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Name | Symbol | Market | Type |
---|---|---|---|
Vanguard FTSE Developed Markets | AMEX:VEA | AMEX | Exchange Traded Fund |
Price Change | % Change | Price | High Price | Low Price | Open Price | Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|
-0.1199 | -0.25% | 48.1101 | 48.23 | 47.9395 | 48.10 | 22,313,512 | 22:16:54 |
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
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1 Month Vanguard FTSE Developed ... Chart |
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