UNITED STATES
                     SECURITIES AND EXCHANGE COMMISSION

                            Washington, D.C. 20549



                                  FORM 11-K

[X]  ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF
     1934

For the fiscal year ended December 31, 2002
                          -----------------


                                     OR

[ ]  TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT
     OF 1934

For the transition period from             to
                               -----------    --------------

Commission file number 1-2516
                       ------

         A. Full title of the plan and the address of the plan, if different
            from that of issuer named below:

                    MONSANTO SAVINGS AND INVESTMENT PLAN
                        800 North Lindbergh Boulevard
                          St. Louis, Missouri 63167


         B. Name of issuer of the securities held pursuant to the plan
            and the address of its principal executive office:

                              MONSANTO COMPANY
                        800 North Lindbergh Boulevard
                          St. Louis, Missouri 63167











                    MONSANTO SAVINGS AND INVESTMENT PLAN

               FINANCIAL STATEMENTS AND SUPPLEMENTAL SCHEDULES

                  FOR THE PLAN YEAR ENDED DECEMBER 31, 2002

                                     AND

                        INDEPENDENT AUDITORS' REPORT







                    MONSANTO SAVINGS AND INVESTMENT PLAN



                         FINANCIAL STATEMENTS AND SUPPLEMENTAL SCHEDULES

                                        TABLE OF CONTENTS


                                                                                             PAGE
                                                                                          
Independent Auditors' Report                                                                    1

Financial Statements:

     Statements of Net Assets Available for Benefits as of December 31, 2002 and 2001           2

     Statement of Changes in Net Assets Available for Benefits for the
         Plan Year Ended December 31, 2002                                                      3

     Notes to Financial Statements                                                              4

Supplemental Schedules:

     1.  Assets Held for Investment as of December 31, 2002                                    12

     2.  Schedule of Assets Held for Investment Acquired and Disposed of Within the
             Plan Year Ended December 31, 2002                                                 36

     3.  Schedule of Reportable Transactions for the Plan Year Ended December 31, 2002         79

         Supplemental Schedule 4 is omitted because of the absence of the
conditions under which it is required.

Signature                                                                                      81

Exhibit Index                                                                                  82








INDEPENDENT AUDITORS' REPORT

Monsanto Company Employee Benefits Plan Committee

We have audited the accompanying statements of net assets available for
benefits of the Monsanto Savings and Investment Plan (the "Plan") as of
December 31, 2002 and 2001, and the related statement of changes in net
assets available for benefits for the year ended December 31, 2002. These
financial statements are the responsibility of the Plan's management. Our
responsibility is to express an opinion on these financial statements based
on our audits.

We conducted our audits in accordance with auditing standards generally
accepted in the United States of America. These standards require that we
plan and perform the audit to obtain reasonable assurance about whether the
financial statements are free of material misstatement. An audit includes
examining, on a test basis, evidence supporting the amounts and disclosures
in the financial statements. An audit also includes assessing the accounting
principles used and significant estimates made by management, as well as
evaluating the overall financial statement presentation. We believe that our
audits provide a reasonable basis for our opinion.

In our opinion, such financial statements present fairly, in all material
respects, the net assets available for benefits of the Plan as of December
31, 2002 and 2001, and the changes in net assets available for benefits for
the year ended December 31, 2002, in conformity with accounting principles
generally accepted in the United States of America.

Our audits were conducted for the purpose of forming an opinion on the basic
financial statements taken as a whole. The supplemental schedules listed in
the Table of Contents are presented for the purpose of additional analysis
and are not a required part of the basic financial statements but are
supplementary information required by the Department of Labor's Rules and
Regulations for Reporting and Disclosure under the Employee Retirement
Income Security Act of 1974. The supplemental information by fund in the
statements of net assets available for benefits and the statements of
changes in net assets available for benefits is presented for the purpose of
additional analysis rather than to present the net assets available for
benefits and changes in net assets available for benefits of the individual
funds. The supplemental schedules are the responsibility of the Plan's
management. Such supplemental schedules have been subjected to the auditing
procedures applied in our audits of the basic financial statements and, in
our opinion, are fairly stated in all material respects when considered in
relation to the basic financial statements taken as a whole.

/s/ DELOITTE & TOUCHE LLP

St. Louis, Missouri
June 19, 2003











MONSANTO SAVINGS AND INVESTMENT PLAN


STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS
AS OF DECEMBER 31, 2002 AND 2001
(DOLLARS IN THOUSANDS)
-------------------------------------------------------------------------------------------------------------------------





                                                                                            2002                2001
                                                                                       --------------      --------------

                                                                                                       
Contributions receivable:
  Employee                                                                               $    1,192          $    1,061
  Employer                                                                                      430                 393

Investment receivables                                                                        1,366                  --

Investment in the Pharmacia Corporation and Monsanto Company Defined
     Contribution and Employee Stock Ownership Master Trust                                      --           1,479,057
Investments:
     Cash and temporary investments                                                          27,196                  --
     Mellon Daily Liquidity Stock Index Fund                                                 64,909                  --
     Capital Guardian International Equity Fund                                              32,628                  --
     Debt securities including U.S. Government securities                                    33,616                  --
     Common stock--Pharmacia Corporation*                                                   381,849                  --
     Common stock--Monsanto Company*                                                        153,770                  --
     Common stock--Solutia Inc.                                                               3,169                  --
     Common and preferred stock--other                                                      245,261                  --
     Investment contracts                                                                   441,310                  --
     Loans to participants                                                                   15,407                  --
                                                                                         ----------          ----------
       Total investments                                                                  1,399,115           1,479,057
                                                                                         ----------          ----------

TOTAL ASSETS                                                                              1,402,103           1,480,551
                                                                                         ----------          ----------

ESOP debt                                                                                    30,347              37,699

Other liabilities                                                                             1,458                  --
                                                                                         ----------          ----------

TOTAL LIABILITIES                                                                            31,805              37,699
                                                                                         ----------          ----------

NET ASSETS AVAILABLE FOR BENEFITS                                                        $1,370,298          $1,442,812
                                                                                         ==========          ==========


* Individual investment securities which represent 5 percent or more of net
  assets available for benefits.



        The above statements should be read in conjunction with the
                accompanying Notes to Financial Statements.


                                    -2-





MONSANTO SAVINGS AND INVESTMENT PLAN


STATEMENT OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS
YEAR ENDED DECEMBER 31, 2002
(DOLLARS IN THOUSANDS)
-------------------------------------------------------------------------------------------------------------------------





                                                                                                                2002
                                                                                                           --------------
                                                                                                          
Contributions:
   Employer                                                                                                  $    5,517
   Employee                                                                                                      50,726
                                                                                                             ----------
                                                                                                                 56,243

Equity in Net Investment Loss of the Pharmacia Corporation and Monsanto Company
   Defined Contribution and Employee Stock Ownership Master Trust                                              (100,049)

Investment Income (Loss):
   Interest                                                                                                      14,184
   Dividends--Pharmacia Corporation                                                                               3,568
   Dividends--Monsanto Company                                                                                      949
   Dividends--other                                                                                               2,656
   Net change in fair value of investments:
     Common stock--Pharmacia Corporation                                                                        144,686
     Common stock--Monsanto Company                                                                             (34,947)
     Common stock--other                                                                                        (34,231)
     Mutual funds                                                                                               (13,401)
     Debt securities                                                                                             (1,250)

Interest income on loans to participants                                                                            500

Interest expense on ESOP debt                                                                                    (2,043)

Rollovers and transfers in/(out)--net
   Rollovers from other plans                                                                                     8,174
   Transfers out to other benefit plans                                                                          (1,898)

Administrative expenses                                                                                          (3,195)
Withdrawals                                                                                                    (112,460)
                                                                                                             ----------

NET DECREASE IN NET ASSETS AVAILABLE FOR BENEFITS                                                               (72,514)

NET ASSETS AVAILABLE FOR BENEFITS, BEGINNING OF YEAR                                                          1,442,812
                                                                                                             ----------

NET ASSETS AVAILABLE FOR BENEFITS, END OF YEAR                                                               $1,370,298
                                                                                                             ==========



        The above statements should be read in conjunction with the
                accompanying Notes to Financial Statements.



                                    -3-





MONSANTO SAVINGS AND INVESTMENT PLAN


NOTES TO FINANCIAL STATEMENTS
YEAR ENDED DECEMBER 31, 2002
------------------------------------------------------------------------------


1.  INFORMATION REGARDING THE PLAN

     GENERAL
     -------
     The following description of the Monsanto Savings and Investment Plan
     (the "Plan") provides only general information. Participants should
     refer to the Plan document for a more complete description of the
     Plan's provisions.

     The Plan was established as of June 11, 2001, as a successor to a
     portion of the Pharmacia Corporation Savings and Investment Plan
     ("Pharmacia Plan") for the benefit of certain employees and former
     employees ("Transferred Participants") of Monsanto Company ("Monsanto"
     or the "Company"). Effective July 1, 2001, the assets of the Pharmacia
     Plan that were allocated to the accounts of the Transferred
     Participants were transferred to the trust established under the Plan.
     Also effective July 1, 2001, a portion of the unallocated assets and
     liabilities (primarily debt) of the leveraged employee stock ownership
     plan ("ESOP") component of the Pharmacia Plan were transferred to the
     Plan.

     Effective July 1, 2001 through June 30, 2002, the assets of the trust
     established under the Plan were collectively invested with the assets
     of the Pharmacia Plan in the Pharmacia Corporation and Monsanto Company
     Defined Contribution and Employee Stock Ownership Master Trust ("Master
     Trust"). Effective as of July 1, 2002: (i) assets and liabilities from
     the Master Trust representing the Pharmacia Plan's interest and
     obligations in and under the Master Trust were transferred to the
     Pharmacia Savings Plan Master Trust and the Pharmacia Savings Plan ESOP
     Trust for Pharmacia Common Stock; and (ii) Monsanto and the trustee of
     the Plan entered into the Monsanto Company Defined Contribution and
     Employee Stock Ownership Master Trust Agreement which continued the
     trust established pursuant to the Plan and also continued a trust to
     hold assets under the Plan.

     ADMINISTRATION
     --------------
     Monsanto is the sponsor of the Plan. The Monsanto Employee Benefits
     Plans Committee is responsible for administering plan operations in
     accordance with the Employee Retirement Income Security Act of 1974
     ("ERISA") plan documents. The Monsanto Pension and Savings Funds
     Investment Committee is responsible for monitoring Plan investments.
     The trustee of the Plan is The Northern Trust Company.

     PARTICIPANT ACCOUNTS
     --------------------
     The Plan is a contributory defined contribution profit sharing plan
     with individual accounts for each participant. Employees who have
     attained age 18 are generally eligible to participate in the Plan as
     soon as administratively possible. The cost of Plan administration is
     borne partially by Plan participants and partially by Monsanto, as Plan
     sponsor.

     Each participant's account is credited with the participant's
     contributions, Company contributions, and Plan earnings/(losses).
     Participants' accounts are valued on a daily basis. The benefit to
     which a participant is entitled is the benefit that can be provided
     from the participant's vested account balance.

     CONTRIBUTIONS AND VESTING
     -------------------------
     The Plan provides for voluntary employee contributions generally
     ranging from 1 percent to 16 percent of an employee's eligible pay.
     (See note 9 for information regarding the increase in contribution
     limits subsequent to the fiscal year end.) Employees have an option to
     make before-tax contributions or after-tax contributions. Subject to
     Internal Revenue Service ("IRS") discrimination tests, contributions
     may be all before-tax, all after-tax, or a combination of both.
     Generally, employee contributions to the Plan may be invested in 1
     percent increments and allocated in any combination to the following
     investment fund types: a fixed income fund, a balanced fund consisting
     of both fixed income and equity securities, a growth and income equity
     fund, an international equity fund, a growth


                                    -4-




     equity fund, and a U.S. equity index fund. Prior to August 14, 2002,
     contributions could also be invested in the Pharmacia (Employee) Common
     Stock Fund, which invested in Pharmacia Corporation common stock.
     Beginning August 14, 2002, contributions could be invested in the
     Monsanto (Employee) Common Stock Fund, which invests in Monsanto common
     stock. See below for further discussion regarding the spinoff of
     Monsanto by Pharmacia and the conversion of shares of Pharmacia
     Corporation ("Pharmacia") common stock to shares of Monsanto common
     stock. In addition, the plan includes four asset allocation funds which
     allow participants varying degrees of risk and return, including (in
     order of risk tolerance - least to greatest), the Conservative
     Portfolio Fund, the Moderate Portfolio Fund, the Moderately Aggressive
     Portfolio Fund, and the Aggressive Portfolio Fund. Investments in the
     U.S. Equity Index Fund, the Balanced Fund, the Growth and Income Equity
     Fund, the Growth Equity Fund, the Fixed Income Fund and the
     International Equity Fund are used in predetermined mixes to form the
     asset allocation funds. As a result of the spinoff in 1997 of Solutia
     Inc., a former subsidiary of the former Monsanto Company, certain
     Transferred Participants' accounts received common stock of Solutia.
     This stock is maintained in the Solutia Non-Employer Stock Fund and no
     contributions, either employee or employer, subsequent to the spinoff
     can be made to this fund.

     On August 13, 2002, Pharmacia completed a spinoff of Monsanto by
     distributing its entire ownership interest via a tax-free dividend of
     shares of Monsanto common stock to Pharmacia's shareowners. The shares
     of Monsanto common stock received in respect of participant's accounts
     were deposited in the Monsanto Common Stock Fund. Shares of Pharmacia
     common stock then held in Participant's accounts were transferred to
     the Pharmacia Non-Employer Stock Fund and no contributions, either
     employee or employer, subsequent to the spinoff may be made to this
     fund. The Pharmacia common stock continued to be held in the Pharmacia
     Non-Employer Stock Fund until April 16, 2003, at which time they were
     exchanged for shares of common stock of Pfizer Inc. ("Pfizer") as a
     result of the acquisition of Pharmacia by Pfizer. This Pfizer stock is
     currently maintained in the Pfizer Non-Employer Stock Fund and no
     contributions, either employee or employer, can be made to this fund.
     This Pfizer Non-Employer Stock fund shall be discontinued effective
     December 30, 2005. (See note 9 for further details.)

     Effective for paychecks received after September 1, 2002, the Monsanto
     SIP was amended to allow eligible participants to make a before-tax
     catch-up contribution election. Participants may be eligible to make a
     catch-up contribution if they are at least age 50 on or before December
     31 of the calendar year and either currently contributing at least 7%
     of their eligible pay per pay period to SIP or had reached the IRS
     annual limit on before-tax contributions ($11,000 in 2002). For 2002,
     they could have elected a before-tax catch-up contribution of up to
     $1,000. The catch-up contributions are not eligible for Company
     matching contributions, and are subject to the same rules as other
     before-tax contributions. The annual catch-up contribution limit may
     increase in future years in accordance with limits prescribed by the
     IRS.

     The before-tax option allows participants to elect to make before-tax
     contributions from gross pay before most income taxes are deducted. The
     participants generally cannot withdraw before-tax contributions without
     income tax penalties until age 59 1/2, retirement, disability, death or
     termination of employment. After-tax contributions are made from
     participants' pay after income taxes are deducted. Withdrawal of
     after-tax employee contributions can be made with no penalty.
     Participants may change the amounts of their contributions and transfer
     their contributions among the investment options. Active participants
     who are fully vested may elect to have all or a part of the employer
     portion of their Monsanto (Employer) Common Stock Fund accounts sold
     and the proceeds invested in other investment funds (except the
     Non-employer Stock Funds).

     LEVERAGED ESOP
     --------------
     Employee contributions to the Plan, up to a maximum of 7 percent of
     eligible pay, generally are matched 60 percent by Monsanto. The Plan
     also has a discretionary match employer contribution feature. In
     December 2002, Monsanto made a discretionary performance contribution
     of an additional 22.5 percent on the first 10 percent of eligible pay.
     Company contributions and related earnings are invested solely in
     Monsanto common stock. In part, this is accomplished through an ESOP
     feature that was added to the Pharmacia Plan in October 1991 and has
     been subsequently retained. A portion of the unallocated assets and
     liabilities were transferred into the ESOP effective July 1, 2002.
     Generally, Company contributions vest and become non-forfeitable at the
     rate of 20 percent per year of service, such that Company contributions
     are 100 percent vested after five years of service. Upon completing
     five years of participation in the Plan, all Company matched amounts
     may also be withdrawn from the Plan. A participant who has less than
     five years of participation in the Plan or predecessor plan cannot
     withdraw Company matching


                                    -5-




     contributions received during the last 24 months or Company matching
     contributions that are not vested. Company contributions immediately
     vest upon a change of control of the Company.

     In 1991, the ESOP component of the Pharmacia Plan issued $100 million
     in amortizing notes and $100 million in amortizing debentures, both
     guaranteed by Pharmacia, and borrowed $50 million from Pharmacia. In
     January 1992, the proceeds from the borrowings were used to purchase
     approximately 18.5 million shares of common stock from Pharmacia at the
     average price of $13.40 per share. In 1996 and 1997, the ESOP component
     of the Pharmacia Plan borrowed an additional $3.7 million and $4.3
     million, respectively, from Pharmacia to make payments on existing ESOP
     borrowings.

     The Pharmacia Plan's ESOP debt was restructured effective as of July 1,
     2001, in connection with the establishment and transfer of assets and
     liabilities to the Plan. The Plan's ESOP component received a transfer
     from the Pharmacia Plan's ESOP of 3,029,255 unallocated shares of
     Pharmacia common stock. Immediately following the debt restructuring
     and transfer, the Plan's ESOP debt consisted of two promissory notes
     (the "Notes") to Monsanto, (i) one note payable in the principal amount
     of $2.2 million, bearing interest at the rate of 7.00 percent per
     annum, and having a maturity date of December 15, 2021 (the "7.00%
     Note"), and (ii) the other note payable in the principal amount of
     $40.6 million, bearing interest at the rate of 5.71 percent per annum,
     and providing for semi-annual amortization of principal and a final
     maturity date of December 15, 2006 (the "5.71% Note"). Following the
     spinoff of Monsanto from Pharmacia on August 13, 2002, the unallocated
     Pharmacia shares held by the Plan's ESOP component were gradually
     converted to shares of Monsanto common stock through open market
     transactions and through the exchange of Pharmacia stock for Monsanto
     stock with certain Pharmacia employee benefit plans at market rates.
     These Pharmacia shares are now fully converted. The unallocated shares
     of Pharmacia common stock, which were converted to Monsanto shares as
     described above, held by the Plan's ESOP component are released for
     allocation to participant accounts in accordance with the terms of the
     Plan as interest and principal on the Notes are paid. In 2002,
     approximately 1,448,000 equivalent shares of Monsanto stock were
     released for allocation to participant accounts. At December 31, 2002,
     approximately 5,300,000 shares of Monsanto stock remained unallocated
     with an approximate market value of $102 million.

     The Plan obtains funds to repay the ESOP borrowings primarily through
     Company contributions and dividends paid on Monsanto common stock
     purchased with ESOP borrowings. As of December 31, 2002, the 5.71% Note
     had an outstanding principal balance of $30,264 thousand and the 7.00%
     Note (due in 2021) had an outstanding principal balance of $83
     thousand. Interest on the Notes is payable semiannually on June 15 and
     December 15. In 2002, Employer contributions included $2 million in
     cash to meet the interest payments on the Notes. Scheduled maturities
     on the 5.71% Note are $7,222 in 2003, $7,916 in 2004, $7,760 in 2005,
     and $7,366 in 2006 (all in thousands).

     PARTICIPANT LOANS
     -----------------
     Most Plan participants can obtain loans from their accounts. A
     participant with a Plan account balance of over $2,000 may borrow up to
     the legal limit of 50 percent of the total vested account balance
     (including the value of the employer-contributed portion of the
     Monsanto Common Stock Fund account), but not more than $50,000 minus
     the excess of the participant's highest outstanding loan balance during
     the last 12 months or 100 percent of his or her employee account value.
     The minimum loan is $1,000, and the maximum number of outstanding loans
     at any one time is two.

2.  SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES

     The accompanying financial statements of the Plan have been prepared on
     the accrual basis of accounting.

     Certain prior-year amounts have been reclassified to conform with the
     current-year presentation.

     In accordance with the American Institute of Certified Public
     Accountants Audit and Accounting Guide, Audits of Employee Benefit
     Plans, benefits payable to persons who have withdrawn from
     participation in a defined contribution plan should be disclosed in
     the footnotes to the financial statements rather than be recorded as a
     liability of the plan. As of December 31, 2002, there were no such
     benefits payable.

                                    -6-




     The preparation of financial statements in conformity with accounting
     principles generally accepted in the United States of America requires
     management to make estimates and assumptions that affect the reported
     amounts of assets and liabilities, disclosure of contingent liabilities
     at the date of the financial statements and reported amounts of
     increases and decreases during the reporting period. Actual results
     could differ from those estimates.

     Fixed income fund investments in guaranteed investment contracts,
     issued by insurance companies, are valued at contract value plus
     accrued interest because these investments have fully
     benefit-responsive features. Investments other than guaranteed
     investment contracts are stated at fair values, which are generally
     determined by quoted market prices. The value of outstanding
     participant loans is determined based on the outstanding principal
     balance as of the last day of the period, which approximates fair
     value.

     Purchases and sales of securities are recorded on a trade-date basis.

     Dividend income is recorded on the ex-dividend date. Realized gains and
     losses from security transactions are reported on the average cost
     method. The Plan presents in the statement of changes in net assets
     available for benefits, the net appreciation (depreciation) in the fair
     value of its investments which consists of the realized gains and
     losses and the unrealized appreciation (depreciation) on these
     investments.

     The Plan pays certain outside service provider expenses (e.g.
     recordkeeping and trustee fees) incurred in the operation of the Plan.
     Investment manager fees are paid by the Plan and are included in
     Administrative Expenses. Certain other expenses are paid by Monsanto.

     The Plan provides for various investment options in any combination of
     stocks, mutual funds, common/collective trusts, and other investment
     securities. Investment securities are exposed to various risks, such as
     interest rate, market and credit risk. Due to the level of risk
     associated with certain investment securities and the level of
     uncertainty related to changes in the value of investment securities,
     it is possible that changes in risks in the near term would materially
     affect participants' account balances and the amounts reported in the
     statement of net assets available for benefits and the statement of
     changes in net assets available for benefits.

3.  INFORMATION REGARDING THE MASTER TRUST

     From the Plan's inception through July 1, 2002, the assets of the Plan
     were collectively invested with the assets of the Pharmacia Corporation
     Savings and Investment Plan in the Master Trust. Within the Master
     Trust, each participating plan was entitled to an interest in the
     Master Trust's net assets and net earnings. As of June 30, 2002, the
     Plan's proportionate interests in the total net assets of the Master
     Trust was approximately 51 percent. As discussed in note 1, effective
     July 1, 2002, all assets and liabilities representing the Pharmacia
     Plan's interest and obligations in and under the Master Trust were
     transferred to a new Pharmacia plan. A trust continues to hold the
     assets under the Plan.

     The financial statements of the Master Trust were prepared on the
     accrual basis of accounting. Fixed income fund investments in
     guaranteed investment contracts, issued by insurance companies, were
     valued at contract value plus accrued interest. Investments other than
     guaranteed investment contracts are stated at fair values, which are
     generally determined by quoted market prices. Purchases and sales of
     securities were recorded on a trade-date basis. Realized gains and
     losses from security transactions are reported on the average cost
     method, net of applicable fees and commissions.

     The following investment information regarding the Master Trust has
     been certified by The Northern Trust Company, the trustee of the Master
     Trust, as being complete and accurate.

                                    -7-






                                                            (DOLLARS IN THOUSANDS)
                                                        PERIOD FROM JANUARY 1, 2002 TO
                                                                 JULY 1, 2002
                                                               
     INVESTMENT INCOME (LOSS):

       Interest                                                   $  29,019
       Dividends--Pharmacia Corporation                               6,535
       Dividends--other                                               5,765
       Net change in fair value of investments:
          Common stock--Pharmacia Corporation                      (106,568)
          Common stock--other                                       (98,589)
          Mutual funds                                              (30,835)
          Debt securities                                             1,818
                                                                  ---------
                Total net investment loss                         $(192,855)
                                                                  =========


     Fair values and related unrealized gains and losses are estimated using
     appropriate valuation techniques based on information available as of
     July 1, 2002. The fair value estimates are not necessarily indicative
     of values the Master Trust could have realized in the current market.

     For information regarding guaranteed investment contracts and
     nonparticipant-directed investments held by the Master Trust, see notes
     4 and 5 to these financial statements, respectively.

4.  GUARANTEED INVESTMENT CONTRACTS

     The Fixed Income Fund invests in synthetic guaranteed investment
     contracts. Synthetic guaranteed investment contracts are comprised of
     two components: an underlying portfolio of fixed income securities and
     a benefit responsive contract. Benefit responsive contracts are issued
     by financial services companies to allow participants' account balances
     to reflect the contract value of the underlying fixed income
     investments (principal plus interest) rather than the market value of
     those investments. Upon proper notification to the financial service
     provider, the benefit responsive agreement may be terminated. As of
     June 1, 2002, the four individual benefit responsive contracts that
     were in place on December 31, 2001 were terminated. A new, single
     uniform contract (the "Global Wrap Benefit Responsive Contract") was
     entered into with Commonwealth General Corporation, J.P. Morgan Chase
     Bank and State Street Bank. No gain or loss was realized as a result of
     the termination of the original four contracts.

     The following summarizes the contract value of the synthetic guaranteed
     investment contracts as of December 31, 2002 and 2001.



                                    -8-







                                                         (DOLLARS IN THOUSANDS)
     GUARANTEED INVESTMENT CONTRACT                       DECEMBER 31, 2002(1)

                                                            
     Commonwealth General Corporation                          $176,524
     J.P. Morgan Chase Bank                                     132,393
     State Street Bank                                          132,393
                                                               --------
         Total                                                 $441,310
                                                               ========


     GUARANTEED INVESTMENT CONTRACT                       DECEMBER 31, 2001(2)

                                                            
     AIG Financial Products Group                              $199,946
     Pacific Mutual Group Annuity                               200,233
     J.P. Morgan Chase Bank                                     199,130
     AEGON # ADA00233TR                                         199,485
                                                               --------
    Total                                                      $798,794
                                                               ========

(1) December 31, 2002 balances represent the holdings of the Plan only.
(2) December 31, 2001 balances represent the holdings of the Master Trust.
    See note 1 for further details.


     The rate of return for the synthetic guaranteed investment contracts
     generally fluctuates with the return on the underlying assets. The
     six-month average yields for such contracts, net of all applicable
     administrative and investment fees, for the periods from January 1,
     2002 to June 30, 2002 and July 1, 2002 to December 31, 2002 were 2.90
     percent and 2.87 percent, respectively. The six-month average yield for
     such contracts for the period from July 1, 2001 to December 31, 2001
     was 3.20 percent. Participant accounts are credited with an interest
     rate which is determined quarterly by the issuers of the benefit
     responsive contracts based on the investments in the underlying fixed
     income portfolio. The annual interest rates as of December 31, 2002 and
     2001 were 6.41 percent and 6.87 percent, respectively.

     The Plan values these synthetic guaranteed investment contracts at
     contract value plus accrued interest. The total estimated fair value of
     the synthetic guaranteed investment contracts was $468 million and $824
     million as of December 31, 2002 and 2001, respectively.

     The above-mentioned synthetic guaranteed investment contracts,
     Pharmacia common stock and Monsanto common stock represent the only
     investments of the Plan which are individually greater than five
     percent of the Plan's ending assets.

5.  NONPARTICIPANT-DIRECTED INVESTMENTS

     Except as noted below, all other funds in the Plan are participant
     directed. The Plan's ESOP debt, and related principal and interest
     payments are also nonparticipant-directed. Information about the net
     assets and the significant components of the changes in net assets
     relating to the nonparticipant-directed investment amounts in the Plan
     (as of December 31, 2002 and for the period July 1, 2002 to December
     31, 2002) and in the Master Trust (as of December 31, 2001 and for the
     period January 1, 2002 to June 30, 2002) is outlined in the table
     below. For periods prior to July 1, 2002, activity and balances
     represent the activity and holdings of the Master Trust. The changes in
     net assets for the period July 1, 2002 to December 31, 2002 includes
     the results of the Pharmacia Common Stock Fund. As described in note 1
     to these financial statements and footnote 3 to the table below, this
     fund is now participant directed.

                                    -9-






                                                                                   (DOLLARS IN THOUSANDS)
                                                               -----------------------------------------------------------
NET ASSETS:                                                     AS OF DECEMBER 31, 2002(1)     AS OF DECEMBER 31, 2001(2)

                                                                                                 
  Cash and temporary investments                                         $  1,333                      $     14
  Common stock--Pharmacia Corporation (3)                                      --                       830,595
  Common stock--Monsanto Company                                          144,286                            --
                                                                         --------                      --------
       Total Assets                                                       145,619                       830,609

  Accrued Expenses                                                             --                           113
  ESOP Debt                                                                30,347                        69,316
                                                                         --------                      --------
       Total Liabilities                                                   30,347                        69,429
                                                                         --------                      --------
              Net Assets                                                 $115,272                      $761,180
                                                                         ========                      ========



                                                                                 (DOLLARS IN THOUSANDS)
                                                               ----------------------------------------------------------
                                                                PERIOD FROM JANUARY 1, 2002  PERIOD FROM JULY 1, 2002 TO
  CHANGES IN NET ASSETS:                                            TO JUNE 30, 2002(2)          DECEMBER 31, 2002(1)

                                                                                                 
     Contributions                                                      $   4,790                      $  2,668
     Interest                                                                 103                            21
     Dividends                                                              6,535                         4,318
     Net appreciation/(depreciation)                                      (94,548)                       97,276
     Benefit payments                                                     (27,950)                      (15,938)
     Net asset transfers into new Pharmacia plan                         (251,628)                           --
     Net asset transfers into Plan                                       (383,520)                           --
     Other transfers and other disbursements                              (14,962)                       24,909
                                                                        ---------                      --------
           Changes in Net Assets                                        $(761,180)                     $113,254
                                                                        =========                      ========


   (1) Activity and balances represent the activity and holdings of the Plan
       only.

   (2) Activity and balances represent activity and holdings of the Master
       Trust. See note 1 for further details.

   (3) Participant directed as of December 31, 2002. Fund was formerly
       nonparticipant directed, but became participant directed in August 2002
       as a result of Pharmacia's spinoff of its remaining interest in
       Monsanto. See note 1 for further details.


6.  INFORMATION REGARDING TAX STATUS

     On August 26, 2002, Monsanto applied for a determination letter from
     the IRS indicating that the Plan is qualified for federal income tax
     purposes. That application is pending review by the IRS. Monsanto
     believes that the plan is structured and being operated in compliance
     with section 401(a) of the Internal Revenue Code and expects to receive
     a favorable determination letter.

7.  PRIORITIES UPON TERMINATION OF THE PLAN

     If the Plan is terminated, all participants' account balances will be
     fully vested and all participants would then be entitled to a full
     distribution of their account balances as more fully described and set
     forth in the Plan document.

8.  PARTY-IN-INTEREST INVESTMENTS AND TRANSACTIONS

     There were no nonexempt prohibited transactions with parties in
     interest during the period from January 1, 2002 to December 31, 2002.



                                    -10-




9.  SUBSEQUENT EVENTS

     Effective January 1, 2003, Monsanto increased the percentage of
     eligible pay employees may contribute to the Plan from 16 percent to
     25 percent.

     Effective as of April 16, 2003, Pharmacia was acquired by Pfizer Inc.
     ("Pfizer"). As a result of this acquisition, all of the shares of
     common stock of Pharmacia held in the Pharmacia Non-Employer Stock Fund
     were exchanged for shares of common stock of Pfizer, and the Pharmacia
     Non-Employer Stock Fund was replaced by the Pfizer Non-Employer Stock
     Fund. Until December 30, 2005, Plan participants may continue holding
     portions of their accounts in the Pfizer Non-Employer Stock Fund or may
     reallocate all or any part of such holdings to the Monsanto (Employee)
     Stock Fund or the other investment funds (excluding the Monsanto
     (Employer) and Solutia Stock Funds) and/or pre-mixed portfolios offered
     under the Plan. The Pfizer Non-Employer Stock Fund shall be
     discontinued effective as of the close of business on December 30,
     2005. Any amounts remaining invested in the Pfizer Non-Employer Stock
     Fund as of the close of business on December 30, 2005 will
     automatically be transferred to the Plan default investment choice,
     which is currently the Moderate Portfolio.


                                    *****



                                    -11-




MONSANTO SAVINGS AND INVESTMENT PLAN
SUPPLEMENTAL SCHEDULE 1
------------------------------------------------------------------------------


                      ASSETS HELD FOR INVESTMENT AS OF

                              DECEMBER 31, 2002







                                    -12-




MONSANTO SAVINGS AND INVESTMENT PLAN


ASSETS HELD FOR INVESTMENT AS OF DECEMBER 31, 2002
------------------------------------------------------------------------------------------------------------------------

Security Description / Asset ID                               Shares/Par Value         Historical Cost     Current Value
------------------------------------------------------------------------------------------------------------------------
                                                                                                
Non-Interest Bearing Cash - USD
------------------------------------------------------------------------------------------------------------------------
USD - United States dollar                                         -62,065.630             -62,065.630       -62,065.630
------------------------------------------------------------------------------------------------------------------------
TOTAL - ALL CURRENCIES                                                                      -62,065.63        -62,065.63
------------------------------------------------------------------------------------------------------------------------
TOTAL NON-INTEREST BEARING CASH - USD                                                       -62,065.63        -62,065.63

Receivable Income - USD
------------------------------------------------------------------------------------------------------------------------
UNITED STATES - USD

INCOME FROM SECURITIES LENDING ACTIVITIES                                7,000                   0.000             0.000
------------------------------------------------------------------------------------------------------------------------
TOTAL UNITED STATES - USD                                                                         0.00              0.00
------------------------------------------------------------------------------------------------------------------------
TOTAL RECEIVABLE INCOME - USD                                                                     0.00              0.00

Receivables - Other - USD
------------------------------------------------------------------------------------------------------------------------

Pending trade sales: United States dollar                                0.000             488,722.280       488,722.280
------------------------------------------------------------------------------------------------------------------------
TOTAL - ALL CURRENCIES                                                                      488,722.28        488,722.28
------------------------------------------------------------------------------------------------------------------------
TOTAL RECEIVABLES - OTHER - USD                                                             488,722.28        488,722.28

U.S. Government Securities
------------------------------------------------------------------------------------------------------------------------
UNITED STATES - USD

FHLMC GOLD E00228 6.5 07-01-2008                                   326,423.860             319,895.390       346,811.640
FHLMC GOLD E78398 6.5 07-01-2014                                 1,334,159.020           1,364,907.220     1,413,829.660
FHLMC GOLD GROUP E00400 7.5 10-01-2010                             106,279.340             108,222.260       113,397.080
FHLMC GOLD G10449 7 02-01-2011                                     491,803.230             503,521.980       524,144.700
FHLMC GOLD G11206 6 01-01-2015                                     702,143.690             722,549.750       738,073.790
FHLMC GROUP #E00379 7.5 MTG PARTN CTF DUE 06-01-2010 REG            96,587.870              98,353.610       103,056.550
FHLMC GROUP #E00386 7.5 MTG PARTN CTF DUE 08-01-2010 REG           115,549.070             117,661.450       123,287.620
FHLMC GROUP #E20179 7.5 MTG PARTN CTF DUE 06-01-2010 REG            23,738.680              24,172.640        25,328.510
FHLMC MULTICLASS SER T-41 CL 2A 7 07-25-2032                     1,135,435.280           1,179,433.400     1,275,804.600
FNMA POOL # 190791 6 DUE 02-01-2009 REG                            424,231.230             426,418.670       448,890.940



THE NORTHERN TRUST COMPANY                      Generated by The Northern Trust Company from periodic data on 25 Feb 03


                                     -13-





MONSANTO SAVINGS AND INVESTMENT PLAN


ASSETS HELD FOR INVESTMENT AS OF DECEMBER 31, 2002
------------------------------------------------------------------------------------------------------------------------

Security Description / Asset ID                               Shares/Par Value         Historical Cost     Current Value
------------------------------------------------------------------------------------------------------------------------
                                                                                                
U.S. Government Securities
------------------------------------------------------------------------------------------------------------------------
UNITED STATES - USD

FNMA POOL # 224484 7.5 DUE 06-01-2011 REG                          387,307.620             401,152.430       411,268.020
FNMA POOL # 313224 7 DUE 12-01-2011 REG                            484,986.700             499,990.970       517,104.940
FNMA POOL # 313543 6.983 DUE 06-01-2007 REG                        265,030.870             266,780.490       295,080.070
FNMA POOL # 323165 6 DUE 06-01-2013 REG                             90,201.540              94,218.330        94,779.360
FNMA POOL # 383308 6.26 DUE 03-01-2011 REG                         162,136.970             162,514.530       182,152.900
FNMA POOL # 535755 6.507 DUE 03-01-2011 REG                        801,787.500             827,845.600       900,257.030
FNMA POOL # 545962 5.5 DUE 12-01-2013 REG                        1,793,503.560           1,858,938.420     1,875,125.910
FNMA POOL #50927 6.5 GTD MTG PASS THRU CTF DUE 11-01-2008          279,290.900             279,706.850       296,016.240
FNMA POOL #50973 6.0 GTD MTG PASS THRU CTF DUE 01-01-2009          539,783.200             533,674.990       571,159.720
FNMA PREASSIGN 00619 7 06-25-2042                                  416,903.910             439,117.070       454,329.790
FNMA PREASSIGN 00837 7.5 04-25-2029                                484,637.510             497,209.470       502,149.890
FNMA 2001-T10 CL A1 PASS THRU 7 12-25-2031                         515,378.710             537,717.100       552,743.670
SMALL BUS ADMIN GTD DEV PARTN CTF DEB SER 1997-20 I 6.9/           214,316.590             218,890.100       241,622.240
SMALL BUSINESS ADMIN GTD DEV PARTN CTF DEB SER 1997-20 F           184,783.510             191,603.420       210,165.370
SMALL BUSINESS ADMIN GTD DEV PARTN CTF 6.1 DUE 07-01-2018          353,583.710             353,583.710       388,522.080
U.S. TREAS 5.875 NT DUE 11-15-2005                                 520,000.000             550,387.500       576,631.120
US TREAS NTS BD INFLATION INDEXED TIPS 3 DUE 07-15-2012 R          480,000.000             476,222.370       513,925.410
US TREAS NTS DTD 02/15/1995 7.5 DUE 02-15-2005 REG                 590,000.000             644,950.840       661,583.520
US TREAS NTS DTD 08/16/1993 5.75 DUE 08-15-2003 REG                580,000.000             596,312.500       596,199.400
US TREAS NTS 5.875 DUE 11-15-2004 BEO                              475,000.000             511,218.750       513,018.530
US TREAS NTS 6.25 15/2/2003 USD1000 6.25 DUE 02-15-2003 REG      1,600,000.000           1,623,250.000     1,609,500.800
US TREAS 7 NT DUE 07-15-2006 REG                                   220,000.000             244,750.000       255,071.080
VENDE MTG TR SER 2001-CL 2B 7 DUE 12-15-2022 REG                   818,404.160             830,168.630       836,023.580
------------------------------------------------------------------------------------------------------------------------
TOTAL UNITED STATES - USD                                                                17,505,340.44     18,167,085.76
------------------------------------------------------------------------------------------------------------------------
TOTAL U.S. GOVERNMENT SECURITIES                                                         17,505,340.44     18,167,085.76


THE NORTHERN TRUST COMPANY                      Generated by The Northern Trust Company from periodic data on 25 Feb 03


                                     -14-




MONSANTO SAVINGS AND INVESTMENT PLAN


ASSETS HELD FOR INVESTMENT AS OF DECEMBER 31, 2002
------------------------------------------------------------------------------------------------------------------------

Security Description / Asset ID                               Shares/Par Value         Historical Cost     Current Value
------------------------------------------------------------------------------------------------------------------------
                                                                                                
Corporate Debt Instruments - Preferred
------------------------------------------------------------------------------------------------------------------------
UNITED STATES - USD

BANKAMERICA CAP II SER 2 8 BD DUE 12-15-2026/06 BEO                340,000.000             358,846.200       384,018.100
BURL NORTHN SANTA FE RY CO PASS THRU TR SER 2000-1 8.251 D         369,803.550             369,803.550       466,115.190
CIT GROUP HOLDINGS 7.375 DUE 04-02-2007 BEO                        200,000.000             207,050.000       218,041.800
CIT GROUP INC NEW SR NT 5.75 DUE 09-25-2007                        350,000.000             349,804.770       362,556.950
CITICORP CAP I 7.933 DUE 02-15-2027/12-19-1                        300,000.000             313,161.000       334,679.100
CMO AMERN AIRLS PASS THRU TR PASSTHRU CTF 2001-2 CL A-2            760,000.000             772,477.000       737,244.840
DEERE & CO GLOBAL NT 6.95 DUE 04-25-2014 BEO                       220,000.000             219,782.200       259,184.640
DEERE JOHN CAP CORP NT DTD 03/22/2002 7 DUE 03-15-2012 BEO          75,000.000              74,613.890        86,956.950
HEWLETT PACKARD CO GLOBAL NT 5.5 DUE 07-01-2007/06-30-2            400,000.000             399,200.000       428,996.000
MAY DEPT STORES CO 7.875 DEB DUE 08-15-2036/16                     520,000.000             559,239.200       575,217.240
MAY DEPT STORES CO 8.5 DUE 06-01-2019 BEO                          185,000.000             192,031.850       221,687.910
UN PAC RR CO PASS THRU TR PASS THRU CTF SER 1999-A 7.6 DUE         876,061.670             876,061.670     1,058,186.130
------------------------------------------------------------------------------------------------------------------------
TOTAL UNITED STATES - USD                                                                 4,692,071.33      5,132,884.85
------------------------------------------------------------------------------------------------------------------------
TOTAL CORPORATE DEBT INSTRUMENTS - PREFERRED                                              4,692,071.33      5,132,884.85

Corporate Debt Instruments - Other
------------------------------------------------------------------------------------------------------------------------
UNITED STATES - USD

AMERN HOME PRODS CORP NT 6.7 DUE 03-15-2011 BEO                    370,000.000             369,352.500       412,346.500
AOL TIME WARNER INC DEB DTD 04/08/2002 7.7 DUE 05-01-2032          500,000.000             506,486.000       520,366.500
AT&T CORP USD SR NT 7.8 DUE 11-15-2011/11-14-2                     450,000.000             423,862.110       491,852.700
AT&T CORP USD SR NT 8.5 DUE 11-15-2031/11-14-2                     520,000.000             433,987.500       573,161.160
BK 1 CAP III 8.75 BDS 01/09/30 USD 8.75 DUE 09-01-2030/08-         260,000.000             259,259.000       327,122.640
CIGNA CORP SR NT 7 DUE 01-15-2011/01-14-2                          315,000.000             313,651.800       326,152.890
DILLARD DEPT STORES INC 7.75 DEB DUE 05-15-2027 BEO                370,000.000             265,223.400       331,150.000
DISNEY WALT CO 7.55 DUE 07-15-2093/07-15-2                         370,000.000             395,163.700       405,745.700
EASTMAN CHEM CO SR NT DTD 04/03/2002 7 DUE 04-15-2012 BEO          300,000.000             297,522.000       338,598.900
EOP OPER LTD PARTNERSHIP NT 8.375 DUE 03-15-2006 BEO               480,000.000             488,270.770       539,539.200
FORD MTR CR CO FORD MTR CR CO 7.25 DUE 10-25-2011 BEO              795,000.000             790,904.460       772,482.420
GEN MTR ACCEPT CORP 8.875 BD DUE 6-1-2010 REG (OPT)                740,000.000             876,655.800       817,850.960
HLTH NET INC SR NT 8.375 DUE 04-15-2011 BEO                        335,000.000             333,807.400       386,250.980



THE NORTHERN TRUST COMPANY                      Generated by The Northern Trust Company from periodic data on 25 Feb 03

                                     -15-





MONSANTO SAVINGS AND INVESTMENT PLAN


ASSETS HELD FOR INVESTMENT AS OF DECEMBER 31, 2002
------------------------------------------------------------------------------------------------------------------------

Security Description / Asset ID                               Shares/Par Value         Historical Cost     Current Value
------------------------------------------------------------------------------------------------------------------------
                                                                                                
Corporate Debt Instruments - Other
------------------------------------------------------------------------------------------------------------------------
UNITED STATES - USD

LOCKHEED MARTIN CORP 7.65 CO GUARNT DUE 05-01-2016                 295,000.000             316,328.500       364,451.850
PG&E NATL ENERGY GROUP INC SR NT 10.375 DUE 05-16-2011/05-         415,000.000             410,364.050       157,700.000
PVTPL OVERSEAS PVT INV CRP U S GVT GTD SER 1996 503-D TR           493,333.090             493,333.090       537,397.600
RAYTHEON CO NT 8.3 DUE 03-01-2010 BEO                              260,000.000             284,427.000       309,047.180
RAYTHEON CO 6.75 DUE 08-15-2007 REG                                490,000.000             494,473.700       543,345.320
SAFECO CORP 6.875 DUE 07-15-2007 REG                               305,000.000             306,745.340       332,901.710
ST PAUL COS INC SR NT 8.125 DUE 04-15-2010/04-17-2                 275,000.000             296,881.750       318,888.080
TIME WARNER ENTMT CO L P SR SUB DEB 8.375 DUE 07-15-20             160,000.000             179,220.800       181,174.240
TIME WARNER ENTMT CO L P 8.375 DUE 03-15-2023 REG                  295,000.000             308,932.480       331,957.900
UNUMPROVIDENT CORP SR NT 7.625 DUE 03-01-2011 BEO                  400,000.000             402,002.330       399,468.800
------------------------------------------------------------------------------------------------------------------------
TOTAL UNITED STATES - USD                                                                 9,246,855.48      9,718,953.23
------------------------------------------------------------------------------------------------------------------------
TOTAL CORPORATE DEBT INSTRUMENTS - OTHER                                                  9,246,855.48      9,718,953.23

Corporate Stock - Preferred
------------------------------------------------------------------------------------------------------------------------
UNITED STATES - USD

ADR NEWS CORP LTD SPONSORED ADR REPSTG PFD LTD                      82,900.000           1,831,842.710     1,877,685.000
------------------------------------------------------------------------------------------------------------------------
TOTAL UNITED STATES - USD                                                                 1,831,842.71      1,877,685.00
------------------------------------------------------------------------------------------------------------------------
TOTAL CORPORATE STOCK - PREFERRED                                                         1,831,842.71      1,877,685.00

Corporate Stock - Common
------------------------------------------------------------------------------------------------------------------------
UNITED STATES - USD

REORG/PHILIP MORRIS NAME CHG TO ALTRIA GROUP INC                     4,000.000             214,523.930       162,120.000
A C MOORE ARTS & CRAFTS INC COM                                      1,600.000              23,851.360        20,336.000
AAIPHARMA INC COM                                                    2,500.000              40,874.220        35,050.000
AARON RENTS INC CL B                                                 3,500.000              74,860.920        76,580.000
ABBOTT LAB COM                                                      40,600.000           1,674,142.920     1,624,000.000
ABLE LAB INC COM NEW                                                 2,000.000              16,409.300        23,200.000
ACCENTURE LTD BERMUDA CLS A COM                                      3,600.000              51,244.770        64,764.000
ACE LTD ORD STK USD0.0416                                           28,100.000             947,776.260       824,454.000



THE NORTHERN TRUST COMPANY                      Generated by The Northern Trust Company from periodic data on 25 Feb 03

                                     -16-




MONSANTO SAVINGS AND INVESTMENT PLAN


ASSETS HELD FOR INVESTMENT AS OF DECEMBER 31, 2002
------------------------------------------------------------------------------------------------------------------------

Security Description / Asset ID                               Shares/Par Value         Historical Cost     Current Value
------------------------------------------------------------------------------------------------------------------------
                                                                                                
Corporate Stock - Common
------------------------------------------------------------------------------------------------------------------------
UNITED STATES - USD

ACTEL CORP COM                                                       1,100.000              18,392.180        17,842.000
ACTION PERFORMANCE COS INC COM                                         700.000              13,826.400        13,300.000
ADAPTEC INC COM                                                      7,000.000              45,982.760        39,550.000
ADR AKZO NOBEL N V SPONSORED ADR                                    33,700.000           1,354,326.830     1,074,693.000
ADR ASML HLDG ASML HLDG NV EUR0.02(NY REG)                          15,100.000             240,900.690       126,236.000
ADR BP P L C FORMERLY BP AMOCO P L C TO 05/ SPONSORED ADR            5,100.000             211,283.850       207,315.000
ADR BUSINESS OBJECTS S A SPONSORED ADR                               2,700.000              48,108.430        40,500.000
ADR FIAT S P A SPONSORED ADR REPSTG ORD NEW                         72,300.000             982,376.510       574,785.000
ADR MATSUSHITA ELEC INDL LTD ADR                                    76,000.000             956,372.380       729,600.000
ADR NOKIA CORP SPONSORED ADR                                       173,300.000           4,043,295.040     2,686,150.000
ADR RIO TINTO PLC                                                   13,500.000             760,228.570     1,073,655.000
ADR SAP AKTIENGESELLSCHAFT SPONSORED ADR                             1,300.000              25,936.350        25,350.000
ADR SONY CORP AMER DEPY RCPT FOR DOLLAR-VALIDATED C                 18,800.000             912,982.770       776,628.000
ADR STMICROELECTRONICS N V SHS-N Y REGISTRY                         10,900.000             235,412.130       212,659.000
ADR SYNGENTA AG SPONSORED ADR                                       28,000.000             328,651.420       322,560.000
ADR TAIWAN SEMICONDUCTOR MFG CO LTD ISINUS8740391003                16,900.000             149,630.760       119,145.000
ADR TEVA PHARMACEUTICAL INDS LTD ADR ISIN #US8816242098              5,000.000             180,125.250       193,050.000
ADR TOTAL FINA ELF S A SPONSORED ADR                                 7,000.000             465,429.760       500,500.000
ADR UNILEVER N V NY SHS NEW                                          9,500.000             496,857.110       586,245.000
ADR 6 CONTINENTS PLC SPONSORED ADR                                  69,400.000             655,090.030       555,200.000
ADVANCED MARKETING SVCS INC COM                                      1,600.000              22,705.710        23,520.000
ADVANCEPCS CL A COM                                                  2,500.000              62,333.120        55,525.000
AETNA INC                                                            1,100.000              43,313.270        45,232.000
AFFILIATED COMPUTER SVCS INC CL A COM                                1,450.000              55,122.820        76,342.500
AFFILIATED MANAGERS GROUP INC COM STK                                2,000.000             131,467.450       100,600.000
AGCO CORP COM                                                        3,050.000              65,589.950        67,405.000
AIR PROD & CHEM INC COM                                              5,200.000             220,527.500       222,300.000
ALCOA INC COM STK                                                   61,900.000           1,414,061.740     1,410,082.000
ALEXION PHARMACEUTICALS INC                                          1,200.000              14,576.950        16,944.000
ALLIANCE DATA SYS CORP COM                                           6,000.000              82,829.050       106,320.000
ALLIANCE GAMING CORP COM NEW NEW                                     4,410.000              64,131.820        75,102.300



THE NORTHERN TRUST COMPANY                      Generated by The Northern Trust Company from periodic data on 25 Feb 03

                                     -17-




MONSANTO SAVINGS AND INVESTMENT PLAN


ASSETS HELD FOR INVESTMENT AS OF DECEMBER 31, 2002
------------------------------------------------------------------------------------------------------------------------

Security Description / Asset ID                               Shares/Par Value         Historical Cost     Current Value
------------------------------------------------------------------------------------------------------------------------
                                                                                                
Corporate Stock - Common
------------------------------------------------------------------------------------------------------------------------
UNITED STATES - USD

ALLIANT TECHSYSTEMS INC COM                                          2,320.000             136,206.590       144,652.000
ALLSTATE CORP COM                                                    5,500.000             217,459.140       203,445.000
ALLTEL CORP COM ISIN #US0200391037                                   4,500.000             223,218.000       229,500.000
ALTERA CORP COM                                                     24,000.000             295,439.830       295,920.000
AMER ELEC PWR CO INC COM                                            22,900.000             797,780.370       625,857.000
AMER EXPRESS CO COM                                                 17,000.000             676,161.350       600,950.000
AMER SVC GROUP INC COM                                               3,060.000              32,976.680        51,714.000
AMERADA HESS CORP COM                                               19,900.000           1,187,206.840     1,095,495.000
AMERISOURCEBERGEN CORP COM                                           8,300.000             560,234.710       450,773.000
AMERN INTL GROUP INC COM                                            74,362.000           5,304,719.770     4,301,841.700
AMERN ITALIAN PASTA CO CL A                                          1,500.000              55,612.350        53,970.000
AMERN STD COS INC DEL COM                                              700.000              49,365.410        49,798.000
AMGEN INC COM                                                       67,800.000           3,382,665.470     3,277,452.000
AMSURG CORP COM                                                      1,000.000              27,972.960        20,430.000
AMYLIN PHARMACEUTICALS INC COM                                       3,500.000              32,791,530        56,490.000
ANADARKO PETRO CORP COM                                              1,800.000              88,679.210        86,220.000
ANHEUSER BUSCH COS INC COM                                          27,400.000           1,286,046.270     1,326,160.000
ANTHEM INC COM                                                       1,200.000              74,947.110        75,480.000
AOL TIME WARNER INC COM                                             55,300.000           1,551,591.250       724,430.000
APACHE CORP COM                                                      6,940.000             352,063.970       395,510.600
APPLEBEES INTL INC COM                                               3,000.000              69,012.060        69,573.000
APPLIED MATERIALS INC COM                                           47,300.000             787,626.700       616,319.000
ARAMARK CORP CL B                                                    2,600.000              57,745.410        61,100.000
ARCHER-DANIELS-MIDLAND CO COM                                       78,800.000           1,125,493.610       977,120.000
ASPEN TECH INC COM                                                   3,400.000               9,192.090         9,622.000
AT&T CORP COM NEW                                                   49,000.000           1,341,067.420     1,279,390.000
AT&T WIRELESS SVCS INC COM                                          65,800.000             285,940.200       371,770.000
ATHEROGENICS INC COM                                                 3,000.000              19,724.500        22,230.000
AUTO DATA PROCESSING INC COM                                        10,800.000             494,811.730       423,900.000
AUTODESK INC COM                                                     4,000.000              58,469.400        57,200.000
AUTOZONE INC COM                                                     3,200.000             252,557.280       226,080.000



THE NORTHERN TRUST COMPANY                      Generated by The Northern Trust Company from periodic data on 25 Feb 03

                                     -18-




MONSANTO SAVINGS AND INVESTMENT PLAN


ASSETS HELD FOR INVESTMENT AS OF DECEMBER 31, 2002
------------------------------------------------------------------------------------------------------------------------

Security Description / Asset ID                               Shares/Par Value         Historical Cost     Current Value
------------------------------------------------------------------------------------------------------------------------
                                                                                                
Corporate Stock - Common
------------------------------------------------------------------------------------------------------------------------
UNITED STATES - USD

AVAYA INC COM                                                      111,000.000             776,691.160       271,950.000
AVON PROD INC COM                                                   10,600.000             567,636.440       571,022.000
AXCAN PHARMA INC COM STK                                             5,230.000              62,953.510        61,557.100
BAKER HUGHES INC COM                                                27,700.000             699,020.130       891,663.000
BANK N.Y. CO INC COM                                                24,800.000             780,956.350       594,208.000
BANK ONE CORP COM                                                   65,300.000           2,241,921.060     2,386,715.000
BAUSCH & LOMB INC COM                                                6,800.000             270,044.680       244,800.000
BAXTER INTL INC COM                                                 22,000.000             866,121.080       616,000.000
BCE INC COM STK                                                     11,900.000             193,839.820       214,319.000
BEA SYS INC COM                                                      2,400.000              15,724.870        27,528.000
BEARINGPOINT INC COM                                                26,400.000             230,027.990       182,160.000
BECTON DICKINSON & CO COM                                           23,200.000             690,583.190       712,008.000
BED BATH BEYOND INC COM                                             25,800.000             814,507.480       890,874.000
BELLSOUTH CORP COM STK                                               8,900.000             339,016.350       230,243.000
BENIHANA INC CL A                                                    2,472.000              44,944.740        33,372.000
BISYS GROUP INC COM                                                  4,300.000              78,344.990        68,370.000
BJ SVCS CO COM                                                      15,300.000             471,880.250       494,343.000
BK AMER CORP COM                                                    11,411.000             659,562.020       793,863.270
BK OF OZARKS INC COM                                                 1,200.000              28,753.930        28,128.000
BLUE RHINO CORP COM                                                  1,800.000              23,090.100        31,302.000
BOEING CO COM                                                       15,500.000             509,865.750       511,345.000
BOISE CASCADE CORP COM                                              16,100.000             505,490.770       406,042.000
BRIGHT HORIZONS FAMILY SOLUTIONS INC COM                               900.000              23,069.660        25,308.000
BRISTOL MYERS SQUIBB CO COM                                         45,500.000           1,368,456.630     1,053,325.000
BROADCOM CORP CL A                                                   6,100.000             149,400.390        91,866.000
BROWN-FORMAN INC CL B NON-VTG COM                                    2,500.000             168,284.800       163,400.000
BSTN SCIENTIFIC CORP COM                                             4,800.000             188,419.810       204,096.000
BURL NORTHN SANTA FE CORP COM                                       17,400.000             435,722.060       452,574.000
BURL RES INC COM                                                     2,400.000              98,472.000       102,360.000
CAL DIVE INTL INC COM                                                2,500.000              47,084.020        58,750.000
CAP 1 FNCL COM                                                      26,600.000             917,871.270       790,552.000



THE NORTHERN TRUST COMPANY                      Generated by The Northern Trust Company from periodic data on 25 Feb 03

                                     -19-




MONSANTO SAVINGS AND INVESTMENT PLAN


ASSETS HELD FOR INVESTMENT AS OF DECEMBER 31, 2002
------------------------------------------------------------------------------------------------------------------------

Security Description / Asset ID                               Shares/Par Value         Historical Cost     Current Value
------------------------------------------------------------------------------------------------------------------------
                                                                                                
Corporate Stock - Common
------------------------------------------------------------------------------------------------------------------------
UNITED STATES - USD

CARDINAL HLTH INC                                                   22,390.000           1,552,158.760     1,325,264.100
CAREER ED CORP COM                                                   2,770.000             110,142.930       110,800.000
CAREMARK RX INC COM                                                 34,800.000             553,944.710       565,500.000
CARNIVAL CORP COM                                                   10,000.000             268,958.640       249,500.000
CATERPILLAR INC COM                                                 18,900.000             883,955.980       864,108.000
CELADON GROUP INC COM                                                3,000.000              34,108.000        35,307.000
CELESTICA INC SUB VTG SHS                                           30,000.000             525,833.070       423,000.000
CELL GENESYS INC COM                                                 2,500.000              31,798.460        27,877.500
CENDANT CORP COM STK                                                36,300.000             547,146.100       380,424.000
CEPHALON INC CON                                                       400.000              21,099.850        19,467.200
CERNER CORP COM                                                        900.000              33,619.630        28,134.000
CHAMPPS ENTMT INC DEL COM                                            3,700.000              39,104.990        35,187.000
CHARTER 1 FINCL INC COM                                             12,305.000             377,150.130       353,522.650
CHEESECAKE FACTORY INC COM                                           1,500.000              47,251.930        54,225.000
CHEVRONTEXACO CORP COM                                              33,400.000           2,700,449.610     2,220,432.000
CHUBB CORP COM                                                      18,300.000           1,218,748.210       955,260.000
CIMA LABS INC COM                                                    1,200.000              24,087.000        29,029.200
CISCO SYS INC COM                                                  219,700.000           4,896,111.390     2,878,070.000
CIT GROUP INC NEW COM                                               54,900.000           1,196,678.500     1,076,040.000
CITIGROUP INC COM                                                  127,433.000           4,617,487.700     4,484,367.270
CITY NATL CORP COM                                                   1,100.000              48,753.110        48,389.000
CLEAR CHANNEL COMMUNICATIONS INC COM                                 7,100.000             284,898.830       264,759.000
COACH INC COM                                                        1,200.000              30,387.120        39,504.000
COBIZ INC COM                                                        1,100.000              17,440.960        16,335.000
COCA COLA CO COM                                                    20,500.000           1,005,835.140       898,310.000
COCA COLA ENTERPRISES INC COM                                        8,400.000             187,568.160       182,448.000
COGNOS INC COM                                                       4,400.000             103,733.190       103,180.000
COLGATE-PALMOLIVE CO COM                                            17,600.000             935,308.870       922,768.000
COLUMBIA BKG SYS INC COM                                             2,925.000              38,475.340        36,884.250
COM KROLL INC DEL                                                    3,500.000              65,501.730        66,780.000
COMCAST CORP NEW CL A                                               93,257.000           2,394,057.780     2,198,067.490



THE NORTHERN TRUST COMPANY                      Generated by The Northern Trust Company from periodic data on 25 Feb 03

                                     -20-




MONSANTO SAVINGS AND INVESTMENT PLAN


ASSETS HELD FOR INVESTMENT AS OF DECEMBER 31, 2002
------------------------------------------------------------------------------------------------------------------------

Security Description / Asset ID                               Shares/Par Value         Historical Cost     Current Value
------------------------------------------------------------------------------------------------------------------------
                                                                                                
Corporate Stock - Common
------------------------------------------------------------------------------------------------------------------------
UNITED STATES - USD

COMCAST CORP NEW CL A SPL                                           83,000.000           2,241,407.470     1,874,970.000
COMERICA INC COM                                                    13,000.000             609,262.020       562,120.000
COML CAP BANCORP INC COM                                             2,300.000              18,400.000        20,401.000
COMPUDYNE CORP COM STK PAR $0.75                                     2,570.000              39,738.380        16,165.300
COMPUTER NETWORK TECH CORP COM                                       3,300.000              23,928.070        23,430.000
COMPUTER SCI CORP COM                                               21,500.000             747,977.460       740,675.000
COMPUWARE CORP COM                                                  95,000.000             718,548.300       456,000.000
COMSTOCK RES INC COM NEW                                             4,370.000              32,776.180        40,597.300
CONCEPTUS INC COM                                                      800.000              13,540.570         9,584.000
CONCORD EFS INC COM                                                  1,900.000              36,979.630        29,906.000
CONOCOPHILLIPS COM                                                  47,900.000           2,543,677.940     2,317,881.000
COOPER COS INC COM NEW                                               1,800.000              51,213.890        45,036.000
CORNING INC COM                                                    261,800.000             425,614.240       866,558.000
COST PLUS INC CAL COM                                                1,750.000              46,176.580        50,172,500
COSTCO WHSL CORP NEW COM                                             9,900.000             379,226.380       277,794.000
COX RADIO INC CL A                                                   2,300.000              64,373.700        52,463.000
CUMULUS MEDIA INC CL A DEL                                           4,500.000              79,753.790        66,915.000
CVS CORP COM STK                                                    11,700.000             313,495.810       292,149.000
CYMER INC COM                                                        1,000.000              27,018.570        32,250.000
DANAHER CORP COM                                                    12,100.000             751,364.420       794,970.000
DARDEN RESTAURANTS INC COM                                          11,200.000             237,811.280       229,040.000
DEAN FOODS CO NEW COM                                                1,900.000              68,896.830        70,490.000
DEL MONTE FOODS CO COM                                                   0.120                   1.130             0.920
DELL COMPUTER CORP COM                                             106,000.000           2,805,894.240     2,834,440.000
DELPHI CORP COM                                                    139,600.000           1,533,684.620     1,123,780.000
DENDRITE INTL INC COM                                                3,200.000              17,602.840        23,904.000
DIAL CORP NEW COM                                                    5,330.000              96,134.370       108,572.100
DIGITAL INSIGHT CORP COM STK                                         2,000.000              24,380.470        17,380.000
DILLARDS INC CL A COM                                               14,400.000             546,300.000       228,384.000
DIME CMNTY BANCORP INC COM                                           2,770.000              61,856.010        53,045.500
DOLLAR TREE STORES INC COM                                           2,100.000              60,355.320        51,597.000



THE NORTHERN TRUST COMPANY                      Generated by The Northern Trust Company from periodic data on 25 Feb 03

                                     -21-




MONSANTO SAVINGS AND INVESTMENT PLAN


ASSETS HELD FOR INVESTMENT AS OF DECEMBER 31, 2002
------------------------------------------------------------------------------------------------------------------------

Security Description / Asset ID                               Shares/Par Value         Historical Cost     Current Value
------------------------------------------------------------------------------------------------------------------------
                                                                                                
Corporate Stock - Common
------------------------------------------------------------------------------------------------------------------------
UNITED STATES - USD

DOMINION HOMES INC COM                                                 800.000              17,011.920        11,400.000
DOMINION RES INC VA NEW COM                                          4,100.000             209,198.280       225,090.000
DONNELLEY R R & SONS CO COM                                         33,000.000           1,024,347.720       718,410.000
DOW CHEM CO COM                                                    111,054.000           3,330,724.000     3,298,303.800
DREXLER TECH CORP COM                                                2,500.000              34,158.500        31,500.000
DRS TECHNOLOGIES INC COM                                             2,250.000              67,887.530        70,492.500
E W BANCORP INC COM                                                  1,650.000              57,150.270        59,532.000
EASTMAN CHEM CO COM                                                 11,600.000             604,023.340       426,532.000
EASTMAN KODAK CO COM                                                45,600.000           1,599,224.440     1,597,824.000
EATON CORP COM                                                       3,500.000             284,199.290       273,385.000
EDO CORP COM                                                         4,720.000              94,839.850        98,081.600
ELECTR ARTS COM                                                        600.000              28,687.170        29,862.000
ELECTR DATA SYS CORP NEW COM                                         3,500.000              47,951.250        64,505.000
ELIZABETH ARDEN INC COM                                              2,000.000              23,223.140        29,600.000
EMBREX INC COM                                                       2,500.000              29,747.270        27,820.000
EMCOR GROUP INC COM                                                    900.000              49,564.770        47,709.000
EMERSON ELEC CO COM                                                  4,700.000             253,715.800       238,995.000
EMS TECHNOLOGIES INC COM                                             1,000.000              18,067.960        15,611.000
EMULEX CORP COM NEW                                                  1,700.000              27,880.550        31,535.000
ENGELHARD CORP COM                                                  21,000.000             362,891.060       469,350.000
ENTERCOM COMMUNICATIONS CORP CL A                                    2,600.000             125,386.770       121,992.000
ENZON PHARMACEUTICALS INC COM                                        3,000.000              51,115.200        50,160.000
EOG RESOURCES INC COM                                                1,700.000              61,040.150        67,864.000
EUNIVERSE INC COM                                                    4,200.000              17,953.850        23,856.000
EVERGREEN RES INC COM NO PAR                                         1,200.000              47,931.120        53,820.000
EXELON CORP COM                                                     14,900.000             693,692.850       786,273.000
EXXON MOBIL CORP COM                                                17,916.000             678,533.340       625,985.040
F P L GROUP INC COM                                                  3,800.000             231,617.360       228,494.000
FAIRCHILD SEMICONDUCTOR INTL INC CL A                                3,500.000              48,809.350        37,485.000
FAIRMONT HOTELS RESORTS INC COM                                      2,200.000              58,912.440        51,810.000
FDRY NETWORKS INC COM                                                3,500.000              25,824.720        24,640.000


THE NORTHERN TRUST COMPANY                      Generated by The Northern Trust Company from periodic data on 25 Feb 03

                                     -22-




MONSANTO SAVINGS AND INVESTMENT PLAN

ASSETS HELD FOR INVESTMENT AS OF DECEMBER 31, 2002
------------------------------------------------------------------------------------------------------------------------

Security Description / Asset ID                               Shares/Par Value         Historical Cost     Current Value
------------------------------------------------------------------------------------------------------------------------
                                                                                               
Corporate Stock - Common
------------------------------------------------------------------------------------------------------------------------
UNITED STATES - USD

FEDEX CORP COM                                                      31,200.000           1,154,378.130     1,691,664.000
FHLMC COM                                                           38,500.000           2,315,958.110     2,273,425.000
FID NATL INFORMATION SOLUTIONS INC COM                               3,300.000              36,464.720        56,925.000
FIRST DATA CORP COM                                                 36,500.000           1,241,920.440     1,292,465.000
FIRSTENERGY CORP COM                                                 7,700.000             262,189.490       253,869.000
FISERV INC COM                                                       1,800.000              60,614.900        61,110.000
FLEETBOSTON FINL CORP COM STK                                       59,800.000           1,848,007.750     1,453,140.000
FLUOR CORP NEW COM                                                  22,900.000             687,312.640       641,200.000
FMC TECHNOLOGIES INC COM                                             1,750.000              34,835.500        35,752.500
FNMA COM STK                                                        36,500.000           2,690,009.790     2,348,045.000
FORD MTR CO DEL COM PAR $0.01                                       24,033.000             354,149.750       223,506.900
FOREST LAB INC COM                                                   4,300.000             322,223.530       422,346.000
FREDS INC CL A                                                       3,000.000              76,221.650        77,100.000
FRKLN RES INC COM                                                      900.000              37,634.030        30,672.000
FRONTIER AIRLS INC NEW COM                                           2,800.000              18,236.840        18,928.000
GA PAC CORP                                                         23,500.000             624,199.330       379,760.000
GANNETT INC COM                                                      4,800.000             356,369.400       344,640.000
GAP INC COM                                                         42,000.000             517,484.130       651,840.000
GEN ELEC CO COM                                                    132,100.000           5,514,558.830     3,216,635.000
GEN MILLS INC COM                                                    9,200.000             377,639.100       431,940.000
GENENTECH INC COM STK                                                7,900.000             361,284.120       261,964.000
GENERAL MOTORS CORP COMMON STOCK                                    14,200.000             667,412.930       523,412.000
GENUINE PARTS CO COM                                                45,700.000           1,304,154.080     1,407,560.000
GENZYME CORP COM                                                     1,200.000              35,978.240        35,484.000
GILEAD SCI INC COM                                                     800.000              26,435.730        27,200.000
GILLETTE CO COM                                                     24,800.000             750,181.050       752,928.000
GLATFELTER                                                           2,870.000              39,141.970        37,769.200
GLOBESPAN VIRATA INC COM                                             7,600.000              33,737.560        33,516.000
GOLD BANC CORP INC COM                                               6,000.000              62,099.850        59,526.000
GOLDEN W. FNCL CORP COM                                             24,300.000           1,009,757.930     1,744,983.000
GOLDMAN SACHS GROUP INC COM                                         15,700.000           1,319,972.480     1,069,170.000


THE NORTHERN TRUST COMPANY                      Generated by The Northern Trust Company from periodic data on 25 Feb 03


                                     -23-




MONSANTO SAVINGS AND INVESTMENT PLAN


ASSETS HELD FOR INVESTMENT AS OF DECEMBER 31, 2002
------------------------------------------------------------------------------------------------------------------------

Security Description / Asset ID                               Shares/Par Value         Historical Cost     Current Value
------------------------------------------------------------------------------------------------------------------------
                                                                                               
Corporate Stock - Common
------------------------------------------------------------------------------------------------------------------------
UNITED STATES - USD

GREY WOLF INC COM                                                   16,800.000              55,540.800        67,032.000
GULF IS FABRICATION INC COM                                          2,200.000              32,663.760        35,750.000
GYMBOREE CORP COM                                                    3,500.000              51,426.480        55,510.000
HANCOCK JOHN FINL SVCS INC COM ISIN US41014S1069                     9,800.000             393,313.430       273,420.000
HANMI FINL CORP COM                                                  1,100.000              19,304.750        18,447.000
HANOVER COMPRESSOR CO COM (HOLDING COMPANY) COM                     41,900.000             470,661.820       384,642.000
HARLEY DAVIDSON INC COM                                             26,700.000           1,245,073.930     1,233,540.000
HARTFORD FINL SVCS GROUP INC COM                                    24,300.000           1,359,514.340     1,103,949.000
HCA INC COM                                                         34,000.000           1,254,954.340     1,411,000.000
HEALTH NET INC COM                                                  18,600.000             425,204.110       491,040.000
HEINZ H J CO COM                                                    13,200.000             503,974.790       433,884.000
HERSHEY FOODS CORP COM                                                 500.000              33,496.350        33,720.000
HEWLETT PACKARD CO COM                                             168,850.000           3,022,049.780     2,931,236.000
HIBBETT SPORTING GOODS INC COM                                       5,970.000             129,849.310       142,802.400
HILB ROGAL & HAMILTON CO COM                                         1,250.000              50,493.890        51,125.000
HILTON HOTELS CORP COM                                               4,400.000              54,196.610        55,924.000
HOME DEPOT INC COM                                                  60,700.000           2,459,700.710     1,454,372.000
HONEYWELL INTL INC COM STK                                          11,300.000             435,404.790       271,200.000
HORIZON OFFSHORE INC COM                                             4,860.000              47,293.720        24,202.800
HSEHD INTL INC COM                                                  13,600.000             445,569.470       378,216.000
ICOS CORP COM                                                        2,250.000              55,780.020        52,672.500
IDEC PHARMACEUTICALS CORP COM                                          900.000              41,526.190        29,853.000
ILL TOOL WKS INC COM                                                 7,800.000             541,606.060       505,908.000
IMATION CORP COM                                                     1,750.000              54,232.780        61,390.000
IMPAC MED SYS INC COM                                                1,800.000              27,000.000        33,336.000
INSPIRE PHARMACEUTICALS INC COM                                      1,300.000              11,758.640        12,142.000
INTEGRATED CIRCUIT SYS INC COM NEW COM STK                           3,300.000              74,891.820        60,225.000
INTEL CORP CAP                                                     130,100.000           2,959,609.030     2,025,657.000
INTER TEL INC COM                                                    1,200.000              29,032.570        25,092.000
INTERMUNE INC COM                                                      900.000              30,657.600        22,959.000
INTERNET SEC SYS INC COM                                             2,500.000              57,374.810        45,825.000


THE NORTHERN TRUST COMPANY                      Generated by The Northern Trust Company from periodic data on 25 Feb 03


                                     -24-




MONSANTO SAVINGS AND INVESTMENT PLAN


ASSETS HELD FOR INVESTMENT AS OF DECEMBER 31, 2002
------------------------------------------------------------------------------------------------------------------------

Security Description / Asset ID                               Shares/Par Value         Historical Cost     Current Value
------------------------------------------------------------------------------------------------------------------------
                                                                                               
Corporate Stock - Common
------------------------------------------------------------------------------------------------------------------------
UNITED STATES - USD

INTERSIL CORP                                                        1,600.000              43,529.870        22,304.000
INTL BUSINESS MACHS CORP COM                                         9,800.000             865,002.440       759,500.000
INTL FLAVORS & FRAGRANCES INC COM                                    5,800.000             196,988.410       203,580.000
INTL PAPER CO COM                                                   46,017.000           1,749,932.450     1,609,214.490
INTUIT COM                                                             900.000              41,978.390        42,228.000
INVESTORS FINL SVCS CORP DEL COM                                       700.000              20,693.000        19,173.000
INVISION TECHNOLOGIES INC COM                                        1,460.000              28,104.210        38,485.600
IVAX CORP COM                                                       21,000.000             260,274.300       254,730.000
J P MORGAN CHASE & CO COM                                           60,560.000           1,982,552.400     1,453,440.000
JABIL CIRCUIT INC COM                                                9,600.000             177,033.080       172,032.000
JAKKS PAC INC COM                                                    1,300.000              14,988.610        17,511.000
JEFFERSON-PILOT CORP COM                                             5,600.000             263,475.350       213,416.000
JETBLUE AWYS CORP COM                                                3,000.000              81,696.780        81,000.000
JOHNSON & JOHNSON COM                                               81,900.000           4,222,778.260     4,398,849.000
K.V PHARMACEUTICAL CL A                                              2,500.000              52,853.950        58,000.000
KELLOGG CO COM                                                      10,900.000             374,785.240       373,543.000
KERR MCGEE CORP COM                                                  6,500.000             419,717.050       287,950.000
KEYCORP NEW COM                                                     22,500.000             534,856.190       565,650.000
KIMBERLY-CLARK CORP COM                                              6,800.000             366,047.140       322,796.000
KING PHARMACEUTICALS INC COM                                         1,300.000              40,589.750        22,347.000
KLA-TENCOR CORP                                                      7,200.000             321,887.830       254,664.000
KNIGHT TRANSN INC COM                                                2,000.000              40,243.350        42,000.000
KOHLS CORP COM                                                      70,400.000           3,234,326.900     3,938,880.000
KYPHON INC COM                                                       4,060.000              53,776.040        34,672.400
LA JOLLA PHARMACEUTICAL CO COM                                       2,460.000              14,374.290        15,990.000
LABOR READY INC COM NEW                                              5,000.000              33,555.160        32,100.000
LAMAR ADVERTISING CO CL A COM                                        1,800.000              74,348.290        60,570.000
LATTICE SEMICONDUCTOR CORP COM                                       6,000.000              46,747.650        52,620.000
LAWSON SOFTWARE INC COM                                              7,100.000              31,622.090        40,825.000
LEHMAN BROS HLDGS INC COM                                           11,400.000             648,086.820       607,506.000
LIBERTY MEDIA CORP NEW COM SER A                                    68,969.000             994,245.560       616,582.860



THE NORTHERN TRUST COMPANY                      Generated by The Northern Trust Company from periodic data on 25 Feb 03


                                     -25-




MONSANTO SAVINGS AND INVESTMENT PLAN


ASSETS HELD FOR INVESTMENT AS OF DECEMBER 31, 2002
------------------------------------------------------------------------------------------------------------------------

Security Description / Asset ID                               Shares/Par Value         Historical Cost     Current Value
------------------------------------------------------------------------------------------------------------------------
                                                                                               
Corporate Stock - Common
------------------------------------------------------------------------------------------------------------------------
UNITED STATES - USD

LIFEPOINT HOSPS INC COM ISIN US53219L1098                            1,540.000              60,255.430        46,093.740
LINENS N THINGS INC COM                                              2,500.000              65,082.620        56,500.000
LOCKHEED MARTIN CORP COM                                            16,800.000           1,067,280.260       970,200.000
LOEWS CORP COM                                                      29,200.000           1,337,895.830     1,298,232.000
LOWES COS INC COM                                                   23,700.000           1,007,447.710       888,750.000
LTD BRANDS                                                          26,920.000             401,709.010       374,995.600
LUBRIZOL CORP COM                                                    8,500.000             312,902.630       259,250.000
MACATAWA BK CORP COM                                                 2,374.000              36,725.020        47,123.900
MACROMEDIA INC COM                                                   4,200.000              46,173.400        44,730.000
MANPOWER INC WIS COM                                                   600.000              24,701.510        19,140.000
MANTECH INTL CORP CL A                                               1,950.000              32,838.000        37,186.500
MARRIOTT INTL INC NEW COM STK CL A                                  12,300.000             489,658.570       404,301.000
MARSH & MC LENNAN CO'S INC                                          12,600.000             817,672.000       582,246.000
MASCO CORP COM                                                      33,500.000             621,728.010       705,175.000
MATTEL INC COM                                                       3,700.000              66,910.280        70,855.000
MAXIM INTEGRATED PRODS INC COM                                      26,200.000           1,055,464.250       865,648.000
MAXTOR CORP COM NEW                                                  9,000.000              46,053.680        45,540.000
MAY DEPT STORES CO COM                                              57,700.000           1,477,809.120     1,325,946.000
MBIA INC COM                                                         7,400.000             371,993.990       324,564.000
MBNA CORP COM                                                      209,950.000           3,784,582.530     3,993,249.000
MC DONALDS CORP COM                                                 97,391.000           2,272,752.820     1,566,047.280
MDU RES GROUP INC COM                                                2,550.000              64,492.900        65,815.500
MEDIMMUNE INC COM                                                    8,800.000             333,065.990       239,096.000
MEDTRONIC INC COM                                                   37,000.000           1,625,209.210     1,687,200.000
MELLON FINL CORP COM                                                18,600.000             548,168.810       485,646.000
MERCK & CO INC COM                                                  11,800.000             676,101.000       667,998.000
MERCURY INTERACTIVE CORP COM                                           900.000              24,899.530        26,685.000
MERRILL LYNCH & CO INC COM                                          60,811.000           3,067,473.690     2,307,777.450
MICROCHIP TECH INC COM                                               2,400.000              50,190.390        58,680.000
MICROSOFT CORP COM                                                 116,100.000           6,770,304.250     6,002,370.000
MOLEX INC CL A                                                       1,200.000              26,859.200        23,868.000



THE NORTHERN TRUST COMPANY                      Generated by The Northern Trust Company from periodic data on 25 Feb 03


                                     -26-




MONSANTO SAVINGS AND INVESTMENT PLAN


ASSETS HELD FOR INVESTMENT AS OF DECEMBER 31, 2002
------------------------------------------------------------------------------------------------------------------------

Security Description / Asset ID                               Shares/Par Value         Historical Cost     Current Value
------------------------------------------------------------------------------------------------------------------------
                                                                                               
Corporate Stock - Common
------------------------------------------------------------------------------------------------------------------------
UNITED STATES - USD

MONRO MUFFLER BRAKE INC COM                                          2,600.000              27,879.680        43,940.000
MONSANTO CO NEW COM                                              2,688,404.000          29,055,305.070    51,751,777.000
MORGAN STANLEY                                                      21,600.000             963,972.190       862,272.000
MOTHERS WK INC COM                                                     900.000              33,464.170        31,707.000
MTC TECHNOLOGIES INC COM                                             3,500.000              60,064.000        88,550.000
MULTIMEDIA GAMES INC COM                                             1,050.000              23,119.220        28,833.000
MYKROLIS CORP COM                                                    1,600.000               9,801.130        11,680.000
NABORS INDUSTRIES COM USD0.10                                        1,900.000              64,963.360        67,013.000
NATCO GROUP INC CL A ISIN US63227W2035                               5,000.000              48,409.580        31,400.000
NATIONAL-OILWELL INC COM                                             4,000.000              89,765.150        87,360.000
NAVIGATORS GROUP INC COM                                             1,000.000              24,430.880        22,950.000
NBTY INC COM                                                         4,000.000              64,016.680        70,320.000
NCR CORP COM                                                        24,000.000             675,207.930       569,760.000
NETSCREEN TECHNOLOGIES INC COM COM                                   4,200.000              67,083.910        70,728.000
NETWORK APPLIANCE INC DEL                                            6,800.000             110,741.530        68,000.000
NEW CENTY FINL CORP COM                                              2,600.000              50,332.100        66,014.000
NEW YORK TIMES CO CL A ISIN #US6501111073                            9,600.000             413,678.950       439,008.000
NEWELL RUBBERMAID INC COM                                           12,000.000             332,475.140       363,960.000
NEXTEL PARTNERS INC CL A                                             6,000.000              43,486.540        36,420.000
NIKE INC CL B                                                        6,600.000             301,884.150       293,502.000
NOBLE CORPORATION COM                                                6,800.000             258,330.480       239,020.000
NOBLE INTL LTD COM                                                   2,000.000              21,540.000        15,600.000
NORDSTROM INC COM                                                   41,000.000             943,687.950       777,770.000
NORTHRP GRUMMAN CORP COM NORTHROP GRUMMAN CORP (HLDG                 4,700.000             457,018.640       455,900.000
NOVA CHEMICALS CORP COM                                             19,500.000             489,462.770       356,850.000
NOVAVAX INC COM                                                      3,000.000              11,740.650         7,800.000
NOVELL INC COM                                                       9,900.000              37,378.440        33,066.000
NOVELLUS SYS INC COM                                                 9,000.000             347,596.150       252,720.000
OCCIDENTAL PETE CORP COM                                            56,000.000           1,492,240.660     1,593,200.000
ODYSSEY HEALTHCARE INC COM                                           2,490.000              62,873.530        86,403.000
OMNICOM GROUP INC COM                                                3,300.000             190,148.160       213,180.000



THE NORTHERN TRUST COMPANY                      Generated by The Northern Trust Company from periodic data on 25 Feb 03


                                     -27-




MONSANTO SAVINGS AND INVESTMENT PLAN


ASSETS HELD FOR INVESTMENT AS OF DECEMBER 31, 2002
------------------------------------------------------------------------------------------------------------------------

Security Description / Asset ID                               Shares/Par Value         Historical Cost     Current Value
------------------------------------------------------------------------------------------------------------------------
                                                                                               
Corporate Stock - Common
------------------------------------------------------------------------------------------------------------------------
UNITED STATES - USD

OMNOVA SOLUTIONS INC COM                                             5,840.000              41,360.270        23,535.200
ORACLE CORP COM                                                     59,500.000             667,676.940       642,600.000
OSHKOSH TRUCK CORP COM                                               1,000.000              57,353.280        61,500.000
OSI PHARMACEUTICALS INC COM                                          2,200.000              33,337.260        36,080.000
OUTBACK STEAKHOUSE INC COM                                           1,200.000              43,919.610        41,328.000
P A M TRANSN SVCS INC COM                                              900.000              18,618.100        22,689.000
PACIFIC CAP BANCORP NEW COM                                          2,870.000              65,138.020        73,041.500
PACKETEER INC COM                                                    3,100.000              12,882.000        21,266.000
PATTERSON-UTI ENERGY INC COM                                         3,800.000              94,328.280       114,646.000
PENFORD CORP COM                                                     2,000.000              34,032.400        28,180.000
PEOPLESOFT INC COM                                                  20,300.000             411,539.180       371,490.000
PEPSI BOTTLING GROUP INC COM STK ISIN US7134091005                  29,200.000             774,767.880       750,440.000
PEPSICO INC COM                                                          0.000                   0.000             0.000
PER-SE TECHNOLOGIES INC COM NEW                                      2,870.000              27,092.010        25,741.030
PERFORMANCE FOOD GROUP CO COM                                        3,590.000             121,438.620       121,912.810
PERMA-FIX ENVIRONMENTAL SVCS INC COM                                11,000.000              35,268.330        27,500.000
PEROT SYS CORP CDT-CL A COM STK                                      4,300.000              58,069.070        46,096.000
PETCO ANIMAL SUPPLIES INC COM NEW                                    2,550.000              52,217.860        59,769.450
PFIZER INC COM                                                     195,100.000           6,787,851.240     5,964,207.000
PHARMACIA CORP COM                                               9,135,146.000         246,545,596.670   381,849,102.800
PITNEY BOWES INC COM                                                24,600.000             821,380.740       803,436.000
PLATINUM UNDERWRITERS HLDGS INC COM USD0.01                          1,600.000              36,000.000        42,160.000
PNC FINANCIAL SERVICES GROUP COM STK                                 6,200.000             321,390.690       259,780.000
PORTFOLIO RECOVERY ASSOCS INC COM                                    1,700.000              22,100.000        31,026.700
PPL CORP COM ISIN US69351T1060                                      22,100.000             775,966.610       766,428.000
PROCTER & GAMBLE CO COM                                             15,000.000           1,260,848.510     1,289,100.000
PROGRESSIVE CORP OH COM                                             11,700.000             620,117.440       580,671.000
PROSPERITY BANCSHARES INC COM                                        1,800.000              30,134.380        34,200.000
PROTEIN DESIGN LABS INC COM                                          4,000.000              38,895.200        34,000.000
PUB SERVICE ENTERPRISE GROUP INC COM                                 7,900.000             277,033.620       253,590.000
QUALCOMM INC COM                                                     8,000.000             313,824.050       291,120.000



THE NORTHERN TRUST COMPANY                      Generated by The Northern Trust Company from periodic data on 25 Feb 03


                                     -28-




MONSANTO SAVINGS AND INVESTMENT PLAN


ASSETS HELD FOR INVESTMENT AS OF DECEMBER 31, 2002
------------------------------------------------------------------------------------------------------------------------

Security Description / Asset ID                               Shares/Par Value         Historical Cost     Current Value
------------------------------------------------------------------------------------------------------------------------
                                                                                               
Corporate Stock - Common
------------------------------------------------------------------------------------------------------------------------
UNITED STATES - USD

QUEST DIAGNOSTICS INC COM                                              300.000              25,214.740        17,070.000
QUICKSILVER RES INC COM                                                600.000              10,869.300        13,458.000
RAILAMERICA INC COM STK USD0.001                                    11,610.000             114,858.950        83,243.700
RAYTHEON CO COM NEW                                                 29,300.000             910,640.600       900,975.000
REDWOOD TR INC COM                                                   2,630.000              69,258.850        72,851.000
REGENT COMMUNICATIONS INC DEL COM STK ISIN#US7588651098              7,470.000              50,772.090        44,147.700
RENAL CARE GROUP INC COM                                             5,000.000             160,092.270       158,200.000
RENT A CTR INC NEW COM                                                 900.000              44,178.340        44,955.000
RESORTQUEST INTL INC COM                                             6,050.000              39,152.980        22,808.500
RITA MED SYS INC DEL COM ISIN US76774E1038                           1,500.000              11,562.520         7,575.000
RLI CORP COM                                                           900.000              22,725.000        25,110.000
ROCKWELL AUTOMATION                                                  2,000.000              39,136.700        41,420.000
ROHM & HAAS CO COM                                                  29,000.000           1,011,907.230       941,920.000
ROYAL DUTCH PETRO N.Y REGISTRY SH PAR N 1.25 GLDR                   10,600.000             515,624.130       466,612.000
RPM INTL INC                                                         4,920.000              71,458.950        75,177.600
RT MGMT CONSULTANTS INC COM                                          2,500.000              34,849.490        33,125.000
SAFENET INC COM                                                      1,200.000              24,734.430        30,420.000
SAFEWAY INC COM NEW                                                 20,200.000             788,738.160       471,872.000
SARA LEE CORP COM                                                   37,300.000             770,206.620       839,623.000
SBC COMMUNICATIONS INC COM                                          31,051.000           1,098,857.070       841,792.610
SCHERING-PLOUGH CORP COM                                           112,500.000           3,206,365.810     2,497,500.000
SCHLUMBERGER LTD COM STK                                            15,500.000             973,717.870       652,395.000
SCHOLASTIC CORP COM                                                  1,950.000              99,202.190        70,102.500
SCHOOL SPECIALTY INC WI COM                                            900.000              20,152.030        17,982.000
SCIOS INC COM                                                        1,400.000              35,323.960        45,612.000
SCOTTISH ANNUITY & LIFE HLDGS SCOTTISH ANNUITY & LIFE HLD            1,300.000              17,726.700        22,685.000
SEARS ROEBUCK & CO COM                                              31,949.000           1,117,004.680       765,178.550
SENSYS TECHNOLOGIES INC COM                                          2,100.000              16,800.000        25,242.000
SERVICEMASTER CO COM                                                 3,100.000              32,762.840        34,410.000
SFBC INTL INC COM                                                    2,460.000              45,057.790        31,930.800
SHUFFLE MASTER INC COM                                               1,200.000              23,238.500        22,932.000



THE NORTHERN TRUST COMPANY                      Generated by The Northern Trust Company from periodic data on 25 Feb 03


                                     -29-




MONSANTO SAVINGS AND INVESTMENT PLAN


ASSETS HELD FOR INVESTMENT AS OF DECEMBER 31, 2002
------------------------------------------------------------------------------------------------------------------------

Security Description / Asset ID                               Shares/Par Value         Historical Cost     Current Value
------------------------------------------------------------------------------------------------------------------------
                                                                                               
Corporate Stock - Common
------------------------------------------------------------------------------------------------------------------------
UNITED STATES - USD

SKYWEST INC COM                                                      3,800.000              63,924.290        49,666.000
SKYWORKS SOLUTIONS INC COM                                           6,000.000              39,747.240        51,720.000
SMITH INTL INC COM                                                   1,500.000              43,632.480        48,930.000
SOLUTIA INC COM STK                                                873,076.000          16,985,925.320     3,169,265.880
SONIC AUTOMOTIVE INC CL A                                            3,000.000              44,856.780        44,610.000
SOUTHWESTN ENERGY CO COM                                             1,000.000              11,655.440        11,450.000
SPX CORP COM                                                         1,400.000              83,872.260        52,430.000
ST JUDE MED INC COM                                                  2,400.000              90,550.880        95,328.000
ST PAUL COS INC COM                                                 30,100.000           1,157,408.200     1,024,905.000
ST STR CORP COM                                                      3,100.000             133,861.230       120,900.000
STARBUCKS CORP COM                                                  19,300.000             439,126.700       393,334.000
STARWOOD HOTELS & RESORTS WORLDWIDE INC PAIRED CTF 1 CL B           18,600.000             599,211.640       441,564.000
STERLING BANCSHARES INC COM                                          5,900.000              76,378.220        72,098.000
STORAGE TECH CORP COM (NEW)                                         24,700.000             401,779.440       529,074.000
STRATTEC SEC CORP COM                                                  200.000              10,220.000         9,588.000
STRYKER CORP COM                                                       300.000              14,854.690        20,136.000
SUMMIT BANCSHARES INC FT WORTH TEX COM                                 500.000              11,350.000         9,750.000
SUNGARD DATA SYS INC COM                                             1,300.000              31,088.700        30,628.000
SWIFT TRANSN INC COM                                                 1,500.000              30,394.180        30,027.000
SYBASE INC COM                                                       4,000.000              52,033.690        53,600.000
SYMANTEC CORP COM                                                    4,400.000             150,030.110       178,244.000
SYPRIS SOLUTIONS INC COM                                             3,000.000              45,493.700        30,630.000
SYSCO CORP COM                                                       9,600.000             268,492.410       285,984.000
T-HQ INC COM NEW                                                     2,100.000              58,767.690        27,825.000
TAKE-TWO INTERACTIVE SOFTWARE INC CDT-COM                            1,760.000              33,873.040        41,342.400
TARGET CORP COM                                                      4,000.000             138,147.460       120,000.000
TARO PHARMACEUTICAL IND ORD ILS1                                     1,400.000              42,447.060        52,640.000
TCF FNCL CORP COM                                                    1,300.000              58,488.960        56,797.000
TECH DATA CORP COM                                                   4,200.000             145,822.500       113,232.000
TETRA TECHNOLOGIES INC DEL COM                                       2,360.000              32,341.460        50,433.200
TEXTRON INC COM                                                     13,200.000             500,190.390       567,468.000



THE NORTHERN TRUST COMPANY                      Generated by The Northern Trust Company from periodic data on 25 Feb 03


                                     -30-




MONSANTO SAVINGS AND INVESTMENT PLAN


ASSETS HELD FOR INVESTMENT AS OF DECEMBER 31, 2002
------------------------------------------------------------------------------------------------------------------------

Security Description / Asset ID                               Shares/Par Value         Historical Cost     Current Value
------------------------------------------------------------------------------------------------------------------------
                                                                                               
Corporate Stock - Common
------------------------------------------------------------------------------------------------------------------------
UNITED STATES - USD

THERMO ELECTRON CORP COM                                            37,000.000             590,626.440       744,440.000
TIFFANY & CO COM                                                    18,600.000             414,566.050       444,726.000
TITAN CORP COM                                                       4,000.000              48,394.200        41,600.000
TJX COS INC COM NEW                                                  1,800.000              31,050.060        35,136.000
TOO INC COM STK                                                      2,650.000              71,094.110        62,328.000
TORCHMARK CORP COM                                                  23,000.000             862,933.910       840,190.000
TRANSOCEAN INC                                                      38,200.000           1,074,385.230       886,240.000
TRAVELERS PPTY CAS CORP NEW CL A                                    49,653.000             837,694.500       727,416.450
TRAVELERS PPTY CAS CORP NEW CL B                                     7,917.000             174,510.340       115,984.050
TRIAD HOSPS INC COM ISIN US89579K1097                                2,300.000              72,351.130        68,609.000
TRIMERIS INC COM                                                       800.000              34,925.360        34,472.000
TRITON PCS HLDGS INC CL A COM STK                                    5,000.000              15,173.780        19,650.000
TX INSTRS INC COM                                                   68,600.000           1,528,714.480     1,029,686.000
TXU CORP COM                                                        14,700.000             592,792.570       274,596.000
TYCO INTL LTD NEW COM                                               12,500.000             190,640.830       213,500.000
UCBH HLDGS INC COM                                                   1,200.000              47,676.150        50,940.000
ULTRA PETE CORP COM NPV                                              7,790.000              66,784.240        77,121.000
UN PAC CORP COM                                                     22,900.000           1,258,223.280     1,371,023.000
UNITEDHEALTH GROUP INC COM                                          26,300.000           1,775,855.830     2,196,050.000
UNIVISION COMMUNICATIONS INC CL A                                   15,100.000             474,217.780       369,950.000
UNOCAL CORP COM                                                     45,100.000           1,575,421.340     1,379,158.000
UNOVA INC COM                                                       11,100.000             188,006.250        66,600.000
UNUMPROVIDENT CORP COM                                              33,800.000             822,342.630       592,852.000
UNVL HEALTH SERVICES INC CL B COM                                   11,400.000             465,104.280       514,140.000
US BANCORP                                                          25,873.000             465,456.430       549,025.060
USFREIGHTWAYS CORP COM                                               1,000.000              31,747.500        28,750.000
UTD NAT FOODS INC COM                                                3,750.000              77,396.470        95,062.500
UTD TECHNOLOGIES CORP COM                                           18,300.000           1,119,785.880     1,133,502.000
UTD THERAPEUTICS CORP DEL COM STK                                    1,100.000              13,908.510        18,370.000
UTI WORLDWIDE INC ORD NPV                                            1,800.000              41,410.000        47,250.000
UTSTARCOM INC COM                                                    4,750.000              93,314.790        94,192.500



THE NORTHERN TRUST COMPANY                      Generated by The Northern Trust Company from periodic data on 25 Feb 03


                                     -31-



MONSANTO SAVINGS AND INVESTMENT PLAN


ASSETS HELD FOR INVESTMENT AS OF DECEMBER 31, 2002
------------------------------------------------------------------------------------------------------------------------

Security Description / Asset ID                               Shares/Par Value         Historical Cost     Current Value
------------------------------------------------------------------------------------------------------------------------
                                                                                               
Corporate Stock - Common
------------------------------------------------------------------------------------------------------------------------
UNITED STATES - USD

V F CORP COM                                                        19,600.000             586,497.990       706,580.000
VARCO INTL INC DEL COM                                               4,000.000              67,693.070        69,600.000
VARIAN MED SYS INC COM ISIN #US9222091057                              400.000              13,861.970        19,840.000
VCA ANTECH INC COM STK                                               5,030.000              51,803.580        75,450.000
VERIDIAN CORP COM                                                    3,620.000              61,819.370        77,250.800
VERITAS SOFTWARE CORP COM                                           11,100.000             562,966.770       173,382.000
VERIZON COMMUNICATIONS COM                                          38,472.000           1,854,373.000     1,490,790.000
VERSICOR INC COM                                                     1,100.000              12,543.020        11,869.000
VIACOM COM CL B                                                     95,947.000           4,348,674.090     3,910,799.720
VIRAGE LOGIC CORP COM                                                2,200.000              26,947.640        22,066.000
VISTACARE INC CL A COM                                               2,000.000              24,000.000        32,020.000
WACHOVIA CORP 2ND NEW COM                                           66,600.000           2,103,182.980     2,426,904.000
WAL-MART STORES INC COM                                             91,500.000           4,813,859.960     4,621,665.000
WALGREEN CO COM                                                     63,300.000           2,112,525.410     1,847,727.000
WASTE CONNECTIONS INC COM                                            2,700.000              69,791.820       104,247.000
WEATHERFORD INTL LTD                                                 1,600.000              65,263.490        63,888.000
WEBSENSE INC COM STK ISIN#US9476841062                                 800.000              14,027.960        17,088.800
WELLPOINT HLTH NETWORKS INC CL A (NEW) DELAW EFF 8-4-97              6,200.000             269,847.910       441,192.000
WELLS FARGO & CO NEW COM STK                                        19,200.000             784,394.600       899,904.000
WERNER ENTERPRISES INC COM                                           1,600.000              36,166.880        34,448.000
WEYERHAEUSER CO COM                                                  6,500.000             394,576.070       319,865.000
WHIRLPOOL CORP COM                                                  18,200.000             961,538.760       950,404.000
WILLIAMS SONOMA INC COM                                              1,100.000              22,307.140        29,865.000
WILLIS GROUP HOLDINGS COM                                            2,800.000              84,275.120        80,276.000
WINTRUST FINL CORP COM                                               2,075.000              64,563.740        64,989.000
WOMEN 1ST HEALTHCARE INC COM                                         4,730.000              40,182.080        21,573.530
WRIGLEY WM JR CO CAP                                                 3,200.000             165,990.540       175,616.000
WYETH COM                                                           62,500.000           2,372,679.360     2,337,500.000
XEROX CORP COM                                                     213,800.000           2,156,748.280     1,721,090.000
XL CAP LTD SHS A                                                     8,200.000             648,004.420       633,450.000
XTO ENERGY INC COM                                                   2,000.000              45,620.140        49,400.000



THE NORTHERN TRUST COMPANY                      Generated by The Northern Trust Company from periodic data on 25 Feb 03


                                     -32-




MONSANTO SAVINGS AND INVESTMENT PLAN


ASSETS HELD FOR INVESTMENT AS OF DECEMBER 31, 2002
------------------------------------------------------------------------------------------------------------------------

Security Description / Asset ID                               Shares/Par Value         Historical Cost     Current Value
------------------------------------------------------------------------------------------------------------------------
                                                                                               
Corporate Stock - Common
------------------------------------------------------------------------------------------------------------------------
UNITED STATES - USD

ZIMMER HLDGS INC COM                                                 6,000.000             231,793.550       249,120.000
ZORAN CORP COM                                                       1,600.000              24,016.170        22,512.000
1ST ST BANCORPORATION COM                                              700.000              16,077.690        17,360.000
3M CO COM                                                           10,700.000           1,202,946.080     1,319,310.000
------------------------------------------------------------------------------------------------------------------------
TOTAL UNITED STATES - USD                                                               560,030,298.57    677,985,284.65
------------------------------------------------------------------------------------------------------------------------
TOTAL CORPORATE STOCK - COMMON                                                          560,030,298.57    677,985,284.65

Participant Loans
------------------------------------------------------------------------------------------------------------------------
UNITED STATES - USD

MONSANTO PARTICIPANT LOANS                                      15,406,807.590          15,406,807.590    15,406,807.590
------------------------------------------------------------------------------------------------------------------------
TOTAL UNITED STATES - USD                                                                15,406,807.59     15,406,807.59
------------------------------------------------------------------------------------------------------------------------
TOTAL PARTICIPANT LOANS                                                                  15,406,807.59     15,406,807.59

Value of Interest in Common/Collective Trusts
------------------------------------------------------------------------------------------------------------------------
UNITED STATES - USD

COLTV STIF                                                      13,222,235.130          13,222,235.130    13,222,235.130
------------------------------------------------------------------------------------------------------------------------
TOTAL UNITED STATES - USD                                                                13,222,235.13     13,222,235.13
------------------------------------------------------------------------------------------------------------------------
TOTAL VALUE OF INTEREST IN COMMON/COLLECTIVE TRUSTS                                      13,222,235.13     13,222,235.13

Value of Interest in Registered Investment Companies
------------------------------------------------------------------------------------------------------------------------
UNITED STATES - USD

MFO CAP GUARDIAN INTL NON-US EQTY (FUND 003-05)                  3,430,924.720          39,455,760.430    32,628,094.090
MFO FFTW FDS INC U S SHORT-TERM PORTFOLIO                        1,477,710.030          14,198,759.390    14,082,576.590
MFO MELLON BNK EB DAILY LIQUIDITY INDEX FD                         346,400.140          82,634,954.120    64,909,497.440
------------------------------------------------------------------------------------------------------------------------
TOTAL UNITED STATES - USD                                                               136,289,473.94    111,620,168.12
------------------------------------------------------------------------------------------------------------------------
TOTAL VALUE OF INTEREST IN REGISTERED INVESTMENT COM                                    136,289,473.94    111,620,168.12


THE NORTHERN TRUST COMPANY                      Generated by The Northern Trust Company from periodic data on 25 Feb 03


                                     -33-




MONSANTO SAVINGS AND INVESTMENT PLAN


ASSETS HELD FOR INVESTMENT AS OF DECEMBER 31, 2002
------------------------------------------------------------------------------------------------------------------------

Security Description / Asset ID                               Shares/Par Value         Historical Cost     Current Value
------------------------------------------------------------------------------------------------------------------------
                                                                                               
Other
------------------------------------------------------------------------------------------------------------------------
UNITED STATES - USD

ALEXANDRIA REAL ESTATE EQUITIES INC COM                              1,200.000              49,864.680        51,120.000
CBL & ASSOC PPTYS INC COM                                            1,100.000              42,362.980        44,055.000
CHELSEA PROPERTY GROUP INC COM STK USD 0.01                          1,500.000              50,505.300        49,965.000
EQTY INNS INC COM                                                    3,280.000              25,846.310        19,745.600
EQTY OFFICE PPTYS TR REIT                                           46,200.000           1,253,546.400     1,154,076.000
EQTY RESDNTL EFF 5/15/02                                            29,400.000             682,404.010       722,652.000
GIC AEGON GLOBAL WRAP CNTRCT                                   441,309,519.930         441,309,519.930   441,309,519.930
INTER AMERN DEV BK 7.125 DUE 03-15-2002 REG                        305,000.000             306,491.450       317,638.900
KEYSTONE PPTY TR COM                                                 1,000.000              16,032.700        16,970.000
SL GREEN RLTY CORP COM STK                                           1,600.000              51,718.990        50,560.000
US TREAS NTS INFLATION-INDEXED NT 3.5 DUE 01-15-2011               245,000.000             252,399.590       279,044.540
1ST INDL RLTY TR INC COM                                             2,100.000              65,746.450        58,800.000
------------------------------------------------------------------------------------------------------------------------
TOTAL UNITED STATES - USD                                                               444,106,438.79    444,074,146.97
------------------------------------------------------------------------------------------------------------------------
TOTAL OTHER                                                                             444,106,438.79    444,074,146.97

Other Liabilities
------------------------------------------------------------------------------------------------------------------------

Pending trade purchases: United States dollar                            0.000          -1,457,955.080    -1,457,955.080
------------------------------------------------------------------------------------------------------------------------
TOTAL - ALL CURRENCIES                                                                   -1,457,955.08     -1,457,955.08
------------------------------------------------------------------------------------------------------------------------
TOTAL OTHER LIABILITIES                                                                  -1,457,955.08     -1,457,955.08

Payable Other
------------------------------------------------------------------------------------------------------------------------
UNITED STATES - USD

FEE FOR SECURITIES LENDING ACTIVITY FOR                                  7.000                   0.000             0.000
------------------------------------------------------------------------------------------------------------------------
TOTAL UNITED STATES - USD                                                                         0.00              0.00
------------------------------------------------------------------------------------------------------------------------
TOTAL PAYABLE OTHER                                                                               0.00              0.00
------------------------------------------------------------------------------------------------------------------------
TOTAL                                                                                 1,201,300,065.55  1,296,173,952.87




THE NORTHERN TRUST COMPANY                      Generated by The Northern Trust Company from periodic data on 25 Feb 03



                                     -34-




MONSANTO SAVINGS AND INVESTMENT PLAN


ASSETS HELD FOR INVESTMENT AS OF DECEMBER 31, 2002
----------------------------------------------------------------------------------------------------------------

                                                                                  (DOLLARS IN THOUSANDS)
                                                                                                       CURRENT
Identity of issue, borrower, lessor or similar party                           COST                     VALUE

                                                                                                
See attached detail                                                         1,201,300                 1,296,174

Reconciling items:
------------------
Pending Trade Sales listed on Detail                                             (489)                     (489)
Pending Trade Purchases listed on Detail                                        1,458                     1,458
Reconciling items between record keeper and trust                                 (46)                      (46)
Value of Monsanto stock in ESOP fund*                                          24,930                   102,018


                                                                          ------------              ------------
Subtotal                                                                    1,227,153                 1,399,115
                                                                          ============              ============



*Represents party-in-interest to the plan




                                     -35-





MONSANTO SAVINGS AND INVESTMENT PLAN
SUPPLEMENTAL SCHEDULE 2
------------------------------------------------------------------------------


               SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED

                 AND DISPOSED OF WITHIN THE PLAN YEAR ENDED

                              DECEMBER 31, 2002



                                    -36-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                            Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par      Acquisitions  Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
REORG/COMCAST CORP CL A COM STK MERGER TO AT&T COMCAST CORP
                                                                     Acquisitions          1,900.00       -38,127.11
                                                                     Dispositions         -3,100.00                       61,944.12
                                                                     Free Delivery       -27,800.00

REORG/PHILLIPS PETROLEUM CO NAME CHANGE TO CONOCOPHILLIPS
                                                                     Acquisitions          4,600.00      -234,866.00
                                                                     Free Delivery       -99,700.00

CHELSEA PPTY GROUP INC
                                                                     Acquisitions          1,500.00       -50,505.30
                                                                     Free Delivery        -1,500.00

LIBERTY MEDIA CORP NEW RT PUR COM SER A
                                                                     Free Delivery        -2,784.00
                                                                     Free Receipt          2,784.00

RAILAMERICA INC COM DO NOT USE
                                                                     Acquisitions          1,100.00       -11,399.00
                                                                     Free Delivery       -16,400.00

REORG/AT&T CORP REV SPLT TO AT&T CORP NEW
                                                                     Acquisitions         50,700.00      -517,193.10
                                                                     Free Delivery      -575,900.00

REORG/CARNIVAL CORP RECLASSIFICATION TO CARNIVAL CORP COM PAIRED
                                                                     Acquisitions         10,000.00      -268,958.64
                                                                     Dispositions         -4,200.00                      106,292.07
                                                                     Free Delivery        -3,900.00

REORG/COMCAST CORP CL A COM TK MERGER TO AT&T COMCAST CORP
                                                                     Acquisitions         30,000.00      -667,911.29
                                                                     Dispositions         -2,500.00                       54,454.63
                                                                     Free Delivery      -127,900.00

REORG/KPMG CONSULTING NAME CHANGE TO BEARINGPOINT INC
                                                                     Acquisitions            660.00        -7,005.06
                                                                     Dispositions           -140.00                        1,573.34
                                                                     Free Delivery        -6,120.00


REORG/PHARMACIA CORP STOCK MERGER TO PFIZER INC
                                                                     Acquisitions        172,774.00    -7,104,837.81
                                                                     Dispositions       -852,860.00                   35,762,127.09
                                                                     Free Delivery    -8,298,123.00
                                                                     Free Receipt      1,455,368.00



THE NORTHERN TRUST COMPANY                          *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703


                                     -37-





MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                            Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par      Acquisitions  Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
REORG/PHILIP MORRIS NAME CHG TO ALTRIA GROUP INC
                                                                     Acquisitions          3,700.00      -175,814.01
                                                                     Dispositions        -10,200.00                      382,451.06
                                                                     Free Delivery       -16,400.00

REORG/US FREIGHTWAYS NAME CHANGE TO USFCORP
                                                                     Acquisitions          1,500.00       -47,621.25
                                                                     Dispositions           -500.00                       15,927.31

PRIOR TRUSTEE RECEIVABLE
                                                                     Acquisitions              1.00             0.00
                                                                     Dispositions             -1.00                            0.00

1ST ST BANCORPORATION COM
                                                                     Acquisitions          1,200.00       -27,561.76
                                                                     Dispositions           -500.00                       11,858.14

3M CO COM
                                                                     Acquisitions          2,600.00      -313,182.64
                                                                     Dispositions         -2,300.00                      284,294.55
                                                                     Free Delivery        -9,400.00

5TH 3RD BANCORP COM
                                                                     Acquisitions            600.00       -40,733.58
                                                                     Dispositions         -6,100.00                      380,516.44
                                                                     Free Delivery        -4,800.00

AAIPHARMA INC COM
                                                                     Acquisitions          3,300.00       -55,231.65
                                                                     Dispositions           -800.00                       12,759.61

AARON RENTS INC CL B
                                                                     Acquisitions          1,350.00       -29,710.92
                                                                     Free Delivery        -1,750.00

ABBOTT LAB COM
                                                                     Acquisitions         28,100.00    -1,066,805.62
                                                                     Dispositions        -18,600.00                      766,819.85
                                                                     Free Delivery       -27,500.00

ACCENTURE LTD BERMUDA CLS A COM
                                                                     Acquisitions          4,400.00       -62,632.50
                                                                     Dispositions           -800.00                       13,634.62

ACE LTD ORD STK USD0.0416
                                                                     Acquisitions         11,900.00      -381,467.16




THE NORTHERN TRUST COMPANY                          *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703


                                     -38-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                            Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par      Acquisitions  Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
                                                                     Free Delivery       -11,100.00

ACTEL CORP COM
                                                                     Acquisitions          3,310.00       -49,741.72
                                                                     Dispositions         -3,850.00                       60,489.99
                                                                     Free Delivery        -1,360.00

ACTION PERFORMANCE COS INC COM
                                                                     Acquisitions          1,400.00       -27,652.80
                                                                     Dispositions           -700.00                       13,229.60

ACTIVISION INC NEW COM NEW
                                                                     Acquisitions          3,300.00       -66,358.98
                                                                     Dispositions         -3,300.00                       41,580.06

ACTUATE CORP COM
                                                                     Acquisitions          2,700.00        -8,464.77
                                                                     Dispositions         -6,600.00                       15,145.87
                                                                     Free Delivery        -3,100.00

ADOBE SYS INC COM
                                                                     Acquisitions          2,300.00       -60,162.39
                                                                     Dispositions        -15,100.00                      340,164.00
                                                                     Free Delivery       -11,200.00

ADR AKZO NOBEL N V SPONSORED ADR
                                                                     Acquisitions         13,700.00      -447,344.78
                                                                     Free Delivery       -34,000.00

ADR ASML HLDG ASML HLDG NV EUR0.02(NY REG)
                                                                     Acquisitions          7,300.00       -74,997.14
                                                                     Dispositions         -2,460.00                       27,047.50
                                                                     Free Delivery        -8,740.00

ADR FIAT S P A SPONSORED ADR REPSTG ORD NEW
                                                                     Acquisitions         19,400.00      -191,660.35
                                                                     Free Delivery       -90,100.00

ADR IONA TECHNOLOGIES PLC SPONSORED ADR
                                                                     Acquisitions          8,000.00       -16,373.65
                                                                     Dispositions         -8,000.00                       20,953.65

ADR MATSUSHITA ELEC INDL LTD ADR
                                                                     Acquisitions         29,400.00      -319,918.49
                                                                     Free Delivery       -79,400.00

ADR NEWS CORP LTD SPONSORED ADR REPSTG PFD LTD




THE NORTHERN TRUST COMPANY                           *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C070

                                     -39-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                            Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par      Acquisitions  Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
                                                                     Acquisitions         26,700.00      -484,653.28
                                                                     Free Delivery       -95,800.00

ADR NOKIA CORP SPONSORED ADR
                                                                     Acquisitions         66,400.00    -1,151,107.98
                                                                     Dispositions        -45,000.00                      553,566.59
                                                                     Free Delivery      -200,600.00

ADR RIO TINTO PLC
                                                                     Acquisitions            500.00       -32,597.95
                                                                     Dispositions         -2,900.00                      229,224.46
                                                                     Free Delivery       -27,100.00

ADR SAP AKTIENGESELLSCHAFT SPONSORED ADR
                                                                     Acquisitions          1,800.00       -30,993.35
                                                                     Dispositions        -10,700.00                      188,716.30
                                                                     Free Delivery        -8,900.00

ADR SONY CORP AMER DEPY RCPT FOR DOLLAR-VALIDATED COM BKD
 BY 1 SH COM
                                                                     Acquisitions          7,000.00      -308,312.00
                                                                     Free Delivery       -20,200.00

ADR STMICROELECTRONICS N V SHS-N Y REGISTRY
                                                                     Acquisitions         10,900.00      -235,412.13
                                                                     Dispositions         -7,300.00                      109,254.67
                                                                     Free Delivery        -6,400.00

ADR SYNGENTA AG SPONSORED ADR
                                                                     Acquisitions         13,200.00      -146,670.00
                                                                     Free Delivery       -25,200.00

ADR TAIWAN SEMICONDUCTOR MFG CO LTD SPONSORED ADR
                                                                     Acquisitions         44,200.00      -472,638.04
                                                                     Dispositions        -68,760.00                      569,837.31
                                                                     Free Delivery       -38,400.00

ADR UNILEVER N V NY SHS NEW
                                                                     Acquisitions          1,000.00       -53,420.00
                                                                     Free Delivery       -14,500.00

ADVANCED MARKETING SVCS INC COM
                                                                     Acquisitions            800.00       -12,287.98
                                                                     Dispositions         -3,100.00                       42,996.39
                                                                     Free Delivery        -3,100.00

ADVANCEPCS CL A COM




THE NORTHERN TRUST COMPANY                           *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703


                                     -40-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                            Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par      Acquisitions  Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
                                                                     Acquisitions          1,340.00       -30,806.50
                                                                     Dispositions         -1,000.00                       25,672.16
                                                                     Free Delivery        -1,740.00

AFFILIATED COMPUTER SVCS INC CL A COM
                                                                     Acquisitions            600.00       -26,105.45
                                                                     Dispositions           -690.00                       32,920.46
                                                                     Free Delivery        -1,260.00

AFFILIATED MANAGERS GROUP INC COM STK
                                                                     Acquisitions            570.00       -29,044.92
                                                                     Free Delivery        -1,070.00

AGCO CORP COM
                                                                     Acquisitions          1,480.00       -30,640.73
                                                                     Dispositions         -1,500.00                       38,120.15
                                                                     Free Delivery        -2,430.00

ALCOA INC COM STK
                                                                     Acquisitions         27,500.00      -626,080.25
                                                                     Dispositions         -3,100.00                       75,768.02
                                                                     Free Delivery       -49,700.00

ALLIANCE DATA SYS CORP COM
                                                                     Acquisitions          1,000.00       -15,993.50
                                                                     Dispositions         -1,360.00                       21,840.79
                                                                     Free Delivery        -5,140.00

ALLIANT TECHSYSTEMS INC COM
                                                                     Acquisitions          1,750.00      -107,384.61
                                                                     Dispositions           -450.00                       31,224.47
                                                                     Free Delivery          -780.00

AMER ELEC PWR CO INC COM
                                                                     Acquisitions          8,800.00      -233,027.76
                                                                     Free Delivery       -23,900.00

AMER EXPRESS CO COM
                                                                     Acquisitions          2,800.00       -90,976.32
                                                                     Dispositions         -5,500.00                      170,748.60
                                                                     Free Delivery       -17,000.00

AMER SVC GROUP INC COM
                                                                     Acquisitions            700.00        -7,606.64
                                                                     Free Delivery        -1,840.00



THE NORTHERN TRUST COMPANY                           *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703


                                     -41-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                            Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par      Acquisitions  Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
AMERADA HESS CORP COM
                                                                     Acquisitions          5,500.00      -349,729.87
                                                                     Dispositions         -1,500.00                      120,447.72
                                                                     Free Delivery       -27,100.00

AMEREN CORP COM
                                                                     Acquisitions          1,000.00       -43,750.00
                                                                     Dispositions        -15,800.00                      654,878.93
                                                                     Free Delivery       -25,200.00

AMERISOURCEBERGEN CORP COM
                                                                     Acquisitions         11,880.00      -799,952.94
                                                                     Dispositions         -8,100.00                      461,307.99
                                                                     Free Delivery        -3,380.00

AMERN INTL GROUP INC COM
                                                                     Acquisitions         29,900.00    -1,807,796.08
                                                                     Dispositions         -8,000.00                      488,832.61
                                                                     Free Delivery       -62,300.00

AMERN STD COS INC DEL COM
                                                                     Acquisitions             90.00        -5,780.70
                                                                     Dispositions           -310.00                       21,674.26
                                                                     Free Delivery          -780.00

AMGEN INC COM
                                                                     Acquisitions         25,200.00    -1,105,057.39
                                                                     Dispositions         -6,900.00                      298,675.58
                                                                     Free Delivery       -61,200.00

AMSURG CORP COM
                                                                     Acquisitions          2,250.00       -62,939.16
                                                                     Dispositions         -1,250.00                       24,242.99

ANADARKO PETRO CORP COM
                                                                     Acquisitions          1,200.00       -54,744.71
                                                                     Dispositions           -790.00                       38,044.59
                                                                     Free Delivery        -1,160.00

ANALOG DEVICES INC COM
                                                                     Acquisitions          2,900.00       -72,306.43
                                                                     Dispositions         -6,600.00                      131,683.80
                                                                     Free Delivery        -3,300.00

ANHEUSER BUSCH COS INC COM




THE NORTHERN TRUST COMPANY                           *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703


                                     -42-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                            Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par      Acquisitions  Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
                                                                     Acquisitions         11,600.00      -558,557.54
                                                                     Dispositions        -18,600.00                      894,298.90
                                                                     Free Delivery       -39,900.00

ANTHEM INC COM
                                                                     Acquisitions          1,090.00       -69,956.98
                                                                     Dispositions           -810.00                       53,605.53
                                                                     Free Delivery          -880.00

AOL TIME WARNER INC COM
                                                                     Acquisitions         21,200.00      -250,270.24
                                                                     Dispositions        -70,900.00                      832,514.17
                                                                     Free Delivery      -118,200.00

AON CORP COM
                                                                     Acquisitions            100.00        -2,333.00
                                                                     Dispositions        -22,800.00                      348,822.11
                                                                     Free Delivery       -18,100.00

APPLIED MATERIALS INC COM
                                                                     Acquisitions         41,700.00      -576,099.89
                                                                     Dispositions        -19,600.00                      317,539.59
                                                                     Free Delivery       -32,700.00

AQUILA INC DEL NEW COM
                                                                     Acquisitions         15,800.00      -118,500.00
                                                                     Dispositions        -42,400.00                      264,590.70
                                                                     Free Delivery       -24,300.00

ARAMARK CORP CL B
                                                                     Acquisitions          2,780.00       -59,870.51
                                                                     Dispositions         -1,000.00                       21,206.75
                                                                     Free Delivery          -580.00

ARCHER-DANIELS-MIDLAND CO COM
                                                                     Acquisitions         24,755.00      -302,822.62
                                                                     Dispositions        -25,400.00                      350,221.58
                                                                     Free Delivery      -117,100.00

AT&T CORP USD SR NT 7.8 DUE 11-15-2011/11-14-2011 BEO
                                                                     Dispositions       -235,000.00                      218,843.75
                                                                     Free Receipt        685,000.00

AT&T WIRELESS SVCS INC COM
                                                                     Acquisitions         65,800.00      -285,940.20




THE NORTHERN TRUST COMPANY                           *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703


                                     -43-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                            Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par      Acquisitions  Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
                                                                     Dispositions        -11,550.00                       56,708.77
                                                                     Free Delivery       -17,750.00

AUG TECH CORP COM STK ISIN#US05106U1051
                                                                     Acquisitions          2,500.00       -20,495.82
                                                                     Dispositions         -2,500.00                       13,102.37

AUTO DATA PROCESSING INC COM
                                                                     Acquisitions         15,900.00      -591,660.02
                                                                     Dispositions        -22,100.00                      782,110.84
                                                                     Free Delivery       -16,000.00

AVAYA INC COM
                                                                     Acquisitions         41,400.00       -74,624.82
                                                                     Free Delivery      -118,400.00

AVON PROD INC COM
                                                                     Acquisitions          1,700.00       -81,595.75
                                                                     Free Delivery       -13,500.00

BAKER HUGHES INC COM
                                                                     Acquisitions         14,700.00      -395,222.88
                                                                     Dispositions         -7,000.00                      235,090.71
                                                                     Free Delivery       -34,000.00

BANK N.Y. CO INC COM
                                                                     Acquisitions          8,000.00      -197,649.46
                                                                     Dispositions         -4,800.00                      153,779.41
                                                                     Free Delivery       -19,100.00

BANK ONE CORP COM
                                                                     Acquisitions         10,700.00      -403,713.22
                                                                     Dispositions        -19,500.00                      715,171.06
                                                                     Free Delivery      -101,500.00

BAXTER INTL INC COM
                                                                     Acquisitions         18,900.00      -602,323.88
                                                                     Dispositions        -50,200.00                    1,471,605.92
                                                                     Free Delivery       -65,900.00
BCE INC COM STK
                                                                     Acquisitions         12,800.00      -208,148.64
                                                                     Dispositions           -900.00                       16,163.51

BEA SYS INC COM
                                                                     Acquisitions          6,600.00       -43,243.42




THE NORTHERN TRUST COMPANY                           *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703


                                     -44-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                            Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par      Acquisitions  Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
                                                                     Dispositions         -4,200.00                       38,779.22

BEARINGPOINT INC COM
                                                                     Acquisitions         23,900.00      -187,832.04
                                                                     Dispositions         -1,200.00                        9,418.99
                                                                     Free Receipt          3,700.00

BECTON DICKINSON & CO COM
                                                                     Acquisitions          5,400.00      -162,963.00
                                                                     Free Delivery       -30,200.00

BED BATH BEYOND INC COM
                                                                     Acquisitions         16,500.00      -518,283.62
                                                                     Dispositions        -15,500.00                      502,017.12
                                                                     Free Delivery       -23,800.00

BENCHMARK ELECTRS INC COM
                                                                     Acquisitions          2,500.00       -66,491.00
                                                                     Dispositions         -2,500.00                       43,077.95

BEST BUY INC COM STK
                                                                     Acquisitions          2,190.00       -60,469.87
                                                                     Dispositions        -22,650.00                      480,891.01
                                                                     Free Delivery       -28,690.00

BIOMET INC COM
                                                                     Acquisitions          4,900.00      -145,464.34
                                                                     Dispositions         -4,900.00                      131,968.09

BIOVAIL CORP COM
                                                                     Acquisitions             90.00        -2,469.60
                                                                     Dispositions         -1,520.00                       32,567.69
                                                                     Free Delivery        -1,170.00

BISYS GROUP INC COM
                                                                     Acquisitions          2,040.00       -40,295.19
                                                                     Dispositions           -100.00                        2,466.68
                                                                     Free Delivery        -1,940.00

BJ SVCS CO COM
                                                                     Acquisitions         14,700.00      -428,670.47
                                                                     Dispositions         -9,740.00                      320,486.89
                                                                     Free Delivery        -9,360.00

BJS WHSL CLUB INC COM STK
                                                                     Acquisitions          6,500.00      -171,278.07




THE NORTHERN TRUST COMPANY                           *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703


                                     -45-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                            Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par      Acquisitions  Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
                                                                     Dispositions        -13,100.00                      233,756.95
                                                                     Free Delivery        -5,800.00

BK AMER CORP COM
                                                                     Acquisitions          2,400.00      -149,315.74
                                                                     Dispositions        -16,421.00                    1,123,948.57
                                                                     Free Delivery       -30,900.00

BLUE RHINO CORP COM
                                                                     Acquisitions            800.00       -13,904.00
                                                                     Dispositions         -1,570.00                       24,031.28
                                                                     Free Delivery        -2,130.00

BOEING CO COM
                                                                     Acquisitions         11,200.00      -346,854.10
                                                                     Dispositions        -10,600.00                      346,882.48
                                                                     Free Delivery        -8,200.00
                                                                     Free Receipt          5,700.00

BOISE CASCADE CORP COM
                                                                     Acquisitions          4,300.00      -109,899.64
                                                                     Free Delivery       -20,200.00

BORG WARNER INC COM
                                                                     Acquisitions            800.00       -44,364.56
                                                                     Dispositions           -800.00                       33,860.89

BRIGHT HORIZONS FAMILY SOLUTIONS INC COM
                                                                     Acquisitions          1,600.00       -39,169.94
                                                                     Dispositions           -700.00                       19,048.17

BRISTOL MYERS SQUIBB CO COM
                                                                     Acquisitions         31,400.00      -687,198.31
                                                                     Dispositions         -7,600.00                      195,506.97
                                                                     Free Delivery       -19,200.00

BROADCOM CORP CL A
                                                                     Acquisitions          2,200.00       -34,915.00
                                                                     Dispositions         -2,200.00                       40,120.25
                                                                     Free Delivery        -6,200.00

BROCADE COMMUNICATIONS SYS INC COM ISIN #US1116211087
                                                                     Acquisitions            800.00       -12,073.50
                                                                     Dispositions         -4,300.00                       26,246.99
                                                                     Free Delivery        -3,600.00




THE NORTHERN TRUST COMPANY                           *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703


                                     -46-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                            Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par      Acquisitions  Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
BSTN SCIENTIFIC CORP COM
                                                                     Acquisitions          4,280.00      -174,942.38
                                                                     Dispositions         -1,120.00                       38,446.57
                                                                     Free Delivery        -1,260.00

BURL RES INC COM
                                                                     Acquisitions          2,400.00       -98,472.00
                                                                     Dispositions        -11,700.00                      453,371.62
                                                                     Free Delivery       -10,300.00

CALPINE CORP COM
                                                                     Acquisitions          1,600.00        -9,520.00
                                                                     Dispositions        -13,400.00                       50,817.16
                                                                     Free Delivery       -11,700.00

CAP 1 FNCL COM
                                                                     Acquisitions         36,200.00    -1,240,208.42
                                                                     Dispositions        -17,400.00                      556,268.22
                                                                     Free Delivery        -6,700.00

CARDINAL HLTH INC
                                                                     Acquisitions          3,300.00      -203,534.40
                                                                     Dispositions        -23,700.00                    1,492,265.91
                                                                     Free Delivery       -60,800.00

CAREMARK RX INC COM
                                                                     Acquisitions          4,800.00       -84,422.00
                                                                     Free Delivery       -26,000.00
CARMAX INC COM
                                                                     Dispositions           -313.88                        5,131.09
                                                                     Free Delivery          -314.00
                                                                     Free Receipt            627.88

CATERPILLAR INC COM
                                                                     Acquisitions          7,700.00      -347,038.94
                                                                     Free Delivery       -19,100.00

CCC INFORMATION SVCS GROUP INC COM
                                                                     Acquisitions          1,750.00       -27,615.35
                                                                     Dispositions         -1,750.00                       31,046.99

CENDANT CORP COM STK
                                                                     Acquisitions         15,900.00      -187,394.29
                                                                     Free Delivery       -18,600.00




THE NORTHERN TRUST COMPANY                           *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703


                                     -47-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                            Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par      Acquisitions  Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
CEPHALON INC CON
                                                                     Acquisitions            500.00       -22,401.70
                                                                     Dispositions         -1,120.00                       57,295.53
                                                                     Free Delivery          -980.00

CHAMPPS ENTMT INC DEL COM
                                                                     Acquisitions            590.00        -6,521.27
                                                                     Dispositions         -1,300.00                       12,558.93
                                                                     Free Delivery        -3,590.00

CHARTER 1 FINCL INC COM
                                                                     Acquisitions          8,205.00      -243,510.22
                                                                     Dispositions         -3,860.00                      123,407.78
                                                                     Free Delivery        -6,580.00

CHEVRONTEXACO CORP COM
                                                                     Acquisitions          9,500.00      -665,338.58
                                                                     Dispositions         -1,600.00                      119,176.96
                                                                     Free Delivery       -33,500.00

CHUBB CORP COM
                                                                     Acquisitions          3,300.00      -180,751.44
                                                                     Dispositions           -800.00                       50,758.47
                                                                     Free Delivery       -19,300.00

CISCO SYS INC COM
                                                                     Acquisitions         75,700.00    -1,031,431.73
                                                                     Dispositions        -68,200.00                      932,557.38
                                                                     Free Delivery      -232,600.00

CITIGROUP INC COM
                                                                     Acquisitions         37,800.00    -1,192,972.63
                                                                     Dispositions        -27,400.00                      916,825.93
                                                                     Free Delivery      -158,900.00

CITY NATL CORP COM
                                                                     Acquisitions            480.00       -22,602.72
                                                                     Free Delivery          -580.00

CLEAR CHANNEL COMMUNICATIONS INC COM
                                                                     Acquisitions          7,100.00      -284,898.83
                                                                     Dispositions        -15,200.00                      476,200.32
                                                                     Free Delivery       -35,100.00
COACH INC COM




THE NORTHERN TRUST COMPANY                           *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703


                                     -48-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                            Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par      Acquisitions  Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
                                                                     Acquisitions          1,460.00       -34,756.39
                                                                     Dispositions         -1,500.00                       36,865.30
                                                                     Free Delivery          -580.00

COCA COLA CO COM
                                                                     Acquisitions         21,600.00    -1,052,795.15
                                                                     Dispositions         -7,600.00                      363,997.41
                                                                     Free Delivery        -3,600.00

COCA COLA ENTERPRISES INC COM
                                                                     Acquisitions         10,000.00      -220,784.98
                                                                     Dispositions         -1,600.00                       37,680.10

COGNOS INC COM
                                                                     Acquisitions          5,650.00      -125,946.94
                                                                     Dispositions         -1,250.00                       27,852.65

COLGATE-PALMOLIVE CO COM
                                                                     Acquisitions          5,500.00      -281,084.68
                                                                     Dispositions        -10,400.00                      555,890.64
                                                                     Free Delivery       -32,300.00

COM KROLL INC DEL
                                                                     Acquisitions            730.00       -14,121.00
                                                                     Free Delivery        -2,230.00

COMCAST CORP NEW CL A
                                                                     Dispositions             -0.50                           12.02
                                                                     Free Receipt         93,257.50

COMERICA INC COM
                                                                     Acquisitions          9,700.00      -385,671.00
                                                                     Dispositions         -4,300.00                      198,841.78
                                                                     Free Delivery        -6,700.00

COMPUTER NETWORK TECH CORP COM
                                                                     Acquisitions          2,100.00       -11,807.67
                                                                     Dispositions         -1,870.00                       12,258.04
                                                                     Free Delivery        -2,430.00

COMPUTER SCI CORP COM
                                                                     Acquisitions          8,200.00      -277,810.20
                                                                     Free Delivery       -22,700.00
COMPUWARE CORP COM
                                                                     Acquisitions         14,000.00       -55,510.12




THE NORTHERN TRUST COMPANY                           *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703


                                     -49-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------



                                                                                                            Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par      Acquisitions  Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
                                                                     Free Delivery      -138,000.00

COMSTOCK RES INC COM NEW
                                                                     Acquisitions          1,600.00       -10,681.21
                                                                     Free Delivery        -2,230.00

CONCORD EFS INC COM
                                                                     Acquisitions         15,900.00      -427,683.77
                                                                     Dispositions        -37,730.00                      732,302.79
                                                                     Free Delivery       -27,870.00

CORIXA CORP COM
                                                                     Acquisitions          2,000.00       -12,225.58
                                                                     Dispositions         -2,000.00                       14,448.49

COST PLUS INC CAL COM
                                                                     Acquisitions          2,500.00       -65,966.55
                                                                     Dispositions           -750.00                       23,045.23

COSTCO WHSL CORP NEW COM

                                                                     Acquisitions          5,500.00      -187,074.67
                                                                     Dispositions         -4,900.00                      146,873.58
                                                                     Free Delivery        -8,100.00

COVANSYS CORP COM
                                                                     Acquisitions          7,000.00       -27,760.00
                                                                     Dispositions         -7,000.00                       14,853.22

COX RADIO INC CL A
                                                                     Acquisitions            370.00        -8,387.77
                                                                     Dispositions           -530.00                       13,165.92
                                                                     Free Delivery        -2,140.00

CUMULUS MEDIA INC CL A DEL
                                                                     Acquisitions          1,220.00       -14,973.79
                                                                     Free Delivery        -2,720.00

CVS CORP COM STK
                                                                     Acquisitions          1,400.00       -35,070.00
                                                                     Dispositions         -5,700.00                      156,390.70
                                                                     Free Delivery       -14,500.00

CYMER INC COM
                                                                     Acquisitions          2,000.00       -54,037.13
                                                                     Dispositions         -1,000.00                       32,789.13
DAISYTEK INTL CORP COM




THE NORTHERN TRUST COMPANY                           *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703


                                     -50-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------



                                                                                                            Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par      Acquisitions  Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
                                                                     Acquisitions          1,300.00       -17,695.21
                                                                     Dispositions         -1,300.00                        8,343.27

DANAHER CORP COM
                                                                     Acquisitions          7,980.00      -483,257.08
                                                                     Dispositions           -600.00                       36,475.87
                                                                     Free Delivery        -1,080.00

DEAN FOODS CO NEW COM
                                                                     Acquisitions          2,500.00       -90,002.12
                                                                     Dispositions           -600.00                       23,085.77

DEL MONTE FOODS CO COM
                                                                     Dispositions         -5,895.00                       45,438.33
                                                                     Free Receipt          5,895.12

DELL COMPUTER CORP COM
                                                                     Acquisitions         69,400.00    -1,909,664.99
                                                                     Dispositions        -32,100.00                      813,434.48
                                                                     Free Delivery       -53,100.00

DELPHI CORP COM
                                                                     Acquisitions         87,400.00      -735,490.50
                                                                     Free Delivery       -88,800.00

DELTA AIR LINES INC COM
                                                                     Acquisitions          3,200.00       -52,421.13
                                                                     Dispositions        -18,800.00                      200,398.77
                                                                     Free Delivery       -14,200.00

DISNEY WALT CO DISNEY COM COM
                                                                     Acquisitions         18,200.00      -284,629.06
                                                                     Dispositions        -46,800.00                      739,031.55
                                                                     Free Delivery       -25,200.00

DOLLAR TREE STORES INC COM
                                                                     Acquisitions          1,400.00       -34,825.64
                                                                     Dispositions         -1,350.00                       38,918.06
                                                                     Free Delivery        -1,650.00

DOMINION RES INC VA NEW COM
                                                                     Acquisitions          2,600.00      -127,155.68
                                                                     Dispositions         -4,500.00                      275,652.21
                                                                     Free Delivery        -5,300.00
DONNELLEY R R & SONS CO COM




THE NORTHERN TRUST COMPANY                           *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703


                                     -51-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------



                                                                                                            Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par      Acquisitions  Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
                                                                     Acquisitions          7,800.00      -184,942.26
                                                                     Free Delivery       -42,800.00

DOW CHEM CO COM
                                                                     Acquisitions         27,086.00      -758,276.80
                                                                     Dispositions        -13,000.00                      382,827.61
                                                                     Free Delivery      -129,800.00

DUANE READE INC COM
                                                                     Acquisitions          1,200.00       -16,492.80
                                                                     Dispositions         -8,380.00                      148,795.40
                                                                     Free Delivery        -5,820.00

DUKE ENERGY CORP COM STK
                                                                     Acquisitions          1,200.00       -35,616.00
                                                                     Dispositions         -8,700.00                      195,369.39
                                                                     Free Delivery        -6,700.00

EASTMAN KODAK CO COM
                                                                     Acquisitions         22,600.00      -645,150.79
                                                                     Free Delivery       -36,800.00

EDO CORP COM
                                                                     Acquisitions            300.00        -5,425.68
                                                                     Dispositions           -810.00                       16,126.24
                                                                     Free Delivery        -4,270.00

EDWARDS J D & CO COM
                                                                     Acquisitions          4,000.00       -43,386.70
                                                                     Dispositions         -4,000.00                       53,369.58

EL PASO CORP COM
                                                                     Acquisitions         16,800.00      -264,184.00
                                                                     Dispositions        -55,600.00                      419,425.00
                                                                     Free Delivery       -35,400.00

ELECTR ARTS COM
                                                                     Acquisitions            200.00       -10,410.00
                                                                     Dispositions         -1,340.00                       86,660.51
                                                                     Free Delivery        -1,260.00

ELECTR DATA SYS CORP NEW COM
                                                                     Acquisitions          8,800.00      -237,585.45
                                                                     Dispositions         -7,900.00                      189,231.63
                                                                     Free Delivery       -32,000.00




THE NORTHERN TRUST COMPANY                           *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703


                                     -52-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------



                                                                                                            Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par      Acquisitions  Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
EMBREX INC COM
                                                                     Acquisitions            630.00        -8,215.70
                                                                     Dispositions           -900.00                       14,266.18
                                                                     Free Delivery        -2,230.00

EMC CORP COM
                                                                     Acquisitions          3,700.00       -26,026.68
                                                                     Dispositions        -27,000.00                      116,829.82
                                                                     Free Delivery       -17,200.00

EMERSON ELEC CO COM
                                                                     Acquisitions          2,700.00      -132,077.35
                                                                     Dispositions         -3,000.00                      135,908.18
                                                                     Free Delivery        -4,500.00

EMULEX CORP COM NEW
                                                                     Acquisitions          6,860.00       -81,844.75
                                                                     Dispositions         -6,800.00                      146,136.65
                                                                     Free Delivery        -1,360.00

ENGELHARD CORP COM
                                                                     Acquisitions          5,500.00      -133,653.85
                                                                     Free Delivery       -26,500.00

ENTERCOM COMMUNICATIONS CORP CL A
                                                                     Acquisitions            100.00        -3,982.04
                                                                     Dispositions         -1,490.00                       68,790.57
                                                                     Free Delivery        -3,110.00

EOG RESOURCES INC COM
                                                                     Acquisitions            100.00        -3,712.66
                                                                     Dispositions         -9,540.00                      333,860.56
                                                                     Free Delivery        -9,760.00

EQTY OFFICE PPTYS TR REIT
                                                                     Acquisitions         12,200.00      -317,125.68
                                                                     Free Delivery       -58,000.00

EQTY RESDNTL EFF 5/15/02
                                                                     Acquisitions          8,300.00      -208,303.00
                                                                     Free Delivery       -35,900.00

EUNIVERSE INC COM
                                                                     Acquisitions          4,900.00       -20,946.16
                                                                     Dispositions           -700.00                        2,996.18




THE NORTHERN TRUST COMPANY                           *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703


                                     -53-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------



                                                                                                            Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par      Acquisitions  Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
EXELON CORP COM
                                                                     Acquisitions         10,300.00      -490,573.55
                                                                     Dispositions         -1,300.00                       66,540.86
                                                                     Free Delivery        -5,300.00

EXTREME NETWORKS INC COM
                                                                     Acquisitions          6,100.00       -56,651.09
                                                                     Dispositions        -17,700.00                       83,152.79
                                                                     Free Delivery       -11,500.00

EXXON MOBIL CORP COM
                                                                     Acquisitions          8,300.00      -289,752.32
                                                                     Dispositions        -23,700.00                      797,851.02
                                                                     Free Delivery       -28,000.00

F P L GROUP INC COM
                                                                     Acquisitions          2,800.00      -149,715.40
                                                                     Dispositions         -3,800.00                      224,294.31
                                                                     Free Delivery        -4,200.00

FDRY NETWORKS INC COM
                                                                     Acquisitions         11,800.00       -87,066.18
                                                                     Dispositions         -8,300.00                       62,570.82

FEDEX CORP COM
                                                                     Acquisitions          4,600.00      -218,818.00
                                                                     Free Delivery       -45,400.00
FHLMC COM
                                                                     Acquisitions          3,100.00      -191,140.11
                                                                     Dispositions         -4,300.00                      266,175.37
                                                                     Free Delivery       -60,000.00

FIRST DATA CORP COM
                                                                     Acquisitions         15,400.00      -516,878.74
                                                                     Dispositions        -36,600.00                    1,140,135.73
                                                                     Free Delivery       -77,200.00

FISERV INC COM
                                                                     Acquisitions          1,490.00       -49,255.78
                                                                     Dispositions           -100.00                        3,358.89
                                                                     Free Delivery          -290.00

FLEETBOSTON FINL CORP COM STK
                                                                     Acquisitions         26,100.00      -538,026.65




THE NORTHERN TRUST COMPANY                           *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703


                                     -54-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------



                                                                                                            Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par      Acquisitions  Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
                                                                     Dispositions         -5,800.00                      152,254.51
                                                                     Free Delivery       -35,500.00

FLOWSERVE CORP COM
                                                                     Acquisitions             30.00          -557.41
                                                                     Dispositions         -3,000.00                       23,900.27
                                                                     Free Delivery        -2,330.00

FLUOR CORP NEW COM
                                                                     Acquisitions          7,500.00      -197,540.70
                                                                     Free Delivery       -26,200.00

FNMA COM STK
                                                                     Acquisitions         18,400.00    -1,254,711.36
                                                                     Dispositions         -1,900.00                      129,530.27
                                                                     Free Delivery       -26,100.00

FORD MTR CO DEL COM PAR $0.01
                                                                     Acquisitions          9,500.00      -117,515.00
                                                                     Dispositions        -13,400.00                      169,917.58
                                                                     Free Delivery       -37,000.00

FOREST LAB INC COM
                                                                     Acquisitions          2,300.00      -205,202.88
                                                                     Dispositions         -1,300.00                      122,771.52
                                                                     Free Delivery        -3,300.00

GA PAC CORP
                                                                     Acquisitions          9,700.00      -177,593.74
                                                                     Dispositions        -10,300.00                      123,905.25
                                                                     Free Delivery       -22,000.00

GAP INC COM
                                                                     Acquisitions         20,900.00      -245,826.86
                                                                     Free Delivery       -35,900.00
GEN ELEC CO COM
                                                                     Acquisitions         28,100.00      -765,053.36
                                                                     Dispositions        -59,200.00                    1,583,104.15
                                                                     Free Delivery      -198,300.00

GENENTECH INC COM STK
                                                                     Acquisitions          2,300.00       -66,965.52
                                                                     Dispositions         -7,600.00                      228,238.95
                                                                     Free Delivery       -11,500.00




THE NORTHERN TRUST COMPANY                           *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703


                                     -55-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------



                                                                                                            Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par      Acquisitions  Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
GENERAL MOTORS CORP COMMON STOCK
                                                                     Acquisitions          5,600.00      -202,717.76
                                                                     Dispositions         -2,900.00                      119,236.28
                                                                     Free Delivery       -10,200.00

GENUINE PARTS CO COM
                                                                     Acquisitions          8,700.00      -278,035.02
                                                                     Free Delivery       -63,000.00

GIC AEGON GLOBAL WRAP CNTRCT CDA00004TR RATE: 6.42% (BLEND**INC
                                                                     Acquisitions     27,997,328.34   -27,997,328.34
                                                                     Dispositions       -198,815.98                      198,815.98
                                                                     Free Delivery  -386,273,402.36

GILEAD SCI INC COM
                                                                     Acquisitions            620.00       -19,375.74
                                                                     Dispositions         -1,860.00                       64,654.01
                                                                     Free Delivery        -1,560.00

GILLETTE CO COM
                                                                     Acquisitions         28,100.00      -848,450.87
                                                                     Dispositions        -14,500.00                      440,330.65
                                                                     Free Delivery        -9,800.00

GOLDEN W. FNCL CORP COM
                                                                     Acquisitions          8,900.00      -553,378.95
                                                                     Dispositions        -10,900.00                      750,981.84
                                                                     Free Delivery       -44,700.00

GOLDMAN SACHS GROUP INC COM
                                                                     Acquisitions         10,200.00      -761,192.10
                                                                     Dispositions        -10,400.00                      707,487.53
                                                                     Free Delivery       -18,900.00

GOODRICH CORPORATION
                                                                     Acquisitions          7,110.00      -165,146.65
                                                                     Dispositions        -16,710.00                      275,075.52
                                                                     Free Delivery        -8,800.00

GULF IS FABRICATION INC COM
                                                                     Acquisitions            250.00        -4,051.55
                                                                     Free Delivery        -1,550.00

HANOVER COMPRESSOR CO COM (HOLDING COMPANY) COM
                                                                     Acquisitions         23,800.00      -206,910.71




THE NORTHERN TRUST COMPANY                           *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703


                                     -56-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------



                                                                                                            Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par      Acquisitions  Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
                                                                     Dispositions         -1,900.00                       12,908.20
                                                                     Free Delivery       -18,200.00

HARLEY DAVIDSON INC COM
                                                                     Acquisitions          4,100.00      -197,160.76
                                                                     Dispositions         -8,200.00                      415,954.65
                                                                     Free Delivery       -39,400.00

HARTFORD FINL SVCS GROUP INC COM
                                                                     Acquisitions          7,100.00      -344,121.08
                                                                     Dispositions         -2,900.00                      130,813.72
                                                                     Free Delivery       -18,100.00

HCA INC COM
                                                                     Acquisitions         19,200.00      -780,848.08
                                                                     Dispositions        -14,500.00                      612,438.03
                                                                     Free Delivery       -36,100.00

HERSHEY FOODS CORP COM
                                                                     Acquisitions          1,800.00      -131,845.47
                                                                     Dispositions         -1,300.00                       94,000.55

HEWLETT PACKARD CO COM
                                                                     Acquisitions         77,300.00    -1,072,313.82
                                                                     Dispositions        -51,300.00                      948,797.31
                                                                     Free Delivery      -175,700.00

HILTON HOTELS CORP COM
                                                                     Acquisitions            230.00        -2,671.16
                                                                     Dispositions         -1,980.00                       26,240.06
                                                                     Free Delivery        -4,950.00

HOME DEPOT INC COM
                                                                     Acquisitions          8,600.00      -255,600.00
                                                                     Dispositions        -61,000.00                    1,806,339.70
                                                                     Free Delivery      -154,900.00

HONEYWELL INTL INC COM STK
                                                                     Acquisitions          4,500.00      -128,495.59
                                                                     Dispositions         -6,100.00                      160,101.99
                                                                     Free Delivery       -11,400.00

HORIZON OFFSHORE INC COM
                                                                     Acquisitions          1,500.00        -8,535.00
                                                                     Dispositions         -7,300.00                       42,699.63




THE NORTHERN TRUST COMPANY                           *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703


                                     -57-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------



                                                                                                            Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par      Acquisitions  Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
                                                                     Free Delivery        -8,640.00

HOT TOPIC INC COM
                                                                     Acquisitions            700.00       -17,376.17
                                                                     Dispositions           -700.00                       12,564.62

HSEHD INTL INC COM
                                                                     Acquisitions          9,900.00      -221,616.60
                                                                     Dispositions        -23,800.00                      859,963.93
                                                                     Free Delivery       -39,900.00

HUB INTL LTD COM
                                                                     Acquisitions            600.00        -9,271.66
                                                                     Dispositions         -4,500.00                       54,088.36
                                                                     Free Delivery        -3,100.00

IDEC PHARMACEUTICALS CORP COM
                                                                     Acquisitions            300.00       -13,345.56
                                                                     Dispositions         -1,460.00                       61,595.49
                                                                     Free Delivery        -1,740.00

ILL TOOL WKS INC COM
                                                                     Acquisitions          2,600.00      -172,059.51
                                                                     Dispositions           -400.00                       26,260.20
                                                                     Free Delivery        -5,200.00

INSIGHT ENTERPRISES INC COM
                                                                     Acquisitions          3,000.00       -52,797.52
                                                                     Dispositions         -3,000.00                       31,487.85

INTEGRATED CIRCUIT SYS INC COM NEW COM STK
                                                                     Acquisitions          9,070.00      -130,778.93
                                                                     Dispositions        -11,620.00                      246,035.84
                                                                     Free Delivery        -4,650.00

INTEL CORP CAP
                                                                     Acquisitions         95,000.00    -1,517,609.01
                                                                     Dispositions        -91,064.00                    1,594,476.18
                                                                     Free Delivery      -134,700.00

INTER TEL INC COM
                                                                     Acquisitions          3,750.00       -79,124.36
                                                                     Dispositions         -2,550.00                       61,057.36

INTERSIL CORP
                                                                     Acquisitions            760.00       -15,271.92



THE NORTHERN TRUST COMPANY                           *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703


                                     -58-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                             Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par     Acquisitions   Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
                                                                     Dispositions         -2,040.00                       36,594.79
                                                                     Free Delivery        -2,320.00

INTL BUSINESS MACHS CORP COM
                                                                     Acquisitions          4,600.00      -366,074.96
                                                                     Dispositions           -500.00                       39,748.80
                                                                     Free Delivery        -5,100.00

INTL PAPER CO COM
                                                                     Acquisitions         11,500.00      -415,824.69
                                                                     Dispositions        -16,100.00                      621,284.70
                                                                     Free Delivery       -58,300.00

INTUIT COM
                                                                     Acquisitions          1,400.00       -64,538.64
                                                                     Dispositions           -500.00                       25,180.07

INVESTORS FINL SVCS CORP DEL COM
                                                                     Acquisitions          1,600.00       -47,704.00
                                                                     Dispositions           -900.00                       24,601.63

IVAX CORP COM
                                                                     Acquisitions          8,200.00      -100,980.00
                                                                     Free Delivery       -11,600.00

J P MORGAN CHASE & CO COM
                                                                     Acquisitions         27,400.00      -611,353.05
                                                                     Dispositions        -11,100.00                      257,818.11
                                                                     Free Delivery       -39,900.00

JABIL CIRCUIT INC COM
                                                                     Acquisitions          5,000.00       -91,113.33
                                                                     Dispositions         -2,400.00                       45,689.90
                                                                     Free Delivery        -7,100.00

JOHNSON & JOHNSON COM
                                                                     Acquisitions         25,700.00    -1,437,056.41
                                                                     Dispositions        -16,400.00                      817,329.25
                                                                     Free Delivery       -90,500.00

KLA-TENCOR CORP
                                                                     Acquisitions          3,500.00      -131,995.17
                                                                     Dispositions           -920.00                       38,628.00
                                                                     Free Delivery        -3,980.00

KOHLS CORP COM



THE NORTHERN TRUST COMPANY               *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703


                                     -59-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                             Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par     Acquisitions   Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
                                                                     Acquisitions         12,000.00      -744,497.84
                                                                     Dispositions        -20,400.00                    1,303,215.46
                                                                     Free Delivery      -108,800.00

KRAFT FOODS INC CL A
                                                                     Acquisitions          4,400.00      -174,483.49
                                                                     Dispositions        -12,400.00                      463,708.33
                                                                     Free Delivery        -6,700.00

KYPHON INC COM
                                                                     Acquisitions          1,500.00       -11,622.30
                                                                     Free Delivery        -2,040.00

LAB CORP AMER HLDGS COM NEW
                                                                     Acquisitions            900.00       -41,163.84
                                                                     Dispositions         -3,940.00                      136,401.22
                                                                     Free Delivery        -1,160.00

LAMAR ADVERTISING CO CL A COM
                                                                     Acquisitions             80.00        -2,312.00
                                                                     Dispositions           -320.00                        9,518.75
                                                                     Free Delivery        -1,560.00

LATTICE SEMICONDUCTOR CORP COM
                                                                     Acquisitions         12,500.00       -97,390.95
                                                                     Dispositions         -6,500.00                       46,458.78

LAUDER ESTEE COS INC CL A
                                                                     Acquisitions            400.00       -12,818.00
                                                                     Dispositions         -3,800.00                      112,927.11
                                                                     Free Delivery        -3,500.00

LEHMAN BROS HLDGS INC COM
                                                                     Acquisitions         11,400.00      -648,086.82
                                                                     Dispositions         -6,500.00                      330,767.86
                                                                     Free Delivery        -5,700.00

LIBERTY MEDIA CORP NEW COM SER A
                                                                     Acquisitions         21,769.00      -175,487.47
                                                                     Dispositions        -52,900.00                      419,284.42
                                                                     Free Delivery       -89,600.00

LINENS N THINGS INC COM
                                                                     Acquisitions          1,780.00       -37,409.06
                                                                     Dispositions         -3,580.00                       77,058.55



THE NORTHERN TRUST COMPANY               *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703



                                     -60-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                             Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par     Acquisitions   Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
                                                                     Free Delivery        -3,700.00

LOCKHEED MARTIN CORP COM
                                                                     Acquisitions         11,600.00      -713,913,04
                                                                     Free Delivery        -3,800.00

LOWES CORP COM
                                                                     Acquisitions         11,200.00      -504,022.24
                                                                     Free Delivery       -30,600.00

LOWES COS INC COM
                                                                     Acquisitions         13,800.00      -565,450.17
                                                                     Dispositions         -7,400.00                      291,195.86
                                                                     Free Delivery       -15,100.00

LTD BRANDS
                                                                     Acquisitions          7,800.00      -107,394.23
                                                                     Dispositions         -3,700.00                       61,706.05
                                                                     Free Delivery       -20,200.00

LUBRIZOL CORP COM
                                                                     Acquisitions          1,500.00       -43,200.00
                                                                     Free Delivery       -12,000.00

MARRIOTT INTL INC NEW COM STK CL A
                                                                     Acquisitions          2,000.00       -61,837.18
                                                                     Dispositions           -800.00                       28,715.13
                                                                     Free Delivery        -9,700.00

MASCO CORP COM
                                                                     Acquisitions          6,900.00      -131,376.00
                                                                     Free Delivery       -45,400.00

MATTEL INC COM
                                                                     Acquisitions          2,980.00       -54,559.29
                                                                     Dispositions           -100.00                        2,044.93
                                                                     Free Delivery          -680.00

MAXIM INTEGRATED PRODS INC COM
                                                                     Acquisitions         23,900.00      -891,558.01
                                                                     Dispositions        -17,200.00                      563,980.72
                                                                     Free Delivery       -17,600.00

MAY DEPT STORES CO COM
                                                                     Acquisitions         22,200.00      -542,412.48
                                                                     Free Delivery       -60,500.00



THE NORTHERN TRUST COMPANY               *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703



                                     -61-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                             Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par     Acquisitions   Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
MBIA INC COM
                                                                     Acquisitions          4,300.00      -197,021.00
                                                                     Free Delivery        -5,400.00

MBNA CORP COM
                                                                     Acquisitions         45,200.00      -843,359.62
                                                                     Dispositions        -30,450.00                      560,936.81
                                                                     Free Delivery      -186,900.00

MC DONALDS CORP COM
                                                                     Acquisitions         50,000.00      -989,287.24
                                                                     Dispositions        -11,000.00                      204,632.54
                                                                     Free Delivery       -60,100.00

MEDIMMUNE INC COM
                                                                     Acquisitions          4,900.00      -114,028.64
                                                                     Dispositions         -2,300.00                       59,736.61
                                                                     Free Delivery        -5,400.00

MEDTRONIC INC COM
                                                                     Acquisitions         22,500.00      -983,166.48
                                                                     Dispositions         -8,800.00                      321,623.23
                                                                     Free Delivery       -36,300.00

MELLON FINL CORP COM
                                                                     Acquisitions          3,800.00       -87,690.32
                                                                     Dispositions         -3,700.00                      104,823.99
                                                                     Free Delivery       -16,400.00

MERCK & CO INC COM
                                                                     Acquisitions         14,400.00      -804,665.00
                                                                     Dispositions        -21,300.00                    1,034,087.99
                                                                     Free Delivery       -16,900.00

MERCURY INTERACTIVE CORP COM
                                                                     Acquisitions          3,490.00       -88,479.02
                                                                     Dispositions         -8,910.00                      209,173.41
                                                                     Free Delivery        -6,480.00

MERRILL LYNCH & CO INC COM
                                                                     Acquisitions         10,200.00      -368,559.58
                                                                     Dispositions         -3,800.00                      133,436.43
                                                                     Free Delivery       -63,500.00

MICROCHIP TECH INC COM



THE NORTHERN TRUST COMPANY               *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703



                                     -62-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                             Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par     Acquisitions   Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
                                                                     Acquisitions          7,600.00      -172,954.02
                                                                     Dispositions         -8,480.00                      215,806.79
                                                                     Free Delivery        -2,720.00

MICROMUSE INC COM
                                                                     Acquisitions          7,000.00       -21,544.25
                                                                     Dispositions         -7,000.00                       26,118.91

MICRON TECH INC COM
                                                                     Acquisitions          1,400.00       -26,342.12
                                                                     Dispositions         -1,400.00                       26,451.66

MICROSOFT CORP COM
                                                                     Acquisitions         36,800.00    -1,793,463.19
                                                                     Dispositions        -11,800.00                      628,261.80
                                                                     Free Delivery      -114,800.00

MOLEX INC CL A
                                                                     Acquisitions          1,100.00       -23,549.35
                                                                     Dispositions         -1,540.00                       40,150.35
                                                                     Free Delivery        -1,160.00

MONSANTO CO NEW COM
                                                                     Acquisitions        339,029.00    -5,619,059.34
                                                                     Dispositions       -146,602.28                    2,497,972.00
                                                                     Free Delivery       -25,791.21
                                                                     Free Receipt      2,521,768.49

MONSANTO PARTICIPANT LOANS
                                                                     Acquisitions      4,365,580.14    -4,365,580.14
                                                                     Dispositions     -3,699,376.59                    3,699,376.59
                                                                     Free Delivery   -10,675,366.88

MORGAN STANLEY
                                                                     Acquisitions          6,000.00      -223,326.24
                                                                     Dispositions        -16,000.00                      603,997.55
                                                                     Free Delivery       -28,100.00

MTC TECHNOLOGIES INC COM
                                                                     Acquisitions          4,600.00       -78,460.00
                                                                     Dispositions         -1,100.00                       24,560.23

MYKROLIS CORP COM
                                                                     Acquisitions          6,600.00       -42,993.60
                                                                     Dispositions         -5,000.00                       37,903.65



THE NORTHERN TRUST COMPANY               *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703



                                     -63-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                             Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par     Acquisitions   Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
NABORS INDUSTRIES COM USD0.10
                                                                     Acquisitions            560.00       -20,255.66
                                                                     Dispositions           -200.00                        5,353.83
                                                                     Free Delivery        -1,260.00

NATIONAL-OILWELL INC COM
                                                                     Acquisitions            500.00       -10,773.95
                                                                     Dispositions         -3,470.00                       61,624.64
                                                                     Free Delivery        -5,530.00

NAVIGATORS GROUP INC COM
                                                                     Acquisitions            900.00       -21,830.76
                                                                     Free Delivery          -100.00

NCR CORP COM
                                                                     Acquisitions         13,300.00      -360,528.18
                                                                     Free Delivery       -18,200.00

NETWORK APPLIANCE INC DEL
                                                                     Acquisitions          2,400.00       -24,552.48
                                                                     Dispositions         -2,100.00                       22,187.85
                                                                     Free Delivery        -5,800.00

NEW YORK TIMES CO CL A ISIN #US6501111073
                                                                     Acquisitions            500.00       -21,715.50
                                                                     Dispositions           -700.00                       34,607.93
                                                                     Free Delivery        -8,500.00

NEWELL RUBBERMAID INC COM
                                                                     Acquisitions          2,300.00       -64,790.77
                                                                     Dispositions         -4,200.00                      136,119.29
                                                                     Free Delivery       -12,200.00

NOBLE CORPORATION COM
                                                                     Acquisitions          2,800.00       -94,552.44
                                                                     Dispositions           -940.00                       31,739.47
                                                                     Free Delivery        -4,460.00

NORDSTROM INC COM
                                                                     Acquisitions          5,500.00       -97,665.00
                                                                     Free Delivery       -60,500.00

NORTHROP GRUMMAN CORP COM NORTHROP GRUMMAN CORP (HLDG CO)
                                                                     Acquisitions          1,400.00      -147,709.01
                                                                     Dispositions           -800.00                       87,775.45



THE NORTHERN TRUST COMPANY               *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703



                                     -64-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                             Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par     Acquisitions   Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
                                                                     Free Delivery        -3,500.00

NOVA CHEMICALS CORP COM
                                                                     Acquisitions          5,800.00      -118,869.75
                                                                     Free Delivery       -23,300.00

NOVELLUS SYS INC COM
                                                                     Acquisitions          4,700.00      -158,353.22
                                                                     Free Delivery        -3,800.00

OCCIDENTAL PETE CORP COM
                                                                     Acquisitions         20,800.00      -557,685.64
                                                                     Dispositions        -10,300.00                      292,525.79
                                                                     Free Delivery       -77,500.00

ODYSSEY HEALTHCARE INC COM
                                                                     Acquisitions          1,250.00       -43,169.86
                                                                     Dispositions           -400.00                       12,386.14
                                                                     Free Delivery        -1,360.00

ORACLE CORP COM
                                                                     Acquisitions         31,400.00      -317,438.30
                                                                     Dispositions        -51,700.00                      524,005.07
                                                                     Free Delivery       -72,600.00

OSI PHARMACEUTICALS INC COM
                                                                     Acquisitions          2,200.00       -33,337.26
                                                                     Dispositions           -980.00                       14,965.60
                                                                     Free Delivery          -870.00

OUTBACK STEAKHOUSE INC COM
                                                                     Acquisitions            400.00       -12,642.04
                                                                     Dispositions         -1,140.00                       35,624.47
                                                                     Free Delivery        -1,460.00

OVERTURE SVCS INC COM STK
                                                                     Acquisitions          2,900.00       -67,188.99
                                                                     Dispositions         -2,900.00                       78,250.05

PACKETEER INC COM
                                                                     Acquisitions          4,000.00       -16,621.94
                                                                     Dispositions           -900.00                        6,938.79

PATTERSON-UTI ENERGY INC COM
                                                                     Acquisitions            270.00        -7,711.51
                                                                     Dispositions         -2,720.00                       67,203.56



THE NORTHERN TRUST COMPANY               *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703



                                     -65-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                             Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par     Acquisitions   Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
                                                                     Free Delivery        -5,050.00

PEOPLESOFT INC COM
                                                                     Acquisitions         18,800.00      -369,972.59
                                                                     Dispositions         -1,470.00                       24,807.10
                                                                     Free Delivery        -2,430.00

PEPSI BOTTLING GROUP INC COM STK ISIN US7134091005
                                                                     Acquisitions         18,200.00      -506,718.37
                                                                     Dispositions         -1,500.00                       43,897.67
                                                                     Free Delivery       -11,000.00

PEPSICO INC COM
                                                                     Acquisitions          8,300.00      -343,401.32
                                                                     Dispositions        -50,490.00                    2,119,259.92
                                                                     Free Delivery       -43,400.00

PERMA-FIX ENVIRONMENTAL SVCS INC COM
                                                                     Acquisitions          3,210.00        -8,886.98
                                                                     Free Delivery        -6,210.00

PEROT SYS CORP CDT-CL A COM STK
                                                                     Acquisitions          3,080.00       -33,555.65
                                                                     Dispositions         -5,020.00                       48,681.48
                                                                     Free Delivery        -4,960.00

PETSMART INC COM
                                                                     Acquisitions          2,500.00       -33,500.00
                                                                     Dispositions         -2,500.00
                                                                                                                          44,123.94
PFIZER INC COM
                                                                     Acquisitions         46,800.00    -1,464,417.93
                                                                     Dispositions        -35,600.00                    1,099,579.13
                                                                     Free Delivery      -244,600.00

PG&E NATL ENERGY GROUP INC SR NT 10.375 DUE
 05-16-2011/05-15-2011 BEO IN DEFAULT
                                                                     Acquisitions        100,000.00       -99,500.00
                                                                     Free Delivery      -535,000.00

PITNEY BOWES INC COM
                                                                     Acquisitions         15,300.00      -507,843.61
                                                                     Dispositions         -2,100.00                       66,914.08
                                                                     Free Delivery       -19,400.00

PNC FINANCIAL SERVICES GROUP COM STK
                                                                     Acquisitions          2,300.00       -93,944.51



THE NORTHERN TRUST COMPANY               *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703



                                     -66-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                             Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par     Acquisitions   Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
                                                                     Dispositions         -2,500.00                      107,633.61
                                                                     Free Delivery        -5,600.00

PRECISE SOFTWARE SOLUTIONS LTD
                                                                     Dispositions         -1,230.00                       12,404.17
                                                                     Free Delivery        -3,300.00
                                                                     Free Receipt          2,230.00

PROCTER & GAMBLE CO COM
                                                                     Acquisitions          3,300.00      -289,577.00
                                                                     Dispositions        -11,300.00                      975,442.84
                                                                     Free Delivery       -22,800.00

PROGRESSIVE CORP OH COM
                                                                     Acquisitions          9,800.00      -512,720.51
                                                                     Free Delivery        -2,000.00

PROSPERITY BANCSHARES INC COM
                                                                     Dispositions           -970.00                       18,962.92
                                                                     Free Delivery        -4,850.00
                                                                     Free Receipt          2,620.00

PROV HEALTHCARE CO COM
                                                                     Dispositions         -3,180.00                       53,435.50
                                                                     Free Delivery        -3,690.00
                                                                     Free Receipt          1,070.00

PVTPL AT&T CORP USD SR NT 144A 8 DUE 11-15-2031 BEO
                                                                     Acquisitions        300,000.00      -247,125.00
                                                                     Free Delivery      -900,000.00

QLOGIC CORP COM
                                                                     Acquisitions            600.00       -14,995.92
                                                                     Dispositions         -1,620.00                       60,328.40
                                                                     Free Delivery          -780.00

QUAKER CY BANCORP INC COM
                                                                     Acquisitions            600.00       -19,839.36
                                                                     Dispositions           -600.00
                                                                                                                          19,593.16
QUAKER FABRIC CORP NEW
                                                                     Acquisitions            900.00        -9,088.74
                                                                     Dispositions         -6,950.00                       45,761.64
                                                                     Free Delivery        -4,950.00

QUALCOMM INC COM



THE NORTHERN TRUST COMPANY               *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703



                                     -67-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                             Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par     Acquisitions   Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
                                                                     Acquisitions         10,400.00      -405,549.07
                                                                     Dispositions         -2,400.00                       97,312.05

QUEST DIAGNOSTICS INC COM
                                                                     Acquisitions            700.00       -57,481.74
                                                                     Dispositions         -2,020.00                      142,424.40
                                                                     Free Delivery          -380.00

RAYTHEON CO COM NEW
                                                                     Acquisitions         12,300.00      -358,603.86
                                                                     Dispositions         -3,400.00                      118,413.82
                                                                     Free Delivery       -18,300.00

REDBACK NETWORKS INC COM ISIN US7572091012
                                                                     Acquisitions         10,000.00        -9,453.00
                                                                     Dispositions        -10,000.00                       10,109.69

REGENT COMMUNICATIONS INC DEL COM STK ISIN# US7588651098
                                                                     Acquisitions            500.00        -2,997.25
                                                                     Free Delivery        -5,530.00

RETEK INC COM STK
                                                                     Acquisitions         12,400.00       -81,978.20
                                                                     Dispositions        -12,400.00                       27,496.52

RF MICRO DEVICES INC COM
                                                                     Acquisitions          4,000.00       -32,290.00
                                                                     Dispositions         -4,000.00                       42,332.83

RITA MED SYS INC DEL COM ISIN US76774E1038
                                                                     Acquisitions          1,200.00        -7,366.08
                                                                     Dispositions         -5,340.00                       42,996.37
                                                                     Free Delivery        -4,460.00

ROADWAY CORPORATION
                                                                     Acquisitions          1,750.00       -47,200.83
                                                                     Dispositions         -1,750.00                       65,223.70

ROCKWELL AUTOMATION
                                                                     Acquisitions         12,500.00      -244,604.37
                                                                     Dispositions        -10,500.00                      215,713.60

ROHM & HAAS CO COM
                                                                     Acquisitions          6,500.00      -215,779.08
                                                                     Dispositions         -3,400.00                      117,888.76
                                                                     Free Delivery       -37,800.00



THE NORTHERN TRUST COMPANY               *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703



                                     -68-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                             Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par     Acquisitions   Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
ROSLYN BANCORP INC COM
                                                                     Acquisitions            230.00        -4,650.05
                                                                     Dispositions         -3,000.00                       50,656.11
                                                                     Free Delivery        -2,230.00

ROXIO INC COM
                                                                     Acquisitions          1,260.00        -9,611.14
                                                                     Dispositions         -2,900.00                       11,130.15
                                                                     Free Delivery        -1,260.00

SAFENET INC COM
                                                                     Acquisitions          1,900.00       -37,643.87
                                                                     Dispositions           -700.00                       16,621.99

SAFEWAY INC COM NEW
                                                                     Acquisitions          2,900.00       -64,438.00
                                                                     Free Delivery       -15,800.00

SARA LEE CORP COM
                                                                     Acquisitions          4,500.00       -84,570.75
                                                                     Free Delivery       -29,800.00

SBC COMMUNICATIONS INC COM
                                                                     Acquisitions          6,600.00      -158,773.00
                                                                     Dispositions        -19,000.00                      477,813.88
                                                                     Free Delivery       -39,000.00

SCHERING-PLOUGH CORP COM
                                                                     Acquisitions         46,200.00      -962,069.53
                                                                     Dispositions         -4,200.00                       91,142.53
                                                                     Free Delivery      -106,500.00

SCHLUMBERGER LTD COM STK
                                                                     Acquisitions          3,700.00      -148,185.10
                                                                     Dispositions         -1,600.00                       69,491.38
                                                                     Free Delivery       -11,700.00

SEARS ROEBUCK & CO COM
                                                                     Acquisitions         21,300.00      -643,990.89
                                                                     Dispositions           -500.00                       23,574.28
                                                                     Free Delivery       -10,000.00

SEMTECH CORP
                                                                     Acquisitions          3,620.00       -46,192.08
                                                                     Dispositions         -8,430.00                      131,730.64



THE NORTHERN TRUST COMPANY               *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703



                                     -69-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                             Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par     Acquisitions   Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
                                                                     Free Delivery        -3,790.00

SENSYS TECHNOLOGIES INC COM
                                                                     Acquisitions          2,700.00       -21,600.00
                                                                     Dispositions           -600.00                        6,299.80

SIEBEL SYS INC COM
                                                                     Acquisitions          1,000.00       -13,040.00
                                                                     Dispositions        -11,300.00                      116,988.45
                                                                     Free Delivery        -9,500.00

SILICON LABORATORIES INC COM
                                                                     Acquisitions          1,500.00       -35,582.47
                                                                     Dispositions         -1,500.00                       37,643.31

SLM CORP COM
                                                                     Acquisitions            200.00       -18,280.00
                                                                     Dispositions           -400.00                       40,482.77
                                                                     Free Delivery          -100.00

SMITH INTL INC COM
                                                                     Acquisitions            800.00       -24,450.80
                                                                     Dispositions           -530.00                       18,691.14
                                                                     Free Delivery          -480.00

SOLUTIA INC COM STK
                                                                     Dispositions        -76,014.00                      373,371.33
                                                                     Free Delivery      -503,405.00
                                                                     Free Receipt         12,340.00

SONIC AUTOMOTIVE INC CL A
                                                                     Acquisitions          3,000.00       -44,856.78
                                                                     Dispositions         -4,720.00                       94,262.60
                                                                     Free Delivery        -3,780.00

SPRINT CORP PCS COM SER 1
                                                                     Acquisitions          1,900.00        -7,800.00
                                                                     Dispositions        -34,600.00                      112,650.29
                                                                     Free Delivery       -15,300.00

SPX CORP COM
                                                                     Acquisitions            400.00       -41,823.28
                                                                     Dispositions           -110.00                       10,368.42
                                                                     Free Delivery          -290.00

ST JUDE MED INC COM



THE NORTHERN TRUST COMPANY               *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703



                                     -70-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                             Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par     Acquisitions   Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
                                                                     Acquisitions          1,900.00       -65,967.69
                                                                     Dispositions         -1,340.00                       49,336.07
                                                                     Free Delivery          -880.00

ST PAUL COS INC COM
                                                                     Acquisitions          7,900.00      -244,482.37
                                                                     Dispositions        -16,800.00                      486,707.96
                                                                     Free Delivery       -53,200.00

ST STR CORP COM
                                                                     Acquisitions          2,500.00      -108,363.00
                                                                     Dispositions         -7,700.00                      307,081.53
                                                                     Free Delivery        -7,500.00

STARBUCKS CORP COM
                                                                     Acquisitions          7,470.00      -157,924.72
                                                                     Dispositions         -1,220.00                       26,741.26
                                                                     Free Delivery       -10,550.00

STARWOOD HOTELS & RESORTS WORLDWIDE INC PAIRED
 CTF 1 CL B SH BEN INT STARWOOD
                                                                     Acquisitions         10,610.00      -262,355.51
                                                                     Dispositions         -6,390.00                      152,994.38
                                                                     Free Delivery       -12,420.00

STERLING BANCSHARES INC COM
                                                                     Acquisitions          1,660.00       -18,608.24
                                                                     Free Delivery        -1,260.00

STORAGE TECH CORP COM (NEW)
                                                                     Acquisitions          7,100.00       -91,844.68
                                                                     Dispositions         -3,800.00                       85,435.56
                                                                     Free Delivery       -36,500.00

STRYKER CORP COM
                                                                     Acquisitions            590.00       -30,027.70
                                                                     Dispositions           -700.00                       41,323.41
                                                                     Free Delivery          -390.00

SUNGARD DATA SYS INC COM
                                                                     Acquisitions          1,790.00       -38,508.59
                                                                     Dispositions         -1,100.00                       24,868.83
                                                                     Free Delivery          -490.00

SWIFT TRANSN INC COM
                                                                     Acquisitions            220.00        -4,122.83



THE NORTHERN TRUST COMPANY               *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703



                                     -71-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                             Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par     Acquisitions   Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
                                                                     Dispositions         -2,000.00                       37,357.18
                                                                     Free Delivery        -2,520.00

SYMANTEC CORP COM
                                                                     Acquisitions          3,600.00      -121,399.28
                                                                     Dispositions           -840.00                       33,717.91
                                                                     Free Delivery        -1,260.00

SYSCO CORP COM
                                                                     Acquisitions          5,700.00      -155,674.98
                                                                     Dispositions         -6,600.00                      196,346.99
                                                                     Free Delivery        -9,200.00

TARGET CORP COM
                                                                     Acquisitions         11,000.00      -385,168.12
                                                                     Dispositions        -41,700.00                    1,262,398.01
                                                                     Free Delivery       -52,900.00

TCF FNCL CORP COM
                                                                     Acquisitions            790.00       -37,391.10
                                                                     Free Delivery          -390.00

TENET HEALTHCARE CORP COM
                                                                     Acquisitions         16,650.00      -701,077.60
                                                                     Dispositions        -64,500.00                    1,279,391.13
                                                                     Free Delivery       -50,000.00

TEXTRON INC COM
                                                                     Acquisitions         13,200.00      -500,190.39
                                                                     Dispositions         -6,500.00                      235,346.15
                                                                     Free Delivery        -5,800.00

THERMO ELECTRON CORP COM
                                                                     Acquisitions          3,300.00       -54,582.00
                                                                     Free Delivery       -57,300.00

T-HQ INC COM NEW
                                                                     Acquisitions          1,460.00       -32,891.70
                                                                     Dispositions         -5,820.00                       77,686.63
                                                                     Free Delivery        -5,240.00

TIFFANY & CO COM
                                                                     Acquisitions            900.00       -19,353.60
                                                                     Dispositions         -1,500.00                       47,969.57
                                                                     Free Delivery       -16,700.00



THE NORTHERN TRUST COMPANY               *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703



                                     -72-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                             Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par     Acquisitions   Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
TJX COS INC COM NEW
                                                                     Acquisitions          1,300.00       -22,848.52
                                                                     Dispositions         -2,060.00                       38,468.88
                                                                     Free Delivery        -2,040.00

TORCHMARK CORP COM
                                                                     Acquisitions          3,800.00      -138,266.00
                                                                     Free Delivery       -32,800.00

TOWER AUTOMOTIVE INC COM
                                                                     Acquisitions          1,980.00       -15,917.16
                                                                     Dispositions         -7,000.00                       38,181.04
                                                                     Free Delivery        -3,980.00

TRANSOCEAN INC
                                                                     Acquisitions         12,000.00      -258,339.84
                                                                     Dispositions         -4,200.00                      111,250.86
                                                                     Free Delivery       -27,700.00

TRAVELERS PPTY CAS CORP NEW CL A
                                                                     Acquisitions         26,000.00      -371,642.68
                                                                     Dispositions         -1,164.44                       18,926.14
                                                                     Free Delivery       -30,200.00
                                                                     Free Receipt          5,017.44

TRAVELERS PPTY CAS CORP NEW CL B
                                                                     Dispositions         -2,391.62                       41,939.03
                                                                     Free Receipt         10,308.62

TRIAD HOSPS INC COM ISIN US89579K1097
                                                                     Acquisitions          2,170.00       -70,327.60
                                                                     Dispositions         -3,570.00                      120,583.23
                                                                     Free Delivery        -3,100.00

TRITON PCS HLDGS INC CL A COM STK
                                                                     Acquisitions          7,300.00       -22,153.72
                                                                     Dispositions         -4,450.00                       16,602.72
                                                                     Free Delivery        -1,750.00

TX INSTRS INC COM
                                                                     Acquisitions         38,200.00      -608,245.29
                                                                     Dispositions        -15,500.00                      332,027.37
                                                                     Free Delivery       -32,400.00

TXU CORP COM



THE NORTHERN TRUST COMPANY               *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703



                                     -73-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                             Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par     Acquisitions   Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
                                                                     Acquisitions          1,800.00       -79,520.00
                                                                     Free Delivery       -22,100.00

ULTIMATE ELECTRS INC COM
                                                                     Acquisitions          2,200.00       -26,517.72
                                                                     Dispositions         -2,200.00                       31,158.77
UN PAC CORP COM
                                                                     Acquisitions          3,800.00      -224,792.00
                                                                     Dispositions         -5,700.00                      354,653.98
                                                                     Free Delivery       -42,200.00

UN PAC RR CO PASS THRU TR PASS THRU CTF SER 1999-A 7.6
 DUE 01-02-2020 BEO
                                                                     Free Delivery    -2,981,672.53
                                                                     Free Receipt      1,490,000.00

UNITEDHEALTH GROUP INC COM
                                                                     Acquisitions          9,100.00      -838,758.85
                                                                     Dispositions        -16,500.00                    1,386,270.00
                                                                     Free Delivery       -48,000.00

UNIVISION COMMUNICATIONS INC CL A
                                                                     Acquisitions          3,200.00       -71,774.29
                                                                     Dispositions         -1,920.00                       48,266.43
                                                                     Free Delivery       -12,080.00

UNOCAL CORP COM
                                                                     Acquisitions         10,000.00      -307,885.00
                                                                     Free Delivery       -59,900.00

UNUMPROVIDENT CORP COM
                                                                     Acquisitions         10,500.00      -209,945.65
                                                                     Free Delivery       -39,700.00

UNVL HEALTH SERVICES INC CL B COM
                                                                     Acquisitions          1,400.00       -64,114.41
                                                                     Dispositions         -7,240.00                      384,177.70
                                                                     Free Delivery       -15,560.00

US BANCORP
                                                                     Acquisitions          3,000.00       -57,463.84
                                                                     Dispositions         -2,200.00                       47,540.56
                                                                     Free Delivery       -22,100.00

US TREAS NTS BD INFLATION INDEXED TIPS 3
 DUE 07-15-2012 REG
                                                                     Acquisitions      1,925,000.00    -1,909,850.13



THE NORTHERN TRUST COMPANY               *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703



                                     -74-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                             Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par     Acquisitions   Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
                                                                     Dispositions     -1,445,000.00                    1,547,270.23

USA INTERACTIVE COM STK
                                                                     Acquisitions          1,200.00       -26,034.48
                                                                     Dispositions         -9,000.00                      219,481.15
                                                                     Free Delivery        -6,700.00

UTD TECHNOLOGIES CORP COM
                                                                     Acquisitions          3,300.00      -189,890.83
                                                                     Dispositions           -200.00                       12,975.60
                                                                     Free Delivery       -14,000.00

UTD THERAPEUTICS CORP DEL COM STK
                                                                     Acquisitions          1,300.00       -16,211.89
                                                                     Dispositions           -200.00                        3,083.34

UTSTARCOM INC COM
                                                                     Acquisitions          1,280.00       -16,037.55
                                                                     Dispositions         -5,440.00                       95,180.47
                                                                     Free Delivery        -6,990.00

V F CORP COM
                                                                     Acquisitions          3,500.00      -118,540.50
                                                                     Free Delivery       -27,400.00

VARIAN MED SYS INC COM ISIN #US9222091057
                                                                     Acquisitions            190.00        -7,535.40
                                                                     Dispositions         -2,450.00                      100,189.31
                                                                     Free Delivery        -2,340.00

VERITAS SOFTWARE CORP COM
                                                                     Acquisitions          4,400.00       -75,369.21
                                                                     Dispositions        -14,620.00                      239,651.08
                                                                     Free Delivery       -29,280.00

VERIZON COMMUNICATIONS COM
                                                                     Acquisitions          4,600.00      -163,373.71
                                                                     Dispositions         -2,300.00                       81,980.38
                                                                     Free Delivery       -32,700.00

VIACOM COM CL B
                                                                     Acquisitions         43,200.00    -1,605,590.97
                                                                     Dispositions        -16,800.00                      688,927.57
                                                                     Free Delivery       -93,000.00

VIRAGE LOGIC CORP COM



THE NORTHERN TRUST COMPANY               *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703



                                     -75-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                             Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par     Acquisitions   Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
                                                                     Acquisitions            140.00        -1,160.60
                                                                     Dispositions           -300.00                        2,760.93
                                                                     Free Delivery        -1,940.00

VISTEON CORP COM
                                                                     Acquisitions          4,300.00       -48,081.74
                                                                     Dispositions        -28,400.00                      196,380.04
                                                                     Free Delivery       -20,000.00

WACHOVIA CORP 2ND NEW COM
                                                                     Acquisitions         15,400.00      -521,025.77
                                                                     Dispositions        -11,900.00                      376,036.00
                                                                     Free Delivery       -81,600.00

WALGREEN CO COM
                                                                     Acquisitions         14,500.00      -478,381.12
                                                                     Dispositions         -1,400.00                       40,356.43
                                                                     Free Delivery       -76,400.00

WAL-MART STORES INC COM
                                                                     Acquisitions         30,600.00    -1,532,391.01
                                                                     Dispositions        -10,500.00                      550,988.07
                                                                     Free Delivery       -86,300.00

WEATHERFORD INTL LTD
                                                                     Acquisitions            180.00        -6,580.93
                                                                     Dispositions            -20.00                          883.17
                                                                     Free Delivery        -1,160.00

WEBEX INC COM
                                                                     Acquisitions          3,500.00       -48,612.68
                                                                     Dispositions         -3,500.00                       36,184.61

WEBSENSE INC COM STK ISIN# US9476841062
                                                                     Acquisitions            900.00       -15,624.29
                                                                     Dispositions           -100.00                        2,100.93

WELLPOINT HLTH NETWORKS INC CL A (NEW) DELAW EFF 8-4-97
                                                                     Acquisitions          1,140.00       -86,572.27
                                                                     Dispositions         -9,260.00                      691,441.06
                                                                     Free Delivery       -23,180.00

WEYERHAEUSER CO COM
                                                                     Acquisitions          1,900.00       -99,596.27
                                                                     Dispositions         -5,900.00                      289,020.83



THE NORTHERN TRUST COMPANY               *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703



                                     -76-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                             Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par     Acquisitions   Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
                                                                     Free Delivery        -9,300.00

WHIRLPOOL CORP COM
                                                                     Acquisitions          3,700.00      -192,843.50
                                                                     Free Delivery       -24,600.00

WILLIAMS SONOMA INC COM
                                                                     Acquisitions            770.00       -19,960.66
                                                                     Dispositions         -1,730.00                       43,476.22
                                                                     Free Delivery        -1,740.00

WILLIS GROUP HOLDINGS COM
                                                                     Acquisitions          3,180.00       -96,278.59
                                                                     Dispositions         -1,200.00                       40,553.59
                                                                     Free Delivery          -680.00
WIND RIV SYS INC COM
                                                                     Acquisitions          7,000.00       -32,317.98
                                                                     Dispositions         -7,000.00                       34,982.40

WOMEN 1ST HEALTHCARE INC COM
                                                                     Acquisitions          1,800.00        -9,123.48
                                                                     Dispositions         -2,500.00                       13,376.74
                                                                     Free Delivery        -4,370.00

WYETH COM
                                                                     Acquisitions         57,100.00    -1,984,586.06
                                                                     Dispositions        -38,000.00                    1,293,682.14
                                                                     Free Delivery       -51,100.00

XEROX CORP COM
                                                                     Acquisitions         69,500.00      -418,895.00
                                                                     Free Delivery      -245,700.00

XILINX INC COM
                                                                     Acquisitions          1,600.00       -32,673.35
                                                                     Dispositions         -5,500.00                      111,281.29
                                                                     Free Delivery        -3,100.00

XL CAP LTD SHS A
                                                                     Acquisitions          3,400.00      -254,878.27
                                                                     Dispositions         -4,800.00                      383,460.78
                                                                     Free Delivery        -8,400.00

XTO ENERGY INC COM
                                                                     Acquisitions          2,100.00       -47,901.15



THE NORTHERN TRUST COMPANY               *Generated by The Northern Trust Company from periodic data on 18 Jun 03 C0703



                                     -77-




MONSANTO SAVINGS AND INVESTMENT PLAN


SCHEDULE OF ASSETS HELD FOR INVESTMENT ACQUIRED AND DISPOSED OF WITHIN THE PLAN YEAR ENDED DECEMBER 31, 2002
-----------------------------------------------------------------------------------------------------------------------------------


                                                                                                             Cost of    Proceeds of
Security Description                                                 Transaction         Shares/Par     Acquisitions   Dispositions
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                         
                                                                     Dispositions           -100.00                        2,500.39

ZIMMER HLDGS INC COM
                                                                     Acquisitions          6,700.00      -256,173.05
                                                                     Dispositions           -700.00                       28,569.12

ZORAN CORP COM
                                                                     Acquisitions          2,000.00       -30,109.96
                                                                     Dispositions           -400.00                        8,019.75








                                     -78-




MONSANTO SAVINGS AND INVESTMENT PLAN
SUPPLEMENTAL SCHEDULE 3
------------------------------------------------------------------------------


                     SCHEDULE OF REPORTABLE TRANSACTIONS

                           FOR THE PLAN YEAR ENDED

                              DECEMBER 31, 2002



                                    -79-




MONSANTO SAVINGS AND INVESTMENT PLAN

SCHEDULE OF REPORTABLE TRANSACTIONS FOR THE PLAN YEAR ENDED DECEMBER 31, 2002
------------------------------------------------------------------------------

                          5% REPORT - PART A SUMMARY
                      SINGLE TRANSACTION IN EXCESS OF 5%

                     There are no reportable transactions

NOTE: TRANSACTIONS ARE BASED ON THE 12/31/01 VALUE (INCLUDING ACCRUALS) OF
MONSANTO CO. PLAN ASSETS OF $1,442,811,597

==============================================================================

                          5% REPORT - PART B SUMMARY
      SERIES OF NON-SECURITY TRANSACTIONS WITH SAME PARTY IN EXCESS OF 5%

                     There are no reportable transactions

NOTE: TRANSACTIONS ARE BASED ON THE 12/31/01 VALUE (INCLUDING ACCRUALS) OF
MONSANTO CO. PLAN ASSETS OF $1,442,811,597

==============================================================================

                          5% REPORT - PART C SUMMARY
                SERIES OF TRANSACTIONS BY ISSUE IN EXCESS OF 5%



                                                  NUMBER OF                                                       CURRENT VALUE OF
    SECURITY DESCRIPTION                         TRANSACTIONS   PURCHASE PRICE      SALE PRICE    COST OF ASSET      TRANSACTION
                                                                                                 
MFO FFTW FDS INC U.S. SHORT
TERM PORTFOLIO                  Total Sales           43                          46,270,000.00   46,392,964.35     46,270,000.00
                                Total Purchases       55         36,722,443.36                    36,722,443.36     36,722,443.36

PHARMACIA CORP. STOCK MERGER    Total Sales           72                         125,250,269.78   48,728,568.41    125,250,269.78
                                Total Purchases       17          7,104,837.81                     7,104,837.81      7,104,837.81

MONSANTO COMPANY                Total Sales           23                           2,497,972.00    1,806,806.10      2,497,972.00
                                Total Purchases       59         95,098,109.96                    95,098,109.96     95,098,109.96


NOTE: TRANSACTIONS ARE BASED ON THE 12/31/01 VALUE (INCLUDING ACCRUALS) OF
MONSANTO CO. PLAN ASSETS OF $1,442,811,597

==============================================================================

                          5% REPORT - PART D SUMMARY
            SERIES OF TRANSACTIONS WITH SAME PARTY IN EXCESS OF 5%

                     There are no reportable transactions

NOTE: TRANSACTIONS ARE BASED ON THE 12/31/01 VALUE (INCLUDING ACCRUALS) OF
MONSANTO CO. PLAN ASSETS OF $1,442,811,597




                                     -80-







                                  SIGNATURE


Pursuant to the requirements of the Securities Exchange Act of 1934, the
trustees (or other persons who administer the employee benefit plan) have
duly caused this annual report to be signed on its behalf by the undersigned
hereunto duly authorized.


                             MONSANTO SAVINGS AND INVESTMENT PLAN


                             By: /s/ WILMA K. SCHOPP
                                 ----------------------------------------------
                             Wilma K. Schopp, Chairperson of the
                             Monsanto Company Employee Benefits Plan Committee,
                             Administrator of the Plan


June 26, 2003


                                    -81-




                                EXHIBIT INDEX

Exhibit
Number                     Description
------                     -----------
     23.1                  Independent Auditors' Consent

     99                    Certification Pursuant to 18 U.S.C. Section 1350,
                           as Adopted Pursuant to Section 906 of the
                           Sarbanes-Oxley Act of 2002


                                    -82-