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Institutional Investment Manager
VAUGHAN DAVID INVESTMENTS LLC/IL
VAUGHAN DAVID INVESTMENTS LLC/IL (CIK: 0001063571) incorporated in Delaware, located at 5823 N Forest Park Dr, Peoria, IL. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q2)
Original 13F HR (0001063571-16-000007) filed in 2016.08.10
#
Name
Shares
Value ($)
%
Options
Notes
101 BB&T CORP 512,482 18,249 1.01%
102 TransCanada Corp 416,843 18,850 1.04%
103 MARSH & MCLENNAN COS INC 276,590 18,935 1.04%
104 BRINKER INTL INC 419,946 19,120 1.05%
105 COLGATE PALMOLIVE CO 263,626 19,297 1.06%
106 SPECTRA ENERGY CORP 531,678 19,475 1.07%
107 PPG INDS INC 187,361 19,514 1.08%
108 DOMINION ENERGY INC 251,072 19,566 1.08%
109 EVERSOURCE ENERGY 327,079 19,592 1.08%
110 TARGET CORP 284,150 19,839 1.09%
111 TIME WARNER INC 270,557 19,897 1.10%
112 US BANCORP DEL 498,583 20,108 1.11%
113 S&P Global Inc 187,856 20,149 1.11%
114 DEERE & CO 250,087 20,267 1.12%
115 Duke Energy Corp 240,092 20,597 1.14%
116 ALLIANT ENERGY CORP 525,653 20,868 1.15%
117 CONSOLIDATED EDISON INC 260,493 20,954 1.15%
118 COCA COLA CO 464,087 21,037 1.16%
119 SCHLUMBERGER LTD 267,115 21,123 1.16%
120 PORTLAND GEN ELEC CO 488,132 21,536 1.19%
121 Nextera Energy Inc 167,609 21,856 1.20%
122 WELLS FARGO CO NEW 464,088 21,965 1.21%
123 PHILIP MORRIS INTL INC 218,122 22,187 1.22%
124 CATERPILLAR INC 292,832 22,200 1.22%
125 GENUINE PARTS CO 219,314 22,206 1.22%
126 XCEL ENERGY INC 497,852 22,294 1.23%
127 UNITED TECHNOLOGIES CORP 219,820 22,543 1.24%
128 RPM INTL INC 452,915 22,623 1.25%
129 CHEVRON CORP NEW 218,183 22,872 1.26%
130 SOUTHERN CO 427,262 22,914 1.26%
131 AMERICAN ELEC PWR INC 327,309 22,941 1.26%
132 GENERAL DYNAMICS CORP 166,875 23,236 1.28%
133 KIMBERLY CLARK CORP 169,585 23,315 1.28%
134 MCCORMICK & CO INC 220,853 23,558 1.30%
135 UNITED PARCEL SERVICE INC 219,027 23,594 1.30%
136 SCANA 316,538 23,949 1.32%
137 3M CO 138,562 24,265 1.34%
138 INTERNATIONAL BUSINESS MACHS 161,074 24,448 1.35%
139 PROCTER AND GAMBLE CO 288,837 24,456 1.35%
140 ORACLE CORP 614,200 25,139 1.39%
141 GENERAL MLS INC 358,546 25,572 1.41%
142 PEPSICO INC 243,184 25,763 1.42%
143 JPMORGAN CHASE & CO 417,315 25,932 1.43%
144 TEXAS INSTRS INC 415,189 26,012 1.43%
145 AMGEN INC 171,829 26,144 1.44%
146 GENERAL ELECTRIC CO 838,944 26,410 1.46%
147 PFIZER INC 750,936 26,440 1.46%
148 EXXON MOBIL CORP 291,453 27,321 1.51%
149 DISNEY WALT CO 291,107 28,476 1.57%
150 UNITEDHEALTH GROUP INC 204,883 28,929 1.59%
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