[ X
]
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Annual
Report Pursuant to Section 15(d) of the Securities Exchange Act of 1934
for the Fiscal Year Ended December 31,
2007
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[ ]
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Transition
Report Pursuant to Section 15(d) of the Securities Exchange Act of
1934
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A.
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Full
title of the plan and address of the plan, if different from that of the
issuer named below:
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B.
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Name
of issuer of the securities held pursuant to the plan and the address of
the principal executive office:
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*
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Other
supplemental schedules required by Section 2520.103.10 of the Department
of Labor’s Rules and Regulations for Reporting and Disclosure under the
Employee Retirement Income Security Act of 1974 have been omitted because
they are not applicable.
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2007
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2006
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||||||
Assets
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|||||||
Investments,
at fair value
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$ | 1,103,553,777 | $ | 542,182,675 | |||
Loans
to participants, at fair value
|
16,519,971 | 5,342,126 | |||||
1,120,073,748 | 547,524,801 | ||||||
Receivables
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|||||||
Due from Lancaster Laboratories
401(k) Incentive Savings Plan
|
39,878,059 | — | |||||
Employer
contributions
|
697,965 | 801,389 | |||||
Participant
contributions
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310,401 | 758,487 | |||||
Accrued income
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— | 5,022 | |||||
40,886,425 | 1,564,898 | ||||||
Net assets available for benefits
at fair value
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1,160,960,173 | 549,089,699 | |||||
Adjustment from fair value to
contract value for fully benefit-responsive investment
contracts
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(241,807 | ) | 864,523 | ||||
Net assets available for
benefits
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$ | 1,160,718,366 | $ | 549,954,222 |
Additions
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|||
Investment income
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|||
Dividends and interest
income
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$ | 22,098,423 | |
Net appreciation of
investments
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20,949,000 | ||
Total investment
income
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43,047,423 | ||
Contributions
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|||
Employer
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14,904,773 | ||
Participants
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34,422,395 | ||
Total
contributions
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49,327,168 | ||
Total additions
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92,374,591 | ||
Deductions
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|||
Benefits paid to
participants
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(138,950,692 | ) | |
Administrative
expenses
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(113,217 | ) | |
Total deductions
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(139,063,909 | ) | |
Net
decrease in net assets available for benefits before
transfers
|
(46,689,318 | ) | |
Transfers
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|||
Fisher Scientific International
Inc. Savings and Profit Sharing Plan
|
609,151,408 | ||
Lancaster Laboratories 401(k)
Incentive Savings Plan
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39,878,059 | ||
Athena Diagnostics, Inc.
Employees Savings Trust
|
8,423,995 | ||
Total transfers
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657,453,462 | ||
Net
increase in net assets available for benefits after
transfers
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610,764,144 | ||
Net
Assets Available for Benefits
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|||
Beginning of year
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549,954,222 | ||
End of year
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$ | 1,160,718,366 |
1.
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Plan
Description
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2.
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Summary
of Significant Accounting Policies
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3.
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Tax
Status
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4.
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Investments
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December
31,
|
||||||||
2007
|
2006
|
|||||||
Mutual
Funds
|
||||||||
T. Rowe Price Retirement 2020
Fund (1)
|
$ | 156,044,174 | $ | — | ||||
T. Rowe Price Retirement 2025
Fund (1)
|
132,301,287 | — | ||||||
T. Rowe Price Retirement 2015
Fund (1)
|
120,728,320 | — | ||||||
T. Rowe Price Retirement 2030
Fund (1)
|
104,553,539 | — | ||||||
T. Rowe Price Retirement 2010
Fund (1)
|
74,527,703 | — | ||||||
Dodge & Cox International
Stock Fund (1)
|
60,394,924 | — | ||||||
T. Rowe Price Retirement 2035
Fund
|
57,044,177 | — | ||||||
Dodge & Cox Stock Fund
(2)
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41,207,714 | 114,182,938 | ||||||
T. Rowe Price Retirement 2040
Fund
|
33,391,757 | — | ||||||
Vanguard Mid Capitalization
Index Fund, Instl.
|
25,400,899 | — | ||||||
T. Rowe Price Retirement 2005
Fund
|
18,896,799 | — | ||||||
Western Asset Core Plus Bond
Fund, Instl.
|
14,332,149 | — | ||||||
T. Rowe Price Retirement Income
Fund
|
12,003,887 | — | ||||||
T. Rowe Price Retirement 2045
Fund
|
9,726,726 | — | ||||||
Van Kampen Fund Class
A
|
1,565,317 | — | ||||||
T. Rowe Price Retirement 2055
Fund
|
1,294,987 | — | ||||||
T. Rowe Price Retirement 2050
Fund
|
1,294,627 | — | ||||||
Lord Abbett Mid-Cap Value
Fund
|
742,294 | — | ||||||
Columbia Acorn Fund Class
A
|
604,812 | — | ||||||
Van Kampen Growth and Income
Fund
|
544,711 | — | ||||||
American Funds Amcap Fund Class
A
|
502,235 | — | ||||||
Van Kampen Equity Income
Fund
|
501,055 | — | ||||||
American Funds Investment Co of
America
|
391,330 | — | ||||||
Munder Index 500 Fund Class
A
|
387,956 | — | ||||||
AIM Mid-Cap Core Equity
Fund
|
387,010 | — | ||||||
Munder Small-Cap Value Fund
Class A
|
363,799 | — | ||||||
AIM International Growth
Fund
|
323,394 | — | ||||||
Eaton Vance Govt Obligations
Fund
|
319,617 | — | ||||||
Munder Mid-Cap Core Growth
Fund
|
301,427 | — |
December
31,
|
||||||||
2007
|
2006
|
|||||||
Columbia Federal Securities
Fund Class A
|
$ | 281,847 | $ | — | ||||
Templeton Foreign Fund Class
R
|
263,997 | — | ||||||
Pioneer High Yield Fund Class
A
|
196,403 | — | ||||||
Franklin Small-Cap Value
Fund
|
153,599 | — | ||||||
Nationwide U.S. Growth Leaders
Fund Class A
|
91,858 | — | ||||||
Franklin Templeton Moderate
Target Fund
|
84,705 | — | ||||||
Franklin Templeton Conservative
Target Fund
|
41,975 | — | ||||||
Fidelity Advisor Equity Growth
Fund
|
2,000 | — | ||||||
AIM International Core Equity
Fund
|
8 | — | ||||||
Spartan U.S. Equity Index Fund
(2)
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— | 69,947,923 | ||||||
Fidelity Balanced Fund
(2)
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— | 66,534,588 | ||||||
Fidelity Diversified
International Fund (2)
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— | 62,032,832 | ||||||
Fidelity Growth Company Fund
(2)
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— | 58,845,604 | ||||||
T. Rowe Price Small-Cap Stock
Fund, Inc. (2)
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— | 28,931,721 | ||||||
PIMCO Total Return Fund: Class
ADM
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— | 18,393,409 | ||||||
Freedom 2020
Fund
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— | 7,670,732 | ||||||
Freedom 2030
Fund
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— | 6,830,132 | ||||||
Vanguard Mid-Cap Index Fund
Admiral Shares
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— | 5,473,629 | ||||||
Freedom 2010
Fund
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— | 3,994,850 | ||||||
Freedom 2040
Fund
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— | 3,004,234 | ||||||
Freedom Income
Fund
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— | 1,701,221 | ||||||
Freedom 2000
Fund
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— | 732,591 | ||||||
Common
Collective Trusts
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||||||||
T. Rowe Price Stable Value Fund
(1)
|
104,840,741 | — | ||||||
Fidelity Managed Income
Portfolio II: Class II (2)
|
49,835,723 | 72,103,090 | ||||||
SSGA S&P 500 Index
Fund
|
21,820,962 | — | ||||||
T. Rowe Price Growth Stock
Trust
|
17,580,398 | — | ||||||
Jennison Institutional U.S.
Small-Cap Equity Fund
|
15,060,524 | — | ||||||
Stock
|
||||||||
Thermo Fisher Scientific Inc.,
402,573 and 456,734 shares, respectively
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23,220,411 | 20,685,483 | ||||||
Interest bearing
cash
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— | 1,117,698 | ||||||
Total Investments, at Fair
Value
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$ | 1,103,553,777 | $ | 542,182,675 |
Year
Ended
|
|||
December
31, 2007
|
|||
Mutual funds
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$ | 15,584,161 | |
Common stock
|
5,703,839 | ||
Common collective
trusts
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(339,000 | ) | |
Net change in fair
value
|
$ | 20,949,000 |
Year
Ended
|
|||
December
31, 2007
|
|||
Mutual funds
|
$ | 18,356,427 | |
Common collective
trusts
|
3,252,681 | ||
Participant loans
|
424,664 | ||
Interest-bearing
cash
|
64,651 | ||
Dividends and interest
income
|
$ | 22,098,423 |
5.
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Related-party
Transactions
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6.
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Plan
Termination
|
Identity
of Issue/Borrower,
Lessor
or Similar Party
|
Description
of investments including
maturity
date, rate of interest, collateral, par,
or
maturity value
|
Cost
|
Current
Value
|
|||||
Mutual
Funds
|
||||||||
T.
Rowe Price
|
T.
Rowe Price Retirement 2020 Fund (1)
|
(2)
|
$ | 156,044,174 | ||||
T.
Rowe Price
|
T.
Rowe Price Retirement 2025 Fund (1)
|
(2)
|
132,301,287 | |||||
T.
Rowe Price
|
T.
Rowe Price Retirement 2015 Fund (1)
|
(2)
|
120,728,320 | |||||
T.
Rowe Price
|
T.
Rowe Price Retirement 2030 Fund (1)
|
(2)
|
104,553,539 | |||||
T.
Rowe Price
|
T.
Rowe Price Retirement 2010 Fund (1)
|
(2)
|
74,527,703 | |||||
T.
Rowe Price
|
Dodge
& Cox International Stock Fund
|
(2)
|
60,394,924 | |||||
T.
Rowe Price
|
T.
Rowe Price Retirement 2035 Fund (1)
|
(2)
|
57,044,177 | |||||
Dodge
& Cox
|
Dodge
& Cox Stock Fund
|
(2)
|
41,207,714 | |||||
T.
Rowe Price
|
T.
Rowe Price Retirement 2040 Fund (1)
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(2)
|
33,391,757 | |||||
Vanguard
|
Vanguard
Mid Capitalization Index Fund, Instl. (1)
|
(2)
|
25,400,899 | |||||
T.
Rowe Price
|
T.
Rowe Price Retirement 2005 Fund (1)
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(2)
|
18,896,799 | |||||
Western
Asset Management Company
|
Western
Asset Core Plus Bond Fund, Instl.
|
(2)
|
14,332,149 | |||||
T.
Rowe Price
|
T.
Rowe Price Retirement Income Fund (1)
|
(2)
|
12,003,887 | |||||
T.
Rowe Price
|
T.
Rowe Price Retirement 2045 Fund (1)
|
(2)
|
9,726,726 | |||||
Van
Kampen Investments
|
Van
Kampen Fund Class A
|
(2)
|
1,565,317 | |||||
T.
Rowe Price
|
T.
Rowe Price Retirement 2055 Fund (1)
|
(2)
|
1,294,987 | |||||
T.
Rowe Price
|
T.
Rowe Price Retirement 2050 Fund (1)
|
(2)
|
1,294,627 | |||||
Lord
Abbett & Company
|
Lord
Abbett Mid-Cap Value Fund
|
(2)
|
742,294 | |||||
Columbia
Management
|
Columbia
Acorn Fund Class A
|
(2)
|
604,812 | |||||
Van
Kampen Investments
|
Van
Kampen Growth and Income Fund
|
(2)
|
544,711 | |||||
American
Funds
|
American
Funds Amcap Fund Class A
|
(2)
|
502,235 | |||||
Van
Kampen Investments
|
Van
Kampen Equity Income Fund
|
(2)
|
501,055 | |||||
American
Funds
|
American
Funds Investment Co of America
|
(2)
|
391,330 | |||||
Munder
Capital Management
|
Munder
Index 500 Fund Class A
|
(2)
|
387,956 | |||||
Invesco
Aim
|
AIM
Mid-Cap Core Equity Fund
|
(2)
|
387,010 | |||||
Munder
Capital Management
|
Munder
Small-Cap Value Fund Class A
|
(2)
|
363,799 | |||||
Invesco
Aim
|
AIM
International Growth Fund
|
(2)
|
323,394 | |||||
Eaton
Vance
|
Eaton
Vance Govt Obligations Fund
|
(2)
|
319,617 | |||||
Munder
Capital Management
|
Munder
Mid-Cap Core Growth Fund
|
(2)
|
301,427 | |||||
Columbia
Management
|
Columbia
Federal Securities Fund Class A
|
(2)
|
281,847 | |||||
Franklin
Templeton Investments
|
Templeton
Foreign Fund Class R
|
(2)
|
263,997 | |||||
Pioneer
Investments
|
Pioneer
High Yield Fund Class A
|
(2)
|
196,403 | |||||
Franklin
Templeton Investments
|
Franklin
Small-Cap Value Fund
|
(2)
|
153,599 | |||||
Nationwide
Financial Services, Inc.
|
Nationwide
U.S. Growth Leaders Fund Class A
|
(2)
|
91,858 | |||||
Franklin
Templeton Investments
|
Franklin
Templeton Moderate Target Fund
|
(2)
|
84,705 | |||||
Franklin
Templeton Investments
|
Franklin
Templeton Conservative Target Fund
|
(2)
|
41,975 | |||||
Fidelity
|
Fidelity
Advisor Equity Growth Fund (1)
|
(2)
|
2,000 | |||||
Invesco
Aim
|
AIM
International Core Equity Fund
|
(2)
|
8 | |||||
Total
mutual funds
|
$ | 871,195,018 |
Identity
of Issue/Borrower,
Lessor
or Similar Party
|
Description
of investments including
maturity
date, rate of interest, collateral, par,
or
maturity value
|
Cost
|
Current
Value
|
|||||
Common
Collective Trusts
|
||||||||
T.
Rowe Price
|
T.
Rowe Price Stable Value Fund (1)
|
(2)
|
$ | 104,221,097 | ||||
Fidelity
|
Fidelity
Managed Income Portfolio II: Class II (1)
|
(2)
|
50,213,560 | |||||
State
Street Global Advisors
|
SSGA
S&P 500 Index Fund
|
(2)
|
21,820,962 | |||||
T.
Rowe Price
|
T.
Rowe Price Growth Stock Trust (1)
|
(2)
|
17,580,398 | |||||
Jennison
Associates
|
Jennison
Institutional U.S. Small-Cap Equity Fund
|
(2)
|
15,060,524 | |||||
Total
common collective trusts
|
208,896,541 | |||||||
Thermo
Fisher Scientific Inc.
|
Common
stock (1)
|
(2)
|
23,220,411 | |||||
Participant
Loans
|
Participant
loans (for a term not exceeding 30 years at interest rates ranging from 4%
to 11.5%) (1)
|
(2)
|
16,519,971 | |||||
Total
|
$ | 1,119,831,941 |
(1)
|
Investments
are a party-in-interest to the
Plan.
|
(2)
|
Cost
information is not required for participant directed investments and,
therefore, is not included.
|