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)
|
þ Annual
report pursuant to Section 15(d) of the Securities Exchange Act of 1934
(No Fee Required)
|
For
the fiscal year ended December 31,
2008
|
OR
|
¨ Transition
report pursuant to Section 15(d) of the Securities Exchange Act of 1934
(No Fee Required)
|
For
the transition period from ___to ___
|
Commission
file number 001-00035
|
A. Full
title of the plan and the address of the plan, if different from that of
the issuer named below:
|
GE Savings and
Security Program
|
B. Name
of issuer of the securities held pursuant to the plan and the address of
its principal executive office:
|
General
Electric Company
3135
Easton Turnpike
Fairfield,
Connecticut 06828-0001
|
Page
Number(s)
|
|||
A.
|
Financial Statements and
Schedule:
|
||
Report
of Independent Registered Public Accounting Firm
|
3
|
||
Financial
Statements:
|
|||
Statements of Net Assets
Available for Plan Benefits
as of December 31, 2008 and
2007
|
4
|
||
Statements of Changes in Net
Assets Available for Plan Benefits
for the Years Ended December
31, 2008 and 2007
|
5
|
||
Notes
to Financial Statements:
|
6-14
|
||
Supplemental
Schedule:
|
|||
Schedule H, Line 4i – Schedule of
Assets (Held at End of Year)
as of December 31,
2008
|
15-21
|
||
B.
|
Exhibits
|
||
23
|
Consent
of Independent Registered Public Accounting Firm
|
||
99(a)
|
GE
S&S Program Mutual Funds 2008 Annual Report (incorporated by reference
to the General Electric S&S Program Mutual Fund Form N-CSR for the
year ended December 31, 2008, as filed with the Commission on March 9,
2009)
|
||
99(b)
|
GE
Institutional International Equity Fund 2008 Annual Report (incorporated
by reference to the GE Institutional Funds Form N-CSR for the year ended
September 30, 2008, as filed with the Commission on December 12,
2008)
|
||
99(c)
|
GE
Institutional Small-Cap Value Equity Fund 2008 Annual Report (incorporated
by reference to the GE Institutional Funds Form N-CSR for the year ended
September 30, 2008, as filed with the Commission on December 12,
2008)
|
||
99(d)
|
GE
Institutional Strategic Investment Fund 2008 Annual Report (incorporated
by reference to the GE Institutional Funds Form N-CSR for the year ended
September 30, 2008, as filed with the Commission on December 12,
2008)
|
GE
Savings and Security Program
|
|||
(Name
of Plan)
|
|||
Date:
|
June
24, 2009
|
/s/
Jamie S. Miller
|
|
Jamie
S. Miller
Vice
President and Controller
|
Page
Number(s)
|
|
Report
of Independent Registered Public Accounting Firm
|
3
|
Financial
Statements:
|
|
Statements
of Net Assets Available for Plan Benefits
as of December 31, 2008 and
2007
|
4
|
Statements
of Changes in Net Assets Available for Plan Benefits
for the Years Ended December 31,
2008 and 2007
|
5
|
Notes
to Financial Statements
|
6-14
|
Supplemental
Schedule: (i)
|
|
Schedule
H, Line 4i - Schedule of
Assets (Held at End of Year)
as of December 31,
2008
|
15-21
|
Assets
|
2008
|
2007
|
||||||
Investments
at fair value (note 3)
|
$ | 15,292,581 | $ | 26,329,101 | ||||
Loans
to participants
|
427,014 | 467,591 | ||||||
Accrued
dividends and interest
|
121,011 | 124,088 | ||||||
Other
assets
|
5,032 | – | ||||||
Total assets
|
15,845,638 | 26,920,780 | ||||||
Liabilities
|
||||||||
Liability
for collateral deposits (note 3)
|
– | 273,086 | ||||||
Other
liabilities
|
282 | 2,419 | ||||||
Total
liabilities
|
282 | 275,505 | ||||||
Net
assets available for plan benefits
|
$ | 15,845,356 | $ | 26,645,275 |
2008
|
2007
|
|||||||
Additions
(reductions) to net assets attributed to:
|
||||||||
Investment
income:
|
||||||||
Net appreciation (depreciation)
in fair value of
|
||||||||
investments (note
3)
|
$ | (11,466,233 | ) | $ | 36,710 | |||
Interest and dividend
income:
|
||||||||
General Electric Company Common
Stock
|
518,441 | 478,841 | ||||||
Registered investment
companies
|
277,802 | 678,939 | ||||||
Other
investments
|
70,257 | 116,751 | ||||||
(10,599,733 | ) | 1,311,241 | ||||||
Interest on loans to
participants
|
26,150 | 26,331 | ||||||
Contributions:
|
||||||||
Employee
|
1,020,897 | 1,014,699 | ||||||
Employer
|
350,516 | 341,869 | ||||||
1,371,413 | 1,356,568 | |||||||
Total additions
(reductions)
|
(9,202,170 | ) | 2,694,140 | |||||
Deductions
from net assets attributed to:
|
||||||||
Participant
withdrawals
|
1,597,749 | 2,241,855 | ||||||
Net increase
(decrease)
|
(10,799,919 | ) | 452,285 | |||||
Net
assets available for plan benefits:
|
||||||||
Beginning of
year
|
26,645,275 | 26,192,990 | ||||||
End of year
|
$ | 15,845,356 | $ | 26,645,275 |
(1)
|
Description of the
Plan
|
|
(a)
|
General
Electric Company Common Stock (“GE Common
Stock”).
|
|
(b)
|
GE
S&S Income Fund (the “Income Fund”) - a registered
investment company that invests primarily in a variety of investment grade
debt securities with a weighted average maturity that is normally about
five to ten years.
|
|
(c)
|
GE
S&S Program Mutual Fund (the “Mutual Fund”) - a registered
investment company that invests primarily in equity securities of U.S.
companies.
|
|
(d)
|
GE
Institutional International Equity Fund (the “International Fund”) - a registered
investment company that invests primarily in equity securities of
companies in countries other than the
U.S.
|
|
(e)
|
GE
Institutional Small-Cap Equity Fund (the “Small Cap Fund”) - a registered
investment company that invests primarily in equity securities of
small-cap U.S. companies (those with market capitalizations in the same
range as the companies in the Russell 2000
Index).
|
|
(f)
|
GE
Institutional Strategic Investment Fund (the “Strategic Investment Fund”)
- a
registered investment company that invests primarily in a combination of
equity securities (U.S. and Non-U.S.) and investment grade debt
securities.
|
|
(g)
|
Vanguardâ
Institutional Index Fund (the “Index Fund”) - a registered
investment company that employs a passive management strategy designed to
track the performance of the Standard and Poor’s 500 Index, which is
composed primarily of equity securities of large U.S.
companies.
|
|
(h)
|
GE
S&S Short-Term Interest Fund (the “Short Term Fund”) - invests
primarily in a variety of investment grade debt securities with a weighted
average maturity that is normally not more than three
years.
|
|
(i)
|
GE
S&S Money Market Fund (the “Money Market Fund”) - invests
primarily in short-term, U.S. dollar denominated money market instruments
and other debt instruments that mature in one year or
less.
|
|
(j)
|
United
States Savings Bonds (the “U.S. Bond Fund”) - comprises
individual participants’ contributions that are directed to U.S. Treasury
Series EE Savings Bonds (Series E before 1980), bonds that mature in 30
years. Individual funds being accumulated for bond purchase are invested
in short-term instruments. Effective July 1, 1995, only after-tax
contributions are permitted to be invested in the U.S. Bond Fund. Bonds
acquired with after-tax contributions held by the Trustees shall be
distributed to participants as soon as practicable after the end of the
second calendar year following the year in which the bonds were acquired.
Proceeds from bonds acquired before July 1, 1995 that have matured but not
yet distributed are reinvested in
bonds.
|
(2)
|
Summary of Significant
Accounting Policies
|
(a)
|
Basis of
Accounting
|
|
(b)
|
Investments
|
|
Plan
investments are reported at fair value. See notes 3 and 4 for
additional information.
|
(c)
|
Loans to
Participants
|
(d)
|
Participant
Withdrawals
|
(e)
|
Management Estimates
and Assumptions
|
(f)
|
Reclassifications
|
(3)
|
Investments
|
2008
|
2007
|
|||||
(in
thousands)
|
||||||
GE
Common Stock
|
$
|
6,973,690
|
*
|
$
|
15,255,430
|
*
|
Registered
Investment Companies:
|
||||||
GE
S&S Income Fund
|
1,653,835
|
*
|
1,772,997
|
*
|
||
GE
S&S Program Mutual Fund
|
1,896,878
|
*
|
3,078,545
|
*
|
||
GE
Institutional International Equity Fund
|
906,666
|
*
|
1,828,429
|
*
|
||
GE
Institutional Small-Cap Equity Fund
|
406,984
|
659,434
|
||||
GE
Institutional Strategic Investment Fund
|
296,825
|
376,095
|
||||
Vanguardâ
Institutional Index Fund
|
559,611
|
807,271
|
||||
Total
Registered Investment Companies
|
5,720,799
|
8,522,771
|
||||
Other
Investments:
|
||||||
Short-Term
Money Market Instruments
|
1,150,789
|
*
|
1,054,829
|
|||
U.S.
Government and Agency Debt Obligations
|
1,251,833
|
*
|
872,516
|
|||
Collective
Fund **
|
25,013
|
336,918
|
||||
Other
|
170,457
|
286,637
|
||||
Total
Investments at fair value
|
$
|
15,292,581
|
$
|
26,329,101
|
2008
|
2007
|
|||||
(in
thousands)
|
||||||
GE
Common Stock
|
$
|
(8,651,374
|
)
|
$
|
(24,179
|
)
|
Registered
Investment Companies
|
(2,839,444
|
)
|
54,312
|
|||
Other
Investments
|
24,585
|
6,577
|
||||
$
|
(11,466,233
|
)
|
$
|
36,710
|
(4)
|
Fair Value
Measurements
|
Level
1
|
Level
2
|
Level
3
|
Total
|
||||||||
(in
thousands)
|
|||||||||||
GE
Common Stock
|
$
|
6,973,690
|
$
|
–
|
$
|
–
|
$
|
6,973,690
|
|||
Registered
Investment Companies
|
5,720,799
|
–
|
–
|
5,720,799
|
|||||||
Other
Investments:
|
|||||||||||
Short-Term
Money Market Instruments
|
–
|
1,150,789
|
–
|
1,150,789
|
|||||||
U.S.
Government and Agency Debt Obligations
|
–
|
1,251,764
|
69
|
1,251,833
|
|||||||
Collective
Fund
|
–
|
25,013
|
–
|
25,013
|
|||||||
U.S.
Savings Bonds and other
|
121,677
|
48,780
|
–
|
170,457
|
|||||||
Total
Investments at fair value
|
$
|
12,816,166
|
$
|
2,476,346
|
$
|
69
|
$
|
15,292,581
|
(In
thousands)
|
January 1,
2008
|
Net
realized/
unrealized
gains
(losses)
included
in
earnings
|
Purchases,
issuances
and
settlements
|
Transfers
in
and/or
out
of
Level
3(a)
|
December 31,
2008
|
Net
change in
unrealized
gains
(losses)
relating
to
investments
still
held at
December 31,
2008(b)
|
||||||||||||||||
U.S.
Government
|
||||||||||||||||||||||
and
Agency Debt
|
||||||||||||||||||||||
Obligations
|
$
|
158,045
|
$
|
1,245
|
$
|
(159,221
|
)
|
$
|
–
|
$
|
69
|
$
|
4
|
(a)
|
Transfers
in and out of Level 3 are considered to occur at the beginning of the
period. There were no transfers during the
period.
|
(b)
|
Represented
the amount of total gains or losses for the period included in earnings
attributable to the change in unrealized gains (losses) relating to
investments classified as Level 3 that are still held at December 31,
2008.
|
(5)
|
Tax
Status
|
|
The
Internal Revenue Service has notified General Electric Company by a letter
dated June 27, 2006, that the Plan is qualified under the appropriate
sections of the Internal Revenue Code. The Plan has been amended since
that letter was issued. However, counsel for the Plan has no reason to
believe that those amendments have adversely affected the validity of the
determination letter. A request for a new determination letter for the
Plan has been submitted to the Internal Revenue
Service.
|
(6)
|
Plan
Amendments
|
|
Loans
to participants are classified as investments per Form 5500
instructions. The following is a reconciliation of total
investments per the financial statements to the annual report filed on
Form 5500, Schedule H as required by the Department of
Labor:
|
December
31
|
||||||
2008
|
2007
|
|||||
(in
thousands)
|
||||||
Total
investments per financial statements
|
$
|
15,292,581
|
$
|
26,329,101
|
||
Loans
to participants
|
427,014
|
467,591
|
||||
Total
investments per Form 5500
|
$
|
15,719,595
|
$
|
26,796,692
|
Description
|
Shares
|
*
Cost
|
Fair Value
|
||||||
Corporate Stocks - Common
|
|||||||||
** General
Electric Company
|
430,474,712
|
$
|
10,584,314,294
|
$
|
6,973,690,326
|
||||
Registered Investment
Companies
|
|||||||||
***
GE S&S Income Fund
|
157,508,064
|
1,775,779,960
|
1,653,834,672
|
||||||
***
GE S&S Program Mutual Fund
|
67,384,653
|
3,016,482,366
|
1,896,877,982
|
||||||
***
GE Institutional International Equity Fund
|
102,332,553
|
1,442,440,692
|
906,666,420
|
||||||
***
GE Institutional Small-Cap Equity Fund
|
45,883,209
|
647,558,244
|
406,984,064
|
||||||
***
GE Institutional Strategic Investment Fund
|
34,196,375
|
393,364,774
|
296,824,535
|
||||||
Vanguard®
Institutional Index Fund
|
6,779,878
|
774,374,021
|
559,611,130
|
||||||
Total
Registered Investment Companies
|
8,050,000,057
|
5,720,798,803
|
See accompanying notes to schedule of assets on page 21. | (continued) |
Description
|
Rate of Interest
|
Maturity
|
*
Cost
|
Fair Value
|
||||
Short-Term Money Market
Instruments
|
||||||||
Interest Bearing Cash and Cash
Equivalents
|
||||||||
Abbey National
PLC
|
0.130
%
|
01/02/2009
|
$
|
49,099,830
|
$
|
49,099,830
|
(a)
|
|
Abbey National
PLC
|
1.500
|
03/02/2009
|
13,057,275
|
13,057,275
|
(a)
|
|||
Bank Of
Montreal
|
1.000
|
01/12/2009
|
35,584,281
|
35,584,281
|
(a)
|
|||
Bank Of Nova
Scotia
|
1.400
|
01/07/2009
|
32,490,000
|
32,490,000
|
||||
Bank of America
Corporation
|
3.100
|
02/12/2009
|
51,234,031
|
51,234,031
|
(a)
|
|||
Barclays Bank
Repo
|
0.040
|
01/02/2009
|
14,600,000
|
14,600,000
|
||||
Barclays Bank
PLC
|
2.250
|
02/10/2009
|
47,270,000
|
47,270,000
|
||||
Barclays Bank
PLC
|
2.419
|
02/26/2009
|
17,818,392
|
17,818,392
|
||||
BNP Paribas NY
Branch
|
1.680
|
02/05/2009
|
21,950,000
|
21,950,000
|
||||
BNP Paribas NY
Branch
|
2.380
|
01/06/2009
|
39,210,000
|
39,210,000
|
||||
BP Capital Markets
PLC
|
1.580
|
01/08/2009
|
46,365,751
|
46,365,751
|
(a)
|
|||
Calyon North
America
|
0.250
|
01/02/2009
|
15,999,889
|
15,999,889
|
(a)
|
|||
Calyon NY
Branch
|
3.880
|
01/27/2009
|
45,820,000
|
45,820,000
|
||||
CBA (DE) Finance
Inc
|
1.080
|
03/17/2009
|
24,165,505
|
24,165,505
|
(a)
|
|||
CBA (DE) Finance
Inc
|
1.830
|
01/28/2009
|
36,839,368
|
36,839,368
|
(a)
|
|||
Chase Bank USA
|
2.500
|
02/06/2009
|
45,820,000
|
45,820,000
|
||||
ConocoPhillips
|
1.300
|
01/29/2009
|
31,967,644
|
31,967,644
|
(a)
|
|||
Danske
Corporation
|
1.300
|
01/12/2009
|
28,168,806
|
28,168,806
|
(a)
|
|||
Danske
Corporation
|
1.490
|
02/17/2009
|
33,145,397
|
33,145,397
|
(a)
|
|||
Deutsche Bank
|
0.050
|
01/02/2009
|
29,200,000
|
29,200,000
|
||||
Goldman Sachs
Inc
|
0.005
|
01/02/2009
|
54,600,000
|
54,600,000
|
||||
HSBC Americas
Inc
|
0.300
|
01/21/2009
|
26,455,590
|
26,455,590
|
(a)
|
|||
HSBC Americas
Inc
|
1.870
|
01/21/2009
|
30,897,867
|
30,897,867
|
(a)
|
|||
ING (US) Funding
LLC
|
1.900
|
01/15/2009
|
40,050,385
|
40,050,385
|
(a)
|
|||
Lloyds Bank PLC NY
Branch
|
2.050
|
03/02/2009
|
35,249,970
|
35,249,970
|
||||
Rabobank Nederland
NY
|
3.800
|
01/05/2009
|
38,000,000
|
38,000,000
|
(a)
|
|||
Rabobank Nederland
NV
|
0.500
|
03/19/2009
|
25,700,000
|
25,700,000
|
||||
Royal Bank Of Scotland
PLC
|
2.740
|
01/30/2009
|
40,590,210
|
40,590,210
|
(a)
|
|||
Royal Bank Of
Canada
|
1.690
|
02/04/2009
|
47,470,000
|
47,470,000
|
||||
Societe Generale North
Amer
|
1.390
|
03/16/2009
|
16,073,942
|
16,073,942
|
(a)
|
|||
Societe Generale
NY
|
2.200
|
03/03/2009
|
47,980,000
|
47,980,000
|
||||
State Street Cayman
Islands
|
0.010
|
01/02/2009
|
19,820,737
|
19,820,737
|
||||
Toronto-Dominion
|
1.750
|
01/22/2009
|
30,390,000
|
30,390,000
|
||||
Westpac Banking
Corporation
|
1.900
|
02/18/2009
|
37,704,240
|
37,704,240
|
(a)
|
|||
Total
Short-Term Money Market Instruments
|
1,150,789,110
|
1,150,789,110
|
||||||
Collective Fund
****
|
||||||||
***GE
Cash Plus Fund
|
Variable
|
N/A
|
25,013,077
|
25,013,077
|
See accompanying notes to schedule of assets on page 21. | (continued) |
Description
|
Rate of Interest
|
Maturity
|
*
Cost
|
Fair Value
|
|||||
U.S. Government and Agency Debt
Obligations
|
|||||||||
Freddie Mac Discount
Notes
|
0.010
%
|
02/02/2009
|
$
|
25,288,935
|
$
|
25,288,935
|
(a)
|
||
Federal Home Loan Bank Discount
Notes
|
0.010
|
05/15/2009
|
26,455,359
|
26,455,359
|
(a)
|
||||
Federal Home Loan Mortgage
Discount Notes
|
0.010
|
01/12/2009
|
34,549,402
|
34,549,402
|
(a)
|
||||
Federal Home Loan Mortgage
Discount Notes
|
0.010
|
03/11/2009
|
30,874,175
|
30,874,175
|
(a)
|
||||
Federal Home Loan Bank
Construction Discount Notes
|
0.010
|
01/14/2009
|
36,748,124
|
36,748,124
|
(a)
|
||||
Federal Home Loan Bank
Construction Discount Notes
|
0.010
|
02/23/2009
|
30,704,729
|
30,704,729
|
(a)
|
||||
Federal National Mortgage
Association Discount Notes
|
0.010
|
01/20/2009
|
39,959,889
|
39,959,889
|
(a)
|
||||
Federal National Mortgage
Association Discount Notes
|
0.010
|
03/02/2009
|
34,790,724
|
34,790,724
|
(a)
|
||||
Federal National Mortgage
Association Discount Notes
|
0.010
|
03/09/2009
|
34,372,699
|
34,372,699
|
(a)
|
||||
Federal Home Loan
Banks
|
2.520
|
04/21/2009
|
22,787,721
|
22,787,721
|
|||||
Federal Home Loan Participation
Certificate Pool
|
7.000
|
10/01/2023
|
16,361
|
16,198
|
|||||
Federal Home Loan Participation
Certificate Pool
|
7.000
|
11/01/2031
|
118,606
|
117,658
|
|||||
Federal Home Loan Participation
Certificate Pool
|
7.000
|
04/01/2032
|
507,357
|
500,057
|
|||||
Federal Home Loan Participation
Certificate Pool
|
7.000
|
04/01/2032
|
365,851
|
360,640
|
|||||
Federal Home Loan Participation
Certificate Pool
|
7.000
|
06/01/2032
|
179,349
|
177,529
|
|||||
Federal Home Loan Participation
Certificate Pool
|
7.000
|
04/01/2036
|
1,048,646
|
1,059,870
|
|||||
Federal Home Loan Participation
Certificate Pool
|
7.500
|
01/01/2016
|
385,053
|
388,971
|
|||||
Federal Home Loan Participation
Certificate Pool
|
7.500
|
01/01/2027
|
332,459
|
332,036
|
|||||
Federal Home Loan Participation
Certificate Pool
|
7.500
|
01/01/2027
|
27,036
|
26,698
|
|||||
Federal Home Loan Participation
Certificate Pool
|
8.000
|
05/01/2031
|
32,320
|
32,460
|
|||||
Federal Home Loan Participation
Certificate Pool
|
8.500
|
03/01/2027
|
101,069
|
99,116
|
|||||
Federal Home Loan Participation
Certificate Pool
|
9.250
|
12/01/2016
|
44,374
|
40,125
|
|||||
Federal Home Loan Mortgage
Corporation
|
1.545
|
12/15/2030
|
3,557,739
|
3,583,953
|
|||||
Federal Home Loan Mortgage
Corporation
|
3.250
|
07/15/2023
|
441,860
|
446,519
|
|||||
Federal Home Loan Mortgage
Corporation
|
5.000
|
11/15/2022
|
2,968,925
|
2,994,988
|
|||||
Federal Home Loan Mortgage
Corporation
|
5.000
|
07/15/2028
|
13,744,500
|
13,682,680
|
|||||
Federal Home Loan Mortgage
Corporation
|
5.000
|
07/15/2031
|
30,249,335
|
30,364,108
|
|||||
Federal Home Loan Mortgage
Corporation
|
5.125
|
04/18/2011
|
138,761,201
|
144,838,058
|
|||||
Federal Home Loan Mortgage
Corporation
|
5.500
|
12/25/2029
|
9,795,197
|
9,983,263
|
|||||
Federal Home Loan Mortgage
Participation Certificate Guaranteed
|
6.000
|
10/15/2013
|
64,099
|
71,359
|
(b)
|
||||
Federal National Mortgage
Association
|
0.100
|
05/25/2018
|
132,189
|
68,764
|
(b)
|
||||
Federal National Mortgage
Association
|
0.921
|
01/25/2031
|
14,956,309
|
15,045,922
|
|||||
Federal National Mortgage
Association
|
5.000
|
08/25/2021
|
406,463
|
414,212
|
|||||
Federal National Mortgage
Association
|
5.000
|
02/25/2022
|
553,138
|
563,752
|
|||||
Federal National Mortgage
Association
|
5.000
|
11/25/2027
|
9,020,391
|
9,188,085
|
|||||
Federal National Mortgage
Association
|
5.000
|
08/25/2029
|
18,402
|
18,510
|
|||||
Federal National Mortgage
Association
|
5.500
|
06/25/2025
|
1,654,925
|
1,682,859
|
|||||
Federal National Mortgage
Association
|
6.250
|
04/25/2033
|
10,092,010
|
10,251,515
|
|||||
Federal National Mortgage
Association Guaranteed
|
1.408
|
07/25/2044
|
7,577,483
|
1,396,857
|
(b)
|
||||
Federal National Mortgage
Association Guaranteed
|
5.500
|
02/25/2031
|
1,561,963
|
1,567,570
|
|||||
Federal National Mortgage
Association Pool
|
3.188
|
05/01/2033
|
2,321,278
|
2,191,571
|
|||||
Federal National Mortgage
Association Pool
|
4.280
|
06/01/2033
|
2,466,542
|
2,398,170
|
|||||
Federal National Mortgage
Association Pool
|
4.358
|
06/01/2033
|
621,625
|
591,772
|
|||||
Federal National Mortgage
Association Pool
|
4.658
|
07/01/2033
|
4,335,651
|
4,250,836
|
|||||
Federal National Mortgage
Association Pool
|
4.672
|
12/01/2032
|
674,657
|
650,458
|
|||||
Federal National Mortgage
Association Pool
|
4.674
|
07/01/2033
|
1,815,430
|
1,766,904
|
See accompanying notes to schedule of assets on page 21. | (continued) |
Description
|
Rate of Interest
|
Maturity
|
*
Cost
|
Fair Value
|
||||
U.S. Government and Agency Debt Obligations,
continued
|
||||||||
Federal National Mortgage
Association Pool
|
4.902
%
|
06/01/2033
|
$
|
438,055
|
$
|
424,063
|
||
Federal National Mortgage
Association Pool
|
4.994
|
05/01/2033
|
430,022
|
417,921
|
||||
Federal National Mortgage
Association Pool
|
5.020
|
07/01/2033
|
207,545
|
206,242
|
||||
Federal National Mortgage
Association Pool
|
5.103
|
06/01/2033
|
239,861
|
230,108
|
||||
Federal National Mortgage
Association Pool
|
5.290
|
06/01/2033
|
1,734,338
|
1,694,609
|
||||
Federal National Mortgage
Association Pool
|
5.670
|
05/01/2037
|
16,376,276
|
16,646,960
|
||||
Federal National Mortgage
Association Pool
|
5.950
|
06/01/2033
|
644,052
|
615,579
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
04/01/2011
|
12,680
|
11,884
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
02/01/2017
|
124,522
|
124,415
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
03/01/2017
|
382,056
|
381,840
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
03/01/2017
|
158,937
|
157,235
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
03/01/2017
|
84,657
|
83,849
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
03/01/2017
|
75,094
|
74,290
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
04/01/2017
|
355,348
|
355,147
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
04/01/2017
|
289,885
|
287,118
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
04/01/2017
|
75,577
|
74,856
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
05/01/2017
|
197,638
|
193,688
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
05/01/2017
|
130,146
|
128,184
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
07/01/2017
|
695,728
|
689,595
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
07/01/2017
|
235,727
|
233,202
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
02/01/2019
|
18,279
|
17,987
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
03/01/2029
|
130,377
|
133,103
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
06/01/2031
|
130,467
|
130,123
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
10/01/2031
|
282,976
|
289,850
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
01/01/2032
|
83,101
|
82,886
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
10/01/2032
|
117,464
|
116,474
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
04/01/2033
|
331,775
|
329,535
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
11/01/2033
|
674,953
|
668,626
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
03/01/2034
|
141,095
|
139,405
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
06/01/2034
|
339,582
|
338,911
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
01/01/2035
|
293,811
|
293,840
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
05/01/2035
|
687,059
|
687,360
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
05/01/2035
|
817,613
|
819,187
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
01/01/2036
|
950,559
|
968,224
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
04/01/2036
|
1,455,815
|
1,489,618
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
02/01/2038
|
7,931,041
|
8,032,487
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
03/01/2038
|
7,860,487
|
7,961,031
|
||||
Federal National Mortgage
Association Pool
|
7.000
|
04/01/2038
|
7,772,621
|
7,872,040
|
||||
Federal National Mortgage
Association Pool
|
7.500
|
04/01/2016
|
59,760
|
58,375
|
||||
Federal National Mortgage
Association Pool
|
7.500
|
11/01/2021
|
165,536
|
162,979
|
||||
Federal National Mortgage
Association Pool
|
7.500
|
11/01/2022
|
169,403
|
170,210
|
||||
Federal National Mortgage
Association Pool
|
7.500
|
03/01/2023
|
44,323
|
43,961
|
||||
Federal National Mortgage
Association Pool
|
7.500
|
01/01/2025
|
352,999
|
354,893
|
||||
Federal National Mortgage
Association Pool
|
7.500
|
05/01/2026
|
54,166
|
54,521
|
||||
Federal National Mortgage
Association Pool
|
7.500
|
07/01/2027
|
368,803
|
370,453
|
||||
Federal National Mortgage
Association Pool
|
7.500
|
10/01/2030
|
112,076
|
110,185
|
||||
Federal National Mortgage
Association Pool
|
7.500
|
01/01/2031
|
85,453
|
86,095
|
||||
Federal National Mortgage
Association Pool
|
7.500
|
02/01/2031
|
188,242
|
189,525
|
See
accompanying notes to schedule of assets on page
21.
|
(continued)
|
Description
|
Rate of Interest
|
Maturity
|
*
Cost
|
Fair Value
|
||||
U.S. Government and Agency Debt Obligations,
continued
|
||||||||
Federal National Mortgage
Association Pool
|
7.500
%
|
01/01/2032
|
$
|
185,874
|
$
|
185,468
|
||
Federal National Mortgage
Association Pool
|
7.500
|
04/01/2032
|
175,684
|
177,016
|
||||
Federal National Mortgage
Association Pool
|
7.500
|
04/01/2032
|
136,881
|
137,919
|
||||
Federal National Mortgage
Association Pool
|
7.500
|
06/01/2032
|
160,644
|
158,794
|
||||
Federal National Mortgage
Association Pool
|
7.500
|
07/01/2032
|
112,528
|
112,479
|
||||
Federal National Mortgage
Association Pool
|
7.500
|
04/01/2033
|
84,478
|
83,338
|
||||
Federal National Mortgage
Association Pool
|
7.500
|
11/01/2033
|
173,303
|
171,238
|
||||
Federal National Mortgage
Association Pool
|
7.500
|
03/01/2034
|
566,771
|
559,612
|
||||
Federal National Mortgage
Association Pool
|
7.500
|
05/01/2034
|
594,621
|
585,762
|
||||
Federal National Mortgage
Association Pool
|
8.000
|
03/01/2032
|
236,707
|
235,535
|
||||
Federal National Mortgage
Association Pool
|
8.000
|
05/01/2032
|
32,461
|
32,190
|
||||
Federal National Mortgage
Association Pool
|
8.000
|
11/01/2033
|
86,195
|
84,864
|
||||
Federal National Mortgage
Association Pool
|
8.500
|
06/01/2028
|
307,502
|
304,187
|
||||
Federal National Mortgage
Association Pool
|
8.500
|
08/01/2029
|
607,838
|
601,129
|
||||
Federal National Mortgage
Association Pool
|
8.500
|
08/01/2030
|
125,617
|
122,690
|
||||
Federal National Mortgage
Association Pool
|
9.000
|
03/01/2011
|
365,625
|
372,114
|
||||
Federal National Mortgage
Association Pool
|
9.000
|
12/01/2031
|
191,488
|
193,906
|
||||
Federal National Mortgage
Association Pool
|
9.500
|
09/01/2021
|
199,549
|
189,820
|
||||
Government National Mortgage
Association Pool
|
7.000
|
03/15/2031
|
202,562
|
203,876
|
||||
Government National Mortgage
Association Pool
|
7.000
|
12/15/2018
|
322,705
|
316,070
|
||||
Government National Mortgage
Association Pool
|
7.000
|
11/15/2023
|
339,631
|
337,297
|
||||
Government National Mortgage
Association Pool
|
7.000
|
05/15/2032
|
450,866
|
451,235
|
||||
Government National Mortgage
Association Pool
|
7.000
|
11/15/2032
|
210,088
|
207,513
|
||||
Government National Mortgage
Association Pool
|
7.500
|
02/15/2009
|
122
|
121
|
||||
Government National Mortgage
Association Pool
|
7.500
|
12/15/2012
|
404,114
|
414,542
|
||||
Government National Mortgage
Association Pool
|
7.500
|
12/15/2018
|
405,642
|
395,514
|
||||
Government National Mortgage
Association Pool
|
7.500
|
11/15/2027
|
48,324
|
47,747
|
||||
Government National Mortgage
Association Pool
|
7.500
|
01/15/2031
|
431,059
|
433,771
|
||||
Government National Mortgage
Association Pool
|
7.500
|
01/15/2031
|
116,936
|
117,671
|
||||
Government National Mortgage
Association Pool
|
7.500
|
03/15/2031
|
46,722
|
47,016
|
||||
Government National Mortgage
Association Pool
|
7.500
|
05/15/2031
|
241,838
|
243,359
|
||||
Government National Mortgage
Association Pool
|
7.500
|
07/15/2031
|
296,451
|
298,316
|
||||
Government National Mortgage
Association Pool
|
7.500
|
09/15/2031
|
345,483
|
347,657
|
||||
Government National Mortgage
Association Pool
|
9.000
|
08/15/2009
|
28,715
|
27,389
|
||||
Government National Mortgage
Association Pool
|
9.000
|
12/15/2009
|
128,516
|
124,247
|
||||
Government National Mortgage
Association Pool
|
9.000
|
12/15/2009
|
22,743
|
21,212
|
||||
Government National Mortgage
Association Pool
|
9.000
|
11/15/2017
|
209,574
|
203,126
|
||||
Government National Mortgage
Association Pool
|
9.500
|
12/15/2009
|
147,274
|
136,489
|
||||
Government National Mortgage
Association Pool
|
9.500
|
12/15/2009
|
29,579
|
27,641
|
||||
Government National Mortgage
Association Pool
|
9.500
|
12/15/2009
|
28,785
|
26,899
|
||||
Federal National Mortgage
Association
|
0.010
|
06/10/2009
|
47,969,587
|
47,969,587
|
(a)
|
|||
Federal National Mortgage
Association
|
2.875
|
10/12/2010
|
200,253,183
|
206,291,800
|
||||
U.S. Treasury
Notes
|
1.750
|
11/15/2011
|
68,889,926
|
69,281,876
|
||||
U.S. Treasury
Notes
|
2.625
|
05/31/2010
|
5,009,759
|
5,150,975
|
||||
U.S. Treasury
Notes
|
4.750
|
02/15/2010
|
8,212,338
|
8,579,983
|
||||
U.S. Treasury
Notes
|
4.875
|
08/15/2009
|
134,252,668
|
134,550,932
|
||||
U.S. Treasury
Notes
|
1.250
|
11/30/2010
|
138,174,446
|
138,572,555
|
||||
Total U.S. Government and
Agency Debt Obligations
|
1,243,552,932
|
1,251,832,946
|
See accompanying notes to schedule of assets on page 21. | (continued) |
Other
|
Units
|
*
Cost
|
Fair
Value
|
|||||
U.S. Savings Bonds –
Held in trust
|
||||||||
1979
U.S. Savings Bond E Series
|
7,496
|
$
|
140,550
|
$
|
794,970
|
|||
1980
U.S. Savings Bond EE Series
|
3,603
|
180,150
|
1,105,692
|
|||||
1981
U.S. Savings Bond EE Series
|
3,848
|
192,400
|
1,025,543
|
|||||
1982
U.S. Savings Bond EE Series
|
4,191
|
209,550
|
1,052,098
|
|||||
1983
U.S. Savings Bond EE Series
|
7,286
|
364,300
|
1,487,279
|
|||||
1984
U.S. Savings Bond EE Series
|
8,484
|
424,200
|
1,568,500
|
|||||
1985
U.S. Savings Bond EE Series
|
12,844
|
642,200
|
2,266,759
|
|||||
1986
U.S. Savings Bond EE Series
|
42,230
|
2,111,500
|
7,047,408
|
|||||
1987
U.S. Savings Bond EE Series
|
44,906
|
2,245,300
|
6,582,502
|
|||||
1988
U.S. Savings Bond EE Series
|
51,619
|
2,580,950
|
7,275,238
|
|||||
1989
U.S. Savings Bond EE Series
|
72,088
|
3,604,400
|
9,761,859
|
|||||
1990
U.S. Savings Bond EE Series
|
75,872
|
3,793,600
|
9,872,189
|
|||||
1991
U.S. Savings Bond EE Series
|
79,985
|
3,999,250
|
10,010,480
|
|||||
1992
U.S. Savings Bond EE Series
|
112,980
|
5,649,000
|
13,579,557
|
|||||
1993
U.S. Savings Bond EE Series
|
83,475
|
4,173,750
|
8,294,541
|
|||||
1994
U.S. Savings Bond EE Series
|
68,801
|
3,440,050
|
6,279,146
|
|||||
1995
U.S. Savings Bond EE Series
|
26,130
|
1,306,500
|
2,278,256
|
|||||
1996
U.S. Savings Bond EE Series
|
104
|
5,200
|
8,239
|
|||||
1997
U.S. Savings Bond EE Series
|
200
|
10,000
|
15,777
|
|||||
1998
U.S. Savings Bond EE Series
|
333
|
16,650
|
25,172
|
|||||
1999
U.S. Savings Bond EE Series
|
526
|
26,300
|
37,993
|
|||||
2000
U.S. Savings Bond EE Series
|
739
|
36,950
|
50,779
|
|||||
2001
U.S. Savings Bond EE Series
|
884
|
44,200
|
57,660
|
|||||
2002
U.S. Savings Bond EE Series
|
1,124
|
56,200
|
70,121
|
|||||
2003
U.S. Savings Bond EE Series
|
1,821
|
91,050
|
109,732
|
|||||
2004
U.S. Savings Bond EE Series
|
2,747
|
137,350
|
159,851
|
|||||
2005
U.S. Savings Bond EE Series
|
3,987
|
199,350
|
222,828
|
|||||
2006
U.S. Savings Bond EE Series
|
5,083
|
254,150
|
274,132
|
|||||
2007
U.S. Savings Bond EE Series
|
7,393
|
369,650
|
385,083
|
|||||
2008
U.S. Savings Bond EE Series
|
9,252
|
462,600
|
462,600
|
|||||
36,767,300
|
92,161,984
|
|||||||
U.S. Savings Bonds –
Held in custody
|
||||||||
2006
U.S. Savings Bond EE Series
|
192,513
|
9,625,650
|
10,395,871
|
|||||
2007
U.S. Savings Bond EE Series
|
184,604
|
9,230,200
|
9,632,906
|
|||||
2008
U.S. Savings Bond EE Series
|
189,725
|
9,486,250
|
9,486,250
|
|||||
28,342,100
|
29,515,027
|
|||||||
Total
U.S. Savings Bonds
|
65,109,400
|
121,677,011
|
||||||
See accompanying notes to schedule of assets on page 21. | (continued) |
Description
|
Rate of Interest
|
Maturity
|
*
Cost
|
Fair Value
|
|||
Corporate Notes
|
|||||||
Toyota Motor Car
Corporation
|
1.215
%
|
09/15/2009
|
$
|
45,260,000
|
$
|
45,260,000
|
|
Other
|
|||||||
State Street
Bank
|
0.938
|
12/31/2030
|
3,520,150
|
3,520,150
|
|||
Total
Other
|
113,889,550
|
170,457,161
|
|||||
Total Investments at fair
value
|
21,167,559,020
|
15,292,581,423
|
|||||
Loans to Participants
|
|||||||
** Various
(60,299 loans)
|
5.350
- 8.050
|
1
month –
15
years
|
–
|
427,013,815
|
|||
Total Loans to
Participants
|
–
|
427,013,815
|
|||||
Total Assets (Held at End of
Year)
|
$
|
21,167,559,020
|
$
|
15,719,595,238
|
|||
*
|
Cost
of securities, including cost of GE Common Stock, is the price at which
underlying shares in the investment options were purchased, including
shares purchased with reinvested interest and dividends. In addition, cost
of securities includes gains and losses realized on participant
investment switches and is decreased for withdrawals on an average cost
basis by individual participant.
|
**
|
Represents
a party in interest to the Plan.
|
***
|
Funds
managed by GEAM, a wholly owned subsidiary of General Electric
Company.
|
****
|
103-12
investment in Collective funds; GE Cash Plus Fund is a holding of the
Short Term Fund.
|
(a)
|
Rate
of interest is based on computed effective yield.
|
(b)
|
Interest
only securities represent the right to receive the monthly interest
payments on an underlying pool of
mortgages.
|