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Proc-Type: 2001,MIC-CLEAR
Originator-Name: webmaster@www.sec.gov
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<SEC-DOCUMENT>0001308179-05-000057.txt : 20050727
<SEC-HEADER>0001308179-05-000057.hdr.sgml : 20050727
<ACCEPTANCE-DATETIME>20050727141012
ACCESSION NUMBER:		0001308179-05-000057
CONFORMED SUBMISSION TYPE:	6-K
PUBLIC DOCUMENT COUNT:		4
CONFORMED PERIOD OF REPORT:	20050630
FILED AS OF DATE:		20050727
DATE AS OF CHANGE:		20050727

FILER:

	COMPANY DATA:	
		COMPANY CONFORMED NAME:			STMICROELECTRONICS NV
		CENTRAL INDEX KEY:			0000932787
		STANDARD INDUSTRIAL CLASSIFICATION:	SEMICONDUCTORS & RELATED DEVICES [3674]
		IRS NUMBER:				000000000
		STATE OF INCORPORATION:			P7
		FISCAL YEAR END:			1231

	FILING VALUES:
		FORM TYPE:		6-K
		SEC ACT:		1934 Act
		SEC FILE NUMBER:	001-13546
		FILM NUMBER:		05976637

	BUSINESS ADDRESS:	
		STREET 1:		39 CHEMIN DU CHAMP DES FILLES
		STREET 2:		1228 PLAN-LES-OUATES
		CITY:			GENEVA
		STATE:			V8
		ZIP:			00000
		BUSINESS PHONE:		011 41 22 929 2929

	MAIL ADDRESS:	
		STREET 1:		39 CHEMIN DU CHAMP DES FILLES
		STREET 2:		1228 PLAN-LES-OUATES
		CITY:			GENEVA
		STATE:			V8
		ZIP:			00000

	FORMER COMPANY:	
		FORMER CONFORMED NAME:	SGS THOMSON MICROELECTRONICS NV
		DATE OF NAME CHANGE:	19950310
</SEC-HEADER>
<DOCUMENT>
<TYPE>6-K
<SEQUENCE>1
<FILENAME>stmicroelectronics.htm
<DESCRIPTION>FORM 6-K STMICROELECTRONICS
<TEXT>
<HTML>
<HEAD>
<TITLE>STMICROELECTRONICS</TITLE>
</HEAD>
<BODY leftmargin="30" style="line-height:12pt; font-size:10pt; color:#000000">
<P style="margin-top:4.6pt; margin-bottom:4.6pt; padding-top:3pt; line-height:13pt; font-family:Arial; font-size:11pt; border-top:8pt double #000000" align=center><B>UNITED STATES</B></P>
<P style="margin-top:4.6pt; margin-bottom:4.6pt; line-height:13pt; font-family:Arial; font-size:11pt" align=center><B>SECURITIES AND EXCHANGE COMMISSION</B></P>
<P style="margin-top:4.6pt; margin-bottom:11pt; line-height:13pt; font-family:Arial; font-size:11pt" align=center><B>Washington, D.C. 20549</B></P>
<TABLE style="font-size:10pt" cellspacing=0 align=center><TR><TD valign=top width=141><P style="margin-top:7.5pt; margin-bottom:7.5pt; line-height:20pt; font-family:Arial; font-size:18pt" align=center><B>FORM 6-K</B></P>
</TD></TR>
</TABLE>
<P style="margin-top:11pt; margin-bottom:4.6pt; line-height:13pt; font-family:Arial; font-size:11pt" align=center><B>REPORT OF FOREIGN PRIVATE ISSUER</B></P>
<P style="margin-top:4.6pt; margin-bottom:4.6pt; line-height:13pt; font-family:Arial; font-size:11pt" align=center><B>PURSUANT TO RULE 13A-16 OR 15D-16</B></P>
<P style="margin-top:4.6pt; margin-bottom:11pt; line-height:13pt; font-family:Arial; font-size:11pt" align=center><B>OF THE SECURITIES EXCHANGE ACT OF 1934</B></P>
<P style="margin-top:4.6pt; margin-bottom:4.6pt; line-height:13pt; font-family:Arial; font-size:11pt" align=center>Report on Form 6-K dated July 27, 2005</P>
<TABLE align="center" cellspacing=0 style="font-size:10pt">
  <TR><TD valign=top width=191.8>&nbsp;</TD><TD style="border-bottom:2.25pt solid #000000" valign=top width=258.067>&nbsp;</TD><TD valign=top width=191.933>&nbsp;</TD></TR>
<TR><TD valign=top width=641.8 colspan=3><P style="margin-top:8.35pt; margin-bottom:8.35pt; line-height:22pt; font-family:Arial; font-size:20pt" align=center><B>STMICROELECTRONICS N.V.</B></P>
</TD></TR>
<TR><TD valign=top width=191.8>&nbsp;</TD><TD style="border-top:2.25pt solid #000000" valign=top width=258.067><P style="margin-top:4.6pt; margin-bottom:4.6pt; font-family:Arial" align=center>(Name of Registrant)</P>
</TD><TD valign=top width=191.933>&nbsp;</TD></TR>
</TABLE>
<P style="margin-top:4.15pt; margin-bottom:10pt; font-family:Arial" align=center><BR></P>
<P style="margin-top:4.6pt; margin-bottom:4.6pt; line-height:13pt; font-family:Arial; font-size:11pt" align=center><B>39, Chemin du Champ-des-Filles</B></P>
<P style="margin-top:4.6pt; margin-bottom:4.6pt; line-height:13pt; font-family:Arial; font-size:11pt" align=center><B>1228 Plan-les-Ouates, Geneva, Switzerland</B></P>
<P style="margin-top:4.15pt; margin-bottom:10pt; font-family:Arial" align=center>(Address of Principal Executive Offices)</P>
<P style="margin-top:4.6pt; margin-bottom:11pt; text-indent:29.4pt; line-height:13pt; font-family:Arial; font-size:11pt">Indicate by check mark whether the registrant files or will file annual reports under cover Form 20-F or Form 40-F:</P>
<P style="margin-top:4.6pt; margin-bottom:11pt; text-indent:29.4pt; line-height:13pt; font-family:Arial; font-size:11pt" align=center>Form
  20-F <img src="stcouv6k002.gif" alt="[stcouv6k002.gif]" align=absmiddle height=14 width=14>&nbsp;Form
  40-F <img src="stcouv6k004.gif" alt="[stcouv6k004.gif]" align=absmiddle height=14 width=14></P>
<P style="margin-top:4.6pt; margin-bottom:11pt; text-indent:29.4pt; line-height:13pt; font-family:Arial; font-size:11pt" align=justify>Indicate by check mark whether the registrant is submitting the Form 6-K in paper as permitted by Regulation S-T Rule 101(b)(7):</P>
<P style="margin-top:4.6pt; margin-bottom:11pt; text-indent:29.4pt; line-height:13pt; font-family:Arial; font-size:11pt" align=center>Yes
  <img src="stcouv6k004.gif" alt="[stcouv6k006.gif]" align=middle height=14 width=14>&nbsp;No
  <img src="stcouv6k002.gif" alt="[stcouv6k008.gif]" align=middle height=14 width=14></P>
<P style="margin-top:4.6pt; margin-bottom:11pt; text-indent:29.4pt; line-height:13pt; font-family:Arial; font-size:11pt" align=justify>Indicate by check mark whether the registrant by furnishing the information contained in this Form is also thereby furnishing the information to the Commission pursuant to Rule 12g3-2(b) under the Securities Exchange Act of 1934:</P>
<P style="margin-top:4.6pt; margin-bottom:11pt; text-indent:29.4pt; line-height:13pt; font-family:Arial; font-size:11pt" align=center>Yes
  <img src="stcouv6k004.gif" alt="[stcouv6k010.gif]" align=middle height=14 width=14>&nbsp;No
  <img src="stcouv6k002.gif" alt="[stcouv6k012.gif]" align=middle height=14 width=14></P>
<P style="margin-top:4.6pt; margin-bottom:11pt; text-indent:29.4pt; line-height:13pt; font-family:Arial; font-size:11pt">If &quot;Yes&quot; is marked, indicate below the file number assigned to the registrant in connection with Rule 12g3-2(b): 82-________</P>
<P style="margin-top:2.1pt; margin-bottom:2.1pt; padding-bottom:3pt; font-family:Arial; font-size:5pt; border-bottom:8pt double #000000" align=justify><BR></P>
<P style="margin-top:4.6pt; margin-bottom:-13pt; padding-left:70.9pt; text-indent:-70.9pt; line-height:13pt; font-family:Arial; font-size:11pt" align=justify>Enclosure: </P>
<P style="margin-top:0pt; margin-bottom:4.6pt; padding-left:70.9pt; line-height:13pt; font-family:Arial; font-size:11pt" align=justify>A press release dated July 26, 2005, announcing 2005 second quarter results / first half revenues and earnings.</P>
<P style="margin-top:4.6pt; margin-bottom:4.6pt; padding-left:70.9pt; text-indent:-70.9pt; font-family:Arial; font-size:11pt" align=justify><BR>
<BR></P>


<HR style="padding-top:7.2pt; padding-bottom:7.2pt" noshade size=1.333>
<P style="page-break-before:always; margin:0pt; font-family:Arial; font-size:12pt"><BR></P>
<P style="margin-top:0pt; margin-bottom:34pt; font-family:Arial; font-size:12pt" align=center><img src="stmicrologo.jpg" align=middle height=210.333 width=557.667></P>
<P style="margin-top:87.5pt; margin-bottom:15pt; line-height:17pt; font-family:Arial; font-size:15pt" align=center><B>STMicroelectronics Reports 2005 Second Quarter/First Half </B></P>
<P style="margin-top:0pt; margin-bottom:52.5pt; line-height:17pt; font-family:Arial; font-size:15pt" align=center><B>Revenues and Earnings </B></P>
<P style="margin-top:0pt; margin-bottom:40.25pt; line-height:13.55pt; font-family:Arial; font-size:11.5pt"><B>Geneva, July 26, 2005 -</B>STMicroelectronics (NYSE: STM) reported financial results for the second quarter and six months ended July 2, 2005. </P>
<P style="margin-top:0pt; margin-bottom:12.15pt; line-height:13.55pt; font-family:Arial; font-size:11.5pt"><B><U>Revenue, Gross Profit and Margin Review </U></B></P>
<P style="margin-top:0pt; margin-bottom:12.15pt; line-height:13.55pt; font-family:Arial; font-size:11.5pt">Net revenues for the second quarter were $2,162 million, up 3.8% sequentially from the $2,083 million reported in the prior quarter, and 0.4% below the $2,172 million reported in last year&#146;s second quarter. Sequential sales growth was primarily driven by wireless and automotive applications. Several applications experienced double digit year-over-year sales growth, including wireless and automotive, with data storage experiencing strong double-digit growth compared to the second quarter of 2004. These year-over-year increases were offset by sales declines in consumer applications and the distribution market. </P>
<P style="margin-top:0pt; margin-bottom:40.25pt; line-height:13.55pt; font-family:Arial; font-size:11.5pt">Gross profit increased 4.4% to $714 million from $685 million in the first quarter of 2005 despite continuing price pressure in memory and standard products. Volume and manufacturing performance drove the improvement in gross profit. Gross margin was 33.0% in the second quarter compared to 32.9% in the prior quarter. </P>
<P style="margin-top:0pt; margin-bottom:40.25pt; line-height:13.55pt; font-family:Arial; font-size:11.5pt"><BR></P>
<P style="margin:0pt; font-family:Arial" align=center>1</P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt"><BR></P>
<HR style="padding-top:7.2pt; padding-bottom:7.2pt" noshade size=1.333>
<P style="page-break-before:always; margin-top:0pt; margin-bottom:12.15pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify><B><U>Operating Expenses </U></B></P>
<P style="margin-top:0pt; margin-bottom:12.15pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify>Research and development expenses in the second quarter were $423 million compared to $404 million in the prior quarter, with the sequential increase reflecting accelerated technology and product development activity. Selling, general, and administrative expenses were $255 million for the 2005 second quarter, down from $265 million in the prior quarter. Combined SG&amp;A and R&amp;D expenses in the second quarter were 31.4% of sales and 32.1% in the 2005 first quarter. </P>
<P style="margin-top:0pt; margin-bottom:12.15pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify><B><U>Operating Income, Net Income, and Earnings per Share </U></B></P>
<P style="margin-top:0pt; margin-bottom:12.15pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify>For the 2005 second quarter the Company reported operating income of $12 million, and net income of $26 million, or $0.03 per share. In the prior quarter the Company reported an operating loss of $68 million, and a net loss of $31 million or $0.03 per share. </P>
<P style="margin-top:0pt; margin-bottom:12.15pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify>As a result of the restructuring initiatives underway, the Company incurred $22 million of impairment, restructuring charges, and other related closure costs during the 2005 second quarter. This figure included $16 million from the most recent initiative announced in May. In the prior quarter the Company recorded restructuring related expenses of $78 million. </P>
<P style="margin-top:0pt; margin-bottom:14.75pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify>During the second quarter, income tax expenses included a net $8 million tax benefit. </P>
<P style="margin-top:0pt; margin-bottom:12.15pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify><B><U>Cash Flow and Balance Sheet Highlights </U></B></P>
<P style="margin-top:0pt; margin-bottom:14.4pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify>Net cash from operating activities in the second quarter was $409 million compared to $359 million in the prior quarter. Capital expenditures were $363 million in the 2005 second quarter, a reduction of approximately $200 million from $564 million in the prior quarter. Net operating cash flow* for the second quarter was positive by $23 million, compared to a negative $216 million in the first quarter. </P>
<P style="margin-top:0pt; margin-bottom:12.15pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify>At July 2, 2005, ST had cash, cash equivalents, and marketable securities of $1.6 billion. Total debt was $1.88 billion; net financial debt was $276 million and shareholders&#8217; equity was $8.2 billion. In the second quarter the Company paid a cash dividend of $0.12 per share for a total of $107 million. </P>
<P style="margin-top:0pt; margin-bottom:12.15pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify>In the second quarter, the effective average exchange rate for the Company was approximately $1.30 to &#8364;1, similar to first quarter levels. </P>
<P style="margin-top:0pt; margin-bottom:4.4pt; line-height:8.5pt; font-family:Arial; font-size:6.5pt">(*) Net operating cash flow is defined as net cash from operating activities ($409 million in the second quarter of 2005) minus net cash used in investing activities ($386 million in the second quarter of 2005) excluding payments for purchase of and proceeds from the sale of marketable securities ($0 in the second quarter of 2005). </P>
<P style="margin-top:0pt; margin-bottom:12.15pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify><B><U>President and CEO Remarks </U></B></P>
<P style="margin:0pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify><B>Carlo Bozotti, President and Chief Executive Officer commented, &#147;ST&#146;s second quarter sales growth confirmed improvement in certain key markets led by wireless which increased 12% sequentially. Additionally, we saw increased design wins across several markets including automotive and computer peripherals, as well as digital consumer, where we are targeting to increase our product penetration.&#148;</B></P>
<P style="margin:0pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify><BR></P>
<P style="margin:0pt; font-family:Arial" align=center>2</P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt"><BR></P>
<HR style="padding-top:7.2pt; padding-bottom:7.2pt" noshade size=1.333>
<P style="page-break-before:always; margin-top:38.35pt; margin-bottom:12.15pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify><B>&#147;Gross margin progression was limited by pricing pressure. Nonetheless, we are encouraged by the underlying improvement during the second quarter. With our initiatives currently well underway, we expect to see sequential improvement in the gross margin continuing and accelerating through the second half of 2005.&#148;</B></P>
<P style="margin-top:0pt; margin-bottom:12.15pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify><B>&#147;In summary, we made good progress in executing on our strategic initiatives during the second quarter. On the product front we completed the redeployment of approximately 1,000 R&amp;D engineers to higher priority product programs. Additionally, we are on track to realize the significant expected benefits from all of our cost reduction plans, including our most recently announced initiative. Moreover, we have concrete signs of the expansion of our key customer base, thanks to new design wins at several accounts.&#148; </B></P>
<P style="margin-top:0pt; margin-bottom:12.15pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify><B><U>Additional Second Quarter 2005 Financial and Operating Data </U></B></P>
<P style="margin-top:0pt; margin-bottom:12.15pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify>The following tables and commentary provide a breakdown of revenues and operating income (loss) by product group and segment revenues by targeted market. </P>
<P style="margin-top:0pt; margin-bottom:15.7pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify><B>Net Revenues and Operating Income (Loss) by Group: </B></P>
<TABLE style="font-size:10pt" cellspacing=0 align=center><TR><TD valign=bottom width=356.2><P style="margin:0pt; line-height:10pt; font-family:Arial; font-size:8pt"><B>In Million US$ </B></P>
</TD><TD valign=top width=80.8>&nbsp;</TD><TD valign=top width=74.267><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt" align=center><B>Q2 2005 </B></P>
</TD><TD valign=top width=74.267>&nbsp;</TD></TR>
<TR><TD valign=top width=356.2>&nbsp;</TD><TD valign=top width=80.8>&nbsp;</TD><TD valign=top width=74.267>&nbsp;</TD><TD width=74.267><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt"><B>Operating </B></P>
</TD></TR>
<TR><TD valign=top width=356.2>&nbsp;</TD><TD valign=top width=80.8><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt" align=center><B>Net </B></P>
</TD><TD valign=top width=74.267><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt" align=center><B>% of Net </B></P>
</TD><TD width=74.267><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt" align=center><B>income </B></P>
</TD></TR>
<TR><TD valign=top width=356.2><P style="margin:0pt; line-height:12.5pt; font-family:Arial; font-size:10.5pt"><B>Group </B></P>
</TD><TD valign=bottom width=80.8><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt" align=center><B>Revenues </B></P>
</TD><TD valign=bottom width=74.267><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt" align=center><B>Revenues </B></P>
</TD><TD valign=bottom width=74.267><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt" align=center><B>(loss) </B></P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" width=356.2><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt"><B>Application Specific Product Groups* </B></P>
</TD><TD style="background-color:#99CCFF" width=80.8><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt">1,235 </P>
</TD><TD style="background-color:#99CCFF" width=74.267><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt">57.1% </P>
</TD><TD style="background-color:#99CCFF" width=74.267><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt">72 </P>
</TD></TR>
<TR><TD width=356.2><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt"><B>MLD (Microcontroller, Linear &amp; Discrete Group) </B></P>
</TD><TD width=80.8><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt">459 </P>
</TD><TD width=74.267><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt">21.2% </P>
</TD><TD width=74.267><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt">65 </P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" width=356.2><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt"><B>MPG (Memory Products Group) </B></P>
</TD><TD style="background-color:#99CCFF" width=80.8><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt">453 </P>
</TD><TD style="background-color:#99CCFF" width=74.267><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt">21.0% </P>
</TD><TD style="background-color:#99CCFF" width=74.267><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt">(66) </P>
</TD></TR>
<TR><TD width=356.2><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt"><B>Others (1)(2) </B></P>
</TD><TD width=80.8><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt">15 </P>
</TD><TD width=74.267><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt">0.7% </P>
</TD><TD width=74.267><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt">(59) </P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" width=356.2><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt"><B>TOTAL </B></P>
</TD><TD style="background-color:#99CCFF" width=80.8><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt">2,162 </P>
</TD><TD style="background-color:#99CCFF" width=74.267><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt">100% </P>
</TD><TD style="background-color:#99CCFF" width=74.267><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt">12 </P>
</TD></TR>
</TABLE>
<P style="margin-top:0pt; margin-bottom:6.85pt; line-height:11.3pt; font-family:Arial; font-size:6.5pt" align=justify>* Automotive; Computer Peripheral; and Home, Personal, and Communication products</P>
<P style="margin-top:0pt; margin-bottom:6.85pt; line-height:8.5pt; font-family:Arial; font-size:6.5pt">(1) Net revenues of &#147;Others&#148; include revenues from sales of Subsystems and other products not allocated to product groups. </P>
<P style="margin:0pt; line-height:8.5pt; font-family:Arial; font-size:6.5pt">(2) Operating loss of &#147;Others&#148; includes items such as impairment, restructuring charges, and other related closure costs, start-up costs, and other unallocated expenses such as strategic or special research and development programs, certain corporate level operating expenses, certain patent claims and litigations, and other costs that are not allocated to the product groups, as well as operating earnings or losses of the Subsystems and Other Products Group. Certain costs, mainly R&amp;D, formerly in the &#147;Others&#148; category, have been allocated to the groups. </P>
<P style="margin-top:38.35pt; margin-bottom:0pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify>Application Specific Product Groups&#146; revenue increased 3.9% sequentially, and operating profit increased approximately 11% to $72 million<I>. </I>MLD sales were essentially flat with the prior quarter, and operating income declined to $65 million due to pricing<I>. </I>MPG sales grew 7.6% sequentially and had an operating loss of $66 million, as pricing pressure continued to affect flash products<I>. </I>Flash memory sales increased 16% sequentially to $295 million. </P>
<P style="margin-top:38.35pt; margin-bottom:0pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify><BR></P>
<P style="margin:0pt; font-family:Arial" align=center>3</P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt"><BR></P>
<HR style="padding-top:7.2pt; padding-bottom:7.2pt" noshade size=1.333>
<P style="page-break-before:always; margin-top:47.9pt; margin-bottom:12.15pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify><B>Q2 2005 Net Revenues Breakdown by Market Segment </B></P>
<P style="margin-top:0pt; margin-bottom:14.4pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify>The following table estimates, within a variance of 5% to 10% in the absolute dollar amount, the relative weighting of each of the Company&#146;s target market segments in the second quarter of 2005. </P>
<TABLE align="center" cellspacing=0 style="font-size:10pt">
  <TR><TD valign=top width=353 colspan=2><P style="margin:0pt; padding-right:58pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify><B>% of Net revenues</B></P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" width=219.933><P style="margin:0pt; line-height:14pt; font-family:Arial; font-size:12pt" align=center><B>Automotive</B></P>
</TD><TD style="background-color:#99CCFF" width=133.067><P style="margin:0pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=center>17%</P>
</TD></TR>
<TR><TD width=219.933><P style="margin:0pt; line-height:14pt; font-family:Arial; font-size:12pt" align=center><B>Consumer</B></P>
</TD><TD width=133.067><P style="margin:0pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=center>17%</P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" width=219.933><P style="margin:0pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=center><B>Computer</B></P>
</TD><TD style="background-color:#99CCFF" width=133.067><P style="margin:0pt; line-height:14pt; font-family:Arial; font-size:12pt" align=center>17%</P>
</TD></TR>
<TR><TD width=219.933><P style="margin:0pt; line-height:14pt; font-family:Arial; font-size:12pt" align=center><B>Telecom</B></P>
</TD><TD width=133.067><P style="margin:0pt; line-height:14pt; font-family:Arial; font-size:12pt" align=center>34%</P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" width=219.933><P style="margin:0pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=center><B>Industrial &amp; Other</B></P>
</TD><TD style="background-color:#99CCFF" width=133.067><P style="margin:0pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=center>15%</P>
</TD></TR>
</TABLE>
<P style="margin-top:38.35pt; margin-bottom:36.2pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify>Four of the five market segments experienced sequential sales increases, with both Telecom and Automotive growing faster than the company average of 3.8%. Specifically, Telecom, the Company&#146;s largest segment, grew 10%, followed by Automotive which grew 5%. Computer and Industrial &amp; Other segments experienced sales increases of approximately 3% and 1% respectively. Net revenues in the Consumer segment declined by approximately 4%. </P>
<P style="margin-top:0pt; margin-bottom:12.15pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify><B><U>First Half 2005 Results </U></B></P>
<P style="margin-top:0pt; margin-bottom:12.15pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify>Net revenues for the first half were $4,245 million, an increase of 1.0% over the 2004 first half revenues of $4,201 million. Gross profit was $1,399 million, or 32.9% of net revenues, compared to $1,530 million or 36.4% of net revenues for the 2004 first half. Operating income was a loss of $55 million, compared to income of $259 million in last year&#146;s first half. Net income was a loss of $5 million, or $0.01 per share, compared to net income of $225 million, or $0.24 per diluted share in last year&#146;s first half. Net income included pre-tax impairment, restructuring charges and other related closure costs of $100 million and $45 million for the 2005 and 2004 first half results, respectively. </P>
<P style="margin-top:0pt; margin-bottom:12.15pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify>Research and development expenses were $827 million, compared to $747 million in the 2004 first half. Selling, general, and administrative expenses were $519 million compared to $469 million in the 2004 first half. </P>
<P style="margin:0pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify>In the 2005 first half, the effective average exchange rate for the Company was approximately $1.30 to &#8364;1, compared to $1.23 to &#8364;1 in last year&#8217;s first half. </P>
<P style="margin:0pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify><BR></P>
<P style="margin:0pt; font-family:Arial" align=center>4</P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt"><BR></P>
<HR style="padding-top:7.2pt; padding-bottom:7.2pt" noshade size=1.333>
<P style="page-break-before:always; margin-top:0pt; margin-bottom:40.25pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt"><B>First Half 2005 Net Revenues and Operating Income (Loss) by Group: </B></P>
<TABLE style="font-size:10pt" cellspacing=0 align=center><TR><TD valign=bottom width=299.867><P style="margin:0pt; line-height:10pt; font-family:Arial; font-size:8pt"><B>In Million US$ </B></P>
</TD><TD valign=top width=248.067 colspan=3><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt" align=center><B>First Half 2005</B></P>
</TD></TR>
<TR><TD valign=bottom width=299.867><P style="margin:0pt; line-height:12.5pt; font-family:Arial; font-size:10.5pt"><B>Group </B></P>
</TD><TD width=99.533><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt" align=center><B>Net</B></P>
<P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt" align=center><B>Revenues</B></P>
</TD><TD width=74.267><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt" align=center><B>% of Net</B></P>
<P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt" align=center><B>Revenues</B></P>
</TD><TD width=74.267><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt" align=center><B>Operating</B></P>
<P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt" align=center><B>income</B></P>
<P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt" align=center><B>(loss)</B></P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=299.867><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt"><B>Application Specific Product Groups* </B></P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=99.533><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt" align=right>2,423</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=74.267><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt" align=right>57.1% </P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=74.267><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt" align=right>137 </P>
</TD></TR>
<TR><TD valign=top width=299.867><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt"><B>MLD (Microcontroller, Linear &amp; Discrete Group) </B></P>
</TD><TD valign=bottom width=99.533><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt" align=right>916</P>
</TD><TD valign=bottom width=74.267><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt" align=right>21.6% </P>
</TD><TD valign=bottom width=74.267><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt" align=right>136 </P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=top width=299.867><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt"><B>MPG (Memory Products Group) </B></P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=99.533><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt" align=right>874</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=74.267><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt" align=right>20.6% </P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=74.267><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt" align=right>(128) </P>
</TD></TR>
<TR><TD valign=top width=299.867><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt"><B>Others (1)(2) </B></P>
</TD><TD valign=bottom width=99.533><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt" align=right>32</P>
</TD><TD valign=bottom width=74.267><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt" align=right>0.7% </P>
</TD><TD valign=bottom width=74.267><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt" align=right>(200) </P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=299.867><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt"><B>TOTAL </B></P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=99.533><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt" align=right>4,245</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=74.267><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt" align=right>100% </P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=74.267><P style="margin:0pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt" align=right>(55) </P>
</TD></TR>
<TR><TD valign=bottom width=299.867><P style="margin:0pt; line-height:8.5pt; font-family:Arial; font-size:6.5pt" align=justify>*(1) and (2) defined in earlier table </P>
</TD><TD valign=bottom width=99.533>&nbsp;</TD><TD valign=bottom width=74.267>&nbsp;</TD><TD valign=bottom width=74.267>&nbsp;</TD></TR>
</TABLE>
<P style="margin-top:19.15pt; margin-bottom:12.15pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify><B><U>Outlook </U></B></P>
<P style="margin-top:0pt; margin-bottom:12.15pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify><B>Mr. Bozotti observed, &#147;Looking to the second half of the year, within an environment of moderate industry growth, we believe ST has the opportunity to expand sales in several key markets. This, coupled with our ongoing initiatives, will allow for improved financial performance for the remainder of 2005 and into 2006.&#148; </B></P>
<P style="margin-top:0pt; margin-bottom:12.15pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify><B>&#147;With respect to the third quarter, based upon our present order visibility, we expect sales to grow sequentially in the range between 0% and 6%. Gross margin for the third quarter is expected to be about 34%, plus or minus one percentage point.&#148; </B></P>
<P style="margin-top:0pt; margin-bottom:40.25pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify>This guidance is based on an effective currency exchange rate for the Company of approximately $1.28 = 1 Euro, which reflects current exchange rate levels combined with the impact of existing hedging contracts. </P>
<P style="margin-top:0pt; margin-bottom:12.15pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify><B><U>Recent Corporate Developments </U></B></P>
<P style="margin-top:0pt; margin-bottom:12.15pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify>The Company is transitioning its stock-based compensation plan from stock-option grants to unvested stock awards, which are contingent upon financial performance requirements. In this context, and pursuant to the approved resolution from the most recent Annual General Meeting of Shareholders, the Supervisory Board accelerated the vesting of all outstanding stock options within the Company in July. </P>
<P style="margin:0pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify>In April, expanding the two companies&#146; long-standing and successful relationship in NAND Flash memory, ST and Hynix laid the first stone in Wuxi City, China, at their new joint-venture front-end memory-manufacturing facility. This new fab will provide ST with a front-row seat in the booming Chinese market and will enable the Company to better serve its key customers, especially in the Telecom and Consumer markets. </P>
<P style="margin-top:0pt; margin-bottom:12.15pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify><B><U><BR></U></B></P>
<P style="margin:0pt; font-family:Arial" align=center>5</P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt"><BR></P>
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<P style="page-break-before:always; margin-top:0pt; margin-bottom:12.15pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify><B><U>Products, Technology and Design Wins </U></B></P>
<P style="margin-top:0pt; margin-bottom:-13.5pt; padding-left:42.55pt; text-indent:-22.4pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>&#149; </P>
<P style="margin-top:0pt; margin-bottom:10.55pt; padding-left:42.55pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>ST won an important design with a major North American telecoms operator for the rapidly growing IP (Internet Protocol) STB market with its STi71xx family of multi-standard high&shy;definition single-chip decoders. Production is planned for Q4 2005. The family was also selected by numerous European broadcasters for use in IP, satellite, and digital-terrestrial STB decoders. Production will start during the second half of 2005. ST also started production of its STi5100 single-chip decoder for one of Europe&#146;s largest cable operators for use in interactive cable STBs. </P>
<P style="margin-top:0pt; margin-bottom:-13.5pt; padding-left:42.55pt; text-indent:-22.4pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>&#149; </P>
<P style="margin-top:0pt; margin-bottom:10.55pt; padding-left:42.55pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>ST confirmed its position as the world&#146;s leading supplier of MPEG-2 decoder silicon chips by announcing that its 2004 worldwide shipments of these ICs to set-top box (STB) manufacturers reached 66 million units. These shipments represent the greatest number of units distributed in a calendar year by any manufacturer in this market. ST has supplied in excess of 200 million MPEG-2 decoders for use in STBs since 1995. </P>
<P style="margin-top:0pt; margin-bottom:-13.5pt; padding-left:42.55pt; text-indent:-22.4pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>&#149; </P>
<P style="margin-top:0pt; margin-bottom:10.55pt; padding-left:42.55pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>In mobile terminals, ST demonstrated H.264 decoding (a high-compression digital video codec standard) on its award-winning Nomadik&#174; application-processor platform, preparing the ground for the emerging mobile TV market employing standards such as DVB-H (Digital Video Broadcast -Handheld) and DMB (Digital Media Broadcast). ST also sampled its 1.3-and 2-mega-pixel SMIA-compliant (Standard Mobile Imaging Architecture) camera modules for mobile phones. Production is planned for the Q3 2005. </P>
<P style="margin-top:0pt; margin-bottom:-13.5pt; padding-left:42.55pt; text-indent:-22.4pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>&#149; </P>
<P style="margin-top:0pt; margin-bottom:10.55pt; padding-left:42.55pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>In connectivity, ST has started mass production of its single-chip Bluetooth offering, the STLC2500, for leading Japanese and European mobile-phone makers. Additionally, ST has started mass production of its single-chip FM radio, the TDA7701, for several makers of MP3 players. The IC offers best-in-class stereo quality, enhancing the experience for portable media-player users. </P>
<P style="margin-top:0pt; margin-bottom:-13.5pt; padding-left:42.55pt; text-indent:-22.4pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>&#149; </P><P style="margin-top:0pt; margin-bottom:10.55pt; padding-left:42.55pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>In computer peripherals, the first member of ST&#146;s SPEAr (Structured Processor Enhanced Architecture) family of configurable SoCs was made available to the market. Based on an advanced ARM architecture, the chip offers a rich set of peripherals and a bank of configurable logic allowing unprecedented flexibility and time to market for various applications, including digital engines for printers, scanners and other embedded control applications. </P>
<P style="margin-top:0pt; margin-bottom:-13.5pt; padding-left:42.55pt; text-indent:-22.4pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>&#149; </P>
<P style="margin-top:0pt; margin-bottom:10.55pt; padding-left:42.55pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>In automotive, ST continued its expansion into powertrain applications with the development of a new configurable driver, manufactured in its proprietary BCD6 technology, for a major American OEM. A major Japanese OEM also confirmed ST&#146;s capabilities in producing standard components, as well as custom devices, for the automotive market by giving ST an important design win for an eight-channel airbag system using standard components. Also in Japan, ST gained market share in power amplifiers for automotive applications with Japanese OEMs. </P>
<P style="margin-top:0pt; margin-bottom:-13.5pt; padding-left:42.55pt; text-indent:-22.4pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>&#149; </P>
<P style="margin-top:0pt; margin-bottom:10.55pt; padding-left:42.55pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>In another automotive application, ST earned a design win to develop a custom infrared receiver for a highway access application from a major European manufacturer of highway tolling and tracking systems. </P>
<P style="margin-top:0pt; margin-bottom:10.55pt; padding-left:42.55pt; text-indent:-22.4pt; font-family:Arial; font-size:11.5pt" align=justify><BR>
<BR></P>
<P style="margin:0pt; font-family:Arial" align=center>6</P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt"><BR></P>
<HR style="padding-top:7.2pt; padding-bottom:7.2pt" noshade size=1.333>
<P style="page-break-before:always; margin-top:0pt; margin-bottom:-13.5pt; padding-left:42.55pt; text-indent:-22.4pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>&#149; </P>
<P style="margin-top:0pt; margin-bottom:6.7pt; padding-left:42.55pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>In non-volatile memory, with the increased use of NAND Flash in mobile phones, ST attained shipments of more than one million units with a leading mobile phone maker. Also, in a report on the non-volatile memory market by industry analyst Web-Feet Research, Inc., ST was confirmed as the world&#146;s number one supplier of serial non-volatile memory products. The report showed ST increasing its market share to move into first place in the Serial EEPROM rankings, as well as claiming the lead in the fast growing Serial Flash market. </P>
<P style="margin-top:0pt; margin-bottom:-13.5pt; padding-left:42.55pt; text-indent:-22.4pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>&#149; </P>
<P style="margin-top:0pt; margin-bottom:10.55pt; padding-left:42.55pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>ST launched a new smart-power IC that incorporates all of the core circuitry required to implement fully electronic electricity meters. The STPM01 IC addresses a wide range of electricity-metering requirements, operating as a stand-alone power meter in low-end equipment, or as a peripheral in sophisticated microprocessor-based meters. </P>
<P style="margin-top:0pt; margin-bottom:-13.5pt; padding-left:42.55pt; text-indent:-22.4pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>&#149; </P>
<P style="margin-top:0pt; margin-bottom:7.65pt; padding-left:42.55pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>ST introduced the new powerSPIN family of monolithic motor drivers that form the heart of an open, scalable solution for a wide range of motion-control applications, including driving DC motors, stepper motors, and brushless DC motors. ST also launched the first devices built using the second generation of the Company&#146;s proprietary MDmeshTM high-voltage power MOSFET technology, aimed at switch-mode power supplies, power-factor correction, and power adapters. </P>
<P style="margin-top:0pt; margin-bottom:-13.5pt; padding-left:42.55pt; text-indent:-22.4pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>&#149; </P>
<P style="margin-top:0pt; margin-bottom:6.7pt; padding-left:42.55pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>Expanding the Company&#146;s powerful and highly integrated 32-bit ARM-based STR710F microcontroller series, ST introduced two microcontrollers that will extend the family to high&shy;performance and cost-sensitive applications. ST also announced an innovative ST7-based 8&shy;bit bi-core controller chip for the fast-growing USB Flash-Drive market. </P>
<P style="margin-top:0pt; margin-bottom:-13.5pt; padding-left:42.55pt; text-indent:-22.4pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>&#149; </P>
<P style="margin-top:0pt; margin-bottom:6.7pt; padding-left:42.55pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>In the wireless communications infrastructure market, ST announced an agreement with Octasic Inc. to deliver a family of leading-edge Voice-over-Packet (VoP) ICs. The first ICs, of which samples will be available by Q4 2005, will be based on ST&#146;s 130nm and 90nm semiconductor process technology and Octasic&#146;s designs for Voice-over-Packet (VoP) and Voice Quality Enhancement (VQE). </P>
<P style="margin-top:0pt; margin-bottom:-13.5pt; padding-left:42.55pt; text-indent:-22.4pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>&#149; </P>
<P style="margin-top:0pt; margin-bottom:6.7pt; padding-left:42.55pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>In data storage, ST revealed the fabrication, in 90nm technology, of MIPHY (Multistandard-Interface Physical Layer) interface IP (Intellectual Property). This IP, which supports SATA (Serial ATA) disk drives, SAS, Fiber-Channel and PCI-express, has been designed to be integrated with other functions into a System-on-Chip (SoC) that allows drive manufacturers to reduce costs by building and stocking one IC to operate in multiple drives. </P>
<P style="margin-top:0pt; margin-bottom:-13.5pt; padding-left:42.55pt; text-indent:-22.4pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>&#149; </P>
<P style="margin-top:0pt; margin-bottom:6.7pt; padding-left:42.55pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>The Company, with its Crolles2 Alliance partners Philips and Freescale Semiconductor, announced the intention to cooperate on the creation and validation of non-competitive high&shy;level SoC IP blocks. Additionally, the Alliance presented a paper at the VLSI Symposium in Kyoto describing the creation, under production conditions, of six -transistor SRAM-bit cells with an area less than 0.25 square microns &#150; half the size of earlier solutions &#150; using conventional bulk CMOS technology and 45-nanometer design rules. </P>
<P style="margin-top:0pt; margin-bottom:-13.5pt; padding-left:42.55pt; text-indent:-22.4pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>&#149; </P>
<P style="margin-top:0pt; margin-bottom:7.65pt; padding-left:42.55pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>Researchers from ST and HP Laboratories collaborated with card manufacturer Incard to develop technology to implement Identifier -Based Encryption (IBE) on smart cards. Applications for the technology are in e-government, e-and m-commerce, wireless management of secure documents, access control, and personal-authorization tokens. </P>
<P style="margin-top:0pt; margin-bottom:7.65pt; padding-left:42.55pt; text-indent:-22.4pt; font-family:Arial; font-size:11.5pt" align=justify><BR>
<BR></P>
<P style="margin:0pt; font-family:Arial" align=center>7</P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt"><BR></P>
<HR style="padding-top:7.2pt; padding-bottom:7.2pt" noshade size=1.333>
<P style="page-break-before:always; margin-top:0pt; margin-bottom:-13.5pt; padding-left:42.55pt; text-indent:-22.4pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>&#149; </P>
<P style="margin-top:0pt; margin-bottom:10.55pt; padding-left:42.55pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify>ST announced its capability to manufacture BGA (Ball Grid Array) packages just 1.6mm high that contain as many as eight stacked memory chips. The same technology is also being used to pack two memory dies into a 0.8mm thick UFBGA (Ultra-thin Fine-Pitch Ball Grid Array). The new technology will help satisfy the ever-increasing demand for more memory in smaller volume for phones, cameras, and PDAs. </P>
<P style="margin-top:0pt; margin-bottom:12.15pt; line-height:13.3pt; font-family:Arial; font-size:11.5pt" align=justify><I>Some of the statements contained in this release that are not historical facts are statements of future expectations and other forward-looking statements (within the meaning of Section 27A of the Securities Act of 1933 or Section 21E of the Securities Exchange Act of 1934, each as amended) based on management&#146;s current views and assumptions and involve known and unknown risks and uncertainties that could cause actual results, performance, or events to differ materially from those in such statements due to, among other factors: </I></P>
<P style="margin-top:0pt; margin-bottom:-13.5pt; padding-left:35.15pt; text-indent:-17.85pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify><I>&#149;</I></P>
<P style="margin-top:0pt; margin-bottom:7.65pt; padding-left:35.15pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify><I>future developments of the world semiconductor market, in particular the future demand for semiconductor products in the key application markets and from key customers served by our products; </I></P>
<P style="margin-top:0pt; margin-bottom:-13.5pt; padding-left:35.15pt; text-indent:-17.85pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify><I>&#149;</I></P>
<P style="margin-top:0pt; margin-bottom:7.65pt; padding-left:35.15pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify><I>pricing pressures, losses, or curtailments of purchases from key customers as well as inventory adjustments from distributors; </I></P>
<P style="margin-top:0pt; margin-bottom:-13.5pt; padding-left:35.15pt; text-indent:-17.85pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify><I>&#149;</I></P>
<P style="margin-top:0pt; margin-bottom:7.65pt; padding-left:35.15pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify><I>changes in the exchange rates between the US Dollar and the Euro, compared to the current exchange rate of approximately $1.21=1 Euro, and between the US Dollar and the currencies of the other major countries in which we have our operating infrastructure; </I></P>
<P style="margin-top:0pt; margin-bottom:-13.5pt; padding-left:35.15pt; text-indent:-17.85pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify><I>&#149;</I></P>
<P style="margin-top:0pt; margin-bottom:7.65pt; padding-left:35.15pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify><I>our ability to develop new products in time to meet market demand for volume supplies; </I></P>
<P style="margin-top:0pt; margin-bottom:-13.5pt; padding-left:35.15pt; text-indent:-17.85pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify><I>&#149;</I></P>
<P style="margin-top:0pt; margin-bottom:7.65pt; padding-left:35.15pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify><I>our ability to complete, successfully and in a timely manner, our various announced initiatives to improve the efficiency of our research and development programs, our manufacturing, and the reduction of our procurement costs; </I></P>
<P style="margin-top:0pt; margin-bottom:-13.5pt; padding-left:35.15pt; text-indent:-17.85pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify><I>&#149;</I></P>
<P style="margin-top:0pt; margin-bottom:7.65pt; padding-left:35.15pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify><I>the anticipated benefits of research &amp; development alliances and cooperative activities; </I></P>
<P style="margin-top:0pt; margin-bottom:-13.5pt; padding-left:35.15pt; text-indent:-17.85pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify><I>&#149;</I></P>
<P style="margin-top:0pt; margin-bottom:7.65pt; padding-left:35.15pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify><I>the ramp -up of volume production in new manufacturing technologies at our fabs; </I></P>
<P style="margin-top:0pt; margin-bottom:-13.5pt; padding-left:35.15pt; text-indent:-17.85pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify><I>&#149;</I></P>
<P style="margin-top:0pt; margin-bottom:7.65pt; padding-left:35.15pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify><I>the ability of our suppliers to meet our demands for products and to offer competitive pricing; </I></P>
<P style="margin-top:0pt; margin-bottom:-13.5pt; padding-left:35.15pt; text-indent:-17.85pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify><I>&#149;</I></P>
<P style="margin-top:0pt; margin-bottom:7.65pt; padding-left:35.15pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify><I>changes in the economic, social, or political environment, as well as natural events such as severe weather, health risks, or earthquakes in the countries in which we and our key customers operate; and </I></P>
<P style="margin-top:0pt; margin-bottom:-13.5pt; padding-left:35.15pt; text-indent:-17.85pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify><I>&#149;</I></P>
<P style="margin-top:0pt; margin-bottom:7.65pt; padding-left:35.15pt; line-height:13.5pt; font-family:Arial; font-size:11.5pt" align=justify><I>our ability to obtain required licenses on third-party intellectual property. </I></P>
<P style="margin-top:0pt; margin-bottom:10.55pt; line-height:13.55pt; font-family:Arial; font-size:11.5pt" align=justify><I>Such forward-looking statements are subject to various risks and uncertainties, which may cause actual results and performance of our business to differ materially and adversely from the forward&shy;looking statements. Certain such forward-looking statements can be identified by the use of forward&shy;looking terminology such as &#147;believes,&#148; &#147;may,&#148; &#147;will,&#148; &#147;should,&#148; &#147;would be,&#148; or &#147;anticipates&#148; or similar expressions, or the negative thereof, or other variations thereof, or comparable terminology, or by discussions of strategy, plans, or intentions. Some of these </I></P>
<P style="margin-top:0pt; margin-bottom:10.55pt; line-height:13.55pt; font-family:Arial; font-size:11.5pt" align=justify><I><BR></I></P>
<P style="margin:0pt; font-family:Arial" align=center>8</P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt"><BR></P>
<HR style="padding-top:7.2pt; padding-bottom:7.2pt" noshade size=1.333>
<P style="page-break-before:always; margin-top:0pt; margin-bottom:10.55pt; line-height:13.55pt; font-family:Arial; font-size:11.5pt" align=justify><I>risk factors are set forth and are discussed in more detail in &#147;Item 3. Key Information&#151;Risk Factors&#148; included in our Annual Report on Form 20-F for the year ended December 31, 2004, as filed with the SEC on March 23 2005. Should one or more of these risks or uncertainties materialize, or should underlying assumptions prove incorrect, actual results may vary materially from those described in this release as anticipated, believed, or expected. We do not intend, and do not assume any obligation, to update any industry information or forward-looking statements set forth in this release to reflect subsequent events or circumstances. </I></P>
<P style="margin-top:0pt; margin-bottom:12.15pt; line-height:13.55pt; font-family:Arial; font-size:11.5pt"><I>Unfavorable changes in the above or other factors listed under &#147;Risk Factors&#148; from time to time in our SEC filings, including in our Form 20-F, could have a material adverse effect on our business or financial condition. </I></P>
<P style="margin-top:0pt; margin-bottom:12.15pt; line-height:13.55pt; font-family:Arial; font-size:11.5pt"><B><U>Conference Call Information </U></B></P>
<P style="margin-top:0pt; margin-bottom:10.55pt; line-height:13.55pt; font-family:Arial; font-size:11.5pt" align=justify>The management of STMicroelectronics will conduct a conference call on July 27, 2005 at 9:00 a.m. U.S. Eastern Time / 3:00 p.m. CET, to discuss operating performance for the second quarter of 2005.</P>
<P style="margin-top:0pt; margin-bottom:12.15pt; line-height:13.55pt; font-family:Arial; font-size:11.5pt" align=justify>The conference call will be available via the Internet by accessing the following Web address: <U>www.vcall.com</U>. Those viewing the webcast should go to the Web site at least 15 minutes prior to the call, in order to register, download, and install any necessary audio software. The webcast will be available until August 5, 2005. </P>
<P style="margin-top:0pt; margin-bottom:10.55pt; line-height:13.55pt; font-family:Arial; font-size:11.5pt"><B>About STMicroelectronics </B></P>
<P style="margin-top:0pt; margin-bottom:12.15pt; line-height:13.55pt; font-family:Arial; font-size:11.5pt" align=justify>STMicroelectronics is a global leader in developing and delivering semiconductor solutions across the spectrum of microelectronics applications. An unrivalled combination of silicon and system expertise, manufacturing strength, Intellectual Property (IP) portfolio and strategic partners positions the Company at the forefront of System-on-Chip (SoC) technology and its products play a key role in enabling today's convergence markets. The Company&#146;s shares are traded on the New York Stock Exchange, on Euronext Paris and on the Milan Stock Exchange. In 2004, the Company&#146;s net revenues were $8.76 billion and net earnings were $601 million. Further information on ST can be found at <U>www.st.com</U>. </P>
<P style="margin-top:0pt; margin-bottom:7.65pt; line-height:13.4pt; font-family:Arial; font-size:11.5pt" align=center>(tables attached) </P>
<P style="margin-top:0pt; margin-bottom:7.65pt; line-height:13.55pt; font-family:Arial; font-size:11.5pt"><B><U>For further information, please contact: </U></B></P>
<P style="margin-top:0pt; margin-bottom:5.65pt; line-height:13.55pt; font-family:Arial; font-size:11.5pt"><I>INVESTOR RELATIONS: </I></P>
<TABLE style="font-size:10pt" cellspacing=0 align=center><TR><TD valign=top width=220.667><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Beno&#238;t de Leusse </P>
</TD><TD valign=top width=221.933><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Fabrizio Rossini </P>
</TD><TD valign=top width=240.333><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Nancy Levain </P>
</TD></TR>
<TR><TD valign=top width=220.667><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Director, Investor Relations </P>
</TD><TD valign=top width=221.933><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Investor Relations Senior Manager </P>
</TD><TD valign=top width=240.333><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">LT Value </P>
</TD></TR>
<TR><TD valign=top width=220.667><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Tel: +41.22.929.58.12 </P>
</TD><TD valign=top width=221.933><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Tel: +41.22.929.69.73 </P>
</TD><TD valign=top width=240.333><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Tel: +33.01.55.27.15.88 </P>
</TD></TR>
<TR><TD width=220.667><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Fax: +41.22.929.69.61 </P>
</TD><TD width=221.933><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Fax: +41.22.929.69.61 </P>
</TD><TD width=240.333><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Email: <U>nancy.levain@ltvalue.com</U> </P>
</TD></TR>
<TR><TD valign=top width=220.667><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Email:<U>benoit.de-leusse@st.com </U></P>
</TD><TD valign=top width=221.933><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Email:<U> fabrizio.rossini@st.com</U> </P>
</TD><TD valign=top width=240.333>&nbsp;</TD></TR>
<TR><TD valign=bottom width=220.667><P style="margin-top:1.5pt; margin-bottom:1.5pt; line-height:11pt; font-family:Arial; font-size:9pt"><I>MEDIA RELATIONS: </I></P>
</TD><TD valign=top width=221.933>&nbsp;</TD><TD valign=top width=240.333>&nbsp;</TD></TR>
<TR><TD width=220.667><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Maria Grazia Prestini </P>
</TD><TD width=221.933><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Emma Rutherford </P>
</TD><TD valign=top width=240.333>&nbsp;</TD></TR>
<TR><TD width=220.667><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Director, Corporate Media Relations </P>
</TD><TD width=221.933><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Financial Dynamics </P>
</TD><TD valign=top width=240.333>&nbsp;</TD></TR>
<TR><TD valign=bottom width=220.667><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Tel&nbsp;:&nbsp;+41.2.29.29.69.45</P>
</TD><TD valign=top width=221.933><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Paris Tel: +33.1.47.03.68.10</P>
</TD><TD valign=top width=240.333>&nbsp;</TD></TR>
<TR><TD valign=bottom width=220.667><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Fax: +41.2.29.29.69.50</P>
</TD><TD valign=top width=221.933><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Email: <U>emma.rutherford@fd.com</U></P>
</TD><TD valign=top width=240.333>&nbsp;</TD></TR>
<TR><TD valign=bottom width=220.667><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><U>mariagrazia.prestini@st.com</U></P>
</TD><TD valign=top width=221.933>&nbsp;</TD><TD valign=top width=240.333>&nbsp;</TD></TR>
</TABLE>
<P style="margin-top:0pt; margin-bottom:4.45pt; line-height:13.55pt; font-family:Arial; font-size:9pt"><BR></P>
<P style="margin:0pt; font-family:Arial" align=center>9</P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt"><BR></P>
<HR style="padding-top:7.2pt; padding-bottom:7.2pt" noshade size=1.333>
<P style="page-break-before:always; margin-top:0pt; margin-bottom:5.9pt; line-height:13.55pt; font-family:Arial; font-size:12pt"><BR>
<BR></P>
<P style="margin-top:0pt; margin-bottom:3.15pt; line-height:14pt; font-family:Arial; font-size:12pt" align=justify>&nbsp;</P>
<P style="margin-top:0pt; margin-bottom:5.9pt; line-height:14pt; font-family:Arial; font-size:12pt" align=justify>&nbsp;</P>
<P style="margin-top:0pt; margin-bottom:21.3pt; padding-right:211.25pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt">&nbsp;</P>
<TABLE style="font-size:10pt" cellspacing=0 align=center>
  <TR>
    <TD valign=bottom>
      <p style="margin-top:0pt; margin-bottom:3.15pt; line-height:14pt; font-family:Arial; font-size:12pt" align=justify><font face="Arial, Helvetica, sans-serif"><b>STMicroelectronics
        N.V. </b></font></p></TD>
    <TD valign=bottom>&nbsp;</TD>
    <TD valign=bottom>&nbsp;</TD>
    <TD valign=top colspan=2>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom><font size="3" face="Arial, Helvetica, sans-serif"><b>Consolidated
      Statements of Income </b></font></TD>
    <TD valign=bottom>&nbsp;</TD>
    <TD valign=bottom>&nbsp;</TD>
    <TD valign=top colspan=2>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom><font face="Arial, Helvetica, sans-serif">(in million of
      U.S. dollars, except per share data ($))</font></TD>
    <TD valign=bottom>&nbsp;</TD>
    <TD valign=bottom>&nbsp;</TD>
    <TD valign=top colspan=2>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=352.867>&nbsp;</TD>
    <TD valign=bottom width=117.2>&nbsp;</TD>
    <TD valign=bottom width=12.733>&nbsp;</TD>
    <TD valign=top width=153.6 colspan=2><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=center><B>Three
        months ended</B></P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=352.867>&nbsp;</TD>
    <TD valign=bottom width=117.2>&nbsp;</TD>
    <TD valign=bottom width=12.733>&nbsp;</TD>
    <TD valign=bottom width=79.333><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=center>(unaudited)</P></TD>
    <TD valign=bottom width=74.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=center>(unaudited)</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=352.867>&nbsp;</TD>
    <TD valign=bottom width=117.2>&nbsp;</TD>
    <TD valign=bottom width=12.733>&nbsp;</TD>
    <TD valign=bottom width=79.333><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=center><B>July
        2,</B></P></TD>
    <TD valign=bottom width=74.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=center><B>June
        26, </B></P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=470.067 colspan=2>&nbsp;</TD>
    <TD valign=bottom width=12.733>&nbsp;</TD>
    <TD valign=bottom width=79.333><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=center><B><U>2005</U></B></P></TD>
    <TD valign=bottom width=74.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=center><B><U>2004</U></B></P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=352.867><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Net
        sales</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=117.2><P style="margin:0pt; font-family:Arial; font-size:9pt">&nbsp;</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=12.733><P style="margin:0pt; font-family:Arial; font-size:9pt"><B>&nbsp;</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=79.333><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>2
        161 </P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=74.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>2
        171 </P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=352.867><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Other
        revenues</P></TD>
    <TD valign=bottom width=117.2>&nbsp;</TD>
    <TD valign=bottom width=12.733>&nbsp;</TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=79.333><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>1
      </P></TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=74.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>1
      </P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=352.867><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>NET
        REVENUES </B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=117.2>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=12.733>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=79.333><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>2
        162 </B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=74.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>2
        172 </B></P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=352.867><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Cost
        of sales</P></TD>
    <TD valign=bottom width=117.2>&nbsp;</TD>
    <TD valign=bottom width=12.733>&nbsp;</TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=79.333><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-1
        448</P></TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=74.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-1
        360</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=352.867><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>GROSS
        PROFIT</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=117.2>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=12.733>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=79.333><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>714
        </B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=74.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>812
        </B></P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=352.867><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Selling,
        general and administrative</P></TD>
    <TD valign=bottom width=117.2>&nbsp;</TD>
    <TD valign=bottom width=12.733>&nbsp;</TD>
    <TD valign=bottom width=79.333><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-255</P></TD>
    <TD valign=bottom width=74.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-239-</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=352.867><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Research
        and development </P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=117.2>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=12.733>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=79.333><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-423</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=74.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-384</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=352.867><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Other
        income and expenses, net</P></TD>
    <TD valign=bottom width=117.2>&nbsp;</TD>
    <TD valign=bottom width=12.733>&nbsp;</TD>
    <TD valign=bottom width=79.333><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-2</P></TD>
    <TD valign=bottom width=74.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>2</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=352.867><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Inpairment,
        restructuring charges and other related closure costs</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=117.2>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=12.733>&nbsp;</TD>
    <TD style="background-color:#99CCFF; border-bottom:0.5pt solid #000000" valign=bottom width=79.333><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-22</P></TD>
    <TD style="background-color:#99CCFF; border-bottom:0.5pt solid #000000" valign=bottom width=74.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-12</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=352.867><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Total
        operating expenses</P></TD>
    <TD valign=bottom width=117.2>&nbsp;</TD>
    <TD valign=bottom width=12.733>&nbsp;</TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=79.333><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-702</P></TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=74.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-633</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=352.867><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>OPERATING
        INCOME</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=117.2>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=12.733>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=79.333><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>12
        </B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=74.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>179</B></P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=352.867><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Interest
        income (expense), net</P></TD>
    <TD valign=bottom width=117.2>&nbsp;</TD>
    <TD valign=bottom width=12.733>&nbsp;</TD>
    <TD valign=bottom width=79.333><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>8</P></TD>
    <TD valign=bottom width=74.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-3</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=470.067 colspan=2><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Loss
        on extinguishment of convertible debt</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=12.733>&nbsp;</TD>
    <TD style="background-color:#99CCFF; border-bottom:0.5pt solid #000000" valign=bottom width=79.333><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>0</P></TD>
    <TD style="background-color:#99CCFF; border-bottom:0.5pt solid #000000" valign=bottom width=74.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-4</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=470.067 colspan=2><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>INCOME
        BEFORE INCOME TAXES AND MINORITY INTERESTS</B></P></TD>
    <TD valign=bottom width=12.733>&nbsp;</TD>
    <TD valign=bottom width=79.333><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>20
        </B></P></TD>
    <TD valign=bottom width=74.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>172</B></P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=352.867><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Income
        tax benefit (expense)</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=117.2>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=12.733>&nbsp;</TD>
    <TD style="background-color:#99CCFF; border-bottom:0.5pt solid #000000" valign=bottom width=79.333><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>5</P></TD>
    <TD style="background-color:#99CCFF; border-bottom:0.5pt solid #000000" valign=bottom width=74.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-23</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=352.867><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>Income
        before minority interests</B></P></TD>
    <TD valign=bottom width=117.2>&nbsp;</TD>
    <TD style="border-top:0.5pt solid #000000" valign=bottom width=12.733>&nbsp;</TD>
    <TD valign=bottom width=79.333><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>25
        </B></P></TD>
    <TD valign=bottom width=74.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>149</B></P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=352.867><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Minority
        interests</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=117.2>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=12.733>&nbsp;</TD>
    <TD style="background-color:#99CCFF; border-bottom:0.5pt solid #000000" valign=bottom width=79.333><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>1</P></TD>
    <TD style="background-color:#99CCFF; border-bottom:0.5pt solid #000000" valign=bottom width=74.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-1</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=352.867><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>NET
        INCOME </B></P></TD>
    <TD valign=bottom width=117.2>&nbsp;</TD>
    <TD valign=bottom width=12.733>&nbsp;</TD>
    <TD style="border-bottom:2pt double #000000" valign=bottom width=79.333><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>26
        </B></P></TD>
    <TD style="border-bottom:2pt double #000000" valign=bottom width=74.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>148</B></P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=352.867>&nbsp;</TD>
    <TD  valign=bottom width=117.2>&nbsp;</TD>
    <TD  valign=bottom width=12.733>&nbsp;</TD>
    <TD  valign=bottom width=79.333><P style="margin:0pt; font-family:Arial; font-size:9pt">&nbsp;</P></TD>
    <TD  valign=bottom width=74.267><P style="margin:0pt; font-family:Arial; font-size:9pt">&nbsp;</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=352.867><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>EARNINGS
        PER SHARE (BASIC)</B></P></TD>
    <TD valign=bottom width=117.2>&nbsp;</TD>
    <TD valign=bottom width=12.733>&nbsp;</TD>
    <TD valign=bottom width=79.333><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>0,03
        </B></P></TD>
    <TD valign=bottom width=74.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>0,17
        </B></P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=352.867><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>EARNINGS
        PER SHARE (DILUTED)</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=117.2>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=12.733>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=79.333><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>0,03
        </B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=74.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>0,16
        </B></P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=352.867><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>NUMBER
        OF WEIGHTED AVERAGE</B></P></TD>
    <TD valign=bottom width=117.2>&nbsp;</TD>
    <TD valign=bottom width=12.733>&nbsp;</TD>
    <TD valign=bottom width=79.333>&nbsp;</TD>
    <TD valign=bottom width=74.267>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=352.867><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>SHARES
        USED IN CALCULATING</B></P></TD>
    <TD valign=bottom width=117.2>&nbsp;</TD>
    <TD valign=bottom width=12.733>&nbsp;</TD>
    <TD valign=bottom width=79.333><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>934,6</B></P></TD>
    <TD valign=bottom width=74.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>937,0</B></P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=352.867><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>DILUTED
        EARNINGS PER SAHRE</B></P></TD>
    <TD valign=bottom width=117.2>&nbsp;</TD>
    <TD valign=bottom width=12.733>&nbsp;</TD>
    <TD valign=bottom width=79.333>&nbsp;</TD>
    <TD valign=bottom width=74.267>&nbsp;</TD>
  </TR>
</TABLE>
<P style="margin:0pt; font-family:Arial; font-size:12pt"><BR></P>
<P style="margin-top:0pt; margin-bottom:2.5pt; font-family:Arial; font-size:9.5pt" align=justify><B><BR>
<BR></B></P>
<P style="margin:0pt; font-family:Arial" align=center>10</P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt"><BR></P>
<HR style="padding-top:7.2pt; padding-bottom:7.2pt" noshade size=1.333>
<P style="page-break-before:always; margin-top:0pt; margin-bottom:3.15pt; line-height:14pt; font-family:Arial; font-size:12pt" align=justify>&nbsp;</P>
<P style="margin-top:0pt; margin-bottom:5.9pt; line-height:14pt; font-family:Arial; font-size:12pt" align=justify>&nbsp;</P>
<P style="margin-top:0pt; margin-bottom:21.3pt; padding-right:211.25pt; line-height:11.5pt; font-family:Arial; font-size:9.5pt">&nbsp;</P>
<TABLE align="center" cellspacing=0 style="font-size:10pt">
  <TR>
    <TD valign=bottom><font size="3" face="Arial, Helvetica, sans-serif"><b>STMicroelectronics
      N.V. </b></font></TD>
    <TD valign=top colspan=2>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom><font size="3" face="Arial, Helvetica, sans-serif"><b>Consolidated
      Statements of Income </b></font></TD>
    <TD valign=top colspan=2>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom><font face="Arial, Helvetica, sans-serif">(in million of
      U.S. dollars, except per share data ($))</font></TD>
    <TD valign=top colspan=2>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=411.4>&nbsp;</TD>
    <TD valign=top width=202.733 colspan=2><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=center><B>Six
        months ended</B></P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=411.4>&nbsp;</TD>
    <TD valign=bottom width=89.467><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=center>(unaudited)</P></TD>
    <TD valign=bottom width=113.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=center>(unaudited)</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=411.4>&nbsp;</TD>
    <TD valign=bottom width=89.467><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=center><B>July
        2,</B></P></TD>
    <TD valign=bottom width=113.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=center><B>June
        26, </B></P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=411.4>&nbsp;</TD>
    <TD valign=bottom width=89.467><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=center><B>2005</B></P></TD>
    <TD valign=bottom width=113.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=center><B>2004</B></P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=411.4><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Net
        sales</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=89.467><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>4
        242 </P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=113.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>4
        199 </P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=411.4><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Other
        revenues</P></TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=89.467><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>3
      </P></TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=113.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>2
      </P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=411.4><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>NET
        REVENUES </B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=89.467><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>4
        245 </B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=113.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>4
        201 </B></P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=411.4><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Cost
        of sales</P></TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=89.467><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-2
        846</P></TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=113.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-2
        671</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=411.4><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>GROSS
        PROFIT</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=89.467><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>1
        399 </B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=113.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>1
        530 </B></P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=411.4><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Selling,
        general and administrative</P></TD>
    <TD valign=bottom width=89.467><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-519</P></TD>
    <TD valign=bottom width=113.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-469</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=411.4><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Research
        and development </P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=89.467><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-827</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=113.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-747</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=411.4><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Other
        income and expenses, net</P></TD>
    <TD valign=bottom width=89.467><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-8</P></TD>
    <TD valign=bottom width=113.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>10</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=411.4><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Impairment,
        restructuring charges and other related closure costs</P></TD>
    <TD style="background-color:#99CCFF; border-bottom:0.5pt solid #000000" valign=bottom width=89.467><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-100</P></TD>
    <TD style="background-color:#99CCFF; border-bottom:0.5pt solid #000000" valign=bottom width=113.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-45</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=411.4><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Total
        operating expenses </P></TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=89.467><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-1
        454</P></TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=113.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-1
        271</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=411.4><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>OPERATING
        INCOME (LOSS)</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=89.467><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>-55
        </B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=113.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>259</B></P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=411.4><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Interest
        income (expense), net</P></TD>
    <TD valign=bottom width=89.467><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>15</P></TD>
    <TD valign=bottom width=113.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-7</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=411.4><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Loss
        on extinguishment of convertible debt</P></TD>
    <TD style="background-color:#99CCFF; border-bottom:0.5pt solid #000000" valign=bottom width=89.467><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>0</P></TD>
    <TD style="background-color:#99CCFF; border-bottom:0.5pt solid #000000" valign=bottom width=113.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-4</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=411.4><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>INCOME
        (LOSS) BEFORE INCOME TAXES AND MINORITY INTERESTS</B></P></TD>
    <TD valign=bottom width=89.467><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>-40
        </B></P></TD>
    <TD valign=bottom width=113.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>248</B></P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=411.4><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Income
        tax benefit (expense)</P></TD>
    <TD style="background-color:#99CCFF; border-bottom:0.5pt solid #000000" valign=bottom width=89.467><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>35</P></TD>
    <TD style="background-color:#99CCFF; border-bottom:0.5pt solid #000000" valign=bottom width=113.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-22</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=411.4><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>INCOME
        (LOSS) BEFORE MINORITY INTERESTS</B></P></TD>
    <TD valign=bottom width=89.467><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>-5
        </B></P></TD>
    <TD valign=bottom width=113.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>226</B></P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=411.4><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Minority
        interests</P></TD>
    <TD style="background-color:#99CCFF; border-bottom:0.5pt solid #000000" valign=bottom width=89.467><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>0</P></TD>
    <TD style="background-color:#99CCFF; border-bottom:0.5pt solid #000000" valign=bottom width=113.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-1</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=411.4><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>NET
        INCOME (LOSS)</B></P></TD>
    <TD style="border-bottom:2pt double #000000" valign=bottom width=89.467><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>-5
        </B></P></TD>
    <TD style="border-bottom:2pt double #000000" valign=bottom width=113.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>225</B></P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=411.4><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>EARNINGS
        (LOSS) PER SHARE (BASIC)</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=89.467><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>-0,01
        </B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=113.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>0,25
        </B></P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=411.4><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>EARNINGS
        (LOSS) PER SHARE (DILUTED)</B></P></TD>
    <TD valign=bottom width=89.467><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>-0,01
        </B></P></TD>
    <TD valign=bottom width=113.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>0,24
        </B></P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=411.4><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>NUMBER
        OF WEIGHTED AVERAGE</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=89.467>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=113.267>&nbsp;</TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=411.4><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>SHARES
        USED IN CALCULATING</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=89.467><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>892,0</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=113.267><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>937,8</B></P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=411.4><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>DILUTED
        EARNINGS (LOSS) PER SHARE</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=89.467>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=113.267>&nbsp;</TD>
  </TR>
</TABLE>
<P style="margin:0pt; font-family:Arial; font-size:12pt"><BR></P>
<P style="margin:0pt; font-family:Arial; font-size:12pt"><BR>
<BR></P>
<P style="margin:0pt; font-family:Arial" align=center>11</P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt"><BR></P>
<HR style="padding-top:7.2pt; padding-bottom:7.2pt" noshade size=1.333>
<P style="page-break-before:always; margin:0pt; font-family:Arial; font-size:12pt"><BR></P>
<TABLE style="font-size:10pt" cellspacing=0 align=center>
  <TR>
    <TD valign=bottom width=334.133><P style="margin:0pt; line-height:14pt; font-family:Arial; font-size:12pt"><font size="3"><B>STMicroelectronics
        N.V.</B></font></P></TD>
    <TD valign=bottom width=100.8>&nbsp;</TD>
    <TD valign=bottom width=100.8>&nbsp;</TD>
    <TD valign=bottom width=100.667><P style="margin:0pt; font-family:Arial; font-size:9pt">&nbsp;</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=334.133><P style="margin:0pt; line-height:14pt; font-family:Arial; font-size:12pt"><font size="3"><B>Consolidated
        Balance Sheets</B></font></P></TD>
    <TD valign=bottom width=100.8>&nbsp;</TD>
    <TD valign=bottom width=100.8>&nbsp;</TD>
    <TD valign=bottom width=100.667><P style="margin:0pt; font-family:Arial; font-size:9pt">&nbsp;</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=334.133><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>As
        at</B></P></TD>
    <TD valign=bottom width=100.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=center><B>July
        2,</B></P></TD>
    <TD valign=bottom width=100.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=center><B>April
        2,</B></P></TD>
    <TD valign=bottom width=100.667><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=center><B>December
        31, </B></P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>In
        million of U.S. dollars</B></P></TD>
    <TD valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=center><B>2005</B></P></TD>
    <TD valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=center><B>2005</B></P></TD>
    <TD valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=center><B>2004</B></P></TD>
  </TR>
  <TR>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; font-family:Arial; font-size:9pt"><B>&nbsp;</B></P></TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=center>(unaudited)</P></TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=center>(unaudited)</P></TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=center>(audited)</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt"><B><U>ASSETS</U></B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; font-family:Arial; font-size:9pt">&nbsp;</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; font-family:Arial; font-size:9pt">&nbsp;</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; font-family:Arial; font-size:9pt">&nbsp;</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>Current
        assets :</B></P></TD>
    <TD valign=bottom width=100.8>&nbsp;</TD>
    <TD valign=bottom width=100.8>&nbsp;</TD>
    <TD valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; font-family:Arial; font-size:9pt">&nbsp;</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt">Cash
        and cash equivalents</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>1
        075 &nbsp;</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>1
        162 &nbsp;</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>1
        950 &nbsp;</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt">Marketable
        securities</P></TD>
    <TD valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>525
        &nbsp;</P></TD>
    <TD valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>525
        &nbsp;</P></TD>
    <TD valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>0
        &nbsp;</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt">Trade
        accounts receivable, net</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>1
        468 &nbsp;</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>1
        414 &nbsp;</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>1
        408 &nbsp;</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt">Inventories,
        net</P></TD>
    <TD valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>1
        363 &nbsp;</P></TD>
    <TD valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>1
        369 &nbsp;</P></TD>
    <TD valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>1
        344 &nbsp;</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt">Deferred
        tax assets</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>154
        &nbsp;</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>141
        &nbsp;</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>140
        &nbsp;</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt">Other
        receivables and assets </P></TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>653
        &nbsp;</P></TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>740
        &nbsp;</P></TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>785
        &nbsp;</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>Total
        current assets</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>5
        238 &nbsp;</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>5
        351 &nbsp;</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>5
        627 &nbsp;</B></P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt"><BR>
        Goodwill</P></TD>
    <TD valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>223
        &nbsp;</P></TD>
    <TD valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>228
        &nbsp;</P></TD>
    <TD valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>264
        &nbsp;</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt">Other
        intangible assets, net</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>240
        &nbsp;</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>250
        &nbsp;</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>291
        &nbsp;</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt">Property,
        plant and equipment, net</P></TD>
    <TD valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>6
        618 &nbsp;</P></TD>
    <TD valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>7
        039 &nbsp;</P></TD>
    <TD valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>7
        442 &nbsp;</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt">Long-term
        deferred tax assets</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>59
        &nbsp;</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>59
        &nbsp;</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>59
        &nbsp;</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt">Investments
        and other non-current assets</P></TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>120
        &nbsp;</P></TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>119
        &nbsp;</P></TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>117
        &nbsp;</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; font-family:Arial; font-size:9pt"><B>&nbsp;</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>7
        260 &nbsp;</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>7
        695 &nbsp;</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>8
        173 &nbsp;</B></P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>Total
        assets</B></P></TD>
    <TD valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>12
        498 &nbsp;</B></P></TD>
    <TD valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>13
        046 &nbsp;</B></P></TD>
    <TD valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>13
        800 &nbsp;</B></P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=334.133>&nbsp;</TD>
    <TD valign=bottom width=100.8>&nbsp;</TD>
    <TD valign=bottom width=100.8>&nbsp;</TD>
    <TD valign=bottom width=100.667>&nbsp;</TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt"><B><U>LIABILITIES
        AND SHAREHOLDERS' EQUITY</U></B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; font-family:Arial; font-size:9pt" align=center>&nbsp;</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>Current
        liabilities:</B></P></TD>
    <TD valign=bottom width=100.8>&nbsp;</TD>
    <TD valign=bottom width=100.8>&nbsp;</TD>
    <TD valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; font-family:Arial; font-size:9pt">&nbsp;</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt">Bank
        overdrafts</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>34
        &nbsp;</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>37
        &nbsp;</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>58
        &nbsp;</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt">Current
        portion of long-term debt</P></TD>
    <TD valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>150
        &nbsp;</P></TD>
    <TD valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>158
        &nbsp;</P></TD>
    <TD valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>133
        &nbsp;</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt">Trade
        accounts payable</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>1
        099 &nbsp;</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>1
        027 &nbsp;</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>1
        352 &nbsp;</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt">Other
        payables and accrued liabilities </P></TD>
    <TD valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>755
        &nbsp;</P></TD>
    <TD valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>852
        &nbsp;</P></TD>
    <TD valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>776
        &nbsp;</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt">Deferred
        tax liabilities</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>7
        &nbsp;</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>7
        &nbsp;</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>17
        &nbsp;</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt">Accrued
        income tax</P></TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>167
        &nbsp;</P></TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>157
        &nbsp;</P></TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>176
        &nbsp;</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>Total
        current liabilities</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>2
        212 &nbsp;</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>2
        238 &nbsp;</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>2
        512 &nbsp;</B></P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=334.133>&nbsp;</TD>
    <TD valign=bottom width=100.8>&nbsp;</TD>
    <TD valign=bottom width=100.8>&nbsp;</TD>
    <TD valign=bottom width=100.667>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt">Long-term
        debt</P></TD>
    <TD valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>1
        692 &nbsp;</P></TD>
    <TD valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>1
        702 &nbsp;</P></TD>
    <TD valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>1
        767 &nbsp;</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt">Reserve
        for pension and termination indemnities</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>254
        &nbsp;</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>265
        &nbsp;</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>285
        &nbsp;</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt">Long-term
        deferred tax liabilities</P></TD>
    <TD valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>46
        &nbsp;</P></TD>
    <TD valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>50
        &nbsp;</P></TD>
    <TD valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>63
        &nbsp;</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt">Other
        non-current liabilities</P></TD>
    <TD style="background-color:#99CCFF; border-bottom:0.5pt solid #000000" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>20
        &nbsp;</P></TD>
    <TD style="background-color:#99CCFF; border-bottom:0.5pt solid #000000" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>22
        &nbsp;</P></TD>
    <TD style="background-color:#99CCFF; border-bottom:0.5pt solid #000000" valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>15
        &nbsp;</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; font-family:Arial; font-size:9pt"><B>&nbsp;</B></P></TD>
    <TD valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>2
        012 &nbsp;</B></P></TD>
    <TD valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>2
        039 &nbsp;</B></P></TD>
    <TD valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>2
        130 &nbsp;</B></P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>Total
        liabilities</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>4
        224 &nbsp;</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>4
        277 &nbsp;</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>4
        642 &nbsp;</B></P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt">Commitment
        and contingencies</P></TD>
    <TD valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; font-family:Arial; font-size:9pt"><B>&nbsp;</B></P></TD>
    <TD valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; font-family:Arial; font-size:9pt"><B>&nbsp;</B></P></TD>
    <TD valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; font-family:Arial; font-size:9pt"><B>&nbsp;</B></P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>Minority
        interests</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>49
        &nbsp;</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>49
        &nbsp;</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>48
        &nbsp;</B></P></TD>
  </TR>
  <TR>
    <TD valign=top width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; font-family:Arial; font-size:9pt">Common
        stock <SMALL>(preferred stock:540,000,000 shares authorized, not issued;
        common stock:Euro 1.04 nominal value, 1,200,000,000 shares authorized,
        905,517,780 shares issued, 892,117,780 shares outstanding)</SMALL></P></TD>
    <TD valign=top width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>1
        150 &nbsp;</P></TD>
    <TD valign=top width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>1
        150 &nbsp;</P></TD>
    <TD valign=top width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>1
        150 &nbsp;</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt">Capital
        surplus</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>1
        927 &nbsp;</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>1
        925 &nbsp;</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>1
        924 &nbsp;</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt">Accumulated
        result</P></TD>
    <TD valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>5
        156 &nbsp;</P></TD>
    <TD valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>5
        237 &nbsp;</P></TD>
    <TD valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>5
        268 &nbsp;</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt">Accumulated
        other comprehensive income</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>340
        &nbsp;</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>756
        &nbsp;</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>1
        116 &nbsp;</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt">Treasury
        stock</P></TD>
    <TD style="border-bottom:0.25pt solid #000000" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-348
        &nbsp;</P></TD>
    <TD style="border-bottom:0.25pt solid #000000" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-348
        &nbsp;</P></TD>
    <TD style="border-bottom:0.25pt solid #000000" valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-348
        &nbsp;</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>Shareholders'
        equity</B></P></TD>
    <TD style="background-color:#99CCFF; border-bottom:0.25pt solid #000000" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>8
        225 &nbsp;</B></P></TD>
    <TD style="background-color:#99CCFF; border-bottom:0.25pt solid #000000" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>8
        720 &nbsp;</B></P></TD>
    <TD style="background-color:#99CCFF; border-bottom:0.25pt solid #000000" valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>9
        110 &nbsp;</B></P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=334.133><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>Total
        liabilities and shareholders' equity</B></P></TD>
    <TD style="border-bottom:1.5pt solid #000000" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>12
        498 &nbsp;</B></P></TD>
    <TD style="border-bottom:1.5pt solid #000000" valign=bottom width=100.8><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>13
        046 &nbsp;</B></P></TD>
    <TD style="border-bottom:1.5pt solid #000000" valign=bottom width=100.667><P style="margin-top:0pt; margin-bottom:1.8pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>13
        800 &nbsp;</B></P></TD>
  </TR>
</TABLE>
<P style="margin:0pt; font-family:Arial; font-size:12pt"><BR>
<BR></P>
<P style="margin:0pt; font-family:Arial" align=center>12</P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt"><BR></P>
<HR style="padding-top:7.2pt; padding-bottom:7.2pt" noshade size=1.333>
<P style="page-break-before:always; margin:0pt; font-family:Arial; font-size:12pt"><BR></P>
<TABLE style="font-size:10pt" cellspacing=0 align=center>
  <TR>
    <TD valign=bottom width=435 colspan=3><P style="margin:0pt; line-height:14pt; font-family:Arial; font-size:12pt"><font size="3"><B>STMicroelectronics
        N.V.</B></font></P></TD>
    <TD valign=bottom width=99.8>&nbsp;</TD>
    <TD valign=bottom width=101.6>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=435 colspan=3><P style="margin:0pt; line-height:14pt; font-family:Arial; font-size:12pt"><font size="3"><B>Consolidated
        Statements of Cash Flows</B></font></P></TD>
    <TD valign=bottom width=99.8>&nbsp;</TD>
    <TD valign=bottom width=101.6>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=10.667>&nbsp;</TD>
    <TD valign=bottom width=10.8>&nbsp;</TD>
    <TD valign=bottom width=413.533>&nbsp;</TD>
    <TD valign=bottom width=201.4 colspan=2><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=center><B>&nbsp;Six
        Months Ended </B></P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=10.667>&nbsp;</TD>
    <TD valign=bottom width=10.8>&nbsp;</TD>
    <TD valign=bottom width=413.533>&nbsp;</TD>
    <TD valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=center><B>July
        2, </B></P></TD>
    <TD valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=center><B>June
        26,</B></P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=435 colspan=3><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>In
        million of U.S. dollars</B></P></TD>
    <TD valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=center><B>2005</B></P></TD>
    <TD valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=center><B>2004</B></P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=435 colspan=3>&nbsp;</TD>
    <TD valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=center>(unaudited)</P></TD>
    <TD valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=center>(unaudited)</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=435 colspan=3><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>Cash
        flows from operating activities:</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=99.8>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=101.6>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=10.667>&nbsp;</TD>
    <TD valign=bottom width=424.333 colspan=2><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Net
        income (loss)</P></TD>
    <TD valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-5</P></TD>
    <TD valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>225</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=10.667>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=424.333 colspan=2><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Items
        to reconcile net income and cash flows from operating activities:</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=99.8>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=101.6>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=10.667>&nbsp;</TD>
    <TD valign=bottom width=10.8>&nbsp;</TD>
    <TD valign=bottom width=413.533><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Depreciation
        and amortization</P></TD>
    <TD valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>1
        003</P></TD>
    <TD valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>858</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=10.667>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=10.8>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=413.533><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Amortization
        of discount on convertible debt</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>2</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>21</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=10.667>&nbsp;</TD>
    <TD valign=bottom width=10.8>&nbsp;</TD>
    <TD valign=bottom width=413.533><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Loss
        on extinguishment of convertible debt</P></TD>
    <TD valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>0</P></TD>
    <TD valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>4</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=10.667>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=10.8>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=413.533><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Other
        non-cash items</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>0</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-5</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=10.667>&nbsp;</TD>
    <TD valign=bottom width=10.8>&nbsp;</TD>
    <TD valign=bottom width=413.533><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Minority
        interest in net income of subsidiaries</P></TD>
    <TD valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>0</P></TD>
    <TD valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>1</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=10.667>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=10.8>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=413.533><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Deferred
        income tax</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-39</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-7</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=10.667>&nbsp;</TD>
    <TD valign=bottom width=10.8>&nbsp;</TD>
    <TD valign=bottom width=413.533><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Impairment,
        restructuring charges and other related <BR>
        closure costs, net of cash payments</P></TD>
    <TD valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>68</P></TD>
    <TD valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>20</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=10.667>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=424.333 colspan=2><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Changes
        in assets and liabilities:</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=99.8>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=101.6>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=10.667>&nbsp;</TD>
    <TD valign=bottom width=10.8>&nbsp;</TD>
    <TD valign=bottom width=413.533><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>Trade
        receivables, net</B></P></TD>
    <TD valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-98</P></TD>
    <TD valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-201</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=10.667>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=10.8>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=413.533><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>Inventories,
        net</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-116</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>12</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=10.667>&nbsp;</TD>
    <TD valign=bottom width=10.8>&nbsp;</TD>
    <TD valign=bottom width=413.533><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>Trade
        payables</B></P></TD>
    <TD valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>47</P></TD>
    <TD valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>235
      </P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=10.667>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=10.8>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=413.533><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>Other
        assets and liabilities, net</B></P></TD>
    <TD style="background-color:#99CCFF; border-bottom:0.5pt solid #000000" valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-94</P></TD>
    <TD style="background-color:#99CCFF; border-bottom:0.5pt solid #000000" valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-102</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=435 colspan=3><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>Net
        cash from operating activities</B></P></TD>
    <TD valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>768
        </B></P></TD>
    <TD valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>1
        061</B></P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=435 colspan=3><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>Cash
        flows from investing activities:</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=99.8>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=101.6>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=10.667>&nbsp;</TD>
    <TD valign=bottom width=424.333 colspan=2><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Payment
        for purchases of tangible assets</P></TD>
    <TD valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-927</P></TD>
    <TD valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-908</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=10.667>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=424.333 colspan=2><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Payment
        for purchases of marketable securities</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-525</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-1
        030</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=10.667>&nbsp;</TD>
    <TD valign=bottom width=424.333 colspan=2><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Investment
        in intangible and financial assets</P></TD>
    <TD valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-34</P></TD>
    <TD valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-31</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=10.667>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=424.333 colspan=2><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Payment
        for acquisitions, net of cash received</P></TD>
    <TD style="background-color:#99CCFF; border-bottom:0.5pt solid #000000" valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>0</P></TD>
    <TD style="background-color:#99CCFF; border-bottom:0.5pt solid #000000" valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-3</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=435 colspan=3><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>Net
        cash used in investing activities</B></P></TD>
    <TD valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>-1
        486</B></P></TD>
    <TD valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>-1
        972</B></P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=435 colspan=3><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>Cash
        flows from financing activities:</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=99.8>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=101.6>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=10.667>&nbsp;</TD>
    <TD valign=bottom width=424.333 colspan=2><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Proceeds
        from issuance of long-term debt</P></TD>
    <TD valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>25</P></TD>
    <TD valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>0</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=10.667>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=424.333 colspan=2><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Repayment
        of long-term debt</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-40</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-300</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=10.667>&nbsp;</TD>
    <TD valign=bottom width=424.333 colspan=2><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Decrease
        in short-term facilities</P></TD>
    <TD valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-19</P></TD>
    <TD valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-37</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=10.667>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=424.333 colspan=2><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Capital
        increase</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>3</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>16</P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=10.667>&nbsp;</TD>
    <TD valign=bottom width=424.333 colspan=2><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Dividends
        paid</P></TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-107</P></TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-107</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=435 colspan=3><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>Net
        cash used in financing activities</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>-138</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>-428</B></P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=10.667>&nbsp;</TD>
    <TD valign=bottom width=424.333 colspan=2><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt">Effect
        of changes in exchange rates</P></TD>
    <TD valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-19</P></TD>
    <TD valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right>-3</P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=435 colspan=3><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>Net
        cash decrease</B></P></TD>
    <TD style="background-color:#99CCFF; border-bottom:1.5pt solid #000000" valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>-875</B></P></TD>
    <TD style="background-color:#99CCFF; border-bottom:1.5pt solid #000000" valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>-1
        342</B></P></TD>
  </TR>
  <TR>
    <TD valign=bottom width=435 colspan=3><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>Cash
        and cash equivalents at beginning of the period</B></P></TD>
    <TD valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>1
        950</B></P></TD>
    <TD valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>2
        998</B></P></TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=435 colspan=3><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt"><B>Cash
        and cash equivalents at end of the period</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=99.8><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>1
        075</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=101.6><P style="margin:0pt; line-height:11pt; font-family:Arial; font-size:9pt" align=right><B>1
        656</B></P></TD>
  </TR>
</TABLE>
<P style="margin:0pt; font-family:Arial; font-size:12pt"><BR>
<BR></P>
<P style="margin:0pt; font-family:Arial" align=center>13</P>


<HR style="padding-top:7.2pt; padding-bottom:7.2pt" noshade size=1.333>
<P style="page-break-before:always; margin:0pt; font-family:Arial; font-size:12pt"><BR></P>


<P style="margin-top:4.6pt; margin-bottom:27.5pt; line-height:13pt; font-family:Arial; font-size:11pt" align=center><B>SIGNATURES</B></P>
<P style="margin-top:0pt; margin-bottom:45.85pt; text-indent:28pt; line-height:13pt; font-family:Arial; font-size:11pt" align=justify>Pursuant to the requirements of the Securities Exchange Act of 1934, STMicroelectronics N.V. has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.</P>
<TABLE align="center" cellspacing=0 style="font-size:10pt">
  <TR><TD valign=bottom width=48.267>&nbsp;</TD><TD valign=bottom width=224>&nbsp;</TD><TD valign=bottom width=39.2>&nbsp;</TD><TD valign=bottom width=302.667><P style="margin-top:4.6pt; margin-bottom:4.6pt; line-height:13pt; font-family:Arial; font-size:11pt"><B>STMICROELECTRONICS N.V.</B></P>
</TD></TR>
<TR><TD valign=bottom width=48.267>&nbsp;</TD><TD valign=bottom width=224>&nbsp;</TD><TD valign=bottom width=39.2>&nbsp;</TD><TD valign=bottom width=302.667>&nbsp;</TD></TR>
<TR><TD valign=bottom width=48.267>&nbsp;</TD><TD valign=bottom width=224><P style="margin-top:4.6pt; margin-bottom:4.6pt; line-height:13pt; font-family:Arial; font-size:11pt">Date: &nbsp;July 27, 2005</P>
</TD><TD valign=bottom width=39.2><P style="margin-top:4.6pt; margin-bottom:4.6pt; line-height:13pt; font-family:Arial; font-size:11pt">By:</P>
</TD><TD style="border-bottom:0.5pt solid #000000" valign=bottom width=302.667><P style="margin-top:0pt; margin-bottom:4.6pt; text-indent:54.75pt; line-height:13pt; font-family:Arial; font-size:11pt">//s/ &nbsp;CARLO FERRO</P>
</TD></TR>
<TR><TD valign=bottom width=48.267>&nbsp;</TD><TD valign=bottom width=224>&nbsp;</TD><TD valign=bottom width=39.2>&nbsp;</TD><TD valign=bottom width=302.667>&nbsp;</TD></TR>
<TR><TD valign=bottom width=48.267>&nbsp;</TD><TD valign=bottom width=224>&nbsp;</TD><TD valign=bottom width=39.2>&nbsp;</TD><TD valign=bottom width=302.667><P style="margin-top:4.6pt; margin-bottom:-13pt; line-height:13pt; font-family:Arial; font-size:11pt">Name:</P>
<P style="margin-top:0pt; margin-bottom:4.6pt; text-indent:52.65pt; line-height:13pt; font-family:Arial; font-size:11pt">Carlo Ferro</P>
</TD></TR>
<TR><TD valign=bottom width=48.267>&nbsp;</TD><TD valign=bottom width=224>&nbsp;</TD><TD valign=bottom width=39.2>&nbsp;</TD><TD valign=bottom width=302.667><P style="margin-top:4.6pt; margin-bottom:-13pt; line-height:13pt; font-family:Arial; font-size:11pt">Title:</P>
<P style="margin-top:0pt; margin-bottom:4.6pt; text-indent:52.65pt; line-height:13pt; font-family:Arial; font-size:11pt">Executive Vice President and </P>
<P style="margin-top:4.6pt; margin-bottom:4.6pt; line-height:13pt; font-family:Arial; font-size:11pt">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Chief Financial Officer</P>
</TD></TR>
<TR><TD valign=bottom width=48.267>&nbsp;</TD><TD valign=bottom width=224>&nbsp;</TD><TD valign=bottom width=39.2>&nbsp;</TD><TD valign=bottom width=302.667>&nbsp;</TD></TR>
</TABLE>
<P style="margin-top:4.15pt; margin-bottom:4.15pt; font-family:Arial" align=justify><BR></P>
<P style="margin-top:4.15pt; margin-bottom:4.15pt; font-family:Arial" align=justify><BR>
</P>
<P style="margin-top:4.6pt; margin-bottom:-13pt; padding-left:70.9pt; text-indent:-70.9pt; line-height:13pt; font-family:Arial; font-size:11pt" align=justify>Enclosure:
</P>
<P style="margin-top:0pt; margin-bottom:4.6pt; padding-left:70.9pt; line-height:13pt; font-family:Arial; font-size:11pt" align=justify>A
  press release dated July 26, 2005, announcing 2005 second quarter results /
  first half revenues and earnings.</P>
<P style="margin-top:4.15pt; margin-bottom:4.15pt; font-family:Arial" align=justify><BR>
</P>
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-----END PRIVACY-ENHANCED MESSAGE-----
