Page(s)
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1
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2
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3
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4-10
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Attachment
I
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Attachment
II
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STATEMENT
OF NET ASSETS AVAILABLE FOR PLAN BENEFITS
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|||||||||
DECEMBER
31,
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|||||||||
(Dollars
in Thousands)
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|||||||||
2004
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2003
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||||||||
Assets
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|||||||||
Investments,
at fair value (Note 2)
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|||||||||
Vanguard
PRIMECAP Fund Investor Shares
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$
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17,368
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$
|
12,443
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|||||
Shares
in registered investment companies
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83,553
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65,023
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|||||||
Vanguard
Index Trust - 500 Portfolio
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72,468
|
* |
68,898
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*
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|||||
Vanguard
Money Market Reserve Fund - Federal Portfolio
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22,271
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21,843
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|||||||
Vanguard
Wellington Fund Investor Shares
|
41,113
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* |
35,579
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* | |||||
Vanguard
Windsor II Fund Investor Shares
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40,326
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* |
32,503
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* | |||||
Vanguard
Retirement Savings Trust
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98,024
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*
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-
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||||||
Vanguard
Trust Fund - Investment Contract
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-
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96,798
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* | ||||||
Common
stock - Energizer Holdings, Inc. Stock (Note 5)
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115,157
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* |
89,864
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* | |||||
Common
stock - Pfizer, Inc. Stock
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18,114
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41,861
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* | ||||||
Loans
to participants
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9,375
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9,599
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|||||||
Total
Investments
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517,769
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474,411
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|||||||
Insurance
company contracts, at contract value (Note
2)
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-
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932
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|||||||
Receivables
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|||||||||
Employer
contributions
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223
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167
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|||||||
Participant
contributions
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798
|
646
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|||||||
Total
Receivables
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1,021
|
813
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|||||||
Total
Assets
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$
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518,790
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$
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476,156
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|||||
Liabilities
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|||||||||
Accrued
administrative expenses
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46
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46
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|||||||
Total
Liabilities
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$
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46
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$
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46
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|||||
Net
Assets Available for Plan Benefits
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$
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518,744
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$
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476,110
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|||||
See
Notes to
Financial Statements
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*
Investment
represents 5% or more of Plan's net assets.
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STATEMENT OF CHANGES IN NET ASSETS
AVAILABLE FOR PLAN BENEFITS
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|||||||
(Dollars in
Thousands)
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|||||||
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Year
Ended
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Year
Ended
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|||||
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December
31, 2004
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December
31, 2003
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Additions
To Net Assets Attributed To:
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|||||||
Interest
income
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$
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1,526
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$
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4,516
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Dividend
income
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9,764
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4,451
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|||||
Net
appreciation in the fair value of investments
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44,883
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69,065
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|||||
56,173
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78,032
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||||||
Contributions
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|||||||
Employer
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5,305
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5,177
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|||||
Participant
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19,054
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16,947
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|||||
24,359
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22,124
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||||||
Total
Additions
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80,532
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100,156
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Deductions
From Net Assets Attributed To:
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Benefits
paid
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38,063
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21,518
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|||||
Administrative
expenses
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31
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49
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|||||
Total
Deductions
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38,094
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21,567
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Net
Increase
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42,438
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78,589
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Transfer
from
Schick-Wilkinson Sword Savings Investment Plan (Note 1)
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-
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62,286
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|||||
Asset
transfers in
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196
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-
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|||||
Net
Assets Available for Plan Benefits
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|||||||
Beginning
of
year
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476,110
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335,235
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|||||
End
of
year
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$
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518,744
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$
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476,110
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See
Notes to
Financial Statements
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Daniel
J.
Sescleifer
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Executive
Vice President and Chief Financial Officer
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William
C.
Fox
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Vice
President and Treasurer
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Peter
J.
Conrad
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Vice
President, Human Resources
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Mark
A.
Schafale
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Vice
President and Controller
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Joseph
J.
Tisone
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Vice
President, Global Operations - Batteries
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Geraldine
S.
Auger
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Vice
President, Global Compensation
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Michael
Cummings
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Vice
President, Global Operations - Razor &
Blades
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(in
thousands)
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Year
ended
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Year
ended
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||||
December
31, 2004
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December
31, 2003
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|||||
Changes
in
Net Assets:
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Contributions
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$5,305
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$5,277
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||||
Loan
Repayments
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0
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1,427
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||||
Dividends
and
interest income
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0
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1
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||||
Net
appreciation/(depreciation)
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7,506
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5,701
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||||
Benefits
paid
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(1,393)
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(572)
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Transfers
to
participant-directed investments
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(360)
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(3,209)
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Other
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(5)
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(4)
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Total
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$11,053
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$8,621
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(in
thousands)
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Year
ended December 31, 2004
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Year
ended December 31, 2003
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Net
Appreciation/(Depreciation)in Fair Market Value
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Vanguard
Index Trust - 500 Portfolio
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$
5,801
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$13,902
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Vanguard
Wellington Fund Investor Shares
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1,757
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5,110
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Vanguard
Windsor II Fund Investor Shares
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5,385
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6,830
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Energizer
Holdings, Inc. Common Stock
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29,397
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23,453
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Pfizer,
Inc.
Common Stock
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(7,780)
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5,848
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Other
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10,323
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13,922
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$44,883
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$69,065
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DECEMBER
31, 2004
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||||
ENERGIZER
HOLDINGS, INC. SAVINGS INVESTMENT PLAN
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||||
EIN
43-1863181 PLAN NO. 90342
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SCHEDULE
H, LINE 4i - SCHEDULE OF ASSETS (HELD AT END OF
YEAR)
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||||
(Dollars
in Thousands)
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(a)
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(b)
Identity of Issue, Borrower,
Lessor,
or Similar Party
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(c)
Description of Investment Including Maturity Date, Rate of Interest,
Collateral,
Par, or Maturity Value
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(d)
Cost
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(e)
Current value
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*
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Vanguard
Group
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PRIMECAP
Fund
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$
15,394
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$
17,368
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*
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Vanguard
Group
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500
Index
Portfolio
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75,272
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72,468
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*
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Vanguard
Group
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Money
Market
Reserve Fund - Federal Portfolio
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22,271
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22,271
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*
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Vanguard
Group
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Wellington
Fund
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38,059
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41,113
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*
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Vanguard
Group
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Windsor
II
Fund
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34,261
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40,326
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*
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Vanguard
Group
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International
Growth Fund
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14,608
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15,318
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*
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Vanguard
Group
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Vanguard
Retirement Saving Trust (Common/Collective Trust)
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98,024
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98,024
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*
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Vanguard
Group
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Small
Cap
Index Fund
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18,428
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23,158
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*
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Vanguard
Group
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Explorer
Fund
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6,990
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8,497
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*
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Vanguard
Group
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Bond
Market
Index
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11,365
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11,415
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*
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Vanguard
Group
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LifeStrategy
Conservative Growth Fund
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4,757
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4,988
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*
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Vanguard
Group
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LifeStrategy
Growth Fund
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8,206
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8,637
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*
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Vanguard
Group
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LifeStrategy
Income Fund
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4,183
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4,304
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*
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Vanguard
Group
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LifeStrategy
Moderate Growth Fund
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6,823
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7,236
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Total
Investment in Shares in Registered Investment Company
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358,641
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375,123
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* | Energizer Holdings, Inc | ESOP Common Stock - Participant directed |
34,858
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82,098
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*
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Energizer
Holdings, Inc.
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ESOP
Common
Stock - Nonparticipant directed
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18,960
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33,059
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*
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Pfizer,
Inc.
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ESOP
Common
Stock
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7,573
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18,114
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Total
Investment in Common Stock
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61,391
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133,271
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*
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Participant
Loans
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Notes
Receivable from Participants (various maturity dates, 4.75% to
10.50%
interest)
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9,375
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9,375
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$
429,407
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$
517,769
|
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*
Investment
represents allowable transaction with a
party-in-interest.
|
||||
Note:
maturity dates on insurance contracts represent the date when either
the
entire contract matures or the final portion of the contract
matures.
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SCHEDULE
H, LINE 4j - SCHEDULE OF REPORTABLE TRANSACTIONS
*
|
||||||||
ENERGIZER
HOLDINGS, INC. SAVINGS INVESTMENT PLAN (EIN
43-1863181)
|
||||||||
Year
Ended December 31, 2004
|
||||||||
(b)
Description of Asset
|
(f)
Expense
|
(h)
Current Value
|
||||||
(a)
Identity of
Party
Involved
|
(Include
interest rate and
maturity
in the case of a loan)
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(c)
Purchase Price
|
(d)
Selling
Price
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(e)
Lease Rental
|
Incurred
with Transaction
|
(g)
Cost
Of
Asset
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Of
Asset On Transaction Date
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(i)
Net Gain(Loss)
|
|
|
|
|
|
|
|
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|
Vanguard
Group
|
Vanguard
500
Index Fund
|
$
11,302,009
|
$
-
|
$
-
|
$
11,302,009
|
$
-
|
||
Vanguard
Group
|
Vanguard
500
Index Fund
|
13,532,804
|
-
|
-
|
14,133,625
|
13,532,804
|
(600,821)
|
|
Vanguard
Group
|
Vanguard
Retirement Savings Trust
|
117,543,712
|
-
|
-
|
117,543,712
|
-
|
||
Vanguard
Group
|
Vanguard
Retirement Savings Trust
|
19,519,737
|
-
|
-
|
19,519,737
|
19,519,737
|
-
|
|
Vanguard
Group
|
Energizer
ESOP CS Unrestricted
|
12,920,000
|
-
|
-
|
12,920,000
|
-
|
||
Vanguard
Group
|
Energizer
ESOP CS Unrestricted
|
20,530,837
|
-
|
-
|
12,696,198
|
20,530,837
|
7,834,639
|
|
*
Transactions or a series of transactions in excess of 5% of the
current
value of the Plan's assets as of the beginning of the plan year
as defined
in
|
||||||||
section
29
CFR 2520.103-6 of the Department of Labor Rules and Regulations
for
Reporting and Disclosure under
ERISA.
|