11,138,501     $ 11,327,502  
Participant contributions
    7,616,456       7,637,569  
Rollover contributions
    65,636       68,710  
Interest and dividend income
    873,815       893,092  
Net realized/unrealized gains
    14,062,319       17,188,943  
Interest income on notes receivable from participants
    576,795       601,961  
Benefits paid
    (2,816,617 )     (2,980,500 )
 
           
 
               
Net increase
    31,516,905       34,737,277  
 
               
Net assets available for benefits at beginning of year
    120,473,154       85,735,877  
 
           
Net assets available for benefits at end of year
  $ 151,990,059     $ 120,473,154  
 
           
See accompanying notes.

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The Retirement and Savings Plan for Amgen Manufacturing, Limited
Notes to Financial Statements
December 31, 2010
1.  Description of the Plan
     The following description of The Retirement and Savings Plan for Amgen Manufacturing, Limited (the Plan) provides only general information. Participants should refer to the Plan document for a more complete description of the Plan’s provisions.
General
     The Plan was established effective January 1, 2002, most recently amended and restated effective January 1, 2006 and subsequently amended, with the most recent amendment adopted on December 4, 2009. The Plan is a defined contribution plan covering substantially all Puerto Rico resident employees of Amgen Manufacturing, Limited (the Company), a wholly owned subsidiary of Amgen Inc. (Amgen). The Plan, as amended, is intended to qualify under sections 1165(a) and (e) of the Puerto Rico Internal Revenue Code of 1994, as amended (the PR Code) (see Note 5, Income Tax Status) and section 407(d)(3)(A) of the Employee Retirement Income Security Act of 1974 (ERISA).
Contributions
     Subject to certain limitations (as defined in the Plan), participants may elect to contribute up to 30% of their eligible compensation in pre-tax contributions and after-tax contributions or a combination of these types of contributions. A participant’s pre-tax contributions are subject to PR Code and Plan limitations and could not exceed $9,000 in 2010 and 2009. Participants may elect to contribute after-tax contributions beginning January 1 of the year following the year the participant was hired. Participant after-tax contributions are subject to PR Code and Plan limitations and could not exceed $1,500 in 2010 and 2009. Unless an employee has voluntarily enrolled in the Plan or has declined to participate in the Plan within the first 30 days of employment, all newly eligible participants are automatically enrolled in the Plan and contributions equal to 5% of their eligible compensation are withheld and contributed to the Plan as pre-tax contributions; such contributions are automatically increased by 1% per year until their contributions reach 10% of their eligible compensation. Participants may elect to adjust, cease or resume their contributions at any time.
     Participants who are at least age 50 by the close of the Plan year may also elect to make certain additional pre-tax contributions, referred to as catch-up contributions, that are subject to PR Code and Plan limitations and could not exceed $1,000 in 2010 and 2009. Participants may also contribute pre-tax and after-tax amounts representing certain distributions from defined benefit or other defined contribution plans qualified in Puerto Rico, referred to as rollover contributions (as defined in the Plan).

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The Retirement and Savings Plan for Amgen Manufacturing, Limited
Notes to Financial Statements (continued)
1.  Description of the Plan (continued)
Contributions (continued)
     Each pay period, the Company makes a non-elective contribution for all eligible participants, whether or not they have elected to make contributions to the Plan, equal to 4% of each participant’s eligible compensation (Core Contribution). In addition, the Company makes a contribution equal to amounts contributed by the participant as pre-tax contributions and, if applicable, as catch-up contributions up to 5% of eligible compensation (Matching Contribution).
     Participants select the investments in which their contributions, including their Core Contributions and Matching Contributions (collectively Company Contributions), are to be invested, electing among various alternatives, including Amgen Inc. common stock (Amgen stock). Participants may direct a maximum of 20% of contributions to be invested in Amgen stock. In addition, participants may transfer amounts among the investment options at any time, subject to certain limitations. Notwithstanding the foregoing, if 20% or more of the value of a participant’s Plan account is invested in Amgen stock, no transfers from other investment options can be made to invest in Amgen stock.
     The accounts of participants who had never made an investment election are allocated to investments under a qualified default investment alternative which is intended to be compliant with ERISA regulations. At any time, participants may elect to alter the investments in their accounts made under a qualified default investment alternative.
Vesting
     Participants who are or became eligible employees on or after January 1, 2007 are 100% vested with respect to all of their individual contributions, Company Contributions, and earnings and losses (hereafter referred to as “earnings”) thereon. Participants who are not and do not become eligible employees on or after January 1, 2007 are subject to certain vesting conditions (as defined in the Plan) with regard to Company contributions and related earnings thereon.
Participant Accounts
     Each participant’s account is credited with the participant’s contributions and an allocation of (a) Company Contributions and (b) earnings. The benefit to which a participant is entitled is the benefit that can be provided from the vested portion of the participant’s account.

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The Retirement and Savings Plan for Amgen Manufacturing, Limited
Notes to Financial Statements (continued)
1.  Description of the Plan (continued)
Plan Investments
     Participants can invest in any of 14 different asset classes as well as Amgen stock or may actively manage their account under a self-directed brokerage arrangement in which a wider array of investment options are available. Each asset class has investments in one or more underlying investment vehicles, including mutual funds, collective trust funds and portfolios which are separately managed exclusively for the benefit of Plan participants and their beneficiaries (separately managed portfolios). The separately managed portfolios are primarily composed of investments in publicly traded common and preferred stocks of domestic and foreign entities.
Payments of Benefits
     Upon termination of employment, including termination due to disability (as defined in the Plan), death or retirement, a participant or the participant’s named beneficiary may elect to receive an amount equal to the value of his or her vested account balance in (a) a single payment in cash, (b) a single distribution in full shares of Amgen stock (with any fractional shares paid in cash), (c) a single distribution paid in a combination of cash and full shares of Amgen stock, or (d) a rollover distribution to an eligible retirement plan (as defined in the Plan). If a participant dies before receiving the value of his or her vested account balance, the participant’s beneficiary may elect to receive the distribution of remaining funds from among the alternatives described above.
     Subsequent to termination of employment, participants may also elect to maintain their vested account balance in the Plan, provided that their account balance is greater than $1,000.
     Certain restrictions apply to withdrawals from the Plan while a participant continues to be employed by the Company.
Notes Receivable from Participants
     Subject to certain restrictions, a participant can have outstanding up to two loans at any one time from his or her Plan account up to a combined maximum amount (as defined in the Plan) equal to the lesser of (a) 50% of their vested account balance or (b) $50,000 less certain adjustments, as applicable (as defined in the Plan). A participant’s loan is secured by his or her Plan account balance. Loans made prior to January 1, 2006 bear interest at fixed rates based on the average borrowing rates of certain major banks. Loans made on or after January 1, 2006

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The Retirement and Savings Plan for Amgen Manufacturing, Limited
Notes to Financial Statements (continued)
1.  Description of the Plan (continued)
Notes Receivable from Participants (continued)
bear interest at fixed rates based on the prime rate plus one percentage point as published in The Wall Street Journal determined as of the last day of the calendar quarter preceding origination or such other rate as may be required by law. Loans are generally payable in installments over periods ranging from one to five years, unless the loan is used to acquire a principal residence for which the term of the loan may be up to 20 years. Principal and interest payments are allocated to the participant’s account.
Plan Termination
     Although it has not expressed any intent to do so, the Company has the right under the Plan to terminate the Plan subject to the provisions of ERISA. Upon termination, participants would receive distributions of their vested account balances.
Trustee
     Banco Popular de Puerto Rico is the Plan’s trustee.
2.  Summary of Significant Accounting Policies
Basis of Accounting
     The accompanying financial statements are prepared on the accrual basis of accounting.
Fair Value Measurement
     The investments of the Plan are reported at fair value. Fair value is generally defined as the price that would be received to sell an asset or paid to transfer a liability (the exit price) in an orderly transaction between market participants at the measurement date (see Note 3, Fair Value Measurements).

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The Retirement and Savings Plan for Amgen Manufacturing, Limited
Notes to Financial Statements (continued)
2.  Summary of Significant Accounting Policies (continued)
Investment Income and Losses
     Dividend income is recognized on the ex-dividend date and interest income is recorded on an accrual basis. Unrealized gains and losses on investments are measured by the change in the difference between the fair value and cost of the securities held at the beginning of the year (or date purchased if acquired during the Plan year) and the end of the year. Realized gains and losses from security transactions are recorded based on the weighted-average cost of securities sold.
Fully Benefit-Responsive Investment Contracts
     The Plan holds units of collective trust funds that have investments in fully benefit-responsive investment contracts. Such contracts held directly or indirectly by a defined contribution plan are required to be reported at fair value. However, contract value is the relevant measurement attribute for that portion of the net assets available for benefits of a defined contribution plan attributable to fully benefit-responsive investment contracts because contract value is the amount participants would receive if they were to initiate qualified transactions related to these investments. The Statements of Net Assets Available for Benefits present these contracts at fair value with an adjustment to contract value. The Statements of Changes in Net Assets Available for Benefits are prepared on a contract value basis.
Due from/to Brokers
     Purchases and sales of investments are recorded on a trade-date basis. Due from brokers and due to brokers arise from unsettled sale and purchase transactions as of December 31, 2010 and 2009.
Change in Method of Accounting for Notes Receivable from Participants
     Effective for the year ended December 31, 2010, the Plan adopted a new accounting standard that requires notes receivable from participants to be segregated from Plan investments and measured at their unpaid balance plus any accrued but unpaid interest. As required by this new standard, it has been retrospectively applied to the prior year. The adoption of this new accounting standard did not have any impact on the Plan’s net assets available for benefits.

8


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The Retirement and Savings Plan for Amgen Manufacturing, Limited
Notes to Financial Statements (continued)
2.  Summary of Significant Accounting Policies (continued)
Use of Estimates
     The preparation of financial statements in conformity with U.S. generally accepted accounting principles requires management to make estimates and assumptions that affect the amounts reported in the financial statements and accompanying notes. Actual results could differ from those estimates.
Recent Accounting Pronouncements
     Beginning January 1, 2010, the Plan adopted a new accounting standard which requires additional disclosure about the amounts of and reasons for significant transfers between levels of the fair value hierarchy. This standard also clarifies existing disclosure requirements related to the level of disaggregation of fair value measurements for each class of assets and liabilities and disclosures about inputs and valuation techniques used to measure fair value for Level 2 and Level 3 measurements. As this new accounting standard only requires enhanced disclosure, its adoption did not impact the Plan’s net assets available for benefits or changes to net assets available for benefits.
     In May 2011, a new accounting standard was issued that amends certain fair value measurement principles, clarifies the application of existing fair value measurement requirements and requires additional disclosures regarding fair value. This new standard is required to be applied prospectively beginning in 2012. The Company is currently evaluating the effect this new accounting standard will have on the Plan’s financial statements.
3.  Fair Value Measurements
     The Plan uses various valuation approaches in determining the fair value of investments within a hierarchy that maximizes the use of observable inputs and minimizes the use of unobservable inputs by requiring that observable inputs be used when available. Observable inputs are inputs that market participants would use in pricing the investment based on market data obtained from independent sources. Unobservable inputs are inputs that reflect assumptions about the inputs that market participants would use in pricing the investment and are developed based on the best information available in the circumstances. The fair value hierarchy is broken down into three levels based on the source of inputs as follows:
Level 1 – Valuations based on unadjusted quoted prices in active markets for identical investments that the Plan has the ability to access;

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The Retirement and Savings Plan for Amgen Manufacturing, Limited
Notes to Financial Statements (continued)
3.  Fair Value Measurements (continued)
Level 2 – Valuations for which all significant inputs are observable, either directly or indirectly, other than level 1 inputs;
Level 3 – Valuations based on inputs that are unobservable and significant to the overall fair value measurement.
     The availability of observable inputs can vary among the various types of investments. To the extent that the valuation is based on models or inputs that are less observable or unobservable in the market, the determination of fair value requires more judgment. In certain cases, the inputs used to measure fair value may fall into different levels of the fair value hierarchy. In such cases, for financial statement disclosure purposes, the level in the fair value hierarchy within which the fair value measurement is categorized is based on the lowest level input that is significant to the overall fair value measurement.

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The Retirement and Savings Plan for Amgen Manufacturing, Limited
Notes to Financial Statements (continued)
3.  Fair Value Measurements (continued)
     The following fair value hierarchy table presents information about each major class/category of the Plan’s investments measured at fair value:
                                 
    Fair value measurements at December 31, 2010 using
    Quoted prices                      
    in active     Significant                
    markets for     other     Significant        
    identical     observable     unobservable        
    assets     inputs     inputs        
    (Level 1)     (Level 2)     (Level 3)     Total  
                 
Amgen stock
    $ 24,251,842     $ -     $ -     $ 24,251,842  
Cash and cash equivalents
    44,099       -       -       44,099  
Common and preferred stocks:
                               
International growth
    4,992,695       -       -       4,992,695  
Large cap growth
    15,382,092       -       -       15,382,092  
Large cap value
    3,239,826       -       -       3,239,826  
Small-mid cap growth
    1,403,088       -       -       1,403,088  
Small-mid cap value
    12,262,396       -       -       12,262,396  
Other
    299,735       -       -       299,735  
Mutual funds:
                               
High yield debt
    2,473,085       -       -       2,473,085  
Inflation indexed debt
    548,925       -       -       548,925  
International value
    6,552,760       -       -       6,552,760  
Real estate investment trust index
    3,267,250       -       -       3,267,250  
Collective trust funds:
                               
Capital preservation
    -       12,402,835       -       12,402,835  
Emerging markets equity
    -       5,429,356       -       5,429,356  
Fixed income
    -       7,186,707       -       7,186,707  
Inflation indexed debt
    -       51,259       -       51,259  
International
    -       1,191,104       -       1,191,104  
Large cap growth
    -       1,217,724       -       1,217,724  
Large cap index
    -       28,271,425       -       28,271,425  
Large cap value
    -       281,671       -       281,671  
Small-mid cap growth
    -       93,814       -       93,814  
Small-mid cap index
    -       5,366,964       -       5,366,964  
Small-mid cap value
    -       1,383,843       -       1,383,843  
Short term investments
    -       2,405,402       -       2,405,402  
                 
 
    $ 74,717,793     $ 65,282,104     $ -     $ 139,999,897  
                 

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The Retirement and Savings Plan for Amgen Manufacturing, Limited
Notes to Financial Statements (continued)
3.  Fair Value Measurements (continued)
                                 
    Fair value measurements at December 31, 2009 using  
    Quoted prices                    
    in active     Significant              
    markets for     other     Significant        
    identical     observable     unobservable        
    assets     inputs     inputs        
    (Level 1)     (Level 2)     (Level 3)     Total  
                 
Amgen stock
    $ 24,454,206     $ -     $ -     $ 24,454,206  
Cash and cash equivalents
    115,481       -       -       115,481  
Common and preferred stocks:
                               
Growth
    16,545,699       -       -       16,545,699  
Value
    11,251,726       -       -       11,251,726  
Other
    236,841       141,545       -       378,386  
Mutual funds:
                               
Fixed income
    2,151,872       -       -       2,151,872  
Value
    4,392,212       -       -       4,392,212  
Other
    2,268,804       -       -       2,268,804  
Collective trust funds:
                               
Fixed income
    -       16,152,094       -       16,152,094  
Growth
    -       2,002,548       -       2,002,548  
Index
    -       25,157,297       -       25,157,297  
Value
    -       1,635,861       -       1,635,861  
Other
    -       3,971,394       -       3,971,394  
                 
 
    $ 61,416,841     $ 49,060,739     $ -     $ 110,477,580  
                 

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The Retirement and Savings Plan for Amgen Manufacturing, Limited
Notes to Financial Statements (continued)
3.  Fair Value Measurements (continued)
     The fair value of common stocks (including Amgen stock), preferred stocks and mutual funds are valued using quoted market prices in active markets with no valuation adjustment. Common and preferred stocks traded in markets that are not considered active are valued using broker or dealer quotations.
     Collective trust funds represent interests in pooled investment vehicles designed typically for collective investment of employee benefit trusts. The fair values of these investments are determined by reference to the net asset value per unit provided by the fund managers. The unit values are based on the fair values of the trusts’ underlying assets, which are principally equity and fixed income securities and short-term investments. The investment strategies of the Plan’s collective trust funds vary generally based on the investment objectives of the asset class of which they are a part. Such investment strategies include investments in fixed income securities and investments in equity securities for growth and value objectives as well as to replicate domestic and international market indexes and to invest in emerging markets. There are no material redemption restrictions on any of these investments.
4. Investments
     The fair values of individual investments that represent 5% or more of the Plan’s net assets as of December 31, 2010 and 2009 are as follows:
                 
    December 31  
    2010     2009  
Blackrock Equity Index Fund F – Collective trust fund
  $ 25,936,414     $ 19,383,462  
Amgen stock
    24,251,842       24,454,206  
Wells Fargo Stable Return Fund G – Collective trust fund
    12,402,835       10,284,540  

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The Retirement and Savings Plan for Amgen Manufacturing, Limited
Notes to Financial Statements (continued)
4.  Investments (continued)
     During the years ended December 31, 2010 and 2009, net realized and unrealized gains/(losses) on the Plan’s investments were as follows:
                 
    Year Ended December 31  
    2010     2009  
Amgen stock
  $ (733,540 )   $ (402,123 )
Common and preferred stocks
    6,231,488       6,945,129  
Mutual funds
    1,738,071       2,834,718  
Collective trust funds
    6,811,252       7,809,583  
Other
    15,048       1,636  
 
           
 
  $ 14,062,319     $ 17,188,943  
 
           
5.  Income Tax Status
     The Plan received a determination letter from the Puerto Rico Treasury Department (PRTD), dated June 22, 2007 and with an effective date of January 1, 2006, stating that the Plan is qualified, in form, under the PR Code and, therefore, the related trust forming a part of the Plan is exempt from taxation. Subsequent to this determination by the PRTD, the Plan was amended. Subsequent amendments have been structured and are intended to maintain the Plan’s tax qualified status. Once qualified, the Plan is required to operate in conformity with the PR Code to maintain its qualification. The Company believes the Plan is currently being operated in compliance with the applicable requirements of the PR Code and, therefore, believes that the Plan is qualified and the related trust is tax exempt.
     Accounting principles generally accepted in the United States require the Company to evaluate uncertain tax positions taken by the Plan. The financial statement effects of a tax position are recognized when the position is more likely than not, based on the technical merits, to be sustained upon examination. As of December 31, 2010, no uncertain tax positions have been taken or are expected to be taken, and no amounts related to uncertain tax positions have been recorded in the Plan’s financial statements. The Plan is subject to audits by the PRTD, however there are currently no audits for any periods in progress. The Company believes the Plan is no longer subject to PRTD examinations with respect to annual reports for years prior to 2006.

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The Retirement and Savings Plan for Amgen Manufacturing, Limited
Notes to Financial Statements (continued)
6.  Services Provided by the Company
     During 2010 and 2009, the Company has paid trustee fees and certain other administrative costs on behalf of the Plan.
7.  Reconciliation of Financial Statements to Form 5500
     The reconciliation of net assets available for benefits per the financial statements to Form 5500 as of December 31, 2010 and 2009 consisted of the following:
                 
    December 31
    2010   2009
Net assets available for benefits per the financial statements
    $ 151,990,059       $ 120,473,154  
Adjustment from fair value to contract value for fully benefit-responsive investment contracts
    266,989       16,333  
Amounts allocated to withdrawing participants
    (21,374 )     (16,711 )
Deemed loans
    (96,970 )     (14,370 )
 
           
Net assets per the Form 5500
    $ 152,138,704       $ 120,458,406  
 
           
     For the year ended December 31, 2010, the following is a reconciliation of the net investment income per the financial statements to the Form 5500:
         
    Year Ended  
    December 31  
    2010  
Interest and dividend income
  $ 873,815  
Net realized/unrealized gains
    14,062,319  
 
     
Total net investment income per the financial statements
    14,936,134  
Adjustment from fair value to contract value for interest in collective trust funds relating to fully benefit-responsive investment contracts:
       
Less prior year adjustment
    (16,333 )
Add current year adjustment
    266,989  
 
     
Total net investment income per the Form 5500
  $ 15,186,790  
 
     

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The Retirement and Savings Plan for Amgen Manufacturing, Limited
Notes to Financial Statements (continued)
7. Reconciliation of Financial Statements to Form 5500 (continued)
     For the year ended December 31, 2010, the following is a reconciliation of distributions to participants per the financial statements to the Form 5500:
         
    Year Ended  
    December 31  
    2010  
Total distributions per the financial statements
  $ 2,816,617  
Less prior year amounts allocated to withdrawing participants
    (16,711 )
Add current year amounts allocated to withdrawing participants
    21,374  
Less prior year deemed loan balance
    (14,370 )
Add current year deemed loan balance
    96,970  
 
     
Total distributions per the Form 5500
  $ 2,903,880  
 
     

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Supplemental Schedule
The Retirement and Savings Plan for Amgen Manufacturing, Limited
EIN: 98-0210484 Plan: #001
December 31, 2010
Schedule H, line 4i – Schedule of Assets (Held at End of Year)
 
                     
Identity of Issue   Description of Investment   Current Value
 
                   
Amgen stock*
  Employer Securities 441,746 shares           $ 24,251,842  
 
                   
Capital Preservation Asset Class:
                   
Wells Fargo Stable Return Fund G
  Common Collective Trust 253,745 units     12,402,835          
Northern Trust Collective Short Term Investment Fund*
  Common Collective Trust 795,149 units     795,149          
 
               
Total Capital Preservation Asset Class
                13,197,984  
 
                   
Emerging Markets Equity Asset Class:
                   
JP Morgan Emerging Markets Equity Focus Fund
  Common Collective Trust 91,181 units     5,010,421          
Northern Trust Collective MSCI Emerging Markets Fund -
    Non-Lending*
  Common Collective Trust 2,572 units     418,935          
 
               
Total Emerging Markets Equity Asset Class
                5,429,356  
 
                   
Fixed Income Asset Class:
                   
JP Morgan Core Bond Fund
  Common Collective Trust 456,261 units     6,519,974          
Northern Trust Collective Aggregate Bond Index Fund -
    Non-Lending*
  Common Collective Trust 5,909 units     666,733          
 
               
Total Fixed Income Asset Class
                7,186,707  
 
                   
High Yield Asset Class:
                   
Northern Trust Collective Short Term Investment Fund*
  Common Collective Trust 255,075 units     255,075          
Blackrock High Yield Bond Fund*
  Mutual Fund 322,436 units     2,473,085          
 
               
Total High Yield Asset Class
                2,728,160  
 
                   
Inflation Protection Asset Class:
                   
Vanguard Inflation Protected Fund
  Mutual Fund 21,493 units     548,924          
Northern Trust Collective TIPS Index Fund - Non-Lending*
  Common Collective Trust 443 units     51,259          
 
               
Total Inflation Protection Asset Class
                600,183  
 
                   
International Equity Value Asset Class:
                   
Northern Trust Collective EAFE Index Fund - Non-
    Lending*
  Common Collective Trust 1,762 units     372,865          
Dodge & Cox International Fund
  Mutual Fund 183,499 units     6,552,760          
 
               
Total International Equity Value Asset Class
                6,925,625  
 
   
International Growth Asset Class:
                   
Northern Trust Collective EAFE Index Fund - Non-
    Lending*
  Common Collective Trust 3,867 units     818,239          
BHP Billiton PLC
  Common Stock 4,370 shares     174,537          
Rio Tinto
  Common Stock 2,205 shares     154,886          
British American Tobacco
  Common Stock 3,278 shares     126,432          
Novo-Nordisk AS DKK1 Series B
  Common Stock 1,020 shares     115,499          
Lanxess AG
  Common Stock 1,440 shares     114,171          

17


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Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)
 
                     
Identity of Issue   Description of Investment   Current Value
 
                   
Komatsu
  Common Stock 3,700 shares     112,088          
UBS AG
  Common Stock 6,493 shares     106,928          
CNOOC Ltd.
  Common Stock 44,000 shares     104,373          
Anheuser-Busch Inbev NV
  Common Stock 1,718 shares     98,645          
Swatch Group
  Common Stock 220 shares     98,376          
Scheider Electric
  Common Stock 650 shares     97,665          
Volvo AB Series B
  Common Stock 5,505 shares     97,034          
Hitachi
  Common Stock 17,000 shares     90,759          
Centrica
  Common Stock 17,420 shares     90,439          
Magna International Inc.
  Common Stock 1,720 shares     89,440          
Banpu Public Company
  Common Stock 3,000 shares     78,819          
Atlas Copco AB Series A
  Common Stock 3,120 shares     78,756          
Tata Motors Ltd.
  Common Stock 2,680 shares     78,631          
Fuji Heavy Industries
  Common Stock 10,000 shares     77,677          
Assa Abloy Series B
  Common Stock 2,755 shares     77,656          
Enbridge Inc.
  Common Stock 1,360 shares     77,016          
Fanuc Ltd.
  Common Stock 500 shares     76,876          
WPP PLC
  Common Stock 6,170 shares     76,266          
Swire Pacific
  Common Stock 4,500 shares     73,981          
Barrick Gold Corporation
  Common Stock 1,370 shares     72,857          
Ping An Insurance Group H
  Common Stock 6,500 shares     72,662          
Anglo American
  Common Stock 1,390 shares     72,589          
Hongkong Land Holding
  Common Stock 10,000 shares     72,200          
Exor Spa
  Common Stock 2,160 shares     71,516          
Arm Holdings
  Common Stock 10,790 shares     71,510          
Swedbank AB Series A
  Common Stock 5,110 shares     71,297          
DnB NOR ASA
  Common Stock 5,047 shares     71,114          
BASF SE
  Common Stock 874 shares     69,999          
Nestle SA
  Common Stock 1,190 shares     69,899          
SMC Corporation
  Common Stock 400 shares     68,602          
Isuzu Motors
  Common Stock 15,000 shares     68,245          
Iluka Resources
  Common Stock 7,260 shares     68,019          
Weir Group
  Common Stock 2,320 shares     64,655          
Stora Enso Oyj Series R
  Common Stock 6,250 shares     64,436          
Petrofac
  Common Stock 2,570 shares     63,856          
Royal Dutch Shell A
  Common Stock 1,880 shares     62,372          
Banco Bradesco SA
  Preferred Stock 3,079 shares     60,560          
China Construction Bank H
  Common Stock 67,000 shares     60,073          
Singapore Airlines
  Common Stock 5,000 shares     59,717          
Sampo Oyj Series A
  Common Stock 2,170 shares     58,369          
Arkema Eur10
  Common Stock 800 shares     57,815          
Oriental Land Company Ltd.
  Common Stock 600 shares     55,632          
Credicorp Ltd.
  Common Stock 465 shares     55,293          
Lojas Renner SA
  Common Stock 1,600 shares     54,361          
Pacific Rubiales
  Common Stock 1,590 shares     54,005          

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Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)
                     
Identity of Issue   Description of Investment   Current Value
 
                   
Oz Minerals Ltd.
  Common Stock 29,210 shares     51,500          
Tele2 AB Series B
  Common Stock 2,460 shares     51,082          
ST Microelectronics
  Common Stock 4,600 shares     47,758          
Canadian National Railways
  Common Stock 712 shares     47,543          
Check Point Software Technologies
  Common Stock 1,010 shares     46,723          
DeNA Company Ltd.
  Common Stock 1,300 shares     46,675          
Yangzijiang Shipbu
  Common Stock 31,000 shares     46,220          
P.T. Astra International
  Common Stock 7,500 shares     45,408          
CP ALL PLC
  Common Stock 34,800 shares     45,311          
Sandvik AB
  Common Stock 2,295 shares     44,754          
Aggreko
  Common Stock 1,910 shares     44,318          
Wynn Macau Ltd.
  Common Stock 19,600 shares     43,871          
Wacker Chemie
  Common Stock 235 shares     41,174          
Northern Trust Collective Short Term Investment Fund*
  Common Collective Trust 39,518 units     39,518          
China Yurun Food Group Ltd.
  Common Stock 11,900 shares     39,112          
Unicharm Corporation
  Common Stock 900 shares     35,842          
HSBC Holdings
  Common Stock 3,480 shares     35,475          
Sanrio Company Ltd.
  Common Stock 1,500 shares     35,195          
Zeon Corporation
  Common Stock 4,000 shares     33,537          
Dassault Systems
  Common Stock 430 shares     32,547          
ICL-Israel Chemicals
  Common Stock 1,850 shares     31,776          
Sina Corporation
  Common Stock 460 shares     31,657          
Gran Tierra Energy
  Common Stock 3,100 shares     25,239          
United Laboratories
  Common Stock 12,000 shares     24,637          
Air China Ltd. H
  Common Stock 6,000 shares     6,738          
Cash
  Cash and Short Term Investments     640          
 
               
Total International Growth Asset Class
                5,851,092  
 
                   
Large Cap Growth Asset Class:
                   
Northern Trust Collective Russell 1000 Growth Index Fund - Non-Lending*
  Common Collective Trust 7,763 units     1,217,724          
Apple Inc.
  Common Stock 1,228 shares     886,395          
Amazon.Com Inc.
  Common Stock 1,256 shares     452,880          
Google Inc. Class A
  Common Stock 313 shares     447,259          
Ford Motor Company
  Common Stock 11,991 shares     333,970          
Cummins Inc.
  Common Stock 1,987 shares     333,000          
Netapp Inc.
  Common Stock 3,600 shares     328,111          
Deere & Company
  Common Stock 2,203 shares     315,009          
Northern Trust Collective Short Term Investment Fund*
  Common Collective Trust 161,807 units     300,586          
American Express Company
  Common Stock 3,311 shares     279,881          
Cognizant Technology Solutions Corporation Class A
  Common Stock 3,126 shares     276,743          
Cisco Systems Inc.
  Common Stock 4,120 shares     275,518          
Precision Castparts Corporation
  Common Stock 1,204 shares     274,801          
priceline.com Inc.
  Common Stock 558 shares     266,899          

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Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)
                     
Identity of Issue   Description of Investment   Current Value
 
                   
F5 Networks Inc.
  Common Stock 1,719 shares     245,872          
Qualcomm Inc.
  Common Stock 2,628 shares     242,897          
Allergan Inc.
  Common Stock 1,866 shares     238,010          
Oracle Corporation
  Common Stock 4,610 shares     236,628          
VMware Inc.
  Common Stock 1,810 shares     225,831          
Salesforce.com Inc.
  Common Stock 1,689 shares     222,948          
Coca-Cola Company
  Common Stock 1,620 shares     217,774          
FMC Technologies Inc.
  Common Stock 2,367 shares     210,450          
National Oilwell Varco
  Common Stock 2,008 shares     190,856          
Schlumberger Ltd.
  Common Stock 1,320 shares     188,710          
Estee Lauder Companies Inc. Class A
  Common Stock 2,310 shares     186,417          
Jones Lang LaSalle Inc.
  Common Stock 2,076 shares     174,218          
Eaton Corporation
  Common Stock 1,681 shares     170,638          
General Motors Company
  Common Stock 4,520 shares     166,607          
EMC Corporation
  Common Stock 4,190 shares     158,926          
Perrigo Company
  Common Stock 2,497 shares     158,135          
Occidental Petroleum Corporation
  Common Stock 990 shares     157,941          
Dollar Tree Inc.
  Common Stock 2,581 shares     144,742          
American Tower Corporation Class A
  Common Stock 1,630 shares     144,592          
Chipotle Mexican Grill Inc.
  Common Stock 635 shares     135,039          
Netflix Inc.
  Common Stock 810 shares     131,072          
Broadcom Corporation Class A
  Common Stock 1,450 shares     122,811          
Halliburton Company
  Common Stock 2,860 shares     116,774          
Discovery Communications Inc.
  Common Stock 2,774 shares     115,676          
Costco Wholesale Corporation
  Common Stock 830 shares     115,536          
Agilent Technologies Inc.
  Common Stock 1,870 shares     113,518          
Red Hat Inc.
  Common Stock 2,479 shares     113,166          
Emerson Electric Company
  Common Stock 1,060 shares     110,910          
Microsoft Corporation
  Common Stock 3,900 shares     108,888          
Freeport-McMoRan Copper & Gold Inc.
  Common Stock 470 shares     108,081          
FedEx Corporation
  Common Stock 1,160 shares     107,892          
Varian Medical Systems Inc.
  Common Stock 960 shares     103,920          
McDonald’s Corporation
  Common Stock 670 shares     102,091          
Alexion Pharmaceuticals Inc.
  Common Stock 809 shares     91,746          
Marriott International Inc.
  Common Stock 2,170 shares     90,142          
T Rowe Price Group Inc.
  Common Stock 1,340 shares     86,484          
Hewlett-Packard Company
  Common Stock 2,050 shares     86,305          
Intuit Inc.
  Common Stock 1,200 shares     86,275          
Paccar Inc.
  Common Stock 1,480 shares     84,982          
Acme Packet Inc.
  Common Stock 1,574 shares     83,674          
Target Corporation
  Common Stock 1,370 shares     82,378          
Juniper Networks Inc.
  Common Stock 2,180 shares     80,486          
Check Point Software Technologies
  Common Stock 1,710 shares     79,105          
International Business Machines Corporation
  Common Stock 530 shares     77,783          
Flowserve Corporation
  Common Stock 650 shares     77,493          

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Table of Contents

Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)
                     
Identity of Issue   Description of Investment   Current Value
 
                   
Mylan Inc.
  Common Stock 3,606 shares     76,195          
Celgene Corporation
  Common Stock 1,280 shares     75,699          
Walt Disney Company
  Common Stock 1,960 shares     73,520          
Cree Inc.
  Common Stock 1,105 shares     72,808          
EQT Corporation
  Common Stock 1,610 shares     72,192          
AmerisourceBergen Corporation
  Common Stock 2,110 shares     71,993          
Autodesk Inc.
  Common Stock 1,850 shares     70,670          
IntercontinentalExchange, Inc.
  Common Stock 590 shares     70,299          
Rovi Corporation
  Common Stock 1,130 shares     70,071          
Nike Inc. Class B
  Common Stock 810 shares     69,190          
Wells Fargo & Company
  Common Stock 2,230 shares     69,108          
Anheuser-Busch Inbev NV
  Common Stock 1,210 shares     69,079          
Philip Morris International Inc.
  Common Stock 1,160 shares     67,895          
KLA-Tencor Corporation
  Common Stock 1,720 shares     66,461          
Scripps Networks Interactive Inc. Class A
  Common Stock 1,280 shares     66,240          
International Paper Company
  Common Stock 2,430 shares     66,193          
Mosaic Company
  Common Stock 850 shares     64,906          
Intel Corporation
  Common Stock 3,080 shares     64,772          
Concho Resources Inc.
  Common Stock 730 shares     63,999          
Cliffs Natural Resources Inc.
  Common Stock 820 shares     63,968          
Praxair Inc.
  Common Stock 670 shares     63,965          
W.W. Grainger Inc.
  Common Stock 460 shares     63,531          
Peabody Energy Corporation
  Common Stock 990 shares     63,340          
Cardinal Health Inc.
  Common Stock 1,630 shares     62,445          
United Parcel Service Inc.
  Common Stock 860 shares     62,419          
MetLife Inc.
  Common Stock 1,400 shares     62,216          
PPG Industries Inc.
  Common Stock 740 shares     62,212          
Whole Foods Market Inc.
  Common Stock 1,220 shares     61,720          
Omnicom Group Inc.
  Common Stock 1,340 shares     61,372          
Abbott Laboratories
  Common Stock 1,280 shares     61,325          
Chevron Corporation
  Common Stock 670 shares     61,138          
Exxon Mobil Corporation
  Common Stock 830 shares     60,690          
E.I. du Pont de Nemours & Company
  Common Stock 1,210 shares     60,355          
Goodrich Corporation
  Common Stock 680 shares     59,888          
Joy Global Inc.
  Common Stock 690 shares     59,858          
Starbucks Corporation
  Common Stock 1,860 shares     59,762          
Family Dollar Stores Inc.
  Common Stock 1,200 shares     59,652          
Johnson Controls Inc.
  Common Stock 1,550 shares     59,210          
Activision Blizzard Inc.
  Common Stock 4,750 shares     59,090          
Teradata Corporation
  Common Stock 1,430 shares     58,859          
Dover Corporation
  Common Stock 1,000 shares     58,450          
Ametek Inc.
  Common Stock 1,485 shares     58,286          
Waters Corporation
  Common Stock 750 shares     58,283          
Mattel Inc.
  Common Stock 2,290 shares     58,235          
Lazard Ltd. Class A
  Common Stock 1,470 shares     58,050          

21


Table of Contents

Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)
                     
Identity of Issue   Description of Investment   Current Value
 
                   
Hersey Company
  Common Stock 1,230 shares     57,995          
eBay Inc.
  Common Stock 2,040 shares     56,773          
Rockwell Automation
  Common Stock 790 shares     56,651          
Aflac Inc.
  Common Stock 1,000 shares     56,430          
DIRECTV Class A
  Common Stock 1,390 shares     55,503          
Wal-Mart Stores Inc.
  Common Stock 1,020 shares     55,009          
TJX Companies Inc.
  Common Stock 1,220 shares     54,156          
Colgate-Palmolive Company
  Common Stock 660 shares     53,044          
Cooper Industries PLC
  Common Stock 910 shares     53,044          
Visa Inc. Class A
  Common Stock 750 shares     52,785          
Kohl’s Corporation
  Common Stock 970 shares     52,710          
McKesson Corporation
  Common Stock 740 shares     52,081          
Coach Inc.
  Common Stock 940 shares     51,991          
Marvell Technology Group
  Common Stock 2,800 shares     51,940          
Goldcorp Inc.
  Common Stock 1,110 shares     51,038          
Expeditors International of Washington Inc.
  Common Stock 910 shares     49,686          
Eli Lilly & Company
  Common Stock 1,400 shares     49,056          
Xerox Corporation
  Common Stock 4,160 shares     47,923          
Hospira Inc.
  Common Stock 850 shares     47,337          
Norfolk Southern Corporation
  Common Stock 740 shares     46,487          
TRW Automotive Holdings Corporation
  Common Stock 880 shares     46,376          
Express Scripts Inc.
  Common Stock 850 shares     45,943          
FMC Corporation
  Common Stock 570 shares     45,537          
Franklin Resources Inc.
  Common Stock 400 shares     44,484          
Shire PLC
  Common Stock 610 shares     44,152          
H. J. Heinz
  Common Stock 880 shares     43,525          
Tiffany & Company
  Common Stock 680 shares     42,344          
CSX Corporation
  Common Stock 640 shares     41,350          
Limited Brands
  Common Stock 1,320 shares     40,564          
Walter Energy Inc.
  Common Stock 310 shares     39,630          
Teva Pharmaceuticals Industries Ltd.
  Common Stock 760 shares     39,619          
Noble Energy Inc.
  Common Stock 410 shares     35,293          
United Continental Holdings Inc.
  Common Stock 1,420 shares     33,824          
Blackrock Inc.*
  Common Stock 150 shares     28,587          
Resmed Inc.
  Common Stock 800 shares     27,712          
Church & Dwight Inc.
  Common Stock 400 shares     27,608          
Bed Bath & Beyond Inc.
  Common Stock 520 shares     25,558          
Charles Schwab Corporation
  Common Stock 810 shares     13,859          
 
               
Total Large Cap Growth Asset Class
                16,900,402  
 
                   
Large Cap Index Asset Class:
                   
Blackrock Equity Index Fund F*
  Common Collective Trust 1,284,617 units     25,936,414          
Northern Trust Collective S&P 500 Equity Index Fund*
  Common Collective Trust 629 units     2,335,011          
 
               
Total Large Cap Index Asset Class
                28,271,425  

22


Table of Contents

Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)
                     
Identity of Issue   Description of Investment   Current Value
 
                   
Large Cap Value Asset Class:
                   
Northern Trust Collective Russell 1000 Value Index Fund - Non-Lending *
  Common Collective Trust 1,778 units     281,671          
JP Morgan Chase & Company
  Common Stock 2,112 shares     89,590          
General Electric Company
  Common Stock 4,877 shares     89,199          
Northern Trust Collective Short Term Investment Fund*
  Common Collective Trust 87,285 units     87,285          
Exxon Mobil Corporation
  Common Stock 1,137 shares     83,136          
Schlumberger Ltd.
  Common Stock 876 shares     73,145          
Oracle Corporation
  Common Stock 2,216 shares     69,361          
Wells Fargo & Company
  Common Stock 2,159 shares     66,907          
Bank of America Corporation*
  Common Stock 4,840 shares     64,566          
Comcast Corporation Class A
  Common Stock 2,913 shares     63,999          
Hess Corporation
  Common Stock 805 shares     61,615          
El Paso Corporation
  Common Stock 4,216 shares     58,012          
AT&T Inc.
  Common Stock 1,950 shares     57,291          
Total SA
  Common Stock 1,065 shares     56,956          
Ameriprise Financial Inc.
  Common Stock 989 shares     56,917          
PNC Financial Services Group
  Common Stock 925 shares     56,166          
Covidien PLC
  Common Stock 1,213 shares     55,386          
Northrop Grumman Corporation
  Common Stock 854 shares     55,322          
State Street Corporation
  Common Stock 1,174 shares     54,403          
Citigroup Inc.
  Common Stock 11,396 shares     53,903          
PepsiCo Inc.
  Common Stock 796 shares     52,003          
Vodafone Group PLC
  Common Stock 1,953 shares     51,618          
Air Products & Chemical Inc.
  Common Stock 560 shares     50,932          
Chevron Corporation
  Common Stock 556 shares     50,735          
Siemens AG
  Common Stock 408 shares     50,694          
Merck & Company Inc.
  Common Stock 1,370 shares     49,375          
Pfizer Inc.
  Common Stock 2,762 shares     48,363          
Legg Mason Inc.
  Common Stock 1,330 shares     48,239          
Applied Materials Inc.
  Common Stock 3,432 shares     48,220          
UnitedHealth Group Inc.
  Common Stock 1,334 shares     48,171          
Medtronic Inc.
  Common Stock 1,266 shares     46,956          
Sanofi-Aventis
  Common Stock 1,423 shares     45,863          
CenturyTel Inc.
  Common Stock 974 shares     44,970          
CVS Caremark Corporation
  Common Stock 1,265 shares     43,984          
Coca-Cola Enterprises Inc.
  Common Stock 1,752 shares     43,853          
Honeywell International Inc.
  Common Stock 821 shares     43,644          
Consol Energy Inc.
  Common Stock 891 shares     43,427          
Discover Financial Services
  Common Stock 2,304 shares     42,693          
Cisco Systems Inc.
  Common Stock 2,089 shares     42,260          
Travelers Companies Inc.
  Common Stock 738 shares     41,114          
Procter & Gamble Company
  Common Stock 639 shares     41,107          
Weyerhaeuser Company
  Common Stock 2,158 shares     40,851          
US Bancorp
  Common Stock 1,513 shares     40,806          

23


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Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)
                     
Identity of Issue   Description of Investment   Current Value
 
                   
Bristol-Myers Squibb Company
  Common Stock 1,521 shares     40,276          
eBay Inc.
  Common Stock 1,446 shares     40,242          
Bank of New York Mellon Corporation
  Common Stock 1,331 shares     40,196          
MetLife Inc.
  Common Stock 860 shares     38,218          
Norfolk Southern Corporation
  Common Stock 602 shares     37,818          
Johnson Controls Inc.
  Common Stock 989 shares     37,780          
Owens-Illinois Inc.
  Common Stock 1,230 shares     37,761          
Lowe’s Companies Inc.
  Common Stock 1,479 shares     37,093          
Unum Group
  Common Stock 1,525 shares     36,936          
PPL Corporation
  Common Stock 1,400 shares     36,848          
Kellogg Company
  Common Stock 720 shares     36,778          
Calpine Corporation
  Common Stock 2,749 shares     36,672          
Fifth Third Bancorp
  Common Stock 2,497 shares     36,656          
Public Service Enterprise Group Inc.
  Common Stock 1,142 shares     36,327          
Conagra Foods Inc.
  Common Stock 1,571 shares     35,473          
Omnicom Group Inc.
  Common Stock 750 shares     34,350          
CBS Corporation Class B
  Common Stock 1,782 shares     33,947          
Viacom Inc. Class B
  Common Stock 828 shares     32,797          
Stanley Black & Decker Inc.
  Common Stock 489 shares     32,699          
Gap Inc.
  Common Stock 1,455 shares     32,214          
Harman International Industries Inc.
  Common Stock 676 shares     31,299          
Estee Lauder Companies Inc. Class A
  Common Stock 380 shares     30,666          
Foster Wheeler Ltd.
  Common Stock 828 shares     28,583          
ABB Ltd.
  Common Stock 1,259 shares     28,265          
AOL Inc.
  Common Stock 1,112 shares     26,366          
Alere Inc.
  Common Stock 710 shares     25,986          
DIRECTV Class A
  Common Stock 647 shares     25,835          
Hewlett-Packard Company
  Common Stock 567 shares     23,871          
General Motors Company
  Common Stock 600 shares     22,116          
Vulcan Materials Company
  Common Stock 491 shares     21,781          
Goodyear Tire & Rubber Company
  Common Stock 1,538 shares     18,225          
 
               
Total Large Cap Value Asset Class
                3,608,782  
 
                   
Real Estate Investment Trust (REIT) Asset Class:
                   
Vanguard Specialized Portfolios REIT Index Fund Institutional Class
  Mutual Fund 269,131 units     3,267,250          
Northern Trust Collective Short Term Investment Fund*
  Common Collective Trust 319,258 units     319,258          
 
               
Total Real Estate Investment Trust (REIT) Asset Class
                3,586,508  
 
                   
Participant Self-Directed Accounts
  Various investments             343,194  
 
                   
Small-Mid Cap Growth Asset Class:
                   
Northern Trust Collective Russell 2000 Growth Index Fund - Non-Lending*
  Common Collective Trust 618 units     93,814          
Skyworks Solutions Inc.
  Common Stock 2,159 shares     61,812          

24


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Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)
                     
Identity of Issue   Description of Investment   Current Value
 
                   
Roper Industries Inc.
  Common Stock 529 shares     40,431          
Riverbed Technology Inc.
  Common Stock 1,002 shares     35,240          
Rovi Corporation
  Common Stock 491 shares     30,447          
Reald Inc.
  Common Stock 1,136 shares     29,445          
Green Mountain Coffee Roasters
  Common Stock 870 shares     28,588          
Affiliated Managers Group Inc.
  Common Stock 285 shares     28,278          
Ametek Inc.
  Common Stock 719 shares     28,201          
United Natural Foods Inc.
  Common Stock 738 shares     27,070          
Entropic Communications Inc.
  Common Stock 2,040 shares     24,643          
Portfolio Recovery Associates Inc.
  Common Stock 326 shares     24,515          
Shutterfly Inc.
  Common Stock 694 shares     24,311          
Under Armor Inc.
  Common Stock 427 shares     23,417          
Rowan Companies Inc.
  Common Stock 647 shares     22,587          
Acme Packet Inc.
  Common Stock 408 shares     21,689          
Transdigm Group Inc.
  Common Stock 299 shares     21,531          
SBA Communications Corporation Class A
  Common Stock 509 shares     20,838          
Ultimate Software Group Inc.
  Common Stock 407 shares     19,792          
Cooper Companies Inc.
  Common Stock 347 shares     19,550          
LogMeIn Inc.
  Common Stock 440 shares     19,510          
Cargo Ceramics Inc.
  Common Stock 186 shares     19,258          
MSCI Inc. Class A
  Common Stock 492 shares     19,168          
Martin Marietta Materials Inc.
  Common Stock 202 shares     18,632          
Sothebys Holdings Inc. Class A
  Common Stock 405 shares     18,225          
Finisar Corporation
  Common Stock 606 shares     17,992          
IPC The Hospitalist Company Inc.
  Common Stock 450 shares     17,555          
Aruba Networks Inc.
  Common Stock 840 shares     17,539          
Vitamin Shoppe Inc.
  Common Stock 515 shares     17,325          
GSI Commerce Inc.
  Common Stock 727 shares     16,866          
Cavium Networks Inc.
  Common Stock 437 shares     16,466          
Monster Worldwide Inc.
  Common Stock 685 shares     16,187          
Atmel Corporation
  Common Stock 1,313 shares     16,176          
Chipotle Mexican Grill Inc.
  Common Stock 76 shares     16,162          
Robbins & Myers Inc.
  Common Stock 446 shares     15,958          
Wesco International Inc.
  Common Stock 296 shares     15,629          
HMS Holdings Corporation
  Common Stock 240 shares     15,545          
Gartner Inc.
  Common Stock 468 shares     15,538          
Verifone Systems Inc.
  Common Stock 390 shares     15,038          
Brigham Exploration Company
  Common Stock 548 shares     14,928          
SXC Health Solutions Corporation
  Common Stock 344 shares     14,744          
BE Aerospace Inc.
  Common Stock 384 shares     14,220          
Esco Technologies Inc.
  Common Stock 375 shares     14,190          
Zoll Medical Corporation
  Common Stock 373 shares     13,887          
Lufkin Industries Inc.
  Common Stock 220 shares     13,726          
CB Richard Ellis Group Inc. Class A
  Common Stock 669 shares     13,701          
Air Methods Corporation
  Common Stock 242 shares     13,617          

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Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)
                     
Identity of Issue   Description of Investment   Current Value
 
                   
Home Inns & Hotels Management Inc.
  Common Stock 331 shares     13,558          
Netlogic Microsystems Inc.
  Common Stock 431 shares     13,538          
Lululemon Athletica Inc.
  Common Stock 190 shares     13,000          
Acuity Brands Inc
  Common Stock 223 shares     12,860          
Fossil Inc.
  Common Stock 179 shares     12,616          
Forest Oil Corporation
  Common Stock 326 shares     12,378          
OpenTable Inc.
  Common Stock 173 shares     12,193          
Andigics Inc.
  Common Stock 1,754 shares     12,155          
Graftech International Ltd.
  Common Stock 612 shares     12,142          
AthenaHealth Inc.
  Common Stock 292 shares     11,966          
Cinemark Holdings Inc.
  Common Stock 684 shares     11,792          
Albemarle Corporation
  Common Stock 210 shares     11,714          
Netsuite Inc.
  Common Stock 463 shares     11,575          
Emulex Corporation
  Common Stock 943 shares     10,995          
Northern Oil & Gas Inc.
  Common Stock 401 shares     10,911          
Ulta Salon Cometics & Fragrance Inc
  Common Stock 319 shares     10,846          
Northern Trust Collective Short Term Investment Fund*
  Common Collective Trust 10,789 units     10,791          
VanceInfo Technologies Inc.
  Common Stock 310 shares     10,707          
Oasis Petroleum Inc.
  Common Stock 387 shares     10,495          
Higher One Holdings Inc.
  Common Stock 515 shares     10,418          
Hub Group Inc. Class A
  Common Stock 296 shares     10,401          
Tenneco Inc.
  Common Stock 252 shares     10,372          
Astec Industries Inc.
  Common Stock 319 shares     10,339          
Synchronoss Technologies Inc.
  Common Stock 384 shares     10,257          
SuccessFactors Inc.
  Common Stock 351 shares     10,165          
Triumph Group Inc.
  Common Stock 109 shares     9,746          
WebMD Health Corporation
  Common Stock 188 shares     9,599          
Polypore International Inc.
  Common Stock 235 shares     9,572          
Steven Madden Ltd.
  Common Stock 228 shares     9,512          
Hibbett Sports Inc.
  Common Stock 253 shares     9,336          
Constant Contact Inc.
  Common Stock 301 shares     9,328          
Perkinelmer Inc.
  Common Stock 350 shares     9,037          
MICROS Systems Inc.
  Common Stock 204 shares     8,947          
NxStage Medical Inc.
  Common Stock 350 shares     8,708          
Heico Corporation
  Common Stock 170 shares     8,675          
Igate Corporation
  Common Stock 412 shares     8,121          
American Superconductor Corporation
  Common Stock 278 shares     7,948          
Blackboard Inc.
  Common Stock 184 shares     7,599          
IDEX Corporation
  Common Stock 179 shares     7,002          
Triquint Semiconductor Inc.
  Common Stock 597 shares     6,979          
Fresh Market Inc.
  Common Stock 166 shares     6,839          
51job Inc.
  Common Stock 138 shares     6,797          
Nu Skin Enterprises Inc. Class A
  Common Stock 202 shares     6,113          
Advisory Board Company
  Common Stock 119 shares     5,668          
 
               
Total Small-Mid Cap Growth Asset Class
                1,507,691  

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Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)
                     
Identity of Issue   Description of Investment   Current Value
 
                   
Small-Mid Cap Value Asset Class:
                   
Northern Trust Collective Russell 2000 Value Index Fund - Non-Lending*
  Common Collective Trust 9,187 units     1,383,843          
Northern Trust Collective Short Term Investment Fund*
  Common Collective Trust 597,742 units     597,740          
Griffon Corporation
  Common Stock 14,600 shares     186,003          
CA Inc.
  Common Stock 7,600 shares     185,743          
Valassis Communications Inc.
  Common Stock 5,600 shares     181,159          
Elizabeth Arden Inc.
  Common Stock 7,850 shares     180,628          
Bob Evans Farms Inc.
  Common Stock 5,450 shares     179,632          
Globe Specialty Metals Inc.
  Common Stock 6,500 shares     175,685          
Con-Way Inc.
  Common Stock 4,300 shares     157,251          
Gap Inc.
  Common Stock 6,900 shares     152,766          
Graftech International Ltd.
  Common Stock 6,750 shares     151,776          
Arrow Electronics Inc.
  Common Stock 4,250 shares     145,563          
Celanese Corporation Series A
  Common Stock 3,500 shares     144,095          
Teradyne Inc.
  Common Stock 10,050 shares     141,102          
Avnet Inc.
  Common Stock 4,250 shares     140,378          
The Jones Group Inc.
  Common Stock 6,300 shares     139,549          
MI Developments Inc.
  Common Stock 4,900 shares     132,790          
MDC Partners Inc. Class A
  Common Stock 7,590 shares     131,079          
Coherent Inc.
  Common Stock 2,900 shares     130,906          
Hormel Foods Corporation
  Common Stock 2,550 shares     130,713          
Portland General Electric Company
  Common Stock 4,000 shares     126,077          
Geo Group Inc.
  Common Stock 5,000 shares     123,300          
Valeant Pharmaceuticals International Inc.
  Common Stock 4,350 shares     123,062          
Brocade Communications Systems Inc.
  Common Stock 23,250 shares     122,993          
Kinetic Concepts Inc.
  Common Stock 2,900 shares     121,452          
Circor International Inc.
  Common Stock 2,850 shares     120,498          
XL Group PLC
  Common Stock 5,500 shares     120,010          
Edison International
  Common Stock 3,100 shares     119,660          
Northgate Minerals Corporation
  Common Stock 36,000 shares     115,200          
Safeway Inc.
  Common Stock 5,100 shares     114,699          
Belden Inc.
  Common Stock 3,100 shares     114,142          
Cobalt International Energy Inc.
  Common Stock 9,300 shares     113,553          
Meadowbrook Insurance Group Inc.
  Common Stock 11,020 shares     112,955          
Forestar Group Inc.
  Common Stock 5,700 shares     110,010          
Tyco Electronics Ltd.
  Common Stock 3,100 shares     109,740          
Stancorp Financial Group Inc.
  Common Stock 2,350 shares     106,079          
Denbury Resources Inc.
  Common Stock 5,450 shares     104,041          
Manpower Inc.
  Common Stock 1,600 shares     100,416          
Chiquita Brands International Inc.
  Common Stock 7,120 shares     99,822          
Western Alliance Bancorporation
  Common Stock 13,450 shares     98,992          
Great Plains Energy Inc.
  Common Stock 5,100 shares     98,889          
Acergy SA
  Common Stock 4,000 shares     97,360          

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Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)
                     
Identity of Issue   Description of Investment   Current Value
 
                   
SM Energy Company
  Common Stock 1,650 shares     97,235          
RehabCare Group Inc.
  Common Stock 4,080 shares     96,696          
Regions Financial Corporation
  Common Stock 13,800 shares     96,600          
Keycorp
  Common Stock 10,800 shares     95,580          
People’s United Financial Inc.
  Common Stock 6,800 shares     95,268          
Reliance Steel & Aluminum Company
  Common Stock 1,800 shares     91,980          
Reinsurance Group of America Inc.
  Common Stock 1,700 shares     91,307          
Discover Financial Services
  Common Stock 4,900 shares     90,797          
Texas Capital Bancshares Inc.
  Common Stock 4,250 shares     90,398          
CNO Financial Group Inc.
  Common Stock 13,300 shares     90,174          
NXP Semiconductors
  Common Stock 4,300 shares     89,999          
Temple-Inland Inc.
  Common Stock 4,200 shares     89,208          
Super Valu Inc.
  Common Stock 9,200 shares     88,596          
Treehouse Foods Inc.
  Common Stock 1,725 shares     88,130          
Rent-A-Center Inc.
  Common Stock 2,700 shares     87,156          
Gardner Denver Inc.
  Common Stock 1,250 shares     86,025          
Scorpio Tankers Inc.
  Common Stock 8,490 shares     85,834          
Sun Trust Banks Inc.
  Common Stock 2,900 shares     85,579          
Genworth Financial Inc. Class A
  Common Stock 6,500 shares     85,410          
FTI Consulting Inc.
  Common Stock 2,230 shares     83,134          
Aurizon Mines Ltd.
  Common Stock 11,100 shares     81,252          
King Pharmaceuticals Inc.
  Common Stock 5,700 shares     80,085          
PHH Corporation
  Common Stock 3,400 shares     78,710          
Stone Energy Corporation
  Common Stock 3,500 shares     78,015          
ON Semiconductor Corporation
  Common Stock 7,800 shares     77,064          
Inverness Medical Innovations Inc.
  Common Stock 2,060 shares     75,396          
Aegean Marine Petroleum Network Inc.
  Common Stock 7,170 shares     74,783          
J.C. Penney Company Inc.
  Common Stock 2,300 shares     74,313          
Allied World Assurance Company Holdings
  Common Stock 1,250 shares     74,300          
Fifth Third Bancorp
  Common Stock 5,000 shares     73,400          
Northwest Bancshares Inc.
  Common Stock 6,100 shares     71,736          
Harsco Corporation
  Common Stock 2,400 shares     67,968          
Cathay General Bancorp Inc.
  Common Stock 4,000 shares     66,800          
Goodyear Tire & Rubber Company
  Common Stock 5,600 shares     66,360          
Arris Group Inc.
  Common Stock 5,900 shares     66,198          
Orbital Sciences Corporation
  Common Stock 3,800 shares     65,094          
Intrepid Potash Inc.
  Common Stock 1,700 shares     63,393          
Hanover Insurance Group Inc.
  Common Stock 1,350 shares     63,072          
ICU Medical Inc.
  Common Stock 1,710 shares     62,415          
Digital River Inc.
  Common Stock 1,790 shares     61,612          
Del Monte Foods Company
  Common Stock 3,270 shares     61,476          
Wausau Paper Corporation
  Common Stock 7,100 shares     61,131          
Hartford Financial Services Group Inc.
  Common Stock 2,300 shares     60,927          
Aspen Insurance Holdings
  Common Stock 2,050 shares     58,671          
Embraer SA
  Common Stock 1,900 shares     55,860          

28


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Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)
                     
Identity of Issue   Description of Investment   Current Value
 
                   
Wesco International Inc.
  Common Stock 1,050 shares     55,440          
Allstate Corporation
  Common Stock 1,700 shares     54,196          
Delphi Financial Group Inc. Class A
  Common Stock 1,870 shares     53,931          
Wabash National Corporation
  Common Stock 4,470 shares     52,970          
Digi International Inc.
  Common Stock 4,700 shares     52,170          
Royal Gold Inc.
  Common Stock 950 shares     51,899          
Swift Transportation Company Class A
  Common Stock 4,130 shares     51,666          
Libbey Inc.
  Common Stock 3,330 shares     51,515          
Assisted Living Concepts Inc. Class A
  Common Stock 1,570 shares     51,072          
FBR Capital Markets Corporation
  Common Stock 13,360 shares     51,035          
Middleby Corporation
  Common Stock 600 shares     50,652          
Aeroflex Holding Corporation
  Common Stock 3,030 shares     49,844          
Tutor Perini Corporation
  Common Stock 2,230 shares     47,744          
Boston Private Financial Holdings Inc.
  Common Stock 7,200 shares     47,160          
Capital One Financial Corporation
  Common Stock 1,100 shares     46,816          
Timken Company
  Common Stock 950 shares     45,344          
CDC Software Corporation
  Common Stock 7,130 shares     44,776          
Assurant Inc.
  Common Stock 1,150 shares     44,298          
Radian Group Inc.
  Common Stock 5,320 shares     42,932          
Validus Holding Ltd.
  Common Stock 1,400 shares     42,854          
Petroquest Energy Inc.
  Common Stock 5,650 shares     42,545          
Hackett Group Inc.
  Common Stock 12,000 shares     42,120          
Viewpoint Financial Group Inc.
  Common Stock 3,588 shares     41,944          
Highwoods Properties Inc.
  Common Stock 1,300 shares     41,405          
Lorillard Inc.
  Common Stock 500 shares     41,030          
Teleflex Inc.
  Common Stock 760 shares     40,896          
Accuray Inc.
  Common Stock 6,030 shares     40,703          
Penske Automotive Group Inc.
  Common Stock 2,290 shares     39,892          
WSFS Financial Corporation
  Common Stock 830 shares     39,375          
National Penn Bancshares Inc.
  Common Stock 4,890 shares     39,267          
Airtran Holdings Inc.
  Common Stock 5,310 shares     39,241          
Nelnet Inc. Class A
  Common Stock 1,650 shares     39,089          
SCBT Financial Corporation
  Common Stock 1,180 shares     38,645          
Ciber Inc.
  Common Stock 8,240 shares     38,563          
Home Bancshares Inc.
  Common Stock 1,750 shares     38,553          
National Semiconductor Corporation
  Common Stock 2,800 shares     38,528          
Brown Shoe Company Inc.
  Common Stock 2,750 shares     38,308          
Willis Group Holdings
  Common Stock 1,100 shares     38,093          
Maiden Holdings Ltd.
  Common Stock 4,780 shares     37,571          
Matrix Service Company
  Common Stock 2,990 shares     36,418          
Synovus Financial Corporation
  Common Stock 13,700 shares     36,168          
Beacon Roofing Supply Inc.
  Common Stock 1,980 shares     35,383          
Packaging Corporation of America
  Common Stock 1,350 shares     34,884          
Washington Real Estate Investment Trust
  Common Stock 1,100 shares     34,089          
Campus Crest Communities Inc.
  Common Stock 2,370 shares     33,227          

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Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)
                     
Identity of Issue   Description of Investment   Current Value
 
                   
Alterra Capital Holdings Inc.
  Common Stock 1,530 shares     33,109          
Starwood Property Trust Inc.
  Common Stock 1,540 shares     33,079          
Celadon Group Inc.
  Common Stock 2,220 shares     32,834          
Providence Service Corporation
  Common Stock 2,040 shares     32,783          
First Horizon National Corporation
  Common Stock 2,659 shares     31,323          
Magna International Inc. Class A
  Common Stock 600 shares     31,200          
UIL Corporation
  Common Stock 1,020 shares     30,559          
Simmons First National Corporation Class A
  Common Stock 1,050 shares     29,925          
Chimera Investment Corporation
  Common Stock 7,230 shares     29,715          
Casual Male Retail Group Inc.
  Common Stock 6,240 shares     29,578          
Renasant Corporation
  Common Stock 1,720 shares     29,085          
Colbs Mckinnon Corporation NY
  Common Stock 1,400 shares     28,448          
Bancorp Rhode Island Inc.
  Common Stock 970 shares     28,217          
THL Credit Inc.
  Common Stock 2,150 shares     27,972          
Medical Action Industries Inc.
  Common Stock 2,910 shares     27,878          
Interpublic Group Companies Inc.
  Common Stock 2,600 shares     27,612          
American Campus Communities Inc.
  Common Stock 860 shares     27,314          
RTI International Metals Inc.
  Common Stock 1,000 shares     26,980          
Newpark Resources Inc.
  Common Stock 4,360 shares     26,858          
Stealthgas Inc.
  Common Stock 3,350 shares     26,700          
Goodrich Petroleum Corporation
  Common Stock 1,430 shares     25,225          
Plantronics Inc.
  Common Stock 650 shares     24,193          
Lakeland Industries Inc.
  Common Stock 2,650 shares     23,188          
Generac Holdings Inc.
  Common Stock 1,430 shares     23,123          
Chatham Lodging Trust
  Common Stock 1,340 shares     23,115          
Stifel Financial Corporation
  Common Stock 365 shares     22,645          
Trinity Industries Inc.
  Common Stock 840 shares     22,352          
Alliant Techsystems Inc.
  Common Stock 300 shares     22,329          
Exactech Inc.
  Common Stock 1,180 shares     22,208          
Dole Food Company Inc.
  Common Stock 1,630 shares     22,021          
Novell Inc.
  Common Stock 3,700 shares     21,904          
Terex Corporation
  Common Stock 700 shares     21,728          
Approach Resources Inc.
  Common Stock 930 shares     21,483          
Zimmer Holdings Inc.
  Common Stock 400 shares     21,472          
PPL Corporation
  Common Stock 800 shares     21,056          
Harley Davidson
  Common Stock 600 shares     20,802          
America’s Car-Mart Inc.
  Common Stock 760 shares     20,581          
Pool Corporation
  Common Stock 910 shares     20,511          
Neutral Tandem Inc.
  Common Stock 1,400 shares     20,216          
Symantec Corporation
  Common Stock 1,200 shares     20,088          
Zoran Corporation
  Common Stock 2,280 shares     20,064          
RPM International Inc.
  Common Stock 900 shares     19,890          
Shoe Carnival Inc.
  Common Stock 710 shares     19,170          
California Water Service Group
  Common Stock 500 shares     18,635          
Dupont Fabros Technical Inc. REIT
  Common Stock 870 shares     18,505          

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Schedule H, line 4i – Schedule of Assets (Held at End of Year) (continued)
                     
Identity of Issue   Description of Investment   Current Value
 
                   
Granite Construction Inc.
  Common Stock 670 shares     18,378          
Lifepoint Hospitals Inc.
  Common Stock 500 shares     18,375          
Vectren Corporation
  Common Stock 710 shares     18,020          
Nicor Inc.
  Common Stock 360 shares     17,971          
Mantech International Corporation Class A
  Common Stock 430 shares     17,772          
Westar Energy Inc.
  Common Stock 700 shares     17,612          
Essa Bancorp Inc.
  Common Stock 1,330 shares     17,583          
PPG Industries Inc.
  Common Stock 200 shares     16,814          
United Financial Bancorp Inc.
  Common Stock 1,100 shares     16,797          
Home Federal Bancorp Inc.
  Common Stock 1,360 shares     16,687          
Kennedy-Wilson Holdings Inc.
  Common Stock 1,620 shares     16,184          
Encore Bancshares Inc.
  Common Stock 1,410 shares     14,467          
New Frontier Media Inc.
  Common Stock 8,240 shares     14,090          
Air Transport Services Group Inc.
  Common Stock 1,680 shares     13,272          
AMN Healthcare Services Inc.
  Common Stock 1,990 shares     12,219          
UGI Corporation
  Common Stock 380 shares     12,000          
Bridgepoint Education Inc.
  Common Stock 570 shares     10,830          
Graham Packaging Company Inc.
  Common Stock 800 shares     10,432          
US Airways Group Inc.
  Common Stock 1,030 shares     10,310          
Healthways Inc.
  Common Stock 920 shares     10,267          
Delek US Holdings Inc.
  Common Stock 1,400 shares     10,192          
Global Geophysical Services
  Common Stock 980 shares     10,172          
Republic Airways Holdings Inc.
  Common Stock 1,300 shares     9,516          
LECG Corporation
  Common Stock 6,640 shares     9,163          
Geomet Inc.
  Common Stock 7,710 shares     8,867          
Global Power Equipment Group Inc.
  Common Stock 370 shares     8,584          
Gomet Inc.
  Common Stock 691 shares     7,147          
Buckeye Technologies Inc.
  Common Stock 340 shares     7,143          
eResearch Technology Inc.
  Common Stock 940 shares     6,909          
Electronics For Imaging Inc.
  Common Stock 340 shares     4,865          
Mistras Group Inc.
  Common Stock 340 shares     4,583          
Great American Group Inc.
  Common Stock 7,930 shares     3,886          
Global Indemnity PLC
  Common Stock 160 shares     3,272          
Capitol Federal Financial Inc.
  Common Stock 100 shares     1,191          
 
               
Total Small-Mid Cap Value Asset Class
                14,243,982  
 
                   
Small-Mid Cap Index Asset Class:
                   
Blackrock Extended Equity Market Fund F*
  Common Collective Trust 175,515 units     5,049,573          
Northern Trust Collective Extended Equity Market Index Fund - Lending*
  Common Collective Trust 1,028 units     317,391          
 
               
Total Small-Mid Cap Index Asset Class
                5,366,964  
 
                   
Notes Receivable from Participants*
  Interest rates 4.25% - 12.66%             12,248,971  
 
               
 
                $ 152,248,868  
 
               
 
* Indicates party-in-interest

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Supplemental Schedule
The Retirement and Savings Plan for Amgen Manufacturing, Limited
EIN: 98-0210484 Plan: #001
December 31, 2010
Schedule H, line 4i – Schedule of Assets (Acquired and Disposed of Within Year)
             
        Proceeds of  
Identity of Issue   Description of Investment   Dispositions  
 
           
Henkel AG & Company
  Preferred Stock 1,850 shares   $ 105,094  
Compass Group
  Common Stock 10,540 shares     90,380  
Oversea-Chinese Banking Corporation
  Common Stock 11,350 shares     78,705  
Air Liquide
  Common Stock 629 shares     77,083  
SAP AG
  Common Stock 1,430 shares     74,658  
Mitsui O.S.K. Lines
  Common Stock 10,000 shares     65,047  
SABMiller PLC
  Common Stock 1,950 shares     62,301  
Rolls Royce Group
  Common Stock 6,420 shares     61,897  
Wolseley
  Common Stock 2,350 shares     49,278  
Carnival PLC
  Common Stock 1,400 shares     49,251  
Canadian Natural Resources
  Common Stock 1,500 shares     49,210  
Lloyds Banking Group Ltd.
  Common Stock 42,780 shares     47,272  
Rogers Communications Inc. Class B
  Common Stock 1,300 shares     47,267  
Adecco SA
  Common Stock 980 shares     46,563  
Tenaris SA
  Common Stock 2,200 shares     45,233  
Central Japan Railway Company
  Common Stock 6 shares     44,851  
Yamaha Motor Company
  Common Stock 3,000 shares     44,064  
Nitto Denko Corporation
  Common Stock 1,100 shares     42,455  
Wesfarmers Ltd.
  Common Stock 1,620 shares     40,911  
Toronto-Dominion Bank
  Common Stock 550 shares     40,387  
China Mobile Ltd.
  Common Stock 4,000 shares     40,097  
BG Group PLC
  Common Stock 2,230 shares     36,639  
Yara International
  Common Stock 1,000 shares     35,129  
InterContinental Hotels Group
  Common Stock 1,900 shares     33,971  
Nidec Corporation
  Common Stock 400 shares     33,750  
Makita Corporation
  Common Stock 1,000 shares     31,366  
Mediaset SpA
  Common Stock 5,330 shares     30,588  
Alfa Laval AB
  Common Stock 1,560 shares     27,545  
Olympus Corporation
  Common Stock 1,000 shares     26,496  
Rhodia
  Common Stock 940 shares     25,389  
Keyence Corporation
  Common Stock 100 shares     22,193  
Bank of China Hong Kong Holdings
  Common Stock 9,500 shares     21,879  
Charoen Pok Foods
  Common Stock 40,200 shares     21,368  
Petrobakken Energy Company Class A
  Common Stock 1,100 shares     20,290  
NSK Ltd.
  Common Stock 3,000 shares     19,089  
Incitec Pivot
  Common Stock 6,650 shares     16,307  
Indorama Ventures
  Common Stock 4,200 shares     5,111  

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SIGNATURES
          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.

         
      The Retirement and Savings Plan for
Amgen Manufacturing, Limited
(Name of Plan)
 
 
Date:        June 23, 2011             By:     /s/ JONATHAN M. PEACOCK    
      Jonathan M. Peacock   
      Executive Vice President and
  Chief Financial Officer
  Amgen Manufacturing, Limited 
 
 

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THE RETIREMENT AND SAVINGS PLAN FOR
AMGEN MANUFACTURING, LIMITED
INDEX TO EXHIBIT

Consent of Independent Registered Public Accounting Firm   Exhibit 23.1     

34