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 sales of The Vanguard Group, Inc. are
listed below, ordered by the number of shares sold during the three
months ended Sep. 30.
Company Name Value Holdings Change
SIRIUS XM RADIO INC COM $384,704,587 99,278,603 (7,966,863)
ADVANCED MICRO DEVICES INC CO $132,418,691 34,755,562 (6,159,078)
LIBERTY GLOBAL PLC CL A $191,873,775 2,418,069 (5,864,898)
LIBERTY GLOBAL PLC CL C $143,744,537 1,905,668 (4,763,450)
KINDER MORGAN MANAGEMENT LLC $20,833,097 282,817 (4,032,469)
CAPITALSOURCE INC COM $121,136,855 10,196,705 (2,737,541)
WALT DISNEY CO COM $5,032,207,840 78,030,824 (2,132,655)
LEXICON PHARMACEUTICALS INC C $30,434,564 12,787,632 (1,929,969)
TRANSATLANTIC PETROLEUM LTD C $293,281 349,144 (1,666,434)
DISH NETWORK CORP CL A $397,788,028 8,837,770 (1,590,142)
MERCK & CO INC COM $6,730,210,626 141,364,251 (1,576,036)
TEXTRON INC COM $505,289,754 18,300,969 (1,533,193)
TAIWAN SEMICONDUCTOR MFG CO LT $1,014,825,531 59,836,411 (1,500,340)
PARAMOUNT GOLD & SILVER CORP $6,385,154 4,949,732 (1,485,556)
ORACLE CORP COM $5,659,465,135 170,619,992 (1,478,394)
PETROBRAS ADR NVTG $559,297,451 33,430,810 (1,392,028)
ITAU UNIBANCO HOLDING SA ADR $626,106,964 44,341,853 (1,338,379)
PULTEGROUP INC COM $392,578,115 23,792,613 (1,335,614)
CMS ENERGY CORP COM $492,156,285 18,698,947 (1,331,609)
CADENCE DESIGN SYSTEM INC COM $223,913,403 16,573,901 (1,224,210)
SWISHER HYGIENE INC COM $2,093,034 3,448,162 (1,157,670)
DIRECTV COM $1,463,736,315 24,485,385 (1,120,250)
PETROBRAS ADR $363,350,014 23,457,070 (1,083,250)
HUNTINGTON BANCSHARES INC COM $486,784,688 58,932,771 (1,058,731)
VALE SA ADR PFD $484,758,974 34,113,932 (1,044,898)
VAALCO ENERGY INC COM $9,862,840 1,767,534 (1,023,156)
AVAGO TECHNOLOGIES LTD COM $491,948,269 11,419,412 (977,748)
TESORO CORP COM $384,769,277 8,748,733 (960,250)
HALLIBURTON CO COM $2,003,625,071 41,612,151 (929,327)
KCG HOLDINGS INC CL A $31,614,392 3,646,412 (855,428)
BANCOLOMBIA SA ADR PFD $223,522,243 3,884,641 (854,299)
KEMET CORP COM $5,387,861 1,288,962 (742,205)
REGAL ENTERTAINMENT GROUP CL $91,983,230 4,846,324 (712,250)
AMERICAN EAGLE OUTFITTERS INC $125,264,054 8,953,828 (694,691)
BANCO BRADESCO SA ADR PFD $499,058,703 35,955,238 (652,813)
AMERICAN ELECTRIC POWER INC C $1,047,257,276 24,158,184 (641,344)
KOREA ELECTRIC POWER CO ADR $25,098,129 1,787,616 (628,627)
MOTOROLA SOLUTIONS INC COM $701,015,934 11,805,590 (615,026)
REGENERON PHARMACEUTICALS COM $1,155,826,255 3,694,270 (583,340)
UNITED MICROELECTRONICS ADR $72,642,962 35,263,574 (582,398)
VALE SA ADR $351,861,264 22,540,760 (562,420)
CAREER EDUCATION CORP COM $5,087,514 1,850,005 (556,683)
LIMELIGHT NETWORKS INC COM $5,425,182 2,810,975 (541,305)
ARRAY BIOPHARMA INC COM $20,348,276 3,271,427 (535,764)
APPLE INC COM $20,962,062,469 43,968,668 (535,667)
ADT CORP COM $538,834,127 13,252,192 (527,089)
HERBALIFE LTD COM $317,053,369 4,544,265 (521,854)
DEAN FOODS CO COM $110,532,316 5,727,063 (520,423)
CUBIST PHARMACEUTICALS INC CO $239,938,173 3,775,581 (516,375)
NETAPP INC COM $709,831,710 16,654,897 (500,974)
ACTAVIS PLC ORD $0 9,665,604 (497,803)
PARTNERRE LTD ORD $254,870,245 2,784,250 (497,512)
REYNOLDS AMERICAN INC COM $749,923,281 15,373,581 (489,645)
WILLIS GROUP HOLDINGS PLC COM $356,990,410 8,238,874 (487,087)
HARVEST NATURAL RESOURCES INC $5,507,076 1,029,360 (478,299)
AVID TECHNOLOGY INC COM $8,202,084 1,367,014 (472,829)
ENERGY XXI BERMUDA LTD COM $127,819,175 4,231,022 (471,964)
PEOPLES UNITED FINANCIAL INC $302,025,455 21,003,161 (463,815)
AXIS CAPITAL HOLDINGS LTD COM $208,868,755 4,822,645 (456,410)
CHENIERE ENERGY INC COM $388,136,260 11,368,959 (451,867)
KULICKE & SOFFA INDUSTRIES INC $57,948,683 5,017,202 (438,447)
CNH INDUSTRIAL NV ORD $719,300 57,544 (419,245)
ENTERGY CORP COM $552,701,825 8,746,666 (413,732)
BRINKER INTERNATIONAL INC COM $198,853,028 4,906,317 (399,818)
VERISIGN INC COM $477,644,583 9,385,824 (385,583)
ADOBE SYSTEMS INC COM $1,184,460,069 22,804,391 (374,710)
CIA SIDERURGICA NACIONAL (CSN) $58,433,821 13,668,730 (359,112)
AGILENT TECHNOLOGIES INC COM $817,029,448 15,942,038 (357,020)
LEAR CORP COM $297,925,155 4,162,710 (354,061)
NORANDA ALUMINUM HOLDING CORP $4,189,026 1,702,856 (349,855)
AMBEV SA SPONSORED ADR $480,102,231 12,518,963 (344,313)
PMC SIERRA INC COM $67,782,259 10,239,012 (337,599)
LEGG MASON INC COM $241,198,640 7,212,878 (336,519)
WYNDHAM WORLDWIDE CORP COM $547,527,489 8,980,277 (335,888)
ENZON PHARMACEUTICALS INC COM $2,437,468 1,450,874 (331,883)
TRIUMPH GROUP INC COM $205,257,203 2,923,059 (330,902)
ROSETTA RESOURCES INC COM $193,599,671 3,554,244 (329,113)
REPUBLIC SERVICES INC COM $429,847,236 12,885,109 (324,140)
HCP INC COM $2,189,671,561 53,471,833 (319,166)
HARMONIC INC COM $46,594,314 6,066,968 (318,183)
ST JOE CO COM $81,811,025 4,169,777 (314,578)
OI SA ADR PFD $24,689,370 13,418,136 (306,323)
TIME WARNER CABLE INC COM $1,576,257,260 14,124,169 (304,408)
BANCO SANTANDER BRASIL SA ADR $100,704,277 14,489,824 (303,720)
LINKEDIN CORP CL A $1,057,735,415 4,298,689 (299,738)
AMERICAN WATER WORKS CO INC C $399,040,592 9,666,681 (299,147)
AMERICAN EXPRESS CO COM $3,598,839,067 47,654,119 (284,718)
NABORS INDUSTRIES LTD ORD $286,079,028 17,813,140 (283,499)
CALPINE CORP COM NEW $414,519,484 21,333,993 (275,885)
GERDAU SA ADR PFD $98,081,641 13,147,673 (274,378)
LEAP WIRELESS INTERNATIONAL IN $55,479,425 3,511,356 (269,961)
MAXIM INTEGRATED PRODUCTS INC $551,278,553 18,486,873 (263,769)
UTI WORLDWIDE INC COM $75,239,097 4,979,424 (262,584)
ASSURED GUARANTY LTD COM $161,232,900 8,599,088 (259,534)
CBRE GROUP INC COM $426,997,286 18,460,756 (254,777)
GSE SYSTEMS INC COM $831,533 529,639 (252,527)
BRF SA ADR $204,195,104 8,324,301 (243,620)
ADVANCED SEMI ENG (ASE) ADR $74,528,837 15,591,807 (235,924)
ELEPHANT TALK COMMUNICATIONS $961,620 1,435,254 (232,623)
ALBEMARLE CORP COM $320,959,698 5,099,455 (230,730)
CYTEC INDUSTRIES INC COM $165,011,911 2,028,170 (230,036)
CHICOS FAS INC COM $148,634,106 8,921,615 (221,896)
TRAVELCENTERS OF AMERICA LLC $1,075,536 137,011 (219,143)
JANUS CAPITAL GROUP INC COM $70,755,876 8,314,439 (217,976)
CBL & ASSOCIATES PROPERTIES IN $372,308,297 19,492,581 (217,633)
STR HOLDINGS INC COM $1,879,132 842,660 (216,547)
NATIONSTAR MORTGAGE HOLDINGS I $69,030,197 1,227,640 (210,676)
VIVUS INC COM $49,841,341 5,359,284 (209,955)
THOR INDUSTRIES INC COM $146,488,317 2,523,920 (205,130)
PILGRIMS PRIDE CORP COM $68,740,982 4,096,602 (202,143)
MRC GLOBAL INC COM $128,650,532 4,800,393 (201,513)
ANN INC COM $102,865,561 2,840,021 (199,867)
MARRIOTT INTERNATIONAL INC CL $578,589,684 13,756,293 (197,353)
JOURNAL COMMUNICATIONS INC CL $11,571,476 1,353,389 (191,835)
BLYTH INC COM $4,501,043 325,455 (187,936)
BAXTER INTERNATIONAL INC COM $1,695,782,358 25,814,924 (183,336)
CBOE HOLDINGS INC COM $224,653,385 4,966,911 (176,539)
CEMIG ENERGETICA MINAS GER AD $81,130,853 9,390,145 (175,932)
SUNPOWER CORP COM $102,424,326 3,915,303 (175,384)
PREMIER EXHIBITIONS INC COM $900,469 588,542 (173,500)
VALIDUS HOLDINGS LTD COM $182,156,639 4,925,815 (172,826)
FOSSIL GROUP INC COM $358,899,834 3,087,576 (171,014)
ZOETIS INC CL A $742,309,468 23,853,132 (170,889)
GREAT PLAINS ENERGY INC COM $192,962,511 8,692,005 (168,820)
JAKKS PACIFIC INC COM $4,242,177 942,706 (167,231)
SIMON PROPERTY GROUP INC COM $5,431,177,439 36,640,204 (167,119)