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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, 2003

OR

     
[ ]
  TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES
EXCHANGE ACT OF 1934

           For the transition period from                      to                     

Commission file number 1-82

PHELPS DODGE EMPLOYEE SAVINGS PLAN


PHELPS DODGE CORPORATION


One North Central Avenue
Phoenix, Arizona 85004

 


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SIGNATURES

The Plan. Pursuant to the requirements of the Securities Exchange Act of 1934, the Benefits Administration Committee has duly caused this Annual Report to be signed by the undersigned hereunto duly authorized.

             
    PHELPS DODGE EMPLOYEE SAVINGS PLAN
 
           
Date: June 25, 2004
  By:   /s/David L. Pulatie    
     
 
   
      David L. Pulatie, Chairman    
      Benefits Administration Committee    

 


Phelps Dodge Employee Savings Plan
Index
December 31, 2003 and 2002

         
    Page
    1  
    2  
    3  
    4  
       
    10  
 EX-23

*   Other schedules required by Section 2520.103-10 of the Department of Labor’s Rules and Regulations for Reporting and Disclosure under ERISA have been omitted because they are not applicable

 


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Report of Independent Registered Public Accounting Firm

To the Benefits Administration Committee and Participants
of the Phelps Dodge Employee Savings Plan

In our opinion, the accompanying statement of net assets available for benefits and the related statement of changes in net assets available for benefits present fairly, in all material respects, the net assets available for benefits of the Phelps Dodge Employee Savings Plan at December 31, 2003 and 2002, and the changes in net assets available for benefits for the year ended December 31, 2003 in conformity with accounting principles generally accepted in the United States of America. These financial statements are the responsibility of the Benefits Administration Committee (the “Committee”); our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these statements 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. An audit 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 the Committee, and evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.

Our audits were conducted for the purpose of forming an opinion on the basic financial statements taken as a whole. The supplemental schedule of assets (held at end of year) is presented for the purpose of additional analysis and is not a required part of the basic financial statements but is 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. The supplemental schedule is the responsibility of the Committee. The supplemental schedule has been subjected to the auditing procedures applied in the audits of the basic financial statements and, in our opinion, is fairly stated in all material respects in relation to the basic financial statements taken as a whole.

/s/PricewaterhouseCoopers LLP
Phoenix, Arizona
June 18, 2004

 


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Phelps Dodge Employee Savings Plan

Statement of Net Assets Available for Benefits
December 31, 2003 and 2002
(in thousands)
                 
    2003
  2002
Assets
               
Investments
  $ 541,806     $ 409,858  
Employee contributions receivable
    268       243  
Employer contributions receivable
    490       499  
Employer profit sharing contribution receivable
    5,234       4,067  
Interest receivable
          361  
 
   
 
     
 
 
Net assets available for benefits
  $ 547,798     $ 415,028  
 
   
 
     
 
 

The accompanying notes are an integral part of these financial statements.

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Phelps Dodge Employee Savings Plan

Statement of Changes in Net Assets Available for Benefits
For the Year Ended December 31, 2003
(in thousands)
         
Additions to net assets attributed to:
       
Investment income:
       
Net appreciation in fair value of investments
  $ 126,505  
Interest and dividends
    11,012  
 
   
 
 
 
    137,517  
 
   
 
 
Contributions:
       
Participant contributions
    24,911  
Employer matching contributions
    11,264  
Employer profit sharing contribution
    5,234  
 
   
 
 
 
    41,409  
 
   
 
 
Total additions, net
    178,926  
 
   
 
 
Deductions from net assets attributed to:
       
Distributions to participants and beneficiaries
    45,703  
Administrative expenses
    453  
 
   
 
 
Total deductions
    46,156  
 
   
 
 
Increase in net assets
    132,770  
Net assets available for benefits at December 31, 2002
    415,028  
 
   
 
 
Net assets available for benefits at December 31, 2003
  $ 547,798  
 
   
 
 

The accompanying notes are an integral part of these financial statements.

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Phelps Dodge Employee Savings Plan

Notes to Financial Statements

1.   Description of Plan
 
    General
 
    The Phelps Dodge Employee Savings Plan (the Plan) is a defined contribution plan established for the benefit of eligible employees (the Participants) of Phelps Dodge Corporation (the Corporation). The Plan is subject to the provisions of the Employee Retirement Income Security Act of 1974 (ERISA), as amended. A brief description of the Plan is included in the following paragraphs. Participants should refer to the Plan document for a complete description of Plan provisions.
 
    Administration
 
    The Plan is sponsored by the Corporation and administered by the Benefits Administration Committee (the Committee) composed of seven employees of the Corporation who are appointed by the Corporation’s Board of Directors.
 
    Effective December 23, 2003, all plan assets are held by a trust (the Trust) administered by JPMorgan Chase Bank (the Trustee). Prior to that date, UMB Bank, N.A. served as the Trustee. JPMorgan Retirement Plan Services LLC serves as the Recordkeeper of the Plan.
 
    Brokerage commissions, taxes and other expenses in connection with the purchase and sale of securities or other property for a fund are paid by such fund. All other fees and expenses of Plan administration are paid by the Trust unless the Corporation elects, in its sole discretion, to pay those expenses directly. The Trust’s fees and expenses primarily relate to the administration of the Plan’s benefit-responsive guaranteed investment contracts (GICs).
 
    Contributions
 
    All Participants are eligible to make pretax deferral contributions (Pretax Contributions), subject to certain limitations, equal to 1 percent to 100 percent of their eligible pay. Participants 50 years or older may be eligible to make additional Pretax Contributions up to the annual catch-up limit, which may be eligible for a matching contribution from the Corporation (Company Matching Contribution). After-tax contributions are not permitted. The Company Matching Contribution is equal to 100 percent of the first 3 percent of eligible pay deferred and 50 percent of the next 2 percent of eligible pay deferred. Participants are eligible to make Pretax Contributions to the Plan immediately upon hire date, and those Pretax Contributions are eligible for the Company Matching Contribution. All contributions are invested in one or more of the investment vehicles available within the Plan as directed by Participants. Participants are always fully vested in their total account balances.
 
    A profit sharing contribution for eligible employees may be made by the Corporation (Company Profit Sharing Contribution). Eligible employees are those Participants employed in a salaried job classification, have a year of service (1,000 hours of work) and employed on the last day of the plan year. However, if Participants retired, died or became disabled during the year, those Participants are still eligible to receive this contribution. The Company Profit Sharing Contribution is limited to the lesser of total

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Phelps Dodge Employee Savings Plan
Notes to Financial Statements

1.   Description of Plan (Continued)
 
    eligible pay of Participants multiplied by:

  6 percent; or
 
  8 percent of consolidated net income of the Corporation divided by aggregate eligible Participants pay; or
 
  4 percent of consolidated net income divided by the aggregate eligible pay of exempt salaried Participants.

    Company Profit Sharing Contributions can be made only to the extent that they do not reduce the Corporation’s consolidated net income below $0.50 per common share for such year after provision for payment of preferred and preference share dividends. A profit sharing contribution of $5,234,000 was made for 2003 and paid in March 2004.
 
    Investments
 
    Participants may direct the investment of their Pretax Contributions, Company Matching Contributions and Company Profit Sharing Contributions in a variety of investment vehicles comprised of common stocks, mutual funds, common/collective funds and GICs. The Plan is intended to comply with Section 404(c) of ERISA.
 
    Distributions
 
    Participants’ interests in the Trust become distributable upon severance from employment with the Corporation, upon attaining age 59 1/2 or to their beneficiaries in the event of their death. The distribution may be made in a single lump sum or a series of substantially equal annual, quarterly or monthly cash installments beginning no earlier than age 55 and continuing over a period not to exceed 10 years, at the election of the Participant or beneficiary. Cash distributions are based upon the underlying closing price of the mutual funds, common/collective funds or GICs. Distributions of investments in Phelps Dodge Common Stock, Occidental Petroleum Stock or BP Amoco Stock are based upon the actual price at which the stock is liquidated in the market three days prior to distribution. Distributions of investments in Phelps Dodge Common Stock, Occidental Petroleum Common Stock and BP Amoco Common Stock may also be made in shares.
 
    After-tax contributions were permitted in certain plans that transferred assets into the Plan in prior years. Participants may withdraw such after-tax contributions and earnings thereon at any time. The Plan also provides, with certain limitations, for hardship withdrawals of Pretax Contributions, Company Pre-Safe Harbor Matching Contributions and Company Profit Sharing Contributions; however, earnings on any of these contributions are ineligible for hardship withdrawal. Hardship withdrawals are not granted unless other financial resources are not reasonably available, including after-tax savings or a loan from the Plan. All withdrawals and distributions are made in accordance with rules outlined in the Plan document.
 
    Loans
 
    Participants may borrow from their account balances as provided in the Plan. Loans are repayable over a maximum of 5 years with the exception of loans for the purchase of a primary residence that may extend to 15 years. The maximum loan amount is equal to $50,000 minus the Participant’s highest outstanding loan balance during the past 12

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Phelps Dodge Employee Savings Plan
Notes to Financial Statements

1.   Description of Plan (Continued)
 
    months, limited to 50 percent of the Participant’s vested account balance. Loans bear interest at the prime rate as quoted by the Plan’s Trustee plus 2 percent. The prime rate at December 31, 2003, was 4.00 percent.
 
    Loans are repaid by payroll deductions and interest is credited to the Participant’s accounts. Loans are generally secured by the Participant’s account balance.
 
    Plan Termination
 
    The Plan may be amended or terminated at any time by the Corporation. No such action may cause any portion of the Trust to revert to the Corporation or to be used or diverted for any purpose other than for the exclusive benefit of Participants or their beneficiaries.
 
2.   Summary of Significant Accounting Policies
 
    Basis of Presentation
 
    The accompanying financial statements have been prepared on the accrual basis of accounting in conformity with accounting principles generally accepted in the United States of America.
 
    Use of Estimates
 
    The preparation of financial statements in conformity with accounting principles generally accepted in the United States of America requires management to make estimates and assumptions that affect the reported amounts of net assets available for benefits and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of additions to and deductions from net assets available for benefits during the reporting period. Actual results could differ from those estimates.
 
    Investment Valuation and Income Recognition
 
    Plan investments, other than GICs, are presented at fair value. The fair values of common stock, mutual funds and common/collective fund shares are based upon the closing market price on the valuation date. GICs are recorded at contract value and are based upon the respective face values plus accrued interest on the valuation date. Participant loans are valued at cost, which approximates fair value.
 
    Security transactions are recorded on a trade date basis. Expenses paid by the Plan in connection with such transactions include brokerage commissions and taxes that are included in the cost of securities purchased and deducted from the proceeds of securities sold. Net appreciation (depreciation) in the fair value of the Plan’s investments consists of the realized gains (losses) and the unrealized appreciation (depreciation) on those investments. Dividend income is recognized on the ex-dividend date. Interest income is recognized as earned. Employer and Participant contributions are recognized on the accrual basis.
 
    Risks and Uncertainties
 
    Investments held by the Plan are exposed to various risks, such as interest rate, market and credit risks. Due to the level of risk associated with certain investments and the level of uncertainty related to changes in the value of such investments, it is at least

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Phelps Dodge Employee Savings Plan
Notes to Financial Statements

2.   Summary of Significant Accounting Policies (Continued)
 
    reasonably possible that changes in risks in the near term would materially affect Participants’ account balances and the amounts reported in the Statement of Net Assets Available for Benefits and the Statement of Changes in Net Assets Available for Benefits.
 
    Payment of Benefits
 
    Benefits are recorded when paid.
 
3.   Investments
 
    The following table presents investments that represent 5 percent or more of the Plan’s net assets at December 31:
                                 
    2003
          2002
       
    (in thousands)        
Phelps Dodge Common Stock Fund
  $ 88,290             $ 46,854          
J.P. Morgan Interest Income Fund
    86,281               79,969          
American Century Equity Growth Fund
    61,573               47,931          
Moderate Investment Portfolio Fund
    61,011               49,861          
American Century Income and Growth Fund
    50,685               38,773          
Aggressive Investment Portfolio Fund
    45,173               32,453          
J.P. Morgan Enhanced Index Fund
    36,325               26,782          
T. Rowe Price Small Cap Stock Fund
    30,008               19,086 *        
Schwab Personal Choice Retirement Fund
    27,651               20,645          
Participant Loans
    22,191 *             22,503          

*   Amounts are less than 5 percent of the Plan’s net assets

    Certain of the Plan’s investments include GICs that are carried at contract value. The GICs are credited with earnings on the underlying investments and charged for Participant withdrawals and administration expenses. Participants may ordinarily direct the withdrawal or transfer of all or a portion of their investment at contract value. The contract value of the GICs within the respective funds as of December 31 was as follows:
                 
    2003
  2002
    (in thousands)
J.P. Morgan Interest Income Fund
  $ 84,333     $ 78,252  
Moderate Investment Portfolio Fund
    23,862       20,088  
Aggressive Investment Portfolio Fund
    8,771       6,553  
Conservative Investment Portfolio Fund
    8,500       7,741  
 
   
 
     
 
 
 
  $ 125,466     $ 112,634  
 
   
 
     
 
 

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Phelps Dodge Employee Savings Plan
Notes to Financial Statements

3.   Investments (Continued)
 
    A reconciliation of the fair market value of investments in these contracts and the related contract value as reflected in the accompanying Statement of Net Assets Available for Benefits was as follows:
                 
    December 31,
    2003
  2002
    (in thousands)
Fair market value of investments
  $ 129,161     $ 117,958  
Synthetic wrapper value
    (3,695 )     (5,324 )
 
   
 
     
 
 
Carrying value (contract value)
  $ 125,466     $ 112,634  
 
   
 
     
 
 

    There were no reserves against contract value for credit risk of the contract issuers or otherwise at December 31, 2003 or 2002. The average yield and crediting interest rates were approximately 5.46 percent and 6.43 percent for 2003 and 2002, respectively. The crediting interest rates are based on a formula agreed upon by the issuers. Such interest rates are reviewed on a quarterly basis for resetting.
 
    During 2003, the Plan’s investments (including gains and losses on investments bought and sold, as well as those held during the year) appreciated in value as follows (in thousands):
         
Common stocks
  $ 62,884  
Mutual funds
    48,394  
Common/collective funds
    15,227  
 
   
 
 
 
  $ 126,505  
 
   
 
 

4.   Related Party Transactions
 
    The Trustee invests in the Corporation’s common stock in accordance with the provisions of the Plan. The following is a summary of transactions in the Corporation’s common stock during 2003 (in thousands):
         
Cost of shares purchased
  $ 12,108  
Number of shares purchased
    272  
Proceeds from shares sold
  $ 29,570  
Number of shares sold
    579  
Value of shares distributed
  $ 528  
Number of shares distributed
    11  

    Certain Plan investments are shares of mutual funds and common/collective trusts managed by American Century Investments and J.P. Morgan Investment Management while an affiliated company, JPMorgan Retirement Plan Services LLC, is the Recordkeeper as defined by the Plan. Therefore, these transactions qualify as party-in-interest.

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Phelps Dodge Employee Savings Plan
Notes to Financial Statements

5.   Tax Status
 
    The Plan received a determination letter from the Internal Revenue Service (IRS) dated October 16, 2002, which states that the Plan met the requirements of Section 401(a) of the Internal Revenue Code and that the earnings of the Trust are exempt from taxation under Section 501(a) of the Code. The Plan has been amended since receiving the determination letter, however, the Committee believes that the Plan, as amended and as operated, continues to satisfy IRS requirements for tax exemption.
 
6.   Reconciliation of the Financial Statements to the Form 5500
 
    During 2002, the Corporation identified certain accounting matters related to its consolidated financial statements for years prior to 2002 that required restatement. The restated adjustments applicable to 2000 required the Corporation to make a profit sharing contribution of $4,067,000 to the Plan in 2003. The profit sharing contribution and related interest were reflected in the Plan’s financial statements as of December 31, 2002; however, were not recorded in the Form 5500 until 2003.
 
    The following table presents a reconciliation of the Plan’s Net Assets Available for Benefits from the financial statements at December 31, 2002, to the amount included in the 2003 Form 5500 as of that date:
         
    December 31,
    2002
    (in thousands)
Net assets available for benefits per the financial statements
  $ 415,028  
Profit sharing contribution receivable
    (4,067 )
Interest receivable on related employer profit sharing contribution
    (361 )
 
   
 
 
Net assets available for benefits per the Form 5500
  $ 410,600  
 
   
 
 

    The following table presents a reconciliation of the Plan’s Changes in Net Assets Available for Benefits from the financial statements to the Form 5500 for the year ended December 31, 2003:
         
    Year Ended
    December 31,
    2003
    (in thousands)
Increase in net assets per the financial statements
  $ 132,770  
Prior year profit sharing contribution receivable
    4,428  
 
   
 
 
Increase in net assets per the Form 5500
  $ 137,198  
 
   
 
 

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Phelps Dodge Employee Savings Plan

Schedule of Assets (Held at End of Year)
December 31, 2003

Supplemental Information
Schedule I


                                 
        (c) Description of        
        investment including        
        maturity date, rate of        
        interest, collateral,   (d)    
        par or maturity value,   Cost   (e) Current
(a)
  (b) Identity of issue, borrower, lessor or similar party
  or number of shares
  **
  Value
   
Cash and Short-Term Investments:
                           
   
Cash
                    $ 67,626  
   
Bank of Oklahoma CD 1.20% Due 3/10/04
    15,000                   15,000  
   
Ford Motor Credit Co Notes 4.05% Due 5/20/05
    10,000                   10,111  
   
Ford Motor Credit Co Notes 4.70% Due 5/22/06
    10,000                   10,128  
   
General Motors Acceptance Corporation Smartnotes 5.0% Due 7/15/08
    10,000                   10,146  
   
Schwab Money Market Fund
    91,454                   91,456  
   
Schwab U.S. Treasury Money Fund
    2,796,785                   2,797,787  
*  
JPMorgan Chase Money Market Fund
    50,624                   50,624  
   
U.S. Treasury Note 1.50% Due 7/31/05
    290,000                   289,774  
   
U.S. Treasury Note 2.875% Due 6/30/04
    300,000                   302,742  
   
Federated S-T U.S. Government Securities
    274                   274  
   
 
                       
 
 
   
Total Cash and Short-Term Investments
                        3,645,668  
   
 
                       
 
 
   
Common/Collective Funds:
                           
*  
JPMorgan Liquidity Fund
    2,484,889     shares             2,484,889  
*  
JPMorgan Corporate High Yield Opportunity Fund
    274,042     shares             3,044,612  
*  
JPMorgan Mortgage Private Placement Fund
    1,891,688     shares             38,628,269  
*  
JPMorgan Public Bonds Fund
    4,292,147     shares             77,945,390  
*  
JPMorgan Public Mortgage Fund
    358,893     shares             6,363,179  
*  
JPMorgan Emerging Market Opportunity Fund
    137,720     shares             2,050,655  
*  
JPMorgan U.S. Smart Index Fund
    3,292,776     shares             66,151,653  
   
 
                       
 
 
   
Total Common/Collective Funds
                        196,668,647  
   
 
                       
 
 
   
Common Stocks:
                           
   
1-800-Flowers.Com Inc
    480     shares             5,309  
   
3Com Corporation
    279     shares             2,279  
   
3M Company
    224     shares             19,047  
   
3Wventures.Com Inc
    700     shares             1  
   
4 Kids Entertainment Inc
    500     shares             13,010  
   
8X8 Inc
    2,014     shares             8,967  
   
ADC Telecommunications Inc
    3,025     shares             8,984  
   
AM Communications Inc
    2,000     shares             2  
   
AMF Bowling Inc
    800     shares             2  
   
AMR Corporation
    100     shares             1,295  
   
AO Tatneft Sponsored Adr
    500     shares             11,400  
   
ASE Test Limited
    207     shares             3,099  
   
AT&T Corporation
    492     shares             9,994  
   
AT&T Wireless Services
    1,341     shares             10,714  
   
Aastrom Biosciences Inc
    200     shares             262  
   
Aberdeen Asia-Pacific Prime Income Fund Inc
    3,235     shares             20,541  

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Phelps Dodge Employee Savings Plan
  Supplemental Information
Schedule of Assets (Held at End of Year)
  Schedule I
December 31, 2003
   
                                 
        (c) Description of        
        investment including        
        maturity date, rate of        
        interest, collateral,   (d)    
        par or maturity value,   Cost   (e) Current
(a)
  (b) Identity of issue, borrower, lessor or similar party
  or number of shares
  **
  Value
 
  Ableauctions.Com Inc     800     shares             544  
 
  Access Power Inc     250     shares             1  
 
  Ace Communications Corporation     100     shares             248  
 
  Administaff Inc     135     shares             2,346  
 
  Adobe Systems Inc     251     shares             9,858  
 
  Advanced Neuromodulation Systems Inc     200     shares             9,196  
 
  Advanced Digital Information Corporation     100     shares             1,400  
 
  Advanced Micro Devices     4,944     shares             73,666  
 
  Advanced Viral Research     2,300     shares             294  
 
  Aeroflex Inc     1,000     shares             11,690  
 
  Aeropostale Inc     490     shares             13,436  
 
  Affiliated Computer Services Inc Class A     20     shares             1,089  
 
  Agere Systems Inc Class A     443     shares             1,351  
 
  Agere Systems Inc Class B     5,233     shares             15,176  
 
  Agnico-Eagle Mines Limited     100     shares             1,207  
 
  Air Canada Inc Class A     15,500     shares             4,495  
 
  Airlease Ltd Depository Units     165     shares             275  
 
  Akamai Technologies Inc     846     shares             9,094  
 
  Alcoa Inc     882     shares             33,534  
 
  Align Technology Inc     300     shares             4,956  
 
  Allegheny Technologies Incorporated     238     shares             3,146  
 
  Allstream Inc Class B     54     shares             3,097  
 
  Altria Group Inc     23     shares             1,241  
 
  Aluminum Corp Of China Ltd Adr     56     shares             4,312  
 
  Amazon.Com Inc     528     shares             27,794  
 
  America Service Group Inc     86     shares             2,658  
 
  America West Holdings Corporation Class B     4,800     shares             59,520  
 
  American Aircarriers Support Incorporated     320     shares             1  
 
  American Express Company     200     shares             9,646  
 
  American Software Inc Class A     900     shares             6,443  
 
  Americredit Corp     70     shares             1,115  
 
  Amern Tower Corp Class A     1,390     shares             15,040  
 
  Amersham Plc Adr     31     shares             2,117  
 
  Amgen Incorporated     400     shares             24,720  
 
  Amkor Technology Inc     69     shares             1,256  
 
  Anadigics Inc     100     shares             596  
 
  Angelciti Entertainment Inc     6,000     shares             300  
 
  Anglo American Plc Adr     513     shares             11,347  
 
  Anglo American Platinum Adr     150     shares             6,510  
 
  Anheuser Busch Company Inc     321     shares             16,892  
 
  Annaly Mortgage Management Inc     150     shares             2,760  
 
  Anthem Inc     120     shares             9,007  
 
  Antigenics Inc De     40     shares             453  
 
  Applebee’s International, Inc     22     shares             870  
 
  Applera Celera Genomics     100     shares             1,391  
 
  Applied Digital Solution     400     shares             188  

- 11 -


Table of Contents

     
Phelps Dodge Employee Savings Plan
  Supplemental Information
Schedule of Assets (Held at End of Year)
  Schedule I
December 31, 2003
   
                                 
        (c) Description of        
        investment including        
        maturity date, rate of        
        interest, collateral,   (d)    
        par or maturity value,   Cost   (e) Current
(a)
  (b) Identity of issue, borrower, lessor or similar party
  or number of shares
  **
  Value
 
  Applied Materials Inc     404     shares             9,070  
 
  Applied Micro Circuits     10,422     shares             62,323  
 
  Apria Healthcare Group Inc     200     shares             5,694  
 
  Aquantive Inc     100     shares             1,025  
 
  Aradigm Corporation     270     shares             462  
 
  Arch Coal Inc     75     shares             2,338  
 
  Ariba Inc     5,500     shares             16,500  
 
  ASA Limited     440     shares             20,020  
 
  Ascential Software Corporation     124     shares             3,215  
 
  Aspect Communications Corp     100     shares             1,576  
 
  Asta Funding Inc     87     shares             2,980  
 
  Astralis Ltd     2,000     shares             1,480  
 
  ASV Inc     100     shares             3,736  
 
  Atmel Corporation     1,350     shares             8,113  
 
  ATP Oil & Gas Corporation     1,000     shares             6,280  
 
  Audiocodes Ltd     200     shares             2,088  
 
  Audiovox Corporation Class A     150     shares             1,926  
 
  Aurora Platinum Corporation     1,000     shares             2,310  
 
  Autoimmune Inc     1,000     shares             1,580  
 
  Avaya Inc     86     shares             1,113  
 
  Avici System Inc     7     shares             56  
 
  Avid Technology Inc     134     shares             6,432  
 
  Avitar Inc De     400     shares             92  
 
  Axia Group Inc     16     shares             2  
 
  BGR Corp     9,400     shares             1,410  
 
  BMC Software Inc     250     shares             4,662  
 
  BP Plc Adr     560     shares             27,636  
 
  BP Amoco Corporation     23,155     shares             1,134,090  
 
  BTU International Inc     1,250     shares             4,400  
 
  Bank Of New York Company Inc     100     shares             3,312  
 
  Bed Bath & Beyond Inc     2     shares             87  
 
  Bell Microproducts Inc     1,000     shares             9,060  
 
  Bema Gold Corporation     1,000     shares             3,720  
 
  Benguet Corporation Class B     1,000     shares             210  
 
  Berkshire Hathaway Class B     10     shares             28,150  
 
  Best Buy Inc     214     shares             11,165  
 
  BHP Billiton Limited Adr     1,000     shares             18,260  
 
  BICO Inc     9,000     shares             12  
 
  Bindview Development Corporation     20     shares             754  
 
  Biomerica Inc     100     shares             45  
 
  Biomira Inc     50     shares             74  
 
  Biopure Corporation Class A     25     shares             60  
 
  Block H&R Incorporated     100     shares             5,537  
 
  Blockbuster Inc Class A     1,000     shares             17,950  
 
  Boeing Co     242     shares             10,181  
 
  Bombardier Inc CV Class B     200     shares             836  

- 12 -


Table of Contents

     
Phelps Dodge Employee Savings Plan
  Supplemental Information
Schedule of Assets (Held at End of Year)
  Schedule I
December 31, 2003
   
                                 
        (c) Description of        
        investment including        
        maturity date, rate of        
        interest, collateral,   (d)    
        par or maturity value,   Cost   (e) Current
(a)
  (b) Identity of issue, borrower, lessor or similar party
  or number of shares
  **
  Value
 
  Boston Life Sciences Inc     16,000     shares             19,840  
 
  Boston Properties Inc     100     shares             4,819  
 
  Boston Scientific Corporation     100     shares             3,676  
 
  Bottomline Home Loan Inc     50     shares             1  
 
  Bradley Pharmaceuticals Inc     500     shares             12,715  
 
  Brigham Exploration Company     200     shares             1,606  
 
  Brightpoint Inc     100     shares             1,725  
 
  Bristol-Myers Squibb Co     406     shares             11,612  
 
  Broadcom Corporation Class A     88     shares             3,000  
 
  Broadvision Inc     15     shares             64  
 
  Brocade Communications Systems Inc     200     shares             1,156  
 
  CMGI Inc     175     shares             311  
 
  CT Communications Inc     400     shares             5,400  
 
  CTS Corporation     103     shares             1,189  
 
  Caliper Technologies Corp     30     shares             197  
 
  Calpine Corporation     5,500     shares             26,455  
 
  Cambior Inc     1,500     shares             4,650  
 
  Cardiac Science Inc     1,110     shares             4,429  
 
  Cardstakes.Com     84     shares             1  
 
  Caredecision Corp     10,000     shares             450  
 
  Cascade Mountain Mining Co Inc     47,716     shares             530  
 
  Caterpillar Inc     .06     share             6  
 
  Cdex Inc     88     shares             1  
 
  Cell Therapeutics Inc     1,500     shares             13,050  
 
  Cendant Corporation     2,050     shares             45,653  
 
  Central Wireless Inc     5,000     shares             50  
 
  Charter Communications     120     shares             482  
 
  Check Point Software Technologies     175     shares             2,943  
 
  Checkfree Corporation     40     shares             1,106  
 
  Chesapeake Corporation     200     shares             5,296  
 
  Chesapeake Energy Corporation     300     shares             4,074  
 
  Chevrontexaco Corp     1,120     shares             96,798  
 
  China Life Insurance Co Limited Adr     61     shares             2,011  
 
  China Wireless Communications Inc     200     shares             94  
 
  China Yuchai International Limited Adr     131     shares             4,008  
 
  Ciena Corporation     2,445     shares             16,235  
 
  Circuit City Stores Inc     2,000     shares             20,260  
 
  Cirrus Logic Inc     1,000     shares             7,670  
 
  Cisco Systems Inc     18,247     shares             443,220  
 
  Citigroup Capital Trust Ix 6%     200     shares             5,076  
 
  Citigroup Inc     1,000     shares             48,553  
 
  Citrix Systems Inc     800     shares             16,968  
 
  Clarent Corporation     500     shares             6  
 
  Coca Cola Company     11     shares             535  
 
  Coherent Inc     50     shares             1,190  
 
  Coinstar Inc     96     shares             1,734  

- 13 -


Table of Contents

     
Phelps Dodge Employee Savings Plan
  Supplemental Information
Schedule of Assets (Held at End of Year)
  Schedule I
December 31, 2003
   
                                 
        (c) Description of        
        investment including        
        maturity date, rate of        
        interest, collateral,   (d)    
        par or maturity value,   Cost   (e) Current
(a)
  (b) Identity of issue, borrower, lessor or similar party
  or number of shares
  **
  Value
 
  Comcast Corporation Class A     790     shares             25,967  
 
  Commerce One Inc Del     1     share             1  
 
  Commercial Capital Bancorp Inc     142     shares             3,040  
 
  Companhia Vale Do Rio Doce Adr     200     shares             11,700  
 
  Comtech Telecommunications Corp     500     shares             14,435  
 
  Conexant Systems Inc     213     shares             1,058  
 
  Conocophillips     52     shares             3,431  
 
  Constellation 3D Inc     200     shares             1  
 
  Consumer Direct of America     1,800     shares             630  
 
  Corbel Holdings Inc     2,552     shares             2  
 
  Corgenix Medical Corporation     117     shares             117  
 
  Corning Inc     1,006     shares             10,491  
 
  Corvis Corporation     2,000     shares             3,400  
 
  Costco Wholesale Corporation     250     shares             9,295  
 
  Credit Acceptance Corporation     200     shares             3,060  
 
  Cree Inc     500     shares             8,845  
 
  Cross Media Marketing     27     shares             1  
 
  Cryolife Inc     285     shares             1,647  
 
  Cybercare Inc     50     shares             1  
 
  Cyberoptics Corp     200     shares             2,160  
 
  Cygnus Inc     8,300     shares             2,739  
 
  Cytogenix Inc     2,000     shares             1,600  
 
  DPL Inc     108     shares             2,249  
 
  DR Horton Co     300     shares             12,989  
 
  Decorize Inc     400     shares             400  
 
  Dell Inc     850     shares             28,886  
 
  Delta Airlines Inc     250     shares             2,952  
 
  Deswell Industries Inc     75     shares             1,950  
 
  Detour Media Group Inc     1,000     shares             1  
 
  Diamondcluster International Inc     323     shares             3,294  
 
  Dicut Inc     5,000     shares             550  
 
  Digene Corp     3,736     shares             149,814  
 
  Digi International Inc     334     shares             3,206  
 
  Digital Generation System Inc     1,000     shares             2,240  
 
  Digital Insight Corporation     185     shares             4,606  
 
  Digital Lightwave Inc     20     shares             16  
 
  Dillard’s Inc Class A     100     shares             1,646  
 
  Dippy Foods Inc     2,000     shares             1  
 
  Disney, Walt Holding Company     510     shares             11,898  
 
  Ditech Communications Corporation     162     shares             3,094  
 
  Divine Inc Class A     22,332     shares             201  
 
  Dollar General Corporation     37     shares             776  
 
  Dollar Tree Stores     230     shares             6,914  
 
  Donaldson Company Inc     20     shares             1,183  
 
  Donegal Group Inc Class A     138     shares             3,039  
 
  Dow Chemical Company     302     shares             12,545  

- 14 -


Table of Contents

     
Phelps Dodge Employee Savings Plan
  Supplemental Information
Schedule of Assets (Held at End of Year)
  Schedule I
December 31, 2003
   
                                 
        (c) Description of        
        investment including        
        maturity date, rate of        
        interest, collateral,   (d)    
        par or maturity value,   Cost   (e) Current
(a)
  (b) Identity of issue, borrower, lessor or similar party
  or number of shares
  **
  Value
 
  Drkoop.Com Inc     280     shares             1  
 
  DRS Technologies Inc     20     shares             555  
 
  Du Pont E I De Nemour & Company     42     shares             1,929  
 
  Duke Energy Corporation     160     shares             3,271  
 
  Dynasil Corporation America     2,000     shares             540  
 
  Dynegy Inc Class A     1,101     shares             4,713  
 
  E-Com Technologies Corporation     20,300     shares             406  
 
  EMC Corporation Mass     3,535     shares             45,672  
 
  ESS Technology Inc     100     shares             1,701  
 
  E.Spire Communications Inc     19,500     shares             10  
 
  Eagle Broadband Inc     500     shares             650  
 
  Earthshell Corporation     2,583     shares             4,649  
 
  Eastman Chemical Company     304     shares             12,016  
 
  Ebay Inc     170     shares             10,980  
 
  Echostar Communications Corporation Class A     150     shares             5,100  
 
  Education Management Corporation     250     shares             7,760  
 
  El Paso Corporation     249     shares             2,038  
 
  Elan Corp Plc 05 Wts     27,200     shares             4,624  
 
  Elan Corp Plc Sponsored Adr     200     shares             1,378  
 
  Elcom International Inc     500     shares             100  
 
  Electric City Corp     1,650     shares             3,960  
 
  Electronic Data System Corp     2,021     shares             4,974  
 
  Embarcadero Technologies Inc     191     shares             3,046  
 
  Empire Energy Class B Vtg     500     shares             1  
 
  Empire Exchangeco Service A     500     shares             1  
 
  Emulex Corporation     50     shares             1,334  
 
  Endocardial Solutions Inc     1,000     shares             7,200  
 
  Endovasc Inc     2,125     shares             1  
 
  Endovasc Inc     8,500     shares             2,635  
 
  Endwave Corporation     25     shares             185  
 
  Ennis Business Forms Inc     150     shares             2,295  
 
  Enron Corporation     3,316     shares             93  
 
  Enterra Energy Trust     425     shares             4,696  
 
  Enviro-Energy Corporation     55,800     shares             390  
 
  Environmental Technologies International Inc     5,000     shares             775  
 
  Epicor Software Corporation     230     shares             2,935  
 
  Equinix Inc     111     shares             3,130  
 
  Ericsson Telefon Adr     115     shares             2,035  
 
  E-Trade Financial Corporation     475     shares             6,009  
 
  Eurotech Ltd     1,500     shares             42  
 
  Evolve One Inc     78     shares             12  
 
  Evolving Systems Inc     2,400     shares             31,920  
 
  Exxon Mobil Corporation     2,409     shares             98,774  
 
  Eyemakers Inc     1,500     shares             22  
 
  Ezenia Inc     121,400     shares             30,350  

- 15 -


Table of Contents

     
Phelps Dodge Employee Savings Plan
  Supplemental Information
Schedule of Assets (Held at End of Year)
  Schedule I
December 31, 2003
   
                                 
        (c) Description of        
        investment including        
        maturity date, rate of        
        interest, collateral,   (d)    
        par or maturity value,   Cost   (e) Current
(a)
  (b) Identity of issue, borrower, lessor or similar party
  or number of shares
  **
  Value
 
  F2 Broadcast Network New     62     shares             1  
 
  Factset Research Systems Inc     180     shares             6,878  
 
  Fargo Electronics Inc     400     shares             5,088  
 
  Federal-Mogul Corporation     100     shares             23  
 
  Fedex Corporation     40     shares             2,700  
 
  Filenet Corporation     111     shares             3,006  
 
  Findwhat.Com     100     shares             1,875  
 
  Finova Group Inc     507     shares             329  
 
  First American Corporation     100     shares             2,977  
 
  First Financial Bancorp     200     shares             3,190  
 
  First Mariner Bancorp     300     shares             5,619  
 
  First Tennessee National Corporation     303     shares             13,351  
 
  Flagstar Bancorp Inc     455     shares             9,746  
 
  Fleetboston Financial Corporation     305     shares             13,316  
 
  Flextronics International Ltd     187     shares             2,775  
 
  Flight Safety Technologies Inc     6,591     shares             9,952  
 
  Fly Networks Inc     230     shares             69  
 
  Fonix Corporation     50     shares             22  
 
  Ford Motor Company     1,425     shares             22,799  
 
  Forest Laboratories Inc     204     shares             12,607  
 
  Fortune Brands Inc     117     shares             8,399  
 
  Foundry Networks Inc     231     shares             6,320  
 
  Fpic Insurance Group Inc     127     shares             3,186  
 
  Freddie Mac Voting Shares     202     shares             11,780  
 
  Freemarkets Inc     540     shares             3,613  
 
  Friedman, Billings, Ramsey Group Inc     150     shares             3,462  
 
  Fuelcell Energy Inc     352     shares             4,576  
 
  GSI Commerce Inc     94     shares             918  
 
  GYK Ventures Inc     200     shares             10  
 
  Gabelli Equity Trust Inc     1,341     shares             10,731  
 
  Gap Inc     153     shares             3,552  
 
  Gateway Inc     1,040     shares             4,784  
 
  Gemstar-Tv Guide International Inc     375     shares             1,894  
 
  General Chemical Group Inc     200     shares             8  
 
  General Electric Company     6,452     shares             199,897  
 
  General Motors Corp     433     shares             23,103  
 
  Genome Therapeutics Corporation     900     shares             2,817  
 
  Genta Inc     500     shares             5,205  
 
  Genvec Inc     19,000     shares             62,700  
 
  Geocom Resources Inc     1,500     shares             2,025  
 
  Geron Corporation     1,000     shares             9,970  
 
  Global Bancorp Inc     5     shares             1  
 
  Global Escience Corporation     260     shares             8  
 
  Globalstar Telecom Ord     1,489     shares             37  
 
  Goamerica Inc     175     shares             65  

- 16 -


Table of Contents

     
Phelps Dodge Employee Savings Plan
  Supplemental Information
Schedule of Assets (Held at End of Year)
  Schedule I
December 31, 2003
   
                                 
        (c) Description of        
        investment including        
        maturity date, rate of        
        interest, collateral,   (d)    
        par or maturity value,   Cost   (e) Current
(a)
  (b) Identity of issue, borrower, lessor or similar party
  or number of shares
  **
  Value
 
  Goldcorp Inc     100     shares             1,595  
 
  Goldman Sachs Group Inc     103     shares             10,164  
 
  Goodyear Tire & Rubber     500     shares             3,930  
 
  Guidant Corporation     502     shares             30,244  
 
  Guilford Pharmaceuticals Inc     300     shares             2,034  
 
  HMS Holdings Corp     500     shares             2,000  
 
  Hain Celestial Group Inc     142     shares             3,296  
 
  Halliburton Company     570     shares             14,820  
 
  Harley Davidson Inc     534     shares             25,372  
 
  Harrah’s Entertainment Inc     20     shares             995  
 
  Harvest Natural Resources Inc     500     shares             4,975  
 
  Health Care Property Investors Inc     100     shares             5,080  
 
  Healthcare Services Group Inc     30     shares             579  
 
  Healthetech Inc     30     shares             21  
 
  Hearusa Inc     2,000     shares             4,500  
 
  Hecla Mining Company     1,000     shares             8,290  
 
  Heilig-Meyers Company     100     shares             1  
 
  Hewlett-Packard Company     3,637     shares             83,531  
 
  Home Depot Inc     2,056     shares             72,968  
 
  Honda Motor Co Ltd Adr     150     shares             3,375  
 
  House2Home Inc     1,000     shares             1  
 
  Huaneng Power International Adr     300     shares             20,823  
 
  Humana Inc     660     shares             15,081  
 
  Hurry Inc Class A     5,000     shares             275  
 
  I2 Technologies Inc     112     shares             186  
 
  ICU Medical Inc     100     shares             3,428  
 
  iAsiaWorks Inc     35,000     shares             245  
 
  iBeam Broadcasting     150     shares             1  
 
  iGo Corporation     265     shares             1  
 
  iJoin Systems Inc     10,000     shares             1  
 
  Imax Corporation     1,000     shares             7,910  
 
  IPET Holdings Inc     100     shares             1  
 
  iShares MSCI EMU Index Fund     278     shares             17,014  
 
  iShares Trust DJ US Energy     300     shares             14,817  
 
  iShares Trust Dow Jones RE     196     shares             19,484  
 
  iShares Trust S&P Smallcap     307     shares             41,138  
 
  iShares Trust S&P 500     254     shares             28,250  
 
  Imclone Systems Inc     40     shares             1,586  
 
  Immucor Inc     210     shares             4,282  
 
  Immunogen Inc     3,900     shares             19,695  
 
  Impath Inc     500     shares             1,950  
 
  INAMED Corporation     75     shares             3,604  
 
  Inco Limited     1,240     shares             49,377  
 
  Indo Pacific Energy     300     shares             426  
 
  Infonet Services Corporation     152     shares             258  

- 17 -


Table of Contents

     
Phelps Dodge Employee Savings Plan
  Supplemental Information
Schedule of Assets (Held at End of Year)
  Schedule I
December 31, 2003
   
                                 
        (c) Description of        
        investment including        
        maturity date, rate of        
        interest, collateral,   (d)    
        par or maturity value,   Cost   (e) Current
(a)
  (b) Identity of issue, borrower, lessor or similar party
  or number of shares
  **
  Value
 
  Infonow Corporation     17,311     shares             51,414  
 
  Infospace Inc     125     shares             2,881  
 
  Insmed Incorporated     1,000     shares             2,976  
 
  Integrated Device Technology Inc     200     shares             3,434  
 
  Intel Corporation     9,077     shares             292,218  
 
  Interamerican Resources Inc     20     shares             1  
 
  Interliant Inc     100     shares             1  
 
  Internap Network Services Corporation     4,100     shares             10,036  
 
  Internet Business     60     shares             1  
 
  Interpharm Holdings Inc     1,500     shares             7,047  
 
  Interpore International     1,000     shares             13,000  
 
  International Business Machines     121     shares             11,177  
 
  International Fibercom Inc     2,000     shares             1  
 
  International Game Technology Inc     1,087     shares             38,792  
 
  International Rectifier Corp     354     shares             17,491  
 
  Introgen Therapeutics Inc     110     shares             930  
 
  Intuit Inc     50     shares             2,645  
 
  Island Critical Care Corp     19,500     shares             19  
 
  Itronics Inc     1,000     shares             150  
 
  ITXC Corp     500     shares             2,160  
 
  Ivanhoe Energy Inc     250     shares             935  
*
  JPMorgan Chase & Company     641     shares             23,535  
 
  Jabil Circuit Inc     124     shares             3,509  
 
  Jawz Inc     150     shares             1  
 
  JDS Uniphase Corporation     4,910     shares             17,921  
 
  Johnson & Johnson     418     shares             21,593  
 
  Juniper Networks Inc     1,121     shares             20,940  
 
  KCS Energy Inc     30     shares             316  
 
  Kaneb Pipe Line Partners Lp     661     shares             33,576  
 
  Kemet Corporation     125     shares             1,711  
 
  Kinder Morgan Energy Lp     585     shares             28,803  
 
  Kinross Gold Corporation     200     shares             1,598  
 
  Kirshner International Inc     840     shares             1  
 
  Knight Trading Group     30     shares             439  
 
  Koninklijke Philips Electronics Nv     500     shares             14,545  
 
  Krispy Kreme Doughnut Corporation     85     shares             3,111  
 
  Kronos Worldwide Inc     141     shares             3,130  
 
  LTX Corporation     265     shares             3,983  
 
  Lam Pharmaceutical Corporation     478     shares             93  
 
  Lam Research Corporation     100     shares             3,230  
 
  Liberty Media     28     shares             333  
 
  Lifestream Technologies Inc     1,688     shares             203  
 
  Liz Claiborne Inc     100     shares             3,546  
 
  Loral Space & Communications Ltd     535     shares             169  
 
  Lowes Companies Inc     1,220     shares             67,580  
 
  LSI Logic Corporation     60     shares             532  
 
  LTWC Corporation     474     shares             1  

- 18 -


Table of Contents

     
Phelps Dodge Employee Savings Plan
  Supplemental Information
Schedule of Assets (Held at End of Year)
  Schedule I
December 31, 2003
   
                                 
        (c) Description of        
        investment including        
        maturity date, rate of        
        interest, collateral,   (d)    
        par or maturity value,   Cost   (e) Current
(a)
  (b) Identity of issue, borrower, lessor or similar party
  or number of shares
  **
  Value
 
  Lucent Technologies Inc     30,463     shares             86,515  
 
  MBIA Inc     150     shares             8,884  
 
  MDC Holdings Inc     200     shares             12,900  
 
  MIV Therapeutics Inc     2,500     shares             1,000  
 
  MRV Communications Inc     2,500     shares             9,400  
 
  Macromedia Inc     206     shares             3,675  
 
  Macrovision Corporation     500     shares             11,295  
 
  Magellan Midstream Partners LP     400     shares             20,000  
 
  Mannatech Inc     2,000     shares             21,720  
 
  Manpower Inc     20     shares             941  
 
  Manugistics Group Inc     800     shares             5,000  
 
  Marchfirst Inc     400     shares             1  
 
  Marex Inc     50     shares             1  
 
  Martha Stewart Living Omni     100     shares             985  
 
  Marvel Enterprises Inc     108     shares             3,144  
 
  Marvell Technology Group Ltd     250     shares             13,275  
 
  Massey Energy Company     79     shares             1,634  
 
  Matritech Inc     2,000     shares             3,780  
 
  Matrix Service Co     500     shares             9,075  
 
  Matrixx Initiatives Inc     172     shares             3,051  
 
  Maxworldwide Inc     1,000     shares             800  
 
  Maytag Corporation     300     shares             8,355  
 
  Mcdata Corporation Class A     11     shares             105  
 
  Medco Health Solutions Inc     36     shares             1,224  
 
  Medcom USA Inc     400     shares             260  
 
  Mediax Corporation     5,000     shares             1  
 
  Medifast Inc     500     shares             7,050  
 
  Medimmune Inc     750     shares             19,050  
 
  Medquist Inc     35     shares             562  
 
  Medtronic Inc     1,014     shares             49,284  
 
  Merck & Co Inc     517     shares             23,885  
 
  Meritage Corporation     100     shares             6,631  
 
  Metrologic Instruments Inc     146     shares             3,942  
 
  Microsemi Corporation     139     shares             3,417  
 
  Microsoft Corporation     7,160     shares             197,110  
 
  Military Resale Group Inc     2,000     shares             240  
 
  Millennium Pharmaceuticals Inc     300     shares             5,601  
 
  Mills Corporation     200     shares             8,800  
 
  Mills Corporation 9% Series C Preferred     200     shares             5,500  
 
  Mindspeed Technology Inc     70     shares             480  
 
  Miracle Entertainment     1,571     shares             1  
 
  Mirant Corporation     75     shares             29  
 
  Mooney Aerospace Group A     10,000     shares             201  
 
  Motorola Incorporated     2,205     shares             31,023  
 
  Multimedia Games Inc     100     shares             4,110  
 
  Mylan Laboratories Inc     226     shares             5,706  
 
  Myriad Genetics Inc     100     shares             1,286  

- 19 -


Table of Contents

     
Phelps Dodge Employee Savings Plan
  Supplemental Information
Schedule of Assets (Held at End of Year)
  Schedule I
December 31, 2003
   
                                 
        (c) Description of        
        investment including        
        maturity date, rate of        
        interest, collateral,   (d)    
        par or maturity value,   Cost   (e) Current
(a)
  (b) Identity of issue, borrower, lessor or similar party
  or number of shares
  **
    Value
 
  Myturn.Com Inc     24,000     shares             2  
 
  NL Industries Inc     584     shares             6,830  
 
  NTL Incorporated     56     shares             3,906  
 
  NVE Corporation     150     shares             7,695  
 
  Nanobac Pharmaceuticals Inc     98     shares             67  
 
  Nasdaq 100 Shares     2,089     shares             76,165  
 
  Naspers Ltd Sponsored Adr     44     shares             2,712  
 
  National Residential Pptys Inc     210,000     shares             42  
 
  National Semiconductor Corporation     70     shares             2,759  
 
  Navisite Inc     133     shares             874  
 
  Nektar Therapeutics Inc     450     shares             6,124  
 
  Net Perceptions Inc     1,580     shares             632  
 
  Net2Phone Inc     1,000     shares             6,800  
 
  Network Appliance Inc     813     shares             16,691  
 
  Newell Rubbermaid Inc     380     shares             8,653  
 
  Newport Corporation     100     shares             1,653  
 
  Nexia Holdings Inc     13,000     shares             1  
 
  Nextel Communications A     124     shares             3,479  
 
  Niku Corporation     213     shares             1,810  
 
  Nisource Inc Holding Company     32     shares             713  
 
  Nokia Corporation Sponsored Adr     690     shares             11,730  
 
  Noranda Inc     300     shares             4,758  
 
  Nortel Networks Corporation     4,198     shares             17,757  
 
  North Star Diamonds Inc     174,750     shares             7,689  
 
  Northrop Grumman Corporation     24     shares             2,329  
 
  Nova Communications Ltd     16,000     shares             432  
 
  Novagold Resources Inc     2,070     shares             10,309  
 
  Novatel Wireless Inc New     526     shares             3,151  
 
  Novell Inc     311     shares             3,272  
 
  Nuvelo Inc     5,000     shares             17,350  
 
  Oakwood Homes Corporation     500     shares             60  
 
  Ocean Power Corporation     3,400     shares             2  
 
  On Semiconductor Corporation     470     shares             3,031  
 
  Oneok Inc     60     shares             1,325  
 
  Opentv Corp Class A     62     shares             208  
 
  Oracle Corporation     9,860     shares             130,152  
 
  Orasure Technologies Inc     420     shares             3,343  
 
  Owens Corning     300     shares             126  
 
  Oxy Corporation     5,215     shares             220,274  
 
  P.F. Chang's China Bistro Inc     100     shares             5,088  
 
  PMC-Sierra Inc     523     shares             10,538  
 
  Paccar Inc     42     shares             3,575  
 
  Palmone Inc     941     shares             11,057  
 
  Palmsource Inc     30     shares             654  
 
  Pan American Silver Corp     867     shares             12,398  
 
  Paradigm Advanced Technologies Inc     1,200     shares             1  

- 20 -


Table of Contents

     
Phelps Dodge Employee Savings Plan
  Supplemental Information
Schedule of Assets (Held at End of Year)
  Schedule I
December 31, 2003
   
                                 
        (c) Description of        
        investment including        
        maturity date, rate of        
        interest, collateral,   (d)    
        par or maturity value,   Cost   (e) Current
(a)
  (b) Identity of issue, borrower, lessor or similar party
  or number of shares
  **
  Value
 
  Paradigm Genetics Inc     2,000     shares             2,940  
 
  Patina Oil & Gas Corp     100     shares             4,899  
 
  PCCW Limited Ord     60     shares             39  
 
  Pengrowth Energy Trust     1,000     shares             16,400  
 
  Penton Media Inc     100     shares             136  
 
  Pepsico Incorporated     80     shares             3,730  
 
  Permian Basin Royalty Trust     81     shares             669  
 
  Petro-Canada Var Vtg     17     shares             838  
 
  Petrofund Energy Trust     1,000     shares             14,460  
 
  Petroleum Development Corporation     196     shares             4,645  
 
  Petroquest Energy Inc     2,000     shares             6,240  
 
  Pfizer Incorporated     3,056     shares             107,972  
 
  Pharmaceutical Product Development Inc     266     shares             7,174  
 
  Pharmos Corporation     600     shares             2,100  
 
  Phoenix Companies     103     shares             1,235  
 
  Pinnacle Business Management Inc     257,142     shares             51  
 
  Pipeline Technologies Inc     3,000     shares             30  
 
  Pixelworks Inc     1,765     shares             19,486  
 
  Playtex Products Inc     220     shares             1,701  
 
  Plug Power Inc     146     shares             1,058  
 
  Poore Brothers Inc     60     shares             204  
 
  Possis Medical Inc     300     shares             5,925  
 
  Powerwave Technologies Inc     1,000     shares             7,650  
 
  Pozen Inc     132     shares             1,346  
 
  Presstek Inc     400     shares             2,908  
 
  Primelink Sys Inc     100     shares             1  
 
  Primewest Energy Trust     1,000     shares             21,270  
 
  Procter & Gamble Company     171     shares             17,101  
 
  Proginet Corporation     625     shares             406  
 
  Provident Energy Trust     400     shares             3,540  
 
  Prudential Financial Inc     100     shares             4,177  
 
  Psychiatric Solutions Inc     178     shares             3,720  
 
  Qlogic Corporation     70     shares             3,612  
 
  Qualcomm Incorporated     1,245     shares             67,162  
 
  Quanta Services Inc     400     shares             2,920  
 
  Quentra Networks Inc     700     shares             1  
 
  Quest Communications International Inc     1,000     shares             4,320  
 
  Quintus Corporation     400     shares             120  
 
  Quokka Sports Inc     1     share             1  
 
  Quovadx Inc     200     shares             980  
 
  Qwest Communications International Inc     12,827     shares             55,412  
 
  RF Micro Devices Inc     250     shares             2,512  
 
  R.J. Reynolds Tobacco Holding Inc     123     shares             7,152  
 
  Radyne Comstream Inc 05 Wts     18,546     shares             34,125  
 
  Rambus Inc     5     shares             153  
 
  Ramtron International Corp     60     shares             157  

- 21 -


Table of Contents

     
Phelps Dodge Employee Savings Plan
  Supplemental Information
Schedule of Assets (Held at End of Year)
  Schedule I
December 31, 2003
   
                                 
        (c) Description of        
        investment including        
        maturity date, rate of        
        interest, collateral,   (d)    
        par or maturity value,   Cost   (e) Current
(a)
  (b) Identity of issue, borrower, lessor or similar party
  or number of shares
  **
  Value
 
  Rayonier Inc     166     shares             6,891  
 
  Raytheon Company     4,388     shares             131,821  
 
  Reality Wireless Networks Inc     204     shares             5  
 
  Recordlab Corporation     450     shares             1  
 
  Redhat Inc     323     shares             6,063  
 
  Reed Holdings Corporation     94     shares             1  
 
  Rite Aid Corporation     22,300     shares             134,692  
 
  Rockford Corporation     20     shares             104  
 
  Roxio Inc     450     shares             2,155  
 
  Royal Gold Inc     200     shares             4,186  
 
  Rudolph Technologies Inc     178     shares             4,368  
 
  SBC Communications Inc     1     share             17  
 
  SCO Group Inc     87     shares             1,479  
 
  SFBC International Inc     444     shares             11,793  
 
  Sify Limited Adr     100     shares             518  
 
  SPDR Trust Unit Series 1     91     shares             10,131  
 
  Safeway Inc     1,150     shares             25,196  
 
  Sandisk Corporation     100     shares             6,114  
 
  Sanmina-SCI Corporation     191     shares             2,408  
 
  Sara Lee Corporation     127     shares             2,765  
 
  Schering Plough Corp     50     shares             872  
 
  Schlumberger Limited     32     shares             1,751  
 
  Scient Inc     532     shares             1  
 
  Scientific Atlanta Inc     226     shares             6,182  
 
  Scientific Games Corporation Class A     181     shares             3,079  
 
  Scores Holding Company Inc     20,000     shares             1,900  
 
  Seattle Genetics Inc     1,000     shares             8,580  
 
  Semotus Solutions Inc     1,000     shares             690  
 
  Semtech Corporation     134     shares             3,046  
 
  Serena Software Inc     250     shares             4,587  
 
  Serono S.A. Adr     300     shares             5,265  
 
  Service Corporation International     335     shares             1,806  
 
  Shaman Pharmaceuticals Inc     100,001     shares             210  
 
  Sicor Inc     100     shares             2,720  
 
  Siebel Systems Inc     3,586     shares             49,808  
 
  Silicon Graphics Inc     500     shares             685  
 
  Silver Screen Studios Inc     10,000     shares             600  
 
  Silverado Gold Mines Ltd     3,000     shares             405  
 
  Simex Technologies Inc     3,000     shares             1,260  
 
  Sina Corporation     73     shares             2,464  
 
  Single Source Financial Services Corporation     80     shares             144  
 
  Sirius Satellite Radio     30,595     shares             96,680  
 
  Siskon Gold Corporation     3,000     shares             60  
 
  Skyworks Solutions Inc     74     shares             644  
 
  Sohu.Com Inc     127     shares             3,811  
 
  Solectron Corporation     440     shares             2,600  

- 22 -


Table of Contents

     
Phelps Dodge Employee Savings Plan
  Supplemental Information
Schedule of Assets (Held at End of Year)
  Schedule I
December 31, 2003
   
                                 
        (c) Description of        
        investment including        
        maturity date, rate of        
        interest, collateral,   (d)    
        par or maturity value,   Cost   (e) Current
(a)
  (b) Identity of issue, borrower, lessor or similar party
  or number of shares
  **
  Value
 
  Sonic Corp     150     shares             4,593  
 
  Southwall Technologies Inc     3,162     shares             3,035  
 
  Southwest Airlines Company     2,816     shares             45,456  
 
  Southwest Energy Company     100     shares             2,390  
 
  Southwestern Resources Corp     405     shares             12,486  
 
  Spectralink Corp     100     shares             1,917  
 
  Spiegel Inc Class A Non-Voting     7,000     shares             385  
 
  Sports Authority Inc     200     shares             7,680  
 
  Sportsline.Com Inc     470     shares             597  
 
  Sprint FON Group     656     shares             10,768  
 
  Sprint PCS Group     500     shares             2,810  
 
  Stamford International Inc     1,800     shares             1  
 
  Starbucks Corporation     500     shares             16,580  
 
  Stillwater Mining Corporation     585     shares             5,598  
 
  Stone & Webster Incorporated     37,500     shares             21,375  
 
  Stonepath Group Inc     500     shares             1,130  
 
  Storagenetworks Inc     220     shares             1  
 
  Stratasys Inc     150     shares             4,089  
 
  Styling Technology Corporation     130     shares             1  
 
  Sun Microsystems Inc     4,037     shares             18,126  
 
  SunGard Data Systems Inc     636     shares             17,623  
 
  Sunrise Technologies International Inc     1,000     shares             4  
 
  Superconductor Technologies Inc     1,890     shares             10,547  
 
  Superior Telecom Inc     2,500     shares             1  
 
  Surebeam Corporation     150     shares             36  
 
  Sycamore Networks Inc     15     shares             78  
 
  Synergie Holdings Ltd Inc     600,000     shares             360  
 
  Synergy Brands Inc     820     shares             3,198  
 
  Synopsys Inc     400     shares             13,504  
 
  Synthetic Turf Corporation of America     2,000     shares             48  
 
  T & G2 Inc     375     shares             50  
 
  THC Communications Inc     19,600     shares             2  
 
  THCG Inc     60     shares             1  
 
  TVC Telecom Inc     52,000     shares             988  
 
  Taiwan Semiconductor Manufacturing Co Ltd     400     shares             4,096  
 
  Target Corporation     139     shares             5,351  
 
  Tellabs Inc     500     shares             4,215  
 
  Telular Corporation     1,500     shares             9,825  
 
  Telynx Inc     500     shares             4  
 
  Texas Instruments Inc     886     shares             26,038  
 
  Thatlook.Com Inc     670     shares             1  
 
  The Charles Schwab Corp     124     shares             1,472  
 
  Theglobe.Com Inc     100     shares             132  
 
  Thornburg Mortgage Inc     48     shares             1,308  
 
  Tiger Telematics Inc     45,000     shares             4,500  

- 23 -


Table of Contents

     
Phelps Dodge Employee Savings Plan
  Supplemental Information
Schedule of Assets (Held at End of Year)
  Schedule I
December 31, 2003
   
                                 
        (c) Description of        
        investment including        
        maturity date, rate of        
        interest, collateral,   (d)    
        par or maturity value,   Cost   (e) Current
(a)
  (b) Identity of issue, borrower, lessor or similar party
  or number of shares
  **
  Value
 
  Time Warner Inc     612     shares             11,010  
 
  Time Warner Telecom Inc Class A     110     shares             1,114  
 
  Timken Company     30     shares             610  
 
  Titan Corporation     356     shares             7,764  
 
  Titanium Metals Corporation     100     shares             5,251  
 
  Tokheim Corporation Series C 06 Wts     300     shares             1  
 
  Tommy Hilfiger Corporation     100     shares             1,481  
 
  Trans Orient Pete Ltd     28     shares             9  
 
  Travelers Property Casualty Class A     5     shares             84  
 
  Travelers Property Casualty Class B     10     shares             170  
 
  Trex Company Inc     150     shares             5,697  
 
  Triquint Semiconductor Inc     200     shares             1,414  
 
  True Health Inc     1,200     shares             1,044  
 
  Tyco International Ltd     360     shares             9,544  
 
  UAL Corporation     2,775     shares             4,501  
 
  U.S. Bancorp     30     shares             893  
 
  U.S. Microbics Inc     10,000     shares             520  
 
  Ugomedia Interactive Corp     3,000     shares             360  
 
  Uniprime Capital Acceptance Inc     11,975     shares             1  
 
  Unisource Energy Corporation     681     shares             16,788  
 
  United Online Inc     40     shares             671  
 
  United Parcel Service Class B     100     shares             7,488  
 
  United Sts Crude International Inc     999,999     shares             700  
 
  United Technologies Corporation     20     shares             1,933  
 
  Universal Express Inc     18,000     shares             1,134  
 
  Unova Inc     500     shares             11,475  
 
  VA Software Corporation     51     shares             199  
 
  Vasomedical Inc     2,050     shares             2,296  
 
  Vast Solutions Inc Class B1     46     shares             1  
 
  Vast Solutions Inc Class B2     46     shares             1  
 
  Vast Solutions Inc Class B3     46     shares             1  
 
  Vault Financial Services Inc     1     share             1  
 
  Vaxgen Inc     50     shares             396  
 
  Ventas Inc     300     shares             6,600  
 
  Verilink Corporation     250     shares             1,307  
 
  Verisign Inc     85     shares             1,385  
 
  Veritas Software Corporation     130     shares             4,831  
 
  Viacom Inc Non-Voting Class B     120     shares             5,318  
 
  Vialta Inc     2     shares             1  
 
  Vignette Corporation     600     shares             1,362  
 
  Vion Pharmaceuticals Inc     1,000     shares             1,580  
 
  Viragen Inc     2,000     shares             480  
 
  Vital Living Products Inc     300     shares             1  
 
  Vitria Technology Inc     1,750     shares             12,425  
 
  Vivendi Universal Adr     16     shares             388  
 
  V-Net Beverage Inc     12,000     shares             50  

- 24 -


Table of Contents

     
Phelps Dodge Employee Savings Plan
  Supplemental Information
Schedule of Assets (Held at End of Year)
  Schedule I
December 31, 2003
   
                                 
        (c) Description of        
        investment including        
        maturity date, rate of        
        interest, collateral,   (d)    
        par or maturity value,   Cost   (e) Current
(a)
  (b) Identity of issue, borrower, lessor or similar party
  or number of shares
  **
  Value
   
Walgreen Company
    123     shares             4,459  
   
Wal-Mart de CV Sponsored Adr
    60     shares             1,695  
   
Wal-Mart Stores Inc
    1,331     shares             70,609  
   
Warning Model Management LLC
    400     shares             1  
   
Wasatch Pharmaceutical Inc
    2     shares             1  
   
Washington Mutual Inc
    307     shares             12,301  
   
Wave Systems Corporation Class A
    2,150     shares             3,526  
   
WAVO Corporation
    2,100     shares             10  
   
Webb Interactive Services Inc
    1,100     shares             1,056  
   
Webex Communications Inc
    400     shares             8,040  
   
Weingarten Realty Investors Sbi
    27     shares             1,215  
   
Wellpoint Health Networks Inc
    50     shares             4,849  
   
Wheaton River Minerals Ltd
    5,120     shares             15,309  
   
Williams Clayton Energy Inc
    100     shares             2,907  
   
Williams Coal Seam Gas Royalty Trust
    563     shares             7,367  
   
World Gaming Plc Adr
    30,000     shares             12,600  
   
World Wrestling Entertainment Inc
    151     shares             1,980  
   
Worldcom Inc
    68,245     shares             901  
   
Worldcom Inc - MCI Group
    25     shares             1  
   
Worldwide Web Networx Corporation
    300     shares             1  
   
Xm Satellite Radio Holdings Inc
    700     shares             18,452  
   
Xerion Ecosolutions Group Inc
    1     share             2  
   
Xerox Corporation
    1,504     shares             20,755  
   
Xilinx Inc
    79     shares             3,060  
   
Xybernaut Corporation
    8,500     shares             13,345  
   
Yahoo! Inc
    1,264     shares             57,095  
   
Yum Brands Inc
    1,000     shares             34,400  
   
Zap.Com Corporation
    2     shares             1  
   
Zoran Corporation
    500     shares             8,695  
   
Zymetx Inc
    750     shares             112  
   
 
                       
 
 
   
Total Common Stocks
                        8,121,531  
   
 
                       
 
 
   
Mutual Funds:
                           
   
ABN Amro Mid Cap Fund Class N
    428     shares             9,079  
   
ABN Amro/Veredus Aggressive Growth Fund Class N
    213     shares             3,307  
   
Acadian Emerging Markets Portfolio
    657     shares             10,329  
   
Al Frank Fund
    325     shares             7,992  
*  
American Century Equity Growth Fund
    3,900,575     shares             76,455,989  
*  
American Century Equity Income Fund
    3,694     shares             28,738  
*  
American Century Ginnie Mae
    1,835     shares             19,474  
*  
American Century Global Gold Fund
    10,093     shares             132,918  
*  
American Century Growth Fund
    870     shares             15,615  
*  
American Century Income and Growth Fund
    2,369,526     shares             65,625,277  
*  
American Century International Growth Fund - Investor Class
    2,439     shares             19,363  
*  
American Century Real Estate Fund Investor Class
    3,735     shares             77,693  

- 25 -


Table of Contents

     
Phelps Dodge Employee Savings Plan
  Supplemental Information
Schedule of Assets (Held at End of Year)
  Schedule I
December 31, 2003
   
                                 
        (c) Description of        
        investment including        
        maturity date, rate of        
        interest, collateral,   (d)    
        par or maturity value,   Cost   (e) Current
(a)
  (b) Identity of issue, borrower, lessor or similar party
  or number of shares
  **
  Value
*
  American Century Target 2005 Fund     22     shares             2,179  
*
  American Century Technology Fund     1,544     shares             29,485  
 
  American Funds Europacific Growth Fund     951,838     shares             28,728,091  
 
  Amerindo Technology Fund Class D     91     shares             667  
 
  Ameristock Fund     339     shares             13,355  
 
  Ariel Fund     258     shares             11,631  
 
  Artisan International Fund     2,870     shares             54,263  
 
  Artisan International Small Cap Fund Investor Shares     973     shares             15,193  
 
  Artisan Midcap Fund     675     shares             17,394  
 
  Baron Growth Fund     246     shares             8,732  
 
  Bjurman Barry Micro Cap Growth Fund     3,753     shares             127,188  
 
  Bridgeway Blue-Chip 35 Index Fund     763     shares             5,321  
 
  Bridgeway Ultra-Small Company Market Fund     1,376     shares             20,554  
 
  Buffalo High Yield Fund     2,289     shares             25,429  
 
  Buffalo Small Cap Fund     850     shares             18,844  
 
  Burnham Financial Services Fund Class A     452     shares             11,054  
 
  Calamos Growth Fund Class A     438     shares             19,617  
 
  CGM Realty Fund     208     shares             5,160  
 
  Chesapeake Core Growth Fund     3,003     shares             45,980  
 
  Clipper Fund     1,206     shares             106,060  
 
  Columbia Small Cap Growth Fund Class Z     442     shares             10,389  
 
  Columbia Strategic Investor Fund Class Z     270     shares             4,810  
 
  Cooke & Bieler Mid-Cap Value Portfolio     114     shares             2,154  
 
  Dodge & Cox Balanced Fund     104     shares             7,588  
 
  Dodge & Cox International Stock Fund     70     shares             1,641  
 
  Dodge & Cox Stock Fund     283     shares             32,230  
 
  Dreyfus Intermediate Term Income Fund     352     shares             4,558  
 
  Dreyfus Premier Technology Growth Fund Class A     224     shares             5,144  
 
  Dreyfus Small Cap Stock Index Fund     1,963     shares             33,644  
 
  Driehaus International Discovery Fund     416     shares             12,185  
 
  Eclipse Small Cap Value Fund No Load     608     shares             10,211  
 
  Excelsior Energy And Natural Resources Fund     522     shares             8,260  
 
  Excelsior Value And Restructuring Fund     2,132     shares             76,459  
 
  FBR Small Cap Financial Fund     194     shares             6,497  
 
  FBR Small Cap Growth/Value Fund     296     shares             9,621  
 
  Federated Capital Appreciation Fund Class A     107     shares             2,555  
 
  Federated International Small Company Fund Class A     508     shares             11,587  
 
  Federated Kaufmann Fund Class K     2,185     shares             10,837  
 
  Fidelity Aggressive Growth Fund     111     shares             1,662  
 
  Fidelity Discovery Fund     555     shares             5,739  
 
  Fidelity Equity Income Fund     36,097     shares             1,795,810  
 
  Fidelity Growth And Income Fund     119     shares             4,228  
 
  Fidelity Growth Company Fund     22     shares             1,124  
 
  Fidelity Magellan Fund     39,036     shares             3,815,339  
 
  Fidelity Select Biotechnology Portfolio     20     shares             1,032  

- 26 -


Table of Contents

     
Phelps Dodge Employee Savings Plan
  Supplemental Information
Schedule of Assets (Held at End of Year)
  Schedule I
December 31, 2003
   
                                 
        (c) Description of        
        investment including        
        maturity date, rate of        
        interest, collateral,   (d)    
        par or maturity value,   Cost   (e) Current
(a)
  (b) Identity of issue, borrower, lessor or similar party
  or number of shares
  **
  Value
 
  First American Small Cap Growth Opportunity Fund Class A     1,197     shares             30,014  
 
  Firsthand Technology Innovators Fund     2,782     shares             32,156  
 
  Firsthand Technology Leaders Fund     464     shares             7,995  
 
  Firsthand Technology Value Fund     369     shares             11,649  
 
  FMI Focus Fund     68     shares             2,329  
 
  Gabelli Gold Fund     12,207     shares             221,930  
 
  Gabelli Westwood Balanced Fund Retail Class     277     shares             3,102  
 
  GE US Equity Fund Class A     1,629     shares             43,201  
 
  Heartland Value Fund     974     shares             49,829  
 
  Henlopen Fund     1,401     shares             36,555  
 
  Hennessy Cornerstone Growth Fund     1,290     shares             24,968  
 
  Hussman Strategic Growth     2,140     shares             32,779  
 
  Icon Healthcare Fund Class A     497     shares             6,742  
 
  Icon Information Technology Fund     1,460     shares             12,787  
 
  Invesco Dynamics Fund Investor Class     1,103     shares             16,263  
 
  Invesco Energy Fund Investor Class     266     shares             5,412  
 
  Invesco Financial Services Fund Investor Class     262     shares             7,749  
 
  Invesco Technology Fund Investor Class     529     shares             13,011  
 
  IPS Millennium Fund Class A     24     shares             632  
 
  Ivy Global Natural Resources Fund Class A     78     shares             1,295  
 
  Janus Balanced Fund     3,033     shares             60,477  
 
  Janus Enterprise Fund     405     shares             12,614  
 
  Janus Fund     738     shares             17,312  
 
  Janus Global Life Sciences Fund     612     shares             9,584  
 
  Janus Global Technology Fund     3,867     shares             40,798  
 
  Janus High Yield Fund     427     shares             4,145  
 
  Janus Mercury Fund     5,605     shares             109,303  
 
  Janus Mid Cap Value Investor Shares     935     shares             19,065  
 
  Janus Olympus Fund     2,180     shares             57,404  
 
  Janus Small Cap Value Investor Shares     1,242     shares             38,438  
 
  Janus Special Equity Fund     5,272     shares             57,039  
 
  Janus Twenty Fund     783     shares             28,319  
 
  Janus Worldwide Fund     26     shares             1,042  
 
  Jensen Portfolio Inc Class J     1,010     shares             23,362  
*
  J.P. Morgan Mid-Cap Growth Fund Class A     248     shares             1,217  
 
  Julius Baer International Equity Fund     4,543     shares             120,398  
 
  Longleaf Partners International Fund     581     shares             8,194  
 
  Loomis Sayles Bond Fund Class I     451     shares             6,005  
 
  Lord Abbett Affiliated Fund Class A     1,507     shares             20,425  
 
  Lord Abbett Bond Debenture Fund Class A     1,443     shares             11,634  
 
  Lord Abbett Mid Cap Value Fund Class A     442     shares             8,328  
 
  Marshall Mid-Cap Value Fund Investor Class     1,155     shares             15,948  
 
  Marsico Growth Fund     1,632     shares             25,203  
 
  Matthews Pacific Tiger Fund     1,570     shares             20,645  

- 27 -


Table of Contents

     
Phelps Dodge Employee Savings Plan
  Supplemental Information
Schedule of Assets (Held at End of Year)
  Schedule I
December 31, 2003
   
                                 
        (c) Description of        
        investment including        
        maturity date, rate of        
        interest, collateral,   (d)    
        par or maturity value,   Cost   (e) Current
(a)
  (b) Identity of issue, borrower, lessor or similar party
  or number of shares
  **
  Value
 
  Navellier Mid Cap Growth Fund     4,602     shares             104,796  
 
  Neuberger Berman Focus Fund Investor Class     293     shares             10,535  
 
  Neuberger Berman High Income Bond Fund     3,311     shares             31,053  
 
  Neuberger Berman International Fund Investor Class     1,186     shares             16,664  
 
  Nicholas II Fund     217     shares             4,636  
 
  Northern Select Equity Fund     575     shares             10,350  
 
  Northern Technology Fund     94     shares             1,083  
 
  Oakmark Equity Income Fund     1,436     shares             31,615  
 
  Oakmark Fund     349     shares             13,116  
 
  Oakmark Global Fund Class I     2,192     shares             42,266  
 
  Oakmark International Fund - Harris Oakmark International Fund     2,080     shares             37,491  
 
  Oakmark Select Fund     3,125     shares             95,675  
 
  Oberweis Emerging Growth Portfolio     353     shares             9,536  
 
  Oberweis Micro-Capital Portfolio     658     shares             17,291  
 
  PBHG Clipper Focus Fund PBHG Class     3,756     shares             61,967  
 
  PBHG Large-Cap Growth Fund     61     shares             1,185  
 
  PBHG Large-Cap Fund     256     shares             3,058  
 
  PBHG Mid-Cap Fund     201     shares             3,460  
 
  PBHG Select Growth Fund     234     shares             4,909  
 
  PBHG Technology & Communications Fund     344     shares             3,718  
 
  Pimco Commodity Real Return Strategy Fund Class D     724     shares             9,870  
 
  Pimco Emerging Markets Bond Fund Class D     2,536     shares             26,648  
 
  Pimco Rcm Global Healthcare Fund Class D     1,812     shares             35,190  
 
  Pimco Rcm Global Technology Fund Class D     347     shares             10,527  
 
  Pimco Real Return Fund Class D     2,230     shares             25,082  
 
  Pimco Total Return Fund Class D     6,419     shares             68,748  
 
  Pimco Total Return Mortgage Fund Class D     468     shares             5,027  
 
  Pin Oak Aggressive Stock Fund     190     shares             3,744  
 
  Pioneer High Yield Fund Class A     4,069     shares             48,582  
 
  Prudent Global Income Fund     870     shares             11,551  
 
  Prudent Bear Fund     427     shares             2,661  
 
  Quaker Aggressive Growth Fund     717     shares             13,954  
 
  Red Oak Technology Select Portfolio     939     shares             6,416  
 
  Reynolds Blue Chip Growth Fund     21     shares             645  
 
  Royce Low Priced Stock Fund     909     shares             12,702  
 
  Royce Premier Fund     4,194     shares             54,104  
 
  Royce Total Return Fund     1,729     shares             18,487  
 
  RS Contrarian Value Fund     539     shares             9,177  
 
  RS Diversified Growth Fund     455     shares             10,168  
 
  RS Internet Age Fund     571     shares             3,758  
 
  RS Partners Fund     592     shares             16,403  
 
  Rydex Large-Cap Japan Fund     159     shares             4,739  
 
  Rydex Tempest 500 Fund     928     shares             48,867  
 
  Rydex Ursa Fund Investor Class     2,518     shares             23,593  

- 28 -


Table of Contents

     
Phelps Dodge Employee Savings Plan
  Supplemental Information
Schedule of Assets (Held at End of Year)
  Schedule I
December 31, 2003
   
                                 
        (c) Description of        
        investment including        
        maturity date, rate of        
        interest, collateral,   (d)    
        par or maturity value,   Cost   (e) Current
(a)
  (b) Identity of issue, borrower, lessor or similar party
  or number of shares
  **
  Value
 
  Rydex Velocity 100 Fund     96     shares             1,894  
 
  Rydex Venture 100 Fund     743     shares             19,765  
 
  Safeco Growth Opportunities Fund     966     shares             23,908  
 
  Schwab 1000 Fund     33     shares             1,032  
 
  Schwab S&P 500 Investor Shares     7,912     shares             135,535  
 
  Schwab Short-Term Bond Market Fund     987     shares             10,072  
 
  Schwab Total Bond Market Fund     26,392     shares             264,980  
 
  Schwab Total Stock Market-Inv     1,070     shares             19,643  
 
  Schwab Total Stock Market-Sel     3,369     shares             61,928  
 
  Schwab Value Advantage Money Fund     113,274     shares             113,274  
 
  Scudder Balanced Fund Class S     532     shares             8,898  
 
  Scudder Greater Europe Growth Fund Class S     622     shares             14,670  
 
  Scudder Health Care Fund Class S     233     shares             4,888  
 
  Selected American Shares Inc     348     shares             11,533  
 
  SSgA Core Opportunities Fund     1,175     shares             21,321  
 
  Strong Asia Pacific Fund     230     shares             2,066  
 
  Strong Multi Cap Value Fund     159     shares             8,855  
 
  Strong Opportunity Fund     694     shares             27,395  
 
  T. Rowe Price Emerging Markets Stock Fund     456     shares             7,057  
 
  T. Rowe Price Equity Income Fund     1,062     shares             25,649  
 
  T. Rowe Price Health Sciences Fund     1,665     shares             33,221  
 
  T. Rowe Price Latin America Fund     955     shares             11,159  
 
  T. Rowe Price Mid Cap Growth Fund     939     shares             40,291  
 
  T. Rowe Price New Asia Fund     1,007     shares             8,569  
 
  T. Rowe Price New Horizon Fund     182,187     shares             4,518,232  
 
  T. Rowe Price Real Estate Fund     449     shares             6,135  
 
  T. Rowe Price Science & Technology Fund     154,729     shares             2,908,907  
 
  T. Rowe Price Small Cap Stock Fund     42,312,308     shares             37,893,595  
 
  T. Rowe Price Small Cap Value Fund     581     shares             17,067  
 
  T. Rowe Price Spectrum Income Fund     1,695     shares             19,955  
 
  TCW Galileo Select Equities Fund N Class     327     shares             5,578  
 
  Third Avenue Real Estate Value Fund     297     shares             6,347  
 
  Third Avenue Value Fund     304     shares             12,592  
 
  Touchstone Large-Cap Growth Fund Class A     703     shares             11,612  
 
  Turner Midcap Growth Fund Class I     47     shares             1,028  
 
  Tweedy Browne Global Value Fund     1,653     shares             32,313  
 
  UMB Scott Worldwide Fund     3,421     shares             70,414  
 
  Vanguard 500 Index Fund Investor Shares     1,052     shares             108,058  
 
  Vanguard Gnma Fund Investor Shares     1,007     shares             10,573  
 
  Vanguard Primecap Fund     539     shares             28,565  
 
 
Vanguard Short-Term Bond Index Fund Investor Shares
    827     shares             8,497  
 
 
Vanguard Short-Term Treasury Fund Investor Shares
    1,307     shares             13,911  
 
  Vanguard Total Bond Market Index Fund     393     shares             4,050  
 
 
Vanguard Total Stock Market Index Fund - Investor Shares
    1,708     shares             44,403  

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Table of Contents

     
Phelps Dodge Employee Savings Plan
  Supplemental Information
Schedule of Assets (Held at End of Year)
  Schedule I
December 31, 2003
   
                                 
        (c) Description of        
        investment including        
        maturity date, rate of        
        interest, collateral,   (d)    
        par or maturity value,   Cost   (e) Current
(a)
  (b) Identity of issue, borrower, lessor or similar party
  or number of shares
  **
  Value
   
Vanguard U.S. Value Fund
    879     shares             10,791  
   
Waddell & Reed Advisor Science and Technology Fund Class A
    131     shares             1,175  
   
Wasatch Core Growth Fund
    898     shares             33,155  
   
Weitz Value Fund
    325     shares             11,623  
   
White Oak Growth Stock Fund
    2,543     shares             89,489  
   
William Blair International Growth Fund-Class N
    902     shares             16,820  
   
William Blair Small-Cap Growth Fund Class N
    900     shares             19,643  
   
Winslow Green Growth Fund
    68     shares             986  
   
 
                       
 
 
   
Total Mutual Funds
                        226,582,736  
   
 
                       
 
 
   
Employer Stock:
                           
   
Phelps Dodge
    1,160,310     shares             88,289,623  
   
Phelps Dodge (Participant Directed - Schwab)
    17     shares             1,294  
   
 
                       
 
 
   
Total Employer Stock
                        88,290,917  
   
 
                       
 
 
   
Participant Loans:
                           
   
Loans to Various Participants
  6% - 11.5% Maturing
through 2018
            22,191,464  
   
 
                       
 
 
   
Other Assets:
                           
   
USA 2 Year T-Notes (CBOT) March 2004
    27     shares              
   
USA 10 Year T-Notes (CBOT) March 2004
    1     share              
   
USA 5 Year T-Notes (CBOT) March 2004
    46     shares              
   
USA T-Bonds (CBOT) March 2004
    121     shares              
   
3-Month Eurodollar March 2005
    7     shares              
   
3-Month Eurodollar June 2005
    7     shares              
   
3-Month Eurodollar December 2004
    7     shares              
   
Euro CD March 2004
    5     shares              
   
Euro CD (CME) June 2004
    3     shares              
   
Euro CD (CME) September 2004
    7     shares              
   
Synthetic Wrapper Value
  Synthetic guaranteed investment contract held with Monumental Life Insurance Company, CDC Financial Products, and State Street Bank and Trust Company             (3,695,162 )
   
 
                       
 
 
   
Total Other Assets
                        (3,695,162 )
   
 
                       
 
 
   
Total Assets Held For Investment
                      $ 541,805,801  
   
 
                       
 
 

*   This is a related party to the Plan’s Recordkeeper, a party-in-interest for which a statutory exemption exists.
 
**   All investments are participant directed, therefore disclosure of cost is not required.

See Report of Independent Registered Public Accounting Firm.

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Table of Contents

Index to Exhibits

23   Consent of PricewaterhouseCoopers LLP.