DJ CFA SOURCE: SEC 13F-HR 
FILER: The Vanguard Group, Inc. 
QUARTER ENDED: 09/30/2013 
SEC RECEIVED: 11/07/2013 
 

Up to 200 of the largest purchases of The Vanguard Group, Inc. are listed below, ordered by the number of shares bought during the three months ended Sep. 30.

 
Company Name                             Value      Holdings        Change 
 
 
COLE REAL ESTATE INVESTMENTS I    $670,012,752    54,650,306    54,650,306 
NEWS CORP  CL A                   $504,919,350    31,439,561    31,439,561 
SPRINT CORP  COM                  $171,811,567    27,626,880    27,626,880 
SPIRIT REALTY CAPITAL INC  COM    $388,817,367    42,354,833    26,686,716 
FACEBOOK INC  CL A              $2,949,460,343    58,719,099    12,558,990 
DELTA AIR LINES INC  COM        $1,356,706,004    57,511,912    12,527,237 
ALCOA INC  COM                    $560,949,567    69,082,459    11,124,138 
CHAMBERS STREET PROPERTIES  CO     $99,752,776    11,361,364    10,987,997 
SYNOVUS FINANCIAL CORP  COM       $161,376,323    48,901,916    10,224,964 
PENNEY J C INC  COM               $166,618,257    18,923,141     9,807,291 
BANK OF AMERICA CORP  COM       $6,844,562,060   495,982,758     9,271,521 
MICROSOFT CORP  COM             $12,200,229,450   366,593,433     8,647,366 
RITE AID CORP  COM                $253,316,490    53,217,750     7,500,691 
COUSINS PROPERTIES INC  COM       $222,485,739    21,621,549     7,378,464 
INTEL CORP  COM                 $5,696,743,280   248,538,165     5,340,277 
SENIOR HOUSING PROPERTIES TR      $537,252,794    23,018,543     5,242,872 
HEALTHCARE TRUST OF AMERICA  C    $177,706,765    16,892,278     4,823,103 
GENERAL MOTORS CO  COM          $1,454,893,697    40,447,420     4,776,142 
CISCO SYSTEMS INC  COM          $6,077,984,155   259,399,264     4,555,382 
GENERAL ELECTRIC CO  COM        $11,730,263,803   491,011,461     4,428,947 
JOHNSON & JOHNSON  COM          $11,861,149,980   136,822,586     4,225,966 
PFIZER INC  COM                 $9,237,382,484   321,579,895     3,864,740 
VERTEX PHARMACEUTICALS INC  CO  $1,168,377,708    15,409,888     3,842,902 
GROUPON INC  CL A                 $232,528,685    20,741,119     3,583,604 
HALCON RESOURCES CORP COM          $58,238,610    13,146,413     3,525,215 
MANNKIND CORP  COM                 $57,346,001    10,060,702     3,454,352 
AMETEK INC  COM                   $738,206,590    16,040,995     3,441,772 
WELLS FARGO & CO  COM           $10,102,069,872   244,483,782     3,430,298 
MICRON TECHNOLOGY INC  COM      $1,227,840,004    70,286,794     3,387,732 
COCA COLA CO  COM               $8,169,435,391   215,666,193     3,339,641 
XEROX CORP  COM                   $738,282,392    71,747,560     3,339,600 
VERIZON COMMUNICATIONS INC  CO  $6,471,978,091   138,660,484     3,278,020 
MURPHY OIL CORP  COM              $790,934,841    13,112,315     3,236,487 
NIELSEN HOLDINGS NV  ORD          $534,500,431    14,663,935     3,231,298 
OPKO HEALTH INC  COM              $101,710,499    11,544,892     3,205,495 
LYONDELLBASELL INDUSTRIES  ORD  $1,655,146,730    22,602,031     3,143,364 
JPMORGAN CHASE & CO INC  COM    $9,409,140,366   182,030,187     3,117,657 
AES CORP  COM                     $585,952,206    44,089,707     3,075,088 
ABBVIE INC  COM                 $3,604,347,649    80,580,095     3,060,527 
MALLINCKRODT PLC  COM             $134,780,441     3,056,939     3,056,939 
ZYNGA INC  CL A                   $126,602,331    34,487,151     3,043,743 
HD SUPPLY HOLDINGS INC  COM        $64,935,960     2,955,665     2,955,665 
PROCTER & GAMBLE CO  COM        $10,814,403,236   143,066,586     2,906,020 
BERKSHIRE HATHAWAY INC  CL B    $8,707,197,045    76,708,634     2,788,415 
EXXON MOBIL CORP  COM           $19,347,346,484   224,864,557     2,725,853 
STANDARD PACIFIC CORP  COM         $74,295,949     9,392,661     2,637,977 
SCIENCE APPLICATIONS INTL CORP     $85,881,161     2,544,627     2,544,627 
NOBLE CORP  ORD REG               $545,339,728    14,438,436     2,526,356 
AMKOR TECHNOLOGY INC  COM          $28,034,231     6,548,524     2,513,569 
DOW CHEMICAL CO  COM            $2,296,143,475    59,795,403     2,506,394 
CITIGROUP INC  COM              $6,649,327,259   137,071,269     2,505,118 
BOSTON SCIENTIFIC CORP  COM     $1,021,631,882    87,021,455     2,476,318 
PPL CORP  COM                     $939,209,700    30,915,395     2,454,308 
DDR CORP  COM                     $559,419,794    35,609,153     2,401,658 
MURPHY USA INC  COM                $94,981,488     2,351,609     2,351,609 
AMERICAN HOMES 4 RENT  CL A        $37,273,441     2,307,953     2,307,953 
CHARLES SCHWAB CORP  COM        $1,129,531,911    53,431,027     2,200,439 
AT&T INC  COM                   $8,686,611,569   256,848,361     2,165,976 
NORTHSTAR REALTY FINANCE CORP     $114,002,545    12,284,757     2,158,721 
AMERICAN REALTY CAPITAL PROPS     $258,354,288    21,176,581     2,151,280 
SERVICENOW INC  COM               $298,666,161     5,749,108     2,118,339 
KINDER MORGAN INC  COM CL P     $1,199,270,259    33,715,779     1,963,154 
ALTRIA GROUP INC  COM           $3,330,376,907    96,954,204     1,955,029 
SANDRIDGE ENERGY INC  COM         $151,459,248    25,846,288     1,907,886 
RR DONNELLEY & SONS CO  COM       $179,427,831    11,370,585     1,900,636 
GOVERNMENT PROPERTIES INCOME T    $164,724,907     6,883,615     1,878,940 
PEPSICO INC  COM                $6,818,694,410    85,769,741     1,858,507 
BRISTOL MYERS SQUIBB CO  COM    $3,642,442,825    78,704,469     1,855,562 
ABBOTT LABS  COM                $3,151,783,735    94,961,848     1,825,769 
DCT INDUSTRIAL TRUST INC  COM     $276,697,422    38,483,647     1,818,095 
HEWLETT PACKARD CO  COM         $1,903,730,660    90,697,030     1,814,236 
CHEVRON CORP  COM               $12,346,817,729   101,619,899     1,804,167 
REGIONS FINANCIAL CORP  COM       $875,805,874    94,579,468     1,782,142 
PANDORA MEDIA INC  COM            $214,765,026     8,546,161     1,772,125 
MOSAIC CO  COM                    $627,638,139    14,589,450     1,761,342 
RETAIL PROPERTIES OF AMERICA      $322,304,359    23,440,317     1,727,202 
MICHAEL KORS HOLDINGS LTD  COM    $143,321,708     1,923,265     1,723,748 
VANGUARD TAX MANAGED  MSCI EAF    $194,093,433     4,903,826     1,697,677 
REALOGY HOLDINGS CORP  COM        $327,328,167     7,608,744     1,652,070 
CH ROBINSON WORLDWIDE INC  COM    $696,195,571    11,683,094     1,606,121 
WAL MART STORES INC  COM        $6,637,001,327    89,737,714     1,602,960 
PUBLIC SERVICE ENTERPRISE GROU    $856,569,331    26,011,823     1,558,681 
KAR AUCTION SERVICES INC  COM     $156,865,034     5,560,618     1,553,439 
YAHOO INC  COM                  $1,497,349,028    45,141,665     1,531,676 
GENERAL GROWTH PROPERTIES INC   $1,032,787,468    53,540,045     1,531,016 
FRONTIER COMMUNICATIONS CORP      $289,475,901    69,252,608     1,528,761 
H&R BLOCK INC  COM                $506,587,988    19,001,800     1,514,314 
CONOCOPHILLIPS  COM             $4,216,063,989    60,654,064     1,504,123 
CHIMERA INVESTMENT CORP  COM      $166,610,532    54,806,096     1,502,096 
FORD MOTOR CO  COM              $3,132,497,616   185,684,506     1,491,877 
CVS CAREMARK CORP  COM          $3,247,821,909    57,230,342     1,471,543 
VANTIV INC  CL A                  $185,392,629     6,635,384     1,470,402 
STARWOOD PROPERTY TRUST INC  C    $234,504,119     9,783,234     1,465,433 
EVERTEC INC  COM                   $59,601,068     2,683,524     1,464,251 
METLIFE INC  COM                $2,138,592,172    45,550,419     1,444,699 
GILEAD SCIENCES INC  COM        $4,620,138,881    73,487,178     1,437,584 
COMCAST CORP  CL A              $5,162,192,968   114,422,985     1,434,729 
WORKDAY INC  CL A                 $245,945,056     3,038,985     1,419,220 
MONDELEZ INTERNATIONAL INC  CL  $2,566,629,569    81,685,165     1,411,650 
SUMMIT HOTEL PROPERTIES INC  C     $70,956,054     7,721,007     1,401,932 
MEDICAL PROPERTIES TRUST INC      $258,193,767    21,215,593     1,397,976 
UNITED CONTINENTAL HOLDINGS IN    $537,843,792    17,513,637     1,392,839 
AMERICAN INTERNATIONAL GROUP    $3,313,429,025    68,135,493     1,375,922 
WHITEWAVE FOODS CO  CL A          $201,497,899    10,090,030     1,374,547 
APPLIED MATERIALS INC  COM      $1,072,848,481    61,197,221     1,366,590 
COBALT INTERNATIONAL ENERGY IN    $377,776,364    15,196,153     1,347,130 
LAREDO PETROLEUM HOLDINGS INC      $96,168,483     3,240,178     1,340,541 
WILLIAMS COMPANIES INC  COM     $1,242,050,292    34,159,799     1,336,866 
LEIDOS HOLDINGS INC  COM          $292,008,478     6,414,949     1,331,746 
NIKE INC  CL B                  $2,933,247,510    40,380,610     1,326,464 
BOYD GAMING CORP  COM              $65,188,385     4,606,953     1,316,064 
US AIRWAYS GROUP INC  COM         $219,803,147    11,592,993     1,303,435 
CELLDEX THERAPEUTICS INC  COM     $135,317,728     3,819,298     1,301,392 
PNC FINANCIAL SERVICES GROUP    $1,868,737,626    25,793,480     1,252,162 
GENERAL DYNAMICS CORP  COM      $1,678,496,281    19,178,431     1,249,813 
SOLARCITY CORP  COM                $53,211,444     1,537,903     1,242,933 
US BANCORP/DE  COM              $3,084,612,634    84,325,113     1,240,247 
HOST HOTELS & RESORTS (MARRIOT  $1,584,034,359    89,645,408     1,228,073 
UNITED TECHNOLOGIES CORP  COM   $5,239,151,703    48,591,650     1,216,026 
WALGREEN CO  COM                $2,590,249,366    48,145,899     1,204,618 
FREEPORT MCMORAN COPPER  CL B   $1,647,503,683    49,803,618     1,199,178 
REXAHN PHARMACEUTICALS INC  CO        $900,253     1,978,577     1,197,220 
CDW CORP  COM                      $27,297,603     1,195,690     1,195,690 
TWENTY FIRST CENTURY FOX INC    $3,018,374,110    90,073,832     1,182,869 
FIRST NIAGARA FINANCIAL GROUP     $201,601,428    19,440,832     1,165,610 
NRG YIELD INC  CL A                $35,093,055     1,158,569     1,158,569 
BERRY PLASTICS GROUP INC  COM      $84,468,367     4,229,763     1,158,308 
LULULEMON ATHLETICA INC  COM      $387,840,128     5,303,434     1,157,785 
OCCIDENTAL PETROLEUM CORP  COM  $4,218,542,407    45,098,807     1,128,045