-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, SfaRyPLMYZvaPNsguofYKUe0OEZsf3BG5fLz1niABuA2cr9Cb2IALXbrsmtZdOJj Xmq+H9Z8U4b7oF2aN7Tksw== 0000950152-01-502132.txt : 20010521 0000950152-01-502132.hdr.sgml : 20010521 ACCESSION NUMBER: 0000950152-01-502132 CONFORMED SUBMISSION TYPE: 11-K PUBLIC DOCUMENT COUNT: 6 CONFORMED PERIOD OF REPORT: 20001231 FILED AS OF DATE: 20010518 FILER: COMPANY DATA: COMPANY CONFORMED NAME: TRW INC CENTRAL INDEX KEY: 0000100030 STANDARD INDUSTRIAL CLASSIFICATION: MOTOR VEHICLE PARTS & ACCESSORIES [3714] IRS NUMBER: 340575430 STATE OF INCORPORATION: OH FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 11-K SEC ACT: SEC FILE NUMBER: 001-02384 FILM NUMBER: 1643083 BUSINESS ADDRESS: STREET 1: 1900 RICHMOND RD CITY: CLEVELAND STATE: OH ZIP: 44124 BUSINESS PHONE: 2162917000 MAIL ADDRESS: STREET 1: 1900 RICHMOND ROAD CITY: CLEVELAND STATE: OH ZIP: 44124 11-K 1 l88474ae11-k.htm TRW INC. 11-K TRW Inc. Form 11-K/fiscal year end 12-31-200
TABLE OF CONTENTS

Audited Financial Statements and Supplemental Schedules
Report of Independent Auditors
Statement of Net Assets Available for Benefits, with Fund Information
Statement of Net Assets Available for Benefits, with Fund Information
Statement of Changes in Net Assets Available for Benefits, with Fund Information
Notes to Financial Statements
Schedule H, Line 4(i)—Schedule of Assets Held for Investment Purposes at End of Year
Schedule H, Line 4(j)—Schedule of Reportable Transactions
SIGNATURES
EXHIBIT INDEX
Exhibit 23--Consent of Independent Auditors
Exhibit 24--Power of Attorney


Table of Contents

SECURITIES AND EXCHANGE COMMISSION

WASHINGTON, D.C. 20549


FORM 11-K

ANNUAL REPORT
PURSUANT TO SECTION 15(d) OF THE
SECURITIES EXCHANGE ACT OF 1934

             
(Mark One):
 
X ] ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934.
 
For the fiscal year ended: December 31, 2000
 
OR
 
[    ] TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934.
 
For the transition period from                            to                          
 
Commission file number   1-2384  
 
A. Full title of the plan and the address of the plan, if different from that of the issuer named below:
 
The TRW Employee Stock Ownership
and Savings Plan
 
B. Name of issuer of the securities held pursuant to the plan and the address of its principal executive officer:
 
TRW Inc.
1900 Richmond Road
Cleveland, Ohio 44124

 


Table of Contents

Audited Financial Statements and Supplemental
Schedules

The TRW Employee Stock
Ownership and Savings Plan

 
December 31, 2000 and 1999

 

 

Plan Number: 027

Plan Sponsor
TRW Inc.

Employer Identification Number: 34-0575430

Plan Administrator
TRW Inc.

 


Table of Contents

Report of Independent Auditors

Board of Administration
The TRW Employee Stock Ownership
      and Savings Plan

We have audited the accompanying statements of net assets available for benefits of The TRW Employee Stock Ownership and Savings Plan as of December 31, 2000 and 1999, and the related statement of changes in net assets available for benefits for the year ended December 31, 2000. These financial statements are the responsibility of the Plan’s management. Our responsibility is to express an opinion on these financial statements based on our audits.

We conducted our audits in accordance with auditing standards generally accepted in the 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. An audit also includes assessing the accounting principles used and significant estimates made by management, as well as evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.

In our opinion, the financial statements referred to above present fairly, in all material respects, the net assets available for benefits of The TRW Employee Stock Ownership and Savings Plan as of December 31, 2000 and 1999, and the changes in net assets available for benefits for the year ended December 31, 2000, in conformity with accounting principles generally accepted in the United States.

Our audits were performed for the purpose of forming an opinion on the basic financial statements taken as a whole. The accompanying supplemental schedule of assets held for investment purposes at the end of year as of December 31, 2000, and the schedule of reportable transactions for the year then ended, are presented for purposes of complying with the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974, and are not a required part of the basic financial statements. The Fund Information in the statement of net assets available for benefits and the statement of changes in net assets available for benefits is presented for purposes of additional analysis rather than to present the net assets available for benefits and changes in net assets available for benefits of each fund. The supplemental schedules and Fund Information have been subjected to the auditing procedures applied in our audit of the financial statements and, in our opinion, are fairly stated in all material respects in relation to the basic financial statements taken as a whole.

     
/s/ Ernst & Young LLP
 
April 27, 2001
Cleveland, Ohio

1


Table of Contents

The TRW Employee Stock Ownership and Savings Plan

Statement of Net Assets Available for Benefits, with Fund Information

December 31, 2000
                         
TRW Stock Fund

Putnam
Participant Non-Participant S&P 500
Directed Directed Index Fund

Assets
Investments:
    TRW Common Stock $349,359,922 $ 481,725,186
    Putnam S&P 500 Index Fund $ 662,436,491
    Guaranteed investment
    contracts
    Putnam Small Company Equity
    Fund
    Putnam Income Fund
    PBHG Emerging Growth Fund
    Bernstein International Value
    Portfolio II
    Putnam Investors Fund
    George Putnam Fund of Boston
    Putnam International Growth
    Fund
    Pimco Total Return Fund
    Putnam Vista Fund
    Fidelity Magellan Fund
    Putnam Money Market Fund
    DLJDirect Securities Account
    Putnam Bond Index Fund
    Participant loans receivable
Cash
Receivable for investments sold 2,089,936
Interest and dividends receivable 573,654
Receivable from other funds 150,057

Total assets 349,509,979 481,725,186 665,100,081
Liabilities
Accrued expenses 28,343 20,524 149,693
Payable for securities purchased 1,971,026

Total liabilities 28,343 20,524 2,120,719

Net assets available for benefits $349,481,636 $ 481,704,662 $ 662,979,362


[Additional columns below]

[Continued from above table, first column(s) repeated]
                     
Putnam Small
Primco Stable Company Putnam
Value Fund Equity Fund Income Fund


Assets
Investments:
    TRW Common Stock
    Putnam S&P 500 Index Fund
    Guaranteed investment contracts $ 422,213,090
    Putnam Small Company Equity Fund $ 152,709,997
    Putnam Income Fund $         –
    PBHG Emerging Growth Fund
    Bernstein International Value Portfolio II
    Putnam Investors Fund
    George Putnam Fund of Boston
    Putnam International Growth Fund
    Pimco Total Return Fund
    Putnam Vista Fund
    Fidelity Magellan Fund
    Putnam Money Market Fund
    DLJDirect Securities Account
    Putnam Bond Index Fund
 
    Participant loans receivable
Cash 44,500
Receivable for investments sold 524,733 2,416,773
Interest and dividends receivable 107,984
Receivable from other funds 108,339

Total assets 422,846,162 155,279,254
Liabilities
Accrued expenses 118,909 42,566
Payable for securities purchased 573,257 551,139

Total liabilities 692,166 593,705

Net assets available for benefits $ 422,153,996 $ 154,685,549 $         –


[Additional columns below]

[Continued from above table, first column(s) repeated]
                                 
PBHG Bernstein
Emerging International Putnam George Putnam
Growth Fund Value Portfolio II Investors Fund Fund of Boston

Assets
Investments:
    TRW Common Stock
    Putnam S&P 500 Index Fund
    Guaranteed investment
    contracts
    Putnam Small Company Equity
    Fund
    Putnam Income Fund
    PBHG Emerging Growth Fund $ 86,110,495
    Bernstein International Value
    Portfolio II
$ 28,261,160
    Putnam Investors Fund $ 146,854,131
    George Putnam Fund of Boston $   –
    Putnam International Growth
    Fund
    Pimco Total Return Fund
    Putnam Vista Fund
    Fidelity Magellan Fund
    Putnam Money Market Fund
    DLJDirect Securities Account
    Putnam Bond Index Fund
    Participant loans receivable
Cash
Receivable for investments sold
Interest and dividends receivable
Receivable from other funds

Total assets 86,110,495 28,261,160 146,854,131
Liabilities
Accrued expenses 7,608 1,746 10,490
Payable for securities purchased

Total liabilities 7,608 1,746 10,490

Net assets available for benefits $ 86,102,887 $ 28,259,414 $ 146,843,641 $   –


2


Table of Contents

The TRW Employee Stock Ownership and Savings Plan

Statement of Net Assets Available for Benefits, with Fund Information (continued)

December 31, 2000
                         
Putnam
International Pimco Total TRW
Growth Fund Return Fund Balanced Fund

Assets
Investments:
    TRW Common Stock
    Putnam S&P 500 Index Fund $ 26,776,877
    Guaranteed investment contracts
    Putnam Small Company Equity
    Fund
    Putnam Income Fund
    PBHG Emerging Growth Fund
    Bernstein International Value
    Portfolio II
    Putnam Investors Fund
    George Putnam Fund of Boston
    Putnam International Growth Fund $11,713,947
    Pimco Total Return Fund $ 47,513,681
    Putnam Vista Fund
    Fidelity Magellan Fund
    Putnam Money Market Fund
    DLJDirect Securities Account
    Putnam Bond Index Fund 17,851,252
    Participant loans receivable
Cash
Receivable for investments sold
Interest and dividends receivable
Receivable from other funds 127,449

Total assets 11,713,947 47,641,130 44,628,129
Liabilities
Accrued expenses 639 2,516 2,720
Payable for securities purchased

Total liabilities 639 2,516 2,720

Net assets available for benefits $11,713,308 $ 47,638,614 $ 44,625,409


[Additional columns below]

[Continued from above table, first column(s) repeated]
                         
Putnam
Fidelity Money
Putnam Magellan Market
Vista Fund Fund Fund

Assets
Investments:
    TRW Common Stock
    Putnam S&P 500 Index Fund
    Guaranteed investment contracts
    Putnam Small Company Equity Fund
    Putnam Income Fund
    PBHG Emerging Growth Fund
    Bernstein International Value Portfolio II
    Putnam Investors Fund
    George Putnam Fund of Boston
    Putnam International Growth Fund
    Pimco Total Return Fund
    Putnam Vista Fund $ 29,434,659
    Fidelity Magellan Fund $ 18,305,954
    Putnam Money Market Fund $ 3,873,329
    DLJDirect Securities Account
    Putnam Bond Index Fund
    Participant loans receivable
Cash
Receivable for investments sold
Interest and dividends receivable
Receivable from other funds 4,532 132,240

Total assets 29,434,659 18,310,486 4,005,569
Liabilities
Accrued expenses 1,758 971
Payable for securities purchased

Total liabilities 1,758 971

Net assets available for benefits $ 29,432,901 $ 18,309,515 $ 4,005,569


[Additional columns below]

[Continued from above table, first column(s) repeated]
                         
Brokerage Loan
Gateway Fund Total

Assets
Investments:
    TRW Common Stock $ 831,085,108
    Putnam S&P 500 Index Fund 689,213,368
    Guaranteed investment contracts 422,213,090
    Putnam Small Company Equity Fund 152,709,997
    Putnam Income Fund
    PBHG Emerging Growth Fund 86,110,495
    Bernstein International Value Portfolio II 28,261,160
    Putnam Investors Fund 146,854,131
    George Putnam Fund of Boston
    Putnam International Growth Fund 11,713,947
    Pimco Total Return Fund 47,513,681
    Putnam Vista Fund 29,434,659
    Fidelity Magellan Fund 18,305,954
    Putnam Money Market Fund 3,873,329
    DLJDirect Securities Account $ 18,098,091 18,098,091
    Putnam Bond Index Fund 17,851,252
    Participant loans receivable $ 56,369,752 56,369,752
Cash 44,500
Receivable for investments sold 5,031,442
Interest and dividends receivable 681,638
Receivable from other funds 522,617

Total assets 18,098,091 56,369,752 2,565,888,211
Liabilities
Accrued expenses 388,483
Payable for securities purchased 3,095,422

Total liabilities 3,483,905

Net assets available for benefits $ 18,098,091 $ 56,369,752 $ 2,562,404,306


3


Table of Contents

The TRW Employee Stock Ownership and Savings Plan

Statement of Net Assets Available for Benefits, with Fund Information

December 31, 1999
                                   
TRW Stock Fund

Putnam
Participant Non-Participant S&P 500 Primco Stable
Directed Directed Index Fund Value Fund

Assets
Investments:
TRW Common Stock $ 378,560,209 $ 660,439,454
Putnam Income Fund
PBHG Emerging Growth Fund
Bernstein International Value Portfolio
Putnam Investors Fund
George Putnam Fund of Boston
Putnam S&P 500 Index Fund $ 866,910,952
Putnam Small Company Equity Fund
Guaranteed investment contracts $ 502,627,561
Participant loans receivable
Cash 514,122
Receivable from TRW
Receivable for investments sold 72,078
Receivable for portfolio shares issued 1,941,818 269,118
Interest and dividends receivable 770,957 2,592,276
Receivable from other funds 6,938 1,154,624
Receivable for futures 50,150

Total assets 378,567,147 660,439,454 870,260,077 506,643,579
Liabilities
Accrued expenses 22,292 39,629 178,370 133,080
Payable for securities purchased 263,014
Payable for portfolio shares redeemed 287,786 814,777

Total liabilities 22,292 39,629 729,170 947,857

Net assets available for benefits $ 378,544,855 $ 660,399,825 $ 869,530,907 $ 505,695,722


[Additional columns below]

[Continued from above table, first column(s) repeated]
                                   
Putnam Small PBHG Bernstein
Company Putnam International International
Equity Fund Income Fund Growth Fund Value Portfolio II

Assets
Investments:
TRW Common Stock
Putnam Income Fund $ 42,930,612
PBHG Emerging Growth Fund $ 54,766,148
Bernstein International Value Portfolio $ 34,338,870
Putnam Investors Fund
George Putnam Fund of Boston
Putnam S&P 500 Index Fund
Putnam Small Company Equity Fund $ 166,712,922
Guaranteed investment contracts
Participant loans receivable
Cash 200,297
Receivable from TRW 746,535
Receivable for investments sold
Receivable for portfolio shares issued
Interest and dividends receivable 133,359
Receivable from other funds
Receivable for futures 65,637

Total assets 167,858,750 42,930,612 54,766,148 34,338,870
Liabilities
Accrued expenses 41,627 2,708 1,972 1,895
Payable for securities purchased
Payable for portfolio shares redeemed 70,760

Total liabilities 112,387 2,708 1,972 1,895

Net assets available for benefits $ 167,746,363 $ 42,927,904 $ 54,764,176 $ 34,336,975


[Additional columns below]

[Continued from above table, first column(s) repeated]
                                   
Putnam George Putnam
Investors Fund Fund of Boston Loan Fund Total

Assets
Investments:
TRW Common Stock $ 1,038,999,663
Putnam Income Fund 42,930,612
PBHG Emerging Growth Fund 54,766,148
Bernstein International Value Portfolio 34,338,870
Putnam Investors Fund $ 191,053,304 191,053,304
George Putnam Fund of Boston $ 55,735,698 55,735,698
Putnam S&P 500 Index Fund 866,910,952
Putnam Small Company Equity Fund 166,712,922
Guaranteed investment contracts 502,627,561
Participant loans receivable $ 61,552,113 61,552,113
Cash 714,419
Receivable from TRW 746,535
Receivable for investments sold 72,078
Receivable for portfolio shares issued 2,210,936
Interest and dividends receivable 3,496,592
Receivable from other funds 1,161,562
Receivable for futures 115,787

Total assets 191,053,304 55,735,698 61,552,113 3,024,145,752
Liabilities
Accrued expenses 9,628 3,619 434,820
Payable for securities purchased 263,014
Payable for portfolio shares redeemed 1,173,323

Total liabilities 9,628 3,619 1,871,157

Net assets available for benefits $ 191,043,676 $ 55,732,079 $ 61,552,113 $ 3,022,274,595


4


Table of Contents

The TRW Employee Stock Ownership and Savings Plan

Statement of Changes in Net Assets Available for Benefits, with Fund Information

Year Ended December 31, 2000
                                           
TRW Stock Fund

Putnam Putnam Small
Participant Non-Participant S&P 500 Primco Stable Company
Directed Directed Index Fund Value Fund Equity Fund

Investment income:
Dividends $ 10,434,909 $ 16,749,970
Interest $ 28,643,715

Total investment income 10,434,909 16,749,970 28,643,715
Contributions from TRW Inc. 49,511,014
Contributions from participants 24,927,509 $ 40,109,804 19,829,848 $ 15,684,033
Net appreciation (depreciation) in fair value of investments (82,078,551 ) (161,705,235 ) (69,756,997 ) (9,669,066 )
Transfers from other funds 215,498,047 80,407,032 247,837,967 43,098,863
Transfer from other plan 247,256
Interest income on participant loans 1,343,168 1,253,651 896,258 402,415
Participant loan disbursements
Participant loan repayments 6,135,401 6,296,506 4,381,432 2,026,766
Other 543 157,794

176,260,483 (95,443,708 ) 58,309,996 301,994,270 51,543,011
Less:
Distributions 28,696,718 75,225,441 70,928,159 74,389,969 16,323,326
Excess contributions 2,025 4,142
Participant loan defaults
Participant loan repayments
Participant loan disbursements 6,529,405 6,009,326 4,577,044 2,081,399

35,226,123 75,225,441 76,939,510 78,971,155 18,404,725
Administrative expenses 198,380 143,654 88,464 136,643 58,274
Transfers to other funds 169,899,199 7,882,360 187,833,567 306,428,198 46,140,826
Transfers to other plans

205,323,702 83,251,455 264,861,541 385,535,996 64,603,825

 
Increase (decrease) in net assets for the year (29,063,219 ) (178,695,163 ) (206,551,545 ) (83,541,726 ) (13,060,814 )
Net assets available for benefits at beginning of year 378,544,855 660,399,825 869,530,907 505,695,722 167,746,363

Net assets available for benefits at end of year $ 349,481,636 $ 481,704,662 $ 662,979,362 $ 422,153,996 $ 154,685,549


[Additional columns below]

[Continued from above table, first column(s) repeated]
                                           
PBHG Bernstein
Putnam Emerging International Putnam George Putnam
Income Fund Growth Fund Value Portfolio II Investors Fund Fund of Boston

Investment income:
Dividends $ 1,364,007 $ 7,154,591 $ 4,609,870 $ 2,422,128 $ 989,670
Interest

Total investment income 1,364,007 7,154,591 4,609,870 2,422,128 989,670
Contributions from TRW Inc.
Contributions from participants 2,221,914 13,793,488 4,334,292 21,041,875 3,242,924
Net appreciation (depreciation) in fair value of investments (566,835 ) (47,509,940 ) (5,462,405 ) (35,574,486 ) (812,351 )
Transfers from other funds 18,267,479 195,413,628 13,021,402 70,274,704 9,061,977
Transfer from other plan 105,324 1,125,204 590,999
Interest income on participant loans 48,574 365,931 88,729 471,720 65,632
Participant loan disbursements
Participant loan repayments 293,326 1,917,272 410,658 2,466,437 344,178
Other

21,733,789 171,134,970 17,002,546 62,227,582 13,483,029
Less:
Distributions 2,231,357 9,686,602 3,253,930 19,777,484 2,727,679
Excess contributions
Participant loan defaults
Participant loan repayments
Participant loan disbursements 251,727 1,580,155 420,343 1,960,594 277,304

2,483,084 11,266,757 3,674,273 21,738,078 3,004,983
Administrative expenses 4,749 38,584 10,225 57,996 5,718
Transfers to other funds 62,173,860 128,490,918 19,395,609 84,631,543 66,204,407
Transfers to other plans

64,661,693 139,796,259 23,080,107 106,427,617 69,215,108

 
Increase (decrease) in net assets for the year (42,927,904 ) 31,338,711 (6,077,561 ) (44,200,035 ) (55,732,079 )
Net assets available for benefits at beginning of year 42,927,904 54,764,176 34,336,975 191,043,676 55,732,079

Net assets available for benefits at end of year $ $ 86,102,887 $ 28,259,414 $ 146,843,641 $


5


Table of Contents

The TRW Employee Stock Ownership and Savings Plan

Statement of Changes in Net Assets Available for Benefits, with Fund Information (continued)

Year Ended December 31, 2000
                                           
Putnam
International Pimco Total TRW Putnam Fidelity
Growth Fund Return Fund Balanced Fund Vista Fund Magellan Fund

Investment income:
Dividends $ 971,385 $ 1,388,173 $ 6,256,009 $ 289,166
Interest

Total investment income 971,385 1,388,173 6,256,009 289,166
Contributions from TRW Inc.
Contributions from participants 767,804 1,928,070 $ 2,167,333 1,949,164 1,859,893
Net appreciation (depreciation) in fair value of investments (2,102,670 ) 1,724,300 (979,061 ) (12,410,477 ) (2,450,957 )
Transfers from other funds 14,166,807 53,784,449 53,120,184 42,629,525 22,406,918
Transfer from other plan
Interest income on participant loans 15,965 51,488 63,071 44,505 36,930
Participant loan disbursements
Participant loan repayments 79,775 251,767 288,003 205,292 178,815
Other

13,899,066 59,128,247 54,659,530 38,674,018 22,320,765
Less:
Distributions 133,940 2,452,992 2,546,241 383,006 186,137
Excess contributions
Participant loan defaults
Participant loan repayments
Participant loan disbursements 41,691 387,082 212,600 108,695 129,283

175,631 2,840,074 2,758,841 491,701 315,420
Administrative expenses 1,340 7,826 8,385 3,604 2,408
Transfers to other funds 2,008,787 8,641,733 7,266,895 8,745,812 3,693,422
Transfers to other plans

2,185,758 11,489,633 10,034,121 9,241,117 4,011,250

Increase (decrease) in net assets for the year 11,713,308 47,638,614 44,625,409 29,432,901 18,309,515
Net assets available for benefits at beginning of year

Net assets available for benefits at end of year $ 11,713,308 $ 47,638,614 $ 44,625,409 $ 29,432,901 $ 18,309,515


[Additional columns below]

[Continued from above table, first column(s) repeated]
                                   
Putnam Money Brokerage
Market Fund Gateway Loan Fund Total

Investment income:
Dividends $ 128,993 $ 55,674 $ 52,814,545
Interest 28,643,715

Total investment income 128,993 55,674 81,458,260
Contributions from TRW Inc. 49,511,014
Contributions from participants 153,857,951
Net appreciation (depreciation) in fair value of investments (8,527,887 ) (437,882,618 )
Transfers from other funds 41,426,560 37,247,625 1,157,663,167
Transfer from other plan 2,068,783
Interest income on participant loans 5,148,037
Participant loan disbursements $ 24,566,648 24,566,648
Participant loan repayments 25,275,628
Other 122 16,045 174,504

41,555,553 28,775,534 24,582,693 1,061,841,374
Less:
Distributions 1,396 561,988 309,506,365
Excess contributions 6,167
Participant loan defaults 3,660,043 3,660,043
Participant loan repayments 25,275,628 25,275,628
Participant loan disbursements 24,566,648

1,396 29,497,659 363,014,851
Administrative expenses 766,250
Transfers to other funds 37,548,588 10,677,443 1,157,663,167
Transfers to other plans 267,395 267,395

37,549,984 10,677,443 29,765,054 1,521,711,663

Increase (decrease) in net assets for the year 4,005,569 18,098,091 (5,182,361 ) (459,870,289 )
Net assets available for benefits at beginning of year 61,552,113 3,022,274,595

Net assets available for benefits at end of year $ 4,005,569 $ 18,098,091 $ 56,369,752 $ 2,562,404,306


6


Table of Contents

The TRW Employee Stock Ownership and Savings Plan

Notes to Financial Statements

December 31, 2000 and 1999

A. Description of the Plan

The following description of The TRW Employee Stock Ownership and Savings Plan (the “Plan”) provides only general information. Participants should refer to the plan document for a more complete description of the plan’s provisions.

Participation in the Plan is available to substantially all domestic employees of TRW who have been employed for at least three months. The Plan is governed by the Internal Revenue Code and related legislation.

Participant Contributions

The Plan allows eligible employees to contribute up to 16% of qualifying compensation on a before-tax basis by way of salary reduction; such contributions are made in increments of one percent of qualifying compensation and could not exceed $10,500 in 2000. Participants may also elect to contribute, in increments of one percent, up to 10% of qualifying compensation on an after-tax basis. The combined contribution cannot exceed 22% of their qualifying compensation. Participants can make unlimited contribution percentage changes per month. Annual contributions to a participant’s account (including before-tax, after-tax and TRW matching contributions) and to any other defined contribution plan are limited to the lesser of $30,000 or 25% of the participant’s annual compensation reduced by the amount of before-tax contributions.

Participants determine the funds in which to invest their contributions. Employee contributions may be invested, in multiples of 1% percent, in one or more of the fourteen investment funds. Fund elections may be changed at any time.

TRW Contributions

TRW contributes to the Plan, out of current or accumulated earnings, an amount equal to 100% of each participant’s before-tax contributions to a maximum of three percent of each participant’s qualifying compensation. Participants immediately vest in the TRW contributions. All TRW matching contributions are invested in the TRW Stock Fund. TRW contributions always remain in the TRW Stock Fund and may not be transferred, except under special circumstances. TRW contributions may be in the form of cash or treasury or authorized and unissued shares of TRW Common Stock. TRW Common Stock contributed is to be valued by any reasonable method selected by TRW.

7


Table of Contents

The TRW Employee Stock Ownership and Savings Plan

Notes to Financial Statements (continued)

A. Description of the Plan (continued)

The amount and type of TRW contributions are summarized as follows:

                 
2000

TRW Common Stock $ 30,472,851
Cash 19,038,163

$ 49,511,014

Withdrawals and Distributions

Upon termination of employment, a participant may elect to receive his or her account, less the unpaid balance of any loan outstanding, in a single sum except a participant whose account balance exceeds $5,000 may defer such payments until he or she reaches age 70. Participants receive the value of their TRW shares in cash unless they elect to receive shares. If a participant elects to defer payment of his or her account, the undistributed account balance remains invested in the Plan.

Participants who have attained age 55 as of the end of the preceding fiscal year-end and commenced participation in the Plan at least ten years prior may elect, within an election period during each of the succeeding six consecutive plan years, to receive a special ESOP distribution or may transfer the applicable amount to one or more investment funds under the Plan. The number of shares eligible for the annual election is 50% of the total number of shares of TRW common stock attributable to TRW matching contributions made after 1986, less the equivalent number of shares distributed as a result of any prior ESOP election, as determined on the preceding December 31.

Participant Loans

Participants can borrow from $1,000 to $50,000 (in increments of $100) of their before-tax contributions, but such borrowings in the aggregate cannot exceed 50% of a participant’s total Plan balance. The interest rate is fixed (prime rate at the end of the last business day of the preceding quarter plus one percent) and the repayment period cannot be less than one year or more than five years.

8


Table of Contents

The TRW Employee Stock Ownership and Savings Plan

Notes to Financial Statements (continued)

A. Description of the Plan (continued)

Other

Although it has not expressed any intent to do so, TRW reserves the right to suspend or terminate the Plan. In the event of termination, the amount of each participant’s account may be retained in trust for the benefit of the participant.

The above description of the Plan provides only general information. Participants should refer to the Summary Plan Description, which is available from the Stock Savings Plan’s Participant Service Center and the Plan’s website, and annual prospectus for a more complete description of the Plan’s provisions.

B. Significant Accounting Policies

The financial statements have been prepared on the accrual basis of accounting.

Investments are stated at fair value. Investments in common stock are valued at the last reported sales price of the common stock on the last business day of the plan year. The shares of registered investment companies are valued at quoted market prices that represent the net asset values of shares held by the Plan at year-end. Investments in common trust funds investing primarily in equities are valued based on the redemption price of units owned by the Plan, which is based on the current market values of the underlying assets of the fund. The investment in common trust funds investing primarily in insurance contracts, is valued at contract value, plus income received thereon, less distributions and administrative expense payments, which approximates fair value. Investments in common trust funds investing in short-term fixed income obligations have a market value approximating cost. The participant loans are valued at their outstanding balances which approximate fair value.

All separate account and synthetic contracts have a guaranteed return of principal. As of December 31, 2000 and 1999, approximately $26 and $54 million was invested in general account assets, $124 and $129 million in separate account assets, and $272 and $320 million in assets owned by the Plan, respectively. The weighted average yield (excluding administrative expenses) for all investment contracts was 6.19% and 5.89% in 2000 and 1999, respectively. The crediting interest rate for all investment contracts was 6.55% at December 31, 2000 and 6.32% at December 31, 1999.

9


Table of Contents

The TRW Employee Stock Ownership and Savings Plan

Notes to Financial Statements (continued)

B. Significant Accounting Policies (continued)

The cost of securities sold is determined by the average cost method for purposes of determining realized gains and losses.

The preparation of the financial statements in conformity with generally accepted accounting principles requires management to make estimates and assumptions that affect the amounts reported in the financial statements and accompanying notes. Actual results could differ from those estimates.

Certain amounts in the 1999 financial statement have been reclassified to conform to the 2000 presentation.

C. Investments

During the year ended December 31, 2000, the Plan’s investments (including investments purchased, sold, as well as held during the year) appreciated (depreciated) in fair value as determined by quoted market prices as follows:

                 
Net
Appreciation
(Depreciation) in
Fair Value of
Investments

Common stock $ (250,806,924 )
Common trust funds (80,405,124 )
Shares of registered investment companies (106,679,978 )
Bonds, notes, and other 9,408

$ (437,882,618 )

10


Table of Contents

The TRW Employee Stock Ownership and Savings Plan

Notes to Financial Statements (continued)

C. Investments (continued)

The fair value of individual investments that represent 5% or more of the Plan’s net assets are as follows:

                         
December 31

2000 1999


TRW Inc. Common Stock $ 831,085,108 $ 1,038,999,663
Putnam S&P 500 Index Fund 689,213,368 866,910,952
Putnam Small Company Equity Fund 152,709,997 166,712,922
Putnam Investors Fund 191,053,304

Investments within the DLJDirect Securities Account, as of December 31, 2000, consisted of $14,070,956 of stocks – common and preferred, $3,491,773 of shares of registered investment companies, and $535,362 of bonds and notes.

D. Administrative Expenses

Generally, trustee and custodian fees, investment manager fees, brokerage fees, and other fund-related expenses are charged back to the funds for which the expenses are incurred. The charges to audit the Plan, the administrative expenses of operating the Plan, and any other charges that cannot be directly related to a specific fund will be charged back to the funds on a quarterly basis in proportion to the ratio of the net asset value of each fund to the value of all funds invested in the Plan as of the previous quarter-end.

E. Federal Income Tax Status of the Plan

The Plan has received a determination letter from the Internal Revenue Service dated May 24, 1995, stating that the Plan is qualified under Section 401(a) of the Internal Revenue Code (the “Code”) and, therefore, the related trust is exempt from taxation. Once qualified, the Plan is required to operate in conformity with the Code to maintain its qualification. The Plan Administrator believes the Plan is being operated in compliance with the applicable requirements of the Code and, therefore, believes that the Plan is qualified and the related trust is tax exempt.

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The TRW Employee Stock Ownership and Savings Plan

Notes to Financial Statements (continued)

F. Transactions with Parties-in-Interest

Party-in-interest transactions include the purchase and sale of investments managed by the Plan’s Trustee, Putnam Investments and any transactions with TRW stock.

Putnam Investments managed assets of the Plan of $1,051,651,669 and $1,323,343,488 as of December 31, 2000 and 1999, respectively. There were no trustee fees paid in cash to Putnam in 2000.

There were no party-in-interest transactions which were prohibited under Department of Labor Regulations.

G. Transfer of Assets from Other Plans

On December 24, 1997, TRW purchased BDM International, Inc. (BDM). BDM had an existing 401(k) plan which was merged into the Plan effective January 1, 1999. On January 6, 2000, assets from IG Systems, a separate 401(k) plan associated with the BDM purchase, were merged into the Plan. The transfer of IG Systems’ assets of $2,068,783 is shown on the financial statements as “Transfer from Other Plan.”

Employee rollover contributions of $9,589,425 were made in 2000 from other plans. These contribution amounts are contained in the contribution amounts for each of the respective funds.

12


Table of Contents

The TRW Employee Stock Ownership and Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(i)—Schedule of Assets Held for
Investment Purposes at End of Year

December 31, 2000

                                     
Number of Current
Shares Description Cost Value

Stocks – Common and Preferred
21,447,357 * TRW Inc. Common Stock $ 641,744,054 $ 831,085,108
200 24 / 7 Media Inc 106
1,600 3 Do Co 4,192
200 360networks Inc 2,536
2,365 3com Corp 20,103
75 3d Sys Corp 905
3,173 3dfx Interactive Inc 793
175 A C L N Ltd 3,925
800 Aastrom Biosciences Inc 648
400 About.Com Inc 10,772
315 Accelerated Networks Inc 866
1,000 Accord Advanced Technologies Inc 10
200 Aclara Biosciences Inc 2,174
82 Act Mfg Inc 1,286
160 Adams Express Co 3,360
1,570 Adc Telecommunctns Inc 28,448
200 Adept Technology Inc 2,900
400 Adobe Systems Inc 23,272
1005 Advanced Communications Technologies Inc 673
300 Advanced Digital Info Corp 6,900
1,000 Advanced Fibre Communications Inc 18,060
657 Advanced Micro Devices Inc 85,028
500 Advanced Optics Electronics Inc 95
500 Advanced Tissue Sciences Inc 1,480
11,000 Advanced Viral Resh Corp 3,520
900 Aes Corp 49,833
43 Aether Systems Inc 1,690
200 Affymetrix Inc 14,874
1,027 Agilent Technologies Inc 56,228
200 Akamai Technologies Inc 4,212
200 Albertsons Inc 5,300
400 Alcatel – Spons ADR 22,372

13


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The TRW Employee Stock Ownership and Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(i)—Schedule of Assets Held for
Investment Purposes at End of Year (continued)

                                     
Number of Current
Shares Description Cost Value

Stocks – Common and Preferred (continued)
100 Alpha Inds Inc 3,781
1,000 Altair Intl Inc 1,430
617 Altera Corp 16,233
1,100 Altigen Communications Inc 1,100
200 Alza Corporation 8,500
210 Allaire Corp 1,056
400 Alliance Fiber Opticprods Inc 2,400
30 Alliance Semiconductor Corp 339
500 Allstate Corp 21,780
3,293 Amazon.Com Inc 51,042
875 America Online Inc 30,450
150 America Online Latinamer Inc 402
350 American Communications Enterprises Inc 35
88 American Express Company 4,834
1,000 American Jewelry Corp 10
423 American Power Conversion Corp 5,207
1,000 American Residential Invt Tr 2,180
450 Ameripath Inc 11,250
135 Ames Department Stores Inc 193
782 Amgen Inc 49,993
100 Amkor Technology Inc 1,556
680 Amtech Sys Inc 5,182
275 Anadigics Inc 4,502
315 Analog Devices Inc 16,122
700 Answerthink Inc 2,534
939 Ants Software.Com 2,535
5,241 Apple Computer Inc 77,619
200 Applera Corp – Applied Biosystems Group 18,812
295 Applera Corp – Celera Genomics Group 10,655
3,518 Applied Materials Inc 134,317
4,059 Applied Micro Circuits Corp Cdt 305,440
500 Applied Signal Technology Inc 2,545
50 Aptimus Inc 38

14


Table of Contents

The TRW Employee Stock Ownership and Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(i)—Schedule of Assets Held for
Investment Purposes at End of Year (continued)

                                     
Number of Current
Shares Description Cost Value

Stocks – Common and Preferred (continued)
180 Ariba Inc 9,652
600 Armstrong World Inds Inc – preferred 3,000
500 Asiacontent.Com Ltd 155
750 At Home Corp 4,148
4,589 AT&T Corp 79,160
1,525 Ati Technologies Inc 8,662
5,698 Atmel Corp 66,211
600 Audiovox Corp 5,400
5,000 Aura Systems Inc 1,550
200 Autodesk Inc 5,374
1,000 Autoimmune Inc 1,500
91 Avanex Corp 5,415
100 Avanir Pharmacuticals 512
150 Avant Immunotherapeutics Inc 1,031
564 Avaya Inc 5,815
1,000 Avery Communications Inc 780
430 Avici Sys Inc 10,587
200 Avocent Corp 5,400
1,340 Bank Of America 61,466
25 Bank One Corp 916
38 Bard C R Inc 1,769
1,500 Be Free Inc 3,180
750 Be Inc 563
143 Bea Sys Inc 9,625
800 Bei Technologies Inc 9,296
150 Bell Microproducts Inc 2,380
420 Best Buy Company Inc 12,415
16,700 Bifs Technologies Corp 1,837
600 Bio Technology General Corp 4,272
130 Biogen Inc 7,808
200 Biosante Pharmaceuticals Inc 132
54 Biosite Diagnostics Inc 2,183
9,000 Biotech Hldgs Ltd 1,530

15


Table of Contents

The TRW Employee Stock Ownership and Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(i)—Schedule of Assets Held for
Investment Purposes at End of Year (continued)

                                     
Number of Current
Shares Description Cost Value

Stocks – Common and Preferred (continued)
100 Biotech Hldrs Tr Depositary Rcpts 17,031
1,000 Birmingham Steel Crp 1,000
20 Bisys Group Inc 1,045
50 Black Box Corp 2,413
200 Blue Zone Inc 242
200 Bluefly Inc 92
2,500 Bmc Inds Inc 12,175
1,530 Bmc Software Inc. 21,313
684 Bookham Technology Plc – Spons ADR 9,405
2,000 Bradlees Inc 420
300 Bristol-Myers Squibbco 22,179
2,000 Broadband Wireless Intl Corp 160
1,000 Broadbase Software Inc 6,250
2,613 Broadcom Corp 219,649
1,922 Broadvision Inc 22,699
344 Brocade Communications Sys Inc 31,562
50 Brooks Automation Inc 1,400
100 Buckeye Partners 2,887
200 Cable Wireless Plc – Spons ADR 7,974
500 California Amplifierinc 4,625
700 Calpine Corp 31,542
100 Callaway Golf Co 1,862
100 Cambridge Heart Inc 237
500 Cannondale Corp 1,810
50 Capstone Turbine Corp 1,400
250 Carnival Corp 7,703
1,000 Catalyst Semiconductor Inc 3,810
472 Caterpillar Inc 22,330
100 Cbrl Group Inc 1,818
500 Cellpoint Inc 4,875
1,000 Cendant Corp 9,620
168 Central Secs Corp 4,746
800 Cepheid 6,744
557 Ciena Corp 45,396

16


Table of Contents

The TRW Employee Stock Ownership and Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(i)—Schedule of Assets Held for
Investment Purposes at End of Year (continued)

                                     
Number of Current
Shares Description Cost Value

Stocks – Common and Preferred (continued)
300 Circuit City Stores Inc-Circuit City Group 3,450
11,184 Cisco Systems Inc 427,788
115 Citigroup Inc 5,872
300 Citrix Systems Inc 6,750
800 Cke Restaurants Inc 2,200
200 Clarent Corp 2,286
100 Clorox Co 3,550
3,961 Cmgi Inc 22,142
300 Cnet Networks Inc 4,800
300 Coastal Corp 26,493
100 Coca-Cola Company 6,093
100 Cognex Corp 2,200
75 Cognos Inc 1,392
500 Com 21 Inc 2,340
225 Comdisco Inc 2,572
4,644 Commerce One Inc 117,540
60 Commscope Inc 994
1,010 Compaq Computer Corp 15,201
20 Computer Associates International Inc 390
100 Computer Sciences Corp 6,012
80 Computerized Thermal Imaging Inc 120
50 Compuware Corp 313
300 Comverse Technology Inc 32,586
100 Concord Efs Inc 4,387
950 Concur Technologies Inc 1,007
500 Conductus Inc 2,590
4,621 Conexant Sys Inc 70,470
1,600 Conseco Inc 21,088
100 Consol Energy Inc 2,793
200 Constellation Brands Inc 11,750
2,631 Copper Mtn Metworks Inc 15,444
300 Corecomm Ltd 1,479
75 Corel Corp 119

17


Table of Contents

The TRW Employee Stock Ownership and Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(i)—Schedule of Assets Held for
Investment Purposes at End of Year (continued)

                                     
Number of Current
Shares Description Cost Value

Stocks – Common and Preferred (continued)
3,880 Corning Inc 204,903
70 Cor-Therapeutics Inc 2,458
335 Corvis Corp 7,956
25 Cosine Communications Inc 347
475 Costco Whsl Corp 18,967
6,407 Covad Communications Group Inc 10,379
200 Cp Clare Corp 656
100 Credence Systems Corp 2,318
520 Cree Inc 18,460
260 Crossroads Sys Inc 1,217
2,000 Cryomedical Sciences Inc 1,000
499 Cybear Group 185
5,051 Cyber Group Network Corp 455
5,100 Cyber.Care Inc 10,659
440 Cygnus Inc 2,143
300 Cymer Inc 7,704
225 Cypress Semiconductor Corp 4,428
1,100 Charles Schwab Corp 31,207
3,880 Charter Communications Inc 87,998
65 Chase Corp 650
350 Chase Manhattan Corp 15,901
854 Check Point Software Tech 114,060
25 Checkpoint Sys Inc 186
70 Cheese Cake Factory Inc 2,682
450 Chesapeake Energy Corp 4,554
50 Chicos Fas Inc 1,028
1,000 Childrens Place Retail Stores Inc 20,180
100 China.Com Corp 443
370 Christopher & Banks Corp 10,453
2,500 Chromatics Color Sciences Intl 925
200 Chromavision Med Sys Inc 524
200 Daimlerchrysler Ag Stuttgart 8,240
150 Dallas Semiconductor Corp 3,843

18


Table of Contents

The TRW Employee Stock Ownership and Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(i)—Schedule of Assets Held for
Investment Purposes at End of Year (continued)

                                     
Number of Current
Shares Description Cost Value

Stocks – Common and Preferred (continued)
270 Dana Corp 4,134
500 Data Critical Corp 1,250
3,000 Datalink.Net Inc 6,360
200 Delphi Automotive Sys Corp 2,250
3,842 Dell Computer Corp 66,966
200 Dense-Pac Microsystems Inc 400
60 Diamond Offshore Drilling Inc 2,400
500 Diamonds Tr Unit 53,390
500 Digital Island Inc 2,030
577 Digital Lightwave Inc 18,245
1,000 Digital Pwr Corp 1,680
1,565 Diodes Inc 16,229
275 Disney Walt Company Holding Co 7,956
100 Display Technologies Inc Co 18
719 Ditech Communications Corp Co 11,590
1,600 Doubleclick Inc 17,488
5,650 Drkoop.Com Inc 1,017
1,060 Dsl.Net Inc 562
46 Dst Systems Inc 3,082
597 Du Pont E I De Nemours & Company 28,841
400 Dwyer Group Inc 748
200 Dynegy Inc 11,212
1,600 E Digital Corp 2,640
500 E Stamp Corp 75
850 E Trade Group Inc 6,265
1,400 Earthlink Inc 7,042
2,600 Earthshell Corp 3,250
250 Eastman Kodak Co 9,843
2,000 Eb2b Comm Inc 1,500
450 Ebay Inc 14,819
15,000 Econnect 4,500
400 Echelon Corp 6,424
150 Efficient Networks Inc 2,138
500 El Paso Energy Corp 35,810

19


Table of Contents

The TRW Employee Stock Ownership and Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(i)—Schedule of Assets Held for
Investment Purposes at End of Year (continued)

                                     
Number of Current
Shares Description Cost Value

Stocks – Common and Preferred (continued)
1,150 Elantec Semiconductors Inc 31,913
45 Electro Scientific Inds Inc 1,257
500 Eli Lilly & Co 46,530
1,000 Emachines Inc 340
200 Emagin Corp 424
3,051 EMC Corp 202,892
500 Emerson Electric Co 39,405
690 Emulex Corp 55,152
2,200 Emusic.Com Inc 550
54,393 Endwave Corp 169,706
244 Energy Conversion Devices Inc 4,895
3,000 Engage Technologies Inc 2,250
60 Enron Corp 4,987
250 Entrust Technologies Inc 3,250
140 Eog Res Inc 7,647
1,000 Epicedge Inc 370
100 Equity Residential 5,531
3,940 Ericsson L M Tel Co – Spons ADR 44,049
5,800 E-Sync Networks Inc 4,698
4,000 Etoys Inc 720
550 Eurotech Ltd 754
400 Evoke Communications Inc 700
800 Exchange Applications Inc 968
2,118 Exodus Communications Inc 42,212
15,194 Exponent Inc 142,368
200 Extended Stay Amer Inc 2,570
1,150 Extreme Networks Inc 44,988
500 F5 Networks Inc 4,750
16,640 Federal Mogul Corp 38,438
200 Fedex Corp 7,992
750 Fibercore Inc 2,715
700 Finders Keepers Inc 14
1,400 Finisar Corp 40,502
1,478 Finova Grp Inc 1,478

20


Table of Contents

The TRW Employee Stock Ownership and Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(i)—Schedule of Assets Held for
Investment Purposes at End of Year (continued)

                                     
Number of Current
Shares Description Cost Value

Stocks – Common and Preferred (continued)
100 First Industrial Realty Trust Inc 3,400
1,000 First Union Corp 27,810
100 Flexpoint Sensor Sys Inc 3
1,800 Flextronics Intl Ltd 51,300
2,527 Ford Motor Co 59,207
200 Fortune Brands Inc 6,000
398 Foundry Networks Inc 5,970
60 Four Seasons Hotel Inc 3,817
100 Franchise Fin Corp Amer 2,331
250 Freeport-Mcmoran Copper & Gold Inc Depositary Shares Repstg Gold – preferred 4,358
65 Fuelcell Energy Inc 4,453
1,000 Fusion Networks Hldgs Inc 150
100 Galileo Technology Ltd 1,343
920 Gap Inc 23,460
135 Gateway Inc 2,429
460 Gemstar Tv Guide Intl Inc 21,215
4,900 Genelabs Technologies Inc 19,600
130 Genentech Inc 10,595
2,807 General Electric Co 134,540
1,500 General Magic Inc 2,100
150 General Mtrs Corp 7,640
450 General Mtrs Corp Cl H 10,350
200 Genesis Microchip Inc 1,824
10,240 Genuity Inc 51,507
900 Genus Inc 1,431
60 Genzyme Corp Generaldivision 5,392
160 Gillette Company 5,779
3,330 Global Crossing Ltd 47,652
100 Global Marine Inc 2,837
4,582 Globalstar Telecommunications Ltd 4,124
1,300 Globespan Inc 35,750
100 Golden West Finl Corp 6,750
300 Goodyear Tire & Rubber Company 6,897

21


Table of Contents

The TRW Employee Stock Ownership and Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(i)—Schedule of Assets Held for
Investment Purposes at End of Year (continued)

                                     
Number of Current
Shares Description Cost Value

Stocks – Common and Preferred (continued)
15,500 Groen Brothers Aviation Inc 16,430
165 H Pwr Corp 1,267
61 H&Q Healthcare Fd Sh Ben Int 1,495
30 Handspring Inc 1,163
257 Harley-Davidson Inc 10,216
500 Harmonic Inc 2,840
400 Hartcourt Cos Inc 216
500 Hasbro Inc 5,310
40 Hearme Inc 25
645 Hei Inc 6,450
15 Heinz H J Company 711
250 Helix Technology Corp 5,905
1,396 Hewlett-Packard 44,058
600 Hollywood Entertainment Corp 636
3,905 Home Depot Inc 178,380
2,600 Homebase Inc 2,600
501 Honeywell Intl Inc 23,702
50 Hot Topic Inc 822
400 Human Genome Sciences Inc 27,724
3,170 Hydrogenics Corp 13,060
2,000 Hydrogiene Corp 40
100 Hyperion Solutions Corp 1,543
1,300 Hytek Microsystems Inc 5,928
1,000 I Link Corp 780
120 I-2 Technologies Inc 6,532
100 Ibis Technology Corp 1,918
14,000 Icg Communications Inc 1,680
100 Idt Corp 2,037
125 Ii-Vi Inc 1,898
400 Illuminet Hldgs Inc 9,048
50 Imaging Diagnostic Sys Inc 44
30 Imclone System Inc 1,328
1,750 Immune Response Corp 4,428
500 Immunogen Inc 10,715

22


Table of Contents

The TRW Employee Stock Ownership and Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(i)—Schedule of Assets Held for
Investment Purposes at End of Year (continued)

                                     
Number of Current
Shares Description Cost Value

Stocks – Common and Preferred (continued)
300 Impath Inc 19,950
800 Infineon Technologies Ag – Spons ADR 28,800
1,500 Infonet Svcs Corp 7,500
5,600 Infonow Corp 7,840
100 Information Architects Corp 162
1,300 Informix Corp 3,848
2,060 Infospace Com Inc 18,210
64,000 Infotopia Inc 12,160
185 Inktomi Corp 3,306
300 Innodata Corp 3,300
100 Inrange Technologies Corp 1,668
80,158 Insignia Solutions Plc – Spons ADR 375,139
790 Integrated Device Tech Inc 26,015
1,000 Integrated Silicon Solution Inc 14,370
30,762 Intel Corp 924,706
7,300 Intelect Communications Inc 2,701
330 Inter Tel Inc 2,534
1,000 Interdigital Communications Corp 5,400
745 Intermedia Comm Inc 5,349
845 Internap Network Svcs Corp 6,092
250 International Paper Co 10,203
3,000 Internet Business Intl Inc 240
725 Internet Cap Group Inc 2,378
800 Internet Law Libr Inc 144
1,500 Internet Pictures Corp 1,440
1,000 Interneuron Pharmaceuticals Inc 1,280
65 Intertrust Technologies Corp 215
200 Interwave Communications 312
25 Intimate Brands Inc 375
212 Intl Business Machines Corp 18,020
2,900 Intl Fibercom Inc 14,297
1,020 Intl Rectifier Corp 30,600
100 Intuitive Surgical Inc 818

23


Table of Contents

The TRW Employee Stock Ownership and Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(i)—Schedule of Assets Held for
Investment Purposes at End of Year (continued)

                                     
Number of Current
Shares Description Cost Value

Stocks – Common and Preferred (continued)
2,000 Iprint.Com Inc 1,420
21,300 Irvine Sensors Corp 25,773
500 Ishares Tr S&P Small Cap 600 Index Fd 54,045
5,400 Isis Pharmaceuticals Inc 57,024
200 Ivax Corp 7,660
100 Ixia 2,287
1,000 Ixl Enterprises Inc 960
200 Ixys Corp 2,924
400 J2 Global Communicatons Inc 112
1,850 Jabil Circuit Inc 46,935
1,050 Jakks Pac Inc 9,513
300 Jawz Inc 138
4,874 JDS Uniphase Corp 203,490
200 Johnson & Johnson 21,012
3 JP Morgan & Co Inc 497
1,706 Juniper Networks Inc 215,263
2,000 K Mart Corp 10,620
20,000 Kaire Hldgs Inc 1,400
200 Kansas City Southn Inds Inc 2,024
250 Kcs Energy Inc 1,015
350 Kemet Corp 5,292
945 Kla Tencor Corp 31,828
1,200 Kleenair Sys Inc 300
1,100 Knight Trading Group Inc 15,323
300 Koninklijke Philips Electrs N V – Spons ADR 10,875
750 Kopin Corp 8,250
100 Koss Corp 2,312
34 Krispy Kreme Doughnuts 2,822
225 Kulicke & Soffa Inds 2,516
160 Laboratory Corp Amer Hldgs 28,160
600 Lam Research Corp 8,700
100 Lason Inc 24
100 Leap Wireless Intl Inc 2,493

24


Table of Contents

The TRW Employee Stock Ownership and Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(i)—Schedule of Assets Held for
Investment Purposes at End of Year (continued)

                                     
Number of Current
Shares Description Cost Value

Stocks – Common and Preferred (continued)
100 Legato Systems Inc 743
40 Level 3 Communications Inc 1,312
200 Lexmark Intl Group Inc 8,862
100 Liberate Technologies 1,356
110 Lifecell Corp 175
100 Lifeminders Inc 328
112 Lightpath Technologies Inc 1,553
400 Liquid Audio Inc 1,000
15,000 Lithium Technology Corp 3,150
700 Litton Inds Inc 55,076
2,910 Lockheed Martin Corp 98,795
40 London Pacific Group Ltd – Spons ADR 302
17,239 Loral Space & Communications 54,820
610 Lowes Cos Inc 27,145
4,092 Lsi Logic Corp 69,932
13,774 Lucent Technologies Inc 185,949
20 Luminex Corp 520
50 Macrovision Corp 3,700
500 Mail-Well Inc 2,155
200 Marchfirst Inc 292
140 Marvell Technology Group Ltd 3,070
1,000 Mattel Inc 14,440
165 Maxim Pharmaceuticals Inc 1,051
45 Maxim Integrated Products Inc 2,149
175 MBNA Corp 6,463
250 Mcdata Corp 13,688
255 McDonald’s Corp 8,670
100 Mcleodusa Inc 1,412
300 Mcsi Inc 6,393
400 Measurement Specialties Inc 7,800
200 Mediabay Inc 324
1,000 Mediaplex Inc 840
150 Medimmune Inc 7,152

25


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The TRW Employee Stock Ownership and Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(i)—Schedule of Assets Held for
Investment Purposes at End of Year (continued)

                                     
Number of Current
Shares Description Cost Value

Stocks – Common and Preferred (continued)
400 Mercator Software Inc 2,148
200 Merck & Co Inc 18,724
37 Mercury Interactive Corp 3,337
900 Metalink Ltd Shs 8,550
542 Metricom Inc 5,420
3,391 Metromedia Fiber Network Inc 34,317
170 Microchip Technology Inc 3,728
520 Micromuse Inc 31,361
443 Micron Technology Inc 15,727
3,926 Microsoft Corp 170,506
50 Microvision Inc 881
1,000 Midway Games Inc 7,100
100 Millennium Pharmaceuticals Inc 6,181
3,200 Millennium Cell Inc 32,192
400 Minimed Inc 16,800
100 Minnesota Mining & Manufacturing Co 12,050
500 Morgan Stanley Asia Dean Witter Asia Pacific Fd Inc 4,340
200 Morgan Stanley Dean Witter & Co 15,850
8,109 Motorola Inc 164,207
828 Mp3.Com Inc 2,973
850 Mrv Communications Inc 11,365
500 M-Wave Inc 3,935
140 Myriad Genetics Inc 11,550
4,380 Nasdaq 100 Shares 255,661
200 National City Corp 5,750
300 National Health Investors Inc 2,211
1,725 National Semiconductor Corp 34,707
9,850 Nct Group Inc 1,675
200 Neorx Corp 1,050
100 Net2phone Inc 737
100 Netbank Inc 656
10 Netegrity Inc 543
1,000 Netergy Networks Inc 1,680

26


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The TRW Employee Stock Ownership and Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(i)—Schedule of Assets Held for
Investment Purposes at End of Year (continued)

                                     
Number of Current
Shares Description Cost Value

Stocks – Common and Preferred (continued)
1,600 Netopia Inc 6,896
1,275 Netro Corp 8,925
700 Netsilicon Inc 2,576
2,915 Network Appliance Corp 187,085
100 Network Engines Inc 418
2,500 Netzero Inc 2,025
50 New Era Of Networks Inc 291
915 New Focus Inc 31,677
450 Newport Corp 35,352
200 Next Level Communications Inc 2,262
100 Nextel Communs Inc 2,468
50 Nhancement Technologies Inc 241
500 Niku Corp 3,640
50 Noble Drilling Corp 2,172
6,026 Nokia Corp – Spons ADR 262,131
2,615 Nortel Networks Corp 83,837
100 North Fork Ban Corporation Inc 2,456
850 Northpoint Communications Hldgs Inc 264
100 Novartis Ag – Spons ADR 4,475
83 Novell Inc 430
410 Novellus System Inc 14,682
50 Noven Pharmaceuticals Inc 1,856
752 Nvidia Corp 24,628
2,000 Nx Networks Inc 1,240
200 O2wireless Solutions Inc 1,874
75 Oak Technology Inc 651
100 Occidental Petroleum Corp 2,425
300 Office Depot Inc 2,136
1,000 Officemax Inc 2,870
100 Omi Corporation 643
10,000 On2.Com Inc 5,800
60 Oni Sys Corp 2,374
10,000 Opal Technologies Inc 900

27


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The TRW Employee Stock Ownership and Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(i)—Schedule of Assets Held for
Investment Purposes at End of Year (continued)

                                     
Number of Current
Shares Description Cost Value

Stocks – Common and Preferred (continued)
185 Openwave Sys Inc 8,799
200 Opnet Technologies Inc 2,986
2,100 Optical Communication Prods Inc 23,625
200 Opticnet Inc 0
10,306 Oracle Corp 300,111
3,000 Orbital Engine Corp Ltd – Spons ADR 20,790
200 Orchid Biosciences Inc 2,800
380 Osi Pharmaceuticals Inc 30,423
1,651 Owens Corning 1,337
250 Pacific Aerospace & Electronics Inc 93
2,200 Pacific Centy Cyberworks Ltd – Spons ADR 13,464
1,639 Palm Inc 46,302
150 Park Electrochemical 4,602
1,000 Parker Drilling Co 5,060
250 Patina Oil & Gas Corp 6,000
295 Peco Ii Inc 7,614
100 Pegasus Soulutions Inc 690
200 Peregrine Pharmaceuticals Inc 186
900 Peregrine Sys Inc 17,712
140 Pericom Semiconductor Corp 2,580
220 Pfizer Inc 10,120
1,000 Pfsweb Inc 750
500 Pharmaceutical Holders Tr Depositary Rcpt 57,125
100 Philip Morris Inc 4,400
40 Pitney Bowes Inc 1,325
40 Plexus Corp 1,215
1,140 Plug Pwr Inc 16,667
519 Pmc Sierra Inc 40,804
250 Polycom Inc 8,078
200 Pomeroy Computer Res Inc 3,036
600 Portal Software Inc 4,704
996 Power One Inc 39,153
750 Powerwave Technologies Inc 43,823

28


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The TRW Employee Stock Ownership and Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(i)—Schedule of Assets Held for
Investment Purposes at End of Year (continued)

                                     
Number of Current
Shares Description Cost Value

Stocks – Common and Preferred (continued)
100 Pre Paid Legal Svcs Inc 2,550
2,120 Precision Optics Inc 4,897
3,030 Priceline.Com Inc 3,969
5,000 Primus Telecommunications Gp 11,550
125 Procter & Gamble Co 9,804
100 Proxicom Inc 412
150 Proxim Inc 6,450
4,800 Psinet Inc 3,600
1,000 Pt Telkom — Spons ADR 4,120
1,850 Puma Technology Inc 7,678
1,500 *Putnam Premier Income Trust Shares 9,180
1,000 Qiao Xing Universal Telephone Inc 4,370
252 Qlogic Corp 19,449
250 Qlt Inc 7,000
1,245 Qualcomm Inc 102,239
450 Quantum Corp 5,963
180 Quest Diagnostics Inc 25,560
635 Radica Games Ltd 1,067
356 Rainbow Technologiesinc 5,582
1,038 Rambus Inc 37,887
325 Rational Software Corp 12,633
2,000 Razorfish Inc 3,060
570 Realnetworks Inc 4,948
1,081 Red Hat Inc 6,681
244 Rediff Com India Ltd 610
21 Research In Motion Ltd 1,687
14,733 RF Micro Devices Inc 404,126
2,000 Rhythms Netconnections Inc 2,120
7,900 Rite Aid Corp 18,723
200 Rockford Corp 950
8,730 Rosetta Inpharmaticsinc 139,069
10 RSA Sec Inc 528
800 RSL Communications Ltd 136
800 Rubios Restaurants Inc 2,048

29


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The TRW Employee Stock Ownership and Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(i)—Schedule of Assets Held for
Investment Purposes at End of Year (continued)

                                     
Number of Current
Shares Description Cost Value

Stocks – Common and Preferred (continued)
100 Ruby Tuesday Inc 1,525
1,100 Safeguard Scientific Inc 7,282
40 Sage Inc 590
100 Salton Inc 2,068
555 Sandisk Corp 15,401
50 Sanmina Corp 3,831
200 Sara Lee Corp 4,912
100 Savvis Communications Corp 87
550 Sawtek Inc 25,366
200 Sci Sys Inc 5,274
1,000 Sciclone Pharmaceuticals Inc 3,900
100 Scientific Atlanta Inc 3,256
6,400 Screamingmedia Inc 19,200
300 Scheid Vineyards Inc 927
263 SDL Inc 38,971
120 Sears Roebuck & Co 4,170
1,000 Sector Spdr Tr Shs Ben Int Energy 33,180
1,000 Sector Spdr Tr Shs Ben Int Technology 31,310
100 Secure Computing Corp 987
300 Semiconductor Holdrstr 14,700
12,888 Semiconductor Laser Intl Corp 1,547
706 Sensar Corp 304
200 Sepracor Inc 16,024
5,000 Service Sys Intl Ltd 1,850
750 Shopss.Com Inc 630
10,000 Sideware Sys Inc 4,800
322 Siebel Sys Inc 21,754
10,000 Silicon Gaming Inc 600
1,000 Silicon Graphics Inc 4,000
2,768 Silicon Storage Technology Inc 32,690
500 Silicon Valley Research Inc 65
100 Silicon Vy Bancshare 3,450
300 Simple Technology Inc 1,143

30


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The TRW Employee Stock Ownership and Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(i)—Schedule of Assets Held for
Investment Purposes at End of Year (continued)

                                     
Number of Current
Shares Description Cost Value

Stocks – Common and Preferred (continued)
3,700 Simtek Corp 1,184
200 Six Flags Inc 3,436
500 Sk Telecom Ltd – Spons ADR 11,780
900 Sketchers U S A Inc 13,950
2,635 Smarterkids.Com Inc 1,397
5,200 Smartire Sys Inc 11,024
160 Sohu.Com Inc 354
70 Solectron Corp 2,373
400 Somnus Med Technologies Inc 148
950 Sonus Networks Inc 23,921
80 Sony Corp – Spons ADR 5,560
50 Source Information Mgmt Co 188
43 Southwest Airlines Co 1,442
100 Sovereign Bancorp Inc 806
500 Spectralink Corp 7,185
25 Sprint Corp (Fon Group) 508
200 Sprint Corp Pcs Grp 4,086
400 Stan Lee Media Inc 48
100 Standard & Poors Depositary Receipts 13,118
1,000 Stanford Microdevices Inc 35,930
100 Starbuck’s Corp 4,425
7,700 Starnet Communications Intl Inc 3,157
40 State Str Corp 4,968
5,100 Stemcells Inc 12,546
100 Stillwater Mining Co 3,935
2,000 STM Wireless Inc 5,500
50 Stmicroelectronics 2,141
1,591 Storagenetworks Inc 39,870
2,600 Stratos Lightwave Inc 44,200
1,000 Struthers Inc 180
10,361 Sun Microsystems 288,139
1,000 Sunbeam Corp 310
100 Sungard Data Sys Inc 4,712

31


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The TRW Employee Stock Ownership and Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(i)—Schedule of Assets Held for
Investment Purposes at End of Year (continued)

                                     
Number of Current
Shares Description Cost Value

Stocks – Common and Preferred (continued)
400 Sunrise Technologies Intl Inc 700
700 Superconductor Technologies Inc 2,534
75 Supertex Inc 1481
140 Swift Energy Co 5,267
1,320 Sycamore Networks Inc 49,408
80 T Rowe Price Assoc Inc 3,490
1,590 Taiwan Semiconductor Mfg Co – Spons ADR 27,428
4,500 Talk Visual Corp 495
200 Tanisys Technology Inc 108
500 Tanning Technology 1,750
225 Target Corp 7,256
840 Technitrol Inc 34,541
27,800 Telaxis Communications Corp 50,318
6 Telecommunication Sys Inc 20
300 Teledyne Technologies Inc 7,086
1,000 Telemonde Inc 100
6,100 Telocity Inc 12,200
65 Tellabs Inc 3,668
146 Tenneco Automotive Inc 438
80 Teppco Partners L.P 1,965
450 Teradyne Inc 16,763
300 Terayon Communications Sys 1,209
143 Terra Networks – Spons ADR 1,510
36 Texaco Inc 2,236
3,025 Texas Instruments Inc 143,294
500 Theragenics Corp 2,500
4,000 Thermoelastic Technologies Inc 840
9,139 Thermotek Intl Inc 1,371
1,380 Three-Five Sys Inc 24,840
300 Tickets.Com Inc 75
100 Titan Corp 1,625
267 Tlc Laser Eye Ctrs Inc 358
431 Tollgrade Communications Inc 15,732

32


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The TRW Employee Stock Ownership and Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(i)—Schedule of Assets Held for
Investment Purposes at End of Year (continued)

                                     
Number of Current
Shares Description Cost Value

Stocks – Common and Preferred (continued)
40 Toys “R” Us Inc 667
1,000 Trans World Airlines Inc 1,050
700 Transmeta Corp 16,401
50 Transocean Sedco Forex Inc 2,300
750 Transwitch Corp 29,340
1,330 Trendwest Resorts Inc 35,405
500 Tricord Systems 4,030
600 Triquint Semiconductor Inc 26,208
200 Tumbleweed Communications Corp 3,412
775 Turnstone Sys Inc 5,665
210 Tut Sys Inc 1,733
55 Tyco Intl Ltd 3,053
4,000 U S Interactive Inc 1,120
50 UAL Corp 1,947
1,000 Unify Corp 250
800 Unisys Corp 11,696
345 United Parcel Svc 20,269
100 Unitedhealth Group Inc 6,137
50 Univision Communications Inc 2,046
2,000 Usinternetworking Inc 9,860
75 VA Linux Sys Inc 607
200 Vans Inc 3,374
328 Varian Semiconductor Equiptment Assocs Inc 7,708
13,500 Vasommedical Inc 29,835
1400 Velocityhsi Inc 28
400 Venator Group Inc 6,200
2,000 Veridien Corp 100
230 Verisign Inc 17,061
275 Veritas Software Co 24,063
400 Verizon Communications 20,048
12,000 Vertical Computer Sys Inc 600
800 Verticalnet Inc 5,320
175 Vialink Co 492

33


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The TRW Employee Stock Ownership and Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(i)—Schedule of Assets Held for
Investment Purposes at End of Year (continued)

                                     
Number of Current
Shares Description Cost Value

Stocks – Common and Preferred (continued)
1,173 Viant Corp 4,610
480 Viasat Inc 6,360
1,425 Viatel Inc 5,159
300 Viewpoint Corp 1,620
800 Vignette Corp 14,496
1,000 Viragen Inc 1,310
1,000 Virata Corp 10,870
100 Viropharma Inc 1,437
1,600 Vishay Intertechnology Inc 24,192
100 Visteon Corp 1,150
1,000 Visual Data Corp 1,060
320 Vitesse Semiconductor Corp 17,699
300 Vitria Technology Inc 2,304
300 Vixel Corp 552
100 W H Energy Svcs Inc 1,956
285 Wal Mart Stores Inc 15,139
39 Watchguard Technologies Inc 1,231
5,000 Wavo Corp 150
1,700 Webb Interactive Svcs Inc 2,856
1,100 Webvan Group Inc 506
500 Westell Technologies Inc 1,515
2,400 Western Digital Corp 5,832
1,481 White Electronic Designs Corp 9,434
525 Williams Cos Inc 20,963
2,575 Wind River Systems 87,705
50 Winstar Communications Inc 584
250 WJ Communications Inc 3,530
36,000 World Trans Auth Inc 8,280
5,080 Worldcom Inc 71,425
3,770 Xerox Corporation 17,417
190 Xeta Technologies Inc 1,875
700 Xicor Inc 2,338
1,245 Xilinx Inc 57,731
6,100 Xin Net Corp 3,782

34


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The TRW Employee Stock Ownership and Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(i)—Schedule of Assets Held for
Investment Purposes at End of Year (continued)

                                       
Number of Current
Shares Description Cost Value

Stocks – Common and Preferred (continued)
200 Xo Communications Inc 3,562
200 X-Rite Inc 1,556
2,468 Yahoo Inc 74,040
1,000 Youbet.Com Inc 930
5,500 Zale Corp 159,830
700 Zamba Corp 1,834
300 Zany Brainy Inc 159
400 Zila Inc 800
400 Zixit Corp 3,400
200 Zoran Corporation 3,000

845,156,064
Guaranteed Investment Contracts
Security Backed Investments
INVESCO Group Trust:
Beta Fund—PRIMCO:
Continental Assurance Co., Contract 63005575, due January 5, 2001, 6.13% 16,053,958
 
Gamma Fund—PRIMCO:
Chase Manhattan Bank, Contract 401743-G, 6.69%, set annually 18,079,111
 
Epsilon Fund—PRIMCO:
Monumental Life Ins. Co., Contract 00212TR-1, due January 23, 2001, 6.66% 210,548
 
Theta Fund—PIMCO:
Bankers Trust (Del) BASIC, Contract 97-892THT, 6.34%, set annually 63,757,383
 
Kappa Fund—Putnam:
Continental Assurance Co., Contract 25719-101, 6.51%, set annually 25,944,356

35


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The TRW Employee Stock Ownership and Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(i)—Schedule of Assets Held for
Investment Purposes at End of Year (continued)

                                       
Number of Current
Shares Description Cost Value

Guaranteed Investment Contracts
INVESCO Group Trust:
Omicron Fund—PRIMCO:
Caisse des Depots (CDC), Contract 1115-01, 6.62%, set annually 5,675,030

129,720,386
 
Separate Accounts:
Aetna Life Ins. & Ann. Co.:
Contract 14612, 6.69%, set annually 30,610,573
 
Allstate Life Ins. Co.:
Contract 31053, 6.16%, set annually 6,502,464
 
John Hancock Mutual Life:
Contract 8712, due January 2, 2001, 6.60% 6,003,153
Contract 7441, 7.02%, set annually 48,255,947
 
Metropolitan Life Ins. Co.:
Contract 24844, 5.80%, set annually 33,030,155

124,402,292
Synthetics
Continental Assurance Co.:
Contract 63005751, 6.69%, set annually 2,201,570
 
Monumental Life Ins. Co.:
Contract 00090TR, 7.28%, set annually 38,013,704
 
Rabobank Nederland:
Contract TRW090001, 6.76%, set annually 21,920,899
 
State Street Bank & Trust:
Contract 98149, 6.20%, set annually 71,994,189

134,130,362

36


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The TRW Employee Stock Ownership and Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(i)—Schedule of Assets Held for
Investment Purposes at End of Year (continued)

                                       
Number of Current
Shares Description Cost Value

Guaranteed Investment Contracts (continued)
Non-Participating Synthetics:
Caisse des Depots (CDC):
Contract 115-06, due July 2, 2001, 6.76% 2,066,864
Contract 115-07, due December 12, 2002, 5.52% 6,017,641

8,084,505
 
General Account Investments:
Variable Rate & Fixed Term:
John Hancock Mutual Life:
Contract 14909GAC, due May 1, 2003, 7.20% 6,070,112
Contract 7314-1, due December 2, 2002, 5.63%

6,070,112
Cash & equivalents:
Putnam Fiduciary Trust:
Contract 100232, due January 1, 2001, 6.89% 19,805,433

Total Guaranteed Investment Contracts 422,213,090
 
Common Trust Funds
49,002,877 *Putnam S&P 500 Index Fund 689,213,368
11,495,172 *Putnam Small Company Equity Fund 152,709,997
1,621,522 *Putnam Bond Index Fund 17,851,252

859,774,617

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The TRW Employee Stock Ownership and Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(i)—Schedule of Assets Held for
Investment Purposes at End of Year (continued)

                                     
Number of Current
Shares Description Cost Value

Shares of Registered Investment Companies
3,627,579 PBHG Emerging Growth Fund 86,118,736
1,643,091 Bernstein International Value Portfolio II 28,261,160
9,492,833 *Putnam Investors Fund 146,854,131
4,573,020 PIMCO Total Return Fund 47,513,681
472,337 *Putnam International Growth Fund 11,713,947
2,201,545 *Putnam Vista Fund 29,434,659
153,445 Fidelity Magellan Fund 18,305,954
3,873,329 Putnam Money Market Fund 3,873,329
1,061 American Century: Inflation Adjusted Treasury Fund 10,172
529 American Century: International Bond Fund 5,423
74 Amerindo Technology Class D 867
521 Artisan International Fund 11,425
655 Berger Small Company Growth Investor Class 3,140
1,015 Berkshire Focus Fund 33,956
92 Bridgeway Aggresive Growth Portfolio 4,005
657 CGM Realty Fund 8,901
170 Deutsche European Equity Investment Class 4,704
234 Dlj Technology Fund Class R 2,058
4,595 Dresdner RCM Biotechnology Fund 167,198
2,208 Dresdner RCM Global Health Care Fund 54,321
201 Dresdner RCM Global Small Cap Fd Class N 3,743
121 Dresdner RCM Global Small Cap Fund Class I 2,273
762 Excelsior Value & Restructuring 25,800
1,836 Fidelity Aggressive Growth Fund 66,443
84 Fidelity Blue Chip Growth Fund 4,378
1,152 Fidelity Capital And Income Fund 8,905
183 Fidelity Convertible Securities Fund 3,815
853 Fidelity Diversified International Fund 18,720
1,206 Fidelity Fund 39,541
1,701 Fidelity Growth Company 121,526
418 Fidelity High Income Fund 3,956
3,745 Fidelity Large Cap Stock Fund 66,474
2,845 Fidelity Mid Cap Stock Fund 74,165

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The TRW Employee Stock Ownership and Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(i)—Schedule of Assets Held for
Investment Purposes at End of Year (continued)

                                     
Number of Current
Shares Description Cost Value

Shares of Registered Investment Companies (continued)
1,387 Fidelity Real Estate Investment Portfolio Fund 25,666
753 Fidelity Retirement Growth Fund 16,592
756 Fidelity Select Biotechnology Fund 65,698
2,018 Fidelity Select Electronics Fund 116,620
174 Fidelity Select Technology Fund 15,460
743 Firsthand Technology Leaders Fund 25,146
1,046 Firsthand Technology Value Fund 77,815
393 FMI Focus Fund 11,334
401 Gabelli Growth Fund 15,182
763 Genomics Fund. Com 5,654
245 Green Century Balanced Fund 4,605
212 Harbor Capital Appreciation Fund 7,568
530 Harbor Intl Fund 18,611
1,818 Invesco Dynamics Fund 43,223
253 Invesco Financial Services Fund 8,193
556 Invesco Leisure Fund 20,341
585 Invesco Technology II Fund 34,995
1,291 Invesco Telecommunications Fund 46,841
151 IPS Millennium Fund 7,881
2,994 Janus Enterprise Fund 159,532
4,201 Janus Fund 139,869
301 Janus High-Yield Fund 2,919
345 Janus Mercury Fund 10,247
5,493 Janus Orion Fund 38,509
1,250 Janus Special Situations Fund 22,120
7,789 Janus Strategic Value Fund 81,942
3,172 John Hancock Technology Fund 27,411
290 Legg Mason Value Trust 16,101
683 Longleaf Partners Fund 15,519
1,194 Marsico Focus Fund 20,585
1,016 Matthews Asian Technology Fund 4,237
159 MFS Emerging Growth Fund Class B 6,836
126 Munder Framlington Healthcare Class C 3,615

39


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The TRW Employee Stock Ownership and Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(i)—Schedule of Assets Held for
Investment Purposes at End of Year (continued)

                                     
Number of Current
Shares Description Cost Value

Shares of Registered Investment Companies (continued)
3,303 PBHG Global Technology & Comm. Fund 24,409
217 PBHG Growth Fund 6,758
839 PBHG Large Cap 20 21,156
1,456 PBHG Large Cap Growth Fund 42,384
9,410 PBHG Select Equity Fund 387,990
1,631 PBHG Small Cap Value Fund 32,098
295 PBHG Strategic Small Company Fund 4,504
1,196 PBHG Technology & Communication Fund 41,182
659 PIMCO Innovation Class C 25,646
701 PIMCO Innovation Class A 28,884
1,639 PIMCO Target Class A 38,209
1,536 Pin Oak Aggressive Stock Fund 71,404
12 *Putnam Health Sciences Trust Fund 986
10,795 Red Oak Technology Select Portfolio 235,130
433 Rockland Growth Institutional Fund 8,968
3,413 Royce Low Priced Stock Fund 31,921
683 RS Aggressive Growth Fund 5,621
104 RS Emerging Growth Fund 4,595
3,212 RS Internet Age Fund 20,979
264 Schroder US Smaller Companies Fund 4,064
876 Selected American Shares Fund 30,954
251. Strong Enterprise Fund 7,123
188 Strong U.S. Emerging Growth Fund 3,613
2,447 T. Rowe Price Developing Technology Fund 17,540
2,329 T. Rowe Price Global Technology 17,306
296 T. Rowe Price Midcap Growth Fund 11,792
500 Templeton Emerging Mkt Fund 3,810
782 The Bender Growth Class C 25,295
1,209 Third Avenue Value Fund 43,808
516 Turner Core High Quality Fixed Income Fund 5,313
1,124 Turner Midcap Growth Fund 34,395
886 Turner Technology Fund 11,324

40


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The TRW Employee Stock Ownership and Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(i)—Schedule of Assets Held for
Investment Purposes at End of Year (continued)

                                     
Number of Current
Shares Description Cost Value

Shares of Registered Investment Companies (continued)
521 Tweedy Brown Global Value Fund 10,410
1,102 Value Line Special Situations Fund 25,969
375 Van Wagoner Mid Cap Fund 7,608
3,012 Van Wagoner Post Venture Fund 79,899
103 Van Wagoner Technology Fund 4,316
1,490 Vanguard Fixed Inc High Yield Corporate 9,970
126 Vanguard Growth Index Trust Fund 3,859
1,694 Vanguard Index Trust Total Stock Market 49,595
732 Vanguard Windsor 11,202
161 Warburg Pincus Global Telecommunications 6,821
383 Warburg Pincus Global Post Venture Capital Fund 8,715
822 Weitz Value Fund 28,971
1,970 White Oak Growth Stock Fund 124,260

375,559,129
Bonds and Notes
50 Conseco Inc Note 6.400% 3,800
150 Federal Home Ln Mtg Corporate Debenture 6.510% 15,519
150 Federal Natl Mtg Note 6.470% 14,871
40 Fleet Finl Group Inc Medium Term Sub Notes 7.300% 3,944
150 General Electric Capital Corp Note 8.300% 15,196
150 General Electric Capital Corporate Note 6.500% 16,734
1,000 MBNA Amer Bank 6.800% 100,000
50 Owens Ill Inc Senior Note 7.15% 2,800
100 Pacific Bell Debenture 7.50% 9,588
50 Penney J C Inc Note 7.600% 3,011
100 Saks Inc Note 8.250% 6,000
40 Sprint Corp Note 8.125% 4,061
140 Texas Utils Elec Co 6.750% 14,274

41


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The TRW Employee Stock Ownership and Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(i)—Schedule of Assets Held for
Investment Purposes at End of Year (continued)

                                     
Number of Current
Shares Description Cost Value

Bonds and Notes (continued)
2,850 United States Treasury Inflation Protection Notes 3.875% 292,211
250 United States Treasury Inflation Protection Notes 4.250% 25,983
40 United States Treasury Note 5.750% 3,504
40 Waste Mgmt Inc Debenture 8.750% 3,866

535,362
*Participant Loans At interest rates ranging from 6% to 11.5% 56,369,752

Total assets held for investment purposes $ 2,559,608,014

* Indicates party-in-interest.

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The TRW Employee Stock Ownership and Stock Savings Plan

EIN: 34-0575430 Plan: 027

Schedule H, Line 4(j)—Schedule of Reportable Transactions

Year Ended December 31, 2000

                                           
Current Value
Purchase Selling Cost of of Asset on Net Gain
Description of Assets Price Price Asset Transaction Date (Loss)






Category (III) — Series of Transactions in Excess of 5% of the Fair Value of Plan
Assets
*TRW Inc. Common Stock $ 324,449,960 $ 324,449,960 $ 324,449,960
$ 270,978,723 230,770,776 270,978,723 $ 40,207,947

There were no category (I), (II), or (IV) reportable transactions during 2000.

* Indicates party-in-interest

43


Table of Contents

SIGNATURES

      The Plan. Pursuant to requirements of the Securities Exchange Act of 1934, the Board of Administration of the Plan has duly caused this annual report to be signed on its behalf by the undersigned hereunto duly authorized.

                             
The TRW Employee Stock Ownership
and Savings Plan
 
Date: May 18, 2001 By: /s/  Kathleen A. Weigand

Kathleen A. Weigand
Attorney-in-fact

44


Table of Contents

EXHIBIT INDEX

               
EXHIBIT EXHIBIT
NUMBER DESCRIPTION


23 Consent of Ernst & Young LLP
24 Power of Attorney

45 EX-23 2 l88474aex23.htm EXHIBIT 23--CONSENT OF INDEPENDENT AUDITORS Exhibit 23

Exhibit 23

CONSENT OF INDEPENDENT AUDITORS

      We consent to the incorporation by reference in TRW Inc.’s Registration Statement No. 333-03973 on Form S-8 pertaining to The TRW Employee Stock Ownership and Savings Plan and the related prospectus of our report dated April 27, 2001 with respect to the financial statements of The TRW Employee Stock Ownership and Savings Plan for the fiscal year ended December 31, 2000 included in this Annual Report on Form 11-K.

     
 
/s/ Ernst & Young LLP
 
ERNST & YOUNG LLP
 
Cleveland, Ohio
May 18, 2001

EX-24 3 l88474aex24.htm EXHIBIT 24--POWER OF ATTORNEY Exhibit 24

Exhibit 24

POWER OF ATTORNEY

      THE UNDERSIGNED members of the Board of Administration of the TRW Employee Stock Ownership and Savings Plan (the “Plan”) hereby appoint W. B. Lawrence, D. F. Menz, K. C. Syrvalin, and K. A. Weigand, and each of them, as attorneys for the Plan and for the undersigned, with full power of substitution and resubstitution, for and in the name, place and stead of the Plan and the undersigned, to prepare or cause to be prepared, to execute and file with the Securities and Exchange Commission, Washington, D. C. (the “Commission”) (1) an Annual Report on Form 11-K for the fiscal year ended December 31, 2000, or information in lieu thereof, any transition reports under the Securities Exchange Act of 1934 (the “Exchange Act”), (2) a registration statement or statement on Form S-8 or any other appropriate form or forms pursuant to the Securities Act of 1933, as amended (the “Act”), for the purpose of registering participations in the Plan and, if appropriate, shares of Common Stock of TRW Inc. to be acquired, issued, contributed or sold in connection with the Plan; and (3) any and all amendments, including post-effective amendments, and exhibits to such annual report, transition reports or registration statements and any and all applications or other documents to be filed with the Commission or elsewhere pertaining to the securities to which such registration statement(s) relate(s), with full power and authority to take or cause to be taken all other actions deemed necessary or appropriate to effect the filing of the annual report, or information in lieu thereof, the transition reports and any and all amendments to such reports, under the Exchange Act or the registration under the Act of the participations in and, if appropriate, the shares of Common Stock of TRW Inc. offered or to be offered pursuant to the Plan.

EXECUTED on the dates set forth below.

             
 
/s/ Linda J. Croes /s/ Kathy P. Lazar


Linda J. Croes Kathy P. Lazar
May 3, 2001 May 3, 2001
 
/s/ Donna Kasle /s/ Judith A. Williams


Donna Kasle Judith A. Williams
May 3, 2001 May 3, 2001
 
/s/ Ann E. Killian

Ann E. Killian
May 3, 2001

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