SECURITIES AND EXCHANGE COMMISSION WASHINGTON, DC 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, 2003 OR [ ] TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 Commission File Number 1-3215 ------------------------------ ALZA CORPORATION TAX DEFERRAL INVESTMENT PLAN (Full title of the Plan) JOHNSON & JOHNSON ONE JOHNSON & JOHNSON PLAZA NEW BRUNSWICK, NEW JERSEY 08933 (Name of issuer of the securities held pursuant to the Plan and the address of its principal executive office) Item 4. Financial Statements and Exhibits Report of Independent Registered Public Accounting Firm Statement of Net Assets Available for Benefits Statement of Changes in Net Assets Available for Benefits Notes to Financial Statements Supplemental Schedule: Schedule of Assets Held for Investment Purposes Consent of Morris, Davis & Chan, LLP, dated June 18, 2004 The Plan. 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. ALZA CORPORATION TAX DEFERRAL INVESTMENT PLAN By: /s/ D.R. Hoffmann -------------------------- D.R. Hoffmann, Trustee June 24, 2004 ALZA CORPORATION TAX DEFERRAL INVESTMENT PLAN ----------------- FINANCIAL STATEMENTS AND SUPPLEMENTAL SCHEDULE AS OF AND FOR THE YEARS ENDED DECEMBER 31, 2003 AND 2002 ALZA CORPORATION TAX DEFERRAL INVESTMENT PLAN TABLE OF CONTENTS Report of Independent Registered Public Accounting Firm 1 Statement of Net Assets Available for Benefits 2 Statement of Changes in Net Assets Available for Benefits 3 Notes to Financial Statements 4-10 Supplemental Schedule: 11 Schedule of Assets Held for Investment Purposes 12-24 i REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM Pension Committee Johnson & Johnson ALZA CORPORATION TAX DEFERRAL INVESTMENT PLAN We have audited the accompanying statement of net assets available for benefits of the ALZA CORPORATION TAX DEFERRAL INVESTMENT PLAN (the Plan) as of December 31, 2003 and 2002, and the related statement of changes in net assets available for benefits for the years then ended. 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 the standards of the Public Company Accounting Oversight Board (United States). Those 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, the financial statements referred to above present fairly, in all material respects, the net assets available for benefits of the Plan at December 31, 2003 and 2002, and the changes in its net assets available for benefits for the years then ended, in conformity with accounting principles generally accepted in the United States of America. Our audits were made for the purpose of forming an opinion on the basic financial statements taken as a whole. The accompanying supplemental schedule of assets held for investment purposes as of December 31, 2003 is presented for the purpose of complying with the Department of Labor's Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974, and is not a required part of the basic financial statements. The supplemental schedule has been subjected to the auditing procedures applied in our audit of the basic financial statements and, in our opinion, is fairly stated in all material respects in relation to the basic financial statements taken as a whole. June 18, 2004 Oakland, California ALZA CORPORATION TAX DEFERRAL INVESTMENT PLAN Statement of Net Assets Available for Benefits December 31, 2003 and 2002 2003 2002 ------------ ------------ Investments at fair value: Mutual funds: Merrill Lynch Ready Asset Trust $ 16,216,024 $ 18,006,196 Merrill Lynch Basic Value 13,108,200 10,130,993 Merrill Lynch Corporate Bond 4,515,648 4,384,311 Merrill Lynch Balanced Capital 3,735,789 3,197,689 Merrill Lynch Global Allocation 3,801,829 3,209,991 John Hancock Emerging Growth 2,319,984 1,940,668 Templeton International 2,145,532 1,653,964 Alliance New Europe 106,673 82,426 Alliance Premier Growth 908,971 804,500 Fidelity Advisor Overseas 311,924 130,143 Franklin California Growth 2,488,012 1,505,786 Merrill Lynch Healthcare 1,629,900 1,313,207 Merrill Lynch International Index 416,048 305,220 Merrill Lynch Pacific 281,205 62,981 Merrill Lynch Small Cap Index 744,425 297,577 Merrill Lynch S&P 500 Index 8,050,054 6,001,171 Merrill Lynch Fundamental Growth 6,494,062 5,198,889 Munder NetNet 762,088 315,956 PIMCO Small Cap Value 1,099,099 801,285 Other investments: Retirement Cash Management Account 25,206,774 24,584,885 Johnson & Johnson Common Stock 40,127,924 46,203,705 Participant loans 1,230,808 1,052,603 ------------ ------------ Total investments 135,700,973 131,184,146 Cash 42,953 754,256 Employer contributions receivable -- 1,717,217 Accrued interest and dividends receivable 24,844 24,463 Receivable for investment sold 43,934 -- ------------ ------------ Net assets available for benefits $135,812,704 $133,680,082 ============ ============ See accompanying notes to financial statements. 2 ALZA CORPORATION TAX DEFERRAL INVESTMENT PLAN Statement of Changes in Net Assets Available for Benefits Years Ended December 31, 2003 and 2002 2003 2002 ------------- ------------- Additions to net assets attributed to: Investment income: Net realized and unrealized appreciation (depreciation) in fair value of investments $ 11,396,535 $ (20,140,653) Interest and dividends 1,679,266 1,941,730 ------------- ------------- 13,075,801 (18,198,923) Employer contributions -- 2,691,099 Participant salary reduction contributions -- 8,001,584 Participant rollover contributions 658,545 2,116,540 ------------- ------------- Net additions 13,734,346 (5,389,700) ------------- ------------- Deductions from net assets attributed to: Distributions 11,598,464 18,758,242 Administrative expenses 3,260 2,894 ------------- ------------- Net deductions 11,601,724 18,761,136 ------------- ------------- Increase (decrease) in net assets 2,132,622 (24,150,836) Net assets available for benefits: Beginning of year 133,680,082 157,830,918 ------------- ------------- End of year $ 135,812,704 $ 133,680,082 ============= ============= See accompanying notes to financial statements. 3 ALZA CORPORATION TAX DEFERRAL INVESTMENT PLAN Notes to Financial Statements December 31, 2003 and 2002 1. DESCRIPTION OF PLAN The following description of the ALZA CORPORATION TAX DEFERRAL INVESTMENT PLAN (the Plan) provides only general information. Participants should refer to the Summary Plan Description for a more complete description of the Plan's provisions. General The Plan is a defined contribution plan. ALZA Corporation (the Company or ALZA) remits to the Trust created by the Plan such amounts as are voluntarily elected by participants and Company contributions. The Plan is subject to the Employee Retirement Income Security Act of 1974 (ERISA). On June 22, 2001, a merger between Johnson & Johnson and ALZA Corporation was completed. Effective January 1, 2003, the Johnson & Johnson Pension Committee has the responsibility of making decisions with respect to the Plan. There were no participant salary reduction or Company contributions during 2003. Additionally, during 2003 the Johnson & Johnson Pension Committee approved the following: 1) Freeze all new investments into the Retirement Cash Management Account option as soon as administratively feasible. 2) The merger of the Plan into the Johnson & Johnson Salaried Savings Plan upon completion of a compliance audit and any necessary and appropriate corrections. Contributions Prior to January 1, 2003, participants may make elective salary reduction contributions which are tax deferred and are, therefore, not included in a participant's compensation for federal income tax purposes until distributed to the participant. Under the Plan, participants may elect to contribute through bi-weekly payroll deductions a fixed dollar amount up to a maximum of $11,000 for participants under age 50, or $12,000 for participants age 50 and up in 2002. Further restrictions may be imposed on highly compensated individuals and Plan participants who also participate in the ALZA Retirement Plan. For the year ended December 31, 2002 the Company made a contribution of $20 each pay period for each employee (thereby making all ALZA employees participants) to begin an account and encourage employees to participate further in the Plan. The Company also made a matching contribution at 50% of participant contributions. The maximum Company contribution was $2,000 for each participant. 4 ALZA CORPORATION TAX DEFERRAL INVESTMENT PLAN Notes to Financial Statements December 31, 2003 and 2002 1. DESCRIPTION OF PLAN (continued) Participant Accounts Each participant's account is credited with 100% of the contributions made by the participant through a salary deferral agreement. The Company will suspend the pretax salary deferral agreement of any participant if it determines that a participant's annual contribution limitation, as described in the Internal Revenue Code, will be exceeded. Participants are allowed to make rollover contributions of amounts received from other qualified employer-sponsored retirement plans. Such contributions are deposited in the appropriate investment funds in accordance with the participant's directions and the Plan's provisions. Participants allocate their contributions for investment into mutual funds and other investment vehicles (see Note 5). Earnings and losses of the investments are allocated to participants in accordance with the Plan's provisions. Vesting Participant account balances are 100% vested at all times. Distribution of Benefits Distributions from the Plan are available to a participant (or the beneficiary) in any of the following situations: termination of employment with the Company, retirement, total disability, death, reaching age 59-1/2, or a qualified financial hardship. The participant (or the beneficiary) may elect to receive a lump sum distribution of the value of his account, or he or she may choose to have the funds remain in the Plan. Loans A participant who is employed by the Company and meets certain Plan requirements may elect to borrow funds from his or her account. The borrowings are evidenced by notes that bear interest at the published prime rate plus 1% and have repayment terms of one to 30 years, depending on the purpose of the loans. Such repayments and interest thereon are credited to the borrower's account and reinvested in the same manner as current contributions. 5 ALZA CORPORATION TAX DEFERRAL INVESTMENT PLAN Notes to Financial Statements December 31, 2003 and 2002 1. DESCRIPTION OF PLAN (Continued) Income Tax Status The Plan obtained its latest determination letter on March 11, 2002, in which the Internal Revenue Service stated that the Plan, as then designed, was in compliance with the applicable requirements of the Internal Revenue Code. The Plan has been amended since receiving the determination letter. However, the Plan Administrator and the Plan's tax counsel believe that the Plan is currently designed and being operated in compliance with the applicable requirements of the Internal Revenue Code. Therefore, no provision for income taxes has been included in the Plan's financial statements. Administrative Expenses Although not required to do so, the Company has paid all of the expenses (except for certain broker fees on transactions executed at the participant's discretion, and loan fees) associated with administering the Plan. 2. SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES Basis of Accounting The Plan's financial statements are prepared on the accrual basis of accounting in accordance with accounting principles generally accepted in the United States of America. Revenues are recognized as earned. Expenses are recorded as incurred. Investment Valuation and Income Recognition Investments in mutual funds are valued at the published fair value as reported by the fund manager which represents the net asset value of shares held by the Plan at year end. Other investments are valued at the published fair value as reported. The participant loans receivable is valued at cost which approximates fair value. Purchases and sales of securities are recorded on a trade-date basis. Interest income is recorded on the accrual basis. Dividends are recorded on the ex-dividend date. Estimates The preparation of financial statements in accordance with accounting principles generally accepted in the United States of America requires the Plan management to make estimates and assumptions that affect certain reported amounts and disclosures. Accordingly, actual results may differ from those estimates. 6 ALZA CORPORATION TAX DEFERRAL INVESTMENT PLAN Notes to Financial Statements December 31, 2003 and 2002 3. RELATED PARTY TRANSACTIONS Certain Plan investments are shares of mutual funds managed by Merrill Lynch Trust Company of California. Merrill Lynch Trust Company of California is the trustee as defined by the Plan and, therefore, these transactions qualify as party-in-interest transactions. Fees for the investment management services are paid by ALZA. 4. PLAN TERMINATION The Company has the right under the Plan to terminate the Plan at any time subject to the provisions of ERISA. 5. INVESTMENT FUND ACTIVITY The following are investment options under the Plan: Mutual Funds Merrill Lynch Ready Asset Trust - A money market fund. Merrill Lynch Basic Value Fund- A fund of equity securities that management of the fund believes are undervalued and represent basic investment value. Merrill Lynch Corporate Bond Fund - A fund of long-term corporate fixed-income securities, including corporate bonds and notes, convertible securities and preferred stocks. Merrill Lynch Balanced Capital Fund - A fund of equity, debt and convertible securities that seeks to achieve the highest total return consistent with prudent risk. Merrill Lynch Global Allocation Fund - A fund investing in domestic and foreign equities, debt, and money markets seeking total return consistent with prudent risk. John Hancock Emerging Growth Fund - A fund investing in emerging-growth companies. Templeton International Fund - A fund investing in equity securities trading on foreign markets seeking long term growth of capital. 7 ALZA CORPORATION TAX DEFERRAL INVESTMENT PLAN Notes to Financial Statements December 31, 2003 and 2002 5. INVESTMENT FUND ACTIVITY (Continued) Mutual Funds (continued) Alliance New Europe Fund - This fund seeks long-term capital appreciation by investing at least 65% of its total assets in the equity securities of European companies. Alliance Premier Growth Fund - This fund seeks long-term growth of capital by investing at least 85% of its total assets in the equity securities of large, carefully selected, U.S. companies. Fidelity Advisor Overseas Fund - This fund seeks capital growth by investing at least 65% of its total assets in foreign securities. Franklin California Growth Fund - This fund seeks capital appreciation by investing in equity securities of companies that maintain their headquarters or conduct a majority of their operations in California. Merrill Lynch Healthcare Fund - This fund seeks long-term capital appreciation through worldwide investment in equity securities of companies that derive a substantial portion of their sales from products and services in health care. Merrill Lynch International Index Fund - This fund seeks to provide investment results that, before expenses, replicate the total return of the Morgan Stanley Capital International EAFE Index. Merrill Lynch Pacific Fund - This fund seeks long-term capital appreciation by investing primarily in equities of corporations domiciled in Far Eastern or Western Pacific countries. Merrill Lynch Small Cap Index Fund - This fund seeks to provide investment results that, before expenses, replicate the total return of the Russell 2000 Index. Merrill Lynch S&P 500 Index Fund - This fund seeks to provide investment results that, before expenses, replicate the total return of the Standard & Poor's 500(TM) Composite Stock Price Index. Merrill Lynch Fundamental Growth Fund - This fund seeks long-term growth of capital by investing at least 65% of assets in equities issued by medium and large capitalization companies. 8 ALZA CORPORATION TAX DEFERRAL INVESTMENT PLAN Notes to Financial Statements December 31, 2003 and 2002 5. INVESTMENT FUND ACTIVITY (Continued) Mutual Funds (continued) Munder NetNet Fund - This fund seeks long-term capital appreciation by investing at least 65% of its total assets in equity securities. PIMCO Small Cap Value Fund - This fund seeks long-term growth of capital by investing at least 65% of its total assets in the common stocks of companies with market capitalizations between $50 million and $1 billion. Other Investments Retirement Cash Management Account (RCMA) - A self-directed brokerage account that enables participants to choose from a wide variety of investments. Johnson & Johnson Common Stock Fund - As a result of the merger on June 22, 2001, between Johnson & Johnson and ALZA Corporation, holders of ALZA common stock received 0.98 of a share of Johnson & Johnson common stock for each share of ALZA common stock. Investments representing 5% or more of the Plan's net assets were as follows: December 31, --------------------------- 2003 2002 ---- ---- Merrill Lynch Ready Asset Trust $16,216,024 $18,006,196 Merrill Lynch Basic Value Fund 13,108,200 10,130,993 Merrill Lynch S&P 500 Index Fund 8,050,054 -- Johnson & Johnson Common Stock Held in Johnson & Johnson Common Stock Fund 40,127,924 46,203,705 Held in Retirement Cash Management Account 2,489,684 3,432,181 6. RECONCILIATION OF FINANCIAL STATEMENTS TO FORM 5500 Included in net assets available for benefits at December 31, 2003 and 2002 are benefits due to terminated participants of $65,504 and $0, respectively. In accordance with generally accepted accounting principles, benefits due to terminated participants are included in net assets available for benefits. 9 ALZA CORPORATION TAX DEFERRAL INVESTMENT PLAN Notes to Financial Statements December 31, 2003 and 2002 6. RECONCILIATION OF FINANCIAL STATEMENTS TO FORM 5500 (Continued) The following is a reconciliation of net assets available for benefits per the financial statements to the Form 5500 as of December 31, 2003: Net assets available for benefits per the financial statements $ 135,812,704 Amounts allocated to withdrawing participants (65,504) ------------- Net assets available for benefits per Form 5500 $ 135,747,200 ============= The following is a reconciliation of benefits paid to participants per the financial statements to the Form 5500 for the year ended December 31, 2003: Benefits paid to participants per the financial statements $ 11,598,464 Add: Amounts allocated to withdrawing participants at end of year 65,504 Less: Amounts allocated to withdrawing participants at beginning of year -- ------------- Benefits paid to participants per Form 5500 $ 11,663,968 ============= Amounts allocated to withdrawing participants are recorded on the Form 5500 for benefit claims that have been processed and approved for payment prior to year end but not yet distributed. 7. RECLASSIFICATION Certain amounts in the prior year financial statements have been reclassified to conform to the current year presentation. 10 SUPPLEMENTAL SCHEDULE 11 ALZA CORPORATION TAX DEFERRAL INVESTMENT PLAN EIN 77-00142070 PLAN NO. 002 SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES DECEMBER 31, 2003 ( a ) ( b ) ( c ) ( d ) ( e ) Description of Investment Including Identity of Issue, Borrower, Maturity Date, Rate of Interest, Lessor, or Similar Party Collateral, Par, or Maturity Value Cost Current Value ------------------------ ---------------------------------- ---- ------------- Alliance New Europe Fund $ 117,640 $ 106,673 Alliance Premier Growth Fund 1,284,215 908,971 Fidelity Advisor Overseas Fund 303,890 311,924 Franklin California Growth Fund 2,686,337 2,488,012 John Hancock Emerging Growth Fund 2,966,637 2,319,984 * Merrill Lynch Global Allocation Fund 3,333,503 3,801,829 * Merrill Lynch Fundamental Growth Fund 9,313,355 6,494,062 * Merrill Lynch Healthcare Fund 1,598,965 1,629,900 * Merrill Lynch Basic Value Fund 13,574,032 13,108,200 * Merrill Lynch Balanced Capital Fund 4,151,056 3,735,789 * Merrill Lynch S&P 500 Index Fund 8,953,236 8,050,054 * Merrill Lynch Small Cap Index Fund 645,934 744,425 * Merrill Lynch International Index Fund 447,046 416,048 * Merrill Lynch Pacific Fund 268,363 281,205 * Merrill Lynch Corporate Bond Fund 4,326,262 4,515,648 * Merrill Lynch Ready Asset Trust Fund 16,216,024 16,216,024 Munder NetNet Fund 937,388 762,088 PIMCO Small Cap Value Fund 865,463 1,099,099 Templeton International Fund 1,943,521 2,145,532 * Johnson & Johnson Common Stock 776,770 shares 7,774,469 40,127,924 Retirement Cash Management Account 24/7 Real Media Inc. Common Stock 2,500 shares 3,115 3,350 3Com Corp. Common Stock 110 shares 509 899 3M Company Common Stock 210 shares 25,893 17,856 4 Kids Entertainment Inc. Common Stock 1,000 shares 22,080 26,020 Abbey Natl. Common Stock 376 shares 6,981 7,148 Abbott Labs Common Stock 700 shares 31,244 32,620 Abgenix Inc. Common Stock 257 shares 1,894 3,174 ABN-Amro Holding Common Stock 339 shares 6,276 7,960 Adaptec Inc. Common Stock 700 shares 3,955 6,188 ADC Telecommunications Inc. Common Stock 1000 shares 2,090 2,970 Adobe Systems Inc. Common Stock 100 shares 4,378 3,908 Advance Auto Parts Inc. Common Stock 55 shares 4,522 4,477 Advance PCS Common Stock 70 shares 4,080 3,695 Advanced Fibre Communication Common Stock 100 shares 1,868 2,015 Advanced Medical Inc. Common Stock 500 shares 885 1,695 Advanced Micro Devices Inc. Common Stock 2307 shares 14,903 34,374 Aegon Common Stock 522 shares 7,847 7,726 Affymetrix Inc. Common Stock 1,068 shares 27,069 26,283 Agere Systems Inc. Cl A Common Stock 18 shares 32 55 Agere Systems Inc. Cl B Common Stock 524 shares 885 1,520 Agilent Technologies Inc. Common Stock 446 shares 9,307 13,041 AKZO Common Stock 240 shares 8,566 9,170 Alcoa Inc. Common Stock 2,362 shares 63,167 89,756 Alkermes Inc. Common Stock 1,000 shares 12,272 13,500 Allied Irish Banks Common Stock 500 shares 13,440 15,870 Allstate Corp. Common Stock 120 shares 4,439 5,162 Altera Corp. Common Stock 3,500 shares 51,705 79,275 Altria Group Inc. Common Stock 217 shares 9,850 11,831 Amazon.com Common Stock 300 shares 8,829 15,786 Amerada Hess Corp. Common Stock 1,500 shares 82,517 79,755 America Movil Common Stock 600 shares 10,248 16,404 American Bank Common Stock 4,000 shares 2,880 6,120 American International Group Inc. Common Stock 753 shares 47,864 49,909 American Tower Corp. Common Stock 325 shares 3,611 3,517 Ameritrade Hldg Corp. Common Stock 425 shares 4,841 5,996 * Represents parties-in-interest 12 ALZA CORPORATION TAX DEFERRAL INVESTMENT PLAN EIN 77-00142070 PLAN NO. 002 SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES DECEMBER 31, 2003 ( a ) ( b ) ( c ) ( d ) ( e ) Description of Investment Including Identity of Issue, Borrower, Maturity Date, Rate of Interest, Lessor, or Similar Party Collateral, Par, or Maturity Value Cost Current Value ------------------------ ---------------------------------- ---- ------------- Amgen Inc. Common Stock 1,133 shares $ 61,731 $ 70,008 Amkor Tech Inc. Common Stock 200 shares 3,707 3,628 Amr. Corp. Common Stock 46 shares 639 596 Anadarko Pete Corp. Common Stock 500 shares 25,321 25,505 Andrex Group Common Stock 100 shares 1,705 2,404 Anheusr Busch Cos Inc. Common Stock 575 shares 27,830 30,291 Apollo Group Inc. Common Stock 65 shares 3,299 4,408 Apple Computer Inc. Common Stock 632 shares 11,452 13,506 Applebees International Inc. Common Stock 60 shares 2,001 2,360 Applied Digital Solutions Common Stock 1,500 shares 615 707 Applied Materials Inc. Common Stock 13,243 shares 202,110 297,173 Aradigm Corp. Common Stock 8,500 shares 17,765 14,535 Archer Daniels Common Stock 74 shares 1,090 1,126 Ariad Pharmaceuticals Inc. Common Stock 100 shares 232 745 Ariba Inc. Common Stock 500 shares 1,240 1,500 Asml Hldng Common Stock 240 shares 4,625 4,812 AT&T Wireless Common Stock 269 shares 1,734 2,149 AT&T Corp. Common Stock 168 shares 4,725 3,410 Atmel Corp. Common Stock 550 shares 1,556 3,305 Avanex Corp. Common Stock 1,000 shares 1,771 4,990 Avaya Inc. Common Stock 163 shares 609 2,109 Avon Prod. Inc. Common Stock 218 shares 13,203 14,713 Bae System Common Stock 866 shares 7,953 10,433 Baker Hughes Inc. Common Stock 83 shares 2,874 2,669 Ballard Pwr Sys. Inc. Common Stock 500 shares 6,124 5,915 Bank of America Corp. Common Stock 675 shares 54,880 54,290 Bank of NY Common Stock 45 shares 1,497 1,490 Bank One Corp. Common Stock 59 shares 2,637 2,690 BARR Pharmaceuticals Inc. Common Stock 55 shares 4,572 4,232 Barrick Gold Corp. Common Stock 1,000 shares 21,890 22,710 BASF Ag Common Stock 312 shares 13,655 17,394 BEA Sys. Inc. Common Stock 1,000 shares 11,470 12,300 Bed Bath & Beyond Inc. Common Stock 125 shares 4,914 5,419 Bellsouth Corp. Common Stock 1,000 shares 27,946 28,300 Berkshire Hathaway Inc. Common Stock 20 shares 48,460 56,300 Best Buy Co. Inc. Common Stock 187 shares 6,072 9,769 BHP Billiton Ltd. Common Stock 555 shares 7,721 10,134 Biogen Inc. Common Stock 26 shares 1,025 954 BJS Wholesale Club Inc. Common Stock 1,000 shares 18,300 22,960 Block H&R Inc. Common Stock 55 shares 304 3,045 BMC Software Inc. Common Stock 1,039 shares 19,618 19,377 Boeing Company Common Stock 250 shares 8,247 10,535 Bookham Tech. Common Stock 1,000 shares 2,559 2,500 Boston Scientific Corp. Common Stock 400 shares 17,008 14,704 Bowater Inc. Common Stock 18 shares 863 834 Boykin Lodging Co. Common Stock 6,000 shares 55,980 54,900 BP Plc Common Stock 2,857 shares 135,517 140,993 Bristol Myers Squibb Co. Common Stock 386 shares 8,964 11,032 Broadcom Corp. Common Stock 385 shares 9,531 13,098 Broadvision Inc. Common Stock 111 shares 426 473 Brocade Communications Sys. Common Stock 1,000 shares 4,140 5,780 Cable & Wireless Pub Ltd. Co. Common Stock 200 shares 466 1,402 Cable Design Technologies Co. Common Stock 300 shares 1,770 2,697 Cadbury Schweppes Common Stock 586 shares 16,749 17,516 California Water Svc Group Common Stock 1,000 shares 23,650 27,400 Cam Comm Solutions Inc. Common Stock 500 shares 1,770 3,550 * Represents parties-in-interest 13 ALZA CORPORATION TAX DEFERRAL INVESTMENT PLAN EIN 77-00142070 PLAN NO. 002 SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES DECEMBER 31, 2003 ( a ) ( b ) ( c ) ( d ) ( e ) Description of Investment Including Identity of Issue, Borrower, Maturity Date, Rate of Interest, Lessor, or Similar Party Collateral, Par, or Maturity Value Cost Current Value ------------------------ ---------------------------------- ---- ------------- Canon Inc. Common Stock 267 shares $ 11,103 $ 12,720 Capital One Financial Common Stock 75 shares 5,015 4,597 Catalytica Energy Sys. Common Stock 1,001 shares 2,763 3,503 Cedar Fair Common Stock 5,000 shares 118,000 153,750 Central Coast Bancorp Ca. Common Stock 330 shares 6,190 5,950 Cepheid Inc. Common Stock 100 shares 510 958 Chesapeake Energy Common Stock 230 shares - 3,123 ChevronTexaco Corp. Common Stock 916 shares 68,760 79,140 Chicos Fas Inc. Common Stock 110 shares 404 4,065 China Mobile HK Common Stock 100 shares 1,208 1,553 Ciena Corp. Common Stock 500 shares 2,853 3,280 Cisco Systems Inc. Common Stock 24,385 shares 385,905 590,849 Citigroup Inc. Common Stock 3,796 shares 152,528 184,258 Citrix Systems Inc. Common Stock 1,510 shares 23,515 31,952 Clear Channel Communications Common Stock 43 shares 2,057 2,014 CMGI Common Stock 450 shares 520 801 Coach Inc. Common Stock 165 shares 6,265 6,229 Coca Cola Co. Common Stock 257 shares 11,252 13,023 Cognizant Technology Solution Common Stock 80 shares 4,114 3,651 Colonial Properties Common Stock 1,250 shares 47,228 49,500 Comcast Corp. Class A Common Stock 270 shares 7,244 8,853 Comcast Corp. Class A SPCL Common Stock 71 shares 1,946 2,222 Comp Financial Common Stock 315 shares 6,523 7,565 Conagra Inc. Common Stock 1,000 shares 26,075 26,390 Connectics Corp. Common Stock 2,000 shares 24,040 36,320 Conocophillips Common Stock 3,093 shares 194,871 202,808 Copper Mtn. Networks Inc. Common Stock 80 shares 341 862 Corning Inc. Common Stock 593 shares 4,530 6,185 Corporate High Yld Common Stock 3,000 shares 20,550 26,340 Correctional Properties Trust Common Stock 6,000 shares 130,200 172,800 Costco Wholesale Common Stock 60 shares 1,976 2,231 Countrywide Financial Common Stock 60 shares 6,542 4,551 Coventry Health Care Inc. Common Stock 85 shares 4,753 5,482 Covis Corp. Common Stock 1,093 shares 776 1,858 COX Communications Inc. Common Stock 300 shares 9,404 10,335 CSX Corp. Common Stock 46 shares 1,613 1,653 Cypress Semiconductor Common Stock 200 shares 4,181 4,272 Danaher Corp. Common Stock 50 shares 3,790 4,588 Danske Bank Common Stock 812 shares 16,085 19,051 Deere Co. Common Stock 63 shares 3,826 4,098 Del Monte Foods Co. Common Stock 89 shares 685 926 Dell Inc. Common Stock 5,517 shares 166,168 187,468 Deutsche Bank Common Stock 127 shares 6,808 10,441 Developers Diversified Rlty. Common Stock 5,365 shares 140,146 180,103 Diageo Common Stock 317 shares 15,547 16,757 Diametrics Med. Common Stock 200 shares 330 55 Digital Lightwave Inc. Common Stock 100 shares 123 81 Digital Video Systems Common Stock 500 shares 1,060 1,300 Ditech Communications Common Stock 185 shares 403 3,533 DNX Corp. Common Stock 78 shares 7,814 8,156 Donaldson Co. Inc. Common Stock 400 shares 14,400 23,664 Doubleclick Inc. Common Stock 3 shares 38 31 Dover Corp. Common Stock 120 shares 4,895 4,770 DSL Net Inc. Common Stock 200 shares 98 120 DSM Common Stock 593 shares 7,975 7,298 Duke Realty Corp. Common Stock 1,000 shares 28,533 31,000 * Represents parties-in-interest 14 ALZA CORPORATION TAX DEFERRAL INVESTMENT PLAN EIN 77-00142070 PLAN NO. 002 SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES DECEMBER 31, 2003 ( a ) ( b ) ( c ) ( d ) ( e ) Description of Investment Including Identity of Issue, Borrower, Maturity Date, Rate of Interest, Lessor, or Similar Party Collateral, Par, or Maturity Value Cost Current Value ------------------------ ---------------------------------- ---- ------------- Dupont Common Stock 646 shares $ 30,402 $ 29,645 Durect Corp. Common Stock 1,500 shares 3,030 3,750 E Trade Group Inc. Common Stock 903 shares 7,135 11,423 Eaton Corp. Common Stock 13 shares 1,323 1,404 Edison International Common Stock 238 shares 2,819 5,217 Egain Communications Corp. Common Stock 60 shares 216 123 Eisai Ltd. Common Stock 562 shares 14,128 15,155 Elan Corp. Common Stock 400 shares 1,259 2,756 Eloyalty Corp. Common Stock 30 shares 124 110 EMC Corp. Common Stock 7,466 shares 81,306 96,461 Emerson Elec. Co. Common Stock 16 shares 976 1,036 Encana Corp. Common Stock 184 shares 7,521 7,257 Endesa Common Stock 1,245 shares 16,434 23,780 Engage Technologies Inc. Common Stock 250 shares 32 1 Eni Common Stock 173 shares 15,212 16,432 Enron Corp. Common Stock 330 shares 4,620 5,910 Enterasys Networks Inc. Common Stock 500 shares 2,411 1,875 Entrada Networks Inc. Common Stock 50 shares 7 7 Equity Residential Properties Common Stock 1,000 shares 27,514 29,510 Ericsson Common Stock 12 shares 81 212 Essex Property Inc. Common Stock 900 shares 51,512 57,798 Everest Common Stock 35 shares 3,221 2,961 Excelligence Learning Common Stock 125 shares 362 762 Extreme Networks Inc. Common Stock 100 shares 327 721 Exxon Mobil Corp. Common Stock 2,415 shares 94,640 99,015 Fannie Mae Common Stock 155 shares 9,999 11,667 FedEx Corp. Common Stock 25 shares 1,355 1,687 Fibercore Inc. Common Stock 1,100 shares 231 5 Finisar Corp. Common Stock 1,175 shares 1,116 3,678 First Data Corp. Common Stock 650 shares 25,920 26,709 Five Star Quality Care Common Stock 186 shares 255 818 FleetBoston Finl Corp. Common Stock 37 shares 1,245 1,615 Flextronics International Ltd. Common Stock 1,562 shares 17,318 23,118 Fluor Corp. Common Stock 200 shares 5,600 7,928 Forest Labs Inc. Common Stock 400 shares 22,102 24,720 Fortune Brands Inc. Common Stock 45 shares 3,491 3,217 Foundry Networks Inc. Common Stock 365 shares 5,763 9,975 France Telecom Common Stock 100 shares 1,777 2,859 Freeprt-McMran Copper & Gold Common Stock 75 shares 3,402 3,160 Fuji Photo Film Common Stock 637 shares 21,502 20,894 Gannett Co. Common Stock 500 shares 40,334 44,580 Gap Inc. Common Stock 1,093 shares 19,692 25,369 Genaera Corp. Common Stock 1,000 shares 2,378 3,270 Genentech Inc. Common Stock 400 shares 16,986 37,428 General Electric Common Stock 8,122 shares 222,843 251,605 General Mills Common Stock 25 shares 1,291 1,133 General Motors Corp. Common Stock 100 shares 3,686 5,340 General Dynamics Corp. Common Stock 100 shares 7,937 9,039 Genzyme Corp. Common Stock 65 shares 3,215 3,204 Geron Corp. Common Stock 1,000 shares 3,600 9,970 Gillette Co. Common Stock 127 shares 4,370 4,665 Glaxosmithkline Common Stock 901 shares 37,929 42,005 Globalstar Telecomm Common Stock 200 shares 10 5 Great Lakes REIT Inc. Common Stock 2,000 shares 33,300 31,400 Green Star Prods Inc. Common Stock 4,400 shares 108 330 Gtech Holdings Corp. Common Stock 90 shares 4,765 4,454 * Represents parties-in-interest 15 ALZA CORPORATION TAX DEFERRAL INVESTMENT PLAN EIN 77-00142070 PLAN NO. 002 SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES DECEMBER 31, 2003 ( a ) ( b ) ( c ) ( d ) ( e ) Description of Investment Including Identity of Issue, Borrower, Maturity Date, Rate of Interest, Lessor, or Similar Party Collateral, Par, or Maturity Value Cost Current Value ------------------------ ---------------------------------- ---- ------------- Guidant Corp. Common Stock 600 shares $ 18,510 $ 36,120 Harley Davidson Inc. Common Stock 800 shares 36,960 38,024 Harmonic Lightwaves Inc. Common Stock 400 shares 920 2,900 Harmony Gold Common Stock 1,000 shares 17,002 16,230 Health Care Property Invs. Common Stock 4,000 shares 153,200 203,200 Health Care REIT Inc. Common Stock 6,000 shares 162,300 216,000 Health Grades Inc. Common Stock 2,000 shares 60 1,200 Health Mgmt Assoc. Inc. Common Stock 500 shares 8,950 12,000 Healthcare Rlty Common Stock 5,000 shares 146,250 178,750 Heinz H J Co. Common Stock 200 shares 6,574 7,286 Hewlett Packard Co. Common Stock 819 shares 16,088 18,812 Hitachi Ltd. Common Stock 173 shares 7,478 10,392 Home Depot Inc. Common Stock 1,803 shares 49,672 63,988 Hospitality Properties Common Stock 2,000 shares 70,400 82,560 HRPT Properties Common Stock 28,600 shares 268,278 288,574 HSBC Hldg Common Stock 161 shares 10,113 12,690 Humphrey Hospitality Common Stock 10,000 shares 19,600 46,100 I2 Technologies Inc. Common Stock 610 shares 702 1,013 Ibis Technology Corp. Common Stock 30 shares 141 338 Icos Corp. Common Stock 500 shares 13,925 20,640 Identix Inc. Common Stock 134 shares 690 596 Illinois Tool Works Inc. Common Stock 25 shares 1,974 2,098 Illumina Inc. Common Stock 230 shares 775 1,622 Inamed Corp. Common Stock 75 shares 5,180 3,604 Incyte Corp. Common Stock 60 shares 274 410 Infocus Corp. Common Stock 1,000 shares 6,160 9,680 Ing Groep Common Stock 675 shares 11,311 15,802 Innkeepers USA Common Stock 5,000 shares 38,300 41,850 Insignia Solutions Common Stock 3,000 shares 4,601 2,730 Integrated Device Tech Common Stock 100 shares 1,274 1,717 Intel Corp. Common Stock 21,288 shares 414,564 682,270 Interferon Common Stock 3,000 shares 135 90 Internet Architecture Common Stock 200 shares 5,156 7,202 Internet Cap Group Inc. Common Stock 912 shares 360 315 Interwave Communications International Common Stock 5 shares 15 22 International Business Mach. Common Stock 1,950 shares 169,099 180,726 International Game Technologies Common Stock 100 shares 8,872 3,570 International Paper Co. Common Stock 68 shares 2,984 2,931 Intuit Inc. Common Stock 200 shares 10,177 10,572 Invitrogen Common Stock 55 shares 4,197 3,845 Iomega Corp. Common Stock 200 shares 1,570 1,196 Ishares TS and P Common Stock 65 shares 7,896 8,710 Isis Pharmaceuticals Common Stock 2,000 shares 13,180 13,000 Ivoice Inc. Common Stock 3,000 shares 5 8 Jabil Circuit Inc. Common Stock 120 shares 3,054 3,396 Jacobs Engineering Group Inc. Common Stock 120 shares 5,097 5,761 JC Penney Co. Common Stock 2,000 shares 46,020 52,560 JDS Uniphase Corp. Common Stock 5,500 shares 15,577 20,020 JM Smucker Co. Common Stock 12 shares 532 543 JMAR Inds Inc. Common Stock 150 shares 153 352 * Johnson & Johnson Common Stock 48,194 shares 2,835,661 2,489,684 JP Morgan Chase and Co. Common Stock 1,591 shares 44,610 58,437 Juniper Networks Inc. Common Stock 1,190 shares 11,833 22,229 Kaneb Pipe Line Partners LP Common Stock 4,000 shares 139,400 203,200 Kao Corp. Common Stock 44 shares 10,548 8,950 Kingfisher Common Stock 1,249 shares 12,469 12,802 * Represents parties-in-interest 16 ALZA CORPORATION TAX DEFERRAL INVESTMENT PLAN EIN 77-00142070 PLAN NO. 002 SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES DECEMBER 31, 2003 ( a ) ( b ) ( c ) ( d ) ( e ) Description of Investment Including Identity of Issue, Borrower, Maturity Date, Rate of Interest, Lessor, or Similar Party Collateral, Par, or Maturity Value Cost Current Value ------------------------ ---------------------------------- ---- ------------- KLA Tencor Corp. Common Stock 55 shares $ 2,259 $ 3,220 Knight Trading Group Inc. Common Stock 335 shares 4,388 4,911 Koninklijke Philips Electronics Common Stock 404 shares 8,312 11,752 Korea Elec Pwr Common Stock 720 shares 6,864 7,481 KPNQWest Common Stock 600 shares 13,282 11,442 Kraft Foods Inc. Common Stock 59 shares 1,926 1,901 Kulicke & Soffa Indust Common Stock 2,000 shares 11,440 28,760 Lam Research Corp. Common Stock 250 shares 2,700 8,075 Lexmark International Group Inc. Common Stock 40 shares 3,225 3,146 Limited Brands Inc. Common Stock 103 shares 1,811 1,857 Lockheed Martin Corp. Common Stock 100 shares 5,775 5,140 Loral Space & Comm Ltd. Common Stock 307 shares 1,047 97 Lowe's Companies Inc. Common Stock 200 shares 9,792 11,078 LSI Logic Corp. Common Stock 4,700 shares 33,037 41,689 LTX Corp. Common Stock 500 shares 3,015 7,515 Lucent Technologies Inc. Common Stock 2,512 shares 3,874 7,134 Marks & Spencer Ltd. Common Stock 197 shares 6,603 6,115 Martha Stewart Common Stock 200 shares 1,974 1,970 Massey Energy Co. Common Stock 400 shares 3,888 8,320 Maxim Integrated Prods. Common Stock 1,000 shares 37,971 49,580 Maxygen Inc. Common Stock 500 shares 4,632 5,315 MBNA Corp. Common Stock 38 shares 976 944 McData Corp. Common Stock 88 shares 1,167 839 Medco Health Solutions Common Stock 182 shares 7,488 6,189 Medtronic Inc. Common Stock 1,350 shares 68,086 65,623 Mellon Financial Corp. Common Stock 83 shares 2,815 2,665 Merck & Co. Inc. Common Stock 1,558 shares 95,267 71,973 Mercury Interactive Corp. Common Stock 75 shares 2,636 3,648 * Merrill Lynch & Co. Common Stock 400 shares 17,513 23,460 Micromuse Inc. Common Stock 70 shares 267 483 Micron Technology Inc. Common Stock 200 shares 1,948 2,694 Microsoft Inc. Common Stock 10,509 shares 300,243 287,620 Millea Health Solutions Common Stock 108 shares 6,842 7,248 Millennium Pharmaceuticals Common Stock 800 shares 9,586 14,920 MIM Corp. Common Stock 100 shares 580 703 MIPS Techs Inc. Common Stock 13 shares 45 72 Molecular Diagnostics Common Stock 491 shares 79 79 Monsanto Co. Common Stock 57 shares 1,391 1,640 Motorola Inc. Common Stock 1,154 shares 12,041 16,156 Nasdaq-100 Common Stock 3,474 shares 99,648 126,662 Nationwide Health Properties Common Stock 9,500 shares 141,835 185,725 National Australia Common Stock 84 shares 8,476 9,412 Navistar International Corp. Common Stock 71 shares 2,965 3,400 Nektar Therapeutics Common Stock 500 shares 3,847 6,805 Nestle S A Common Stock 325 shares 19,236 20,300 Netflix Com Inc. Common Stock 500 shares 8,938 27,345 Network Appliance Inc. Common Stock 1,690 shares 22,105 34,544 New Focus Inc. Common Stock 760 shares 2,918 3,815 Newell Rubbermaid Inc. Common Stock 37 shares 967 842 Newmont Mining Corp. Common Stock 1,029 shares 48,673 50,020 News Corp. Ltd. Common Stock 1,000 shares 26,250 36,100 Nexprise Inc. Common Stock 36 shares 50 45 Nextel Partners Inc. Common Stock 380 shares 4,650 5,111 NII Hldgs Inc. Common Stock 45 shares 3,470 3,358 Nike Inc. Common Stock 33 shares 2,055 2,259 Nintendo Ltd. Common Stock 986 shares 12,077 11,500 * Represents parties-in-interest 17 ALZA CORPORATION TAX DEFERRAL INVESTMENT PLAN EIN 77-00142070 PLAN NO. 002 SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES DECEMBER 31, 2003 ( a ) ( b ) ( c ) ( d ) ( e ) Description of Investment Including Identity of Issue, Borrower, Maturity Date, Rate of Interest, Lessor, or Similar Party Collateral, Par, or Maturity Value Cost Current Value ------------------------ ---------------------------------- ---- ------------- Nippon Teleg & Tel Corp. Common Stock 510 shares $ 10,253 $ 12,526 Nokia Corp. Common Stock 8,125 shares 139,740 138,129 Norsk Hydro Common Stock 400 shares 17,764 24,720 Nortel Networks Corp. Common Stock 1,500 shares 3,629 6,346 Nova Chemicals Corp. Common Stock 100 shares 1,830 2,695 Novartis Common Stock 506 shares 20,694 23,220 Novell Inc. Common Stock 300 shares 1,002 3,159 Novellys Sys Inc. Common Stock 1,400 shares 45,167 58,870 Nuvelo Inc. Common Stock 200 shares 244 700 Office Depot Inc. Common Stock 150 shares 2,463 2,507 Omnicom Group Common Stock 40 shares 3,823 3,493 Open TV Corp. Common Stock 50 shares 59 167 Oracle Corp. Common Stock 20,000 shares 243,439 264,600 Pacific Aerospace & Eltr Inc. Common Stock 10 shares - 1 Paccar Inc. Common Stock 55 shares 4,348 4,682 Pacific Sunwear Cal Inc. Common Stock 250 shares 6,852 5,275 PalmOne Inc. Common Stock 50 shares 843 587 Palmsource Inc. Common Stock 15 shares - 327 Parker Hannifin Corp. Common Stock 25 shares 1,307 1,488 Paychex Inc. Common Stock 220 shares 7,757 8,184 Peoplesoft Inc. Common Stock 190 shares 4,092 4,330 Pepsico Inc. Common Stock 1,867 shares 87,580 87,040 Peregrine Pharmactls Inc. Common Stock 1,000 shares 780 2,210 Petsmart Inc. Common Stock 170 shares 4,966 4,046 Pfizer Inc. Common Stock 5,173 shares 179,983 182,765 PG&E Corp. Common Stock 370 shares 5,146 10,282 Pharmaceutical Res Inc. Common Stock 45 shares 3,328 2,932 Pitney Bowes Inc. Common Stock 100 shares 3,266 4,062 Pixar Common Stock 200 shares 11,975 13,858 Plantronics Inc. Common Stock 700 shares 10,591 22,855 Plum Creek Timber Co. Inc. Common Stock 1,070 shares 28,440 32,582 PMI Group Inc. Common Stock 115 shares 4,820 4,281 Pogo Producing Co. Common Stock 60 shares 288 2,898 Polycom Inc. Common Stock 245 shares 4,774 4,782 Portugal Telecom Common Stock 835 shares 6,535 8,367 Potash Corp. of Saskatchewan Inc. Common Stock 17 shares 1,377 1,470 Praxair Inc. Common Stock 56 shares 3,720 2,139 Preferred Income Common Stock 8,000 shares 220,297 188,000 Procter & Gamble Common Stock 200 shares 19,175 19,976 Progress Energy Inc. Common Stock 227 shares 10,838 10,274 Providian Finl Corp. Common Stock 200 shares 1,882 2,328 Proxim Inc. Common Stock 188 shares 164 314 Qlogic Corp. Common Stock 360 shares 14,273 18,565 Qualcomm Inc. Common Stock 196 shares 7,132 10,570 RailAmerica Inc. Common Stock 533 shares 3,822 6,289 Real Networks Inc. Common Stock 500 shares 1,905 2,855 Redback Networks Inc. Common Stock 315 shares 272 73 Reed Elsevier Common Stock 204 shares 7,614 6,875 Repsol Common Stock 402 shares 6,040 7,859 RF Micro Devices Inc. Common Stock 400 shares 3,567 4,024 Rite Aid Corp. Common Stock 250 shares 612 1,510 Riverstone Networks Inc. Common Stock 856 shares 1,872 950 RobertHalf International Inc. Common Stock 195 shares 4,626 4,551 Roche Hldg Ltd. Common Stock 115 shares 8,642 11,600 Rohm and Haas Common Stock 33 shares 1,318 1,409 Rouge Wave Software Common Stock 200 shares 356 1,330 * Represents parties-in-interest 18 ALZA CORPORATION TAX DEFERRAL INVESTMENT PLAN EIN 77-00142070 PLAN NO. 002 SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES DECEMBER 31, 2003 ( a ) ( b ) ( c ) ( d ) ( e ) Description of Investment Including Identity of Issue, Borrower, Maturity Date, Rate of Interest, Lessor, or Similar Party Collateral, Par, or Maturity Value Cost Current Value ------------------------ ---------------------------------- ---- ------------- Roxio Inc. Common Stock 114 shares $ 544 $ 547 Royal Caribbean Cruises Common Stock 125 shares 4,021 4,349 Royal Dutch Petroleum Co. Common Stock 1,500 shares 77,998 78,585 RSA Security Inc. Common Stock 300 shares 1,797 4,275 Saba Software Inc. Common Stock 37 shares 165 128 Safenet Inc. Common Stock 170 shares 4,441 5,214 San Paolo-Imi Common Stock 319 shares 4,922 8,272 Sandisk Corp. Common Stock 115 shares 4,239 7,038 Sanmina-Sci Corp. Common Stock 575 shares 4,636 7,245 Save the Worldair Inc. Common Stock 530 shares 185 715 Savient Pharmaceuticals Inc. Common Stock 500 shares 1,830 2,305 SBC Communications Inc. Common Stock 60 shares 1,553 1,564 Schering Plough Corp. Common Stock 178 shares 3,222 3,095 Schlumberger Ltd. Common Stock 130 shares 6,358 7,114 Scottish Power Common Stock 634 shares 16,245 17,232 Sector Spdr Consumers Stpl. Common Stock 100 shares 1,994 2,178 Sector Spdr Technology Common Stock 125 shares 1,850 2,547 Select Medical Corp. Common Stock 260 shares 9,602 4,233 Serologicals Corp. Common Stock 150 shares 1,650 2,790 Shell Trns & Trdng Common Stock 328 shares 14,235 14,770 Siebel Sys Inc. Common Stock 1,800 shares 16,695 25,056 Silicon Graphics Inc. Common Stock 1,608 shares 2,036 2,203 Sina Corp. Common Stock 200 shares 4,221 6,750 Smith Micro Software Inc. Common Stock 1,500 shares 6,198 2,985 Societe Generale France Common Stock 987 shares 13,230 17,429 Solectron Corp. Common Stock 2,200 shares 7,810 13,002 Sonus Networks Inc. Common Stock 180 shares 315 1,357 Sony Corp. Common Stock 426 shares 15,933 14,769 Sorrento Networks Corp. Common Stock 10 shares 41 30 Sovran Self Storage Inc. Common Stock 5,000 shares 141,800 185,750 Sprint Corp. Common Stock 740 shares 3,241 4,159 Standard&Poors Common Stock 272 shares 30,175 30,268 Staples Inc. Common Stock 213 shares 4,793 5,815 Starbucks Corp. Common Stock 150 shares 3,689 4,974 Statoil ASA Common Stock 1,001 shares 9,403 11,311 Stellent Inc. Common Stock 38 shares 169 377 Stemcells Inc. Common Stock 1,000 shares 1,090 1,980 Stora Enso Common Stock 967 shares 11,146 13,113 Stratex Networks Inc. Common Stock 50 shares 110 215 Sun Microsystems Inc. Common Stock 15,646 shares 58,236 69,938 Superconductor Technologies Common Stock 100 shares 94 556 Supergen Inc. Common Stock 1,125 shares 5,315 12,375 Symantec Corp. Common Stock 550 shares 25,495 18,975 Symyx Tech Inc. Common Stock 300 shares 4,635 6,165 Syngenta Common Stock 948 shares 11,215 12,779 Taiwan Manufacturing Common Stock 237 shares 1,671 2,427 Target Corp. Common Stock 67 shares 2,844 2,573 TDK Corp. Common Stock 134 shares 6,216 9,617 Telefonos M SA RP L Common Stock 1,035 shares 36,367 34,186 Telik Inc. Common Stock 380 shares 5,377 8,740 Teradyne Inc. Common Stock 49 shares 1,092 1,247 Teraforce Tech Corp. Common Stock 4,200 shares 672 1,050 Texas Instruments Common Stock 7,700 shares 115,577 226,226 Tibco Software Inc. Common Stock 45 shares 308 305 Time Warner Inc. Common Stock 1,558 shares 23,197 28,028 Topps Inc. Common Stock 500 shares 4,350 5,130 * Represents parties-in-interest 19 ALZA CORPORATION TAX DEFERRAL INVESTMENT PLAN EIN 77-00142070 PLAN NO. 002 SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES DECEMBER 31, 2003 ( a ) ( b ) ( c ) ( d ) ( e ) Description of Investment Including Identity of Issue, Borrower, Maturity Date, Rate of Interest, Lessor, or Similar Party Collateral, Par, or Maturity Value Cost Current Value ----- ------------------------ ---------------------------------- ---- ------------- Total SA Common Stock 205 shares $ 16,543 $ 18,965 Toyota Motor Corp. Common Stock 140 shares 8,378 9,625 TPG Common Stock 345 shares 7,766 8,139 Transcanada Corp. Common Stock 500 shares 8,325 10,755 Transmeta Corp. Common Stock 140 shares 164 476 Travelers Property A Common Stock 133 shares 2,170 2,232 Travelers Property B Common Stock 278 shares 4,542 4,718 Tribune Co. Common Stock 52 shares 2,581 2,683 Tyco International Ltd. Common Stock 226 shares 4,759 5,989 UAL Corp. Common Stock 200 shares 286 324 Union Pacific Corp. Common Stock 225 shares 15,034 15,631 United Parcel Services Common Stock 282 shares 19,867 21,012 Universal Health Svcs Common Stock 200 shares 9,020 10,744 Univision Communications Common Stock 75 shares 2,313 2,977 Upgrade International Corp. Common Stock 50 shares 9 11 UPM Kymmene Oy Common Stock 446 shares 7,538 8,586 UTS Motorola Inc. Common Stock 235 shares 7,520 10,206 UTStarcom Inc. Common Stock 130 shares 5,094 4,819 Varco International Inc. Common Stock 1,000 shares 17,400 20,630 Verisign Inc. Common Stock 322 shares 2,582 5,249 Veritas Software Co. Common Stock 169 shares 3,269 6,256 Verizon Communications Common Stock 326 shares 13,453 11,436 VF Corp. Common Stock 32 shares 1,390 1,384 Viacom Inc. Common Stock 287 shares 13,113 12,705 Viacom Inc. Cl B Common Stock 390 shares 15,896 17,308 Vicon Indust Inc. Common Stock 500 shares 1,800 2,340 Visx Inc. Common Stock 200 shares 1,916 4,630 Vodafone Group Common Stock 500 shares 9,060 12,520 Volvo Aktiebolaget Common Stock 391 shares 7,661 11,972 Wachovia Corp. Common Stock 56 shares 2,542 2,609 Wal-Mart Stores Inc. Common Stock 1,465 shares 81,726 77,718 Walt Disney Company Common Stock 7,181 shares 169,732 167,533 Wast Management Inc. Common Stock 45 shares 1,287 1,332 Wellpoint Health Networks Inc. Common Stock 230 shares 18,571 22,308 Wells Fargo & Co. Common Stock 35 shares 1,961 2,061 Westell Technologies Inc. Common Stock 300 shares 360 1,893 Western Wireless Common Stock 235 shares 3,318 4,315 Westpac Banking Corp. Common Stock 5,625 shares 50,292 67,768 Weyerhaeuser Co. Common Stock 20 shares 1,312 1,280 Wind River Systems Inc. Common Stock 1,450 shares 5,946 12,702 Worldcom Inc. Common Stock 2,560 shares 316 34 Worldcom Inc.-MCI Group Common Stock 1,050 shares 164 51 Worldwide Restauarant Common Stock 2,000 shares 5,301 5,600 Wyeth Common Stock 31 shares 1,574 1,316 Xcel Energy Inc. Common Stock 200 shares 2,538 3,396 Xerox Corp. Common Stock 961 shares 9,518 13,262 Xilinx Inc. Common Stock 200 shares 4,121 7,726 XM Satelte Radio Hldgs Common Stock 115 shares 2,215 3,023 Yahoo Inc. Common Stock 440 shares 9,179 19,813 Yellow Roadway Corp. Common Stock 85 shares - 3,074 Zimmer Holdings Inc. Common Stock 95 shares 4,746 6,691 Zurich Finl Svcs Common Stock 677 shares 7,286 9,744 Alltel Corp. Preferred Stock 145 shares 7,443 7,206 Amerada Hess Corp. Preferred Stock 155 shares 8,748 8,502 Baxter International Preferred Stock 210 shares 11,839 11,603 Bethlehem Steel Corp. Preferred Stock 174 shares 38 3 * Represents parties-in-interest 20 ALZA CORPORATION TAX DEFERRAL INVESTMENT PLAN EIN 77-00142070 PLAN NO. 002 SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES DECEMBER 31, 2003 ( a ) ( b ) ( c ) ( d ) ( e ) Description of Investment Including Identity of Issue, Borrower, Maturity Date, Rate of Interest, Lessor, or Similar Party Collateral, Par, or Maturity Value Cost Current Value ----- ------------------------ ---------------------------------- ---- ------------- Centurytel Inc. Preferred Stock 290 shares $ 7,872 $ 7,830 Chubb Corp. Preferred Stock 290 shares 9,078 8,282 Constellation Brands Inc. Preferred Stock 295 shares 8,533 9,080 Electronic Data Systems Preferred Stock 285 shares 6,244 6,535 Ford Motor Co. Preferred Stock 340 shares 13,889 19,023 General Motors Corp. Preferred Stock 555 shares 13,459 14,874 Harris Preferred Cap Preferred Stock 400 shares 10,040 10,064 Kerr McKee Corp. Preferred Stock 160 shares 8,063 7,984 MCI Capital Preferred Stock 500 shares 2,750 5,315 * Merrill Lynch Preferred Stock 3,000 shares 79,230 81,960 National Australia Bank Preferred Stock 660 shares 23,991 25,212 Northrop Grumman Corp. Preferred Stock 60 shares 6,464 6,222 Prudential Financial Inc. Preferred Stock 95 shares 5,799 6,185 Raytheon Company Preferred Stock 120 shares 6,552 6,514 Simon Property Group Inc. Preferred Stock 1,500 shares 40,155 40,950 Teekay Shipping Preferred Stock 265 shares 8,089 9,500 Travelers Property Preferred Stock 300 shares 6,705 7,350 Xerox Corp. Preferred Stock 80 shares 9,445 10,380 Aim Aggressive Growth Fund 14,585 18,575 Aim Balanced Fund 18,026 20,702 Aim Basic Value Fund 47,674 63,769 Aim Blue Chip Fund 79,333 99,388 Aim Equity Constellation Fund 12,143 13,915 Aim European Growth Fund 6,991 10,006 Aim Premier Equity Fund 16,131 20,148 Alger MidCap Growth Institutional Portfolio 112,312 123,766 Alger LargeCap Growth Fund 2,031 1,909 Alger MidCap Growth Fund 1,419 2,964 Alliance Premier Growth Fund 72,863 89,409 Alliance Technology Fund 105,887 118,683 AM Washington Mutual Investors Fund 23,115 25,222 American Growth Fund of America 55,514 55,293 Blackrock Low Duration Fund 138,443 125,140 Capital World Growth and Income Fund 2,492 3,347 Davis NY Venture Fund 80,904 106,134 Federated European Equity Fund 9,340 12,190 Federated International Small Co. Fund 17,195 26,460 Federated Kaufman Fund 5,155 7,385 Fidelity High Income Fund 48,815 55,676 Fidelity Equity Growth Fund 24,465 32,253 Fidelity MidCap Fund 8,277 11,898 Fidelity Dividend Growth Fund 19,997 24,427 Franklin FlexCap Growth Fund 141,222 198,386 Hochkis & Wily LargeCap Value Fund 6,518 9,154 Ing International SmallCap Growth Fund 29,258 37,012 Invesco Technology Fund 12,499 11,348 John Hancock US Global Lrds Gr Fund 5,009 5,026 John Hancock Bond Fund 36,263 33,714 John Hancock International Fund 13,776 14,184 Lord Abbett Developing Growth Fund 4,589 6,428 Mass Investors Growth Stock Fund 55,084 67,556 Mass Investors Trust Fund 15,129 18,348 MFS High Income Fund 21,446 21,746 MFS MidCap Growth Fund 1,332 1,837 MFS Research Fund 6,968 8,607 * Merrill Lynch Balanced Capital Fund 49,404 58,493 * Represents parties-in-interest 21 ALZA CORPORATION TAX DEFERRAL INVESTMENT PLAN EIN 77-00142070 PLAN NO. 002 SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES DECEMBER 31, 2003 ( a ) ( b ) ( c ) ( d ) ( e ) Description of Investment Including Identity of Issue, Borrower, Maturity Date, Rate of Interest, Lessor, or Similar Party Collateral, Par, or Maturity Value Cost Current Value ----- ------------------------ ---------------------------------- ---- ------------- * Merrill Lynch Basic Value Fund $ 250,632 $ 289,487 * Merrill Lynch Bond Core Fund 40,156 36,947 * Merrill Lynch Bond High Income Fund 72,477 78,534 * Merrill Lynch Dragon Fund 15,282 19,080 * Merrill Lynch Euro Fund 24,429 32,287 * Merrill Lynch Fundamental Growth Fund 8,946 11,475 * Merrill Lynch Global Allocation Fund 702,813 797,711 * Merrill Lynch Global Growth Fund 156,050 185,750 * Merrill Lynch Global Technology Fund 38,471 52,502 * Merrill Lynch Global Value Fund 25,954 31,941 * Merrill Lynch Healtcare Fund 29,607 30,853 * Merrill Lynch Latin American Fund 14,402 20,368 * Merrill Lynch Pacific Fund 16,726 20,289 * Merrill Lynch S&P 500 Index Fund 420,033 460,999 * Merrill Lynch SmallCap Value Fund 122,871 149,105 Munder NetNet Fund 80,709 135,676 Oppenheimer International Growth Fund 2,806 4,221 PIMCO CCM Capital Appreciation Fund 17,028 21,567 PIMCO High Yield Fund 20,613 23,518 PIMCO Innovation Fund 27,099 37,065 PIMCO Renaissance Fund 37,515 51,124 PIMCO Real Return Bond Fund 88,180 77,949 PIMCO SmallCap Value Fund 15,178 19,277 PIMCO Total Return Fund 7,537 7,563 Pioneer High Yield Fund 83,935 80,629 Seligman Communications Information Fund 22,977 32,709 State Street Government Income Fund 70,523 68,711 Templeton Developing Markets Fund 12,541 18,799 Templeton Foreign Fund 27,615 31,261 Managers Fund Fixed Income Sec Fund 3,502 3,665 Managers Special Equity Fund 5,801 8,267 Oakmark Equity and Income Fund 53,148 64,925 Oakmark Select Fund 26,328 29,879 Van Kampen Emerging Growth Fund 10,319 13,192 Van Kampen Comstock Fund 4,137 5,338 Van Kampen Equity & Income Fund 83,872 81,871 Capital Crossing Bank Certificate of Deposit 108,816 98,703 Fremont Investment & Loan Certificate of Deposit 108,819 98,723 CMA Money Market Fund 5,167,836 5,167,836 Federal Home Ln Mtg Corp. 6.875% Due 2010 3,846 3,485 Federal National Mtg Assoc. 6.625% Due 2030 6,258 5,684 Federal National Mtg Assoc. 7.250% Due 2010 10,497 9,432 Federal National Mtg Assoc. 6.125% Due 2012 - 2,227 Federal Home Ln Mtg Corp. 6.000% Due 2033 9,621 8,407 Federal National Mtg Assoc. 5.000% Due 2018 9,948 8,888 Federal National Mtg Assoc. 6.500% Due 2032 11,469 8,957 United States Treasury Bond 7.500% Due 2016 8,583 7,639 United States Treasury Bond 5.250% Due 2029 2,188 2,017 United States Treasury Bond 8.125% Due 2021 70,801 62,730 United States Treasury Bond 8.000% Due 2021 12,005 10,805 United States Treasury Note 6.500% Due 2005 87,492 76,946 United States Treasury Note 4.750% Due 2008 80,905 71,730 United States Treasury Note 5.875% Due 2004 23,644 20,800 United States Treasury Note 5.750% Due 2010 11,337 10,091 United States Treasury Note 4.875% Due 2012 34,580 30,711 United States Treasury Note 3.250% Due 2004 18,010 16,144 * Represents parties-in-interest 22 ALZA CORPORATION TAX DEFERRAL INVESTMENT PLAN EIN 77-00142070 PLAN NO. 002 SCHEDULE OF ASSETS HELD FOR INVESTMENT PURPOSES DECEMBER 31, 2003 ( a ) ( b ) ( c ) ( d ) ( e ) Description of Investment Including Identity of Issue, Borrower, Maturity Date, Rate of Interest, Lessor, or Similar Party Collateral, Par, or Maturity Value Cost Current Value ----- ------------------------ ---------------------------------- ---- ------------- Agilent Technologies Inc. Corporate Bond VAR%Due 12/1/2021 $ 9,261 $ 8,740 AT&T Corp. Corporate Bond 3.250%Due 3/15/2031 8,800 8,320 Barnes & Noble Inc. Corporate Bond 5.250%Due 3/15/2009 8,480 7,568 Carnival Corp. Corporate Bond 2.000%Due 4/15/2021 4,190 4,705 Cendant Corp. Corporate Bond 0.000%Due 2/13/2021 8,326 8,250 Centerpoint Energy Inc. Corporate Bond 2.000%Due 9/15/2029 8,026 9,030 Comverse Technology Inc. Corporate Bond 0.000%Due 5/15/2023 8,674 8,225 Countrywide Corporate Bond 0.000%Due 2/8/2031 6,460 9,630 Cypress Semiconductor Corporate Bond 1.250%Due 6/15/2008 9,229 9,172 Duke Energy Corporate Bond 7.200%Due 9/30/2037 24,990 25,250 Enterprise Cap Tr III Corporate Bond 7.250%Due 6/30/2047 22,750 25,050 Enterprise Cap Trsti SRA Corporate Bond 7.440%Due 3/31/2047 5,109 5,028 First Data Corp. Corporate Bond 2.000%Due 3/1/2008 5,625 5,350 Gap Inc. Corporate Bond 5.750%Due 3/15/2009 8,732 10,736 General Mills Inc. Corporate Bond 0.000%Due 10/28/2022 8,492 7,700 Hartford Life Corporate Bond 7.200%Due 6/30/2038 25,360 25,450 Inco Ltd. Corporate Bond 1.000%Due 3/14/2023 9,395 9,721 International Game Technology Corporate Bond 0.000%Due 1/29/2033 8,789 9,554 L-3 Communications Hldg. Corporate Bond 5.250%Due 6/1/2009 9,262 8,838 Manpower Inc. Corporate Bond 0.000%Due 8/17/2021 8,393 8,324 * Merrill Lynch Corporate Bond 7.000% 56,299 53,480 Pep Boys-Manny Moe Jack Corporate Bond 4.250%Due 6/1/2007 8,841 8,338 Photronics Inc. Corporate Bond 4.750%Due 12/15/2006 1,657 1,980 Pride International Inc. Corporate Bond 2.500%Due 3/1/2007 9,311 8,645 Providian Finl Corp. Corporate Bond 4.000%Due 5/15/2008 8,890 8,085 Royal Caribbean Cruise Corporate Bond 0.000%Due 2/2/2021 7,268 8,117 Symantec Corp. Corporate Bond 3.000%Due 11/1/2006 8,452 12,306 Telefonos DE Mexico Corporate Bond 4.250%Due 6/15/2004 7,162 6,840 Teva Pharmaceutical Fin Inv Corporate Bond 0.750%Due 8/15/2021 7,937 8,040 Tyco International Group Corporate Bond 2.750%Due 1/15/2018 12,179 12,762 Unit Washington Mutual Corporate Bond 5.375% 15,562 16,548 Universal Health Servicees Corporate Bond 0.426%Due 6/23/2020 8,651 7,904 USD Stmicroelectronics Corporate Bond 0.000%Due 7/5/2013 8,208 7,497 Walt Disney Company Corporate Bond 2.125%Due 4/15/2023 7,744 7,411 --------------- ------------- Total Retirement Cash Management Account 22,929,316 25,206,774 --------------- ------------- * Participant Loans 6% - 10.5% - 1,230,808 --------------- ------------- Total $ 104,636,652 $ 135,700,973 =============== ============= * Represents parties-in-interest 23 CONSENT OF MORRIS, DAVIS & CHAN, INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM We consent to the incorporation by reference in the Registration Statement on Form S-8 (No. 333-87736) of Johnson & Johnson pertaining to the ALZA Corporation Tax Deferral Investment Plan of our report dated June 18, 2004 with respect to the financial statements and schedules of the ALZA Corporation Tax Deferral Investment Plan included in this Annual Report (Form 11-K) for the year ended December 31, 2003. /s/ Morris, Davis & Chan June 18, 2004 Oakland, California