[ 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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Thermo Fisher Scientific Inc.
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81 Wyman Street
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Waltham, Massachusetts 02451
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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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$ | 24,183,263 | $ | 22,611,761 | |||
Receivables
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|||||||
Participant
contributions
|
91,206 | 56,995 | |||||
Employer
contributions
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7,308 | 11,364 | |||||
98,514 | 68,359 | ||||||
Net assets available for benefits
at fair value
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24,281,777 | 22,680,120 | |||||
Adjustment from fair
value to contract value for fully benefit-responsive investment
contracts
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(9,690 | ) | 31,938 | ||||
Net assets available for
benefits
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$ | 24,272,087 | $ | 22,712,058 |
Additions
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|||
Contributions
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|||
Employer
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$ | 221,675 | |
Participants
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1,277,266 | ||
Total
contributions
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1,498,941 | ||
Investment income
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|||
Dividends and interest
income
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1,695,478 | ||
Net depreciation in fair value of
investments
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(512,595 | ) | |
Total investment
income
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1,182,883 | ||
Total additions
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2,681,824 | ||
Deductions
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|||
Benefits paid to
participants
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(1,121,795 | ) | |
Net
increase in net assets available for benefits
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1,560,029 | ||
Net
Assets Available for Benefits
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|||
Beginning of year
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22,712,058 | ||
End of year
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$ | 24,272,087 |
1.
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Description
of the Plan
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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,
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|||||||
2007
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2006
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||||||
Mutual
Funds
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|||||||
T.
Rowe Price Retirement 2020 Fund (1)
|
$ | 5,640,269 | $ | 939,706 | |||
T.
Rowe Price Retirement 2015 Fund (1)
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3,873,412 | 7,329 | |||||
T.
Rowe Price Retirement 2010 Fund (1)
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3,054,329 | 31,932 | |||||
T.
Rowe Price Retirement 2025 Fund (1)
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2,443,635 | 13,065 | |||||
T.
Rowe Price Retirement 2030 Fund (1)(2)
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1,662,838 | 1,140,339 | |||||
Dodge
& Cox Stock Fund (1)(2)
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1,545,394 | 4,379,741 | |||||
Dodge
& Cox International Stock Fund
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769,072 | — | |||||
T.
Rowe Price Retirement 2035 Fund
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767,388 | 43,414 | |||||
T.
Rowe Price Retirement 2040 Fund
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468,875 | 128,134 | |||||
T.
Rowe Price Retirement Income Fund
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420,312 | 135,805 | |||||
Vanguard
Mid Capitalization Index Fund, Instl.
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389,771 | — | |||||
T.
Rowe Price Retirement 2045 Fund
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330,672 | 19,553 | |||||
Western
Asset Core Plus Bond Fund, Instl.
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271,046 | — | |||||
T.
Rowe Price Retirement 2005 Fund
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83,684 | 3,223 | |||||
T.
Rowe Price Retirement 2050 Fund
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8,360 | — | |||||
Royce
Low priced Stock Fund (2)
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— | 4,644,823 | |||||
Vanguard
Inst Index Fund (2)
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— | 3,063,862 | |||||
Pimco
Total Return Fund (2)
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— | 2,440,057 | |||||
Templeton
Foreign Fund (2)
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— | 2,136,646 | |||||
Pimco
High Yield Fund
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— | 10,857 | |||||
Common
Collective Trusts
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|||||||
T.
Rowe Price Stable Value Fund (1)
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1,639,446 | — | |||||
T.
Rowe Price Growth Stock Trust
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358,110 | — | |||||
SSGA
S&P 500 Index Fund
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285,294 | — | |||||
Jennison
Institutional U.S. Small-Cap Equity Fund
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171,356 | — | |||||
SSGA
S&P 400 Mid Cap Fund (2)
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— | 2,114,072 | |||||
Prudential
Stable Value Fund (2)
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— | 1,359,203 | |||||
Total
Investments, at Fair Value
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$ | 24,183,263 | $ | 22,611,761 |
Year
Ended
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|||
December 31, 2007
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|||
Mutual
funds
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$ | (678,456 | ) |
Common
collective trusts
|
165,861 | ||
Net
change in fair value
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$ | (512,595 | ) |
|
Dividends
and interest income of $1,695,478 consisted of the following for the year
ended December 31, 2007:
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Year
Ended
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|||
December 31, 2007
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|||
Mutual
funds
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$ | 1,632,785 | |
Common
collective trusts
|
62,693 | ||
Dividends
and interest income
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$ | 1,695,478 |
5.
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Party-in-Interest
Transactions
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6.
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Plan
Termination
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Identity
of Issue/Borrower, Lessor or Similar Party
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Description
of investments including maturity date, rate of interest, collateral, par,
or maturity value
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Cost
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Current
Value
|
||||||
Common
Collective Trusts
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|||||||||
T.
Rowe Price
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T.
Rowe Price Stable Value Fund (1)
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(2)
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$ | 1,629,756 | |||||
T.
Rowe Price
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T.
Rowe Price Growth Stock Trust (1)
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(2)
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358,110 | ||||||
State
Street Global Advisors
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SSGA
S&P 500 Index Fund
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(2)
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285,294 | ||||||
Jennison
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Jennison
Institutional U.S. Small-Cap Equity Fund
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(2)
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171,356 | ||||||
Total
Common Collective Trust Funds
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2,444,516 | ||||||||
Mutual
Funds
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|||||||||
T.
Rowe Price
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T.
Rowe Price Retirement 2020 Fund (1)
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(2)
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5,640,269 | ||||||
T.
Rowe Price
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T.
Rowe Price Retirement 2015 Fund (1)
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(2)
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3,873,412 | ||||||
T.
Rowe Price
|
T.
Rowe Price Retirement 2010 Fund (1)
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(2)
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3,054,329 | ||||||
T.
Rowe Price
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T.
Rowe Price Retirement 2025 Fund (1)
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(2)
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2,443,635 | ||||||
T.
Rowe Price
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T.
Rowe Price Retirement 2030 Fund (1)
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(2)
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1,662,838 | ||||||
Dodge
& Cox
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Dodge
& Cox Stock Fund
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(2)
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1,545,394 | ||||||
Dodge
& Cox
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Dodge
& Cox International Stock Fund
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(2)
|
769,072 | ||||||
T.
Rowe Price
|
T.
Rowe Price Retirement 2035 Fund (1)
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(2)
|
767,388 | ||||||
T.
Rowe Price
|
T.
Rowe Price Retirement 2040 Fund (1)
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(2)
|
468,875 | ||||||
T.
Rowe Price
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T.
Rowe Price Retirement Income Fund (1)
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(2)
|
420,312 | ||||||
Vanguard
|
Vanguard
Mid Capitalization Index Fund, Instl.
|
(2)
|
389,771 | ||||||
T.
Rowe Price
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T.
Rowe Price Retirement 2045 Fund (1)
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(2)
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330,672 | ||||||
Western
Asset
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Western
Asset Core Plus Bond Fund, Instl.
|
(2)
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271,046 | ||||||
T.
Rowe Price
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T.
Rowe Price Retirement 2005 Fund (1)
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(2)
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83,684 | ||||||
T.
Rowe Price
|
T.Rowe
Price Retirement 2050 Fund (1)
|
(2)
|
8,360 | ||||||
Total
Mutual Funds
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21,729,057 | ||||||||
Total
Investments
|
$ | 24,173,573 |