Form 11-K for Salaried Employees

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 


 

FORM 11-K

 


 

ANNUAL REPORT PURSUANT TO SECTION 15(d) OF

THE SECURITIES EXCHANGE ACT OF 1934

 

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

 

For the Transition Period From              to             

 

Commission File Number 001-14901

 


 

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

 

Consol Energy Inc. Investment Plan for Salaried Employees

 

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

 

Consol Energy Inc.

1800 Washington Road, Pittsburgh, Pa. 15241

 

Registrant’s telephone number, including area code: (412) 831-4000

 



CONSOL Energy Inc.

Investment Plan for

Salaried Employees

Financial Statements and Supplemental Schedule

December 31, 2003 and 2002


CONSOL Energy Inc.

Investment Plan for Salaried Employees

Index

December 31, 2003 and 2002

 

     Page(s)

Report of Independent Registered Public Accounting Firm

   1

Financial Statements

    

Statements 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

    

Schedule H, line 4(i) Schedule of Assets (Held at End of Year)

   11–28

 

Note: Other schedules required by Section 2520.103-10 of the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act (“ERISA”) of 1974 have been omitted because they are not applicable.

 

Signatures

   29

Exhibit 23 – Consent of Independent Registered Public Accounting Firm

    


Report of Independent Registered Public Accounting Firm

 

To the Participants and Investment Plan Committee of

the CONSOL Energy Inc. Investment Plan for

Salaried Employees

 

In our opinion, the accompanying statements of net assets available for benefits and the related statement of changes in net assets available for benefits present fairly, in all material respects, the net assets available for benefits of the CONSOL Energy Inc. Investment Plan for Salaried Employees (the “Plan”) at December 31, 2003 and 2002, and the changes in net assets available for benefits for the year ended December 31, 2003 in conformity with accounting principles generally accepted in the United States of America. 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 of these statements 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, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.

 

Our audits were conducted for the purpose of forming an opinion on the basic financial statements taken as a whole. The supplemental Schedule of Assets Held (at End of Year) as of December 31, 2003 is presented for the purpose of additional analysis and is not a required part of the basic financial statements but is 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 schedule is the responsibility of the Plan’s management. The supplemental schedule has been subjected to the auditing procedures applied in the audits 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.

 

/s/ PricewaterhouseCoopers LLP

 

Pittsburgh, Pennsylvania

June 14, 2004

 

1


CONSOL Energy Inc.

Investment Plan for Salaried Employees

Statements of Net Assets Available for Benefits

December 31, 2003 and 2002

 

(in thousands of dollars)    2003

   2002

Investment at contract value (Notes 2 and 3)

             

Stable Value Fund

   $ 558,250    $ 526,690

Investments at fair value (Notes 2 and 3)

             

Interests in registered investment companies

     151,795      108,312

Barclays 3-Way Fund

     15,120      14,759

Merrill Lynch Aggressive Asset Allocation Portfolio

     1,257      833

Merrill Lynch Conservative Asset Allocation Portfolio

     458      299

Merrill Lynch Moderate Asset Allocation Portfolio

     2,659      1,218

Merrill Lynch Small Cap Index Trust

     3,110      1,167

Merrill Lynch International Index Trust

     937      561

Merrill Lynch Equity Index Trust

     14,019      11,662

E.I. DuPont de Nemours & Company Common Stock

     161,373      170,055

CONSOL Stock Fund

     42,568      39,548

Daimler Chrysler AG Common Stock

     117      85

Participant loans

     14,115      15,055
    

  

Total investments

     965,778      890,244

Receivables

             

Participant contributions

     —        1,735

Employer contributions

     —        4,970

Due from broker for securities sold

     612      89

Accrued interest and dividends

     5      14
    

  

       617      6,808

Cash

     617      855
    

  

Net assets available for benefits

   $ 967,012    $ 897,907
    

  

 

The accompanying notes are an integral part of these financial statements.

 

2


CONSOL Energy Inc.

Investment Plan for Salaried Employees

Statement of Changes in Net Assets Available for Benefits

Year Ended December 31, 2003

 

(in thousands of dollars)     

Additions to net assets attributed to

      

Contributions

      

Participants

   $ 20,341

Employer

     8,728
    

Total contributions

     29,069

Rollovers

     21,395

Interest and dividends

     8,585

Net appreciation in fair value of investments

     93,267
    

Total additions

     152,316

Deductions from net assets attributed to

      

Benefits paid to participants

     83,211
    

Net increase

     69,105

Net assets available for benefits

      

Beginning of year

     897,907
    

End of year

   $ 967,012
    

 

The accompanying notes are an integral part of these financial statements.

 

3


CONSOL Energy Inc.

Investment Plan for Salaried Employees

Notes to Financial Statements

December 31, 2003 and 2002

 

1. Description of the Plan

 

The following brief description of the CONSOL Energy Inc. Investment Plan for Salaried Employees (the “Plan”) is provided for general information purposes only. Participants should refer to the Plan document for more complete information.

 

General

 

The Plan is a defined contribution plan established in 1953. Salaried, operations and maintenance and, in certain circumstances, production and maintenance employees of CONSOL Energy Inc. and participating employers (“CONSOL Energy” or the “Company”) are eligible to participate in the Plan on the first of the month following the start of regular full-time employment. In addition, temporary employees are eligible to participate in the Plan upon completion of a period of 12 consecutive months, commencing upon their employment date or anniversary date thereof, during which the employee completes 1,000 or more hours of service. The Plan is subject to the provisions of the Employee Retirement Income Security Act of 1974 (“ERISA”).

 

On April 29, 1999, CONSOL Energy underwent an initial public offering. In connection with the public offering, the Plan offers CONSOL Energy common stock (“CONSOL Stock Fund”) as an investment option. Participants of the Plan were able to transfer funds into the CONSOL Stock Fund in June 1999 and to allocate contributions to this fund in July 1999. In addition, participants were no longer able to allocate contributions to E.I. DuPont de Nemours & Company (“DuPont”) common stock (“DuPont Stock Fund”).

 

The CONSOL Stock Fund investment option is an Employee Stock Ownership Plan (“ESOP”), whereby participants in the plan will be given the opportunity to elect to receive cash for dividends declared on CONSOL Energy stock. If a participant does not make an election, the dividends will be reinvested in the CONSOL Stock Fund.

 

Contributions

 

Each year participants may, with certain restrictions, contribute a maximum of the lesser of $40,000 or 44% of monthly base pay to the Plan exclusive of supplemental make-up deposits. CONSOL Energy and participating employers match these contributions, dollar for dollar, up to 6% of base pay (as defined by the Plan). Contributions may be made with before-tax or after-tax dollars. In addition, subject to certain limitations, a participant is allowed to make lump-sum savings deposits in cash to the Plan.

 

Included in employer contributions receivable at December 31, 2002 was an estimate of $4,000,000 due to the Plan resulting from a plan amendment made in November 1994 that was not reflected in the plan’s administration since that date. Prior to the amendment, the Plan’s provisions read such that participants making a partial withdrawal from their account would trigger a six month suspension period on their ability to make basic contributions to the Plan. Following the 1994 amendment, the order of the withdrawal sequence and the contribution sources that trigger a six-month suspension period were changed, such that participants were deemed to withdraw investment earnings before their basic contributions and matching contributions and were no longer subject to the six-month suspension for withdrawing investment earnings. During 2001, the Company learned that the administration of the Plan did not correspond to the modified withdrawal sequence and associated suspensions; rather, the Plan continued to be administered in accordance with its pre-investment provisions. As a result, participants who were deemed to withdraw all or a portion of their investment earnings were improperly suspended from making basic contributions and receiving the corresponding matching contribution from the Company.

 

On September 2, 2003 the Internal Revenue Service (“IRS”) agreed to the Company’s proposed correction or making corrective contributions adjusted for earnings and issued a compliance statement that resulted in the Plan retaining its favorable tax status (Note 4). This corrective contribution was made in 2003 and amounted to $1,381,143. The difference of $2,618,857 between the amount recorded as a receivable in the Plan’s financial statements and the amount actually received by the Plan was deducted from the Plan’s net assets available for benefits. The charge was included as a reduction to employer contributions in the accompanying statement of changes in net assets available for benefits.

 

4


CONSOL Energy Inc.

Investment Plan for Salaried Employees

Notes to Financial Statements

December 31, 2003 and 2002

 

Participant Accounts

 

Each participant’s account is credited with the participant’s contributions and allocations of the Company’s contributions and plan investment earnings and is charged with an allocation of administrative expenses and plan investment losses. Allocations are based on participant earnings or account balances, as defined. Forfeited balances of terminated participants’ nonvested accounts are used to reduce future Company contributions. The benefit to which a participant is entitled is the benefit that can be provided from the participant’s account.

 

Investment Options

 

Upon enrollment in the Plan, a participant may direct employee contributions in any of the funds included in the supplemental schedule of assets (held at end of year), which is attached to these financial statements, except for E. I. DuPont de Nemours & Company Common Stock and Daimler Chrysler AG Common Stock. These options are no longer available to Plan participants.

 

Vesting

 

Plan participants become 100% vested upon completion of three cumulative years of service. Participants are always 100% vested in their deposits and in the earnings on both their deposits and the Company’s contributions.

 

Participant Loans

 

Participants may borrow up to one-half of their nonforfeitable account balances subject to certain minimum and maximum loan limitations. Such loans are repayable over periods of 12 to 60 months (120 months maximum if for the purchase of a principal residence) and bear an interest rate equal to the average rate charged by selected major banks for secured personal loans. Principal and interest are paid ratably through payroll deductions.

 

Payment of Benefits

 

Participants who retire from active service may elect to make withdrawals until April 1 of the calendar year following the year in which the participant attains age 70-1/2. They may also elect an option to have their account distributed over a period of not less than two years or more than a period which would pay the account balance during the employee’s actuarial life in either a fixed or variable amount. Before-tax deposits may be withdrawn only in the event of an employee’s retirement, death, termination, attainment of age 59-1/2 or defined hardship. At December 31, 2003 and 2002, approximately $617,000 and $749,000 was payable to withdrawing participants.

 

Forfeitures

 

Nonvested participants whose services with the Company have been terminated will forfeit their entire Company matching source. Total forfeitures were approximately $32,000 and $74,000 for the years ended December 31, 2003 and 2002, respectively. Forfeitures are used to reduce the employer matching contributions to the Plan.

 

Plan Termination

 

Although it has not expressed any intent to do so, CONSOL Energy has the right under the Plan to discontinue its contributions at any time and to terminate the Plan subject to the provisions of ERISA. In the event of plan termination, participants will become 100% vested in their accounts.

 

5


CONSOL Energy Inc.

Investment Plan for Salaried Employees

Notes to Financial Statements

December 31, 2003 and 2002

 

2. Summary of Significant Accounting Policies

 

Basis of Accounting

 

The financial statements of the Plan are prepared under the accrual method of accounting in accordance with accounting principles generally accepted in the United States of America.

 

Investment Valuation and Income Recognition

 

The Plan’s investments are stated at fair value except for the Stable Value Fund (Note 3). The Stable Value Fund is comprised of guaranteed investment contracts (“GIC”), separate account portfolios (“SAP”) and synthetic GICs (“SYN”), all of which are held with multiple insurance companies. These fully benefit responsive contracts are held for investment purposes by the Plan and are stated at contract value (which represents contributions made under the contract, plus earnings, less withdrawals and administrative expenses). Participants may ordinarily direct the withdrawals or transfer of all or a portion of their investment at contract value. Changes in contract value of the investment contracts are recognized in the statement of changes in net assets available for benefits as they occur. There are no reserves against contract value for credit risk of the contract issuer or otherwise. The fair value of the Stable Value Fund at December 31, 2003 and 2002 was $589,068 and $564,590, respectively.

 

Investments in common stocks, common stock funds and registered investment companies are stated at fair value based on publicly quoted market prices. Investments in Common/Collective Trusts are valued at the net asset value of units held by the Plan at year end by the applicable custodian.

 

Purchases and sales of investments are recorded on a trade-date basis. Dividend income is recorded on the ex-dividend date and interest income is recorded on the accrual basis. Gains and losses on the sale of DuPont and CONSOL Energy common stock are based on the average cost of the securities sold. The CONSOL Stock Fund, which is comprised solely of CONSOL Energy common stock, is valued at its quoted market price at year end. Participant loans are valued at cost, which approximates fair value.

 

Use of Estimates

 

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, liabilities and changes therein, and disclosure of contingent assets and liabilities. Actual results could differ from those estimates.

 

Risks and Uncertainties

 

The Plan provides for various investment options. These investments are exposed to various risks, such as interest rate, market and credit risks. 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 the near or long term could materially affect participants’ account balances and the amounts reported in the statements of net assets available for benefits and the statement of changes in net assets available for benefits.

 

6


CONSOL Energy Inc.

Investment Plan for Salaried Employees

Notes to Financial Statements

December 31, 2003 and 2002

 

Payment of Benefits

 

Benefits are recorded when paid.

 

Administrative Expenses

 

Certain administrative expenses of the Plan, such as trustee fees, accounting and legal fees are provided to the Plan by CONSOL Energy without cost. Other administrative expenses are borne by the Plan.

 

3. Investments

 

The following presents individual investments that represent 5% or more of the Plan’s net assets available for benefits at December 31:

 

(in thousands of dollars)    2003

    2002

 

E.I. DuPont de Nemours & Company common stock, 3,516,507 and 4,010,750 shares, respectively

   $ 161,373     $ 170,055  

Transamerica - SAP, 7.10%, 11/30/2006

     29,836       45,254  

Synthetic Wrapper Agreements

     (21,684 )     (144,384 )

 

During 2003, the Plan’s investments (including gains and losses on investments bought and sold, as well as held during the year) appreciated in value by $93,267 as follows:

 

(in thousands of dollars)    Net
Appreciation
in
Investment
Value
During Year


Registered investment companies

   $ 28,332

Common stock

      

CONSOL Stock Fund

     16,190

E.I. DuPont de Nemours & Company

     10,264

Daimler Chrysler AG

     40

Stable Value Fund

     31,548

Common/Collective Trusts

     6,893
    

     $ 93,267
    

 

7


CONSOL Energy Inc.

Investment Plan for Salaried Employees

Notes to Financial Statements

December 31, 2003 and 2002

 

The Stable Value Fund is a nonpooled separate account held by the Plan. The investment contracts are entered into based on an evaluation of the credit risk of the contract issuers and/or third party guarantors. Collateral is generally not provided. The Stable Value Fund includes traditional guaranteed investment contracts as well as synthetic guaranteed investment contracts. A synthetic guaranteed investment contract provides for a guaranteed return on principal over a specified period of time through the use of underlying assets and a benefit responsive wrapper contract issued by a third party. Included in the contract value of synthetic guaranteed investment contracts is approximately ($21.7 million) at December 31, 2003 attributable to wrapper contract providers representing the amounts by which the value of contracts is less than the value of the underlying assets.

 

The composition of assets of the Stable Value Fund as of December 31, 2003 and 2002 are as follows:

 

(in thousands of dollars)    2003

   2002

Investment contracts

   $ 551,652    $ 519,267

Short-term investments

     6,598      7,423
    

  

     $ 558,250    $ 526,690
    

  

 

The composition of changes in net assets of the Stable Value Fund for the year ended December 31, 2003 is as follows:

 

(in thousands of dollars)       

Employer contributions

   $ 7,453  

Participant contributions and rollovers

     30,504  
    


Total contributions

     37,957  

Interest and dividend income

     619  

Net realized/unrealized appreciation in fair value

     31,548  

Benefits paid to participants

     (57,264 )

Net loan activity

     (129 )

Net interfund transfers

     18,829  
    


Increase in net assets available for benefits

     31,560  

Net assets

        

Beginning of year

     526,690  
    


End of year

   $ 558,250  
    


 

The aggregate crediting rates for all contracts as of December 31, 2003 and 2002 were 5.36% and 5.88%, respectively. The crediting rates for SAP and SYN contracts are reset annually and are based on the market value of the underlying portfolio of assets backing these contracts. Inputs used to determine the crediting rate include each contract’s portfolio market value, current yield-to-maturity, duration (i.e., weighted average life), and market value relative to contract value. The average yield of the Stable Value Fund was approximately 5.53% and 6.07% in 2003 and 2002, respectively.

 

Participants investing in the Stable Value Fund, or Common Collective Trusts are assigned units at the time of investment based on the net asset value per unit.

 

8


CONSOL Energy Inc.

Investment Plan for Salaried Employees

Notes to Financial Statements

December 31, 2003 and 2002

 

4. Tax Status

 

The Internal Revenue Service has determined and informed the Company by a letter dated September 17, 2002, that the Plan and related trust are designed in accordance with applicable sections of the Internal Revenue Code (“IRC”). The plan administrator and the Plan’s tax counsel believe that the Plan is designed and is currently being operated in compliance with the applicable requirements of the IRC.

 

5. Reconciliation of Financial Statements to Form 5500

 

The following is a reconciliation of net assets available for benefits per the financial statements at December 31, 2003 and 2002 to Form 5500:

 

(in thousands of dollars)


   2003

    2002

 

Net assets available for benefits per the financial statements

   $ 967,012     $ 897,907  

Amounts allocated to withdrawing participants

     (617 )     (749 )
    


 


Net assets available for benefits per the Form 5500

   $ 966,395     $ 897,158  
    


 


 

The following is a reconciliation of benefits paid to participants per the financial statements for the year ended December 31, 2003, to Form 5500:

 

(in thousands of dollars)


      

Benefits paid to participants per the financial statements

   $ 83,211  

Add: Amounts allocated to withdrawing participants at December 31, 2003

     617  

Less: Amounts allocated to withdrawing participants at December 31, 2002

     (749 )
    


Benefits paid to participants per Form 5500

   $ 83,079  
    


 

Amounts allocated to withdrawing participants are recorded on the Form 5500 for benefit claims that have been processed and approved for payment prior to December 31, 2003 and 2002, but not yet paid as of that date.

 

9


CONSOL Energy Inc.

Investment Plan for Salaried Employees

Notes to Financial Statements

December 31, 2003 and 2002

 

6. Transactions with Parties-in-Interest

 

Plan investments include collective investment funds managed by Merrill Lynch. Merrill Lynch is the trustee as defined by the Plan and, therefore, these transactions qualify as those conducted with a party-in-interest to the Plan.

 

One of the investment vehicles available to employees, the CONSOL Stock Fund, contains stock of CONSOL Energy. The Plan held 1,643,532 shares and 2,288,668 shares of CONSOL Energy’s common stock at December 31, 2003 and 2002, respectively.

 

10


CONSOL Energy Inc.

Investment Plan for Salaried Employees

EIN: 51-0337383, Plan 002

Schedule H, line 4(i) – Schedule of Assets (Held at End of Year) **

December 31, 2003

 

(in thousands of dollars)

 

(a)


  

(b) Identity of Issue, borrower

lessor or similar party


  

(c) Description of investment including

maturity date, rate of interest,

collateral, par or maturity value


  

(d) Number of

shares/units


  

(e) Current

value (in 000s)


           
           

Common stock

                     

* CONSOL Stock Fund

             1,643,532    $ 42,568

E.I. DuPont de Nemours & Company

             3,516,507      161,373

Daimler Chrysler AG

             2,537      117
                   

     Total common stock                204,058

Interests in registered investment companies

                     

* Merrill Lynch

        Balanced Capital Fund    127,113      3,358
          Basic Value Fund    310,201      9,480
          Fundamental Growth Fund    66,881      1,108
          International Value Fund    96,710      2,164
          Global Growth Fund    168,581      1,489

Janus Investments

        Enterprise Fund    384,360      11,981
          Mercury Fund    1,139,942      22,229

Fidelity Investments

        Fidelity Fund    167,261      4,697
          Equity Income Fund    77,725      3,867
          Magellan Fund    346,297      33,847
          Low Priced Stock Fund    459,735      16,082
          Growth and Income Fund    166,666      5,938

Franklin Value Investors Trust

        Small Cap Growth Fund    255,669      7,726
          Balance sheet    136,841      6,510
          Custodian Fund Inc.    27,121      826

AIM

        Equity Constellation Fund    141,404      3,042
          Premier Equity Fund    585,043      5,488

Franklin Templeton

        Growth Fund    158,654      3,279
          Foreign Fund    403,221      4,290

MFS Investment Management

        Total Return Fund    213,501      3,224
          Research Fund    67,021      1,172
     Total interests in registered investment companies                151,795

Stable Value Fund

                     

Connecticut General Life Insurance

        GIC, 7.14%, 10/1/2007    44,670,675      44,671

Transamerica

        GIC, 7.10%, 11/30/2006    29,836,208      29,836

John Hancock Life Ins. Co.

        GIC, 6.01%, 5/31/2006    3,734,594      3,735

Security Life of Denver

        GIC, 6.19%, 3/3/2008    26,933,639      26,934

* Merrill Lynch Premier Institutional Fund

        Money Market Fund, 1.05%    6,597,547      6,598

JPMorgan Chase Bank

        SYN, 5.41%, open-end    58,180,633      —  

Underlying Security Description

                     

ANZ (DELAWARE) INC. CORPORATE COMMERCIAL PAPER

        COMMERCIAL PAPER (INTEREST BEARING)    1,300,000      1,296

CALIFORNIA ST 18/JUN/2003 16/JUN/2004 02.000

        MUNICIPAL BONDS    300,000      301

CHASE EOD BK LIQUIDITY FD (VAN 2).

        STIF    20,600,124      20,600

CHILE (REPUBLIC OF) 5.50% DUE 15/JAN/2013

        GOVERNMENT BONDS    250,000      258

DEC 07 EURODOLLAR-CME FUTURE LG

        FUTURES    3      711

DENVER ARENA TR ARENA REVENUE BKD NT 144A 6.94%

        ASSET BACKED    196,401      202

EL PASO CORP 8.05% MTN 15/OCT/2030 USD1000

        CORPORATE BONDS    250,000      218

FANNIE MAE REMIC TRUST 93-196 IA 6.500%

        CMO/REMIC    12,313      1

FANNIE MAE REMIC TRUST 93-252 HA 5.000%

        CMO/REMIC    415,754      419

FANNIE MAE REMIC TRUST 97-G02A ZA 8.500%

        CMO/REMIC    240,459      259

FEDERAL HOME LOAN MORTGAGE CORPORATION 1404 FA

        CMO/REMIC    91,509      93

FEDERAL HOME LOAN MORTGAGE CORPORATION 1502 PZ

        CMO/REMIC    39,114      39

FEDERAL HOME LOAN MORTGAGE CORPORATION 1629 HA

        CMO/REMIC    396,365      399

FEDERAL HOME LOAN MORTGAGE CORPORATION 1956A BE

        CMO/REMIC    43,067      43

FEDL HOME LOAN MTG CORP DISC NT MATURES

        DISCOUNTED NOTES    1,300,000      1,296

FFCA SECURED LENDING CORPORATION 99-2 A 7.950%

        COMMERCIAL MORTGAGE BACKED SECURITIES    400,000      425

FHLMC MORTPASS ARM 01/MAY/2025 84 PN# 846152

        MORTGAGE BACKED SECURITIES    42,905      44

FNMA 2003-W1 1A-1 0% DUE 25/DEC/2042

        CMO/REMIC    236,550      251

FNMA MORTPASS 4% 01/AUG/2018 CI PN# 727410

        MORTGAGE BACKED SECURITIES    490,370      478

FNMA MORTPASS 4% 01/AUG/2018 CI PN# 730444

        MORTGAGE BACKED SECURITIES    46,624      45

FNMA MORTPASS 4% 01/AUG/2018 CI PN# 730638

        MORTGAGE BACKED SECURITIES    549,690      536

 

11


CONSOL Energy Inc.

Investment Plan for Salaried Employees

EIN: 51-0337383, Plan 002

Schedule H, line 4(i) – Schedule of Assets (Held at End of Year) **

December 31, 2003

 

(in thousands of dollars)

 

(a)


 

(b) Identity of Issue, borrower
lessor or similar party


  

(c) Description of investment including

maturity date, rate of interest,

collateral, par or maturity value


  

(d) Number of

shares/units


  

(e) Current

value (in 000s)


 
          
          

FNMA MORTPASS 4% 01/AUG/2018 CI PN# 732243

       MORTGAGE BACKED SECURITIES    806,750    787  

FNMA MORTPASS 4% 01/AUG/2018 CI PN# 734520

       MORTGAGE BACKED SECURITIES    88,087    86  

FNMA MORTPASS 4% 01/AUG/2018 CI PN# 734753

       MORTGAGE BACKED SECURITIES    543,601    530  

FNMA MORTPASS 4% 01/AUG/2018 CI PN# 734957

       MORTGAGE BACKED SECURITIES    26,906    26  

FNMA MORTPASS 4% 01/JUL/2018 CI PN# 722418

       MORTGAGE BACKED SECURITIES    29,165    28  

FNMA MORTPASS 4% 01/SEP/2018 CI PN# 727380

       MORTGAGE BACKED SECURITIES    587,452    573  

FNMA MORTPASS 4% 01/SEP/2018 CI PN# 739521

       MORTGAGE BACKED SECURITIES    351,718    343  

FNMA MORTPASS 5.5% 01/DEC/2016 CI PN# 254088

       MORTGAGE BACKED SECURITIES    121,890    126  

FNMA MORTPASS 6% 01/JUN/2022 CT PN# 545696

       MORTGAGE BACKED SECURITIES    825,343    858  

FNMA MORTPASS 6% 01/SEP/2022 CT PN# 545887

       MORTGAGE BACKED SECURITIES    557,896    580  

FNMA MORTPASS 6.134% 01/NOV/2011 XY PN# 545269

       MORTGAGE BACKED SECURITIES    489,108    533  

FNMA MORTPASS 6.5% 01/JUL/2032 CL PN# 651238

       MORTGAGE BACKED SECURITIES    29,962    31  

FNMA MORTPASS 6.5% 01/OCT/2031 CL PN# 606551

       MORTGAGE BACKED SECURITIES    96,856    101  

FNMA MORTPASS 7.104% 01/AUG/2009 HY PN# 381816

       MORTGAGE BACKED SECURITIES    480,715    540  

FNMA MORTPASS ARM 01/AUG/2028 AS PN# 065581

       MORTGAGE BACKED SECURITIES    49,679    50  

FNMA MORTPASS ARM 01/MAR/2027 AS PN# 062938

       MORTGAGE BACKED SECURITIES    14,070    14  

FNMA MORTPASS ARM 01/MAY/2036 WS PN# 545204

       MORTGAGE BACKED SECURITIES    250,991    253  

FORD MOTOR CREDIT 7.25% NTS 25/OCT/2011 USD1000

       CORPORATE BONDS    250,000    271  

FORD MOTOR CREDIT FR MTN 08/MAR/2004 USD1000

       CORPORATE BONDS    200,000    200  

FREDDIE MAC 2235 KS 6.500% 15/FEB/2026

       CMO/REMIC    254,415    256  

FREDDIE MAC 2279 Z 6.000% 15/JAN/2031

       CMO/REMIC    416,754    427  

FRISCO TEX 01/JUN/2003 15/FEB/2014 05.000

       MUNICIPAL BONDS    500,000    550  

GENERAL MTRS NOVA 6.85% NT 15/OCT/2008 USD1000

       CORPORATE BONDS    1,000,000    1,070  

GEORGIA ST RD & TWY AUTH REV 01/DEC/2001

       MUNICIPAL BONDS    300,000    315  

GMAC COMMERCIAL MORTGAGE SECURITIES, INC. 99-C2

       COMMERCIAL MORTGAGE BACKED SECURITIES    298,020    320  

GNMA I MORTPASS 4.5% 15/SEP/2033 SF PN# 620957

       MORTGAGE BACKED SECURITIES    496,724    476  

GNMA II MORTPASS ARM 20/FEB/2024 AR PN# 008371

       MORTGAGE BACKED SECURITIES    46,742    47  

GNMA II MORTPASS ARM 20/JAN/2026 AR PN# 008781

       MORTGAGE BACKED SECURITIES    30,660    31  

GNMA II MORTPASS ARM 20/JAN/2027 AR PN# 080032

       MORTGAGE BACKED SECURITIES    61,205    62  

GNMA II MORTPASS ARM 20/SEP/2023 AR PN# 008280

       MORTGAGE BACKED SECURITIES    46,370    47  

GOLDEN ST TOB SECURITIZATION CORP CALIF

       MUNICIPAL BONDS    200,000    192  

GOLDEN ST TOB SECURITIZATION CORP CALIF

       MUNICIPAL BONDS    100,000    99  

GOVT NATL MTG ASSOC PN# 080395

       MORTGAGE BACKED SECURITIES    33,904    34  

GOVT NATL MTG AXXOC PN# 080331

       MORTGAGE BACKED SECURITIES    31,072    32  

GREENTREE FINANCIAL CORPORATION 98-6 A-5 6.060%

       ASSET BACKED    310,112    314  

HAMILTON OHIO NORTHERN OHIO SCH DISTS GAS SUPPLY

       MUNICIPAL BONDS    1,200,000    1,240  

INDYMAC ARM TRUST 01-H2 A-2 VARIABLE 25/JAN/2032

       CMO/REMIC    176,664    183  

JUN 07 EURODOLLAR-CME FUTURE LG

       FUTURES    3    713  

KOREA DEVELOPMENT BANK

       CORPORATE BONDS    0    —    

MAR 04 10 YEAR T NOTES-CBT FUTURE LG

       FUTURES    71    7,971  

MAR 07 EURODOLLAR-CME FUTURE LG

       FUTURES    3    715  

MEXICO (UTD M EX ST) VRR SERIES D 30JUN2006

       RIGHTS    500,000    1  

MEXICO(UTD M EX ST) MTN 8.3% 15/AUG/2031

       GOVERNMENT BONDS    300,000    338  

MEXICO, GOVERNMNET OF (UTD) VRR SERIES B DUE

       RIGHTS    500,000    5  

MEXICO,VALUE RECOV RIGHTS, (UTD)VRR SERIES-C-

       RIGHTS    500,000    1  

NOMURA ASSET ACCEP CORP 2001-R1 MTG PASS THRU CTF

       CMO/REMIC    264,735    272  

ORIGINAL EXPOSURE ON OPEN CONTRACTS

       FUTURES    0    (14,378 )

PACIFIC GAS & ELEC FRN 31/OCT/2049 USD1000`144A

       CORPORATE BONDS    300,000    302  

PEM EX PROJECT FD MAST TRUST 8.0% 15/NOV/2011

       CORPORATE BONDS    500,000    559  

PIM CO FDS PAC INVT MGMT SER INTL PTF INSTL

       MUTUAL FUNDS    461,010    2,540  

RABOBANK CAP FDG 25.26%-VAR BDS PERP USD

       CORPORATE BONDS    100,000    100  

SEP 05 EURODOLLAR-CME FUTURE LG

       FUTURES    15    3,624  

SEP 07 EURODOLLAR-CME FUTURE LG

       FUTURES    3    712  

STUDENT LN FIN ASSN WASH ED LN REV 19/NOV/2002

       MUNICIPAL BONDS    500,000    500  

TOBACCO SETTLEMENT FING CORP N J 07/MAR/2003

       MUNICIPAL BONDS    250,000    242  

TOBACCO SETTLEMENT FING CORP N J 6.00% DTD

       MUNICIPAL BONDS    400,000    357  

TOBACCO SETTLEMENT FING CORP N Y REV 19/JUN/2003

       MUNICIPAL BONDS    500,000    538  

UNITED MEXICAN STATES 8% 24/SEP/2022

       GOVERNMENT BONDS    500,000    545  

UNITED MEXICAN STATES VALUE RECOVERY RIGHT

       RIGHTS    500,000    1  

US TREASURY BILL

       TREASURY BILLS    180,000    180  

USA TREASURY BDS 10.625% BDS 15/AUG/2015 USD

       GOVERNMENT BONDS    300,000    467  

USA TREASURY BDS 12% BDS 15/AUG/2013 USD1000

       GOVERNMENT BONDS    1,500,000    2,072  

USA TREASURY BDS 5.375% 15/FEB/2031 USD

       GOVERNMENT BONDS    250,000    261  

USA TREASURY BDS 5.5% BDS 15/AUG/2028 USD1000

       GOVERNMENT BONDS    650,000    677  

USA TREASURY BDS 6.625% BDS 15/FEB/2027 USD1000

       GOVERNMENT BONDS    250,000    299  

USA TREASURY BDS 7.5% BDS 15/NOV/2016 USD1000

       GOVERNMENT BONDS    4,350,000    5,538  

USA TREASURY NTS 1.625% NTS 31/OCT/2005 USD1000

       GOVERNMENT BONDS    2,100,000    2,097  

USA TREASURY NTS 3.375% TIPS 15/JAN/2007 USD1000

       GOVERNMENT BONDS    1,500,000    1,898  

USA TREASURY NTS 3.375% TIPS 15/JAN/2012 USD

       GOVERNMENT BONDS    1,200,000    1,399  

USA TREASURY NTS 3.625% TIPS 15/JAN/2008 USD1000

       GOVERNMENT BONDS    200,000    253  

 

12


CONSOL Energy Inc.

Investment Plan for Salaried Employees

EIN: 51-0337383, Plan 002

Schedule H, line 4(i) - Schedule of Assets (Held at End of Year) **

December 31, 2003

 

(in thousands of dollars)

 

(a)


 

(b) Identity of Issue, borrower
lessor or similar party


  

(c) Description of investment including

maturity date, rate of interest,

collateral, par or maturity value


  

(d)Number of

shares/units


  

(e) Current

value (in 000s)


 
          
          

USA TREASURY STRIP 0% 15/MAY/2020 USD1000(STRIP)

       GOVERNMENT BONDS    200,000    83  

USA TREASURY STRIP STRIP INT PMT 15/AUG/2015 USD

       GOVERNMENT BONDS    1,000,000    570  

VARIATION MARGIN ON OPEN CONTRACTS TO DATE - G/L

       FUTURES    0    (68 )

VERIZON WIRELESS CAP LLC / CLLO PARTNERSHIP SR NTS

       CORPORATE BONDS    300,000    300  

WASHINGTON MUTUAL MSC MORTGAGE 2003-AR1

       CMO/REMIC    298,958    304  

VARIOUS RECEIVABLES

            0    955  

J P Morgan Chase Bank

       SYN, 4.35%, open-end    76,973,006    —    

Underlying Security Description

                    

LM INSTITUTIONAL F WESTERN ASSET CORE PLUS POR

       MUTUAL FUNDS    3,030,297    31,788  

PIMCO FDS PACIFIC TOTAL RETURN FD INSTITUTION

       MUTUAL FUNDS    158,846    1,701  

PIMCO LOW DURATION FUND

       MUTUAL FUNDS    4,405,292    45,110  

State Street Bank and Trust

       SYN, 5.01%, open-end    58,397,258    —    

Underlying Security Description

                    

1ST UNION NATL BK 7.875% BDS 15/FEB/2010 USD1000

       CORPORATE BONDS    100,000    120  

ACE INA HLDGS INC 8.3% NT 15/AUG/2006 USD1000

       CORPORATE BONDS    100,000    113  

AESOP FUNDING II 1998-1 NOTES 20/MAY/2006 6.14000

       ASSET BACKED    300,000    315  

ALABAMA PWR CO SR NT-S 5.875% 01/DEC/2022

       CORPORATE BONDS    65,000    66  

ALCOA INC 6.75% NTS 15/JAN/2028 USD1000

       CORPORATE BONDS    50,000    56  

ALLTEL CORP

       CORPORATE BONDS    50,000    57  

ALTRIA GROUP INC 7.00% 04/NOV/2013

       CORPORATE BONDS    80,000    85  

AMERICAN AIRLINES 2003-1 G 3.857% 01/09/2012

       ASSET BACKED    50,000    49  

AMERITECH CAP FDG 6.45% DEB 15/JAN/2018 USD1000

       CORPORATE BONDS    55,000    59  

ASSET SECURITIZATION CORPORATION 97-D4 A-1B 7.400%

       CMO/REMIC    195,729    197  

ASSET SECURITIZATION CORPORATION 97-D5A-1B 6.660%

       COMMERCIAL MORTGAGE BACKED SECURITIES    362,196    377  

AT&T 8% SR NTS 15/NOV/2031 USD1000

       CORPORATE BONDS    85,000    99  

AT&T WIRELESS SVCS 8.125% NTS 01/MAY/2012 USD1000

       CORPORATE BONDS    85,000    100  

BCO SANTANDER-CHIL 6.5% SB NT 01/NOV/2005 USD1000

       CORPORATE BONDS    250,000    265  

BEAR STEARNS COMM MTG SECS 4.74% DUE 13MAR40

       CMO/REMIC    500,000    500  

BEAR STEARNS COMMERCIAL MTG LOAN 4.68% 13/AUG/2039

       CMO/REMIC    300,000    297  

BERKLEY CORP 084423AJ 15.875% 15/FEB/2013

       CORPORATE BONDS    95,000    97  

BK OF AMERICA CPN 7.4% SNR BDS 15/JAN/2011 USD

       CORPORATE BONDS    250,000    293  

BK ONE CORP 8% SUB NT 29/APR/2027 USD1000

       CORPORATE BONDS    300,000    377  

BRISTOL-MYRS SQUIB 5.75% BDS 01/OCT/2011 USD1000

       CORPORATE BONDS    50,000    54  

BRITISH TELECOM 8.625% VAR BDS 15/DEC/2030 USD

       CORPORATE BONDS    75,000    98  

BUNDES REPUBLIK DEUTSCHLAND 5.00% DUE 04/JUL/2012

       GOVERNMENT BONDS    210,000    280  

BURLINGTON RES INC 5.7% NT 01/MAR/2007 USD1000

       CORPORATE BONDS    150,000    162  

CALIFORNIA ST 01/JUL/2003 01/FEB/2023 05.250

       MUNICIPAL BONDS    295,000    305  

CALIFORNIA ST 01/JUL/2003 01/FEB/2025 05.500

       MUNICIPAL BONDS    265,000    278  

CANADIAN OIL SANDS LTD 7.9% 01/SEP/2021

       CORPORATE BONDS    150,000    168  

CENTEX CORPORATION 5.800% DUE 15/SEP/2009

       CORPORATE BONDS    100,000    107  

CHASE EOD BK LIQUIDITY FD (VAN 2).

       STIF    2,147,365    2,147  

CHASE MANHATTAN AUTO OWNER TR 2002 B ASSET BACKED

       ASSET BACKED    250,000    259  

CHASE MANHATTAN CP 7% BDS 15/NOV/2009 USD1000

       CORPORATE BONDS    75,000    86  

CINGULAR WIRELESS LLC SR NT 7.125%31

       CORPORATE BONDS    150,000    162  

CIT GROUP INC 7.125% BDS 15/OCT/2004 USD

       CORPORATE BONDS    110,000    115  

CITIBANK CREDIT CARD MASTER TRUST I 99-2 A 5.875%

       ASSET BACKED    450,000    494  

CLEAR CHANNEL COMM 7.65% SNR NTS 15/SEP/2010 USD

       CORPORATE BONDS    80,000    94  

CNH EQUIPMENT TRUST 01-A A-4 5.380% 15/AUG/2007

       ASSET BACKED    262,532    269  

COMMERCIAL MORTGAGE ASSET TRUST 99-C1 A-3 6.640%

       COMMERCIAL MORTGAGE BACKED SECURITIES    50,000    56  

COMMONWEALTH EDISON CO 1M MBIA 8.25% 01/OCT/2006

       CORPORATE BONDS    150,000    172  

COMPUTER SCIENCES 7.375% SR NT 15/JUN/2011 USD

       CORPORATE BONDS    15,000    18  

CONAGRA INC 7.875% NTS 15/SEP/2010 USD1000

       CORPORATE BONDS    85,000    101  

COX COMMUNICATIONS INC 5.5% 01/OCT/2015

       CORPORATE BONDS    100,000    101  

COX ENTERPRISES INC 4.375% 01/MAY/2008

       CORPORATE BONDS    55,000    56  

CREDIT NATIONAL 7% SB NTS 14/NOV/2005 USDVAR

       CORPORATE BONDS    250,000    272  

CS FIRST BOSTON MORTGAGE SECURITIES CORPORATION

       COMMERCIAL MORTGAGE BACKED SECURITIES    100,000    112  

DELTA AIR LINES 6.718% 30/APR/2002-02/JAN/2023

       ASSET BACKED    330,127    353  

DEVON ENERGY CORP 7.95% SR DEB 15/APR/2032 USD

       CORPORATE BONDS    75,000    90  

DUKE ENERGY CORP SR NT-B 5.375% 01/JAN/2009

       CORPORATE BONDS    150,000    158  

EQUITABLE LIFE ASS 6.95% NTS 01/DEC/2005 USD1000

       CORPORATE BONDS    250,000    272  

ERAC USA FINANCE 6.75% NT 15/MAY/2009 USD 144A

       CORPORATE BONDS    150,000    168  

EUR-BOND FUTURE MAR 04

       FUTURES    11    1,481  

EVEREST REINS HLDGS INC SR NT 8.75% 15/MAR/2010

       CORPORATE BONDS    100,000    121  

FED HOME LOAN BK 4.125% DEB 14/JAN/2005 USD1000

       GOVERNMENT BONDS    1,000,000    1,028  

FED HOME LOAN MTG 5.25% MTN 15/JAN/2006 USD1000

       GOVERNMENT BONDS    500,000    532  

FED HOME LOAN MTG 5.625% BDS 15/MAR/2011 USD

       GOVERNMENT BONDS    360,000    391  

FED HOME LOAN MTG 6.875%BDS 15/SEP/2010 USD1000

       GOVERNMENT BONDS    1,600,000    1,858  

FED HOME LOAN MTG 7% BDS 15/JUL/2005 USD1000

       GOVERNMENT BONDS    540,000    583  

 

13


CONSOL Energy Inc.

Investment Plan for Salaried Employees

EIN: 51-0337383, Plan 002

Schedule H, line 4(i) - Schedule of Assets (Held at End of Year) **

December 31, 2003

 

(in thousands of dollars)

 

(a)


  

(b) Identity of Issue, borrower
lessor or similar party


  

(c) Description of investment including
maturity date, rate of interest, collateral,
par or maturity value


  

(d) Number of

shares/units


   (e) Current
value (in
000s)


FED NATL MORT ASSC 6.625% BDS 15/SEP/2009 USD 1000

        GOVERNMENT BONDS    800,000    915

FED NATL MORT ASSC 7.125% BDS 15/JUN/2010 USD

        GOVERNMENT BONDS    500,000    588

FED NATL MTG ASSN POOL# 555316

        MORTGAGE BACKED SECURITIES    118,838    122

FED NATL MTG ASSN POOL# 555414

        MORTGAGE BACKED SECURITIES    198,199    200

FEDERAL NATIONAL MORTGAGE ASSOCIATION POOL #555505

        MORTGAGE BACKED SECURITIES    297,806    302

FEDERAL NATL MTG ASSN GTD MTG PASS THRU CTF POOL#

        MORTGAGE BACKED SECURITIES    296,652    307

FEDERAL NATL MTG ASSN POOL#: 254635 6.0% DUE

        MORTGAGE BACKED SECURITIES    325,881    339

FHLM CGLD MORTPASS 5.5% 01/DEC/2032 C7 PN# C74134

        MORTGAGE BACKED SECURITIES    418,902    424

FHLM CGLD MORTPASS 5.5% 01/MAY/2013 G1 PN# G10814

        MORTGAGE BACKED SECURITIES    105,425    110

FHLM CGLD MORTPASS 6.5% 01/AUG/2017 E0 PN# E01205

        MORTGAGE BACKED SECURITIES    178,153    189

FHLM CGLD MORTPASS 6.5% 01/JUL/2017 E0 PN# E01185

        MORTGAGE BACKED SECURITIES    106,936    113

FHLM CGLD MORTPASS 7.5% 01/APR/2028 G0 PN# G00921

        MORTGAGE BACKED SECURITIES    40,990    44

FHLM CGLD MORTPASS 7.5% 01/JUN/2027 G0 PN# G00739

        MORTGAGE BACKED SECURITIES    28,088    30

FIRST UNION-LEHMAN BROTHERS COMMERCIAL MORTGAGE

        COMMERCIAL MORTGAGE BACKED SECURITIES    93,703    95

FLORIDA POWER CORP 341099CB3 5.9% 01/MAR/2033

        CORPORATE BONDS    100,000    100

FLORIDA WINDSTORM 7.125%SEC NT25/FEB/2019USD(144A

        CORPORATE BONDS    100,000    117

FNMA MORTPASS 5% 01/AUG/2033 CL PN# 724406

        MORTGAGE BACKED SECURITIES    213,783    212

FNMA MORTPASS 5% 01/AUG/2033 CL PN# 734640

        MORTGAGE BACKED SECURITIES    217,298    215

FNMA MORTPASS 5% 01/MAY/2018 CI PN# 555445

        MORTGAGE BACKED SECURITIES    953,494    974

FNMA MORTPASS 5% 01/NOV/2033 CL PN# 748500

        MORTGAGE BACKED SECURITIES    565,291    560

FNMA MORTPASS 5% 01/NOV/2033 CL PN# 751676

        MORTGAGE BACKED SECURITIES    499,342    494

FNMA MORTPASS 5% 01/SEP/2018 CI PN# 711998

        MORTGAGE BACKED SECURITIES    481,605    492

FNMA MORTPASS 5.5% 01/JAN/2017 CI PN# 545412

        MORTGAGE BACKED SECURITIES    33,981    35

FNMA MORTPASS 5.5% 01/JUL/2018 CI PN# 713307

        MORTGAGE BACKED SECURITIES    758,699    787

FNMA MORTPASS 5.5% 01/SEP/2033 CL PN# 733655

        MORTGAGE BACKED SECURITIES    475,523    482

FNMA MORTPASS 6% 01/MAR/2005 CX PN# 399248

        MORTGAGE BACKED SECURITIES    25,230    26

FNMA MORTPASS 6.131% 01/NOV/2011 XY PN# 545258

        MORTGAGE BACKED SECURITIES    977,018    1,068

FNMA MORTPASS 6.3% 01/JAN/2008 MY PN# 380056

        MORTGAGE BACKED SECURITIES    144,048    157

FNMA MORTPASS 6.316% 01/MAY/2011 XY PN# 535862

        MORTGAGE BACKED SECURITIES    291,980    322

FNMA MORTPASS 6.46% 01/JUN/2009 MY PN# 381698

        MORTGAGE BACKED SECURITIES    285,266    315

FNMA MORTPASS 7% 01/JAN/2028 CL PN# 313947

        MORTGAGE BACKED SECURITIES    78,670    83

FNMA MORTPASS 7.04% 01/MAR/2007 MY PN# 073980

        MORTGAGE BACKED SECURITIES    208,842    230

FORD MOTOR CREDIT 7.375% BDS 01/FEB/2011 USD1000`2

        CORPORATE BONDS    350,000    381

FORD MOTOR CREDIT 7.875% NTS 15/JUN/2010 USD1000

        CORPORATE BONDS    60,000    67

FRANCE TELECOM 9%-VAR 01/MAR/2011 USD`SECREG

        CORPORATE BONDS    100,000    120

GEN ELEC CAP CORP 6.125% MTN 22/FEB/2011 USD

        CORPORATE BONDS    100,000    110

GEN ELEC CAP CORP 8.85% BDS 01/APR/2005 USD1000

        CORPORATE BONDS    175,000    190

GEN MOTORS ACC CP 6.875% BDS 15/SEP/2011 USD1000

        CORPORATE BONDS    200,000    215

GEN MOTORS CORP 8.25% SNR DEB 15/JUL/2023 USD

        CORPORATE BONDS    125,000    142

GNMA I MORTPASS 5% 15/JUL/2033 SF PN# 611270

        MORTGAGE BACKED SECURITIES    644,084    639

GNMA I MORTPASS 5% 15/JUN/2033 SF PN# 603762

        MORTGAGE BACKED SECURITIES    491,648    488

GNMA I MORTPASS 5% 15/JUN/2033 SF PN# 614538

        MORTGAGE BACKED SECURITIES    49,451    49

GNMA I MORTPASS 6% 09/15/2029 SP PN# 781377

        MORTGAGE BACKED SECURITIES    114,755    119

GNMA I MORTPASS 6% 15/FEB/2032 SF PN# 570788

        MORTGAGE BACKED SECURITIES    432,779    450

GNMA I MORTPASS 6% 15/FEB/2032 SF PN# 579189

        MORTGAGE BACKED SECURITIES    41,774    43

GNMA I MORTPASS 6% 15/FEB/2033 SF PN# 592584

        MORTGAGE BACKED SECURITIES    2,430,283    2,528

GNMA I MORTPASS 6% 15/FEB/2033 SF PN# 599144

        MORTGAGE BACKED SECURITIES    295,548    307

GNMA I MORTPASS 6% 15/JAN/2033 SP PN# 781542

        MORTGAGE BACKED SECURITIES    76,046    79

GNMA I MORTPASS 6% 15/MAR/2032 SF PN# 574465

        MORTGAGE BACKED SECURITIES    575,512    599

GNMA I MORTPASS 6% 15/NOV/2028 SF PN# 486634

        MORTGAGE BACKED SECURITIES    42,296    44

GNMA I MORTPASS 6% 15/OCT/2028 SF PN# 484842

        MORTGAGE BACKED SECURITIES    76,284    79

GNMA I MORTPASS 6% 15/OCT/2032 SF PN# 591686

        MORTGAGE BACKED SECURITIES    22,986    24

GNMA I MORTPASS 6% 15/SEP/2031 SP PN# 781330

        MORTGAGE BACKED SECURITIES    586,392    610

GNMA I MORTPASS 6% 15/SEP/2032 SF PN# 578245

        MORTGAGE BACKED SECURITIES    436,735    454

GNMA I MORTPASS 6.5% 15/FEB/2028 SF PN# 465911

        MORTGAGE BACKED SECURITIES    180,710    191

GNMA I MORTPASS 6.5% 15/JUL/2028 SF PN# 462642

        MORTGAGE BACKED SECURITIES    184,369    195

GNMA I MORTPASS 6.5% 15/JUL/2032 SF PN# 587719

        MORTGAGE BACKED SECURITIES    220,047    232

GNMA I MORTPASS 6.5% 15/MAR/2028 SF PN# 450324

        MORTGAGE BACKED SECURITIES    182,490    193

GNMA I MORTPASS 6.5% 15/MAY/2028 SF PN# 462707

        MORTGAGE BACKED SECURITIES    34,682    37

GNMA I MORTPASS 6.5% 15/MAY/2028 SP PN# 780802

        MORTGAGE BACKED SECURITIES    122,434    129

GNMA I MORTPASS 6.5% 15/OCT/2028 SF PN# 469613

        MORTGAGE BACKED SECURITIES    334,501    353

GNMA I MORTPASS 6.5% 15/OCT/2028 SF PN# 484867

        MORTGAGE BACKED SECURITIES    104,561    110

GNMA I MORTPASS 6.5% 15/OCT/2028 SF PN# 486598

        MORTGAGE BACKED SECURITIES    176,414    186

GNMA I MORTPASS 6.5% 15/OCT/2028 SF PN# 486630

        MORTGAGE BACKED SECURITIES    134,954    142

GNMA I MORTPASS 6.5% 15/SEP/2028 SF PN# 464157

        MORTGAGE BACKED SECURITIES    110,204    116

GNMA I MORTPASS 6.5% 15/SEP/2028 SF PN# 488893

        MORTGAGE BACKED SECURITIES    190,819    201

GNMA I MORTPASS 6.75% 15/FEB/2026 SF PN# 408231

        MORTGAGE BACKED SECURITIES    20,781    22

GNMA I MORTPASS 7% 07/15/2023 SF PN# 359874

        MORTGAGE BACKED SECURITIES    45,161    48

GNMA I MORTPASS 7% 15/APR/2024 SF PN# 376904

        MORTGAGE BACKED SECURITIES    48,144    52

GNMA I MORTPASS 7% 15/APR/2028 SF PN# 474144

        MORTGAGE BACKED SECURITIES    14,295    15

 

14


CONSOL Energy Inc.

Investment Plan for Salaried Employees

EIN: 51-0337383, Plan 002

Schedule H, line 4(i) – Schedule of Assets (Held at End of Year) **

December 31, 2003

 

(in thousands of dollars)

 

(a)


  

(b) Identity of Issue, borrower
lessor or similar party


  

(c) Description of investment including
maturity date, rate of interest,

collateral, par or maturity value


   (d) Number of
shares/units


   (e) Current
value (in 000s)


GNMA I MORTPASS 7% 15/AUG/2023 SF PN# 340394

       

MORTGAGE BACKED SECURITIES

   26,765    29

GNMA I MORTPASS 7% 15/AUG/2023 SF PN# 348933

       

MORTGAGE BACKED SECURITIES

   24,230    26

GNMA I MORTPASS 7% 15/AUG/2023 SF PN# 352111

       

MORTGAGE BACKED SECURITIES

   1,689    2

GNMA I MORTPASS 7% 15/AUG/2024 SP PN# 780034

       

MORTGAGE BACKED SECURITIES

   387,107    415

GNMA I MORTPASS 7% 15/AUG/2028 SF PN# 486448

       

MORTGAGE BACKED SECURITIES

   153,701    164

GNMA I MORTPASS 7% 15/DEC/2022 SF PN# 329847

       

MORTGAGE BACKED SECURITIES

   5,084    5

GNMA I MORTPASS 7% 15/DEC/2022 SF PN# 336120

       

MORTGAGE BACKED SECURITIES

   66,341    71

GNMA I MORTPASS 7% 15/DEC/2023 SF PN# 367190

       

MORTGAGE BACKED SECURITIES

   17,879    19

GNMA I MORTPASS 7% 15/DEC/2023 SF PN# 368839

       

MORTGAGE BACKED SECURITIES

   61,815    66

GNMA I MORTPASS 7% 15/DEC/2023 SF PN# 370463

       

MORTGAGE BACKED SECURITIES

   11,687    13

GNMA I MORTPASS 7% 15/DEC/2023 SF PN# 372900

       

MORTGAGE BACKED SECURITIES

   20,631    22

GNMA I MORTPASS 7% 15/DEC/2023 SF PN# 374850

       

MORTGAGE BACKED SECURITIES

   6,304    7

GNMA I MORTPASS 7% 15/DEC/2025 SP PN# 780400

       

MORTGAGE BACKED SECURITIES

   89,709    96

GNMA I MORTPASS 7% 15/DEC/2027 SF PN# 462442

       

MORTGAGE BACKED SECURITIES

   77,881    83

GNMA I MORTPASS 7% 15/JUL/2023 SF PN# 342725

       

MORTGAGE BACKED SECURITIES

   19,223    21

GNMA I MORTPASS 7% 15/JUL/2023 SF PN# 344967

       

MORTGAGE BACKED SECURITIES

   27,124    29

GNMA I MORTPASS 7% 15/JUL/2023 SF PN# 355637

       

MORTGAGE BACKED SECURITIES

   16,134    17

GNMA I MORTPASS 7% 15/JUL/2028 SF PN# 454627

       

MORTGAGE BACKED SECURITIES

   54,722    58

GNMA I MORTPASS 7% 15/JUL/2028 SF PN# 481087

       

MORTGAGE BACKED SECURITIES

   19,649    21

GNMA I MORTPASS 7% 15/JUN/2023 SF PN# 348706

       

MORTGAGE BACKED SECURITIES

   7,126    8

GNMA I MORTPASS 7% 15/JUN/2023 SF PN# 356902

       

MORTGAGE BACKED SECURITIES

   52,849    57

GNMA I MORTPASS 7% 15/JUN/2023 SF PN# 358580

       

MORTGAGE BACKED SECURITIES

   14,162    15

GNMA I MORTPASS 7% 15/JUN/2028 SF PN# 450349

       

MORTGAGE BACKED SECURITIES

   88,708    95

GNMA I MORTPASS 7% 15/MAY/2023 SF PN# 351952

       

MORTGAGE BACKED SECURITIES

   4,598    5

GNMA I MORTPASS 7% 15/NOV/2022 SF PN# 327740

       

MORTGAGE BACKED SECURITIES

   2,556    3

GNMA I MORTPASS 7% 15/NOV/2022 SF PN# 332309

       

MORTGAGE BACKED SECURITIES

   1,360    1

GNMA I MORTPASS 7% 15/NOV/2022 SF PN# 334250

       

MORTGAGE BACKED SECURITIES

   3,343    4

GNMA I MORTPASS 7% 15/NOV/2027 SF PN# 462384

       

MORTGAGE BACKED SECURITIES

   97,906    105

GNMA I MORTPASS 7% 15/NOV/2028 SP PN# 780898

       

MORTGAGE BACKED SECURITIES

   71,263    76

GNMA I MORTPASS 7% 15/OCT/2023 SF PN# 345891

       

MORTGAGE BACKED SECURITIES

   13,046    14

GNMA I MORTPASS 7% 15/OCT/2023 SF PN# 358555

       

MORTGAGE BACKED SECURITIES

   19,854    21

GNMA I MORTPASS 7% 15/OCT/2028 SF PN# 476799

       

MORTGAGE BACKED SECURITIES

   209,965    224

GNMA I MORTPASS 7% 15/SEP/2022 SF PN# 332844

       

MORTGAGE BACKED SECURITIES

   41,466    45

GNMA I MORTPASS 7% 15/SEP/2028 SF PN# 464820

       

MORTGAGE BACKED SECURITIES

   150,912    161

GNMA I MORTPASS 7.5% 05/15/2024 SF PN# 390179

       

MORTGAGE BACKED SECURITIES

   30,676    33

GNMA I MORTPASS 7.5% 15/APR/2024 SF PN# 385236

       

MORTGAGE BACKED SECURITIES

   5,524    6

GNMA I MORTPASS 7.5% 15/APR/2028 SF PN# 445803

       

MORTGAGE BACKED SECURITIES

   6,327    7

GNMA I MORTPASS 7.5% 15/AUG/2012 SF PN# 453836

       

MORTGAGE BACKED SECURITIES

   40,017    43

GNMA I MORTPASS 7.5% 15/AUG/2027 SF PN# 448960

       

MORTGAGE BACKED SECURITIES

   66,937    72

GNMA I MORTPASS 7.5% 15/AUG/2028 SF PN# 471098

       

MORTGAGE BACKED SECURITIES

   44,516    48

GNMA I MORTPASS 7.5% 15/DEC/2023 SF PN# 370143

       

MORTGAGE BACKED SECURITIES

   7,130    8

GNMA I MORTPASS 7.5% 15/DEC/2023 SP PN# 780598

       

MORTGAGE BACKED SECURITIES

   78,435    85

GNMA I MORTPASS 7.5% 15/DEC/2027 SF PN# 427197

       

MORTGAGE BACKED SECURITIES

   2,476    3

GNMA I MORTPASS 7.5% 15/FEB/2023 SF PN# 295284

       

MORTGAGE BACKED SECURITIES

   36,198    39

GNMA I MORTPASS 7.5% 15/FEB/2024 SF PN# 381041

       

MORTGAGE BACKED SECURITIES

   70,284    76

GNMA I MORTPASS 7.5% 15/FEB/2027 SF PN# 432344

       

MORTGAGE BACKED SECURITIES

   27,509    30

GNMA I MORTPASS 7.5% 15/FEB/2027 SF PN# 441791

       

MORTGAGE BACKED SECURITIES

   8,260    9

GNMA I MORTPASS 7.5% 15/JAN/2023 SF PN# 338054

       

MORTGAGE BACKED SECURITIES

   9,063    10

GNMA I MORTPASS 7.5% 15/JAN/2023 SF PN# 343532

       

MORTGAGE BACKED SECURITIES

   20,466    22

GNMA I MORTPASS 7.5% 15/JAN/2027 SF PN# 439999

       

MORTGAGE BACKED SECURITIES

   7,355    8

GNMA I MORTPASS 7.5% 15/JAN/2027 SF PN# 441782

       

MORTGAGE BACKED SECURITIES

   16,285    18

GNMA I MORTPASS 7.5% 15/JUL/2008 SF PN# 355497

       

MORTGAGE BACKED SECURITIES

   3,935    4

GNMA I MORTPASS 7.5% 15/JUL/2023 SF PN# 348522

       

MORTGAGE BACKED SECURITIES

   5,629    6

GNMA I MORTPASS 7.5% 15/JUL/2023 SF PN# 351134

       

MORTGAGE BACKED SECURITIES

   26,194    28

GNMA I MORTPASS 7.5% 15/JUN/2023 SF PN# 359850

       

MORTGAGE BACKED SECURITIES

   8,542    9

GNMA I MORTPASS 7.5% 15/JUN/2024 SF PN# 354831

       

MORTGAGE BACKED SECURITIES

   77,902    84

GNMA I MORTPASS 7.5% 15/JUN/2025 SP PN# 780166

       

MORTGAGE BACKED SECURITIES

   182,135    197

GNMA I MORTPASS 7.5% 15/JUN/2027 SF PN# 447204

       

MORTGAGE BACKED SECURITIES

   8,825    9

GNMA I MORTPASS 7.5% 15/MAR/2023 SF PN# 346277

       

MORTGAGE BACKED SECURITIES

   9,944    11

GNMA I MORTPASS 7.5% 15/MAR/2024 SF PN# 366727

       

MORTGAGE BACKED SECURITIES

   34,151    37

GNMA I MORTPASS 7.5% 15/MAR/2029 SF PN# 498479

       

MORTGAGE BACKED SECURITIES

   61,155    66

GNMA I MORTPASS 7.5% 15/MAY/2027 SF PN# 447583

       

MORTGAGE BACKED SECURITIES

   21,943    24

GNMA I MORTPASS 7.5% 15/MAY/2028 SF PN# 456898

       

MORTGAGE BACKED SECURITIES

   1,308    1

GNMA I MORTPASS 7.5% 15/NOV/2027 SF PN# 423168

       

MORTGAGE BACKED SECURITIES

   267,465    287

GNMA I MORTPASS 7.5% 15/NOV/2028 SF PN# 469708

       

MORTGAGE BACKED SECURITIES

   28,202    30

GNMA I MORTPASS 7.5% 15/OCT/2023 SF PN# 270657

       

MORTGAGE BACKED SECURITIES

   13,778    15

GNMA I MORTPASS 7.5% 15/OCT/2023 SF PN# 357222

       

MORTGAGE BACKED SECURITIES

   13,647    15

GNMA I MORTPASS 7.5% 15/OCT/2027 SF PN# 423135

       

MORTGAGE BACKED SECURITIES

   96,211    103

GNMA I MORTPASS 7.5% 15/OCT/2028 SF PN# 469632

       

MORTGAGE BACKED SECURITIES

   207,011    222

GNMA I MORTPASS 7.5% 15/SEP/2023 SF PN# 348240

       

MORTGAGE BACKED SECURITIES

   8,671    9

 

15


CONSOL Energy Inc.

Investment Plan for Salaried Employees

EIN: 51-0337383, Plan 002

Schedule H, line 4(i) – Schedule of Assets (Held at End of Year) **

December 31, 2003

 

(in thousands of dollars)

 

(a)


  

(b) Identity of Issue, borrower
lessor or similar party


  

(c) Description of investment including
maturity date, rate of interest,

collateral, par or maturity value


   (d) Number of
shares/units


    (e) Current
value (in 000s)


 

GNMA I MORTPASS 7.5% 15/SEP/2023 SF PN# 356091

        MORTGAGE BACKED SECURITIES    19,391     21  

GNMA I MORTPASS 7.5% 15/SEP/2023 SF PN# 373825

        MORTGAGE BACKED SECURITIES    16,007     17  

GNMA I MORTPASS 8% 15/OCT/2030 SF PN# 540895

        MORTGAGE BACKED SECURITIES    17,040     19  

GNMA I MORTPASS 8.25% 15/APR/2008 SF PN# 020680

        MORTGAGE BACKED SECURITIES    17,188     19  

GNMA I MORTPASS 8.25% 15/JUN/2006 SF PN# 010839

        MORTGAGE BACKED SECURITIES    17,734     19  

GNMA I MORTPASS 8.25% 15/JUN/2008 SF PN# 023526

        MORTGAGE BACKED SECURITIES    1,401     2  

GNMA I MORTPASS 8.25% 15/MAY/2008 SF PN# 025421

        MORTGAGE BACKED SECURITIES    1,290     1  

GNMA I MORTPASS 8.5% 15/NOV/2021 SF PN# 308107

        MORTGAGE BACKED SECURITIES    6,944     8  

GOLDMAN SACHS GP 6.875% BDS 15/JAN/2011 USD1000

        CORPORATE BONDS    100,000     114  

GOVT NATL MTG ASSN POOL NO: 458983

        MORTGAGE BACKED SECURITIES    107,981     112  

GOVT NATL MTG ASSN POOL NO: 555649 06.000

        MORTGAGE BACKED SECURITIES    889,809     925  

GREENWICH CAPITAL COMMERCIAL FUNDING CORP 4.915%

        CMO/REMIC    300,000     301  

GTE CORP 6.36% DEB 15/APR/2006 USD1000

        CORPORATE BONDS    335,000     363  

HALLIBURTON COMPANY 5.5% 15/OCT/2010

        CORPORATE BONDS    45,000     47  

HEALTHCARE PROPERTIES INV INC. 6.0% DUE

        CORPORATE BONDS    60,000     62  

HEWLETT PACKARD CO 6.5%

        CORPORATE BONDS    80,000     89  

HOUSEHOLD FINANCE CORP 6.375 27/NOV/2012

        CORPORATE BONDS    45,000     49  

HOUSEHOLD FINANCE CORP 7% 15/MAY/2012

        CORPORATE BONDS    65,000     74  

HOUSEHOLD FINANCE CORP 7.625% 17/MAY/2032

        CORPORATE BONDS    20,000     24  

HOUSING URBAN DEVELOPMENT DEB-00A 7.498%

        CORPORATE BONDS    100,000     116  

ICI WILMINGTON INC 6.95% GT NTS15/SEP/2004 USD1000

        CORPORATE BONDS    105,000     108  

ILLINOIS ST 12/JUN/2003 01/JUN/2023 04.950

        MUNICIPAL BONDS    35,000     33  

INDIANA MICH PWR CO NT 6.125% 15/DEC/2006

        CORPORATE BONDS    125,000     135  

INTERNATIONAL GAME TECHNOLOGY SR NT

        CORPORATE BONDS    55,000     66  

INTL LEASE FINANCE 5.75% NT 15/OCT/2006 USD1000

        CORPORATE BONDS    200,000     215  

ISRAEL ST GTD CL8D 6.75% 15/AUG/2004

        GOVERNMENT BONDS    500,000     517  

JACKSON NATL LIFE INS CO SRPLS NT 144A 15/MAR/2027

        CORPORATE BONDS    425,000     498  

JOHN HANCOCK FINAN 7.9% MTN 02/JUL/2010 USD 144A

        CORPORATE BONDS    200,000     238  

KERN CNTY CALIF PENSION OBLIG 28/MAY/2003

        MUNICIPAL BONDS    60,000     56  

KINDER MORGAN ENER 6.75% BDS 15/MAR/2011 USD1000

        CORPORATE BONDS    150,000     168  

KINDER MORGAN INC SR NT 6.50% 01/SEP/2012

        CORPORATE BONDS    50,000     55  

KRAFT FOODS INC 5.625% BDS 01/NOV/2011 USD1000

        CORPORATE BONDS    60,000     63  

KRAFT FOODS INC 4.625% DUE 01/NOV/2006 USD

        CORPORATE BONDS    55,000     57  

LB-UBS COMMERCIAL MORTGAGE TRUST 2002-C1 A-4

        CMO/REMIC    290,000     324  

LIBERTY MEDIA CORP 7.75% SR NT 15/JUL/2009 USD1000

        CORPORATE BONDS    80,000     92  

LIBERTY MUTUAL INS 7.697% NT 15/10/97 USD`144A

        CORPORATE BONDS    200,000     180  

LIBERTY PPTY TR SR UNSECD 8.5% 01/AUG/2010

        CORPORATE BONDS    100,000     121  

LOWES COS INC 7.5% NT 15/DEC/2005 USD1000

        CORPORATE BONDS    95,000     105  

LOWES COS INC MED TERM NTS BE FR 6.7%01/SEP/2007

        CORPORATE BONDS    200,000     223  

MAR 04 10 YEAR T NOTES-CBT FUTURE SH

        FUTURES    (8 )   (898 )

MAR 04 5 YEAR T NOTES-CBT FUTURE SH

        FUTURES    (28 )   (3,126 )

MARSH & MCLENNAN COS INC

        CORPORATE BONDS    140,000     136  

MASSACHUSETTS RRB SPECIAL PURPOSE TRUST WMECO-1

        ASSET BACKED    171,561     191  

MBNA CORP 7.5% SR MTN 15/MAR/2012 USD

        CORPORATE BONDS    70,000     81  

METROPOLITAN LIFE INS CO SRPLS 144A 7.7%

        CORPORATE BONDS    100,000     119  

METROPOLITANO DE LISBOA NT 7.42% 15/OCT/2016

        CORPORATE BONDS    250,000     280  

MIDAMERICAN FDG INC SR SECD NT 11 01/MAR/2011

        CORPORATE BONDS    100,000     112  

MONSANTO CO 7.375% 15/AUG/2012

        CORPORATE BONDS    60,000     68  

MORGAN STANLEY D.W 6.6% MTN 01/APR/2012 USD1000

        CORPORATE BONDS    100,000     112  

MORGAN STANLEY DEAN WITTER CAPITAL I INC. 00-LIFE

        COMMERCIAL MORTGAGE BACKED SECURITIES    500,000     579  

MORGAN STANLEY DEAN WITTER CAPITAL I TRUST 01-TOP3

        COMMERCIAL MORTGAGE BACKED SECURITIES    600,000     668  

MOTIVA LTD 5.2% 24/SEP/2002 15/SEP/2012

        CORPORATE BONDS    100,000     102  

MSDWC 02-TOP7 A2 5.98% 15/JAN/2039

        CMO/REMIC    300,000     326  

NATIONAL CITY CORP 6.875%SB NTS 15/5/19 USD

        CORPORATE BONDS    125,000     144  

NATIONWIDE FINL SV 6.25% SNR NTS 15/NOV/2011 USD

        CORPORATE BONDS    60,000     64  

NATL AUSTRALIA BK 8.6% BDS 19/MAY/2010 USD (A)

        CORPORATE BONDS    50,000     62  

NBD BANK NA 8.25% SUB NTS01/NOV/2024 USD

        CORPORATE BONDS    150,000     189  

NEW YORK LIFE INS 5.88% DUE 15/MAY/2033

        CORPORATE BONDS    115,000     114  

NEW YORK ST ENVIRONMENTAL FACS CORP ST SVC

        MUNICIPAL BONDS    165,000     175  

NEWS AMER HLDGS INC SR DEB 8.25% 10/AUG/2018

        CORPORATE BONDS    300,000     369  

NORSK HYDRO ASA 6.7% BDS 15/JAN/2018 USD1000

        CORPORATE BONDS    200,000     222  

NORTHEASTERN UNIV MASS REV 01/MAY/1998 01/OCT/2008

        MUNICIPAL BONDS    150,000     166  

NSTAR COM 8% BDS 15/FEB/2010 USD1000

        CORPORATE BONDS    200,000     241  

NTHN BORDER & PTNR 7.1% SNR NTS 15/MAR/2011 USD

        CORPORATE BONDS    100,000     111  

OLD DOMINION ELEC 6.25% DEB 01/JUN/2011 USD

        CORPORATE BONDS    70,000     77  

ONCOR ELECTRIC DEL 6.375% NTS 01/MAY/2012 USD1000

        CORPORATE BONDS    85,000     93  

ORIGINAL EXPOSURE ON OPEN CONTRACTS

        FUTURES    0     (1,472 )

ORIGINAL EXPOSURE ON OPEN CONTRACTS

        FUTURES    0     4,010  

PACIFICORP SECD MTN MBIA 08 15/MAY/2008

        CORPORATE BONDS    375,000     415  

PASADENA TEX WTR & SWR REV 01/JUN/1998 01/APR/2007

        MUNICIPAL BONDS    140,000     152  

 

16


CONSOL Energy Inc.

Investment Plan for Salaried Employees

EIN: 51-0337383, Plan 002

Schedule H, line 4(i) – Schedule of Assets (Held at End of Year) **

December 31, 2003

 

(in thousands of dollars)

 

(a)


  

(b) Identity of Issue, borrower
lessor or similar party


  

(c) Description of investment including
maturity date, rate of interest,

collateral, par or maturity value


   (d) Number of
shares/units


   (e) Current
value (in 000s)


 

PECO ENERGY TRANSITION TRUST 01-A A-16.520%

       

ASSET BACKED

   150,000    170  

PENN ELEC CO 6.375% SR NTS 01/APR/2009 USD

       

CORPORATE BONDS

   300,000    322  

PEPSI AMERICAS INC 6.375% NTS 01/MAY/2009 USD1000

       

CORPORATE BONDS

   431,000    480  

POPULAR NORTH AMER 6.625%GTD NT 15/JAN/2004 USD1000

       

CORPORATE BONDS

   100,000    100  

PPL ENERGY SUPPLY 6.4% SR NT 01/NOV/2011 USD

       

CORPORATE BONDS

   100,000    109  

PRAXAIR INC 6.5% NTS 01/MAR/2008 USD1000

       

CORPORATE BONDS

   55,000    61  

PROVIDENT COS INC 7% BDS 15/JUL/2018 USD1000

       

CORPORATE BONDS

   65,000    65  

PSEG POWER 8.625% SR NT 15/APR/2031 USD

       

CORPORATE BONDS

   85,000    109  

PSEG TRANSITION FUNDING LLC 01-1 A-6 6.610%

       

ASSET BACKED

   200,000    229  

REGENCY CTRS L P NT DTD 22/JAN/2001

       

CORPORATE BONDS

   100,000    118  

REGIONS FINL CORP SUB NT 7% 01/MAR/2011

       

CORPORATE BONDS

   20,000    23  

RELIASTAR FINL CORP NT 8% 30/OCT/2006

       

CORPORATE BONDS

   110,000    124  

ROCHESTER G&E 1STMTG SEC MTN A FR 5.84% 22/DEC/2008

       

CORPORATE BONDS

   100,000    108  

SAFECO CORP SR NT

       

CORPORATE BONDS

   20,000    23  

SALOMON SMITH BARNEY HLDGS INC NT 7% 15/MAR/2004

       

CORPORATE BONDS

   479,582    485  

SAN DIEGO CNTY CALIF PENSION OBLIG 15/FEB/1994

       

MUNICIPAL BONDS

   200,000    206  

SCHERING-PLOUGH CORP 5.30% DUE 01/DEC/2013

       

CORPORATE BONDS

   70,000    71  

SCHLUMBERGER TECHN 6.5% NTS 15/APR/2012 USD1000

       

CORPORATE BONDS

   150,000    167  

SCL TERM AEREO SANTIAGO S A SR SEC BD 144A

       

CMO/REMIC

   198,444    215  

SHERING PLOUGH CORP 6.5% 01/DEC/2033

       

CORPORATE BONDS

   120,000    125  

SINGAPORE TELECOMM 7.375% BDS 01/DEC/2031 USD`144A

       

CORPORATE BONDS

   65,000    77  

SONOMA CNTY CALIF PENSION OBLIG 28/MAY/2003

       

MUNICIPAL BONDS

   25,000    24  

SPIEKER PROPERTIES 7.25% NTS 01/MAY/2009 USD 1000

       

CORPORATE BONDS

   75,000    86  

SPIEKER PROPERTIES 7.35% DEB 1/12/2017 USD 1000

       

CORPORATE BONDS

   80,000    91  

SPRINT CAPITAL CP 6.875% NTS 15/NOV/2028 USD 1000

       

CORPORATE BONDS

   110,000    107  

ST PAUL COS INC 5.75% SR NT 15/MAR/2007 USD 1000

       

CORPORATE BONDS

   70,000    76  

SUN CDA FINL CO SBNT 144A 7.25% 15/DEC/2015

       

CORPORATE BONDS

   125,000    141  

TARGET CORP 6.35% NTS 15/JAN/2011 USD 1000

       

CORPORATE BONDS

   50,000    56  

TCI COMMUNICATIONS 7.125% BDS 15/FEB/2028 USD 100

       

CORPORATE BONDS

   100,000    108  

TEMPLE INLAND INC

       

CORPORATE BONDS

   75,000    87  

TIME WARNER COMP 7.25% DEB 15/OCT/2017 USD 1000

       

CORPORATE BONDS

   50,000    57  

TIME WARNER INC 7.7% BDS 01/MAY/2032 USD 1000

       

CORPORATE BONDS

   150,000    175  

TORCHMARK CORP 6.25% SNR NT 15/DEC/2006 USD

       

CORPORATE BONDS

   70,000    77  

TRANSOCEAN SEDCO F 6.625% NTS 15/APR/2011 USD 1000

       

CORPORATE BONDS

   50,000    56  

TYSON FOODS INC 8.25% NTS 01/OCT/2011 USD1000

       

CORPORATE BONDS

   50,000    58  

U S BANCORP ORE SUB DEB 7.5% 01/JUN/2026

       

CORPORATE BONDS

   500,000    590  

UFJ FINANCE ARUBA AEC 6.75% 15/JUL/2013

       

CORPORATE BONDS

   100,000    107  

UNITED ENERGY DIST 91020QAB3 5.45% 15/APR/2016

       

CORPORATE BONDS

   75,000    77  

US TREASURY NOTE 2% DUE 30/NOV/2004

       

GOVERNMENT BONDS

   500,000    504  

USA INTERACTIVE SR NT 7%15/JAN/2013

       

CORPORATE BONDS

   110,000    121  

USA TREASURY BDS 6.25% BDS 15/AUG/2023 USD

       

GOVERNMENT BONDS

   900,000    1,026  

USA TREASURY BDS 7.5% BDS 15/NOV/2016 USD 1000

       

GOVERNMENT BONDS

   425,000    541  

USA TREASURY BDS 8.75% BDS 15/AUG/2020 USD 1000

       

GOVERNMENT BONDS

   265,000    379  

USA TREASURY BDS 8.875% BDS 15/AUG/2017 USD 1000

       

GOVERNMENT BONDS

   1,300,000    1,841  

USA TREASURY BDS 8.875% BDS15/FEB/2019 USD 1000

       

GOVERNMENT BONDS

   495,000    708  

USA TREASURY STRIP 0% STRIP PINC PMT 15/AUG/2025 U

       

GOVERNMENT BONDS

   400,000    122  

USAA AUTO OWNER TRUST 01-2 A-4 3.910% 16/APR/2007

       

CMO/REMIC

   250,000    255  

UTILICORP UTD INC 6.875% SR NT 01/OCT/2004 USD

       

CORPORATE BONDS

   325,000    334  

VALERO ENERGY(NEW) 7.5% NTS 15/APR/2032 USD 1000

       

CORPORATE BONDS

   50,000    56  

VALERO ENERGY(NEW) 8.75% NTS 15/JUN/2030 USD 1000

       

CORPORATE BONDS

   50,000    62  

VARIATION MARGIN ON OPEN CONTRACTS TO DATE - G/L

       

FUTURES

   0    (8 )

VARIATION MARGIN ON OPEN CONTRACTS TO DATE - G/L

       

FUTURES

   0    14  

VIRGIN ISLANDS PUB FIN AUTH REV 01/SEP/1994

       

MUNICIPAL BONDS

   105,000    112  

VODAFONE AIRTOUCH 7.75% NTS 15/FEB/2010 USD 1000

       

CORPORATE BONDS

   50,000    59  

WESTVACO CORP 8.2% DEB 15/JAN/2030 USD 1000

       

CORPORATE BONDS

   50,000    59  

WISCONSIN ELECTRIC POWER 5.62% 15/MAY/2033

       

CORPORATE BONDS

   75,000    73  

XL CAPITAL FINANCE 6.5% BDS 15/JAN/2012 USD 1000

       

CORPORATE BONDS

   75,000    82  

VARIOUS PAYABLES

             0    (357 )

Monumental Life Ins. Co.

       

SYN, 5.22%, open-end

   58,231,665    _  

Underlying Security Description

                     

ABBEY NAT CAP TST 8.963%-FRN PERP USD 1000

       

CORPORATE BONDS

   30,000    40  

ABN-AMRO NA HLDGS FR DEB 29/DEC/2049 USD 1000

       

CORPORATE BONDS

   150,000    162  

AEP TEXAS CENTRAL 5.5% SNR NTS 15/FEB/2013 USD

       

CORPORATE BONDS

   90,000    92  

ALABAMA PWR CO SR NT 2.8%06

       

CORPORATE BONDS

   90,000    90  

ALBERTA ENERGY 7.375% NT 01/NOV/2031 USD 1000

       

CORPORATE BONDS

   25,000    30  

ALTRIA GROUP INC 5.62% 04/NOV/2008

       

CORPORATE BONDS

   140,000    144  

AMER GEN FINANCE 4.5% MTN 15/NOV/2007 USD 1000

       

CORPORATE BONDS

   30,000    31  

AMERADA HESS CORP 7.3% NT 15/AUG/2031 USD 1000

       

CORPORATE BONDS

   20,000    21  

AMERICAN EXPRESS CR ACCNT MASTER TR 2003-4 CTF CL

       

ASSET BACKED

   250,000    245  

 

17


CONSOL Energy Inc.

Investment Plan for Salaried Employees

EIN: 51-0337383, Plan 002

Schedule H, line 4(i) – Schedule of Assets (Held at End of Year) **

December 31, 2003

 

(in thousands of dollars)

 

(a)


 

(b) Identity of Issue, borrower
lessor or similar party


  

(c) Description of investment including

maturity date, rate of interest,

collateral, par or maturity value


  

(d) Number of

shares/units


  

(e) Current

value (in 000s)


          
          

AMERICAN GENERAL FINANCE 5.375 01/OCT/2012

       CORPORATE BONDS    120,000    124

AMERICREDIT AUTO RECEIVABLES TRUST

       CMO/REMIC    165,000    169

AMSTERDAM FDG CORP CORPORATE COMMERCIAL PAPER

       COMMERCIAL PAPER (INTEREST BEARING)    950,000    948

ANADARKO FINANCE C 7.5% BDS 01/MAY/2031 USD1000

       CORPORATE BONDS    35,000    41

ANZ CAPITAL TRUST I 5.36%

       CORPORATE BONDS    245,000    245

AT&T 8% SR NTS 15/NOV/2031 USD1000

       CORPORATE BONDS    40,000    47

AT&T BROADBAND CORP NT 8.375% 15/MAR/2013

       CORPORATE BONDS    199,000    243

AT&T CORP 6% BDS 15/MAR/2009 USD1000

       CORPORATE BONDS    9,000    10

AT&T CORP 7.3% 15/NOV/2011

       CORPORATE BONDS    55,000    63

AT&T WIRELESS SVCS 7.875% SR NT 01/MAR/2011 USD

       CORPORATE BONDS    65,000    75

AT&T WIRELESS SVCS 8.75% SR NT 01/MAR/2031 USD1000

       CORPORATE BONDS    10,000    12

AXA 8.6% SUB BDS 15/DEC/2030 USD

       CORPORATE BONDS    160,000    202

BANC OF AMERICA COMM MTG INC 4.342% 11/MAR/2041

       COMMERCIAL MORTGAGE BACKED SECURITIES    205,000    207

BANK ONE ISSUANCE TRUST SER 2002-A4 CL A4 2.94%

       CMO/REMIC    150,000    152

BANK ONE ISSUANCE TRUST SER 2003-3 CL C3

       ASSET BACKED    170,000    161

BARCLAYS BANK 7.4% SUB NTS 15/DEC/2009 USD

       CORPORATE BONDS    135,000    158

BARCLAYS BANK 8.55% STP-UP CALL PERP 144A

       CORPORATE BONDS    90,000    111

BAYERISCHE LANDESBANK GRI MTN VR

       CORPORATE BONDS    220,000    220

BB&T CORP 5.2%

       CORPORATE BONDS    85,000    84

BK OF AMERICA CPN 7.4% SNR BDS 15/JAN/2011 USD

       CORPORATE BONDS    140,000    164

BK ONE CORP 7.875% SUB BD 01/AUG/2010 USD

       CORPORATE BONDS    85,000    102

BOEING CO 6.125% 15FEB15/FEB/2033

       CORPORATE BONDS    35,000    35

BOIT 2002-A2 A2 4.16% 15/JAN/2008

       ASSET BACKED    395,000    408

BP CAPITAL MARKETS PLC 2.75% 29/DEC/2006

       CORPORATE BONDS    135,000    135

BRITISH POUND

       CURRENCIES    8,262    15

BRITISH TELECOM 8.625%-VAR BDS 15/DEC/2030 USD

       CORPORATE BONDS    20,000    26

BRITISH TELECOM VAR NTS 15/DEC/2010 USD

       CORPORATE BONDS    40,000    49

BURLINGTON NORTHN SANTA FE CP DEB 6.875%

       CORPORATE BONDS    10,000    11

CAFCO LLC CORPORATE COMMERCIAL PAPER DISCOUNT DTD

       COMMERCIAL PAPER (INTEREST BEARING)    950,000    949

CAPITAL AUTO RECEIVABLES AST BKD 2003-2 CL A4A DTD

       ASSET BACKED    190,000    185

CAPITAL ONE BANK 4.875% DUE 15/MAY/2008

       CORPORATE BONDS    40,000    41

CAPITAL ONE MULTI ASSET BKD SEC DUE 15/JUL/2011

       ASSET BACKED    350,000    349

CAPITAL ONE MULTI-ASSET EXECUTION TRUST SER

       CMO/REMIC    270,000    272

CBA (DE) FINANCE INC ZCP DUE 17/FEB/2004

       COMMERCIAL PAPER (INTEREST BEARING)    950,000    948

CDN NAT RES 7.2% SR NT 15/JAN/2032 USD1000

       CORPORATE BONDS    25,000    29

CHASE EOD BK LIQUIDITY FD (VAN 2).

       STIF    6,934,699    6,935

CIT GROUP HLDGS IN 7.75% BDS 02/APR/2012 USD1000

       CORPORATE BONDS    45,000    53

CITIBANK CREDIT CARD ISSUANCE TRUST 01-A6 A6

       ASSET BACKED    95,000    102

CITIBANK CREDIT CARD ISSUANCE TRUST 5% 10/JUN/2015

       ASSET BACKED    125,000    120

CITIGROUP INC 7.25% SUB BDS 01/OCT/2010 USD

       CORPORATE BONDS    715,000    833

CITIGROUP INC SR GLBL NT VAR 20/MAR/2006

       CORPORATE BONDS    205,000    205

CITIZENS COMMS 9.25% NT 15/MAY/2011 USD1000

       CORPORATE BONDS    110,000    130

COLUMBUS STHN PWR 5.5% SNR NTS 01/MAR/2013 USD1000

       CORPORATE BONDS    40,000    41

COMCAST CABLE COMM 6.75% BD 30/JAN/2011 USD1000

       CORPORATE BONDS    45,000    50

CONSOLIDATED EDISON INC. 5.625% 01/JUL/2012

       CORPORATE BONDS    95,000    101

CONSTELLATION ENER 6.35% NT 01/APR/2007 USD1000

       CORPORATE BONDS    35,000    38

CONSTELLATION ENER 7.6% NTS 01/APR/2032 USD1000

       CORPORATE BONDS    5,000    6

COUNTRY ASSET BKD SEC SER 2003-5 CLS MF1 DUE

       ASSET BACKED    120,000    122

COX COMMUN ICATIONS7.75% NTS 01/NOV/2010 USD1000

       CORPORATE BONDS    30,000    36

CREDIT SUISSE FB U 6.5% BDS 15/JAN/2012 USD1000

       CORPORATE BONDS    40,000    45

CREDIT SUISSE FIRST BOSTON MTG SECS CORP 2003-CPN1

       CMO/REMIC    115,000    114

CS FIRST BOSTON MTG SECURITIES CORP 4.9%

       CMO/REMIC    440,000    441

CSFB MT CORP 6.38% DUE 16/DEC/2035 USD

       COMMERCIAL MORTGAGE BACKED SECURITIES    380,000    421

CSFB MTG BKD SEC SER 2003-29 CLS VII-A1

       CMO/REMIC    500,000    520

CWL 2003-5 AF3 3.61% DUE 25/APR/2030

       ASSET BACKED    135,000    136

CXC INCORPORATED

       COMMERCIAL PAPER (INTEREST BEARING)    650,000    649

DAIMLERCHRYSLER AUTO TRUST 2003-A A-4 2.880%

       CMO/REMIC    70,000    70

DAIMLERCHRYSLER NA HLDG 4.05% 04/JUN/2008

       CORPORATE BONDS    125,000    124

DAIMLERCHRYSLER NT 8.5% BDS 18/JAN/2031 USD1000

       CORPORATE BONDS    25,000    30

DELPHI CORP 6.50% 15/AUG/2013

       CORPORATE BONDS    110,000    116

DEUTSCHE BK FINL LLC 5.38% 02/MAR/2015

       CORPORATE BONDS    65,000    66

DEUTSCHE TELEKOM I 8.5%-VAR BDS 15/JUN/2010 USD

       CORPORATE BONDS    50,000    60

DEUTSCHE TELEKOM I 8.75%-VAR BDS 15/JUN/2030 USD

       CORPORATE BONDS    75,000    96

DEVON FINANCING CO 7.875%SR DB 30/SEP/2031 USD1000

       CORPORATE BONDS    25,000    30

DOMINION RES(VIR) 8.125% BDS 15/JUN/2010 USD1000

       CORPORATE BONDS    130,000    156

DOMINION RESOURCES INC 5.125% 15/DEC/2009

       CORPORATE BONDS    130,000    136

DOW CHEMICAL 6.0% 01/OCT/2012

       CORPORATE BONDS    85,000    89

DOW CHEMICAL CO 7.375% BDS 01/NOV/2029 USD1000

       CORPORATE BONDS    25,000    28

DTE ENERGY CO 6.375% DUE 15APR15/APR/2033

       CORPORATE BONDS    40,000    39

DUKE CAPITAL CORP 6.25% BDS 15/FEB/2013 USD1000

       CORPORATE BONDS    95,000    100

 

18


CONSOL Energy Inc.

Investment Plan for Salaried Employees

EIN: 51-0337383, Plan 002

Schedule H, line 4(i) – Schedule of Assets (Held at End of Year) **

December 31, 2003

 

(in thousands of dollars)

 

(a)


 

(b) Identity of Issue, borrower
lessor or similar party


  

(c) Description of investment including
maturity date, rate of interest, collateral,
par or maturity value


   (d) Number of
shares/units


   (e) Current
value (in 000s)


DUKE CAPITAL CORP 7.5% SR NTS 01/OCT/2009 USD 1000

       CORPORATE BONDS    140,000    160

ENCANA CORP 4.75% 15/OCT/2013

       CORPORATE BONDS    105,000    104

EQCC HOME EQUITY LOAN TRUST 97-3 A-8 6.410%

       ASSET BACKED    13,325    13

EUREKA SECURTZN INC.

       COMMERCIAL PAPER (INTEREST BEARING)    1,100,000    1,098

FED HM LN MTG CORP 4.50% DUE 15/JUL/2013

       GOVERNMENT BONDS    270,000    267

FEDERAL NATL MTG ASSN BNCHMK 7.125% 15/JAN/2030

       GOVERNMENT BONDS    600,000    723

FEDERAL NATL MTG ASSN DISC NT MATURES 15/OCT/2004

       DISCOUNTED NOTES    3,000,000    2,968

FEDERAL NATL MTG ASSN DISC NT MATURES 17/SEP/2004

       DISCOUNTED NOTES    3,000,000    2,972

FEDERATED DEPT STO6.625% SR NT 01/APR/2011

       CORPORATE BONDS    20,000    22

FHMLC GB 05 A 4.25% 15/JUN/2005 NA

       GOVERNMENT BONDS    565,000    587

FIRSTENERGY CORP 7.375%BD 15/NOV/2031 USD1000 C

       CORPORATE BONDS    50,000    51

FLEET BOSTON FINL CORP 3.85% 15FEB15/FEB/2008

       CORPORATE BONDS    85,000    86

FORD CREDIT AUTO OWNER TRUST 34527RJX2 2.41%

       ASSET BACKED    450,000    449

FORD MOTOR CO 7.45% BDS 16/JUL/2031 USD1000

       CORPORATE BONDS    10,000    10

FORD MOTOR CREDIT 7.375% BDS 01/FEB/2011 USD1000`2

       CORPORATE BONDS    140,000    153

FORD MOTOR CREDIT 7.375% NTS 28/OCT/2009 USD

       CORPORATE BONDS    325,000    357

FORD MOTOR CREDIT 7.875% NTS 15/JUN/2010 USD1000

       CORPORATE BONDS    175,000    196

FORD MTR CR CO 7.00% 01/OCT/2013

       CORPORATE BONDS    115,000    121

FRANCE TELECOM 9%-VAR 01/MAR/2011 USD`SECREG

       CORPORATE BONDS    65,000    78

FRANCE TELECOM VAR% BD 01/MAR/2031 USD(4)`

       CORPORATE BONDS    75,000    100

GEN ELEC CAP CORP 6.75% BD 15/MAR/2032 USD1000

       CORPORATE BONDS    75,000    83

GEN MOTORS ACC CP 6.875% BDS 15/SEP/2011 USD1000

       CORPORATE BONDS    25,000    27

GEN MOTORS CORP 7.2% NTS 15/JAN/2011 USD1000

       CORPORATE BONDS    275,000    302

GEN MOTORS CORP 8.25% SNR DEB 15/JUL/2023 USD

       CORPORATE BONDS    35,000    40

GENERAL DYNAMICS CORP 2.125% 15/MAY/2006

       CORPORATE BONDS    115,000    114

GENERAL ELEC CAP CORP 3.5% 01/MAY/2008

       CORPORATE BONDS    445,000    445

GENERAL ELEC CAPT CORP

       CORPORATE BONDS    260,000    253

GENERAL ELECTRIC CAP CORP VAR 03/FEB/2006

       CORPORATE BONDS    205,000    206

GENERAL MOTORS 8.375% 15/JUL/2033

       CORPORATE BONDS    235,000    273

GOLDMAN SACHS GP 6.65% SNR NTS 15/MAY/2009 USD

       CORPORATE BONDS    360,000    407

GOVERNOR & CO.OF BNK CORPORATE COMMERCIAL PAPER

       COMMERCIAL PAPER (INTEREST BEARING)    1,000,000    998

GRACECHURCH CARD FUNDING NO.5 PLC 2003-5 A2 2.700%

       ASSET BACKED    395,000    396

GREENWICH CAP COML FDG CORP 2003-C2

       CMO/REMIC    465,000    466

GREENWICH CAPITAL COMMERCIAL FUNDING CORP. SER

       CMO/REMIC    205,000    195

HARRAHS OPERATING CO INC 5.375% 15/DEC/2013

       CORPORATE BONDS    55,000    55

HONDA AUTO RECEIVABLES OWNER TRUST 2003-4 A4 VAR

       CMO/REMIC    255,000    255

HOUSEHOLD AUTOMOTIVE TRUST 3.02% 17/DEC/2010

       CMO/REMIC    240,000    239

HOUSEHOLD FIN CORP 6.375% BDS 15/OCT/2011 USD10

       CORPORATE BONDS    65,000    72

HOUSEHOLD FINANCE CORP.(GLOBAL) BND 4.125

       CORPORATE BONDS    255,000    257

HOUSEHOLD MORTGAGE LOAN TRUST 2002-HC A VARIABLE

       ASSET BACKED    314,549    314

HSBC CAP FDG(USD1) 9.547%-FRN PERP USD1000

       CORPORATE BONDS    70,000    89

HSBC CAP/144A4.61%PERP

       CORPORATE BONDS    135,000    127

HSH NORDBANK AG NY BCH CORP CP DUE 12/FEB/2004 ZRO

       COMMERCIAL PAPER (INTEREST BEARING)    1,050,000    1,048

HUTCHISON WHAMP INTL LTD 6.25% 24/JAN/2014

       CORPORATE BONDS    120,000    122

ICI WILINGTON 4.375% 01/DEC/2008

       CORPORATE BONDS    110,000    110

ILLINOIS ST GO PENSION FUND SER OF JUNE GLOBAL

       MUNICIPAL BONDS    155,000    143

ING CAP FUNDING TRST II 8.439% PERPETUAL

       CORPORATE BONDS    70,000    85

INTL PAPER CO 5.85% NTS 30/OCT/2012 USD1000

       CORPORATE BONDS    45,000    47

KFW INTL FINANCE 4.75% BDS 24/JAN/2007 USD1000

       CORPORATE BONDS    140,000    150

KINDER MORGAN ENER 7.3% SNR NTS 15/AUG/2033 USD

       CORPORATE BONDS    35,000    40

KINDER MORGAN ENER 7.4% BDS 15/MAR/2031 USD1000

       CORPORATE BONDS    20,000    23

KON KPN NV 8% BDS 01/OCT/2010 USD1000

       CORPORATE BONDS    35,000    42

KROGER CO 6.8% SR NT 01/APR/2011 USD1000

       CORPORATE BONDS    55,000    62

LB-UBS COMM MTG TRUST 4.207% 15/AUG/2010

       CMO/REMIC    330,000    334

LIBERTY MEDIA CORP 5.7% 15/MAY/2013

       CORPORATE BONDS    30,000    30

LONG BEACH MTG LOAN TR 2003-4 CL AV3 VAR

       CMO/REMIC    345,000    345

LONG BEACH MTG LOAN TRUST 542514DZ4 25/JUL/2033

       ASSET BACKED    382,330    382

M G T FIXED INCOME MTG PRIVATE

       COMMINGLED FUNDS    226,776    4,631

M&I AUTO LOAN TRUST 55255PAP5 2.97% 20/APR/2009

       CMO/REMIC    95,000    95

MAY DEPT STORES CO 6.9% NT 15/JAN/2032 USD1000

       CORPORATE BONDS    15,000    16

MERRILL LYNCH & CO TRANCHE #00373 3.12%

       CORPORATE BONDS    360,000    354

MIDAMERICAN ENERGY CO NT 6.75%30/DEC/2031

       CORPORATE BONDS    45,000    49

MORGAN STANLEY 3.625% 01/APR/2008

       CORPORATE BONDS    220,000    220

MORGAN STANLEY AUTO LOAN TRUST 61747RAB6 2.17%

       CMO/REMIC    145,000    143

MORGAN STANLEY DEAN WITTER CAP I TR 2003-HQ2 MTG

       ASSET BACKED    175,000    177

MORGAN STANLEY GRP VAR DUE 27/MAR/2006

       CORPORATE BONDS    205,000    206

NATIONAL RURAL UTILITIES 3.88% DUE 15/FEB/2008

       CORPORATE BONDS    95,000    96

NATIONWIDE FINANCIAL SER 5.9% 01/JUL/2012

       CORPORATE BONDS    50,000    52

NATIONWIDE FINL SV 6.25% SNR NTS 15/NOV/2011 USD

       CORPORATE BONDS    20,000    21

NATL CITY BK CLEVE 6.2% MTN 15/DEC/2011 USD1000

       CORPORATE BONDS    115,000    125

 

19


CONSOL Energy Inc.

Investment Plan for Salaried Employees

EIN: 51-0337383, Plan 002

Schedule H, line 4(i) – Schedule of Assets (Held at End of Year) **

December 31, 2003

 

(in thousands of dollars)

 

(a)


 

(b) Identity of Issue, borrower
lessor or similar party


  

(c) Description of investment including
maturity date, rate of interest,

collateral, par or maturity value


   (d) Number of
shares/units


   (e) Current
value (in 000s)


NATL RURAL UTL FIN 7.25% NT 01/MAR/2012 USD1000

       CORPORATE BONDS    60,000    70

NEWS AMERICA HLDGS 7.28% SR DEB 30/JUN/2028 USD

       CORPORATE BONDS    40,000    45

NORDEA NORTH AMER. I CORPORATE COMMERCIAL PAPER

       COMMERCIAL PAPER (INTEREST BEARING)    950,000    948

NWA TR NT-B 10.23% 21/JUN/2014

       ASSET BACKED    78     

OCCIDENTAL PETROLEUM 67461FFS1 4.25% 15/MAR/2010

       CORPORATE BONDS    30,000    30

OGLETHORPE POWER 6.974% BDS 30/JUN/2011 USD1000

       CORPORATE BONDS    53     

ONCOR ELECTRIC DEL 6.375% NTS 01/MAY/2012 USD1000

       CORPORATE BONDS    85,000    93

ONYX ACCEPTANCE AUTO TR 2.45% DUE 15/MAR/2010

       ASSET BACKED    600,000    595

ONYX ACCEPTANCE AUTO TRUST 2.66 17/MAY/2010

       CMO/REMIC    140,000    139

ONYX ACCEPTANCE AUTO TRUSTSER 203-D CL A4 3.2% DUE

       ASSET BACKED    100,000    101

OPTION ONE MORTGAGE LOAN TRUST FLT DUE 01/JUL/2033

       ASSET BACKED    133,027    133

PEPCO HOLDINGS 6.45% NTS 15/AUG/2012 USD1000

       CORPORATE BONDS    70,000    76

PEPCO HOLDINGS 7.45% NTS 15/AUG/2032 USD1000

       CORPORATE BONDS    35,000    40

PHILLIPS PETROLEUM 8.75% BD 25/MAY/2010 USD1000

       CORPORATE BONDS    50,000    62

POPULAR NORTH AMER INC 4.25% 01/APR/2008

       CORPORATE BONDS    80,000    81

POPULAR NORTH AMER INC MTN BE FR 6.125%15/OCT/2006

       CORPORATE BONDS    245,000    266

PRINCIPAL LIFE GLOBAL 3.625% 30/APR/2008

       CORPORATE BONDS    175,000    175

PROGRESS ENERGY IN 7.1%SR NTS 01/MAR/2011 USD1000

       CORPORATE BONDS    35,000    39

PRUDENTIAL HLDGS LLC INSRD NT-C144A 18/DEC/2023

       CORPORATE BONDS    55,000    68

PULTE HOMES INC 6.375% 15/MAY/2033

       CORPORATE BONDS    10,000    10

RABOBANK CAP FDG 25.26%-VAR BDS PERP USD

       CORPORATE BONDS    285,000    285

RASC SERIES 2003-KS5 TRUST 2003-KS A-II-B VARIBALE

       ASSET BACKED    229,300    229

RBS CAPITAL TRUST I VAR PERPETUAL

       CORPORATE BONDS    200,000    191

RBS CAPITAL TST 2 FR BDS 29/DEC/2049 USD1000

       CORPORATE BONDS    60,000    61

RESIDEN ASSET SECURITI CO VAR 25/JUL/2032

       ASSET BACKED    111,021    111

RESIDENTIAL ASSET SECURITIES CORP 76110WTP1 2.61 %

       ASSET BACKED    350,000    350

ROYAL BANK OF SCOT7.648% TO 9/31; THEREAFTER 3MO

       CORPORATE BONDS    45,000    54

SAFEWAY INC 4.125 01/NOV/2008

       CORPORATE BONDS    160,000    159

SCHERING-PLOUGH CORP 5.30% DUE 01/DEC/2013

       CORPORATE BONDS    75,000    76

SHEFFIELD RECEIVABLE CORPORATE COMMERCIAL PAPER

       COMMERCIAL PAPER (INTEREST BEARING)    950,000    949

SPRINT CAP CORP NT 8.75% 15/MAR/2032 UNRESTRICTED

       CORPORATE BONDS    70,000    83

SPRINT CAPITAL CP 6.875% NTS 15/NOV/2028 USD1000

       CORPORATE BONDS    80,000    78

SPRINT CAPITAL CP 6.9% GTD BDS 01/MAY/2019 USD1000

       CORPORATE BONDS    70,000    72

STANDARD CHARTERED 8% SB NTS 30/MAY/2031 USD144A

       CORPORATE BONDS    35,000    42

SUNTRUST BK ATL SR MD TM BK NT DUE 01/NOV/2006

       CORPORATE BONDS    185,000    185

SURREY FUNDING CORP CORPORATE COMMERCIAL PAPER

       COMMERCIAL PAPER (INTEREST BEARING)    1,100,000    1,098

SVENSKA HANDELSBANKEN ZCP 11/FEB/2004

       COMMERCIAL PAPER (INTEREST BEARING)    1,100,000    1,098

TBA FHLMC GLD SF306% DUE 15/JAN/2033

       MORTGAGE BACKED SECURITIES    2,000,000    2,066

TBA FHLMC GOLD SF 5.50 30 YRS JAN

       MORTGAGE BACKED SECURITIES    3,500,000    3,542

TBA FNMA 30 YR 6% JAN USD

       MORTGAGE BACKED SECURITIES    6,500,000    6,717

TBA FNMA SF 5.00 15 YRS FEB

       MORTGAGE BACKED SECURITIES    2,500,000    2,542

TBA FNMA SF 5.00 15 YRS JAN

       MORTGAGE BACKED SECURITIES    1,000,000    1,020

TBA FNMA SF 5.50 30 YRS JAN

       MORTGAGE BACKED SECURITIES    5,000,000    5,064

TBA GNMA I SF 5.50 30 YRS JAN

       MORTGAGE BACKED SECURITIES    2,000,000    2,033

TELE-COMMUNICATION 7.875% BDS 01/AUG/2013 USD1000

       CORPORATE BONDS    110,000    130

TIME WARNER COMP 8.375% BDS 15/MAR/2023 USD1000

       CORPORATE BONDS    130,000    161

TIME WARNER INC 7.625% BDS 15/APR/2031 USD1000

       CORPORATE BONDS    35,000    40

TIME WARNER INC 7.7% BDS 01/MAY/2032 USD1000

       CORPORATE BONDS    50,000    58

TOSCO CORP 8.125% NTS 15/FEB/2030 USD1000

       CORPORATE BONDS    35,000    45

TOYOTA AUTO REC TRST 2.79% 15/JAN/2010

       ASSET BACKED    85,000    85

TRANSCANADA PIPELN 8.625% DEB 15/MAY/2012 USD1000

       CORPORATE BONDS    30,000    37

TRANSOCEAN SEDCO F 6.625% NTS 15/APR/2011 USD1000

       CORPORATE BONDS    45,000    50

TRIAD AUTO REC OWNER TRST SR# 2003-B 3.16% DUE

       CMO/REMIC    160,000    161

UFJ FINANCE ARUBA AEC 6.75% 15/JUL/2013

       CORPORATE BONDS    45,000    48

UNION PACIFIC CORP 6.625% DEB 01/FEB/2029 USD1000

       CORPORATE BONDS    20,000    22

UNITED STATE STREAS BDS 06.125% 15/NOV/2027

       GOVERNMENT BONDS    545,000    614

UNITED STATES TREAS NTS 2.625% DUE 15/NOV/2006

       GOVERNMENT BONDS    1,250,000    1,261

UNITED STATES TREASURY NOTE DUE 15/NOV/2013

       GOVERNMENT BONDS    50,000    50

US BANK NA 2.85% 15/NOV/2006

       CORPORATE BONDS    250,000    251

USA TREASURY BDS 5.375% 15/FEB/2031 USD

       GOVERNMENT BONDS    55,000    57

USA TREASURY BDS 7.875% BDS 15/FEB/2021 USD1000

       GOVERNMENT BONDS    980,000    1,304

USA TREASURY NTS 3.375% NTS 15/NOV/2008 USD1000

       GOVERNMENT BONDS    100,000    101

VALERO ENERGY(NEW) 6.875% NT 15/APR/2012 USD1000

       CORPORATE BONDS    20,000    22

VERIZON GLOBAL FDG 7.75% BD 01/DEC/2030 USD1000

       CORPORATE BONDS    50,000    59

VERIZON NEW YORK 16.875% BDS 01/APR/2012

       CORPORATE BONDS    180,000    199

VODAFONE AIRTOUCH 7.875% NTS 15/FEB/2030 USD1000

       CORPORATE BONDS    45,000    55

VOLKSWAGEN AUTO LOAN ENHANCED TRUST 2.94

       ASSET BACKED    190,000    190

VOLKSWAGEN AUTO LOAN ENHANCED TRUST 92866XAC1

       ASSET BACKED    450,000    447

WACHOVIA ASSET SECURITIZATION INC VAR DUE

       ASSET BACKED    148,386    148

WACHOVIA ASSET SECURITIZATION, INC VAR 25/DEC/2032

       CMO/REMIC    150,536    151

 

20


CONSOL Energy Inc.

Investment Plan for Salaried Employees

EIN: 51-0337383, Plan 002

Schedule H, line 4(i) – Schedule of Assets (Held at End of Year) **

December 31, 2003

 

(in thousands of dollars)

 

(a)


 

(b) Identity of Issue, borrower
lessor or similar party


  

(c) Description of investment including
maturity date, rate of interest,

collateral, par or maturity value


   (d) Number of
shares/units


   (e) Current
value (in 000s)


 

WACHOVIA BANK COMM MTG TRUST 929766LY7 4.964%

       CMO/REMIC    290,000    292  

WASHINGTON MUTUAL INC 4% 15/JAN/2009 USD1000

       CORPORATE BONDS    160,000    160  

WEATHERFORD INTL INC 4.95% 15/OCT/2013

       CORPORATE BONDS    85,000    84  

WELLS FARGO COMPANY 5.12% 01/SEP/2012

       CORPORATE BONDS    5,000    5  

WELLS FARGO COMPANY 949746CR0 5% 15/NOV/2014

       CORPORATE BONDS    45,000    45  

WESTVACO CORP 8.2% DEB 15/JAN/2030 USD1000

       CORPORATE BONDS    10,000    12  

WFS FINANCIAL OWNER TR 2003-4 CLASS A4

       CMO/REMIC    125,000    126  

WYETH

       CORPORATE BONDS    60,000    61  

WYETH 5.50% 01/FEB/2014

       CORPORATE BONDS    100,000    101  

VARIOUS PAYABLES

                 (22,401 )

State Street Bank and Trust

       SYN, 4.35%, open-end    76,973,006    —    

Underlying Security Description

                    

LM INSTITUTIONAL F WESTERN ASSET CORE PLUS POR

            3,030,297    31,788  

PIMCO FDS PACIFIC TOTAL RETURN FD INSTITUTION

            158,846    1,701  

PIMCO LOW DURATION FUND

            4,405,292    45,110  

Union Bank of Switzerland

       SYN, 6.02%, open-end    58,832,132    —    

Underlying Security Description

                    

AB SPINTAB SWEDMOR 5.75% BDS 15/JUN/2005 SEK`170

       CORPORATE BONDS    30,000    1,035  

ACE CAPITAL TRUST 9.7% BDS 01/APR/2030 USD1000

       CORPORATE BONDS    150,000    13  

ACE SECURITIES CORP 004421CE125/JUN/2033

       ASSET BACKED    90,000    440  

ALTRIA GROUP INC 6.375% NTS 01/FEB/2006 USD1000

       CORPORATE BONDS    90,000    267  

ALTRIA GROUP INC 7.00% 04/NOV/2013

       CORPORATE BONDS    25,000    96  

ALTRIA GROUP INC 7.75% DEB 15/JAN/2027 USD1000

       CORPORATE BONDS    140,000    259  

AMERICREDIT AUTOMOBILE RECEIVABLES TRUST

       ASSET BACKED    30,000    504  

APACHE CORP 6.25% NT 15/APR/2012 USD1000

       CORPORATE BONDS    20,000    78  

ASSET SECURITIZATION CORPORATION 96-D2 A-1

       COMMERCIAL MORTGAGE BACKED SECURITIES    250,000    295  

AT&T WIRELESS SVCS 8.125% NTS 01/MAY/2012 USD1000

       CORPORATE BONDS    120,000    29  

BANK ONE CORP 4.12% 22/AUG/2002-01/SEP/2007

       CORPORATE BONDS    165,000    31  

BANKBOSTON 6.375% SUB NTS 25/MAR/2008 USD

       CORPORATE BONDS    950,000    601  

BAYVIEW FINANCIAL ACQUISITION TRUST

       ASSET BACKED    35,000    427  

BAYVIEW FINANCIAL ACQUISTION TRUST SER 2003-DA CL

       CMO/REMIC    245,000    473  

BAYVIEW FINANCIAL ASSET TRUST 2002-A A-1 VARIABLE

       CMO/REMIC    40,000    232  

BAYVIEWW 2003 LJ1 A4 3.44% DUE 25-APRL-12

       ASSET BACKED    199,000    503  

BELLSOUTH CAPITAL 6.04% DEB 15/NOV/2026 USD1000

       CORPORATE BONDS    9,000    97  

BK OF AMERICA CPN 6.25% BDS 15/APR/2012 USD

       CORPORATE BONDS    55,000    88  

BK OF AMERICA CPN 7.4% SNR BDS 15/JAN/2011 USD

       CORPORATE BONDS    65,000    129  

BLACKROCK CAPITAL FINANCE 97-R3 A-27.220%

       COMMERCIAL MORTGAGE BACKED SECURITIES    10,000    131  

BOEING CO 6.625% DEB 15/FEB/2038 USD1000

       CORPORATE BONDS    160,000    123  

BRISTOL-MYRS SQUIB 5.75% BDS 01/OCT/2011 USD1000

       CORPORATE BONDS    205,000    151  

BRITISH POUND

       CURRENCIES    150,000    16  

BRITISH POUND STERLING

       MONEY MARKETS    170,000    16  

BRITISH TELECOM VAR NTS 15/DEC/2010 USD

       CORPORATE BONDS    135,000    91  

CANADA(GOVT OF)6% BDS 01/SEP/2005 CAD(VA

       GOVERNMENT BONDS    90,000    —    

CAPITAL ASSET RESH FDG LP TAX LIEN COLL BD SER

       CMO/REMIC    220,000    27  

CAPITAL AUTO RECEIVABLES ASSET TRUST 2003-1 CLA1B

       CMO/REMIC    85,000    460  

CAPITAL LEASE FUNDING 99-LTL-A-2 6.867%

       CMO/REMIC    140,000    328  

CHASE EOD BK LIQUIDITY FD (VAN 2).

       STIF    85,000    17,150  

CHASE FUNDING TRUST 00-2 IIA-1 VARIABLE

       CMO/REMIC    35,000    37  

CHESAPEAKE FUNDING LLC SER 2003-1-CL A1

       CMO/REMIC    395,000    601  

CHEVY CHASE FUNDING LLC 16678RAA5 25/JUL/2034

       CMO/REMIC    135,000    576  

CIT GROUP INC 5.75% DUE 25/SEP/2007

       CORPORATE BONDS    8,262    129  

CITIBANK CREDIT CARD ISSUANCE TRUST 2002-C1 2002-C

       ASSET BACKED    20,000    111  

CITIFINANCIAL MORTGAGE SECURITIES INC 17306UBN7

       ASSET BACKED    40,000    537  

CITIGROUP INC 5.625% BDS 27/AUG/2012 USD1000

       CORPORATE BONDS    10,000    84  

CITIGROUP INC 6% BD 21/FEB/2012 USD1000

       CORPORATE BONDS    950,000    317  

CLOSED-END HOME EQUITY LOAN ASSET BACKED

       ASSET BACKED    190,000    122  

COMM 2001-FL4 01-FL4 A2 144 VARIABLE 15/APR/2013

       COMMERCIAL MORTGAGE BACKED SECURITIES    40,000    155  

CONOCO FUNDING CO 6.35% GT BDS 15/OCT/2011 USD

       CORPORATE BONDS    350,000    146  

CONOCO FUNDING CO 7.25% BDS 15/OCT/2031 USD1000

       CORPORATE BONDS    270,000    41  

CONOCO INC 6.95% SNR NTS 15/APR/2029 USD

       CORPORATE BONDS    950,000    153  

CONOCOPHILLIPS 4.75% DUE 150CT12

       CORPORATE BONDS    25,000    80  

CONSECO FIN SECURITIZATIONS CORP VRN DUE

       ASSET BACKED    6,934,699    44  

CONSECO FINANACE SECURITIZATION CORP 00-6 A-4

       ASSET BACKED    45,000    562  

CONSECO FINANCE SECURITIZATIONS CORP 01-3 A-4

       ASSET BACKED    95,000    182  

COUNTRYWIDE ASSET-BACKED CERTIFICATES

       CMO/REMIC    125,000    85  

COX COMMUNICATIONS INC 5.5% 01/OCT/2015

       CORPORATE BONDS    715,000    10  

COX COMMUNICATIONS INC 7.125% DUE 01/OCT/2012

       CORPORATE BONDS    205,000    23  

COX COMMUNICATIONS INC. 4.625% 01JUN01/JUN/2013

       CORPORATE BONDS    110,000    29  

 

21


CONSOL Energy Inc.

Investment Plan for Salaried Employees

EIN: 51-0337383, Plan 002

Schedule H, line 4(i) – Schedule of Assets (Held at End of Year) **

December 31, 2003

 

(in thousands of dollars)

 

(a)


  

(b) Identity of Issue, borrower
lessor or similar party


  

(c) Description of investment including
maturity date, rate of interest,

collateral, par or maturity value


   (d) Number of
shares/units


   (e) Current
value (in 000s)


CREDIT SUISSE FB USA INC 4.625% DUE 15/JAN/2008

        CORPORATE BONDS    40,000    115

CRIIMI MAE 98-C1A-2 7.000% 02/JUN/2033

        ASSET BACKED    45,000    163

CSFB MTG PTC 2002-6 2002-S6 A-2 VARIABLE

        CMO/REMIC    95,000    26

CWABS, INC 2001-BC3 01-BC3 A VARIABLE 25/DEC/2031

        ASSET BACKED    35,000    160

DAIMLERCHRYSLER MASTER OWNER AUTO LN ASSET BACKED

        ASSET BACKED    5,000    150

DEERE JOHN CAP CP 6% NTS 15/2/2009 USD1000

        CORPORATE BONDS    120,000    111

DELTA AIR LINES

        CORPORATE BONDS    30,000    429

DEVON ENERGY CORP 7.95% SR DEB 15/APR/2032 USD

        CORPORATE BONDS    40,000    181

DIAGEO CAPITAL 6.625%NTS 24/JUN/2004 USD1000

        CORPORATE BONDS    115,000    154

DOMINION RESOURCES INC 4.125% 15FEB15/FEB/2008

        CORPORATE BONDS    440,000    10

DOMINION RESOURCES INC 5.125% 15/DEC/2009

        CORPORATE BONDS    380,000    52

DOMINION RESOURCES INC 5.7% 17/SEP/2012

        CORPORATE BONDS    500,000    53

DRYDEN INV TRUST, TR CTF 7.157% 23/JUL/2008

        CORPORATE BONDS    135,000    433

EASTMAN KODAK CO. 7.25% 15/NOV/2013

        CORPORATE BONDS    650,000    26

ECU COLLATERAL ACCOUNT

        MONEY MARKETS    70,000    —  

ELPASO CORP 7.75& MTN 15/JAN/2032 USD1000

        CORPORATE BONDS    125,000    290

ELPASSO NAT GAS 8.375% NTS 15/JUN/2032 USD1000

        CORPORATE BONDS    25,000    82

EQCC TRUST 2002-1 2-A VARIABLE 25/NOV/2031

        ASSET BACKED    110,000    139

EUR CURRENCY CALL A/C

        MONEY MARKETS    65,000    —  

EURO

        CURRENCIES    50,000    —  

FANNIE MAE 2% 15/JAN/2006

        GOVERNMENT BONDS    75,000    330

FED HOME LOAN MTG 6.75% BDS 15/SEP/2029 USD1000

        GOVERNMENT BONDS    25,000    1

FED NAT MTG ASSN TBA 5.5% 15 YRS

        MORTGAGE BACKED SECURITIES    130,000    932

FED NATL MORT ASSC 5.5% NTS 15/FEB/2006 USD1000

        GOVERNMENT BONDS    130,000    1,071

FEDERAL HOME LOAN BANK 4.5% 16/SEP/2013

        GOVERNMENT BONDS    85,000    79

FEDERAL HOME LOAN MTG CORP

        GOVERNMENT BONDS    25,000    5,000

FEDERAL NATL MTG ASSN CONS BD 6.21% 06/AUG/2038

        GOVERNMENT BONDS    40,000    119

FEDERAL NATL MTG ASSN DISC NT MATURES 24/MAR/2004

        DISCOUNTED NOTES    95,000    279

FHLMC 4.875% 15/MAR/2007 USD

        GOVERNMENT BONDS    140,000    106

FINANCING CORP PRIN FICO STRIP 16 BD19 05/APR/2019

        CORPORATE BONDS    105,000    21

FIRSTAR BANK NA. 7.125%SB NT 01/DEC/2009 USD1000

        CORPORATE BONDS    13,325    23

FIRSTENERGY CORP 6.45% BD 15/NOV/2011 USD1000

        CORPORATE BONDS    1,100,000    16

FIRSTENERGY CORP 7.375%BD 15/NOV/2031 USD1000`C

        CORPORATE BONDS    270,000    184

FNMA MORTPASS 8% 01/SEP/2015 CI PN# 535460

        MORTGAGE BACKED SECURITIES    600,000    32

FNMA MORTPASS 8% 01/SEP/2015 CI PN# 550867

        MORTGAGE BACKED SECURITIES    3,000,000    8

FORD MOTOR CREDIT 7.375% BDS 01/FEB/2011 USD1000 2

        CORPORATE BONDS    3,000,000    251

FORD MOTOR CREDIT 7.875% NTS 15/JUN/2010 USD1000

        CORPORATE BONDS    20,000    223

GENERAL ELEC CAP CORP 36962GZY3 5.45% 15/JAN/2013

        CORPORATE BONDS    565,000    166

GENERAL ELEC CAP CORP 6% MTN 15/JUN/2012 USD1000

        CORPORATE BONDS    50,000    228

GENERAL ELECTRIC CO 369604AY9 5% 01/FEB/2013

        CORPORATE BONDS    85,000    30

GENERAL MOTORS 7.125% DUE 15/JUL/2013

        CORPORATE BONDS    450,000    93

GENERAL MTRS NOVA 6.85% NT 15/OCT/2008 USD1000

        CORPORATE BONDS    10,000    289

GERMANY(FED REP) 3.75% BDS 04/JAN/2009 EUR 0.01

        GOVERNMENT BONDS    140,000    1,141

GERMANY(FED REP) 5% BDS 04/JAN/2012 EUR 0.01

        GOVERNMENT BONDS    325,000    381

GERMANY(FED REP) 5.5% BDS 04/JAN/2031 EUR 0.01

        GOVERNMENT BONDS    175,000    970

GNMA IMORTPASS 6.5% 15/AUG/2028 SF PN# 486470

        MORTGAGE BACKED SECURITIES    115,000    19

GNMA IMORTPASS 6.5% 15/OCT/2028 SF PN# 482782

        MORTGAGE BACKED SECURITIES    65,000    23

GNMA IMORTPASS 7% 15/DEC/2025 SF PN# 395460

        MORTGAGE BACKED SECURITIES    75,000    27

GNMA IMORTPASS 7% 15/DEC/2025 SF PN# 420393

        MORTGAGE BACKED SECURITIES    75,000    39

GNMA IMORTPASS 7% 15/DEC/2027 SF PN# 454103

        MORTGAGE BACKED SECURITIES    25,000    50

GNMA IMORTPASS 7% 15/JAN/2024 SF PN# 364875

        MORTGAGE BACKED SECURITIES    275,000    43

GNMA IMORTPASS 7% 15/JAN/2024 SF PN# 371263

        MORTGAGE BACKED SECURITIES    35,000    57

GNMA IMORTPASS 7% 15/JAN/2028 SF PN# 425832

        MORTGAGE BACKED SECURITIES    115,000    40

GNMA IMORTPASS 7% 15/JAN/2028 SF PN# 433528

        MORTGAGE BACKED SECURITIES    445,000    36

GNMA IMORTPASS 7% 15/JAN/2028 SF PN# 433566

        MORTGAGE BACKED SECURITIES    260,000    39

GNMA IMORTPASS 7% 15/JUL/2028 SF PN# 464693

        MORTGAGE BACKED SECURITIES    205,000    40

GNMA IMORTPASS 7% 15/JUN/2024 SF PN# 354832

        MORTGAGE BACKED SECURITIES    235,000    41

GNMA IMORTPASS 7% 15/MAY/2028 SF PN# 442989

        MORTGAGE BACKED SECURITIES    360,000    28

GNMA IMORTPASS 7% 15/NOV/2027 SF PN# 424870

        MORTGAGE BACKED SECURITIES    1,000,000    34

GNMA IMORTPASS 7% 15/NOV/2027 SF PN# 437440

        MORTGAGE BACKED SECURITIES    395,000    30

GNMA IMORTPASS 7% 15/NOV/2027 SF PN# 461021

        MORTGAGE BACKED SECURITIES    465,000    37

GNMA IMORTPASS 7% 15/OCT/2027 SF PN# 455319

        MORTGAGE BACKED SECURITIES    205,000    70

GNMA IMORTPASS 7% 15/OCT/2028 SF PN# 416625

        MORTGAGE BACKED SECURITIES    55,000    80

GNMA IMORTPASS 7% 15/OCT/2028 SF PN# 477487

        MORTGAGE BACKED SECURITIES    255,000    45

GNMA IMORTPASS 7% 15/OCT/2028 SF PN# 490678

        MORTGAGE BACKED SECURITIES    240,000    103

GNMA IMORTPASS 7% 15/SEP/2025 SF PN# 366148

        MORTGAGE BACKED SECURITIES    65,000    44

GNMA IMORTPASS 7% 15/SEP/2025 SF PN# 412461

        MORTGAGE BACKED SECURITIES    255,000    17

GNMA IMORTPASS 7.5% 15/MAR/2029 SP PN# 781001

        MORTGAGE BACKED SECURITIES    314,549    27

GNMA IMORTPASS 7.5% 15/NOV/2028 SF PN# 483837

        MORTGAGE BACKED SECURITIES    70,000    46

GSRPM MORTGAGE LOAN TRUST

        CMO/REMIC    135,000    317

 

22


CONSOL Energy Inc.

Investment Plan for Salaried Employees

EIN: 51-0337383, Plan 002

Schedule H, line 4(i) – Schedule of Assets (Held at End of Year) **

December 31, 2003

 

(in thousands of dollars)

 

(a)


 

(b) Identity of Issue, borrower

lessor or similar party


  

(c) Description of investment including
maturity date, rate of interest,

collateral, par or maturity value


   (d) Number of
shares/units


   (e) Current
value (in 000s)


 

GSRPM MORTGAGE LOAN TRUST 2003-2 CLS A1 DUE

       CMO/REMIC    1,050,000    433  

HOME EQUITY LOAN TRUST 01-HE3 A1 VARIABLE

       ASSET BACKED    120,000    163  

HOME OWNERSHIP FDG CORP II PFD STP DWN 144A

       PREFERRED STOCK    110,000    101  

HOME OWNERSHIP FUN 13.331% PRF 31/12/49 USD100

       PREFERRED STOCK    155,000    50  

HOUSEHOLD FIN CORP 6.5% BDS 15/NOV/2008 USD1000

       CORPORATE BONDS    70,000    113  

HOUSEHOLD FIN CORP 6.75% BDS 15/MAY/2011 USD1000

       CORPORATE BONDS    45,000    113  

HOUSEHOLD FINANCE CORP 6.375 27/NOV/2012

       CORPORATE BONDS    140,000    22  

HOUSEHOLD FINANCE CORP 7% 15/MAY/2012

       CORPORATE BONDS    35,000    11  

HSBC CAP/144A 4.61% PERP

       CORPORATE BONDS    20,000    57  

HYDRO-QUEBEC 6.3% BDS 11/MAY/2011 USD1000

       GOVERNMENT BONDS    35,000    158  

IMPAC 2003-7 1.4339 DUE 25/JUL/2033

       CMO/REMIC    55,000    378  

IMPAC CMB TRUST SERIES 2002-8 2002-8 A VARIABLE

       CMO/REMIC    330,000    478  

IMPAC FUNDING CORPORATION 2002-1 A VARIABLE

       CMO/REMIC    30,000    272  

INTERNATIONAL PAPER CO. 5.50% DUE 15/JAN/2014

       CORPORATE BONDS    345,000    25  

J P MORGAN CHASE 6.625% SB NTS 15/MAR/2012 USD

       CORPORATE BONDS    382,330    212  

J.P. MORGAN COMMERCIAL MORTGAGE FINANCE CORP.

       COMMERCIAL MORTGAGE BACKED SECURITIES    226,776    4  

JP MORGAN CHASE 5.75% 02/JAN/2013

       CORPORATE BONDS    95,000    63  

KELLOGG CO 6.6% BDS 01/APR/2011 USD1000

       CORPORATE BONDS    15,000    90  

KFW INTL FINANCE 4.75% BDS 24/JAN/2007 USD1000

       CORPORATE BONDS    360,000    182  

KOREA DEV BK NT 4.250% DUE 13/NOV/2007

       CORPORATE BONDS    45,000    214  

LEHMAN BROS HLDGS 6.625% NTS 01/APR/2004 USD1000

       CORPORATE BONDS    220,000    344  

LIBERTY MEDIA CORP 5.7% 15/MAY/2013

       CORPORATE BONDS    145,000    40  

LIBERTY MEDIA CORP VAR 17/SEP/2006

       CORPORATE BONDS    175,000    283  

LOCKHEED MARTIN CO 8.5% BDS 01/DEC/2029 USD1000

       CORPORATE BONDS    205,000    39  

MAR 04 10 YEAR T NOTES-CBT FUTURE LG

       FUTURES    95,000    449  

MAR 04 5 YEAR T NOTES-CBT FUTURE LG

       FUTURES    50,000    893  

MAR 04 TREASURY BONDS-CBT FUTURE SH

       FUTURES    20,000    (875 )

MASTR ASSET BACKED SECURITIES TRUST 57643LBW5

       CMO/REMIC    115,000    509  

MEADWESTVACO CORP 6.85% NT 01/APR/2012 USD1000

       CORPORATE BONDS    60,000    82  

MERILL LYNCH MORTGAGE INVESTORS, INC. 96-C2 A-3

       COMMERCIAL MORTGAGE BACKED SECURITIES    40,000    148  

MERRILL LYNCH AND CO. MTN DUE 14/SEP/2007 3.375%

       CORPORATE BONDS    950,000    81  

MERRILL LYNCH MORTGAGE INVESTORS, INC. 98-C1-C A-1

       COMMERCIAL MORTGAGE BACKED SECURITIES    78    470  

MERRILL LYNCH MTG INV INC SER 2002-NC1CL A 1

       CMO/REMIC    30,000    44  

MORGAN STANLEY CAPITAL I INC 61745 MQY2 15/JUL/2015

       CMO/REMIC    53    355  

NABISCO INC 7.55% DEB 15/JUN/2015 USD1000

       CORPORATE BONDS    85,000    335  

NEW CENTURY HOME EQUITY LOAN TRUST 00-NCB A

       ASSET BACKED    600,000    40  

NEWS AMER INC GTD SR DB 7.625% 30/NOV/2028

       CORPORATE BONDS    140,000    58  

NEWS AMERICA HLDGS 7.28% SR DEB 30/JUN/2028 USD

       CORPORATE BONDS    100,000    89  

NEWS AMERICA HLDGS 8.875% SNR NTS 26/APR/2023 USD

       CORPORATE BONDS    133,027    51  

NEWS AMERICA INC 6.55% GTD SNR NTS 15/MAR/2033

       CORPORATE BONDS    70,000    93  

NOMURA ASSET SECURITIES CORPORATION 96-MD5 A-1B

       COMMERCIAL MORTGAGE BACKED SECURITIES    35,000    218  

ONCOR ELECTRIC DEL 6.375% SNR SECD NTS 15/JAN/2015

       CORPORATE BONDS    50,000    33  

ORIGINAL EXPOSURE ON OPEN CONTRACTS

       FUTURES    80,000    (3,086 )

ORIGINAL EXPOSURE ON OPEN CONTRACTS

       FUTURES    245,000    (6,296 )

PHILLIPS PETROLEUM 7% BDS 30/MAR/2029 USD1000

       CORPORATE BONDS    175,000    28  

PUMA GLOBAL TRUST NO 4 74588UAA6 11/OCT/2034

       CMO/REMIC    35,000    580  

RAYTHEON CO 5.375% 01APR01/APR/2013

       CORPORATE BONDS    55,000    25  

RAYTHEON CO 6% DEB 15/DEC/2010 USD1000

       CORPORATE BONDS    10,000    5  

RESIDENTIAL FUNDING MORTGAGE SECURITIES II, INC.

       CMO/REMIC    285,000    140  

RJ REYNOLDS TOBACC 7.75% NT 15/MAY/2006 USD1000

       CORPORATE BONDS    229,300    179  

RJ REYNOLDS TOBACC 7.875% BD 15/MAY/2009 USD1000

       CORPORATE BONDS    200,000    125  

ROYAL BK SCOTLAND GROUP PLC SPONSORED ADR REP STG

       ADR    60,000    54  

SARA LEE CORP 6.25% NT 15/SEP/2011 USD1000

       CORPORATE BONDS    111,021    89  

SASCO 2001-6 (CMO)

       CMO/REMIC    350,000    45  

SASCO-STRUCTURED ASSET SECURITIES CORPORATION

       CMO/REMIC    45,000    278  

SCOTIA PACIFIC CO 1998-E A-3 20/JUL/1998 7.7 1000

       CORPORATE BONDS    160,000    19  

SECURITY NATL MTG LN TR 2001-3 MTG LN BKD REMIC

       CMO/REMIC    75,000    6  

SEP 04 EURODOLLAR-CME FUTURE LG

       FUTURES    950,000    4,421  

SEP 04 LIF 3M ST 15/SEP/2004

       FUTURES    70,000    3,101  

SEP 05 EURODOLLAR-CME FUTURE LG

       FUTURES    80,000    1,450  

SEQUOIA MORTGAGE TRUST 4 TRUST 4 A VARIABLE

       ASSET BACKED    70,000    141  

SERIES 2000-2G MEDALLION TRUST 00-2G A-1 VARIABLE

       CMO/REMIC    35,000    138  

SONAT INC 7.625%NTS 15/JUL/2011 USD1000

       CORPORATE BONDS    185,000    46  

SPRINT CAP CORP NT 8.375% DUE 15/MAR/2012

       CORPORATE BONDS    1,100,000    41  

SPRINT CAPITAL CP 7.625% GTD BDS 30/JAN/2011 USD

       CORPORATE BONDS    1,100,000    34  

SPRINT CAPITAL6% 15/JAN/2007 USD

       CORPORATE BONDS    2,000,000    11  

STATENS BOSTADS FIN 5.5% BDS 15/MAR/2006 SEK10000

       CORPORATE BONDS    3,500,000    832  

STHN NAT GAS CO 8% NT 01/MAR/2032 USD1000

       CORPORATE BONDS    6,500,000    31  

SWEDISH KRONA

       CURRENCIES    2,500,000    159  

SYSTEMS 2001 ASSET TRUST PASS THROUGH CERTIFICATES

       ASSET BACKED    1,000,000    219  

 

23


CONSOL Energy Inc.

Investment Plan for Salaried Employees

EIN: 51-0337383, Plan 002

Schedule H, line 4(i) – Schedule of Assets (Held at End of Year) **

December 31, 2003

 

(in thousands of dollars)

 

(a)


 

(b) Identity of Issue, borrower

lessor or similar party


  

(c) Description of investment including
maturity date, rate of interest,

collateral, par or maturity value


   (d) Number of
shares/units


    (e) Current
value (in 000s)


 

TARGET CORP 5.875% NTS 01/MAR/2012 USD1000

       CORPORATE BONDS    5,000,000     87  

TBA FHLMC 7.50% 30YR JAN

       MORTGAGE BACKED SECURITIES    2,000,000     107  

TBA FHLMC GOLD SF 5.50 15 YRS JAN

       MORTGAGE BACKED SECURITIES    110,000     622  

TBA FHLMC GOLD SF 7.00 15 YRS JAN

       MORTGAGE BACKED SECURITIES    130,000     107  

TBA FNMA 30 YR 6% JAN USD

       MORTGAGE BACKED SECURITIES    35,000     620  

TBA FNMA 30 YR 7.57.5% DUE 15/JAN/2049

       MORTGAGE BACKED SECURITIES    50,000     534  

TBA FNMA SF 5.00 15 YRS JAN

       MORTGAGE BACKED SECURITIES    35,000     612  

TBA FNMA SF 6.00 15 YRS JAN

       MORTGAGE BACKED SECURITIES    85,000     2,831  

TBA FNMA SF 7.00 30 YRS JAN

       MORTGAGE BACKED SECURITIES    30,000     3,917  

TBA FNMA SF 8.00 30 YRS JAN

       MORTGAGE BACKED SECURITIES    45,000     216  

TBA GNMA ISF 30YR 6.50% 1

       MORTGAGE BACKED SECURITIES    160,000     3,330  

TBA GNMA ISF 5.00 30 YRS JAN

       MORTGAGE BACKED SECURITIES    45,000     6,251  

TBA GNMA ISF 6.00 30 YRS JAN

       MORTGAGE BACKED SECURITIES    20,000     4,291  

TBA GNMA ISF 7.00 30 YRS JAN

       MORTGAGE BACKED SECURITIES    545,000     1,172  

TCI COMMUNICATIONS 7.875% BDS 15/FEB/2026 USD1000

       CORPORATE BONDS    1,250,000     362  

TELECOM ITALIA CAPITAL 144A 5.25% DUE 15/NOV/2013

       CORPORATE BONDS    50,000     65  

TENET HEALTHCARE CORP 7.375% 01/FEB/2013

       CORPORATE BONDS    250,000     11  

TENNESSEE GAS PIPELINE

       CORPORATE BONDS    55,000     11  

TENNESSEE VALLEY 6.75% PWR BD 01/NOV/2025 USD

       GOVERNMENT BONDS    980,000     173  

TEXACO CAPITAL INC 5.5% NTS 15/JAN/2009 USD1000

       CORPORATE BONDS    100,000     436  

TIME WARNER ENT 8.375% SB DEB 15/JUL/2033 USD

       CORPORATE BONDS    20,000     63  

TIME WARNER INC 6.875% NTS 01/MAY/2012 USD1000

       CORPORATE BONDS    50,000     23  

TIME WARNER INC 7.7% BDS 01/MAY/2032 USD1000

       CORPORATE BONDS    180,000     303  

TXU ENERGY CO LLC 7.00% 15/MAR/2013

       CORPORATE BONDS    45,000     22  

TYCO INTERNATIONAL6.375% SN NT 15/OCT/2011 USD

       CORPORATE BONDS    190,000     214  

U S TREAS BD STRIPPED PRIN PMT 5.500% 15/AUG/2028

       GOVERNMENT BONDS    450,000     360  

UNION PACIFIC CORP 7.375% BDS 15/SEP/2009 USD1000

       CORPORATE BONDS    148,386     151  

UNITED STATES TREAS NOTES 4.25% 15/AUG/2013

       GOVERNMENT BONDS    150,536     25  

UNITED STATES TREASURY NOTE DUE 15/NOV/2013

       GOVERNMENT BONDS    290,000     120  

US BANCORP 3.125% 15/MAR/2008

       CORPORATE BONDS    160,000     59  

USA TREASURY BDS 3.375% INFLIND.15/APR/2032 USD

       GOVERNMENT BONDS    85,000     77  

USA TREASURY BDS 5.375% 15/FEB/2031 USD

       GOVERNMENT BONDS    5,000     1,377  

USA TREASURY BOND INDEX LINKED 3.875% TIPS

       GOVERNMENT BONDS    45,000     277  

USA TREASURY NTS 1.875% TIPS 15/JUL/2013 USD1000

       GOVERNMENT BONDS    10,000     230  

USA TREASURY NTS 3.25% NTS 15/AUG/2008 USD1000

       GOVERNMENT BONDS    125,000     252  

USA TREASURY NTS 3.625% TIPS 15/JAN/2008 USD1000

       GOVERNMENT BONDS    60,000     219  

USA TREASURY NTS 3.625%`TIPS`DEB 15/APR/2028 USD

       GOVERNMENT BONDS    100,000     3,071  

USA TREASURY NTS 6.00% NTS 15/AUG/2009 USD1000

       GOVERNMENT BONDS    110,000     125  

USA TREASURY STRIP 0%PRINC STRIP 15/NOV/2027 USD

       GOVERNMENT BONDS    70,000     19  

USA TREASURY STRIP STRIP PRIN PMT 15/NOV/2021 USD

       GOVERNMENT BONDS    2,450,000     934  

VARIATION MARGIN ON OPEN CONTRACTS TO DATE - G/L

       FUTURES    0     (15 )

VARIATION MARGIN ON OPEN CONTRACTS TO DATE - G/L

       FUTURES    0     (42 )

VERIZON GLOBAL FDG CORP BD 6.875% 15/JUN/2012

       CORPORATE BONDS    470,000     527  

VIACOM INC 5.62% 28/AUG/2002-15/AUG/2012

       CORPORATE BONDS    80,000     85  

W/CALL USA TREAS BDS 112.000 112.00

       OPTIONS    (10 )   (10 )

W/CALL USA TREAS NTS FUT 10 114.00

       OPTIONS    (7 )   (5 )

W/CALL USA TREAS NTS FUT 10 115.00

       OPTIONS    (18 )   (9 )

W/PUT USA TREAS BDS 102.000D 102.00

       OPTIONS    (19 )   (5 )

W/PUT USA TREAS BDS 104.000D 104.00

       OPTIONS    (11 )   (6 )

W/PUT USA TREAS BDS 105.000D 105.00

       OPTIONS    (16 )   (11 )

W/PUT USA TREAS BDS 106.000D 106.00

       OPTIONS    (10 )   (9 )

WACHOVIA BANK COMMERCIAL MORTGAGE TRUST FRN

       CMO/REMIC    71,724     72  

WAMU MORTGAGE PASS-THROUGH CERTIFICATES 2002-S8

       CMO/REMIC    59,466     60  

WASTE MANAGEMENT 7.375% NTS 01/AUG/2010 USD1000

       CORPORATE BONDS    240,000     277  

WASTE MGMT INC DEL SR NT 6.375% 15/NOV/2012

       CORPORATE BONDS    80,000     87  

WELLS FARGO & CO 6.375% SB NT 01/AUG/2011 USD1000

       CORPORATE BONDS    250,000     279  

WEYER HAEUSER CO 6.75% NTS 15/MAR/2012 USD1000

       CORPORATE BONDS    50,000     55  

WILLIAMS COS INC 7.5% NTS 15/JAN/2031 USD144A

       CORPORATE BONDS    150,000     152  

WILLIAMS COS INC 8.75% NTS 15/MAR/2032 USD1000

       CORPORATE BONDS    100,000     113  

VARIOUS PAYABLES

                  (25,269 )

ING Life Insurance and Annuity Co.

       SYN, 5.63%, open-end    60,333,023     —    

Underlying Security Description

                     

05.000 FGPC C01585 G

       MORTGAGE BACKED SECURITIES    598,178     591  

AES EASTERN ENERGY LP 99 A 9.000% 02/JAN/2017

       ASSET BACKED    101,448     112  

ALCOA INC 6% SR NTS 15/JAN/2012 USD1000

       CORPORATE BONDS    84,000     91  

ALLETE INC SR NT 7.8% 15/FEB/2008

       CORPORATE BONDS    140,000     157  

AMERITECH CAPITAL 6.25% BDS 18/MAY/2009 USD(VAR)

       CORPORATE BONDS    137,000     149  

APPLIED MATLS INC SR NT 7.125% 15/OCT/2017

       CORPORATE BONDS    432,000     503  

ARCHER DANIELS MID 8.875% DEB 15/APR/2011 USD1000

       CORPORATE BONDS    84,000     106  

 

24


CONSOL Energy Inc.

Investment Plan for Salaried Employees

EIN: 51-0337383, Plan 002

Schedule H, line 4(i) – Schedule of Assets (Held at End of Year) **

December 31, 2003

 

(in thousands of dollars)

 

(a)


 

(b) Identity of Issue, borrower

lessor or similar party


  

(c) Description of investment including
maturity date, rate of interest,

collateral, par or maturity value


   (d) Number of
shares/units


    (e) Current
value (in 000s)


 

AT&T 8% SR NTS 15/NOV/2031 USD1000

       CORPORATE BONDS    330,000     386  

AT&T BROADBAND CORP NT 8.375% 15/MAR/2013

       CORPORATE BONDS    25,000     31  

AUTO DEL MAIPO SOC7.373% 15/JUN/2022 USD 144A

       CMO/REMIC    410,000     469  

BAYER LANDESBANK 5.375% EMTN 24/SEP/2007 USD

       CORPORATE BONDS    150,000     161  

BAYERISCHE LANDESBANK 2.50% DUE 30/MAR/2006

       CORPORATE BONDS    84,000     85  

BBV INTL FINANCE 7% GTD SUB NTS 01/DEC/2025 USD

       CORPORATE BONDS    112,000     124  

BEAR STEARNS CO INC 3.00% 30/MAR/2006

       CORPORATE BONDS    84,000     85  

BECTON DICKINSON 7% DEB 01/AUG/2027 USD1000

       CORPORATE BONDS    103,000     119  

BGB FINANCE(IRE) 7.125% SB GT BD 27/FEB/2012 USD

       CORPORATE BONDS    500,000     565  

BK AUSTRIA CREDIT 5.75% EMTN 08/JUN/2006 USD`142`

       CORPORATE BONDS    300,000     322  

BK OF AMERICA CPN 7.8% BDS 15/FEB/2010 USD1000

       CORPORATE BONDS    300,000     357  

BK OF AMERICA CPN 7.8% SB NT 15/SEP/2016 USD1000

       CORPORATE BONDS    89,000     109  

BRIT COLUMBIA(PROV 5.375% BDS 29/OCT/2008 USD1000

       GOVERNMENT BONDS    178,000     192  

BRITISH TELECOM VAR NTS 15/DEC/2010 USD

       CORPORATE BONDS    206,000     251  

BRUNSWICK CORP 7.375% DEB 01/SEP/2023 USD1000

       CORPORATE BONDS    140,000     151  

BURLINGTN NTHN SAN 7.125% BDS 15/DEC/2010 USD1000

       CORPORATE BONDS    200,000     232  

CALL FEB 04 T-BOND OPTION SP 108.00

       OPTIONS    (1 )   (2 )

CALL FEB 04 T-BOND OPTION SP 110.00

       OPTIONS    1     2  

CALL FEB 04 T-BOND OPTION SP 111.00

       OPTIONS    2     1  

CALL ON FEB 04 T BOND SP 112 112.00

       OPTIONS    1        

CHASE EOD BK LIQUIDITY FD (VAN 2).

       STIF    12,860,687     12,861  

CIT GROUP HLDGS IN 7.75% BDS 02/APR/2012 USD1000

       CORPORATE BONDS    305,000     360  

CNA FINANCIAL CORP 7.25% BDS 15/NOV/2023 USD1000

       CORPORATE BONDS    285,000     285  

COASTAL CORP 6.5% NT 15/MAY/2006 USD1000

       CORPORATE BONDS    120,000     115  

COLGATE-PALMOLIVE CO MEDIUM T BOOK ENTRY TRANCHE #

       CORPORATE BONDS    25,000     27  

COMERICA BANK 4.80% DUE 01MAY01/MAY/2015

       CORPORATE BONDS    80,000     77  

COMMONWEALTH BANK OF AUSTRALIA

       GOVERNMENT BONDS    280,000     311  

COMPAQ COMPUTER CORP NT 7.65% 01/AUG/2005

       CORPORATE BONDS    120,000     130  

CONTINENTAL AIRLIN8.048% CMO 01/MAY/2022 USD1000

       ASSET BACKED    105,575     108  

CONTINENTAL AIRLINES INC. 96 A 6.940% 04/15/2015

       ASSET BACKED    100,847     99  

COORS BREWING CO SR NT 6.375% 15/MAY/2012 UNRES.

       CORPORATE BONDS    14,000     15  

COUNTRYWIDE FINANCIAL 4.25% 19/DEC/2007

       CORPORATE BONDS    84,000     87  

DBS BANK LTD 7.875% SUB NTS 15/APR/2010 144A

       CORPORATE BONDS    120,000     143  

DEC 04 EURODOLLAR-CME FUTURE LG

       FUTURES    1     245  

DELPHI AUTOMOTIVE 6.55% NT 15/JUN/2006 USD1000

       CORPORATE BONDS    170,000     182  

DIAGEO CAPITAL 6.125% NTS 15/AUG/2005 USD1000

       CORPORATE BONDS    259,000     276  

DONNELLEY RR & SONS CO MTN BE FR 6.56% 05/JUL/2005

       CORPORATE BONDS    173,000     184  

DUKE CAP CORP SR NT-B 6.75% 15/JUL/2018

       CORPORATE BONDS    121,000     127  

EASTMAN CHEMICAL C 7.25% DEB 15/JAN/2024 USD1000

       CORPORATE BONDS    155,000     165  

ENRON CORPORATION 6.75% NTS 01/JUL/2005 USD1000

       CORPORATE BONDS    120,000     1  

EQUITABLE RES INC 7.75% DEB 15/JUL/2026 USD1000

       CORPORATE BONDS    130,000     153  

EUROPAISCHE HYPOBK4.25% MTG MTN 24/OCT/2005 USD

       GOVERNMENT BONDS    290,000     301  

EXPORT DEVELOPMENT 6.4% 28/NOV/2000 28/NOV/2005

       CORPORATE BONDS    220,000     238  

FANNIE MAE MULTIFAMILY REMIC TRUST 99-M4 Z 7.604%

       COMMERCIAL MORTGAGE BACKED SECURITIES    484,891     534  

FANNIE MAE REMIC TRUST 1987-1 87-001 Z 9.990%

       CMO/REMIC    39,492     45  

FANNIE MAE REMIC TRUST 1991-125 91-125 Z 8.500%

       CMO/REMIC    154,206     170  

FANNIE MAE REMIC TRUST 1992-18 92-018 ZH 7.500%

       CMO/REMIC    323,441     341  

FANNIE MAE REMIC TRUST 92-041 ZB 8.000%

       CMO/REMIC    409        

FED HOME LOAN BK 5.925% DEB 09/APR/2008 USD1000

       GOVERNMENT BONDS    1,000,000     1,105  

FED HOME LOAN BK 6.875% DEB 15/AUG/2005 USD1000

       GOVERNMENT BONDS    330,000     357  

FED HOME LOAN MTG 5.875% SUB MTN 21/MAR/2011 USD

       GOVERNMENT BONDS    530,000     575  

FED NATL MORT ASSC 6.25% SUB NTS 01/FEB/2011 USD1

       GOVERNMENT BONDS    530,000     586  

FEDERAL HOME LN MTG CORP GOLD POOL # CO1623 DTD

       MORTGAGE BACKED SECURITIES    2,999,703     3,037  

FEDERAL HOME LN MTG CORP NTS 14/NOV/2003

       GOVERNMENT BONDS    700,000     705  

FEDERAL HOME LN MTG CP 2.12% 15/NOV/2005

       GOVERNMENT BONDS    190,000     191  

FEDERAL HOME LOAN MORTGAGE CORPORATION 1332 Z

       CMO/REMIC    758,651     809  

FEDERAL HOME LOAN MORTGAGE CORPORATION 1608 JA

       CMO/REMIC    146,546     6  

FEDERAL HOME LOAN MORTGAGE CORPORATION G031 Z

       CMO/REMIC    345,129     371  

FEDL FARM CR BKS CONS SYSW MTN FR 7.26%02/MAY/2005

       GOVERNMENT BONDS    205,000     220  

FHLMCGLD MORTPASS 5% 01/JUL/2033 A1PN# A11017

       MORTGAGE BACKED SECURITIES    262,641     259  

FHLMCGLD MORTPASS 5% 01/JUN/2033 C7 PN# C79796

       MORTGAGE BACKED SECURITIES    186,214     184  

FHLMCGLD MORTPASS 5% 01/NOV/2033 A1 PN# A15637

       MORTGAGE BACKED SECURITIES    1,997,739     1,973  

FHLMCGLD MORTPASS 5% 01/NOV/2033 A1 PN# A15856

       MORTGAGE BACKED SECURITIES    499,500     493  

FHLMCGLD MORTPASS 5% 01/NOV/2033 A1 PN# A16934

       MORTGAGE BACKED SECURITIES    161,570     160  

FHLMCGLD MORTPASS 5% 01/SEP/2033 A1 PN# A13276

       MORTGAGE BACKED SECURITIES    237,035     234  

FHLMCGLD MORTPASS 5% 01/SEP/2033 A1 PN# A13934

       MORTGAGE BACKED SECURITIES    550,025     543  

FHLMCGLD MORTPASS 5.5% 01/JAN/2029 C2 PN# C20679

       MORTGAGE BACKED SECURITIES    221,010     225  

FHLMCGLD MORTPASS 5.5% 01/OCT/2033 A1 PN# A14222

       MORTGAGE BACKED SECURITIES    499,950     506  

FHLMCGLD MORTPASS 5.5% 01/SEP/2032 C7 PN# C70867

       MORTGAGE BACKED SECURITIES    128,400     130  

FHLMCGLD MORTPASS 6% 01/AUG/2028 C1 PN# C13094

       MORTGAGE BACKED SECURITIES    92,377     96  

 

25


CONSOL Energy Inc.

Investment Plan for Salaried Employees

EIN: 51-0337383, Plan 002

Schedule H, line 4(i) – Schedule of Assets (Held at End of Year) **

December 31, 2003

 

(in thousands of dollars)

 

(a)


 

(b) Identity of Issue, borrower
lessor or similar party


  

(c) Description of investment including
maturity date, rate of interest, collateral,
par or maturity value


   (d) Number of
shares/units


   (e) Current
value (in 000s)


FHLMCGLD MORTPASS 6% 01/AUG/2029 C2 PN# C29983

       MORTGAGE BACKED SECURITIES    59,259    61

FHLMCGLD MORTPASS 6% 01/DEC/2028 C2 PN# C22623

       MORTGAGE BACKED SECURITIES    66,753    69

FHLMCGLD MORTPASS 6% 01/DEC/2032 G0 PN# G01477

       MORTGAGE BACKED SECURITIES    2,120,182    2,192

FHLMCGLD MORTPASS 6% 01/FEB/2033 G0 PN# G01519

       MORTGAGE BACKED SECURITIES    915,247    946

FHLMCGLD MORTPASS 6% 01/JAN/2029 C2 PN# C20338

       MORTGAGE BACKED SECURITIES    154,474    160

FHLMCGLD MORTPASS 6% 01/MAR/2031 C4 PN# C48480

       MORTGAGE BACKED SECURITIES    89,028    92

FHLMCGLD MORTPASS 6.5% 01/AUG/2009 E6 PN# E60022

       MORTGAGE BACKED SECURITIES    144,219    152

FHLMCGLD MORTPASS 7.5% 01/DEC/2022 D2 PN# D28599

       MORTGAGE BACKED SECURITIES    42,873    46

FHLMCGLD MORTPASS 9% 01/JAN/2025 C8 PN# C80253

       MORTGAGE BACKED SECURITIES    42,689    48

FINANCING CORP 8.6% BDS 26/SEP/2019 USD1000

       GOVERNMENT BONDS    75,000    101

FLEET FINLGP 6.5% BDS 15/MAR/2008 USD1000

       CORPORATE BONDS    439,000    488

FLORENCE ITALY GLOBAL MTN 144A FR 6.14%15/APR/2014

       CMO/REMIC    39,900    43

FNMA MORTPASS 5.5% 01/DEC/2033 CLPN# 739740

       MORTGAGE BACKED SECURITIES    499,950    507

FNMA MORTPASS 5.5% 01/NOV/2033 CLPN# 741672

       MORTGAGE BACKED SECURITIES    154,526    157

FNMA MORTPASS 5.5% 01/NOV/2033 CL PN# 743802

       MORTGAGE BACKED SECURITIES    154,222    156

FNMA MORTPASS 5.5% 01/OCT/2033 CLPN# 741647

       MORTGAGE BACKED SECURITIES    314,995    319

FNMA MORTPASS 5.5% 01/OCT/2033 CLPN# 743365

       MORTGAGE BACKED SECURITIES    1,376,058    1,395

FNMA MORTPASS 6% 01/JUL/2029 CLPN# 503854

       MORTGAGE BACKED SECURITIES    47,591    49

FNMA MORTPASS 6% 01/JUL/2029 CLPN# 526224

       MORTGAGE BACKED SECURITIES    97,408    101

FNMA MORTPASS 6% 01/MAR/2033 CLPN# 555285

       MORTGAGE BACKED SECURITIES    1,077,255    1,114

FNMA MORTPASS 6% 01/MAY/2033 CLPN# 555436

       MORTGAGE BACKED SECURITIES    699,832    724

FNMA MORTPASS 6% 01/NOV/2028 CLPN# 450952

       MORTGAGE BACKED SECURITIES    107,914    112

FNMA MORTPASS 6% 01/OCT/2028 CLPN# 445515

       MORTGAGE BACKED SECURITIES    21,833    23

FNMA MORTPASS 6% 01/SEP/2029 CLPN# 323908

       MORTGAGE BACKED SECURITIES    19,862    21

FNMA MORTPASS 6.5% 01/APR/2029 CLPN# 482922

       MORTGAGE BACKED SECURITIES    15,332    16

FNMA MORTPASS 6.5% 01/APR/2029 CLPN# 493343

       MORTGAGE BACKED SECURITIES    2,573    3

FNMA MORTPASS 6.5% 01/JUN/2029 CLPN# 499190

       MORTGAGE BACKED SECURITIES    45,501    48

FNMA MORTPASS 6.5% 01/JUN/2029 CLPN# 503290

       MORTGAGE BACKED SECURITIES    16,610    17

FNMA MORTPASS 6.5% 01/JUN/2031 CLPN# 584869

       MORTGAGE BACKED SECURITIES    73,910    77

FNMA MORTPASS 6.5% 01/MAR/2030 CLPN# 533373

       MORTGAGE BACKED SECURITIES    78,428    82

FNMA MORTPASS 6.5% 01/MAY/2031 CLPN# 535933

       MORTGAGE BACKED SECURITIES    93,808    98

FNMA MORTPASS 7% 01/AUG/2025 CLPN# 318107

       MORTGAGE BACKED SECURITIES    1,716    2

FNMA MORTPASS 7% 01/FEB/2028 CLPN# 414547

       MORTGAGE BACKED SECURITIES    31,717    34

FNMA MORTPASS 7% 01/SEP/2028 CLPN# 323347

       MORTGAGE BACKED SECURITIES    212,551    225

FNMA MORTPASS 7.5% 01/JUN/2025 CLPN# 306974

       MORTGAGE BACKED SECURITIES    3,910    4

FNMA PASS THRU CTF POOL NO: 634512

       MORTGAGE BACKED SECURITIES    292,336    302

FORD MOTOR CREDIT 6.5% BDS 25/JAN/2007 USD1000

       CORPORATE BONDS    180,000    192

FORD MOTOR CREDIT 7.25% NTS 25/OCT/2011 USD1000

       CORPORATE BONDS    45,000    49

FREEPORT TERMINAL (MALTA) P.L.C. 7.25000%

       CORPORATE BONDS    205,000    226

GEN MOTORS ACC CP 6.875% BDS 15/SEP/2011 USD1000

       CORPORATE BONDS    130,000    140

GEN MOTORS ACC CP 7% BDS 01/FEB/2012 USD1000 ‘A’

       CORPORATE BONDS    105,000    113

GEN MOTORS CORP 7.1% NTS 15/MAR/2006 USD1000

       CORPORATE BONDS    173,000    187

GNMA I MORTPASS 10% 15/DEC/2020 SF PN# 296513

       MORTGAGE BACKED SECURITIES    61,731    69

GNMA I MORTPASS 10% 15/MAR/2020 SF PN# 288117

       MORTGAGE BACKED SECURITIES    19,124    21

GNMA I MORTPASS 10% 15/SEP/2020 SF PN# 294918

       MORTGAGE BACKED SECURITIES    101,177    114

GNMA I MORTPASS 6% 15/DEC/2028 SF PN# 457932

       MORTGAGE BACKED SECURITIES    117,099    122

GNMA I MORTPASS 6% 15/FEB/2029 SP PN# 780975

       MORTGAGE BACKED SECURITIES    11,219    12

GNMA I MORTPASS 6.5% 15/APR/2026 SF PN# 373712

       MORTGAGE BACKED SECURITIES    5,945    6

GNMA I MORTPASS 6.5% 15/APR/2026 SF PN# 412583

       MORTGAGE BACKED SECURITIES    34,577    37

GNMA I MORTPASS 6.5% 15/APR/2026 SF PN# 413641

       MORTGAGE BACKED SECURITIES    244,102    258

GNMA I MORTPASS 6.5% 15/APR/2026 SF PN# 421856

       MORTGAGE BACKED SECURITIES    5,194    5

GNMA I MORTPASS 6.5% 15/APR/2026 SF PN# 422131

       MORTGAGE BACKED SECURITIES    39,858    42

GNMA I MORTPASS 6.5% 15/FEB/2026 SF PN# 419569

       MORTGAGE BACKED SECURITIES    15,378    16

GNMA I MORTPASS 6.5% 15/FEB/2026 SF PN# 421692

       MORTGAGE BACKED SECURITIES    8,170    9

GNMA I MORTPASS 6.5% 15/MAR/2026 SF PN# 373607

       MORTGAGE BACKED SECURITIES    8,332    9

GNMA I MORTPASS 6.5% 15/MAR/2026 SF PN# 424276

       MORTGAGE BACKED SECURITIES    99,556    105

GNMA I MORTPASS 6.5% 15/MAR/2026 SF PN# 427108

       MORTGAGE BACKED SECURITIES    43,698    46

GNMA I MORTPASS 6.5% 15/MAY/2026 SF PN# 412234

       MORTGAGE BACKED SECURITIES    32,720    35

GNMA I MORTPASS 6.5% 15/SEP/2026 SF PN# 431373

       MORTGAGE BACKED SECURITIES    31,378    33

GNMA I MORTPASS 8% 15/AUG/2025 SF PN# 377590

       MORTGAGE BACKED SECURITIES    212,297    232

GNMA I MORTPASS 8% 15/JUN/2026 SF PN# 426119

       MORTGAGE BACKED SECURITIES    61,101    67

GNMA II MORTPASS 6% 20/NOV/2011 SF PN# 002348

       MORTGAGE BACKED SECURITIES    163,419    172

GOLDMAN SACHS GP 7.35% NTS 01/OCT/2009 USD ‘B’

       CORPORATE BONDS    120,000    140

GOLDMAN SACHS GROUP INC 6.1250% DUE 15/FEB/2033

       CORPORATE BONDS    66,000    66

GOVERNMENT BACKED TRUSTS ZERO CPN T-1 08

       GOVERNMENT BONDS    1,040,000    891

GOVERNMENT TR CTFS ZERO CPN CTFS CLID FR

       GOVERNMENT BONDS    2,380,000    1,707

GTE CORP 6.46% DEB 15/APR/2008 USD1000

       CORPORATE BONDS    366,000    402

HALLIBURTON COMPANY

       CORPORATE BONDS    170,000    184

HANSON AUSTRALIA FUNDING 5.25% 15MAR15/MAR/2013

       CORPORATE BONDS    58,000    58

HELLER FINANCIAL I 7.125% NT 28/SEP/2004 USD1000 1

       CORPORATE BONDS    120,000    125

 

26


CONSOL Energy Inc.

Investment Plan for Salaried Employees

EIN: 51-0337383, Plan 002

Schedule H, line 4(i) – Schedule of Assets (Held at End of Year) **

December 31, 2003

 

(in thousands of dollars)

 

(a)


 

(b) Identity of Issue, borrower
lessor or similar party


  

(c) Description of investment
including maturity date, rate of interest,
collateral, par or maturity value


   (d) Number of
shares/units


    (e) Current
value (in 000s)


 

HILTON HOTELS CORP 7.625% BD 15/MAY/2008 USD1000

       CORPORATE BONDS    40,000     45  

HONEYWELL INTL INC 6.875% NTS 03/OCT/2005 USD1000

       CORPORATE BONDS    137,000     149  

HOUSEHOLD FIN CORP 5.75% NT 30/JAN/2007 USD1000

       CORPORATE BONDS    160,000     173  

HYDRO-QUEBEC 8.4% GTD DEB 15/JAN/2022 USD

       CORPORATE BONDS    120,000     157  

INTER-AMER DEV BK6.125% BDS 08/MAR/2006

       GOVERNMENT BONDS    —       —    

INTL BANK RECON&DV 0% BDS 15/FEB/2016 USD1000

       GOVERNMENT BONDS    63,000     32  

INTL BANK RECON&DV 3.01% BDS 29/JUL/2005 USD1000

       GOVERNMENT BONDS    210,000     214  

INTL BANK RECON&DV0% BDS 15/FEB/2015 USD1000

       DISCOUNTED NOTES    21,000     11  

INTL BANK RECON&DV5.5% BDS 25/NOV/2013 USD

       GOVERNMENT BONDS    181,000     196  

INTL BANK RECON&DV7.625% NTS 19/JAN/2023 USD1000

       GOVERNMENT BONDS    290,000     373  

ISRAEL(STATE OF) 6.375% BDS 15/DEC/2005 USD1000

       GOVERNMENT BONDS    86,000     88  

JACKSON NATL LIFE GLOBAL PRIV PLCMNT 144A

       CORPORATE BONDS    26,000     28  

JAPAN BK INTL COOP 7.125% GTD BDS 20/JUN/2005 USD

       CORPORATE BONDS    200,000     215  

JP MORGAN CHASE & CO 5.25% 30/MAY/2007

       CORPORATE BONDS    26,000     28  

JUN 04 EURODOLLAR-CME FUTURE LG

       FUTURES    4     986  

JUN 05 EURODOLLAR-CME FUTURE SH

       FUTURES    (3 )   (728 )

KFW INTL FINANCE 3% SNR NTS 15/SEP/2005 USD

       CORPORATE BONDS    380,000     384  

KOMMUNINVEST IS VERIGE AB ZCP 05/JUN/2006

       CORPORATE BONDS    180,000     168  

KRAFT FOODS INC 6.25% 01/JUN/2012

       CORPORATE BONDS    15,000     16  

LBK BADEN-WURT 7.625% BDS 01/FEB/2023 USD1000

       CORPORATE BONDS    106,000     130  

LBK HESS-THUR GIRO 5.75% MTN 10/MAY/2006 USD(VAR)

       CORPORATE BONDS    150,000     161  

LEHMAN BROTHERS HOLDINGS 4.00% DUE 22/JAN/2008

       CORPORATE BONDS    84,000     86  

LIBERTY MEDIA CORP 3.5% 25/SEP/2006

       CORPORATE BONDS    60,000     60  

LIBERTY MEDIA CORP 5.7% 15/MAY/2013

       CORPORATE BONDS    70,000     71  

MAR 04 10 YEAR T NOTES-CBT FUTURE LG

       FUTURES    37     4,154  

MAR 04 2 YEAR T NOTES-CBT FUTURE LG

       FUTURES    80     17,124  

MAR 04 5 YEAR T NOTES-CBT FUTURE SH

       FUTURES    (105 )   (11,721 )

MAR 04 EURODOLLAR-CME FUTURE LG

       FUTURES    3     741  

MAR 04 TREASURY BONDS-CBT FUTURE SH

       FUTURES    (10 )   (1,093 )

MAR 05 EURODOLLAR-CME FUTURE LG

       FUTURES    3     731  

MARSH & MCLENNAN 6.625% BDS 15/JUN/2004 USD1000

       CORPORATE BONDS    120,000     123  

MASS MUTUAL LIFE 5.625% 15MAY15/MAY/2033

       CORPORATE BONDS    70,000     68  

MERRILL LYNCH & CO 3.7% DUE 21APR21/APR/2008

       CORPORATE BONDS    68,000     68  

MOTOROLA INC 7.6% NTS 01/JAN/2007 USD1000

       CORPORATE BONDS    180,000     200  

MURPHY OIL CORP 7.05% NTS 01/MAY/2029 USD1000

       CORPORATE BONDS    320,000     355  

NEW VALLEY GENERATION 100-1 CERT 7.299%

       CMO/REMIC    90,846     105  

NISOURCE FINANCE C 7.875% GTD NT 15/NOV/2010 USD

       CORPORATE BONDS    100,000     119  

NORFOLK STHN CORP 6.2% SR NTS 15/APR/2009 USD1000

       CORPORATE BONDS    44,000     48  

NORSK HYDRO ASA 7.15% DEB 15/NOV/2025 USD1000

       CORPORATE BONDS    125,000     144  

NORTEL NETWORKS LT 6.125% NTS 15/FEB/2006 USD1000

       CORPORATE BONDS    110,000     111  

NSTAR COM 8% BDS 15/FEB/2010 USD1000

       CORPORATE BONDS    120,000     144  

ONTARIO(PROV OF) 5.5% BDS 01/OCT/2008 USD1000

       GOVERNMENT BONDS    84,000     91  

ORIGINAL EXPOSURE ON OPEN CONTRACTS

       FUTURES    —       (10,169 )

PACIFICORP 6.71% NTS 15/JAN/2026 USD1000

       CORPORATE BONDS    400,000     439  

PDVSA FINANCE 6.8% BDS 15/NOV/2008 USD1000

       CORPORATE BONDS    350,000     335  

PEARSON INC GTD NT 144A

       CORPORATE BONDS    95,000     106  

PEMEX FIN LTD NT

       CORPORATE BONDS    120,000     130  

PROCTER & GAMBLE 8% DEB 26/OCT/2029 USD1000

       CORPORATE BONDS    69,000     89  

PUT FEB 04 T-BOND OPTION SP 106.00

       OPTIONS    (1 )   0  

PUT FEB 04 T-BOND OPTION SP 107.00

       OPTIONS    (2 )   (1 )

PUT FEB 04 T-BOND OPTION SP 108.00

       OPTIONS    (1 )   (1 )

PUT FEB 04 T-BOND OPTION SP 110.00

       OPTIONS    1     2  

QWEST CAP FUNDING 7% BDS 03/AUG/2009 USD1000(EXCH)

       CORPORATE BONDS    100,000     99  

RESIDENTIAL FUNDING MORTGAGE SECURITIES __, INC.

       CMO/REMIC    158,067     158  

ROYAL BANK OF SCOT GRP PLC 4.70% DUE 03/JUL/2018

       CORPORATE BONDS    61,000     56  

SEP 04 EURODOLLAR-CME FUTURE LG

       FUTURES    1     246  

SEP 05 EURODOLLAR-CME FUTURE SH

       FUTURES    (2 )   (483 )

SOUTHWEST GAS CORP 8.375% BDS 15/FEB/2011 USD100

       CORPORATE BONDS    110,000     127  

SPRINT CAPITALCP 6.875% NTS 15/NOV/2028 USD1000

       CORPORATE BONDS    107,000     104  

SUMITOMO MITSUI BANKING CORP NY SUB NT 8% DUE

       CORPORATE BONDS    58,000     69  

SUN MICROSYSTEMS 7.65% BDS 15/AUG/2009 USD1000

       CORPORATE BONDS    100,000     114  

TBA FHLMC GLD SF306% DUE 15/JAN/2033

       MORTGAGE BACKED SECURITIES    1,000,000     1,033  

TBA FHLMC GOLD SF 5.00 30 YRS JAN

       MORTGAGE BACKED SECURITIES    500,000     493  

TBA FHLMC GOLD SF 5.50 30 YRS JAN

       MORTGAGE BACKED SECURITIES    500,000     506  

TENNESSEE VALLEY 6.25% BDS 15/DEC/2017 USD1000

       GOVERNMENT BONDS    55,000     61  

TIME WARNER COMPANIES INC 9.125% DUE 15/JAN/2013

       CORPORATE BONDS    90,000     114  

TIME WARNER ENT 8.875% BDS 01/OCT/2012 USD

       CORPORATE BONDS    100,000     127  

TRANSOCEAN SEDCO F 6.625% NTS 15/APR/2011 USD1000

       CORPORATE BONDS    120,000     134  

TRW INC 7.125% NTS 01/JUN/2009 USD1000

       CORPORATE BONDS    73,000     83  

TYSON FOODS INC NT 7% 01/MAY/2018

       CORPORATE BONDS    86,000     89  

 

27


CONSOL Energy Inc.

Investment Plan for Salaried Employees

EIN: 51-0337383, Plan 002

Schedule H, line 4(i) – Schedule of Assets (Held at End of Year) **

December 31, 2003

 

(in thousands of dollars)

 

(a)


  

(b) Identity of Issue, borrower
lessor or similar party


  

(c) Description of investment including
maturity date, rate of interest,

collateral, par or maturity value


   (d) Number
of shares/
units


   (e) Current
value (in
000s)


 

UNITED STATES TREAS BILLS DT

        TREASURY BILLS    120,000      120  

UNIVISION COMMUNIC 7.85% SR NT 15/JUL/2011 US D 1000

        CORPORATE BONDS    60,000      71  

US WEST CAPITAL FU 6.875% DEB 15/7/28 US D 1000

        CORPORATE BONDS    236,000      205  

US WEST COMMS GRP 6.625% NTS 15/SEP/2005 US D 1000

        CORPORATE BONDS    86,000      89  

USA TREASURY STRIP 0% STRIP 15/AUG/2017 US D 1000

        GOVERNMENT BONDS    1,215,000      606  

USA TREASURY STRIP 0% STRIP 15/MAY/2018 US D 1000

        GOVERNMENT BONDS    2,770,000      1,315  

USA TREASURY STRIP 0% STRIP 15/MAY/2019 US D 1000

        GOVERNMENT BONDS    975,000      434  

USA TREASURY STRIP STRIP INT PMT 15/FEB/2019 US D

        GOVERNMENT BONDS    1,704,000      769  

USA TREASURY STRIP STRIP INT PMT 15/MAY/2021 US D

        GOVERNMENT BONDS    450,000      176  

VARIATION MARGIN ON OPEN CONTRACTS TO DATE - G/L

        FUTURES    —        (32 )

VODAFONE AIR TOUCH PLC NT 7.75% 15/FEB/2010 144A

        CORPORATE BONDS    42,000      45  

WILLIAMS COS INC 7.875% NT 01/SEP/2021 US D 1000

        CORPORATE BONDS    170,000      179  

VARIOUS PAYABLES

             0      (1,549 )

Various Insurance Companies

        Synthetic Wrapper Agreements    —        (21,684 )
                   


     Total Stable Value Fund                558,250  

Common/collective trusts

                       

*  Merrill Lynch

        Aggressive Asset Allocation Portfolio    89,302      1,257  
          Conservative Asset Allocation              
          Portfolio    30,212      458  
          Moderate Asset Allocation Portfolio    177,862      2,659  
          Small Cap Index Trust    202,894      3,110  
          International Index Trust    80,107      937  
          Equity Index Trust    172,138      14,019  

BZW Global Investors

        Barclays 3-Way Fund    550,432      15,120  
                   


     Total common/collective trusts                37,560  

*  Participant loans

        4.00% to 9.50%           14,115  
                   


                    $ 965,778  
                   


 

* Indicates parties-in-interest.

 

** Under ERISA, an asset held for investment purposes is any asset held by the Plan on the last day of the Plan’s fiscal year or acquired at any time during the Plan’s fiscal year, with certain exceptions.

 

28


Signatures

 

Pursuant to the requirements of the Securities and Exchange Act of 1934, the plan administrator of the CONSOL Energy Inc. Investment Plan for Salaried Employees has duly caused this annual report to be signed on its behalf by the undersigned, hereunto duly authorized, in Pittsburgh, Allegheny County, Commonwealth of Pennsylvania.

 

THE CONSOL ENERGY INC. INVESTMENT PLAN FOR SALARIED EMPLOYEES

 

         
Date: June 29, 2004       By:  

/s/ Jack A. Holt


           

Jack A. Holt

Plan Administrator

 

29