ADVFN Logo ADVFN

We could not find any results for:
Make sure your spelling is correct or try broadening your search.

Trending Now

Toplists

It looks like you aren't logged in.
Click the button below to log in and view your recent history.

Hot Features

Registration Strip Icon for charts Register for streaming realtime charts, analysis tools, and prices.

BSV Vanguard Short Term Bond

77.515
0.195 (0.25%)
Last Updated: 15:08:48
Delayed by 15 minutes
Name Symbol Market Type
Vanguard Short Term Bond AMEX:BSV AMEX Exchange Traded Fund
  Price Change % Change Price High Price Low Price Open Price Traded Last Trade
  0.195 0.25% 77.515 77.5199 77.38 77.49 238,624 15:08:48

Chilton Investment Co. 3Q 13F: Holdings As Of Sep 30

15/11/2013 2:03pm

Dow Jones News


Vanguard Short Term (AMEX:BSV)
Historical Stock Chart


From Nov 2019 to Nov 2024

Click Here for more Vanguard Short Term Charts.
DJ CFA SOURCE: SEC 13F-HR 
FILER: Chilton Investment Co. LLC 
QUARTER ENDED: 09/30/2013 
SEC RECEIVED: 11/14/2013 
 
 

The following sets forth up to 200 of the largest holdings of Chilton Investment Co. LLC as of Sep. 30, according to a Form 13F filed with the Securities and Exchange Commission.

As of Sep. 30, Chilton Investment Co. LLC held 145 positions valued at $3,600,085,149.

Up to 200 of the largest holdings of Chilton Investment Co. LLC are listed below in order of dollar value as of Sep. 30.

 
Company Name                             Value      Holdings         Change 
 
 
W R GRACE & CO  COM               $216,798,409     2,480,531         33,642 
SHERWIN WILLIAMS CO  COM          $147,368,499       808,917       (87,402) 
DOLLAR GENERAL CORP  COM          $143,654,509     2,544,359      (549,441) 
COSTCO WHOLESALE CORP  COM        $102,243,895       887,765         52,781 
AIRGAS INC  COM                    $98,920,152       932,769      (236,819) 
FLEETCOR TECHNOLOGIES INC  COM     $94,555,175       858,344        209,069 
HOME DEPOT INC  COM                $88,414,097     1,165,644      (190,648) 
ANHEUSER BUSCH INBEV SA  ADR       $84,871,056       855,555      (133,473) 
BROWN FORMAN CORP  CL B NVTG       $81,284,404     1,193,078        119,417 
DIAGEO PLC  ADR                    $80,055,317       629,960         22,384 
MOODYS CORP  COM                   $71,725,840     1,019,847         56,788 
UNION PACIFIC CORP  COM            $70,644,127       454,771         47,788 
WAL MART STORES INC  COM           $69,901,963       945,132        196,133 
MASTERCARD INC  CL A               $69,285,576       102,984          6,462 
UNITED PARCEL SERVICE INC  CL      $68,050,640       744,781        121,553 
VERISK ANALYTICS INC  CL A         $64,330,862       990,315         38,233 
LKQ CORP  COM                      $63,993,048     2,007,940    (2,124,429) 
TIFFANY & CO  COM                  $60,107,317       784,486         23,413 
ECOLAB INC  COM                    $58,666,107       594,027         91,901 
NATIONAL OILWELL VARCO INC  CO     $57,503,723       736,189      (213,013) 
BECTON DICKINSON & CO  COM         $53,373,273       533,626         18,480 
DOMINOS PIZZA INC  COM             $51,961,909       764,708         39,085 
MSC INDUSTRIAL DIRECT INC  CL      $50,904,518       625,747        191,197 
WELLS FARGO & CO  COM              $50,152,109     1,213,749         79,245 
PIONEER NATURAL RESOURCES CO       $50,146,035       265,604       (68,183) 
SCHLUMBERGER NV  COM               $49,635,523       561,742      (146,184) 
EOG RESOURCES INC  COM             $49,131,150       290,236       (75,869) 
COLGATE PALMOLIVE CO  COM          $44,837,442       756,112       (96,963) 
KKR & CO LP  COM UNIT              $44,497,438     2,162,169    (1,394,861) 
MICRON TECHNOLOGY INC  COM         $44,465,855     2,545,415    (1,711,831) 
WALT DISNEY CO  COM                $43,708,033       677,749         39,463 
AVAGO TECHNOLOGIES LTD  COM        $43,142,078     1,001,441      (923,025) 
GENESCO INC  COM                   $41,471,284       632,377         14,824 
MCDONALDS CORP  COM                $41,110,437       427,299      (143,918) 
RANGE RESOURCES CORP  COM          $38,358,373       505,447      (133,568) 
OCCIDENTAL PETROLEUM CORP  COM     $36,866,265       394,123       (81,254) 
SPANSION INC  CL A                 $36,396,063     3,607,142    (1,076,021) 
DOLLAR TREE INC  COM               $35,848,123       627,154      (216,137) 
HALLIBURTON CO  COM                $35,467,820       736,611      (143,192) 
CABOT OIL & GAS CORP  CL A         $34,940,514       936,241      (254,569) 
BALLY TECHNOLOGIES INC  COM        $33,783,313       468,822        468,822 * 
BAKER HUGHES INC  COM              $33,476,135       681,795      (137,357) 
TORO CO  COM                       $31,519,522       579,936        579,936 * 
BERKSHIRE HATHAWAY INC  CL B       $30,313,073       267,052          8,437 
SOUTHWESTERN ENERGY CO  COM        $29,802,023       819,187      (165,430) 
FLUOR CORP  COM                    $29,671,782       418,148       (86,043) 
CHEVRON CORP  COM                  $27,689,000       227,893      (164,847) 
AFC ENTERPRISES INC  COM           $27,464,882       630,073      (968,763) 
DSW INC  CL A                      $27,209,742       318,914      (108,944) 
NORFOLK SOUTHERN CORP  COM         $26,822,505       346,768        213,108 
CARMAX INC  COM                    $25,568,458       527,511        527,511 * 
CF INDUSTRIES HOLDINGS INC  CO     $23,338,038       110,696        110,696 * 
ATMEL CORP  COM                    $23,022,515     3,094,424    (1,423,837) 
GULFPORT ENERGY CORP  COM          $20,283,378       315,253       (63,695) 
COCA COLA CO  COM                  $19,985,033       527,588         60,964 
HELMERICH & PAYNE INC  COM         $18,537,070       268,848       (54,401) 
ROBERT HALF INTERNATIONAL INC      $18,071,241       463,009       (61,021) 
MAXIM INTEGRATED PRODUCTS INC      $18,052,193       605,372        605,372 * 
BLOUNT INTERNATIONAL INC  COM      $18,020,443     1,488,063      (543,797) 
BLACKSTONE GROUP LP  UNIT          $17,995,694       723,009      (287,736) 
ISHARES SILVER TRUST               $15,324,403       733,225        733,225 * 
SUNCOR ENERGY INC  COM             $15,098,444       421,980       (83,202) 
CONCHO RESOURCES INC  COM          $14,113,745       129,710       (25,210) 
FREEPORT MCMORAN COPPER  CL B      $13,849,637       418,671        418,671 * 
GLOBE SPECIALTY METALS INC  CO     $13,563,081       880,148      (115,217) 
FIRST HORIZON NATIONAL CORP  C     $13,364,730     1,216,081    (1,223,496) 
EQT CORP  COM                      $13,008,481       146,624       (28,825) 
AGRIUM INC  COM                    $12,720,209       151,377      (168,561) 
APACHE CORP  COM                   $12,588,460       147,856        147,856 * 
MONSANTO CO  COM                   $11,947,130       114,469       (23,367) 
SIGNET JEWELERS LTD  COM           $11,814,154       164,887         28,301 
FEDEX CORP  COM                    $11,780,831       103,241        103,241 * 
DRYSHIPS INC  ORD                  $11,617,767     3,281,855        321,199 
MOSAIC CO  COM                     $11,166,615       259,568      (522,434) 
LAZARD LTD  ORD A                   $9,418,221       261,472        261,472 * 
ATHLON ENERGY INC  COM              $9,023,467       275,947        275,947 * 
CUMMINS INC  COM                    $9,012,439        67,829         12,229 
SUNTRUST BANKS INC  COM             $8,977,746       276,920      (223,161) 
DIANA SHIPPING INC  COM             $8,605,898       712,999        113,069 
POTASH CORP OF SASKATCHEWAN  C      $8,179,751       261,501      (630,572) 
WELLS FARGO & CO  PFCV 7.5%49       $8,049,021         7,076          1,215 
DIAMONDBACK ENERGY INC  COM         $7,992,314       187,437       (41,389) 
MARKET VECTORS GOLD MINERS ETF      $7,866,688       314,416       (75,646) 
PITNEY BOWES INC  COM               $7,562,893       415,772        415,772 * 
UNILEVER NV  NY SH                  $7,239,939       191,939      (925,543) 
INFOBLOX INC  COM                   $7,192,915       171,997      (124,501) 
SILVER SPRING NETWORKS INC  CO      $7,135,870       411,764              0 
WALGREEN CO  COM                    $6,711,012       124,740          (270) 
UNITED TECHNOLOGIES CORP  COM       $6,551,682        60,765            340 
EXXON MOBIL CORP  COM               $6,429,425        74,726            337 
CST BRANDS INC  COM                 $6,131,082       205,741        205,741 * 
AUTOMATIC DATA PROCESSING INC       $5,977,285        82,582              0 
JOHNSON & JOHNSON  COM              $5,899,515        68,053            375 
AIR PRODUCTS & CHEMICALS INC        $5,800,179        54,426         10,572 
WORLD FUEL SERVICES CORP  COM       $5,781,707       154,964        154,964 * 
PEPSICO INC  COM                    $5,585,034        70,252              0 
EMERSON ELECTRIC CO  COM            $5,372,688        83,040              0 
PROCTER & GAMBLE CO  COM            $5,235,137        69,257            (5) 
UNITED TECHNOLOGIES CORP  UNIT      $5,231,793        80,750            400 
PRAXAIR INC  COM                    $5,203,530        43,287            386 
TARGET CORP  COM                    $5,147,511        80,455          (330) 
CHUBB CORP  COM                     $4,916,619        55,082              0 
PMC SIERRA INC  COM                 $4,846,006       732,025    (1,138,462) 
PERICOM SEMICONDUCTOR CORP  CO      $4,470,640       573,159         17,674 
NEOPHOTONICS CORP  COM              $4,408,830       596,594          6,552 
MOUNTAIN PROVINCE DIAMONDS INC      $4,090,202       777,605       (10,537) 
KELLOGG CO  COM                     $3,440,756        58,586              0 
LOWES COS INC  COM                  $3,383,595        71,069       (55,774) 
GENERAL MILLS INC  COM              $3,227,220        67,346              0 
MOLSON COORS BREWING CO  CL B       $3,046,651        60,775              0 
INTERNATIONAL BUSINESS MACHINE      $2,952,880        15,946           (96) 
NOAH HOLDINGS LTD  ADR              $2,665,648       156,343          3,243 
IMAX CORP  COM                      $2,324,881        76,881      (509,637) 
EAGLE BULK SHIPPING INC  COM        $2,106,275       293,353       (44,675) 
WYNN RESORTS LTD  COM               $2,027,900        12,834            157 
MERCK & CO INC  COM                 $1,490,876        31,315        (1,435) 
VISA INC  CL A                      $1,464,399         7,663        (1,233) 
FRANKLIN RESOURCES INC  COM         $1,304,948        25,815         15,195 
YUM BRANDS INC  COM                 $1,219,056        17,076      (152,925) 
SONOCO PRODUCTS CO  COM               $764,976        19,645             85 
AVALON RARE METALS INC  COM           $627,555       660,584              0 
SANOFI AVENTIS  ADR                   $601,535        11,881         11,881 * 
COGNIZANT TECHNOLOGY SOLUTIONS        $537,065         6,540            437 
OIL STATES INTERNATIONAL INC          $443,843         4,290          4,290 * 

1 Year Vanguard Short Term Chart

1 Year Vanguard Short Term Chart

1 Month Vanguard Short Term Chart

1 Month Vanguard Short Term Chart