[
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,
2006
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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. |
Full
title of the plan and address of the plan, if different from that
of the
issuer named below:
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Thermo
Fisher Scientific Inc. Choice Plan
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B. |
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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P.O.
Box 9046
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Waltham,
Massachusetts 02454-9046
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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.
|
2006
|
2005
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||||||
Assets
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|||||||
Investments,
at fair value
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$
|
542,182,675
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$
|
474,231,466
|
|||
Loans
to participants, at fair value
|
5,342,126
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4,993,897
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|||||
547,524,801
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479,225,363
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||||||
Receivables
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|||||||
Employer
contributions
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801,389
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357,740
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|||||
Participant
contributions
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758,487
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714,954
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|||||
Accrued
income
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5,022
|
2,530
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|||||
1,564,898
|
1,075,224
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||||||
Net
assets available for benefits at fair value
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549,089,699
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480,300,587
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|||||
Adjustment from fair value to contract value for interest in collective
trust
relating
to
fully benefit-responsive investment contracts
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864,523
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1,100,215
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|||||
Net
assets available for benefits
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$
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549,954,222
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$
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481,400,802
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Addition
to net assets attributed to investment income
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||||
Interest
and dividends
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$
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24,481,307
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||
Net
appreciation of investments
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41,626,116
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|||
Total
investment income
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66,107,423
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|||
Contributions
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||||
Employer
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13,530,867
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|||
Participants
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33,043,556
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|||
Total
contributions
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46,574,423
|
|||
Deductions
from net assets attributed to
|
||||
Benefits
paid to participants
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(43,993,251
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)
|
||
Administrative
expenses
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(135,175
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)
|
||
Total
deductions
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(44,128,426
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)
|
||
Net
increase in net assets available for benefits
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68,553,420
|
|||
Net
assets available for benefits
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||||
Beginning
of year
|
481,400,802
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|||
End
of year
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$
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549,954,222
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1. |
Plan
Description
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2. |
Summary
of Significant Accounting
Policies
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3. |
Tax
Status
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4. |
Investments
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December
31,
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|||||||
2006
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2005
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||||||
Mutual
Funds:
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|||||||
Dodge
and Cox Stock Fund *
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$
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114,182,938
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$
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93,874,808
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|||
Spartan
U.S. Equity Index Fund*
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69,947,923
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45,931,969
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|||||
Fidelity
Balanced Fund*
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66,534,588
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59,726,136
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|||||
Fidelity
Diversified International Fund*
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62,032,832
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43,968,796
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|||||
Fidelity
Growth Company Fund*
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58,845,604
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36,485,639
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|||||
Fidelity
Blue Chip Growth Fund*
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—
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45,353,542
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|||||
T.
Rowe Price Small-Cap Stock Fund, Inc. *
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28,931,721
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24,690,069
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|||||
PIMCO
Total Return Fund: Class ADM
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18,393,409
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18,819,258
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|||||
Vanguard
Mid-Cap Index Fund Admiral Shares
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5,473,629
|
—
|
|||||
Freedom
2000 Fund
|
732,591
|
695,050
|
|||||
Freedom
2010 Fund
|
3,994,850
|
2,878,353
|
|||||
Freedom
2020 Fund
|
7,670,732
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5,671,151
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|||||
Freedom
2030 Fund
|
6,830,132
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4,372,869
|
|||||
Freedom
2040 Fund
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3,004,234
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1,682,540
|
|||||
Freedom
Income Fund
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1,701,221
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1,551,894
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|||||
Common
Collective Trusts:
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|||||||
Managed
Income Portfolio II: Class II*
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72,103,090
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73,956,834
|
|||||
Stock
Fund:
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|||||||
Thermo
Fisher Scientific Inc., 456,734 and 459,479 shares,
respectively
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20,685,483
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13,844,102
|
|||||
Interest
bearing cash
|
1,117,698
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728,456
|
|||||
Total
investments
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$
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542,182,675
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$
|
474,231,466
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Year
Ended
|
||||
December
31, 2006
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||||
Mutual
funds
|
$
|
34,694,008
|
||
Common
stock
|
6,932,108
|
|||
Net
change in fair value
|
$
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41,626,116
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5. |
Related-party
Transactions
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6. |
Plan
Termination
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7. |
Administrative
Expenses
|
Identity of Issue/Borrower, Lessor or Similar Party | Description of invstments including maturity date, rate of interest, collateral, par, or maturity value | Cost |
Current
Value
|
|||
Common
Collective Trust
|
||||||
Fidelity
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Managed
Income Portfolio II: Class II (1)
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(2)
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$ |
72,967,613
|
||
Mutual
Funds
|
||||||
Dodge
and Cox
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Dodge
and Cox Stock Fund
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(2)
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114,182,938
|
|||
Fidelity
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Spartan
U.S. Equity Index Fund (1)
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(2)
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69,947,923
|
|||
Fidelity
|
Balanced
Fund (1)
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(2)
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66,534,588
|
|||
Fidelity
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Diversified
International Fund (1)
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(2)
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62,032,832
|
|||
Fidelity
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Growth
Company Fund (1)
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(2)
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58,845,604
|
|||
T.
Rowe Price
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Small-Cap
Stock Fund, Inc.
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(2)
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28,931,721
|
|||
PIMCO
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Total
Return Fund: Class ADM
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(2)
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18,393,409
|
|||
Vanguard
|
Vanguard
Mid-Cap Index Fund Admiral Shares
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(2)
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5,473,629
|
|||
Fidelity
|
Freedom
2000 Fund (1)
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(2)
|
732,591
|
|||
Fidelity
|
Freedom
2010 Fund (1)
|
(2)
|
3,994,850
|
|||
Fidelity
|
Freedom
2020 Fund (1)
|
(2)
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7,670,732
|
|||
Fidelity
|
Freedom
2030 Fund (1)
|
(2)
|
6,830,132
|
|||
Fidelity
|
Freedom
2040 Fund (1)
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(2)
|
3,004,234
|
|||
Fidelity
|
Freedom
Income Fund (1)
|
(2)
|
1,701,221
|
|||
Total mutual funds
|
448,276,404
|
|||||
Thermo Fisher Scientific Inc.
|
Common Stock Fund (1)
|
(2)
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20,685,483
|
|||
Interest bearing cash
|
1,117,698
|
|||||
Total Thermo Fisher Scientific Inc. Stock Fund
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21,803,181
|
|||||
Participant
Loans
|
Participant loans (for a term not exceeding 30 years
at interest rates ranging from 4% to 10.75%) (1)
|
(2)
|
5,342,126
|
|||
Total
|
$
|
548,389,324
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