UNITED
STATES
SECURITIES
AND EXCHANGE COMMISSION
WASHINGTON,
D.C. 20549
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FORM
11-K
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FOR
ANNUAL REPORTS OF EMPLOYEE STOCK PURCHASE,
SAVINGS
AND
SIMILAR PLANS PURSUANT TO SECTION 15(d) OF
THE
SECURITIES EXCHANGE ACT OF 1934
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(Mark
One)
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X
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ANNUAL
REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES
EXCHANGE ACT OF 1934
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For
the fiscal year ended December 31, 2008
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or
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TRANSITION
REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES
EXCHANGE ACT OF 1934
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For
the transition period from
to
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Commission
file number 1-3619
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A.
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Full
title of the plan and the address of the plan, if different from that of
the
issuer named below:
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PHARMACIA
SAVINGS PLAN
FOR
EMPLOYEES RESIDENT IN PUERTO RICO
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B.
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Name
of issuer of the securities held pursuant to the plan and the address
of its principal executive offices:
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PFIZER
INC.
235
EAST 42ND STREET
NEW
YORK, NEW YORK
10017
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Page
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FINANCIAL
STATEMENTS
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Report
of Independent Registered Public Accounting Firm
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3
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Statements
of Net Assets Available for Plan Benefits as of December 31, 2008 and
2007
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4
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Statements
of Changes in Net Assets Available for Plan Benefits for the year ended
December 31, 2008
and
period April 1, 2007 (inception) through December 31,
2007
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5
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Notes
to Financial Statements
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6
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SCHEDULES
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I Schedule
H, Line 4i - Schedule of Assets (Held at End of Year) as of
December 31, 2008
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15
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II Schedule
H, line 4j - Schedule of Reportable Transactions for the year ended
December 31, 2008
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16
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Signature
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17
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EXHIBITS
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Exhibit
23.1 - Consent of Independent Registered Public Accounting
Firm
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18
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December
31,
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(in
thousands of dollars)
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2008
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2007
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Assets:
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Investments,
at fair value:
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Pfizer
Inc. common stock
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$ | 3,956 | $ | 4,651 | ||||
Pfizer
Inc. preferred stock
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4,591 | 9,161 | ||||||
Common/collective
trust funds
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18,862 | 14,789 | ||||||
Mutual
funds
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3,613 | 9,141 | ||||||
Total
investments, at fair value
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31,022 | 37,742 | ||||||
Loans
to participants
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2,310 | 3,298 | ||||||
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Receivables:
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Company
contributions
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-- | 31 | ||||||
Participant
contributions
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-- | 50 | ||||||
Dividends
and interest
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-- | 6 | ||||||
Total
receivables
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-- | 87 | ||||||
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Total
assets
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33,332 | 41,127 | ||||||
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Liabilities:
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Payable
for securities purchased
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-- | (46 | ) | |||||
Total
liabilities
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-- | (46 | ) | |||||
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Net
assets available for plan benefits, at fair value
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33,332 | 41,081 | ||||||
Adjustment
from fair value to contract value for
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fully
benefit-responsive investment contracts
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141 | (62 | ) | |||||
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Net
assets available for plan benefits
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$ | 33,473 | $ | 41,019 |
(in
thousands of dollars)
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Year
ended
December
31, 2008
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Period
April 1, 2007 (inception) through December 31, 2007
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Additions/(reductions):
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Additions/(reductions)
to net assets attributed to:
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Investment
income/(loss):
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Net
depreciation in investments
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$ | (7,381 | ) | $ | (566 | ) | ||
Interest
income
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587 | 469 | ||||||
Pfizer
Inc. common stock dividends
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271 | 173 | ||||||
Pfizer
Inc. preferred stock dividends
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339 | 326 | ||||||
Dividend
income from other investments
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116 | 78 | ||||||
Total
investment income/(loss)
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(6,068 | ) | 480 | |||||
Interest
income on loans to participants
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221 | 205 | ||||||
Less: Investment
management fees
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(87 | ) | -- | |||||
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(5,934 | ) | 685 | |||||
Transfers
into Plan
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-- | 40,742 | ||||||
Contributions:
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Participant
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2,250 | 1,944 | ||||||
Company
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1,296 | 1,144 | ||||||
3,546 | 3,088 | |||||||
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Total
additions/(reductions), net
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(2,388 | ) | 44,515 | |||||
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Deductions:
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Deductions
from net assets attributed to:
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Benefits
paid to participants
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(5,158 | ) | (3,496 | ) | ||||
Total
deductions
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(5,158 | ) | (3,496 | ) | ||||
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Net
(decrease)/increase
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(7,546 | ) | 41,019 | |||||
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Net
assets available for plan benefits:
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Beginning
of year
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41,019 | -- | ||||||
End
of year
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$ | 33,473 | $ | 41,019 |
Pfizer
Common Stock (ESOP) Fund
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--
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This
fund invests Company matching contributions in the common stock of Pfizer
Inc.
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Pfizer
Preferred Stock Fund
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--
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This
fund holds investments in the preferred stock of Pfizer Inc. which were
allocated to participants before the spin-off of Puerto Rico participants
from the Pharmacia Savings Plan. Dividends paid to the participants’
Pfizer Preferred Stock Fund accounts are substituted for an allocation in
Pfizer Inc. common
stock.
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a)
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Fidelity
Growth Company Fund
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b)
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Pfizer
Common Stock Fund
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c)
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T.
Rowe Price Stable Value Fund
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d)
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T.
Rowe Price Small Cap Fund
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e)
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Dodge
& Cox Stock Fund(1)
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f)
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Dodge
& Cox International Stock Fund(2)
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g)
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Barclays
Global Investors Lifepath Retirement Fund
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h)
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Barclays
Global Investors Lifepath 2010 Fund
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i)
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Barclays
Global Investors Lifepath 2020 Fund
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j)
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Barclays
Global Investors Lifepath 2030 Fund
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k)
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Barclays
Global Investors Lifepath 2040 Fund
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l)
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Barclays
Global Investors US TIPS Fund
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m)
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Barclays
Global Investors Core Bond Fund
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n)
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Northern
Trust S&P 500 Equity Index Fund*(3)
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o)
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Fidelity
Mid Cap Stock Fund
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p)
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Capital
Guardian International Fund
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q)
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Northern
Trust Russell 2000 Small Cap Index Fund*
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r)
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Any
combination of the above, provided that a minimum of 5% and a multiple of
1% is directed to each fund
selected.
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December
31,
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(in
thousands of dollars)
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2008
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2007
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T.
Rowe Price Stable Value Fund, at contract value
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$ | 15,181 | $ | 10,440 | ||||
Pfizer
Inc. preferred stock*
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4,591 | 9,161 | ||||||
Pfizer
Inc. common stock**
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3,956 | 4,651 | ||||||
Barclays
Global Investors Equity Index Fund
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191 | 4,043 | ||||||
Fidelity
Growth Company Fund
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1,498 | 2,688 | ||||||
Neuberger
& Berman Guardian Equity Fund
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-- | 2,559 | ||||||
Templeton
Funds Inc Foreign Fund
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-- | 2,189 | ||||||
(in
thousands of dollars)
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Year ended
December 31,
2008
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April
1, 2007
(inception)
through
December 31,
2007
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Mutual
funds
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$ | (2,751 | ) | $ | 788 | |||
Pfizer
Inc. common stock
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(1,171 | ) | (557 | ) | ||||
Pfizer
Inc. preferred stock
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(1,820 | ) | (1,020 | ) | ||||
Common/collective
trust funds
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(1,639 | ) | 223 | |||||
$ | (7,381 | ) | $ | (566 | ) |
December
31,
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(in
thousands of dollars)
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2008
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2007
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Assets:
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Investments,
at fair value:
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Common/collective
trust funds
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$ | 119 | $ | 99 | ||||
Pfizer
Inc. common stock
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2,329 | 2,323 | ||||||
Pfizer
Inc. preferred stock
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4,591 | 9,161 | ||||||
Total
investments
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7,039 | 11,583 | ||||||
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Receivables:
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Company
contributions
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-- | 31 | ||||||
Total
receivables
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-- | 31 | ||||||
Total
assets
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7,039 | 11,614 | ||||||
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Liabilities:
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Payable
for securities purchased
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-- | (11 | ) | |||||
Total
liabilities
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-- | (11 | ) | |||||
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Net
assets available for plan benefits
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$ | 7,039 | $ | 11,603 |
(in
thousands of dollars)
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Year
ended
December
31, 2008
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April 1, 2007 (inception) through December
31, 2007
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Change
in net assets:
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Investment
income/(loss):
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Net
depreciation in investments
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$ | (2,357 | ) | $ | (1,277 | ) | ||
Interest
and dividend income
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495 | 398 | ||||||
Total
investment loss
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(1,862 | ) | (879 | ) | ||||
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Contributions
and other:
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Company
contributions
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1,296 | 1,147 | ||||||
Benefits
paid to participants
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(879 | ) | (903 | ) | ||||
Loan
transaction transfers, net
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(9 | ) | (36 | ) | ||||
Transfers
to participant-directed investments, net
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(3,110 | ) | (1,181 | ) | ||||
Transfers
into Plan
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-- | 13,455 | ||||||
(2,702 | ) | 12,482 | ||||||
Net
increase /(decrease)
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(4,564 | ) | 11,603 | |||||
Net
assets available for plan benefits:
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Beginning
of period
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11,603 | -- | ||||||
End
of period
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$ | 7,039 | $ | 11,603 |
(in
thousands)
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Investments
at Fair Value as of December 31, 2008
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Level
1
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Level
2
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Level
3
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Total
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Mutual
funds
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$ | 3,613 | $ | -- | $ | -- | $ | 3,613 | ||||||||
Pfizer
Inc. common stock
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3,956 | -- | -- | 3,956 | ||||||||||||
Pfizer
Inc. preferred stock
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-- | 4,591 | -- | 4,591 | ||||||||||||
Common/collective
trust funds
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-- | 18,862 | -- | 18,862 | ||||||||||||
Total
investments at fair value
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$ | 7,569 | $ | 23,453 | $ | -- | $ | 31,022 |
December
31,
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(in
thousands of dollars)
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2008
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2007
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Net
assets available for plan benefits per the financial
statements
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$ | 33,473 | $ | 41,019 | ||||
Adjustment
of T. Rowe Price Stable Value Fund from contract value to fair
value
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(141 | ) | 62 | |||||
Amounts
allocated to withdrawing participants
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-- | (7 | ) | |||||
Deemed
distributions
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(55 | ) | (92 | ) | ||||
Net
assets available for plan benefits per Form 5500
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$ | 33,277 | $ | 40,982 |
(in
thousands of dollars)
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Year
ended
December
31, 2008
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April
1, 2007
(inception)
through
December
31, 2007
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Benefits
paid to participants per the financial statements
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$ | 5,158 | $ | 3,496 | ||||
Amounts
allocated to withdrawing participants and deemed
distributions
at beginning of year
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(99 | ) | -- | |||||
Amounts
allocated to withdrawing participants and deemed
distributions
at end of year
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55 | 99 | ||||||
Benefits
paid to participants per Form 5500
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$ | 5,114 | $ | 3,595 |
(in
thousands of dollars)
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Year
ended
December
31,
2008
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April
1, 2007 (inception) through
December
31, 2007
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Net
depreciation in investments per the financial statements
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$ | (7,381 | ) | $ | (566 | ) | ||
Adjustment
of T. Rowe Price Stable Value Fund from
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contract
value to fair value at end of period
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(141 | ) | 62 | |||||
Adjustment
of T. Rowe Price Stable Value Fund from
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contract
value to fair value at beginning of period
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(62 | ) | -- | |||||
Net
depreciation in investments per the Form 5500
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$ | (7,584 | ) | $ | (504 | ) |
Interest
Rate
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Maturity
Date
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Number
of
Shares
or
Units
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Cost
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Fair
Value
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Corporate
Stock – Preferred:
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*Pfizer
Inc.
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100,671
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$ 4,058
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$ 4,591
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Corporate
Stock – Common:
*
Pfizer Inc.
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222,922
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4,504
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3,956
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Common/collective trust
funds:
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T.
Rowe Price Stable Value Common Trust Fund
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15,180,538
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15,181
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15,040
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The
Northern Trust Company*, Russell 2000 Equity Index Fund
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359
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216
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216
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The
Northern Trust Company*, S&P 500 Equity Index Fund
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761
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2,711
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1,924
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Barclays
Global Investors Lifepath Retirement Fund
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3,065
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29
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28
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Barclays
Global Investors Lifepath 2010 Fund
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2,718
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29
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24
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Barclays
Global Investors Lifepath 2020 Fund
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4,883
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48
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40
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Barclays
Global Investors Lifepath 2030 Fund
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106,186
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1,137
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796
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Barclays
Global Investors Lifepath 2040 Fund
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418
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3
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3
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Capital
Guardian International Fund
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9,679
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79
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57
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Barclays
Global Investors US TIPS Fund
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39,227
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402
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379
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Barclays
Global Investors Equity Index Fund T
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7,838
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182
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191
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*NTGI
Collective Short-Term Investment Fund
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164,512
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164
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164
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Total
common/collective trust funds
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20,181
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18,862
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Registered
Investment Companies:
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Fidelity
Growth Company Fund
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30,585
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2,202
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1,498
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Dodge
& Cox International Stock Fund
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35,727
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1,421
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782
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Dodge
& Cox Stock Fund
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16,159
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1,219
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1,202
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T.
Rowe Price Small Cap Fund
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2,907
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79
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57
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Mid
Cap Stock Fund
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4,757
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122
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74
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Total
Registered Investment Companies
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5,043
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3,613
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Loans
to Participants (784 loans)
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5.0%
to
10.0%
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January
2009
to
April 2017
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2,310
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Total
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$
33,332
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(a)
Identity
of
party
involved
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(b)
Description
of
asset
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(c)
Purchase
price
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(d)
Selling
price
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(g)
Cost
of
asset
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(h)
Current
value
of
asset
on
transaction
date
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(i)
Net
gain/
(loss)
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Pfizer
Inc.*
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Common
stock; 164 purchases
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$ | 23,286 | $ | -- | $ | 23,286 | $ | 23,286 | $ | -- | |||||||||||
Pfizer
Inc.*
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Common
stock; 222 sales
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$ | -- | $ | 23,156 | $ | 24,172 | $ | 23,156 | $ | (1,016 | ) | ||||||||||
Pfizer
Inc.*
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Preferred
stock; 161 sales
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$ | -- | $ | 2,783 | $ | 2,274 | $ | 2,783 | $ | 509 | |||||||||||
T.
Rowe Price Stable Value Common Trust Fund
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Units
of participation;
158
purchases
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$ | 28,743 | $ | -- | $ | 28,743 | $ | 28,743 | $ | -- | |||||||||||
T.
Rowe Price Stable Value Common Trust Fund
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Units
of participation;
108
sales
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$ | -- | $ | 23,227 | $ | 23,227 | $ | 23,227 | $ | -- | |||||||||||
Templeton
Funds Inc Foreign Fund Class A
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Units
of participation;
41 purchases
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$ | 1,323 | $ | -- | $ | 1,323 | $ | 1,323 | $ | -- | |||||||||||
Templeton
Funds Inc Foreign Fund Class A
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Units
of participation;
51 sales
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$ | -- | $ | 3,313 | $ | 3,805 | $ | 3,313 | $ | (492 | ) | ||||||||||
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PHARMACIA
SAVINGS PLAN FOR EMPLOYEES RESIDENT IN PUERTO RICO
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By: /s/ Richard A.
Passov
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|
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Richard
A. Passov
Chair,
Savings Plan Committee
|