FORM N-Q QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED MANAGEMENT INVESTMENT COMPANIES Investment Company Act file number 811-04985 --------- TEMPLETON EMERGING MARKETS FUND -------------------------------------------------- (Exact name of registrant as specified in charter) 500 EAST BROWARD BLVD., SUITE 2100, FORT LAUDERDALE, FL 33394-3091 -------------------------------------------------------------------- (Address of principal executive offices) (Zip code) CRAIG S. TYLE, ONE FRANKLIN PARKWAY, SAN MATEO, CA 94403-1906 ------------------------------------------------------------------- (Name and address of agent for service) Registrant's telephone number, including area code: (954) 527-7500 -------------- Date of fiscal year end: 08/31 ----- Date of reporting period: 11/30/05 -------- ITEM 1. SCHEDULE OF INVESTMENTS. TEMPLETON EMERGING MARKETS FUND QUARTERLY STATEMENT OF INVESTMENTS NOVEMBER 30, 2005 -------------------------------------------------------------------------------- CONTENTS Statement of Investments .............................................. 3 Notes to Statement of Investments ..................................... 9 [LOGO](R) FRANKLIN TEMPLETON INVESTMENTS Franklin o TEMPLETON o Mutual Series Quarterly Statement of Investments | 1 This page intentionally left blank. TEMPLETON EMERGING MARKETS FUND STATEMENT OF INVESTMENTS, NOVEMBER 30, 2005 (UNAUDITED) ------------------------------------------------------------------------------------------------------------------------------------ INDUSTRY SHARES/RIGHTS VALUE ------------------------------------------------------------------------------------------------------------------------------------ COMMON STOCKS 92.8% Austria 0.3% Wienerberger AG ................................. Building Products 23,150 $ 890,080 ------------- BRAZIL 2.7% Centrais Eletricas Brasileiras SA ............... Electric Utilities 67,922,000 1,242,231 Centrais Eletricas Brasileiras SA (Non-Taxable) . Electric Utilities 91,072,000 1,665,624 Companhia de Bebidas das Americas ............... Beverages 2,585,000 866,946 Embraer-Empresa Bras de Aeronautica SA .......... Aerospace & Defense 255,866 1,811,441 Souza Cruz SA ................................... Tobacco 229,973 3,182,154 ------------- 8,768,396 ------------- CHINA 10.6% Aluminum Corp. of China Ltd., H ................. Metals & Mining 4,146,000 2,994,042 Anhui Conch Cement Co. Ltd., H .................. Construction Materials 1,178,000 1,298,829 (a)China Construction Bank, H ...................... Commercial Banks 200,000 65,767 (a),(b)China Construction Bank, H, 144A ................ Commercial Banks 7,541,000 2,479,761 China International Marine Containers (Group), Co. Ltd., B ................................... Machinery 357,500 277,993 China Mobile (Hong Kong) Ltd. ................... Wireless Telecommunication Services 2,045,500 10,049,977 China Resources Enterprise Ltd. ................. Distributors 1,662,000 2,957,677 China Travel International Investment Hong Kong Ltd. ................................ Hotels, Restaurants & Leisure 2,112,000 490,238 Chongqing Changan Automobile Co. Ltd., B ........ Automobiles 722,800 217,177 CITIC Pacific Ltd. .............................. Industrial Conglomerates 450,192 1,233,665 Denway Motors Ltd. .............................. Automobiles 5,068,730 1,568,740 GOME Electrical Appliances Holdings Ltd. ........ Specialty Retail 130,000 76,696 Huadian Power International Corp. Ltd., H ....... Independent Power Producers & Energy Traders 2,922,000 800,718 Huaneng Power International, Inc., H ............ Independent Power Producers & Energy Traders 642,000 438,785 PetroChina Co. Ltd., H .......................... Oil, Gas & Consumable Fuels 5,932,000 4,628,040 (b)PetroChina Co. Ltd., H, 144A .................... Oil, Gas & Consumable Fuels 1,856,000 1,448,018 Shanghai Industrial Holdings Ltd. ............... Industrial Conglomerates 970,000 1,820,017 TCL Multimedia Technology Holdings Ltd. ......... Household Durables 1,312,508 206,492 Travelsky Technology Ltd., H .................... IT Services 1,177,000 1,016,932 ------------- 34,069,564 ------------- CROATIA 0.8% Pliva d.d., GDR, Reg S .......................... Pharmaceuticals 194,200 2,530,426 ------------- CZECH REPUBLIC 0.0%(c) Philip Morris CR AS ............................. Tobacco 164 114,493 ------------- FINLAND 0.3% Nokian Renkaat OYJ .............................. Auto Components 66,510 866,782 ------------- GREECE 0.0%(c) Coca-Cola Hellenic Bottling Co. SA .............. Beverages 4,130 107,745 ------------- Quarterly Statement of Investments | 3 TEMPLETON EMERGING MARKETS FUND STATEMENT OF INVESTMENTS, NOVEMBER 30, 2005 (UNAUDITED) (CONTINUED) ------------------------------------------------------------------------------------------------------------------------------------ INDUSTRY SHARES/RIGHTS VALUE ------------------------------------------------------------------------------------------------------------------------------------ COMMON STOCKS (CONT.) HONG KONG 2.2% Cheung Kong (Holdings) Ltd. ................................ Real Estate 409,000 $ 4,256,351 Cheung Kong Infrastructure Holdings Ltd. ................... Electric Utilities 254,000 822,144 Dairy Farm International Holdings Ltd. (USD Traded) .............................................. Food & Staples Retailing 214,000 749,000 Hopewell Holdings Ltd. ..................................... Transportation Infrastructure 22,000 54,046 MTR Corp. Ltd. ............................................. Road & Rail 655,513 1,314,475 ------------- 7,196,016 ------------- HUNGARY 2.2% BorsodChem Rt .............................................. Chemicals 47,907 524,208 Gedeon Richter Ltd. ........................................ Pharmaceuticals 11,894 2,140,217 Magyar Telekom Ltd. ........................................ Diversified Telecommunication Services 579,274 2,610,934 MOL Magyar Olaj-es Gazipari Rt ............................. Oil, Gas & Consumable Fuels 16,688 1,596,419 OTP Bank ................................................... Commercial Banks 8,758 289,534 ------------- 7,161,312 ------------- INDIA 2.6% Bharat Petroleum Corp. Ltd. ................................ Oil, Gas & Consumable Fuels 4,800 45,798 Gail India Ltd. ............................................ Gas Utilities 295,286 1,718,695 Hindustan Lever Ltd. ....................................... Household Products 450,033 1,784,343 Hindustan Petroleum Corp. Ltd. ............................. Oil, Gas & Consumable Fuels 432,140 3,199,380 Indian Oil Corp. Ltd. ...................................... Oil, Gas & Consumable Fuels 7,300 84,453 Ranbaxy Laboratories Ltd. .................................. Pharmaceuticals 3,000 25,179 Tata Tea Ltd. .............................................. Food Products 84,090 1,609,511 ------------- 8,467,359 ------------- INDONESIA 0.4% PT Astra International Tbk ................................. Automobiles 1,102,000 1,000,319 PT Bank Danamon Indonesia Tbk .............................. Commercial Banks 1,034,500 402,449 ------------- 1,402,768 ------------- MALAYSIA 2.3% Kuala Lumpur Kepong Bhd .................................... Food Products 224,600 493,430 Maxis Communications Bhd ................................... Wireless Telecommunication Services 1,045,000 2,406,432 Resorts World Bhd .......................................... Hotels, Restaurants & Leisure 704,500 2,107,160 Sime Darby Bhd ............................................. Industrial Conglomerates 801,600 1,336,707 Tanjong PLC ................................................ Hotels, Restaurants & Leisure 149,800 574,934 YTL Power International Bhd ................................ Water Utilities 893,884 537,088 ------------- 7,455,751 ------------- MEXICO 4.2% Fomento Economico Mexicano SA de CV (Femsa), ADR ....................................................... Beverages 53,789 3,657,114 Grupo Bimbo SA de CV, A .................................... Food Products 176,271 625,306 (a)Grupo Televisa SA .......................................... Media 86,224 341,400 Kimberly Clark de Mexico SA de CV, A ....................... Household Products 1,572,800 5,728,347 Telefonos de Mexico SA de CV (Telmex), L, ADR .............. Diversified Telecommunication Services 133,674 2,998,308 ------------- 13,350,475 ------------- PANAMA 0.3% Banco Latinoamericano de Exportaciones SA, E ............... Commercial Banks 56,000 966,560 ------------- 4 | Quarterly Statement of Investments TEMPLETON EMERGING MARKETS FUND STATEMENT OF INVESTMENTS, NOVEMBER 30, 2005 (UNAUDITED) (CONTINUED) ------------------------------------------------------------------------------------------------------------------------------------ INDUSTRY SHARES/RIGHTS VALUE ------------------------------------------------------------------------------------------------------------------------------------ COMMON STOCKS (CONT.) PHILIPPINES 1.0% San Miguel Corp., B ........................................ Beverages 1,862,699 $ 3,052,191 ------------- POLAND 1.7% Polski Koncern Naftowy Orlen SA ............................ Oil, Gas & Consumable Fuels 132,725 2,402,770 Telekomunikacja Polska SA .................................. Diversified Telecommunication Services 424,829 3,076,334 ------------- 5,479,104 ------------- PORTUGAL 0.2% (a)Jeronimo Martins SGPS SA ................................... Food & Staples Retailing 45,619 655,858 ------------- RUSSIA 4.0% Lukoil Holdings, ADR ....................................... Oil, Gas & Consumable Fuels 84,156 4,801,100 Mining and Metallurgical Co. Norilsk Nickel ................ Metals & Mining 44,639 3,758,604 Mobile Telesystems, ADR .................................... Wireless Telecommunication Services 75,100 2,663,797 Unified Energy Systems ..................................... Electric Utilities 3,508,000 1,433,018 ------------- 12,656,519 ------------- SINGAPORE 3.7% ComfortDelGro Corp. Ltd. ................................... Road & Rail 1,505,000 1,334,930 DBS Group Holdings Ltd. .................................... Commercial Banks 49,000 475,194 Fraser and Neave Ltd. ...................................... Industrial Conglomerates 387,367 3,962,775 Keppel Corp. Ltd. .......................................... Industrial Conglomerates 406,000 2,808,941 Singapore Press Holdings Ltd. .............................. Media 301,250 801,623 Singapore Technologies Engineering Ltd. .................... Aerospace & Defense 477,000 741,831 Singapore Telecommunications Ltd. .......................... Diversified Telecommunication Services 1,127,142 1,672,950 ------------- 11,798,244 ------------- SOUTH AFRICA 8.7% Anglo American PLC ......................................... Metals & Mining 221,710 6,937,663 Edgars Consolidated Stores Ltd. ............................ Specialty Retail 70,000 328,399 (a)Imperial Holdings Ltd. ..................................... Air Freight & Logistics 75,200 1,437,959 JD Group Ltd. .............................................. Specialty Retail 4,500 50,375 Nampak Ltd. ................................................ Containers & Packaging 151,110 376,687 Nedbank Group Ltd. ......................................... Commercial Banks 254,224 3,444,183 (b)Nedbank Group Ltd., 144A ................................... Commercial Banks 26,486 358,828 Old Mutual PLC (GBP Traded) ................................ Insurance 1,731,710 4,529,783 Remgro Ltd. ................................................ Diversified Financial Services 394,749 6,907,160 SABMiller PLC .............................................. Beverages 62,888 1,125,608 Sappi Ltd. ................................................. Paper & Forest Products 196,710 2,106,106 (a)Steinhoff International Holdings Ltd. ...................... Household Durables 90,000 241,074 ------------- 27,843,825 ------------- SOUTH KOREA 19.6% CJ Corp. ................................................... Food Products 37,520 3,742,959 Daewoo Shipbuilding & Marine Engineering Co. Ltd. .................................................. Machinery 191,200 4,432,154 Daishin Securities Co. Ltd. ................................ Capital Markets 2,800 56,135 Hana Financial Holdings .................................... Commercial Banks 111,240 4,218,114 Hite Brewery Co. Ltd. ...................................... Beverages 12,885 1,875,311 Hyundai Development Co. .................................... Construction & Engineering 103,330 4,362,269 Kangwon Land Inc. .......................................... Hotels, Restaurants & Leisure 215,068 4,249,537 Korea Gas Corp. ............................................ Gas Utilities 35,180 1,154,582 Quarterly Statement of Investments | 5 TEMPLETON EMERGING MARKETS FUND STATEMENT OF INVESTMENTS, NOVEMBER 30, 2005 (UNAUDITED) (CONTINUED) ------------------------------------------------------------------------------------------------------------------------------------ INDUSTRY SHARES/RIGHTS VALUE ------------------------------------------------------------------------------------------------------------------------------------ COMMON STOCKS (CONT.) SOUTH KOREA (CONT.) (a)LG Card Co. Ltd. ......................................... Consumer Finance 70,210 $ 3,430,985 LG Chem Ltd. ............................................. Chemicals 60,150 3,043,735 (a)LG Corp. ................................................. Industrial Conglomerates 125,000 3,397,590 LG Electronics Inc. ...................................... Household Durables 28,540 2,162,163 LG Petrochemical Co. Ltd. ................................ Chemicals 42,920 1,131,433 (a)LG Philips LCD Co. Ltd. .................................. Electronic Equipment & Instruments 14,680 641,675 POSCO .................................................... Metals & Mining 8,650 1,730,000 Samsung Electronics Co. Ltd. ............................. Semiconductors & Semiconductor Equipment 20,486 11,807,834 Samsung Fine Chemicals Co. Ltd. .......................... Chemicals 80,460 2,516,556 Samsung Heavy Industries Co. Ltd. ........................ Machinery 102,550 1,502,419 Shinhan Financial Group Co. Ltd. ......................... Commercial Banks 46,340 1,786,603 SK Corp. ................................................. Oil, Gas & Consumable Fuels 46,130 2,400,983 SK Telecom Co. Ltd. ...................................... Wireless Telecommunication Services 17,040 3,194,487 ------------- 62,837,524 ------------- SWEDEN 0.8% Oriflame Cosmetics SA, SDR ............................... Personal Products 93,598 2,464,906 ------------- TAIWAN 13.6% Acer Inc. ................................................ Computers & Peripherals 513,361 1,138,062 BenQ Corp. ............................................... Computers & Peripherals 842,000 761,218 Chinatrust Financial Holding Co. Ltd. .................... Commercial Banks 1,301,336 1,046,411 Chunghwa Telecom Co. Ltd. ................................ Diversified Telecommunication Services 1,265,000 2,151,393 D-Link Corp. ............................................. Communications Equipment 2,019,946 2,323,370 Delta Electronics Inc. ................................... Electronic Equipment & Instruments 509,179 1,025,483 Elan Microelectronics Corp. .............................. Semiconductors & Semiconductor Equipment 979 384 Lite-On Technology Corp. ................................. Computers & Peripherals 2,560,098 3,227,287 MediaTek Inc. ............................................ Semiconductors & Semiconductor Equipment 391,900 4,098,431 Mega Financial Holding Co. Ltd. .......................... Commercial Banks 6,421,661 4,215,260 Premier Image Technology Corp. ........................... Leisure Equipment & Products 1,443,160 1,791,274 President Chain Store Corp. .............................. Food & Staples Retailing 929,188 1,705,034 Realtek Semiconductor Corp. .............................. Semiconductors & Semiconductor Equipment 2,164,200 2,427,949 Siliconware Precision Industries Co. ..................... Semiconductors & Semiconductor Equipment 1,005,561 1,066,602 Sunplus Technology Co. Ltd. .............................. Semiconductors & Semiconductor Equipment 1,802,614 1,812,537 Synnex Technology International Corp. .................... Electronic Equipment & Instruments 1,024,320 1,207,222 Taiwan Mobile Co. Ltd. ................................... Wireless Telecommunication Services 5,151,372 4,564,925 Taiwan Semiconductor Manufacturing Co. Ltd. .............. Semiconductors & Semiconductor Equipment 2,484,044 4,409,918 Uni-President Enterprises Corp. .......................... Food Products 6,670,350 2,826,124 Yang Ming Marine Transport Corp. ......................... Marine 128,000 80,393 Yuanta Core Pacific Securities Co. ....................... Capital Markets 2,793,113 1,675,093 ------------- 43,554,370 ------------- THAILAND 3.4% Bangkok Bank Public Co. Ltd., fgn. ....................... Commercial Banks 420,000 1,069,221 BEC World Public Co. Ltd., fgn. .......................... Media 1,397,900 447,382 Kasikornbank Public Co. Ltd., fgn. ....................... Commercial Banks 1,756,600 2,725,722 Land and House Public Co. Ltd., fgn. ..................... Household Durables 2,895,032 572,057 Shin Corp. Public Co. Ltd., fgn. ......................... Wireless Telecommunication Services 1,357,900 1,267,527 Siam Cement Public Co. Ltd., fgn. ........................ Construction Materials 286,920 1,725,207 Siam Commercial Bank Public Co. Ltd., fgn. ............... Commercial Banks 908,000 1,051,206 Siam Makro Public Co. Ltd., fgn. ......................... Food & Staples Retailing 129,400 223,379 6 | Quarterly Statement of Investments TEMPLETON EMERGING MARKETS FUND STATEMENT OF INVESTMENTS, NOVEMBER 30, 2005 (UNAUDITED) (CONTINUED) ------------------------------------------------------------------------------------------------------------------------------------ INDUSTRY SHARES/RIGHTS VALUE ------------------------------------------------------------------------------------------------------------------------------------ COMMON STOCKS (CONT.) THAILAND (CONT.) Thai Airways International Public Co. Ltd., fgn. .......... Airlines 132,900 $ 135,011 (a)TMB Bank Public Co. Ltd., fgn. ............................ Commercial Banks 16,171,500 1,552,652 (a)True Corp. Public Co. Ltd., rts., 3/28/08 ................. Diversified Telecommunication Services 246,818 -- ------------- 10,769,364 ------------- TURKEY 3.7% Arcelik AS, Br ............................................ Household Durables 417,921 2,680,364 KOC Holding AS ............................................ Industrial Conglomerates 373,850 1,832,733 Migros Turk TAS ........................................... Food & Staples Retailing 224,485 2,184,447 (a)Petkim Petrokimya Holding AS .............................. Chemicals 16,197 91,343 Tupras-Turkiye Petrol Rafineleri AS ....................... Oil, Gas & Consumable Fuels 184,686 3,240,344 Turkiye Is Bankasi, C ..................................... Commercial Banks 221,726 1,912,417 ------------- 11,941,648 ------------- UNITED KINGDOM 2.6% HSBC Holdings PLC ......................................... Commercial Banks 341,219 5,478,267 Provident Financial PLC ................................... Consumer Finance 282,070 2,907,435 ------------- 8,385,702 ------------- UNITED STATES 0.3% Avon Products Inc. ........................................ Personal Products 32,000 875,200 ------------- TOTAL COMMON STOCKS (COST $208,386,415) ................... 297,455,124 ------------- PREFERRED STOCKS 5.9% BRAZIL 5.9% Banco Bradesco SA, ADR, pfd. .............................. Commercial Banks 117,237 7,198,352 Cia Vale do Rio Doce, ADR, pfd., A ........................ Metals & Mining 76,800 2,906,112 Klabin SA, pfd. ........................................... Containers & Packaging 465 907 Petroleo Brasileiro SA, ADR, pfd. ......................... Oil, Gas & Consumable Fuels 82,780 5,099,248 Suzano Bahia Sul Papel e Celulose SA, pfd., A ............. Paper & Forest Products 118,196 681,230 Unibanco Uniao de Bancos Brasileiros SA, GDR,pfd. ......... Commercial Banks 26,800 1,657,312 Usinas Siderurgicas de Minas Gerais SA, pfd., A ........... Metals & Mining 52,158 1,223,766 Votorantim Celulose E Papel SA, ADR, pfd. ................. Paper & Forest Products 11,000 135,630 ------------- TOTAL PREFERRED STOCKS (COST $7,438,874) .................. 18,902,557 ------------- Quarterly Statement of Investments | 7 TEMPLETON EMERGING MARKETS FUND STATEMENT OF INVESTMENTS, NOVEMBER 30, 2005 (UNAUDITED) (CONTINUED) ------------------------------------------------------------------------------------------------------------------------------------ SHARES VALUE ------------------------------------------------------------------------------------------------------------------------------------ SHORT TERM INVESTMENTS (COST $6,022,756) 1.9% UNITED STATES 1.9% (d)Franklin Institutional Fiduciary Trust Money Market Portfolio 6,022,756 $ 6,022,756 ------------- TOTAL INVESTMENTS (COST $221,848,045) 100.0% 320,587,495 OTHER ASSETS, LESS LIABILITIES 0.0%C .......................... (133,882) ------------- NET ASSETS 100.0%.............................................. $ 320,453,613 ============= CURRENCY ABBREVIATIONS GBP - British Pound SELECTED PORTFOLIO ABBREVIATIONS ADR - American Depository Receipt GDR - Global Depository Receipt SDR - Swedish Depository Receipt (a) Non-income producing. (b) Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions exempt from registration only to qualified institutional buyers or in a public offering registered under the Securities Act of 1933. These securities have been deemed liquid under guidelines approved by the Fund's Board of Trustees. At November 30, 2005, the aggregate value of these securities was $4,286,607, representing 1.34% of net assets. (c) Rounds to less than 0.05% of net assets. (d) The Franklin Institutional Fiduciary Trust Money Market Portfolio is managed by an affiliate of the Fund's investment manager. 8 | See Notes to Statement of Investments. | Quarterly Statement of Investments TEMPLETON EMERGING MARKETS FUND NOTES TO STATEMENT OF INVESTMENTS (UNAUDITED) Templeton Emerging Markets Fund (the Fund) is registered under the Investment Company Act of 1940 as a diversified, closed-end investment company. 1. INCOME TAXES At November 30, 2005, the cost of investments and net unrealized appreciation (depreciation) for income tax purposes were as follows: Cost of investments ...................................... $ 226,403,317 ============= Unrealized appreciation .................................. $ 97,479,129 Unrealized depreciation .................................. (3,294,951) ------------- Net unrealized appreciation (depreciation) ............... $ 94,184,178 ============= For information on the Fund's policy regarding valuation of investments and other significant accounting policies, please refer to the Fund's most recent semiannual or annual shareholder report. Quarterly Statement of Investments | 9 ITEM 2. CONTROLS AND PROCEDURES. (a) EVALUATION OF DISCLOSURE CONTROLS AND PROCEDURES. The Registrant maintains disclosure controls and procedures that are designed to ensure that information required to be disclosed in the Registrant's filings under the Securities Exchange Act of 1934 and the Investment Company Act of 1940 is recorded, processed, summarized and reported within the periods specified in the rules and forms of the Securities and Exchange Commission. Such information is accumulated and communicated to the Registrant's management, including its principal executive officer and principal financial officer, as appropriate, to allow timely decisions regarding required disclosure. The Registrant's management, including the principal executive officer and the principal financial officer, recognizes that any set of controls and procedures, no matter how well designed and operated, can provide only reasonable assurance of achieving the desired control objectives. Within 90 days prior to the filing date of this Quarterly Schedule of Portfolio Holdings on Form N-Q, the Registrant had carried out an evaluation, under the supervision and with the participation of the Registrant's management, including the Registrant's principal executive officer and the Registrant's principal financial officer, of the effectiveness of the design and operation of the Registrant's disclosure controls and procedures. Based on such evaluation, the Registrant's principal executive officer and principal financial officer concluded that the Registrant's disclosure controls and procedures are effective. (b) CHANGES IN INTERNAL CONTROLS. There have been no significant changes in the Registrant's internal controls or in other factors that could significantly affect the internal controls subsequent to the date of their evaluation in connection with the preparation of this Quarterly Schedule of Portfolio Holdings on Form N-Q. ITEM 3. EXHIBITS. (a) Certifications pursuant to Section 30a-2 of the Investment Company Act of 1940 of Jimmy D. Gambill, Chief Executive Officer - Finance and Administration, and Galen G. Vetter, Chief Financial Officer. SIGNATURES Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized. TEMPLETON EMERGING MARKETS FUND By /s/JIMMY D. GAMBILL ----------------------- Jimmy D. Gambill Chief Executive Officer - Finance and Administration Date January 23, 2006 Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated. By /s/JIMMY D. GAMBILL ----------------------- Jimmy D. Gambill Chief Executive Officer - Finance and Administration Date January 23, 2006 By /s/GALEN G. VETTER ------------------------------ Galen G. Vetter Chief Financial Officer Date January 23, 2006