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Proc-Type: 2001,MIC-CLEAR
Originator-Name: webmaster@www.sec.gov
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<SEC-DOCUMENT>0001308179-05-000089.txt : 20051026
<SEC-HEADER>0001308179-05-000089.hdr.sgml : 20051026
<ACCEPTANCE-DATETIME>20051026141147
ACCESSION NUMBER:		0001308179-05-000089
CONFORMED SUBMISSION TYPE:	6-K
PUBLIC DOCUMENT COUNT:		4
CONFORMED PERIOD OF REPORT:	20051026
FILED AS OF DATE:		20051026
DATE AS OF CHANGE:		20051026

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:		051156603

	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>STMICROELECTRONICS FROM 6-K
<TEXT>
<!doctype html public "-//IETF//DTD HTML//EN">
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<HEAD>
<TITLE>STMicroelectronics Reports 2004 First Quarter Revenues and Earnings</TITLE>
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<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 October 26, 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 <FONT FACE="Wingdings"><img src="check.gif" width="14" height="14" align="absmiddle"></FONT>
  Form 40-F <FONT FACE="Wingdings"><img src="uncheck.gif" width="14" height="14" align="absmiddle"></FONT></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
  <FONT FACE="Wingdings"><img src="uncheck.gif" width="14" height="14" align="absmiddle"></FONT>
  No <FONT FACE="Wingdings"><img src="check.gif" width="14" height="14" align="absmiddle"></FONT></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
  <FONT FACE="Wingdings"><img src="uncheck.gif" width="14" height="14" align="absmiddle"></FONT>
  No <FONT FACE="Wingdings"><img src="check.gif" width="14" height="14" align="absmiddle"></FONT></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 October 25, 2005, announcing third quarter and nine month
  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>
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<P style="margin:0pt; padding-left:9pt; text-indent:-9pt; font-family:Times New Roman; font-size:16pt" align=center><B><img src="stmicrologo.jpg" width="701" height="264" align="middle"><BR>
  </B></P>
<P style="margin:0pt; padding-left:9pt; text-indent:-9pt; font-family:Times New Roman; font-size:16pt" align=center><B><BR></B></P>
<P style="margin:0pt; padding-left:9pt; text-indent:-9pt; font-family:Times New Roman; font-size:16pt" align=center><B><BR></B></P>
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<P style="margin:0pt; padding-left:9pt; text-indent:-9pt; font-family:Times New Roman; font-size:12pt" align=justify>&nbsp;
</P>
<P style="margin:0pt; padding-left:9pt; text-indent:-9pt; font-family:Times New Roman; font-size:16pt" align=center><B><BR></B></P>
<P style="margin:0pt; padding-left:9pt; text-indent:-9pt; font-family:Times New Roman; font-size:16pt" align=center><B><BR></B></P>
<P style="margin:0pt; padding-left:9pt; text-indent:-9pt; line-height:18pt; font-family:Times New Roman; font-size:16pt" align=center><B>STMicroelectronics Reports 2005 Third Quarter and Nine Month Revenues and Earnings</B></P>
<P style="margin:0pt; padding-left:9pt; text-indent:-9pt; font-family:Times New Roman; font-size:16pt" align=center><B><BR></B></P>
<P style="margin-top:5pt; margin-bottom:0pt; font-family:Times New Roman; font-size:12pt" align=justify><B><BR></B></P>
<P style="margin-top:5pt; margin-bottom:0pt; font-family:Times New Roman; font-size:12pt" align=justify><B><BR></B></P>
<P style="margin-top:5pt; margin-bottom:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><B>Geneva, October 25, 2005 - </B>STMicroelectronics (NYSE: STM) reported financial results for the third quarter and nine months ended October 1, 2005.</P>
<P style="margin-top:5pt; margin-bottom:0pt; padding-left:1.45pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><B><U>Revenues, Gross Profit, and Margin Review</U></B></P>
<P style="margin-top:5pt; margin-bottom:0pt; padding-left:1.45pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify>Net revenues for the third quarter were $2,247 million, up 3.9% sequentially from the $2,162 million reported in the prior quarter, and 0.7% above the $2,231 million reported in last year&#146;s third quarter.<B> </B>Sequential sales growth was primarily driven by wireless<I> </I>and computer peripheral applications, both of which also experienced strong double-digit, year-over-year sales growth.<I> </I></P>
<P style="margin-top:5pt; margin-bottom:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify>Gross profit increased 7.3% to $766 million from $714 million in the second quarter of 2005. Gross margin was 34.1% in the third quarter compared to 33.0% in the prior quarter. Enhanced product mix and manufacturing performance drove the improvements in gross profit and gross margin,<I> </I>more than offsetting continuing price pressure, especially in memory and standard products<I>. &nbsp;</I></P>
<P style="margin-top:5pt; margin-bottom:0pt; padding-left:1.45pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><B><U>Operating Expenses </U></B></P>
<P style="margin-top:5pt; margin-bottom:0pt; padding-left:1.45pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify>Research and development expenses in the third quarter were $401 million compared to $423 million in the prior quarter. Selling, general, and administrative expenses were $248 million for the 2005 third quarter, down from $255 million in the prior quarter. Combined SG&amp;A and R&amp;D expenses in the third quarter were 28.9% of net revenues, improving from 31.4% in the second quarter. The decrease in operating expenses was largely attributable to specific cost-control actions coupled with seasonal factors.</P>
<P style="margin-top:5pt; margin-bottom:0pt; padding-left:1.45pt; font-family:Times New Roman; font-size:12pt" align=justify><B><U><BR></U></B></P>
<P style="margin-top:5pt; margin-bottom:0pt; padding-left:1.45pt; font-family:Times New Roman; font-size:12pt" align=justify><B><U><BR>
<BR></U></B></P>
<P style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=center>1</P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<HR style="padding-top:7.2pt; padding-bottom:7.2pt" noshade size=1.333>
<P style="page-break-before:always; margin-top:5pt; margin-bottom:0pt; padding-left:1.45pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><B><U>Operating Income, Net Income, and Earnings per Share</U></B></P>
<P style="margin-top:5pt; margin-bottom:0pt; padding-left:1.45pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify>For the 2005 third quarter, the Company reported operating income of $102 million and net income of $89 million, or $0.10 per share. In the prior quarter the Company reported operating income of $12 million and net income of $26 million, or $0.03 per share. &nbsp;</P>
<P style="margin-top:5pt; margin-bottom:0pt; padding-left:1.45pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify>The Company posted $12 million of impairment, restructuring charges, and other related closure costs during the 2005 third quarter. In the prior quarter, restructuring related expenses were $22 million. </P>
<P style="margin-top:5pt; margin-bottom:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify>In the third quarter, the effective average exchange rate for the Company was approximately $1.30 to &#8364;1, similar to second quarter levels.</P>
<P style="margin-top:5pt; margin-bottom:0pt; padding-left:2pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><B><U>Cash Flow and Balance Sheet Highlights </U></B></P>
<P style="margin:0pt; padding-left:2pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<P style="margin:0pt; padding-left:2pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify>Net cash from operating activities in the third quarter was $475 million compared to $409 million in the prior quarter. Capital expenditures were $284 million in the 2005 third quarter, compared to $363 million in the prior quarter. Net operating cash flow* &nbsp;for the third quarter increased to $173 million, compared to $23 million in the second quarter.</P>
<P style="margin-top:5pt; margin-bottom:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify>At October 1, 2005, ST had cash, cash equivalents, and marketable securities of $1.77 billion. Total debt was $1.84 billion; net financial debt was reduced from $276 million at the end of the prior quarter to $71 million at October l, 2005; shareholders&#146; equity was $8.4 billion. </P>
<P style="margin:0pt; font-family:Times New Roman" align=justify><BR></P>
<P style="margin:0pt; font-family:Times New Roman" align=justify>(<FONT FACE="Symbol"><SUP>*</SUP></FONT>) Net operating cash flow is defined as net cash from operating activities ($475 million in the third quarter of 2005) minus net cash used in investing activities ($302 million in the third quarter of 2005) excluding payments for purchase of and proceeds from the sale of marketable securities ($0 in the third quarter of 2005).</P>
<P style="margin-top:5pt; margin-bottom:0pt; padding-left:1.45pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><B><U>President and CEO Remarks</U></B></P>
<P style="margin-top:5pt; margin-bottom:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><B>Carlo Bozotti, President and Chief Executive Officer commented, &#147;ST&#146;s third quarter financial performance, which was well in line with our outlook, showed sequential improvements in revenues, gross margin, and earnings per share. Additionally, we were pleased by the significant increase in net operating cash flow resulting from our capital management. </B></P>
<P style="margin-top:5pt; margin-bottom:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><B>The quarter was also a period of steady progress across all of our key objectives:</B></P>
<P style="margin-top:5pt; margin-bottom:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><B>- &nbsp;ST had a good level of sequential sales growth in several key markets, led by wireless. The effort to expand the key customer base also continued to gain momentum. In addition, reflecting the importance of China and ST&#146;s leading presence there, we created a new regional organization focused exclusively on this key market;</B></P>
<P style="margin-top:5pt; margin-bottom:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><B>- On the product front, we continue to gain traction in the acceptance of our new products. From wireless connectivity ASSP solutions to a new wave of high-definition digital consumer offerings, we are compiling important design wins which will help drive sales and margin improvement in 2006 and beyond;</B></P>
<P style="margin-top:5pt; margin-bottom:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><B>&nbsp;- Finally, our manufacturing cost-reduction initiatives are moving forward steadily and contributed to the improved results in the quarter. </B></P>
<P style="margin-top:5pt; margin-bottom:0pt; font-family:Times New Roman; font-size:12pt" align=justify><B><BR>
<BR></B></P>
<P style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=center>2</P>
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<P style="page-break-before:always; margin-top:5pt; margin-bottom:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><B>In summary, we are on track with our roadmap to improve overall corporate performance. Our efforts are starting to become visible with improvements in most of our key metrics to date. Nonetheless, there is more work to be done.&#148; </B></P>
<P style="margin:0pt; font-family:Times New Roman" align=justify><BR></P>
<P style="margin-top:5pt; margin-bottom:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><B><U>Additional Third Quarter 2005 Financial and Operating Data </U></B></P>
<P style="margin-top:5pt; margin-bottom:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" 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. &nbsp;</P>
<P style="margin-top:5pt; margin-bottom:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><B>Net Revenues and Operating Income (Loss) by Group:</B></P>
<P style="margin-top:5pt; margin-bottom:0pt; font-family:Times New Roman; font-size:12pt" align=justify><B><BR></B></P>
<TABLE style="font-size:10pt" cellspacing=0 align=center><TR><TD style="border:0.5pt solid #000000" valign=bottom width=369><P style="margin:0pt; line-height:10pt; font-family:Times New Roman; font-size:8pt" align=justify><B>In Million US$</B></P>
</TD><TD style="border-top:0.5pt solid #000000; border-right:0.5pt solid #000000; border-bottom:0.5pt solid #000000" valign=top width=236.533 colspan=3><P style="margin:0pt; font-family:Times New Roman" align=justify><B>Q3 2005</B></P>
</TD></TR>
<TR><TD style="border-left:0.5pt solid #000000; border-right:0.5pt solid #000000; border-bottom:0.5pt solid #000000" valign=bottom width=369><P style="margin:0pt; line-height:13pt; font-family:Times New Roman; font-size:11pt" align=justify><B>Group</B></P>
</TD><TD style="border-bottom:0.5pt solid #000000" valign=bottom width=80><P style="margin-top:0pt; margin-bottom:5pt; font-family:Times New Roman" align=justify><B>Net Revenues</B></P>
</TD><TD style="border-bottom:0.5pt solid #000000" valign=bottom width=80><P style="margin-top:0pt; margin-bottom:5pt; font-family:Times New Roman" align=center><B>%
        of Net Revenues</B></P>
</TD><TD style="border-right:0.5pt solid #000000; border-bottom:0.5pt solid #000000" valign=bottom width=76.533><P style="margin-top:0pt; margin-bottom:4.15pt; font-family:Times New Roman" align=justify><B>Operating income (loss)</B></P>
</TD></TR>
<TR><TD style="border-left:0.5pt solid #000000; border-right:0.5pt solid #000000" valign=bottom width=369><P style="margin:0pt; font-family:Times New Roman" align=justify><B>&nbsp;</B></P>
</TD><TD valign=bottom width=80><P style="margin:0pt; font-family:Times New Roman" align=justify><B>&nbsp;</B></P>
</TD><TD valign=bottom width=80>&nbsp;</TD><TD style="border-right:0.5pt solid #000000" valign=bottom width=76.533><P style="margin:0pt; font-family:Times New Roman" align=justify><B>&nbsp;</B></P>
</TD></TR>
<TR><TD style="background-color:#99CCFF; border-left:0.5pt solid #000000; border-right:0.5pt solid #000000" valign=bottom width=369><P style="margin:0pt; font-family:Times New Roman" align=justify><B>Application Specific Product Groups* </B></P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=80><P style="margin:0pt; font-family:Times New Roman" align=right>1,263</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=80><P style="margin:0pt; font-family:Times New Roman" align=right>56.2%</P>
</TD><TD style="background-color:#99CCFF; border-right:0.5pt solid #000000" valign=bottom width=76.533><P style="margin:0pt; font-family:Times New Roman" align=right>81</P>
</TD></TR>
<TR><TD style="border-left:0.5pt solid #000000; border-right:0.5pt solid #000000" valign=bottom width=369><P style="margin:0pt; font-family:Times New Roman" align=justify><B>MLD (Microcontroller, Linear &amp; Discrete Group)</B></P>
</TD><TD valign=bottom width=80><P style="margin:0pt; font-family:Times New Roman" align=right>472</P>
</TD><TD valign=bottom width=80><P style="margin:0pt; font-family:Times New Roman" align=right>21.0%</P>
</TD><TD style="border-right:0.5pt solid #000000" valign=bottom width=76.533><P style="margin:0pt; font-family:Times New Roman" align=right>68</P>
</TD></TR>
<TR><TD style="background-color:#99CCFF; border-left:0.5pt solid #000000; border-right:0.5pt solid #000000" valign=bottom width=369><P style="margin:0pt; font-family:Times New Roman" align=justify><B>MPG (Memory Products Group)</B></P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=80><P style="margin:0pt; font-family:Times New Roman" align=right>501</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=80><P style="margin:0pt; font-family:Times New Roman" align=right>22.3%</P>
</TD><TD style="background-color:#99CCFF; border-right:0.5pt solid #000000" valign=bottom width=76.533><P style="margin:0pt; font-family:Times New Roman" align=right>(17)</P>
</TD></TR>
<TR><TD style="border-left:0.5pt solid #000000; border-right:0.5pt solid #000000" valign=bottom width=369><P style="margin:0pt; font-family:Times New Roman" align=justify><B>Others (1)(2)</B></P>
</TD><TD valign=bottom width=80><P style="margin:0pt; font-family:Times New Roman" align=right>11</P>
</TD><TD valign=bottom width=80><P style="margin:0pt; font-family:Times New Roman" align=right>0.5%</P>
</TD><TD style="border-right:0.5pt solid #000000" valign=bottom width=76.533><P style="margin:0pt; font-family:Times New Roman" align=right>(30)</P>
</TD></TR>
<TR><TD style="background-color:#99CCFF; border-left:0.5pt solid #000000; border-right:0.5pt solid #000000; border-bottom:0.5pt solid #000000" valign=bottom width=369><P style="margin:0pt; font-family:Times New Roman" align=justify><B>&nbsp;</B></P>
</TD><TD style="background-color:#99CCFF; border-bottom:0.5pt solid #000000" valign=bottom width=80><P style="margin:0pt; font-family:Times New Roman" align=right>&nbsp;</P>
</TD><TD style="background-color:#99CCFF; border-bottom:0.5pt solid #000000" valign=bottom width=80>&nbsp;</TD><TD style="background-color:#99CCFF; border-right:0.5pt solid #000000; border-bottom:0.5pt solid #000000" valign=bottom width=76.533><P style="margin:0pt; font-family:Times New Roman" align=right>&nbsp;</P>
</TD></TR>
<TR><TD style="border-left:0.5pt solid #000000; border-right:0.5pt solid #000000; border-bottom:0.5pt solid #000000" valign=bottom width=369><P style="margin:0pt; font-family:Times New Roman" align=justify><B>TOTAL</B></P>
</TD><TD style="border-bottom:0.5pt solid #000000" valign=bottom width=80><P style="margin:0pt; font-family:Times New Roman" align=right>2,247 </P>
</TD><TD style="border-bottom:0.5pt solid #000000" valign=bottom width=80><P style="margin:0pt; font-family:Times New Roman" align=right>100%</P>
</TD><TD style="border-right:0.5pt solid #000000; border-bottom:0.5pt solid #000000" valign=bottom width=76.533><P style="margin:0pt; font-family:Times New Roman" align=right>102</P>
</TD></TR>
</TABLE>
<P style="margin:0pt; font-family:Times New Roman" align=justify>* Automotive; Computer Peripheral; and Home, Personal, and Communication products</P>
<P style="margin:0pt; font-family:Times New Roman" align=justify>(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; font-family:Times New Roman" align=justify>(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:0pt; font-family:Times New Roman" align=justify><BR></P>
<P style="margin-top:5pt; margin-bottom:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify>All product groups increased revenues and improved their operating margins on a sequential basis. Application Specific Product Groups&#146; revenue increased 2.3% sequentially, and operating profit increased nearly 13% to $81 million. MLD sales were up 2.7% and operating income was up nearly 5%. MPG sales grew 10.5% sequentially and the group had an operating loss of $17 million, a significant improvement from the $66 million loss recorded in the prior quarter. Flash memory sales increased 17% sequentially to $345 million.<I> </I></P>
<P style="margin-top:5pt; margin-bottom:0pt; padding-left:1.15pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><B>Q3 2005 Net Revenues Breakdown by Market Segment</B></P>
<P style="margin-top:5pt; margin-bottom:0pt; padding-left:1.15pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" 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 third quarter of 2005.</P>
<P style="margin-top:5pt; margin-bottom:0pt; padding-left:1.15pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<P style="margin-top:5pt; margin-bottom:0pt; padding-left:1.15pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<P style="margin-top:5pt; margin-bottom:0pt; padding-left:1.15pt; font-family:Times New Roman; font-size:12pt" align=justify><BR>
<BR></P>
<P style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=center>3</P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<HR style="padding-top:7.2pt; padding-bottom:7.2pt" noshade size=1.333>
<P style="page-break-before:always; margin-top:5pt; margin-bottom:0pt; padding-left:1.15pt; font-family:Times New Roman; font-size:12pt" align=justify><BR>
<BR></P>
<TABLE align="center" cellspacing=0 style="font-size:10pt">
  <TR><TD style="border:0.5pt solid #000000" valign=top width=247.2 colspan=2><P style="margin-top:6pt; margin-bottom:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><B>% of Net Revenues</B></P>
</TD></TR>
<TR><TD style="border-left:0.5pt solid #000000; border-right:0.5pt solid #000000; border-bottom:0.5pt solid #000000" valign=top width=159.2><P style="margin-top:6pt; margin-bottom:6pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><B>Automotive</B></P>
<P style="margin-top:0pt; margin-bottom:6pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><B>Consumer</B></P>
<P style="margin-top:0pt; margin-bottom:6pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><B>Computer</B></P>
<P style="margin-top:0pt; margin-bottom:6pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><B>Telecom</B></P>
<P style="margin-top:0pt; margin-bottom:6pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><B>Industrial &amp; Others</B></P>
</TD><TD style="border-right:0.5pt solid #000000; border-bottom:0.5pt solid #000000" valign=top width=88><P style="margin-top:6pt; margin-bottom:6pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify>15%</P>
<P style="margin-top:6pt; margin-bottom:6pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify>17%</P>
<P style="margin-top:0pt; margin-bottom:6pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify>18%</P>
<P style="margin-top:0pt; margin-bottom:6pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify>36%</P>
<P style="margin-top:0pt; margin-bottom:6pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify>14%</P>
</TD></TR>
</TABLE>
<P style="margin-top:5pt; margin-bottom:0pt; padding-left:1.15pt; font-family:Times New Roman; font-size:12pt" align=justify><B><BR>
  </B></P>
<P style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify>Three of the five market segments experienced sequential sales increases, with both Telecom and Computer growing faster than the Company average of 3.9%. Specifically, Telecom, the Company&#146;s largest segment, grew approximately 9% followed by Computer which grew approximately 8%. Consumer reported a slight sequential increase of approximately 1%. Automotive declined approximately 4% while Industrial &amp; Others was essentially flat.</P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt"><B><U><BR></U></B></P>
<P style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt"><B><U>First Nine Months 2005 Results </U></B></P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<P style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify>Net revenues for the first nine months of 2005 were $6,493 million, an increase of 0.9% over the 2004 first nine months revenues of $6,432 million. Gross profit was $2,165 million, or 33.3% of net revenues, compared to $2,376 million or 36.9% of net revenues for the 2004 first nine months. Operating income was $47 million compared to $473 million in last year&#146;s first nine months. Net income was $83 million, or $0.09 per share, compared to net income of $414 million, or $0.45 per diluted share in last year&#146;s first nine months. Net income included $137 million of aggregate charges for pre-tax impairment, restructuring charges, other related closure costs, and one-time compensation charges for the 2005 first nine months compared to $57 million of charges for pre-tax impairment, restructuring charges and other related closure costs for the 2004 first nine months.</P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<P style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify>Research and development expenses were $1,228 million, compared to $1,131 million in the 2004 first nine months. Selling, general, and administrative expenses were $766 million compared to $702 million in the same period in 2004. </P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<A NAME="OLE_LINK1"></A><P style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify>Capital expenditures for the first three quarters of 2005 were $1,211 million, consistent with the 2005 full year capital budget of $1.5 billion.</P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<P style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify>In the 2005 first nine months, the effective average exchange rate for the Company was approximately $1.30 to &#8364;1, compared to $1.23 to &#8364;1 in last year&#8217;s first nine months. </P>
<P style="margin-top:5pt; margin-bottom:0pt; font-family:Times New Roman; font-size:12pt" align=justify><B><BR></B></P>
<P style="margin-top:5pt; margin-bottom:0pt; font-family:Times New Roman; font-size:12pt" align=justify><B><BR></B></P>
<P style="margin-top:5pt; margin-bottom:0pt; font-family:Times New Roman; font-size:12pt" align=justify><B><BR></B></P>
<P style="margin-top:5pt; margin-bottom:0pt; font-family:Times New Roman; font-size:12pt" align=justify><B><BR>
<BR></B></P>
<P style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=center>4</P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<HR style="padding-top:7.2pt; padding-bottom:7.2pt" noshade size=1.333>
<P style="page-break-before:always; margin-top:5pt; margin-bottom:0pt; line-height:20pt; font-family:Times New Roman; font-size:12pt" align=justify><B>First Nine Months 2005 Net Revenues and Operating Income (Loss) by Group:</B></P>
<TABLE style="font-size:10pt" cellspacing=0 align=center><TR><TD style="border:0.5pt solid #000000" valign=bottom width=369><P style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:8pt" align=justify><B>In Million US$</B></P>
</TD><TD style="border-top:0.5pt solid #000000; border-right:0.5pt solid #000000; border-bottom:0.5pt solid #000000" valign=top width=236.533 colspan=3><P style="margin:0pt; line-height:17pt; font-family:Times New Roman" align=justify><B>First Nine Months 2005</B></P>
</TD></TR>
<TR><TD style="border-left:0.5pt solid #000000; border-right:0.5pt solid #000000; border-bottom:0.5pt solid #000000" valign=bottom width=369><P style="margin:0pt; line-height:13pt; font-family:Times New Roman; font-size:11pt" align=justify><B>Group</B></P>
</TD><TD style="border-bottom:0.5pt solid #000000" valign=bottom width=80><P style="margin-top:0pt; margin-bottom:5pt; font-family:Times New Roman" align=justify><B>Net Revenues</B></P>
</TD><TD style="border-bottom:0.5pt solid #000000" valign=bottom width=80><P style="margin-top:0pt; margin-bottom:5pt; font-family:Times New Roman" align=center><B>%
        of Net Revenues</B></P>
</TD><TD style="border-right:0.5pt solid #000000; border-bottom:0.5pt solid #000000" valign=bottom width=76.533><P style="margin-top:0pt; margin-bottom:4.15pt; font-family:Times New Roman" align=center><B>Operating
        income (loss)</B></P>
</TD></TR>
<TR><TD style="border-left:0.5pt solid #000000; border-right:0.5pt solid #000000" valign=bottom width=369><P style="margin:0pt; font-family:Times New Roman" align=justify><B>&nbsp;</B></P>
</TD><TD valign=bottom width=80><P style="margin:0pt; font-family:Times New Roman" align=justify><B>&nbsp;</B></P>
</TD><TD valign=bottom width=80>&nbsp;</TD><TD style="border-right:0.5pt solid #000000" valign=bottom width=76.533><P style="margin:0pt; font-family:Times New Roman" align=justify><B>&nbsp;</B></P>
</TD></TR>
<TR><TD style="background-color:#99CCFF; border-left:0.5pt solid #000000; border-right:0.5pt solid #000000" valign=bottom width=369><P style="margin:0pt; font-family:Times New Roman" align=justify><B>Application Specific Product Groups* </B></P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=80><P style="margin:0pt; font-family:Times New Roman" align=right>3,686</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=80><P style="margin:0pt; font-family:Times New Roman" align=right>56.8%</P>
</TD><TD style="background-color:#99CCFF; border-right:0.5pt solid #000000" valign=bottom width=76.533><P style="margin:0pt; font-family:Times New Roman" align=right>218</P>
</TD></TR>
<TR><TD style="border-left:0.5pt solid #000000; border-right:0.5pt solid #000000" valign=bottom width=369><P style="margin:0pt; font-family:Times New Roman" align=justify><B>MLD (Microcontroller, Linear &amp; Discrete Group)</B></P>
</TD><TD valign=bottom width=80><P style="margin:0pt; font-family:Times New Roman" align=right>1,388</P>
</TD><TD valign=bottom width=80><P style="margin:0pt; font-family:Times New Roman" align=right>21.4%</P>
</TD><TD style="border-right:0.5pt solid #000000" valign=bottom width=76.533><P style="margin:0pt; font-family:Times New Roman" align=right>204</P>
</TD></TR>
<TR><TD style="background-color:#99CCFF; border-left:0.5pt solid #000000; border-right:0.5pt solid #000000" valign=bottom width=369><P style="margin:0pt; font-family:Times New Roman" align=justify><B>MPG (Memory Products Group)</B></P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=80><P style="margin:0pt; font-family:Times New Roman" align=right>1,375</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=80><P style="margin:0pt; font-family:Times New Roman" align=right>21.2%</P>
</TD><TD style="background-color:#99CCFF; border-right:0.5pt solid #000000" valign=bottom width=76.533><P style="margin:0pt; font-family:Times New Roman" align=right>(145)</P>
</TD></TR>
<TR><TD style="border-left:0.5pt solid #000000; border-right:0.5pt solid #000000" valign=bottom width=369><P style="margin:0pt; font-family:Times New Roman" align=justify><B>Others (1)(2)</B></P>
</TD><TD valign=bottom width=80><P style="margin:0pt; font-family:Times New Roman" align=right>44</P>
</TD><TD valign=bottom width=80><P style="margin:0pt; font-family:Times New Roman" align=right>0.6%</P>
</TD><TD style="border-right:0.5pt solid #000000" valign=bottom width=76.533><P style="margin:0pt; font-family:Times New Roman" align=right>(230)</P>
</TD></TR>
<TR><TD style="background-color:#99CCFF; border-left:0.5pt solid #000000; border-right:0.5pt solid #000000; border-bottom:0.5pt solid #000000" valign=bottom width=369><P style="margin:0pt; font-family:Times New Roman" align=justify><B>&nbsp;</B></P>
</TD><TD style="background-color:#99CCFF; border-bottom:0.5pt solid #000000" valign=bottom width=80><P style="margin:0pt; font-family:Times New Roman" align=right>&nbsp;</P>
</TD><TD style="background-color:#99CCFF; border-bottom:0.5pt solid #000000" valign=bottom width=80>&nbsp;</TD><TD style="background-color:#99CCFF; border-right:0.5pt solid #000000; border-bottom:0.5pt solid #000000" valign=bottom width=76.533><P style="margin:0pt; font-family:Times New Roman" align=right>&nbsp;</P>
</TD></TR>
<TR><TD style="border-left:0.5pt solid #000000; border-right:0.5pt solid #000000; border-bottom:0.5pt solid #000000" valign=bottom width=369><P style="margin:0pt; font-family:Times New Roman" align=justify><B>TOTAL</B></P>
</TD><TD style="border-bottom:0.5pt solid #000000" valign=bottom width=80><P style="margin:0pt; font-family:Times New Roman" align=right>6,493 </P>
</TD><TD style="border-bottom:0.5pt solid #000000" valign=bottom width=80><P style="margin:0pt; font-family:Times New Roman" align=right>100%</P>
</TD><TD style="border-right:0.5pt solid #000000; border-bottom:0.5pt solid #000000" valign=bottom width=76.533><P style="margin:0pt; font-family:Times New Roman" align=right>47</P>
</TD></TR>
</TABLE>
<P style="margin:0pt; font-family:Times New Roman" align=justify>* (1) and (2) defined in a previous table</P>
<P style="margin-top:5pt; margin-bottom:0pt; font-family:Times New Roman; font-size:12pt" align=justify><B><U><BR></U></B></P>
<P style="margin-top:5pt; margin-bottom:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><B><U>Outlook</U></B></P>
<P style="margin-top:5pt; margin-bottom:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><B>Mr. Bozotti observed, &#147;We believe that moderate industry growth will continue into the final quarter of 2005 and through 2006. Within these dynamics, we expect that ST will continue to make solid progress in improving the performance of the Company thanks to our ongoing marketing, R&amp;D, and cost actions.</B></P>
<P style="margin-top:5pt; margin-bottom:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><B>Accordingly, we expect that ST&#146;s sequential revenue growth in the fourth quarter will be in the range between 3% and 9%. Gross margin for the fourth quarter is expected to be about 36%, plus or minus one percentage point.&#148;</B></P>
<P style="margin-top:5pt; margin-bottom:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify>This guidance is based on an effective currency exchange rate for the Company of approximately $1.22 = &#8364;1, which reflects current exchange rate levels combined with the impact of existing hedging contracts.</P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><B><U><BR></U></B></P>
<P style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><B><U>Products, Technology and Design Wins</U></B></P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><B><U><BR></U></B></P>
<P style="margin-top:0pt; margin-bottom:-14pt; padding-left:36pt; text-indent:-18pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify>&#183;</P>
<P style="margin:0pt; padding-left:36pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><FONT FACE="Times New Roman">In the digital consumer field, the company gained multiple design wins for both the STB7100 and STi7109 single-chip H.264 high-definition TV (HDTV) decoders with various OEMs addressing the worldwide operator market. Volume production of the STB7100 HD decoder is also ramping up in 90nm technology for use in IP set-top boxes (STBs) from major European operators. And, in the European cable market, multiple operators have adopted the STB5100 as the CPU/decoder solution for interactive DOCSIS-based set-top boxes.</FONT></P>
<P style="margin:0pt; padding-left:18pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<P style="margin-top:0pt; margin-bottom:-14pt; padding-left:36pt; text-indent:-18pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify>&#183;</P>
<P style="margin:0pt; padding-left:36pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><FONT FACE="Times New Roman">ST announced its first range of STB decoders to embed Secure Video Processor (SVP) capability, the next-generation open specification for the protection of digital-video content. The two new devices &#150; the STB5525, which is also ST&#146;s first single-chip solution to support dual TV and dual DVR (Digital Video Recorder) requirements in standard-definition STBs, and the STB5524, which targets the growing DVR market &#150; are ideal for satellite, cable, and terrestrial TV services.</FONT></P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR>
<BR></P>
<P style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=center>5</P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><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:-14pt; padding-left:36pt; text-indent:-18pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify>&#183;</P>
<P style="margin:0pt; padding-left:36pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><FONT FACE="Times New Roman">The Company announced the STx5300 family of MPEG-2 decoder chips for low-cost STBs and DVD recording that anticipate the increasing demands of interactive TV applications by increasing the available computing power by over five times compared to earlier devices. The chip uses the company&#146;s most advanced processor core, the ST200 VLIW (Very Long Instruction Word) family, whose high performance has been certified at 300MHz by the Embedded Microprocessor Benchmark Consortium and is intended for use in high-performance multimedia System-on-Chip (SoC) devices.</FONT></P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<P style="margin-top:0pt; margin-bottom:-14pt; padding-left:36pt; text-indent:-18pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify>&#183;</P>
<P style="margin:0pt; padding-left:36pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><FONT FACE="Times New Roman">ST gained further success in Bluetooth as the company&#146;s single-chip STLC2500 recorded several design wins with major mobile phone manufacturers. And in audio applications, Taiwanese company TwinMos selected ST&#146;s audio Bluetooth chipset for its high-quality audio&nbsp;wireless applications, and has started production of Bluetooth wireless speakers and audio dongles. </FONT></P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<P style="margin-top:0pt; margin-bottom:-14pt; padding-left:36pt; text-indent:-18pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify>&#183;</P>
<P style="margin:0pt; padding-left:36pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><FONT FACE="Times New Roman">In imaging, ST&#146;s 2-megapixel SMIA-based camera modules and image processors are now in volume production for use in mobile phones. </FONT></P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<P style="margin-top:0pt; margin-bottom:-14pt; padding-left:36pt; text-indent:-18pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify>&#183;</P>
<P style="margin:0pt; padding-left:36pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><FONT FACE="Times New Roman">In the wireline infrastructure area, ST won a major ASIC design, which will be implemented in ST&#146;s leading-edge 65nm process technology. This design, won with a large telecomms customer, confirms the leading role played by ST in state-of-the-art ASICs.</FONT></P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<P style="margin-top:0pt; margin-bottom:-14pt; padding-left:36pt; text-indent:-18pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify>&#183;</P>
<P style="margin:0pt; padding-left:36pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><FONT FACE="Times New Roman">For healthcare applications, ST introduced a lab-on-chip application for DNA-based detection of sepsis-causing bacteria, using a diagnostic panel from ST&#146;s bio-tech partner, Mobidiag, and running on ST&#146;s In-Check platform. Providing faster and more reliable results at a fraction of the cost and complexity of conventional laboratory systems, the miniaturized solution enables early detection of disease, resulting in better patient treatment choices and lower costs for healthcare systems. </FONT></P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<P style="margin-top:0pt; margin-bottom:-14pt; padding-left:36pt; text-indent:-18pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify>&#183;</P>
<P style="margin:0pt; padding-left:36pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><FONT FACE="Times New Roman">In automotive, ST&#146;s strategic partnership with Bosch has been reinforced with the signature of an agreement for ST&#146;s next-generation BCD6S smart power process. Also in smart power, ST gained a significant design win in battery charging from an important European OEM. </FONT></P>
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<P style="margin-top:0pt; margin-bottom:-14pt; padding-left:36pt; text-indent:-18pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify>&#183;</P>
<P style="margin:0pt; padding-left:36pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><FONT FACE="Times New Roman">In the power train area, ST won designs for several new kits with two major American OEMs for the European and American markets. In the car body area, ST signed with a major North American OEM for an advanced smart body-control module. </FONT></P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<P style="margin-top:0pt; margin-bottom:-14pt; padding-left:36pt; text-indent:-18pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify>&#183;</P>
<P style="margin:0pt; padding-left:36pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><FONT FACE="Times New Roman">In car safety, ST has extended its reach into the Japanese market by winning a design from an important new OEM. Also in car safety, ST won a design for a new ABS chipset with a major American OEM for the worldwide market. </FONT></P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<P style="margin-top:0pt; margin-bottom:-14pt; padding-left:36pt; text-indent:-18pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify>&#183;</P>
<P style="margin:0pt; padding-left:36pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><FONT FACE="Times New Roman">In car radio and multimedia, ST won a design for an advanced digital-input audio power amplifier with a leading North American customer for the 2007 model year. And finally in automotive, ST announced that it had shipped a cumulative total of approximately 10.5 million XM Satellite Radio Baseband Decoders to radio manufacturers, since starting production in 2001. The 10.5 million XM Radio decoders have been delivered to equipment manufacturers including Delphi and Pioneer, for vehicle, portable and home radio receivers. </FONT></P>
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<P style="margin-top:0pt; margin-bottom:-14pt; padding-left:36pt; text-indent:-18pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify>&#183;</P>
<P style="margin:0pt; padding-left:36pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><FONT FACE="Times New Roman">In
  peripherals, ST started shipments of an advanced SATA (Serial ATA) SoC to a
  major hard-disk drive manufacturer. Additionally, ST, in conjunction with Synopsys,
  conducted and successfully completed interoperability testing of its 90nm SATA
  MIPHY (Multi-Interface PHY) Physical Layer interface macro-cell, aimed at designers
  integrating SATA functions into SoC designs for hard-disk drive applications.
  </FONT></P>
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<BR></P>
<P style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=center>6</P>
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<HR style="padding-top:7.2pt; padding-bottom:7.2pt" noshade size=1.333>
<P style="page-break-before:always; margin:0pt; padding-left:36pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify>&nbsp;</P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<P style="margin-top:0pt; margin-bottom:-14pt; padding-left:36pt; text-indent:-18pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify>&#183;</P>
<P style="margin:0pt; padding-left:36pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><FONT FACE="Times New Roman">In smart cards, ST announced that its established ST22L128 32-bit secure microcontroller has received &#147;Common Criteria&#148; security certification at Evaluation Assurance Level EAL5+ (Augmented), the first 0.18-micron 32-bit secure MCU to be certified at this level. </FONT></P>
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<P style="margin-top:0pt; margin-bottom:-14pt; padding-left:36pt; text-indent:-18pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify>&#183;</P>
<P style="margin:0pt; padding-left:36pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><FONT FACE="Times New Roman">ST announced volume production of the ST19WP18 Trusted Platform Module, and confirmed that more than one million of the TCG 1.2 (Trusted Computing Group) solutions, complete with software stack, had been delivered to a number of major PC motherboard makers. </FONT></P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<P style="margin-top:0pt; margin-bottom:-14pt; padding-left:36pt; text-indent:-18pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify>&#183;</P>
<P style="margin:0pt; padding-left:36pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><FONT FACE="Times New Roman">In RFID, ST introduced an ultra-high frequency contactless memory chip, compliant with the latest Electronic Product Code&#8482; (EPC) specifications. ST&#8217;s XRAG2 RFID chip delivers interoperability, enhanced security, and optimized performance for next-generation supply-chain and logistics applications.</FONT></P>
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<P style="margin-top:0pt; margin-bottom:-14pt; padding-left:36pt; text-indent:-18pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify>&#183;</P>
<P style="margin:0pt; padding-left:36pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><FONT FACE="Times New Roman">In NOR Flash, multiple leading mobile phone manufacturers started platform development based on&nbsp;ST&#146;s 90nm 2-bit per cell 512-Mbit NOR Flash. In NAND Flash, ST started high-volume shipments of 1.8V 2-Gbit NAND Flash in 90nm technology to a market-leading multimedia-phone manufacturer. Also, production of ST&#146;s 128-Mbit NAND Flash device was transferred to 90nm process technology. The shrink to 90nm reduces both the cost and the power consumption of the memory chip, which is widely used in consumer equipment such as digital still cameras, audio recorders, PDAs, STBs, printers, and bundled Flash cards.&nbsp;</FONT></P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<P style="margin-top:0pt; margin-bottom:-14pt; padding-left:36pt; text-indent:-18pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify>&#183;</P>
<P style="margin:0pt; padding-left:36pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><FONT FACE="Times New Roman">In microcontrollers, ST won a design for its ST7232A 8-bit microcontroller at one of the top five Chinese air-conditioner manufacturers. ST also expanded its family of USB MCUs with new products in its ST7263B series, which has become the reference solution for a range of USB-based peripheral products. ST also announced 8-bit ST7Lite Flash microcontrollers for control applications, adding new embedded peripherals to the established ST7Lite feature set. </FONT></P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<P style="margin-top:0pt; margin-bottom:-14pt; padding-left:36pt; text-indent:-18pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify>&#183;</P>
<P style="margin:0pt; padding-left:36pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><FONT FACE="Times New Roman">In power, ST introduced a reference-design platform for the emerging electronic power-meter market. The versatility and low-cost provided by electronic meters allows manufacturers to implement features that were impractical with older mechanical designs, such as protecting against meter tampering and theft of service; and automatic meter reading. </FONT></P>
<P style="margin:0pt; padding-left:18pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<P style="margin-top:0pt; margin-bottom:-14pt; padding-left:36pt; text-indent:-18pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify>&#183;</P>
<P style="margin:0pt; padding-left:36pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><FONT FACE="Times New Roman">ST won an important design with a major North American server manufacturer for its low-voltage power MOSFET, the STSJ100NHS3LL, which is implemented in ST&#146;s proprietary STripFET&#8482; III technology. ST also announced production of the first devices built using the second generation of its MDmesh&#8482; high-voltage power MOSFET technology. </FONT></P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<P style="margin-top:0pt; margin-bottom:-14pt; padding-left:36pt; text-indent:-18pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify>&#183;</P>
<P style="margin:0pt; padding-left:36pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><FONT FACE="Times New Roman">In high-end analog ICs, ST gained a&nbsp;design-win&nbsp;with a major Asian manufacturer for&nbsp;its new Gamma-Correction circuit for LCD panel applications. </FONT></P>
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</P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><I><BR>
<BR></I></P>
<P style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=center>7</P>
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<P style="page-break-before:always; margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify>&nbsp;</P>
<P style="margin:0pt; text-indent:16.7pt; font-family:Times New Roman; font-size:12pt" align=justify><I><BR></I></P><P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify></P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<P style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" 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:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify>&nbsp;</P>

<P style="margin-top:0pt; margin-bottom:-14pt; padding-left:36pt; text-indent:-18pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><I>&#183;</I></P>
<P style="margin:0pt; padding-left:36pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><I></I><FONT FACE="Times New Roman"><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></FONT></P>
<P style="margin-top:0pt; margin-bottom:-14pt; padding-left:36pt; text-indent:-18pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><I>&#183;</I></P>
<P style="margin:0pt; padding-left:36pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><I></I><FONT FACE="Times New Roman"><I>pricing pressures, losses, or curtailments of purchases from key customers as well as inventory adjustments from distributors or other customers;</I></FONT></P>
<P style="margin:0pt; padding-left:18pt; font-family:Times New Roman; font-size:12pt" align=justify><I><BR></I></P>
<P style="margin-top:0pt; margin-bottom:-14pt; padding-left:36pt; text-indent:-18pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><I>&#183;</I></P>
<P style="margin:0pt; padding-left:36pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><I></I><FONT FACE="Times New Roman"><I>changes
  in the exchange rates between the US Dollar and the Euro, compared to the effective
  exchange rate of approximately $1.22= &#8364;1.00, and between the US Dollar
  and the currencies of the other major countries in which we have our operating
  infrastructure;</I></FONT></P>
<P style="margin-top:0pt; margin-bottom:-14pt; padding-left:36pt; text-indent:-18pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><I>&#183;</I></P>
<P style="margin:0pt; padding-left:36pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><I></I><FONT FACE="Times New Roman"><I>our ability to develop new products in time to obtain design wins as well as our ability to timely supply such products to meet market demand;</I></FONT></P>
<P style="margin-top:0pt; margin-bottom:-14pt; padding-left:36pt; text-indent:-18pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><I>&#183;</I></P>
<P style="margin:0pt; padding-left:36pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><I></I><FONT FACE="Times New Roman"><I>our ability to complete, successfully and in a timely manner, our various announced &nbsp;initiatives to improve the efficiency of our research and development programs, our manufacturing, and our overall corporate performance;</I></FONT></P>
<P style="margin-top:0pt; margin-bottom:-14pt; padding-left:36pt; text-indent:-18pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><I>&#183;</I></P>
<P style="margin:0pt; padding-left:36pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><I></I><FONT FACE="Times New Roman"><I>the anticipated benefits of research &amp; development alliances and cooperative activities;</I></FONT></P>
<P style="margin-top:0pt; margin-bottom:-14pt; padding-left:36pt; text-indent:-18pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><I>&#183;</I></P>
<P style="margin:0pt; padding-left:36pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><I></I><FONT FACE="Times New Roman"><I>the ability of our suppliers to meet our demands for products and to offer competitive pricing;</I></FONT></P>
<P style="margin-top:0pt; margin-bottom:-14pt; padding-left:36pt; text-indent:-18pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><I>&#183;</I></P>
<P style="margin:0pt; padding-left:36pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><I></I><FONT FACE="Times New Roman"><I>changes in the economic, social, or political environment, as well as natural events such as severe weather, health risks, epidemics or earthquakes in the countries in which we and our key customers operate; and</I></FONT></P>
<P style="margin-top:0pt; margin-bottom:-14pt; padding-left:36pt; text-indent:-18pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><I>&#183;</I></P>
<P style="margin:0pt; padding-left:36pt; line-height:14pt; font-family:Symbol; font-size:12pt" align=justify><I></I><FONT FACE="Times New Roman"><I>our ability to obtain required licenses on third-party intellectual property.</I></FONT></P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><I><BR></I></P>
<P style="margin-top:0pt; margin-bottom:10.2pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" 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-looking statements. Certain such forward-looking statements can be identified by the use of forward-looking terminology such as &#147;believes,&#148; &#147;may,&#148; &#147;will,&#148; &#147;should,&#148; &#147;would be,&#148; &#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 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:10.2pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><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:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><B><U><BR></U></B></P>
<P style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><B><U>Conference Call Information </U></B></P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<P style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify>The management of STMicroelectronics will conduct a conference call on Wednesday, October 26, 2005, at 9:00 a.m. U.S. Eastern Time / 3:00 p.m. CET, to discuss operating performance for the third quarter of 2005.</P>
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<BR></P>
<P style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=center>8</P>
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<HR style="padding-top:7.2pt; padding-bottom:7.2pt" noshade size=1.333>
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<P style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" 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 Friday, November 4, 2005.</P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><B><U><BR></U></B></P>
<P style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><B><U>About STMicroelectronics</U></B></P>
<P style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" 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 www.st.com.</P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR>
</P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><B><U><BR></U></B></P>
<P style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><B><U>For further information, please contact:</U></B></P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><I><BR></I></P>
<P style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><I>INVESTOR RELATIONS:</I></P>
<P style="margin-top:0pt; margin-bottom:-12pt; font-family:Times New Roman" align=justify>Stanley March</P>
<P style="margin-top:0pt; margin-bottom:-12pt; text-indent:168pt; font-family:Times New Roman" align=justify>Benoit de Leusse</P>
<P style="margin:0pt; text-indent:312pt; font-family:Times New Roman" align=justify>Fabrizio Rossini</P>
<P style="margin-top:0pt; margin-bottom:-12pt; font-family:Times New Roman" align=justify>Vice President, Investor Relations</P>
<P style="margin-top:0pt; margin-bottom:-12pt; text-indent:168pt; font-family:Times New Roman" align=justify>Director, Investor Relations</P>
<P style="margin:0pt; text-indent:312pt; font-family:Times New Roman" align=justify>Investor Relations Senior Manager</P>
<P style="margin-top:0pt; margin-bottom:-12pt; font-family:Times New Roman" align=justify>Tel: +1.212.821.89.39</P>
<P style="margin-top:0pt; margin-bottom:-12pt; text-indent:168pt; font-family:Times New Roman" align=justify>Tel&nbsp;: &nbsp;+41.22.929.58.12</P>
<P style="margin:0pt; text-indent:312pt; font-family:Times New Roman" align=justify>Tel&nbsp;: +41.22.929.69.73</P>
<P style="margin-top:0pt; margin-bottom:-12pt; font-family:Times New Roman" align=justify>Fax&nbsp;: +1.212.821.89.23</P>
<P style="margin-top:0pt; margin-bottom:-12pt; text-indent:168pt; font-family:Times New Roman" align=justify>Fax : +41.22.929.69.61</P>
<P style="margin:0pt; text-indent:312pt; font-family:Times New Roman" align=justify>Fax&nbsp;: +41.22.929.69.61</P>
<P style="margin-top:0pt; margin-bottom:-12pt; font-family:Times New Roman" align=justify>Email: <U>stan.march@st.com</U></P>
<P style="margin-top:0pt; margin-bottom:-12pt; text-indent:168pt; font-family:Times New Roman" align=justify>Email:<U>benoit.de-leusse@st.com</U></P>
<P style="margin:0pt; text-indent:312pt; font-family:Times New Roman" align=justify>Email: <U>fabrizio.rossini@st.com</U></P>
<P style="margin:0pt; font-family:CG Times; font-size:12pt" align=justify><I><BR></I></P>
<P style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify><I>MEDIA RELATIONS:</I></P>
<P style="margin-top:0pt; margin-bottom:-12pt; font-family:Times New Roman" align=justify>Maria
  Grazia Prestini<br>
  Director, Corporate Media Relations<br>
  Tel: +41.2.29.29.69.45<br>
  Fax: +41.2.29.29.69.50<br>
Email:<U> mariagrazia.prestini@st.com</U> </P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR>
<BR></P>
<P style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=center>9</P>
<P style="margin:0pt; font-family:Times New Roman; font-size:12pt" align=justify><BR></P>
<HR style="padding-top:7.2pt; padding-bottom:7.2pt" noshade size=1.333>
<P style="page-break-before:always; margin-top:5pt; margin-bottom:0pt; padding-left:1.45pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify>
<P style="margin:0pt; font-family:Times New Roman"><BR>
<BR>
<BR></P>
<TABLE style="font-size:10pt" cellspacing=0 align=center>
  <TR>
    <TD valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman"><B>STMicroelectronics
        N.V.</B></P></TD>
    <TD valign=bottom width=92.333>&nbsp;</TD>
    <TD valign=bottom width=96.8>&nbsp;</TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman"><B>Consolidated
        Statements of Income</B></P></TD>
    <TD valign=bottom width=92.333>&nbsp;</TD>
    <TD valign=bottom width=96.8>&nbsp;</TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman"><B>(in
        million of U.S. dollars, except per share data ($))</B></P></TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=92.333>&nbsp;</TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=96.8>&nbsp;</TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=373.2>&nbsp;</TD>
    <TD valign=bottom width=17.467>&nbsp;</TD>
    <TD style="border-right:0.5pt solid #000000" valign=bottom width=17.533>&nbsp;</TD>
    <TD style="border-right:0.5pt solid #000000" width=189.133 colspan=2><P style="margin:0pt; font-family:Times New Roman" align=center>&nbsp;</P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=373.2>&nbsp;</TD>
    <TD valign=bottom width=17.467>&nbsp;</TD>
    <TD style="border-right:0.5pt solid #000000" valign=bottom width=17.533>&nbsp;</TD>
    <TD style="border-right:0.5pt solid #000000; border-bottom:0.5pt solid #000000" width=189.133 colspan=2><P style="margin:0pt; font-family:Times New Roman" align=center><B>Three
        Months Ended</B></P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=373.2>&nbsp;</TD>
    <TD valign=bottom width=17.467>&nbsp;</TD>
    <TD valign=bottom width=17.533>&nbsp;</TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=center>(Unaudited)</P></TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=center>(Unaudited)</P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=373.2>&nbsp;</TD>
    <TD valign=bottom width=17.467>&nbsp;</TD>
    <TD valign=bottom width=17.533>&nbsp;</TD>
    <TD valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right>October
        1,</P></TD>
    <TD valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right>September
        25,</P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=373.2>&nbsp;</TD>
    <TD valign=bottom width=17.467>&nbsp;</TD>
    <TD valign=bottom width=17.533>&nbsp;</TD>
    <TD valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right><U>2005</U></P></TD>
    <TD valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right><U>2004</U></P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=373.2>&nbsp;</TD>
    <TD valign=bottom width=17.467>&nbsp;</TD>
    <TD valign=bottom width=17.533>&nbsp;</TD>
    <TD valign=bottom width=92.333>&nbsp;</TD>
    <TD valign=bottom width=96.8>&nbsp;</TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=373.2><P style="margin:0pt; font-family:Times New Roman">Net
        sales</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=17.467>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=17.533>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right>2,246</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right>2,231</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=390.667 colspan=2><P style="margin:0pt; font-family:Times New Roman">Other
        revenues</P></TD>
    <TD valign=bottom width=17.533>&nbsp;</TD>
    <TD valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right>1</P></TD>
    <TD valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right>0</P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=390.667 colspan=2><P style="margin:0pt; font-family:Times New Roman"><B>&nbsp;&nbsp;NET
        REVENUES</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=17.533>&nbsp;</TD>
    <TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right><B>2,247</B></P></TD>
    <TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>2,231</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=390.667 colspan=2><P style="margin:0pt; font-family:Times New Roman">Cost
        of sales</P></TD>
    <TD valign=bottom width=17.533>&nbsp;</TD>
    <TD valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right>-1,481</P></TD>
    <TD valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right>-1,386</P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=390.667 colspan=2><P style="margin:0pt; font-family:Times New Roman"><B>&nbsp;&nbsp;GROSS
        PROFIT</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=17.533>&nbsp;</TD>
    <TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right><B>766</B></P></TD>
    <TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>845</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman">Selling,
        general and administrative</P></TD>
    <TD valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right>-248</P></TD>
    <TD valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right>-233</P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman">Research
        and development</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right>-401</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right>-384</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman">Other
        income and expenses, net</P></TD>
    <TD valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right>-3</P></TD>
    <TD valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right>-3</P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman">Impairment,
        restructuring charges and other related closure costs</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right>-12</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right>-12</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman">&nbsp;&nbsp;Total
        Operating Expenses</P></TD>
    <TD style="border-top:0.5pt solid #000000" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right>-664</P></TD>
    <TD style="border-top:0.5pt solid #000000" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right>-632</P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman"><B>&nbsp;&nbsp;OPERATING
        INCOME</B></P></TD>
    <TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right><B>102</B></P></TD>
    <TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>213</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=390.667 colspan=2><P style="margin:0pt; font-family:Times New Roman">Interest
        income, net</P></TD>
    <TD valign=bottom width=17.533>&nbsp;</TD>
    <TD valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right>8</P></TD>
    <TD valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right>0</P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman">Loss
        on equity investments</P></TD>
    <TD style="background-color:#99CCFF; border-bottom:0.5pt solid #000000" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right>-2</P></TD>
    <TD style="background-color:#99CCFF; border-bottom:0.5pt solid #000000" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right>-2</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman"><B>&nbsp;&nbsp;INCOME
        BEFORE INCOME TAXES </B></P></TD>
    <TD valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right><B>108</B></P></TD>
    <TD valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>211</B></P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman"><B>&nbsp;&nbsp;&nbsp;AND
        MINORITY INTERESTS</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=92.333>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=96.8>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=390.667 colspan=2><P style="margin:0pt; font-family:Times New Roman">Income
        tax expense</P></TD>
    <TD valign=bottom width=17.533>&nbsp;</TD>
    <TD valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right>-18</P></TD>
    <TD valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right>-20</P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman"><B>&nbsp;&nbsp;INCOME
        BEFORE MINORITY INTERESTS</B></P></TD>
    <TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right><B>90</B></P></TD>
    <TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>191</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=390.667 colspan=2><P style="margin:0pt; font-family:Times New Roman">Minority
        interests</P></TD>
    <TD valign=bottom width=17.533>&nbsp;</TD>
    <TD valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right>-1</P></TD>
    <TD valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right>-2</P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=390.667 colspan=2><P style="margin:0pt; font-family:Times New Roman"><B>&nbsp;&nbsp;NET
        INCOME</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=17.533>&nbsp;</TD>
    <TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right><B>89</B></P></TD>
    <TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>189</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=373.2>&nbsp;</TD>
    <TD valign=bottom width=17.467>&nbsp;</TD>
    <TD valign=bottom width=17.533>&nbsp;</TD>
    <TD style="border-top:3pt double #000000" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P></TD>
    <TD style="border-top:3pt double #000000" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman"><B>&nbsp;&nbsp;EARNINGS
        PER SHARE (BASIC)</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right><B>0.10</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>0.21</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman"><B>&nbsp;&nbsp;EARNINGS
        PER SHARE (DILUTED)</B></P></TD>
    <TD valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right><B>0.10</B></P></TD>
    <TD valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>0.20</B></P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=373.2>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=17.467>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=17.533>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=92.333>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=96.8>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman"><B>&nbsp;&nbsp;NUMBER
        OF WEIGHTED AVERAGE</B></P></TD>
    <TD valign=bottom width=92.333>&nbsp;</TD>
    <TD valign=bottom width=96.8>&nbsp;</TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman"><B>&nbsp;&nbsp;SHARES
        USED IN CALCULATING</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right><b>935.5</b></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right><b>934.9</b></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman"><B>&nbsp;&nbsp;DILUTED
        EARNINGS PER SHARE</B></P></TD>
    <TD valign=bottom width=92.333><div align="right"></div></TD>
    <TD valign=bottom width=96.8><div align="right"></div></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=373.2>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=17.467>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=17.533>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=92.333>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=96.8>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=16.8>&nbsp;</TD>
  </TR>
</TABLE>
<P style="margin:0pt; font-family:Times New Roman"><BR></P>
<P style="margin:0pt; font-family:Times New Roman"><BR>
<BR></P>
<P style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" 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:0pt; font-family:Times New Roman"><BR></P>
<TABLE style="font-size:10pt" cellspacing=0 align=center>
  <TR>
    <TD valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman"><B>STMicroelectronics
        N.V.</B></P></TD>
    <TD valign=bottom width=92.333>&nbsp;</TD>
    <TD valign=bottom width=96.8>&nbsp;</TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman"><B>Consolidated
        Statements of Income</B></P></TD>
    <TD valign=bottom width=92.333>&nbsp;</TD>
    <TD valign=bottom width=96.8>&nbsp;</TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman"><B>(in
        million of U.S. dollars, except per share data ($))</B></P></TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=92.333>&nbsp;</TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=96.8>&nbsp;</TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=373.2>&nbsp;</TD>
    <TD valign=bottom width=17.467>&nbsp;</TD>
    <TD style="border-right:0.5pt solid #000000" valign=bottom width=17.533>&nbsp;</TD>
    <TD style="border-right:0.5pt solid #000000" width=189.133 colspan=2><P style="margin:0pt; font-family:Times New Roman" align=center>&nbsp;</P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=373.2>&nbsp;</TD>
    <TD valign=bottom width=17.467>&nbsp;</TD>
    <TD style="border-right:0.5pt solid #000000" valign=bottom width=17.533>&nbsp;</TD>
    <TD style="border-right:0.5pt solid #000000; border-bottom:0.5pt solid #000000" width=189.133 colspan=2><P style="margin:0pt; font-family:Times New Roman" align=center><B>Nine
        Months Ended</B></P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=373.2>&nbsp;</TD>
    <TD valign=bottom width=17.467>&nbsp;</TD>
    <TD valign=bottom width=17.533>&nbsp;</TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=center>(Unaudited)</P></TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=center>(Unaudited)</P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=373.2>&nbsp;</TD>
    <TD valign=bottom width=17.467>&nbsp;</TD>
    <TD valign=bottom width=17.533>&nbsp;</TD>
    <TD valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right>October
        1,</P></TD>
    <TD valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right>September
        25,</P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=373.2>&nbsp;</TD>
    <TD valign=bottom width=17.467>&nbsp;</TD>
    <TD valign=bottom width=17.533>&nbsp;</TD>
    <TD valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right><U>2005</U></P></TD>
    <TD valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right><U>2004</U></P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=373.2>&nbsp;</TD>
    <TD valign=bottom width=17.467>&nbsp;</TD>
    <TD valign=bottom width=17.533>&nbsp;</TD>
    <TD valign=bottom width=92.333>&nbsp;</TD>
    <TD valign=bottom width=96.8>&nbsp;</TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=373.2><P style="margin:0pt; font-family:Times New Roman">Net
        sales</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=17.467>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=17.533>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right>6,489</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right>6,429</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=390.667 colspan=2><P style="margin:0pt; font-family:Times New Roman">Other
        revenues</P></TD>
    <TD valign=bottom width=17.533>&nbsp;</TD>
    <TD valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right>4</P></TD>
    <TD valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right>3</P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=390.667 colspan=2><P style="margin:0pt; font-family:Times New Roman"><B>&nbsp;&nbsp;NET
        REVENUES</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=17.533>&nbsp;</TD>
    <TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right><B>6,493</B></P></TD>
    <TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>6,432</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=390.667 colspan=2><P style="margin:0pt; font-family:Times New Roman">Cost
        of sales</P></TD>
    <TD valign=bottom width=17.533>&nbsp;</TD>
    <TD valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right>-4,328</P></TD>
    <TD valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right>-4,056</P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=390.667 colspan=2><P style="margin:0pt; font-family:Times New Roman"><B>&nbsp;&nbsp;GROSS
        PROFIT</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=17.533>&nbsp;</TD>
    <TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right><B>2,165</B></P></TD>
    <TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>2,376</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman">Selling,
        general and administrative</P></TD>
    <TD valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right>-766</P></TD>
    <TD valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right>-702</P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman">Research
        and development</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right>-1,228</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right>-1,131</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman">Other
        income and expenses, net</P></TD>
    <TD valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right>-11</P></TD>
    <TD valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right>-13</P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman">Impairment,
        restructuring charges and other related closure costs</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right>-113</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right>-57</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman">&nbsp;&nbsp;Total
        Operating Expenses</P></TD>
    <TD style="border-top:0.5pt solid #000000" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right>-2,118</P></TD>
    <TD style="border-top:0.5pt solid #000000" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right>-1,903</P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman"><B>&nbsp;&nbsp;OPERATING
        INCOME</B></P></TD>
    <TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right><B>47</B></P></TD>
    <TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>473</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman">Interest
        income (expense), net</P></TD>
    <TD valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right>23</P></TD>
    <TD valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right>-8</P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman">Loss
        on equity investments</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right>-2</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right>-2</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman">Loss
        on extinguishment of convertible debt</P></TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right>0</P></TD>
    <TD style="border-bottom:0.5pt solid #000000" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right>-4</P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman"><B>&nbsp;&nbsp;INCOME
        BEFORE INCOME TAXES </B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right><B>68</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>459</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman"><B>&nbsp;&nbsp;&nbsp;AND
        MINORITY INTERESTS</B></P></TD>
    <TD valign=bottom width=92.333>&nbsp;</TD>
    <TD valign=bottom width=96.8>&nbsp;</TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman">Income
        tax benefit (expense)</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right>17</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right>-42</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman"><B>&nbsp;&nbsp;INCOME
        BEFORE MINORITY INTERESTS</B></P></TD>
    <TD style="border-top:0.5pt solid #000000" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right><B>85</B></P></TD>
    <TD style="border-top:0.5pt solid #000000" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>417</B></P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=390.667 colspan=2><P style="margin:0pt; font-family:Times New Roman">Minority
        interests</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=17.533>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right>-2</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right>-3</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=390.667 colspan=2><P style="margin:0pt; font-family:Times New Roman"><B>&nbsp;&nbsp;NET
        INCOME</B></P></TD>
    <TD valign=bottom width=17.533>&nbsp;</TD>
    <TD style="border-top:0.5pt solid #000000" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right><B>83</B></P></TD>
    <TD style="border-top:0.5pt solid #000000" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>414</B></P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=373.2>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=17.467>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=17.533>&nbsp;</TD>
    <TD style="background-color:#99CCFF; border-top:3pt double #000000" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P></TD>
    <TD style="background-color:#99CCFF; border-top:3pt double #000000" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman"><B>&nbsp;&nbsp;EARNINGS
        PER SHARE (BASIC)</B></P></TD>
    <TD valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right><B>0.09</B></P></TD>
    <TD valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>0.46</B></P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman"><B>&nbsp;&nbsp;EARNINGS
        PER SHARE (DILUTED)</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right><B>0.09</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>0.45</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=373.2>&nbsp;</TD>
    <TD valign=bottom width=17.467>&nbsp;</TD>
    <TD valign=bottom width=17.533>&nbsp;</TD>
    <TD valign=bottom width=92.333>&nbsp;</TD>
    <TD valign=bottom width=96.8>&nbsp;</TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman"><B>&nbsp;&nbsp;NUMBER
        OF WEIGHTED AVERAGE</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=92.333>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=96.8>&nbsp;</TD>
    <TD style="background-color:#99CCFF" valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman"><B>&nbsp;&nbsp;SHARES
        USED IN CALCULATING</B></P></TD>
    <TD valign=bottom width=92.333><P style="margin:0pt; font-family:Times New Roman" align=right><b>935.0</b></P></TD>
    <TD valign=bottom width=96.8><P style="margin:0pt; font-family:Times New Roman" align=right><b>936.9</b></P></TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD style="background-color:#99CCFF" valign=bottom width=408.2 colspan=3><P style="margin:0pt; font-family:Times New Roman"><B>&nbsp;&nbsp;DILUTED
        EARNINGS PER SHARE</B></P></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=92.333><div align="right"></div></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=96.8><div align="right"></div></TD>
    <TD style="background-color:#99CCFF" valign=bottom width=16.8>&nbsp;</TD>
  </TR>
  <TR>
    <TD valign=bottom width=373.2>&nbsp;</TD>
    <TD valign=bottom width=17.467>&nbsp;</TD>
    <TD valign=bottom width=17.533>&nbsp;</TD>
    <TD valign=bottom width=92.333>&nbsp;</TD>
    <TD valign=bottom width=96.8>&nbsp;</TD>
    <TD valign=bottom width=16.8>&nbsp;</TD>
  </TR>
</TABLE>
<P style="margin:0pt; font-family:Times New Roman"><BR></P>
<P style="margin:0pt; font-family:Times New Roman"><BR>
<BR></P>
<P style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" 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:Times New Roman"><BR></P>
<A NAME="RANGE!B1:K26"></A><TABLE style="font-size:10pt" cellspacing=0 align=center><TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=75.267><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=75.267><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=74.2><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=40.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=91.267><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=150.533 colspan=2><P style="margin:0pt; font-family:Times New Roman"><B>STMicroelectronics N.V.</B></P>
</TD><TD valign=bottom width=74.2>&nbsp;</TD><TD valign=bottom width=40.667>&nbsp;</TD><TD valign=bottom width=91.267>&nbsp;</TD><TD valign=bottom width=73.8>&nbsp;</TD><TD valign=bottom width=73.8>&nbsp;</TD><TD valign=bottom width=84.133>&nbsp;</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=356.667 colspan=5><P style="margin:0pt; font-family:Times New Roman"><B>CONSOLIDATED BALANCE SHEETS</B></P>
</TD><TD valign=bottom width=73.8>&nbsp;</TD><TD valign=bottom width=73.8>&nbsp;</TD><TD valign=bottom width=84.133>&nbsp;</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=75.267>&nbsp;</TD><TD valign=bottom width=75.267>&nbsp;</TD><TD valign=bottom width=74.2>&nbsp;</TD><TD valign=bottom width=40.667>&nbsp;</TD><TD valign=bottom width=91.267>&nbsp;</TD><TD valign=bottom width=73.8>&nbsp;</TD><TD valign=bottom width=73.8>&nbsp;</TD><TD valign=bottom width=84.133>&nbsp;</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=75.267>&nbsp;</TD><TD valign=bottom width=75.267>&nbsp;</TD><TD valign=bottom width=74.2>&nbsp;</TD><TD valign=bottom width=40.667>&nbsp;</TD><TD valign=bottom width=91.267>&nbsp;</TD><TD valign=bottom width=73.8>&nbsp;</TD><TD valign=bottom width=73.8>&nbsp;</TD><TD valign=bottom width=84.133>&nbsp;</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=75.267><P style="margin:0pt; font-family:Times New Roman"><B>As at</B></P>
</TD><TD valign=bottom width=75.267>&nbsp;</TD><TD valign=bottom width=74.2>&nbsp;</TD><TD valign=bottom width=40.667>&nbsp;</TD><TD valign=bottom width=91.267>&nbsp;</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>October 1,</P>
</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>July 2,</P>
</TD><TD valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right>December 31,</P>
</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman" align=center>&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=150.533 colspan=2><P style="margin:0pt; font-family:Times New Roman"><B>In million of U.S. dollars</B></P>
</TD><TD valign=bottom width=74.2>&nbsp;</TD><TD valign=bottom width=40.667>&nbsp;</TD><TD valign=bottom width=91.267>&nbsp;</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>2005</P>
</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>2005</P>
</TD><TD valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right>2004</P>
</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman" align=center>&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=75.267>&nbsp;</TD><TD valign=bottom width=75.267>&nbsp;</TD><TD valign=bottom width=74.2>&nbsp;</TD><TD valign=bottom width=40.667>&nbsp;</TD><TD valign=bottom width=91.267>&nbsp;</TD><TD style="border-top:0.5pt solid #000000" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>(Unaudited)</P>
</TD><TD style="border-top:0.5pt solid #000000" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>(Unaudited)</P>
</TD><TD style="border-top:0.5pt solid #000000" valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right>(Audited)</P>
</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=75.267><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=75.267><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=74.2><P style="margin:0pt; font-family:Times New Roman"><B>&nbsp;</B></P>
</TD><TD valign=bottom width=40.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=91.267><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="border-top:1pt solid #000000" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=center>&nbsp;</P>
</TD><TD style="border-top:1pt solid #000000" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=center>&nbsp;</P>
</TD><TD style="border-top:1pt solid #000000" valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=center>&nbsp;</P>
</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=75.267><P style="margin:0pt; font-family:Times New Roman"><B><U>ASSETS</U></B></P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=75.267>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=74.2>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=40.667>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=91.267>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=84.133>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=150.533 colspan=2><P style="margin:0pt; font-family:Times New Roman"><B>Current assets:</B></P>
</TD><TD valign=bottom width=74.2>&nbsp;</TD><TD valign=bottom width=40.667>&nbsp;</TD><TD valign=bottom width=91.267>&nbsp;</TD><TD valign=bottom width=73.8>&nbsp;</TD><TD valign=bottom width=73.8>&nbsp;</TD><TD valign=bottom width=84.133>&nbsp;</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=224.733 colspan=3><P style="margin:0pt; font-family:Times New Roman">Cash and cash equivalents</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=40.667>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=91.267>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>1,242</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>1,075</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right>1,950</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=150.533 colspan=2><P style="margin:0pt; font-family:Times New Roman">Marketable securities</P>
</TD><TD valign=bottom width=74.2>&nbsp;</TD><TD valign=bottom width=40.667>&nbsp;</TD><TD valign=bottom width=91.267>&nbsp;</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>525</P>
</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>525</P>
</TD><TD valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right>0</P>
</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=224.733 colspan=3><P style="margin:0pt; font-family:Times New Roman">Trade accounts receivable, net</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=40.667>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=91.267>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>1,483</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>1,468</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right>1,408</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=150.533 colspan=2><P style="margin:0pt; font-family:Times New Roman">Inventories, net</P>
</TD><TD valign=bottom width=74.2>&nbsp;</TD><TD valign=bottom width=40.667>&nbsp;</TD><TD valign=bottom width=91.267>&nbsp;</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>1,398</P>
</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>1,363</P>
</TD><TD valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right>1,344</P>
</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=150.533 colspan=2><P style="margin:0pt; font-family:Times New Roman">Deferred tax assets</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=74.2>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=40.667>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=91.267>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>182</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>154</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right>140</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=224.733 colspan=3><P style="margin:0pt; font-family:Times New Roman">Other receivables and assets</P>
</TD><TD valign=bottom width=40.667>&nbsp;</TD><TD valign=bottom width=91.267>&nbsp;</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>610</P>
</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>653</P>
</TD><TD valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right>785</P>
</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=150.533 colspan=2><P style="margin:0pt; font-family:Times New Roman"><B>Total current assets</B></P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=74.2>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=40.667>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=91.267>&nbsp;</TD><TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>5,440</B></P>
</TD><TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>5,238</B></P>
</TD><TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right><B>5,627</B></P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=75.267>&nbsp;</TD><TD valign=bottom width=75.267>&nbsp;</TD><TD valign=bottom width=74.2>&nbsp;</TD><TD valign=bottom width=40.667>&nbsp;</TD><TD valign=bottom width=91.267>&nbsp;</TD><TD valign=bottom width=73.8>&nbsp;</TD><TD valign=bottom width=73.8>&nbsp;</TD><TD valign=bottom width=84.133>&nbsp;</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=75.267><P style="margin:0pt; font-family:Times New Roman">Goodwill</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=75.267>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=74.2>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=40.667>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=91.267>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>223</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>223</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right>264</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=224.733 colspan=3><P style="margin:0pt; font-family:Times New Roman">Other intangible assets, net</P>
</TD><TD valign=bottom width=40.667>&nbsp;</TD><TD valign=bottom width=91.267>&nbsp;</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>227</P>
</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>240</P>
</TD><TD valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right>291</P>
</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=265.4 colspan=4><P style="margin:0pt; font-family:Times New Roman">Property, plant and equipment, net</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=91.267>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>6,412</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>6,618</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right>7,442</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=224.733 colspan=3><P style="margin:0pt; font-family:Times New Roman">Long-term deferred tax assets</P>
</TD><TD valign=bottom width=40.667>&nbsp;</TD><TD valign=bottom width=91.267>&nbsp;</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>53</P>
</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>59</P>
</TD><TD valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right>59</P>
</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=265.4 colspan=4><P style="margin:0pt; font-family:Times New Roman">Investments and other non-current assets</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=91.267>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>137</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>120</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right>117</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=75.267>&nbsp;</TD><TD valign=bottom width=75.267>&nbsp;</TD><TD valign=bottom width=74.2>&nbsp;</TD><TD valign=bottom width=40.667>&nbsp;</TD><TD valign=bottom width=91.267>&nbsp;</TD><TD style="border-top:0.5pt solid #000000" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>7,052</B></P>
</TD><TD style="border-top:0.5pt solid #000000" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>7,260</B></P>
</TD><TD style="border-top:0.5pt solid #000000" valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right><B>8,173</B></P>
</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=150.533 colspan=2><P style="margin:0pt; font-family:Times New Roman"><B>Total assets</B></P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=74.2>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=40.667>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=91.267>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>12,492</B></P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>12,498</B></P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right><B>13,800</B></P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=75.267>&nbsp;</TD><TD valign=bottom width=75.267>&nbsp;</TD><TD valign=bottom width=74.2>&nbsp;</TD><TD valign=bottom width=40.667>&nbsp;</TD><TD valign=bottom width=91.267>&nbsp;</TD><TD style="border-top:1pt solid #000000" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="border-top:1pt solid #000000" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="border-top:1pt solid #000000" valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=356.667 colspan=5><P style="margin:0pt; font-family:Times New Roman"><B><U>LIABILITIES AND SHAREHOLDERS' EQUITY</U></B></P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=84.133>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=150.533 colspan=2><P style="margin:0pt; font-family:Times New Roman"><B>Current liabilities:</B></P>
</TD><TD valign=bottom width=74.2>&nbsp;</TD><TD valign=bottom width=40.667>&nbsp;</TD><TD valign=bottom width=91.267>&nbsp;</TD><TD valign=bottom width=73.8>&nbsp;</TD><TD valign=bottom width=73.8>&nbsp;</TD><TD valign=bottom width=84.133>&nbsp;</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=150.533 colspan=2><P style="margin:0pt; font-family:Times New Roman">Bank overdrafts</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=74.2>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=40.667>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=91.267>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>48</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>34</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right>58</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=224.733 colspan=3><P style="margin:0pt; font-family:Times New Roman">Current portion of long-term debt</P>
</TD><TD valign=bottom width=40.667>&nbsp;</TD><TD valign=bottom width=91.267>&nbsp;</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>1,527</P>
</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>150</P>
</TD><TD valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right>133</P>
</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=224.733 colspan=3><P style="margin:0pt; font-family:Times New Roman">Trade accounts payable</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=40.667>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=91.267>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>987</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>1,099</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right>1,352</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=265.4 colspan=4><P style="margin:0pt; font-family:Times New Roman">Other payables and accrued liabilities</P>
</TD><TD valign=bottom width=91.267>&nbsp;</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>712</P>
</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>755</P>
</TD><TD valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right>776</P>
</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=150.533 colspan=2><P style="margin:0pt; font-family:Times New Roman">Deferred tax liabilities</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=74.2>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=40.667>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=91.267>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>9</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>7</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right>17</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=150.533 colspan=2><P style="margin:0pt; font-family:Times New Roman">Accrued income tax</P>
</TD><TD valign=bottom width=74.2>&nbsp;</TD><TD valign=bottom width=40.667>&nbsp;</TD><TD valign=bottom width=91.267>&nbsp;</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>163</P>
</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>167</P>
</TD><TD valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right>176</P>
</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=224.733 colspan=3><P style="margin:0pt; font-family:Times New Roman"><B>Total current liabilities</B></P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=40.667>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=91.267>&nbsp;</TD><TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>3,446</B></P>
</TD><TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>2,212</B></P>
</TD><TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right><B>2,512</B></P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=75.267>&nbsp;</TD><TD valign=bottom width=75.267>&nbsp;</TD><TD valign=bottom width=74.2>&nbsp;</TD><TD valign=bottom width=40.667>&nbsp;</TD><TD valign=bottom width=91.267>&nbsp;</TD><TD valign=bottom width=73.8>&nbsp;</TD><TD valign=bottom width=73.8>&nbsp;</TD><TD valign=bottom width=84.133>&nbsp;</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=150.533 colspan=2><P style="margin:0pt; font-family:Times New Roman">Long-term debt</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=74.2>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=40.667>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=91.267>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>263</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>1,692</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right>1,767</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=356.667 colspan=5><P style="margin:0pt; font-family:Times New Roman">Reserve for pension and termination indemnities</P>
</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>261</P>
</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>254</P>
</TD><TD valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right>285</P>
</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=224.733 colspan=3><P style="margin:0pt; font-family:Times New Roman">Long-term deferred tax liabilities</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=40.667>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=91.267>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>69</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>46</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right>63</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=224.733 colspan=3><P style="margin:0pt; font-family:Times New Roman">Other non-current liabilities</P>
</TD><TD valign=bottom width=40.667>&nbsp;</TD><TD valign=bottom width=91.267>&nbsp;</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>20</P>
</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>20</P>
</TD><TD valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right>15</P>
</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=75.267>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=75.267>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=74.2>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=40.667>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=91.267>&nbsp;</TD><TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>613</B></P>
</TD><TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>2,012</B></P>
</TD><TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right><B>2,130</B></P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=150.533 colspan=2><P style="margin:0pt; font-family:Times New Roman"><B>Total liabilities</B></P>
</TD><TD valign=bottom width=74.2>&nbsp;</TD><TD valign=bottom width=40.667>&nbsp;</TD><TD valign=bottom width=91.267>&nbsp;</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>4,059</B></P>
</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>4,224</B></P>
</TD><TD valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right><B>4,642</B></P>
</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=224.733 colspan=3><P style="margin:0pt; font-family:Times New Roman">Commitment and contingencies</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=40.667>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=91.267>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=84.133>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=150.533 colspan=2><P style="margin:0pt; font-family:Times New Roman"><B>Minority interests</B></P>
</TD><TD valign=bottom width=74.2>&nbsp;</TD><TD valign=bottom width=40.667>&nbsp;</TD><TD valign=bottom width=91.267>&nbsp;</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>50</B></P>
</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>49</B></P>
</TD><TD valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right><B>48</B></P>
</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=356.667 colspan=5><P style="margin:0pt; font-family:Times New Roman">Common stock (preferred stock: 540,000,000 <BR>
shares authorized, not issued;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>1,153</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>1,150</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right>1,150</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=356.667 colspan=5><P style="margin:0pt; font-family:Times New Roman">common stock: Euro 1.04 nominal value, 1,200,000,000 <BR>
shares authorized, 907,597,149 shares</P>
</TD><TD valign=bottom width=73.8>&nbsp;</TD><TD valign=bottom width=73.8>&nbsp;</TD><TD valign=bottom width=84.133>&nbsp;</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=224.733 colspan=3><P style="margin:0pt; font-family:Times New Roman">issued, 894,197,149 shares outstanding)</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=40.667>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=91.267>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=84.133>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=150.533 colspan=2><P style="margin:0pt; font-family:Times New Roman">Capital surplus</P>
</TD><TD valign=bottom width=74.2>&nbsp;</TD><TD valign=bottom width=40.667>&nbsp;</TD><TD valign=bottom width=91.267>&nbsp;</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>1,953</P>
</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>1,927</P>
</TD><TD valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right>1,924</P>
</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=150.533 colspan=2><P style="margin:0pt; font-family:Times New Roman">Accumulated result</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=74.2>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=40.667>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=91.267>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>5,244</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>5,156</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right>5,268</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=265.4 colspan=4><P style="margin:0pt; font-family:Times New Roman">Accumulated other comprehensive income </P>
</TD><TD valign=bottom width=91.267>&nbsp;</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>381</P>
</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>340</P>
</TD><TD valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right>1,116</P>
</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=150.533 colspan=2><P style="margin:0pt; font-family:Times New Roman">Treasury stock</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=74.2>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=40.667>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=91.267>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>-348</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>-348</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right>-348</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=150.533 colspan=2><P style="margin:0pt; font-family:Times New Roman"><B>Shareholders' equity</B></P>
</TD><TD valign=bottom width=74.2>&nbsp;</TD><TD valign=bottom width=40.667>&nbsp;</TD><TD valign=bottom width=91.267>&nbsp;</TD><TD style="border-top:0.5pt solid #000000" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>8,383</B></P>
</TD><TD style="border-top:0.5pt solid #000000" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>8,225</B></P>
</TD><TD style="border-top:0.5pt solid #000000" valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right><B>9,110</B></P>
</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=265.4 colspan=4><P style="margin:0pt; font-family:Times New Roman"><B>Total liabilities and shareholders' equity</B></P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=91.267>&nbsp;</TD><TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>12,492</B></P>
</TD><TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>12,498</B></P>
</TD><TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman" align=right><B>13,800</B></P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.733><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=75.267><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=75.267><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=74.2><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=40.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=91.267><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=84.133><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
</TABLE>
<P style="margin:0pt; font-family:Times New Roman"><BR></P>
<P style="margin:0pt; font-family:Times New Roman"><BR>
<BR></P>
<P style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" 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:Times New Roman"><BR></P>
<A NAME="RANGE!B2:K35"></A><TABLE style="font-size:10pt" cellspacing=0 align=center><TR><TD valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=22.333><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=25.2><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=65.333><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=63.4><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=58.067><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=193.933><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=13><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=176.267 colspan=4><P style="margin:0pt; font-family:Times New Roman"><B>STMicroelectronics N.V.</B></P>
</TD><TD valign=bottom width=58.067>&nbsp;</TD><TD valign=bottom width=193.933>&nbsp;</TD><TD valign=bottom width=73.8>&nbsp;</TD><TD valign=bottom width=86.4>&nbsp;</TD><TD valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=428.267 colspan=6><P style="margin:0pt; font-family:Times New Roman"><B>CONSOLIDATED STATEMENTS OF CASH FLOWS</B></P>
</TD><TD style="border-bottom:0.5pt solid #000000" valign=bottom width=73.8>&nbsp;</TD><TD style="border-bottom:0.5pt solid #000000" valign=bottom width=86.4>&nbsp;</TD><TD valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=22.333>&nbsp;</TD><TD valign=bottom width=25.2>&nbsp;</TD><TD valign=bottom width=65.333>&nbsp;</TD><TD valign=bottom width=63.4>&nbsp;</TD><TD valign=bottom width=58.067>&nbsp;</TD><TD style="border-right:0.5pt solid #000000" valign=bottom width=193.933>&nbsp;</TD><TD valign=bottom width=73.8>&nbsp;</TD><TD style="border-right:0.5pt solid #000000" valign=bottom width=86.4>&nbsp;</TD><TD valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=22.333>&nbsp;</TD><TD valign=bottom width=25.2>&nbsp;</TD><TD valign=bottom width=65.333>&nbsp;</TD><TD valign=bottom width=63.4>&nbsp;</TD><TD valign=bottom width=58.067>&nbsp;</TD><TD style="border-right:0.5pt solid #000000" valign=bottom width=193.933>&nbsp;</TD><TD style="border-right:0.5pt solid #000000; border-bottom:0.5pt solid #000000" width=160.2 colspan=2><P style="margin:0pt; font-family:Times New Roman" align=center><B>Nine Months Ended</B></P>
</TD><TD valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=22.333>&nbsp;</TD><TD valign=bottom width=25.2>&nbsp;</TD><TD valign=bottom width=65.333>&nbsp;</TD><TD valign=bottom width=63.4>&nbsp;</TD><TD valign=bottom width=58.067>&nbsp;</TD><TD valign=bottom width=193.933>&nbsp;</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>October 1,</P>
</TD><TD valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right>September 25,</P>
</TD><TD valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=176.267 colspan=4><P style="margin:0pt; font-family:Times New Roman"><B>In million of U.S. dollars</B></P>
</TD><TD valign=bottom width=58.067>&nbsp;</TD><TD valign=bottom width=193.933>&nbsp;</TD><TD style="border-bottom:0.5pt solid #000000" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>2005</P>
</TD><TD style="border-bottom:0.5pt solid #000000" valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right>2004</P>
</TD><TD valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=22.333>&nbsp;</TD><TD valign=bottom width=25.2>&nbsp;</TD><TD valign=bottom width=65.333>&nbsp;</TD><TD valign=bottom width=63.4>&nbsp;</TD><TD valign=bottom width=58.067>&nbsp;</TD><TD valign=bottom width=193.933>&nbsp;</TD><TD style="border-bottom:1pt solid #000000" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>(Unaudited)</P>
</TD><TD style="border-bottom:1pt solid #000000" valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right>(Unaudited)</P>
</TD><TD valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=22.333><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=25.2><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=65.333><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=63.4><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=58.067><P style="margin:0pt; font-family:Times New Roman"><B>&nbsp;</B></P>
</TD><TD valign=bottom width=193.933><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=center>&nbsp;</P>
</TD><TD valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=center>&nbsp;</P>
</TD><TD valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=234.333 colspan=5><P style="margin:0pt; font-family:Times New Roman"><B>Cash flows from operating activities:</B></P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=193.933>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=86.4>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=22.333>&nbsp;</TD><TD valign=bottom width=90.533 colspan=2><P style="margin:0pt; font-family:Times New Roman">Net income</P>
</TD><TD valign=bottom width=63.4>&nbsp;</TD><TD valign=bottom width=58.067>&nbsp;</TD><TD valign=bottom width=193.933>&nbsp;</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>83</P>
</TD><TD valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right>414</P>
</TD><TD valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=22.333>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=405.933 colspan=5><P style="margin:0pt; font-family:Times New Roman">Items to reconcile net income and cash flows from <BR>
operating activities</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=86.4>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=22.333>&nbsp;</TD><TD valign=bottom width=25.2>&nbsp;</TD><TD valign=bottom width=186.8 colspan=3><P style="margin:0pt; font-family:Times New Roman">Depreciation and amortization</P>
</TD><TD valign=bottom width=193.933>&nbsp;</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>1,482</P>
</TD><TD valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right>1,319</P>
</TD><TD valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=22.333>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=25.2>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=380.733 colspan=4><P style="margin:0pt; font-family:Times New Roman">Amortization of discount on convertible debt</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>3</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right>28</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=22.333>&nbsp;</TD><TD valign=bottom width=25.2>&nbsp;</TD><TD valign=bottom width=380.733 colspan=4><P style="margin:0pt; font-family:Times New Roman">Loss on extinguishment of convertible debt</P>
</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>0</P>
</TD><TD valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right>4</P>
</TD><TD valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=22.333>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=25.2>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=128.733 colspan=2><P style="margin:0pt; font-family:Times New Roman">Other non-cash items</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=58.067>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=193.933>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>7</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right>-3</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=22.333>&nbsp;</TD><TD valign=bottom width=25.2>&nbsp;</TD><TD valign=bottom width=380.733 colspan=4><P style="margin:0pt; font-family:Times New Roman">Minority interest in net income of subsidiaries</P>
</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>2</P>
</TD><TD valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right>3</P>
</TD><TD valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=22.333>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=25.2>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=128.733 colspan=2><P style="margin:0pt; font-family:Times New Roman">Deferred income tax</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=58.067>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=193.933>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>-40</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right>-16</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=22.333>&nbsp;</TD><TD valign=bottom width=25.2>&nbsp;</TD><TD valign=bottom width=186.8 colspan=3><P style="margin:0pt; font-family:Times New Roman">Loss on equity investments</P>
</TD><TD valign=bottom width=193.933>&nbsp;</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>2</P>
</TD><TD valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right>2</P>
</TD><TD valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=22.333>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=25.2>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=380.733 colspan=4><P style="margin:0pt; font-family:Times New Roman">Impairment, restructuring charges and other <BR>
related closure costs, net of cash payments</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>67</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right>11</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=22.333>&nbsp;</TD><TD valign=bottom width=212 colspan=4><P style="margin:0pt; font-family:Times New Roman">Changes in assets and liabilities:</P>
</TD><TD valign=bottom width=193.933>&nbsp;</TD><TD valign=bottom width=73.8>&nbsp;</TD><TD valign=bottom width=86.4>&nbsp;</TD><TD valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=22.333>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=25.2>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=128.733 colspan=2><P style="margin:0pt; font-family:Times New Roman">Trade receivables, net</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=58.067>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=193.933>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>-119</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right>-256</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=22.333>&nbsp;</TD><TD valign=bottom width=25.2>&nbsp;</TD><TD valign=bottom width=128.733 colspan=2><P style="margin:0pt; font-family:Times New Roman">Inventories, net</P>
</TD><TD valign=bottom width=58.067>&nbsp;</TD><TD valign=bottom width=193.933>&nbsp;</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>-152</P>
</TD><TD valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right>-77</P>
</TD><TD valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=22.333>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=25.2>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=128.733 colspan=2><P style="margin:0pt; font-family:Times New Roman">Trade payables</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=58.067>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=193.933>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>-33</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right>309</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=22.333>&nbsp;</TD><TD valign=bottom width=25.2>&nbsp;</TD><TD valign=bottom width=186.8 colspan=3><P style="margin:0pt; font-family:Times New Roman">Other assets and liabilities, net</P>
</TD><TD valign=bottom width=193.933>&nbsp;</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>-59</P>
</TD><TD valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right>-41</P>
</TD><TD valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=234.333 colspan=5><P style="margin:0pt; font-family:Times New Roman"><B>Net cash from operating activities</B></P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=193.933>&nbsp;</TD><TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>1,243</B></P>
</TD><TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right><B>1,697</B></P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=22.333>&nbsp;</TD><TD valign=bottom width=25.2>&nbsp;</TD><TD valign=bottom width=65.333>&nbsp;</TD><TD valign=bottom width=63.4>&nbsp;</TD><TD valign=bottom width=58.067>&nbsp;</TD><TD valign=bottom width=193.933>&nbsp;</TD><TD valign=bottom width=73.8>&nbsp;</TD><TD valign=bottom width=86.4>&nbsp;</TD><TD valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=234.333 colspan=5><P style="margin:0pt; font-family:Times New Roman"><B>Cash flows from investing activities:</B></P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=193.933>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=86.4>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=22.333>&nbsp;</TD><TD valign=bottom width=405.933 colspan=5><P style="margin:0pt; font-family:Times New Roman">Payment for purchases of tangible assets</P>
</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>-1,211</P>
</TD><TD valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right>-1,627</P>
</TD><TD valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=22.333>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=405.933 colspan=5><P style="margin:0pt; font-family:Times New Roman">Payment for &nbsp;purchase of marketable securities</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>-525</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right>-1,030</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=22.333>&nbsp;</TD><TD valign=bottom width=405.933 colspan=5><P style="margin:0pt; font-family:Times New Roman">Investment in intangible and financial assets</P>
</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>-52</P>
</TD><TD valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right>-64</P>
</TD><TD valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=22.333>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=405.933 colspan=5><P style="margin:0pt; font-family:Times New Roman">Payment for acquisitions, net of cash received</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>0</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right>-3</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=234.333 colspan=5><P style="margin:0pt; font-family:Times New Roman"><B>Net cash used in investing activities</B></P>
</TD><TD valign=bottom width=193.933>&nbsp;</TD><TD style="border-top:0.5pt solid #000000" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>-1,788</B></P>
</TD><TD style="border-top:0.5pt solid #000000" valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right><B>-2,724</B></P>
</TD><TD valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=22.333>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=25.2>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=65.333>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=63.4>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=58.067>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=193.933>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=86.4>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=234.333 colspan=5><P style="margin:0pt; font-family:Times New Roman"><B>Cash flows from financing activities:</B></P>
</TD><TD valign=bottom width=193.933>&nbsp;</TD><TD valign=bottom width=73.8>&nbsp;</TD><TD valign=bottom width=86.4>&nbsp;</TD><TD valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=22.333>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=405.933 colspan=5><P style="margin:0pt; font-family:Times New Roman">Proceeds from issuance of long-term debt</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>25</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right>22</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=22.333>&nbsp;</TD><TD valign=bottom width=212 colspan=4><P style="margin:0pt; font-family:Times New Roman">Repayment of long-term debt</P>
</TD><TD valign=bottom width=193.933>&nbsp;</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>-90</P>
</TD><TD valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right>-1,263</P>
</TD><TD valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=22.333>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=212 colspan=4><P style="margin:0pt; font-family:Times New Roman">Decrease in short-term facilities</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=193.933>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>-5</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right>-37</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=22.333>&nbsp;</TD><TD valign=bottom width=153.933 colspan=3><P style="margin:0pt; font-family:Times New Roman">Capital increase</P>
</TD><TD valign=bottom width=58.067>&nbsp;</TD><TD valign=bottom width=193.933>&nbsp;</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>32</P>
</TD><TD valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right>17</P>
</TD><TD valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=22.333>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=90.533 colspan=2><P style="margin:0pt; font-family:Times New Roman">Dividends paid</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=63.4>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=58.067>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=193.933>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>-107</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right>-107</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=22.333>&nbsp;</TD><TD valign=bottom width=153.933 colspan=3><P style="margin:0pt; font-family:Times New Roman">Other financing activities</P>
</TD><TD valign=bottom width=58.067>&nbsp;</TD><TD valign=bottom width=193.933>&nbsp;</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>1</P>
</TD><TD valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right>0</P>
</TD><TD valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=234.333 colspan=5><P style="margin:0pt; font-family:Times New Roman"><B>Net cash used in financing activities</B></P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=193.933>&nbsp;</TD><TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>-144</B></P>
</TD><TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right><B>-1,368</B></P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=22.333>&nbsp;</TD><TD valign=bottom width=212 colspan=4><P style="margin:0pt; font-family:Times New Roman">Effect of changes in exchange rates</P>
</TD><TD valign=bottom width=193.933>&nbsp;</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>-19</P>
</TD><TD valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right>-2</P>
</TD><TD valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=176.267 colspan=4><P style="margin:0pt; font-family:Times New Roman"><B>Net cash decrease</B></P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=58.067>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=193.933>&nbsp;</TD><TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right><B>-708</B></P>
</TD><TD style="background-color:#99CCFF; border-top:0.5pt solid #000000" valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right><B>-2,397</B></P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=22.333>&nbsp;</TD><TD valign=bottom width=25.2>&nbsp;</TD><TD valign=bottom width=65.333>&nbsp;</TD><TD valign=bottom width=63.4>&nbsp;</TD><TD valign=bottom width=58.067>&nbsp;</TD><TD valign=bottom width=193.933>&nbsp;</TD><TD style="border-top:1pt solid #000000" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="border-top:1pt solid #000000" valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=428.267 colspan=6><P style="margin:0pt; font-family:Times New Roman">Cash and cash equivalents at beginning of the period</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>1,950</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right>2,998</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD valign=bottom width=428.267 colspan=6><P style="margin:0pt; font-family:Times New Roman">Cash and cash equivalents at end of the period</P>
</TD><TD valign=bottom width=73.8><P style="margin:0pt; font-family:Times New Roman" align=right>1,242</P>
</TD><TD valign=bottom width=86.4><P style="margin:0pt; font-family:Times New Roman" align=right>601</P>
</TD><TD valign=bottom width=13>&nbsp;</TD></TR>
<TR><TD style="background-color:#99CCFF" valign=bottom width=12.667><P style="margin:0pt; font-family:Times New Roman">&nbsp;</P>
</TD><TD style="background-color:#99CCFF" valign=bottom width=22.333>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=25.2>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=65.333>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=63.4>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=58.067>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=193.933>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=73.8>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=86.4>&nbsp;</TD><TD style="background-color:#99CCFF" valign=bottom width=13>&nbsp;</TD></TR>
</TABLE>
<P style="margin:0pt; font-family:Times New Roman"><BR></P>
<P style="margin:0pt; font-family:Times New Roman"><BR>
<BR></P>
<P style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=center>13</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:5pt; margin-bottom:0pt; padding-left:1.45pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align=justify>
<P style="margin-top:4.6pt; margin-bottom:4.6pt; line-height:13pt; font-family:Arial; font-size:11pt" align=center><B>SIGNATURES</B></P>
<P style="margin-top:4.6pt; margin-bottom:4.6pt; font-family:Arial; font-size:11pt" align=justify><B><BR></B></P>
<P style="margin-top:0pt; margin-bottom:4.6pt; 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>
<P style="margin-top:4.6pt; margin-bottom:4.6pt; font-family:Arial; font-size:11pt" align=justify><BR></P>
<P style="margin-top:4.6pt; margin-bottom:4.6pt; font-family:Arial; font-size:11pt" align=justify><BR></P>
<P style="margin-top:0pt; margin-bottom:4.6pt; text-indent:226.8pt; font-family:Arial; font-size:11pt" align=justify><BR></P>
<P style="margin-top:4.6pt; margin-bottom:4.6pt; font-family:Arial; font-size:11pt" align=justify><BR></P>
<TABLE style="font-size:10pt" cellspacing=0 align=center><TR><TD valign=bottom width=254.067>&nbsp;</TD><TD valign=bottom width=44.4>&nbsp;</TD><TD valign=bottom width=343.333><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=254.067>&nbsp;</TD><TD valign=bottom width=44.4>&nbsp;</TD><TD valign=bottom width=343.333>&nbsp;</TD></TR>
<TR><TD valign=bottom width=254.067><P style="margin-top:4.6pt; margin-bottom:4.6pt; line-height:13pt; font-family:Arial; font-size:11pt">Date: &nbsp;October 26, 2005</P>
</TD><TD valign=bottom width=44.4><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=343.333><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=254.067>&nbsp;</TD><TD valign=bottom width=44.4>&nbsp;</TD><TD valign=bottom width=343.333>&nbsp;</TD></TR>
<TR><TD valign=bottom width=254.067>&nbsp;</TD><TD valign=bottom width=44.4>&nbsp;</TD><TD valign=bottom width=343.333><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=254.067>&nbsp;</TD><TD valign=bottom width=44.4>&nbsp;</TD><TD valign=bottom width=343.333><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:0pt; margin-bottom:4.6pt; text-indent:52.65pt; line-height:13pt; font-family:Arial; font-size:11pt">Chief Financial Officer</P>
</TD></TR>
<TR><TD valign=bottom width=254.067>&nbsp;</TD><TD valign=bottom width=44.4>&nbsp;</TD><TD valign=bottom width=343.333>&nbsp;</TD></TR>
</TABLE>
<P style="margin-top:4.6pt; margin-bottom:4.6pt; font-family:Arial; font-size:11pt" align=justify><BR></P>
<P style="margin-top:4.6pt; margin-bottom:4.6pt; font-family:Arial; font-size:11pt" align=justify><BR><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 October 25, 2005, announcing third quarter and nine month
  revenues and earnings. </P>
<BR></P>


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<DOCUMENT>
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-----END PRIVACY-ENHANCED MESSAGE-----
