x
|
ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES
EXCHANGE ACT OF 1934
|
o
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TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES
EXCHANGE ACT OF 1934
|
A.
|
Full title of the plan and the address of the plan, if different from that of the issuer named
below:
|
B.
|
Name of issuer of the securities held pursuant to the plan and the address of its principal
executive office:
|
Page | ||
Reports of Independent Registered Public Accounting Firm . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
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3
|
|
Audited Financial Statements . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
|
||
Statements of Net Assets Available for Benefits . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
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5
|
|
Statement of Changes in Net Assets Available for Benefits . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
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6
|
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Notes to Financial Statements . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
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7
|
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Schedule *
|
||
Schedule H; Line 4i – Schedule of Assets (Held at End of Year) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
|
16
|
*
|
Other schedules required by Section 2520.103-10 of the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974 have been omitted because they are not applicable.
|
ASHLAND INC. EMPLOYEE SAVINGS PLAN
|
||||||||
STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS
|
||||||||
December 31
|
||||||||
2009
|
2008
|
|||||||
Assets
|
||||||||
Investments, at fair value
|
||||||||
Common stock
|
$ | 123,469,431 | $ | 29,044,753 | ||||
Shares of registered investment companies
|
561,529,410 | 443,064,892 | ||||||
Common/collective trust
|
10,450,807 | 8,354,419 | ||||||
Short-term investment fund
|
4,546,705 | 7,721,328 | ||||||
Investment contracts
|
194,541,114 | 162,217,606 | ||||||
Participant loans receivable
|
16,052,571 | 15,028,203 | ||||||
910,590,038 | 665,431,201 | |||||||
Receivables
|
||||||||
Contributions
|
- | 1,296,214 | ||||||
Receivable for pending transactions | 88,530,423 | - | ||||||
Proceeds from sales of securities
|
612,819 | 77,331 | ||||||
Total assets
|
999,733,280 | 666,804,746 | ||||||
Liabilities
|
||||||||
Payable for pending transactions | 89,322,079 | - | ||||||
Accrued expenses
|
551,749 | 460,868 | ||||||
Total liabilities | 89,873,828 | 460,868 | ||||||
Net assets available for benefits at fair value
|
909,859,452 | 666,343,878 | ||||||
Adjustment from fair value to contract value for fully
|
||||||||
benefit-responsive investment contracts
|
(11,492,015 | ) | 12,034,051 | |||||
Net assets available for benefits
|
$ | 898,367,437 | $ | 678,377,929 |
ASHLAND INC. EMPLOYEE SAVINGS PLAN
|
||||
STATEMENT OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS
|
||||
Year Ended December 31, 2009
|
||||
Additions to net assets attributed to:
|
||||
Investment income
|
||||
Dividends
|
$ | 12,761,196 | ||
Interest
|
8,079,830 | |||
Net realized and unrealized appreciation
|
||||
in fair value of investments
|
219,276,675 | |||
Contributions
|
||||
Participants
|
23,992,869 | |||
Employer
|
15,178,040 | |||
Rollover
|
2,571,925 | |||
Transfers from other plans
|
819,994 | |||
Total additions
|
282,680,529 | |||
Deductions from net assets attributed to:
|
||||
Benefits paid to participants
|
(61,919,039 | ) | ||
Administrative expenses
|
(771,982 | ) | ||
Total deductions
|
(62,691,021 | ) | ||
Net change in plan assets
|
219,989,508 | |||
Net assets available for benefits, beginning of year
|
678,377,929 | |||
Net assets available for benefits, end of year
|
$ | 898,367,437 |
Level 1
|
Level 2
|
Level 3
|
Total
|
|||||||||||||
Money Market Fund
|
$ | - | $ | 4,546,705 | $ | - | $ | 4,546,705 | ||||||||
Ashland Common Stock Fund
|
- | 123,469,431 | - | 123,469,431 | ||||||||||||
Mutual Funds
|
||||||||||||||||
Domestic Equity
|
285,323,886 | - | - | 285,323,886 | ||||||||||||
International Equity
|
74,340,837 | - | - | 74,340,837 | ||||||||||||
Bond/Fixed Income
|
45,790,618 | - | - | 45,790,618 | ||||||||||||
Lifecycle/Blended
|
125,709,334 | - | - | 125,709,334 | ||||||||||||
U.S. Government
|
25,906,416 | - | - | 25,906,416 | ||||||||||||
Convertible Securities
|
1,645,341 | - | - | 1,645,341 | ||||||||||||
Common/Collective Trust – Equity
|
- | 10,450,807 | - | 10,450,807 | ||||||||||||
Brokeragelink
|
- | 2,812,978 | - | 2,812,978 | ||||||||||||
Synthetic Investment Contracts:
|
||||||||||||||||
Cash Equivalents
|
- | 38,179,042 | - | 38,179,042 | ||||||||||||
Government Bonds/Notes
|
- | 17,864,620 | - | 17,864,620 | ||||||||||||
Non-U.S. Government Bonds
|
- | 3,381,447 | - | 3,381,447 | ||||||||||||
Corporate Bonds
|
- | 75,070,095 | - | 75,070,095 | ||||||||||||
Mutual Funds
|
4,750,985 | - | - | 4,750,985 | ||||||||||||
Mortgage-backed Securities
|
- | 52,008,497 | - | 52,008,497 | ||||||||||||
Futures Variation Margin Account
|
- | 865,641 | - | 865,641 | ||||||||||||
Other
|
- | 1,239,285 | - | 1,239,285 | ||||||||||||
Wrap Contracts
|
- | - | 1,181,502 | 1,181,502 | ||||||||||||
Participant Loans
|
- | - | 16,052,571 | 16,052,571 | ||||||||||||
Total
|
$ | 563,467,417 | $ | 329,888,548 | $ | 17,234,073 | $ | 910,590,038 | ||||||||
Level 1
|
Level 2
|
Level 3
|
Total
|
|||||||||||||
Mutual Funds
|
$ | 441,258,517 | $ | - | $ | - | $ | 441,258,517 | ||||||||
Ashland Common Stock Fund, brokerage accounts, Short-Term Investment Fund
|
- | 38,572,456 | - | 38,572,456 | ||||||||||||
Common/Collective Trust
|
- | 8,354,419 | - | 8,354,419 | ||||||||||||
Guaranteed Investment Contracts
|
- | - | 162,217,606 | 162,217,606 | ||||||||||||
Participant Loans
|
- | - | 15,028,203 | 15,028,203 | ||||||||||||
Total
|
$ | 441,258,517 | $ | 46,926,875 | $ | 177,245,809 | $ | 665,431,201 | ||||||||
Level 3 Assets
|
||||||||||||
Participant
Loans
|
GICs
|
Total
|
||||||||||
Balance at December 31, 2008
|
$ | 15,028,203 | $ | 162,217,606 | $ | 177,245,809 | ||||||
Realized and Unrealized Losses
|
- | 30,717,441 | 30,717,441 | |||||||||
Purchases, Sales, Issuances and Settlements, Net
|
1,024,368 | 814,411 | 1,838,779 | |||||||||
Transfer to Level 2 Assets
|
- | (192,567,956 | ) | (192,567,956 | ) | |||||||
Balance at December 31, 2009
|
$ | 16,052,571 | $ | 1,181,502 | $ | 17,234,073 | ||||||
December 31
|
||||||||||
2009
|
2008
|
|||||||||
Ashland Inc. Common Stock
|
$ | 123,469,431 | $ | 29,044,753 | ||||||
State Street Bank & Trust Contract
|
57,153,780 | - | ||||||||
Fidelity Contrafund
|
100,798,832 | 83,620,463 | ||||||||
Fidelity Equity-Income II Fund
|
- | 39,393,551 | ||||||||
Fidelity Low-Priced Stock Fund
|
- | 31,331,780 |
Ashland Inc. Common Stock
|
$ | 101,062,910 | ||||
Shares of registered investment companies
|
115,243,250 | |||||
Common/collective trust
|
2,970,515 | |||||
$ | 219,276,675 |
Ashland Inc. Common Stock
|
$ | 952,868 | ||||
Various other investments
|
11,808,328 | |||||
$ | 12,761,196 |
Contributions
|
Net Appreciation
|
Transfers to
participant-directed
investments
|
Other
|
December 31, 2009
|
||||||||||||||||
Ashland Inc. Common Stock
|
$ | 14,558,884 | $ | 2,724,775 | $ | (7,314,261 | ) | $ | (1,555,934 | ) | $ | 8,413,464 | ||||||||
December 31
|
||||||||||
2009
|
2008
|
|||||||||
Net assets available for benefits per financial statements
|
$ | 898,367,437 | $ | 678,377,929 | ||||||
Contract value in excess of fair value
|
11,492,015 | (12,034,051 | ) | |||||||
Benefit claims payable
|
(42,969 | ) | (19,503 | ) | ||||||
Accrued interest on deemed distributions of participant loans
|
(916,184 | ) | (749,135 | ) | ||||||
Net assets available for benefits per Form 5500
|
$ | 908,900,299 | $ | 665,575,240 |
Year Ended
|
||||||
December 31, 2009
|
||||||
Interest and dividend income
|
$ | 20,841,026 | ||||
Net realized/unrealized appreciation
|
219,276,675 | |||||
Total net investment appreciation per the financial statements
|
240,117,701 | |||||
Adjustment from contract value to fair value - current year
|
11,492,015 | |||||
Reversal of prior year contract value to fair value adjustment
|
12,034,051 | |||||
Total appreciation of investments per Form 5500
|
$ | 263,643,767 |
December 31
|
||||||||||
2009
|
2008
|
|||||||||
Benefits paid per financial statements
|
$ | 61,919,039 | $ | 100,034,814 | ||||||
Add: Benefit claims payable
|
42,969 | 19,503 | ||||||||
Benefits paid per Form 5500
|
$ | 61,962,008 | $ | 100,054,317 |
Ashland Inc. Employee Savings Plan
|
|||||||||
Employer Identification Number 20-0865835
|
|||||||||
Plan Number 010
|
|||||||||
Schedule H; Line 4i - Schedule of Assets (Held at End of Year)
|
|||||||||
December 31, 2009
|
Identity of Issue |
Description of
Investment
|
Cost^ |
Current
Value
|
||||||||
Common Stock:
|
|||||||||||
* Ashland Inc. Common Stock
|
Company Stock Fund
|
96,030,882 | 123,469,431 | ||||||||
Shares of Registered Investment Companies:
|
|||||||||||
*Allianz CCM Mid-Cap I
|
Registered Investment Company
|
5,327,624 | |||||||||
*Allianz NFJ Small Cap Pval I
|
Registered Investment Company
|
4,493,484 | |||||||||
Ariel Fund
|
Registered Investment Company
|
1,840,088 | |||||||||
Baron Asset Fund
|
Registered Investment Company
|
2,512,727 | |||||||||
Baron Growth Fund
|
Registered Investment Company
|
5,893,483 | |||||||||
Brokeragelink
|
Registered Investment Company
|
2,812,978 | |||||||||
* Fidelity Balanced K
|
Registered Investment Company
|
5,535,774 | |||||||||
* Fidelity Blue Chip Growth K
|
Registered Investment Company
|
18,140,153 | |||||||||
* Fidelity Canada Fund
|
Registered Investment Company
|
7,710,074 | |||||||||
* Fidelity Capital Appreciation K
|
Registered Investment Company
|
3,754,105 | |||||||||
* Fidelity Capital & Income Fund
|
Registered Investment Company
|
5,735,232 | |||||||||
* Fidelity China Region Fund
|
Registered Investment Company
|
7,518,307 | |||||||||
* Fidelity Convertible Securities Fund
|
Registered Investment Company
|
1,645,341 | |||||||||
* Fidelity Contra Fund K
|
Registered Investment Company
|
100,798,832 | |||||||||
* Fidelity Diversified Intl K
|
Registered Investment Company
|
7,919,922 | |||||||||
* Fidelity Emerging Markets K
|
Registered Investment Company
|
6,686,103 | |||||||||
* Fidelity Equity Income II Fund K
|
Registered Investment Company
|
44,886,677 | |||||||||
* Fidelity Export & Multinational K
|
Registered Investment Company
|
6,377,060 | |||||||||
* Fidelity Freedom 2005
|
Registered Investment Company
|
13,568,551 | |||||||||
* Fidelity Freedom 2010 Fund
|
Registered Investment Company
|
12,762,213 | |||||||||
* Fidelity Freedom 2015
|
Registered Investment Company
|
24,252,476 | |||||||||
* Fidelity Freedom 2020 fund
|
Registered Investment Company
|
25,280,224 | |||||||||
* Fidelity Freedom 2025
|
Registered Investment Company
|
19,281,506 | |||||||||
* Fidelity Freedom 2030 Fund
|
Registered Investment Company
|
14,227,899 | |||||||||
* Fidelity Freedom 2035
|
Registered Investment Company
|
8,780,476 | |||||||||
* Fidelity Freedom 2040 Fund
|
Registered Investment Company
|
5,272,673 | |||||||||
* Fidelity Freedom 2045
|
Registered Investment Company
|
1,333,291 | |||||||||
* Fidelity Freedom 2050 Fund
|
Registered Investment Company
|
950,025 | |||||||||
* Fidelity Government Income Fund
|
Registered Investment Company
|
23,797,602 | |||||||||
* Fidelity International Discovery
|
Registered Investment Company
|
5,264,580 | |||||||||
* Fidelity International Small Cap
|
Registered Investment Company
|
3,020,654 | |||||||||
* Fidelity Japan Fund
|
Registered Investment Company
|
271,353 | |||||||||
* Fidelity Japan Smaller Companies Fund
|
Registered Investment Company
|
188,466 | |||||||||
* Fidelity Latin America Fund
|
Registered Investment Company
|
14,666,164 | |||||||||
* Fidelity Low Priced Stock Fund K
|
Registered Investment Company
|
42,545,061 | |||||||||
* Fidelity New Markets Income Fund
|
Registered Investment Company
|
5,618,693 | |||||||||
* Fidelity Overseas K
|
Registered Investment Company
|
14,066,976 | |||||||||
* Fidelity Real Estate Investment Portfolio
|
Registered Investment Company
|
3,911,093 | |||||||||
* Fidelity Small Cap Stock Fund
|
Registered Investment Company
|
2,372,652 | |||||||||
* Fidelity Strategic Income Fund
|
Registered Investment Company
|
3,318,622 | |||||||||
* Fidelity Utilities Fund
|
Registered Investment Company
|
1,094,211 | |||||||||
* Fidelity Value K
|
Registered Investment Company
|
7,020,546 | |||||||||
Franklin Sm/Mid Cap Growth AD
|
Registered Investment Company
|
10,586,855 | |||||||||
Managers Bond Fund
|
Registered Investment Company
|
4,816,257 | |||||||||
Neuberger Berman Partners Inst
|
Registered Investment Company
|
2,046,687 | |||||||||
* PIM Total RT Inst
|
Registered Investment Company
|
20,056,563 | |||||||||
* PIM LT US Govt Inst
|
Registered Investment Company
|
2,108,814 | |||||||||
Royce Low Pr Stock IS
|
Registered Investment Company
|
2,700,782 | |||||||||
Templeton Growth - Adv
|
Registered Investment Company
|
2,350,472 | |||||||||
Templeton Developing Markets Adv
|
Registered Investment Company
|
1,409,643 | |||||||||
Templeton Global Bond Adv
|
Registered Investment Company
|
11,863,944 | |||||||||
The Oakmark Equity and Income Fund
|
Registered Investment Company
|
6,863,670 | |||||||||
The Oakmark Select Fund
|
Registered Investment Company
|
4,271,752 | |||||||||
Total Shares of Registered Investment Companies
|
561,529,410 | ||||||||||
Common/Collective Trust
|
|||||||||||
* Fidelity US Equity Index Commingled Pool
|
Common/Collective Trust
|
10,450,807 | |||||||||
Short-term Investment Fund
|
|||||||||||
* Fidelity Management Trust Company Institutional
|
|||||||||||
Cash Portfolio
|
Short-term Investment Fund
|
4,546,705 | |||||||||
Investment Contracts at Fair Value
|
|||||||||||
BRITISH POUND STERLING
|
Cash Equivalent
|
(4,732,763 | ) | ||||||||
EUROPEAN MONETARY UNION EURO
|
Cash Equivalent
|
(3,457,710 | ) | ||||||||
CHINESE - YUAN RENMINBI NDF
|
Cash Equivalent
|
(2,745,253 | ) | ||||||||
EUROPEAN MONETARY UNION EURO
|
Cash Equivalent
|
(2,504,989 | ) | ||||||||
BRAZILIAN REAL-NDF
|
Cash Equivalent
|
(724,569 | ) | ||||||||
BRITISH POUND STERLING
|
Cash Equivalent
|
(340,531 | ) | ||||||||
CHINESE - YUAN RENMINBI NDF
|
Cash Equivalent
|
(118,252 | ) | ||||||||
STIF FUND (BRL)
|
Cash Equivalent
|
1 | |||||||||
STIF FUND (AUD) 6152 **RNA**
|
Cash Equivalent
|
4,201 | |||||||||
STIF FUND (CAD)
|
Cash Equivalent
|
18,964 |
Ashland Inc. Employee Savings Plan
|
|||||||||
Employer Identification Number 20-0865835
|
|||||||||
Plan Number 010
|
|||||||||
Schedule H; Line 4i - Schedule of Assets (Held at End of Year)
|
|||||||||
December 31, 2009
|
Identity of Issue |
Description of
Investment
|
Cost^ |
Current
Value
|
CHINESE - YUAN RENMINBI NDF
|
Cash Equivalent
|
111,014 | ||||||||
CHINESE - YUAN RENMINBI NDF
|
Cash Equivalent
|
118,252 | ||||||||
FINL FUTURES MAINTENANCE (GBP) - 6152
|
Cash Equivalent
|
131,267 | ||||||||
CITIGROUP INC SR UNSEC FRN EMTN
|
Cash Equivalent
|
135,558 | ||||||||
FINL FUTURES MAINTENANCE ACCT
|
Cash Equivalent
|
316,783 | ||||||||
FIDELITY MGMT TR OVRNT RT GBP**RNA**
|
Cash Equivalent
|
364,572 | ||||||||
AMERICAN EXPRESS CREDIT SR UNSEC FRN
|
Cash Equivalent
|
394,757 | ||||||||
CHINESE - YUAN RENMINBI NDF
|
Cash Equivalent
|
398,243 | ||||||||
SLMA 2008-1 A1 3MLIB+25
|
Cash Equivalent
|
411,899 | ||||||||
FINL FUTURES MAINTENANCE (EUR)
|
Cash Equivalent
|
417,592 | ||||||||
U S TREASURY BILLS
|
Cash Equivalent
|
429,974 | ||||||||
SSBANK SHORT TERM INVESTMENT FUND
|
Cash Equivalent
|
433,112 | ||||||||
FIDELITY MGMT OVRNT RT EUR**RNA**
|
Cash Equivalent
|
708,767 | ||||||||
BRAZILIAN REAL-NDF
|
Cash Equivalent
|
726,739 | ||||||||
NATIONAL AUSTRALIA BANK FRN BD 144A
|
Cash Equivalent
|
900,115 | ||||||||
US BANCORP SR UNSEC FRN
|
Cash Equivalent
|
900,414 | ||||||||
CITIGROUP INC SR UNSECURED FRN EMTN
|
Cash Equivalent
|
936,160 | ||||||||
BANK OF AMERICA NA GLBL FRN BKN1
|
Cash Equivalent
|
1,002,046 | ||||||||
MORGAN STANLEY SR UNSECURED MTN FRN
|
Cash Equivalent
|
1,007,280 | ||||||||
LLOYDS TSB BANK PLC GOV GTD BK EMTN
|
Cash Equivalent
|
1,008,020 | ||||||||
AMERICAN EXPRESS CENTURION SR UNSEC FRN
|
Cash Equivalent
|
1,067,960 | ||||||||
CASH COLLATERAL DOM MSF SLH USD
|
Cash Equivalent
|
1,320,000 | ||||||||
BRITISH POUND STERLING
|
Cash Equivalent
|
1,656,709 | ||||||||
CATERPILLAR FIN SERV CRP FRN MTN
|
Cash Equivalent
|
1,714,809 | ||||||||
BARCLAYS BK NY YCD FRN
|
Cash Equivalent
|
1,898,873 | ||||||||
PSEG 1ST MTG FRN
|
Cash Equivalent
|
2,002,990 | ||||||||
CHINESE - YUAN RENMINBI NDF
|
Cash Equivalent
|
2,745,253 | ||||||||
CHINESE - YUAN RENMINBI NDF
|
Cash Equivalent
|
2,768,379 | ||||||||
MLCC 2005-2 1A ARM 6MLIB+125
|
Cash Equivalent
|
2,980,349 | ||||||||
GECC SR UNSEC FRN
|
Cash Equivalent
|
3,802,250 | ||||||||
FEDERAL HOME LOAN BANK DISC NT
|
Cash Equivalent
|
9,497,118 | ||||||||
U S AGENCY REPO
|
Cash Equivalent
|
10,800,000 | ||||||||
UNINVESTED CASH
|
Cash Equivalent
|
1,356,357 | ||||||||
ILFC SR UNSEC FRN MTN
|
Corporate
|
77,983 | ||||||||
AIG NT GLBL
|
Corporate
|
82,865 | ||||||||
AIG GLBL NT
|
Corporate
|
99,354 | ||||||||
RBS 144A***FLAT***
|
Corporate
|
166,708 | ||||||||
BANK OF AMERICA CORP GLBL SR NT
|
Corporate
|
205,127 | ||||||||
GECC GLBL SR NT
|
Corporate
|
278,678 | ||||||||
WACHOVIA BANK NA GLBL SUBORDINATED FRN
|
Corporate
|
359,440 | ||||||||
ILFC SR UNSEC MTN
|
Corporate
|
367,642 | ||||||||
WELLS FARGO & CO JR SUBORD K
|
Corporate
|
503,750 | ||||||||
GOLDMAN SACHS GROUP INC GLBL SR NT
|
Corporate
|
537,026 | ||||||||
LEHMAN BROS HLDGS SR UNS **DEF 1/24/13*
|
Corporate
|
546,000 | ||||||||
BEAR STEARNS CO INC GLBL NT SDF
|
Corporate
|
550,755 | ||||||||
BEAR STEARNS CO INC MTN NT
|
Corporate
|
558,974 | ||||||||
BNP PARIBAS 144A FRN
|
Corporate
|
744,000 | ||||||||
AMERICAN EXPRESS GLBL SR NT
|
Corporate
|
772,108 | ||||||||
AUTOZONE SR UNSECURED
|
Corporate
|
865,262 | ||||||||
CARDINAL HEALTH INC GLBL SR UNSECURED
|
Corporate
|
917,899 | ||||||||
AEP SR UNSECURED
|
Corporate
|
933,413 | ||||||||
SMFG PREFERRED CAPITAL 3 NT PFD 144A
|
Corporate
|
937,057 | ||||||||
OVERSEAS PRIVATE INV COR US GOVT GTD
|
Corporate
|
1,011,381 | ||||||||
BARCLAYS BANK PLC 144A NT
|
Corporate
|
1,017,500 | ||||||||
SFEF GOV GTD LIQ 144A
|
Corporate
|
1,020,482 | ||||||||
GECC GLBL SR UNSEC MTN
|
Corporate
|
1,035,981 | ||||||||
AUTOZONE SR NT
|
Corporate
|
1,085,500 | ||||||||
COMPUTER SCIENCES CORP GLBL SR UNSEC
|
Corporate
|
1,093,046 | ||||||||
PETROBRAS INTL FIN CO GLBL CO GTD
|
Corporate
|
1,157,812 | ||||||||
SLM CORP
|
Corporate
|
1,241,058 | ||||||||
OVERSEAS PRIVATE INV COR NT B
|
Corporate
|
1,355,357 | ||||||||
HOSPITALITY PROP TRUST
|
Corporate
|
1,649,621 | ||||||||
BARCLAYS BANK PLC SUBORDINATED
|
Corporate
|
1,660,065 | ||||||||
MARRIOTT INTL SR NT
|
Corporate
|
1,746,328 |
Ashland Inc. Employee Savings Plan
|
|||||||||
Employer Identification Number 20-0865835
|
|||||||||
Plan Number 010
|
|||||||||
Schedule H; Line 4i - Schedule of Assets (Held at End of Year)
|
|||||||||
December 31, 2009
|
Identity of Issue |
Description of
Investment
|
Cost^ |
Current
Value
|
|
MACQUARIE BANK LTD NT 144A
|
Corporate
|
1,806,163 | |||||||
VOLVO TREASURY AB NT 144A
|
Corporate
|
1,859,522 | ||||||||
GATX FIN INC NT
|
Corporate
|
1,886,800 | ||||||||
MERRILL LYNCH & CO NT MTN
|
Corporate
|
1,942,477 | ||||||||
AMERICAN GEN FIN MTN
|
Corporate
|
2,085,918 | ||||||||
MARSH & MCLENNAN COS INC
|
Corporate
|
2,089,064 | ||||||||
HOME DEPOT INC GLBL SR UNSEC
|
Corporate
|
2,096,456 | ||||||||
PEARSON DOLLAR FIN PLC (U.K.) GTD 144A
|
Corporate
|
2,113,762 | ||||||||
OMNICOM GROUP INC CO GTD
|
Corporate
|
2,133,046 | ||||||||
PACTIV CORP SR UNSUB
|
Corporate
|
2,317,025 | ||||||||
MACYS INC
|
Corporate
|
2,450,000 | ||||||||
KRAFT FOODS INC NT
|
Corporate
|
2,633,043 | ||||||||
DOW CHEMICAL COMPANY NT
|
Corporate
|
2,645,591 | ||||||||
YUM BRANDS INC GLBL SR UNSECURED
|
Corporate
|
2,731,428 | ||||||||
CITIGROUP INC NT
|
Corporate
|
2,819,704 | ||||||||
SWEDBANK AB GOV GTD 144A
|
Corporate
|
3,066,210 | ||||||||
NISOURCE FINANCE CORP CO GTD
|
Corporate
|
3,349,384 | ||||||||
AIG GLBL SR UNSECURED WI
|
Corporate
|
3,384,911 | ||||||||
CON-WAY INC SR UNSEC
|
Corporate
|
3,437,930 | ||||||||
NABORS INDUSTRIES GLBL CO GTD
|
Corporate
|
3,643,493 | ||||||||
AEP SNR NS BP CBK
|
Credit Default Swap
|
(4,253 | ) | |||||||
AMERICAN GENERAL FINANCE NS BP GST
|
Credit Default Swap
|
1,039,731 | ||||||||
AUTOZONE NEGB NS BP BOA
|
Credit Default Swap
|
(5,437 | ) | |||||||
AUTOZONE NEGB NS BP BOA
|
Credit Default Swap
|
(14,462 | ) | |||||||
CARDINAL HEALTH NS BP UAG
|
Credit Default Swap
|
(433 | ) | |||||||
CDX IG10 10Y BP DUB
|
Credit Default Swap
|
(40,864 | ) | |||||||
CDX IG10 10Y BP GST
|
Credit Default Swap
|
(62,999 | ) | |||||||
CDX IG9 5Y 15-30% SP MYC
|
Credit Default Swap
|
12,816 | ||||||||
CON-WAY INC NEGB NS BP BOA
|
Credit Default Swap
|
(85,278 | ) | |||||||
GATX FIN NS BP BRC
|
Credit Default Swap
|
18,633 | ||||||||
HOME DEPOT NEGB SNR NS BP GST
|
Credit Default Swap
|
(148,802 | ) | |||||||
HOSPITALITY PROP TRUST NS BP MYC
|
Credit Default Swap
|
(1,852 | ) | |||||||
KRAFT FOODS INC NEGB SNR NS BP RYL
|
Credit Default Swap
|
(40,184 | ) | |||||||
MACYS INC NEGB SNR NS BP RYL
|
Credit Default Swap
|
(23,016 | ) | |||||||
MARRIOTT INTERNATIONAL NEGB NS BP BOA
|
Credit Default Swap
|
(91,911 | ) | |||||||
MARSH & MCLENNAN NEGB NS BP BOA
|
Credit Default Swap
|
(49,766 | ) | |||||||
NABORS INDUSTRIES NEGB NS BP CBK
|
Credit Default Swap
|
38,093 | ||||||||
NABORS INDUSTRIES NEGB NS BP GST
|
Credit Default Swap
|
(9,007 | ) | |||||||
NISOURCE NEGB NS BP CBK
|
Credit Default Swap
|
13,610 | ||||||||
OMNICOM GROUP NEGB NS BP CBK
|
Credit Default Swap
|
(31,262 | ) | |||||||
PACTIV NS BP BOA
|
Credit Default Swap
|
(9,395 | ) | |||||||
PEARSON DOLLAR NEGB NS BP MYC
|
Credit Default Swap
|
(26,146 | ) | |||||||
TARGET CORP NEGB NS NS BP GST
|
Credit Default Swap
|
(65,236 | ) | |||||||
TARGET CORP NEGB NS NS BP MYC
|
Credit Default Swap
|
(67,660 | ) | |||||||
VIACOM NEGB SNR NS BP BOA
|
Credit Default Swap
|
(170,411 | ) | |||||||
YUM BRANDS NS BP UAG
|
Credit Default Swap
|
(55,934 | ) | |||||||
QATAR (STATE OF) SR NT 144A
|
Govt-Non US
|
1,007,500 | ||||||||
BUNDESREPUB. DEUTSCHLAND BD
|
Govt-Non US
|
2,373,947 | ||||||||
LSI OPEN POSITION NET ASSET
|
MoneyMarket/Currency
|
14,848 | ||||||||
SLH COLLATERAL DOM FWD LIBAILITY
|
MoneyMarket/Currency
|
(1,320,066 | ) | |||||||
SLH OPEN POSITION NET ASSET
|
MoneyMarket/Currency
|
487,193 | ||||||||
FNMA PASS THRU MTG #888221
|
Mortgage
|
79,562 | ||||||||
FNMA PASS THRU MTG #937284
|
Mortgage
|
209,757 | ||||||||
FNMA PASS THRU MTG #894662
|
Mortgage
|
412,110 | ||||||||
FNMA PASS THRU MTG #938503
|
Mortgage
|
444,674 | ||||||||
FNMA PASS THRU MTG #735578
|
Mortgage
|
459,607 | ||||||||
FNMA PASS THRU MTG #918890
|
Mortgage
|
488,859 | ||||||||
FNMA PASS THRU MTG #940185
|
Mortgage
|
503,548 | ||||||||
FNMA PASS THRU MTG #952574
|
Mortgage
|
633,641 | ||||||||
FNMA PASS THRU MTG #938802
|
Mortgage
|
639,542 | ||||||||
FNMA PASS THRU MTG #940747
|
Mortgage
|
935,820 | ||||||||
FNMA PASS THRU MTG #745515
|
Mortgage
|
1,010,478 | ||||||||
FNMA TBA 5.0% MAR
|
Mortgage
|
1,019,063 | ||||||||
GNMA I TBA 6.00% JAN
|
Mortgage
|
1,056,719 | ||||||||
FNMA PASS THRU MTG #889119
|
Mortgage
|
1,183,221 | ||||||||
FNMA PASS THRU MTG #889076
|
Mortgage
|
1,902,037 | ||||||||
FNMA PASS THRU MTG #AD0248
|
Mortgage
|
2,992,944 | ||||||||
FNMA PASS THRU MTG #990300
|
Mortgage
|
4,024,358 | ||||||||
FNMA PASS THRU MTG #889970
|
Mortgage
|
5,111,947 | ||||||||
FNMA TBA 4% JAN 30YR
|
Mortgage
|
6,759,375 | ||||||||
FNMA PASS THRU MTG #AD0245
|
Mortgage
|
6,923,528 | ||||||||
FNMA PASS THRU MTG #735578
|
Mortgage
|
15,217,706 | ||||||||
CHICAGO TRANSIT AUTH
|
Municipals
|
1,061,780 | ||||||||
CHICAGO TRANSIT AUTH
|
Municipals
|
1,698,848 | ||||||||
CBOT ACAL USTN FUT 2/10 @ 119
|
Option
|
(63 | ) | |||||||
CBOT ACAL USTN FUT 3/10@ 120
|
Option
|
(2,297 | ) | |||||||
CBOT APUT USTN FUT 2/10 @ 116
|
Option
|
(22,969 | ) | |||||||
CBOT APUT USTN FUT 3/10 @ 115
|
Option
|
(47,469 | ) |
Ashland Inc. Employee Savings Plan
|
|||||||||
Employer Identification Number 20-0865835
|
|||||||||
Plan Number 010
|
|||||||||
Schedule H; Line 4i - Schedule of Assets (Held at End of Year)
|
|||||||||
December 31, 2009
|
Identity of Issue |
Description of
Investment
|
Cost^ |
Current
Value
|
IRO USD 10Y C 3.2500 02/17/10 BRC
|
Option
|
(344 | ) | |||||||
IRO USD 10Y C 3.2500 02/17/10 MYC
|
Option
|
(626 | ) | |||||||
IRO USD 10Y C 3.2500 04/19/10 BOA
|
Option
|
(5,024 | ) | |||||||
IRO USD 10Y C 3.2500 04/19/10 BRC
|
Option
|
(4,127 | ) | |||||||
IRO USD 10Y C 3.2500 04/19/10 DUB
|
Option
|
(5,203 | ) | |||||||
IRO USD 10Y P 10.000 07/10/12 BRC
|
Option
|
(457 | ) | |||||||
IRO USD 10Y P 10.000 07/10/12 MYC
|
Option
|
(12,804 | ) | |||||||
IRO USD 10Y P 10.000 07/10/12 RYL
|
Option
|
(1,372 | ) | |||||||
IRO USD 10Y P 4.0000 02/17/10 BRC
|
Option
|
(18,424 | ) | |||||||
IRO USD 10Y P 4.2500 04/19/10 BOA
|
Option
|
(53,690 | ) | |||||||
IRO USD 10Y P 4.2500 04/19/10 BRC
|
Option
|
(44,103 | ) | |||||||
IRO USD 10Y P 4.2500 04/19/10 DUB
|
Option
|
(55,608 | ) | |||||||
IRO USD 10Y P 4.2500 04/19/10 RYL
|
Option
|
(38,350 | ) | |||||||
IRO USD 7Y C 2.7500 04/19/10 DUB
|
Option
|
(5,386 | ) | |||||||
IRO USD 7Y C 2.7500 04/19/10 MYC
|
Option
|
(979 | ) | |||||||
IRO USD 7Y P 4.0000 04/19/10 DUB
|
Option
|
(61,604 | ) | |||||||
IRO USD 7Y P 4.0000 04/19/10 MYC
|
Option
|
(11,205 | ) | |||||||
OTC ECAL FN 5.0% 3/39 @ 104:05 GSC
|
Option
|
(1,140 | ) | |||||||
AIG CONVERT NEW MONEY
|
Preferred
|
136,949 | ||||||||
WELLS FARGO & CO CONV NEW MONEY L
|
Preferred
|
1,377,000 | ||||||||
PIMCO PRIV EMERG MKT SECT(781)
|
Sector Fund
|
767,543 | ||||||||
PIMCO PRV DVLPNG LCL MKT(718)
|
Sector Fund
|
3,983,442 | ||||||||
U S TREASURY NOTE
|
US Treasury
|
35,074 | ||||||||
U S TREASURY BOND
|
US Treasury
|
47,119 | ||||||||
U S TREASURY NOTE
|
US Treasury
|
74,136 | ||||||||
U S TREASURY BOND
|
US Treasury
|
133,719 | ||||||||
U S TREASURY BOND
|
US Treasury
|
136,203 | ||||||||
U S TREASURY NOTE
|
US Treasury
|
192,609 | ||||||||
U S TREASURY NOTE
|
US Treasury
|
330,606 | ||||||||
U S TREASURY NOTE
|
US Treasury
|
406,282 | ||||||||
U S TREASURY NOTE
|
US Treasury
|
524,219 | ||||||||
U S TREASURY NOTE
|
US Treasury
|
592,641 | ||||||||
U S TREASURY BOND
|
US Treasury
|
672,188 | ||||||||
U S TREASURY NOTE
|
US Treasury
|
673,535 | ||||||||
U S TREASURY BOND
|
US Treasury
|
1,801,922 | ||||||||
U S TREASURY BOND
|
US Treasury
|
1,816,344 | ||||||||
U S TREASURY NOTE
|
US Treasury
|
3,271,889 | ||||||||
U S TREASURY BOND
|
US Treasury
|
4,395,506 | ||||||||
NATIXIS WRAPPER
|
Investment Contracts
|
219,121 | ||||||||
AEGON WRAPPER
|
Investment Contracts
|
111,369 | ||||||||
STATE STREET WRAPPER
|
Investment Contracts
|
349,158 | ||||||||
ING LIFE & ANNUITY CO. WRAPPER
|
Investment Contracts
|
114,324 | ||||||||
JP MORGAN CHASE CO. WRAPPER
|
Investment Contracts
|
196,138 | ||||||||
UBS AG WRAPPER
|
Investment Contracts
|
191,392 | ||||||||
Total Investment Contracts
|
194,541,114 | |||||||||
Participant Loans, maturity dates through February 2015 and annual interest rates of 4.25% and 9.25%.
|
16,052,571 | |||||||||
$ | 910,590,038 | |||||||||
__________________
|
||||||||||
*
|
Indicates parties-in-interest to the Plan
|
|||||||||
^
|
Required for nonparticipant-directed investments only
|
ASHLAND INC. EMPLOYEE SAVINGS PLAN
|
|
|
|
Date: June 28, 2010 |
By /s/ Lamar M. Chambers
|
Lamar M. Chambers
|
|
Senior Vice President and Chief Financial
Officer of Ashland Inc.
Chairperson of the Ashland Inc. Investment and
Administrative Oversight Committee
|
23.1
|
Consent of PricewaterhouseCoopers LLP
|
23.2 |
Consent of Ernst & Young LLP
|