SYNCOR INTERNATIONAL CORP /DE/
11-K, 1994-07-14
DRUGS, PROPRIETARIES & DRUGGISTS' SUNDRIES
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               SECURITIES AND EXCHANGE COMMISSION
                     Washington, D.C. 20549
                            FORM 11-K
    [ X ] TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE
        SECURITIES EXCHANGE ACT OF 1934 [NO FEE REQUIRED]
For the transition period from JUNE 1, 1993 to DECEMBER 31, 1993
Commission File Number:  0-8640

              A. SYNCOR INTERNATIONAL CORPORATION 
            EMPLOYEE SAVINGS AND STOCK OWNERSHIP PLAN
                    (Full title of the plan)

               B. SYNCOR INTERNATIONAL CORPORATION
  (Name of issuer of the securities held pursuant to the plan)
       20001 PRAIRIE STREET, CHATSWORTH, CALIFORNIA 91311
           (Address of its principal executive office)
_________________________________________________________________

                      REQUIRED INFORMATION
     The following financial statements shall be furnished for
the plan:

     1. An audited statement of financial condition as of the end
of the latest two fiscal years of the plan (or such lesser period
as the plan has been in existence).

     2. An audited statement of income and changes in plan equity
for each of the latest three fiscal years of the plan (or such
lesser period as the plan has been in existence).

     3. The statements required by items 1 and 2 shall be
prepared in accordance with the applicable provisions of Article
6A of Regulation S-X (17 CFR 210.6A-01-6A-05).

     4. In lieu of the requirements of items 1-3 above, plans
subject to ERISA may file plan financial statements and schedules
prepared in accordance with the financial reporting requirements
of ERISA. To the extent required by ERISA, the plan financial
statements shall be examined by an independent accountant, except
that the "limited scope exemption" contained in Section
103(a)(3)(C) of ERISA shall not be available.

     Note: A written consent of the accountant is required with
respect to the plan annual financial statements which have been
incorporated by reference in a registration statement on Form S-8
under the Securities Act of 1933. The consent should be filed as
an exhibit to this annual report. Such consent shall be currently
dated and manually signed.

                           SIGNATURES
     The Plan. Pursuant to the requirements of the Securities
Exchange Act of 1934, the trustees (or other persons who
administer the employee benefit plan) have duly caused this
annual report to be signed on its behalf by the undersigned
hereunto duly authorized.

                              SYNCOR INTERNATIONAL CORPORATION 
                              EMPLOYEE SAVINGS AND STOCK
                               OWNERSHIP PLAN
                              (Name of Plan)

Date: July 14, 1994           /s/ William A. Kemmel, Jr.
      ______________          __________________________________
                              William A. Kemmel, Jr.
                              Member, Administrative Committee
                              SYNCOR INTERNATIONAL CORPORATION 
                              EMPLOYEE SAVINGS AND STOCK
                               OWNERSHIP PLAN



                        INDEX OF EXHIBITS


1.   SYNCOR INTERNATIONAL CORPORATION
     EMPLOYEE SAVINGS AND STOCK OWNERSHIP PLAN

     Financial Statements and Schedule

     December 31, 1993 and May 31, 1993 and 1992

     (With Independent Auditor' Report Thereon)




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