David Vaughan Investments

David Vaughan Investments as of June 30, 2012

Portfolio Holdings for David Vaughan Investments

David Vaughan Investments holds 0 positions in its portfolio as reported in the June 2012 quarterly 13F filing

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                                                       VALUE        SHRS OR      SH/   PUT/INVESTMENT OTHEVOTING AUTHORITY
          NAME OF ISSUER          TITLE OF   CUSIP    (x $1000)     PRN AMT       PRN  CALLDISCRETION MANA 13Frprt qty SHAREDNONE
{S}                               {C}      {C}       {C}        {C}{C}      {C}  {C}   {C} {C}        {C} {C}          {C}   {C}
3M COMPANY                        COM      88579Y101      14,398    160,692         SH           SOLE          159,392         1,300
ABBOTT LABORATORIES               COM      002824100       1,687     26,170         SH           SOLE           26,170             0
AGL RESOURCES INC                 COM      001204106      13,318    343,679         SH           SOLE          340,979         2,700
ALLIANT ENERGY CORP               COM      018802108      11,274    247,399         SH           SOLE          244,149         3,250
ALLSTATE CORP                     COM      020002101       7,142    203,539         SH           SOLE          201,013         2,526
ALTRIA GROUP INC                  COM      02209S103         440     12,729         SH           SOLE           12,729             0
AMEREN CORPORATION                COM      023608102         981     29,258         SH           SOLE           29,258             0
AMERICAN ELECTRIC POWER           COM      025537101      12,739    319,266         SH           SOLE          316,666         2,600
AMERICAN EXPRESS CO               COM      025816109         385      6,610         SH           SOLE            6,610             0
AMGEN INC                         COM      031162100      13,941    191,209         SH           SOLE          189,747         1,462
ANTS SOFTWARE INC                 COM      037271103           0     46,666         SH           SOLE           46,666             0
APPLE INC                         COM      037833100         439        752         SH           SOLE              752             0
AT^T INC                          COM      00206R102      25,254    708,187         SH           SOLE          700,497         7,690
AUTOMATIC DATA PROCESSING         COM      053015103         450      8,080         SH           SOLE            8,080             0
BAKER HUGHES INC                  COM      057224107         384      9,350         SH           SOLE            9,350             0
BANK OF AMERICA CORP              COM      060505104         196     23,903         SH           SOLE           23,903             0
BANK OF NEW YORK MELLON CORP      COM      064058100         235     10,702         SH           SOLE           10,502           200
BARD C R INC                      COM      067383109       1,031      9,595         SH           SOLE            9,595             0
BAXTER INTERNATIONAL INC          COM      071813109      15,322    288,284         SH           SOLE          285,834         2,450
BB & T CORPORATION                COM      054937107      13,768    446,300         SH           SOLE          442,200         4,100
BERKSHIRE HATHAWAY CL A 1/100     COM      084990175         500        400         SH           SOLE              400             0
BERKSHIRE HATHAWAY CL B           COM      084670702         342      4,105         SH           SOLE            4,105             0
BOEING CO                         COM      097023105       1,688     22,719         SH           SOLE           22,595           124
BP PLC-SPONS ADR                  COM      055622104         552     13,612         SH           SOLE           12,174         1,438
BRINKER INTL INC                  COM      109641100      15,630    490,433         SH           SOLE          484,633         5,800
BRISTOL MYERS SQUIBB CO           COM      110122108         499     13,883         SH           SOLE           13,883             0
BROWN & BROWN INC                 COM      115236101       2,727    100,000         SH           SOLE          100,000             0
CATERPILLAR INC                   COM      149123101      21,601    254,400         SH           SOLE          252,650         1,750
CH ROBINSON WORLDWIDE INC         COM      12541W209         285      4,864         SH           SOLE            4,864             0
CHARLES SCHWAB CORP               COM      808513105         149     11,533         SH           SOLE           11,533             0
CHEVRON CORPORATION               COM      166764100      19,353    183,441         SH           SOLE          181,641         1,800
CISCO SYSTEMS INC                 COM      17275R102      15,213    886,043         SH           SOLE          877,343         8,700
CLOROX COMPANY                    COM      189054109         283      3,906         SH           SOLE            3,906             0
COCA COLA CO                      COM      191216100      17,709    226,490         SH           SOLE          224,790         1,700
COLGATE PALMOLIVE CO              COM      194162103      14,077    135,222         SH           SOLE          134,122         1,100
COMMERCE BANCSHARES INC           COM      200525103         811     21,395         SH           SOLE           21,395             0
CONOCOPHILLIPS                    COM      20825C104      16,544    296,064         SH           SOLE          293,814         2,250
CONSOLIDATED EDISON INC           COM      209115104      14,448    232,326         SH           SOLE          229,526         2,800
CONSUMER DISC SELECT SECTOR SPDR  COM      81369Y407         647     14,786         SH           SOLE           14,186           600
CSX CORP                          COM      126408103         826     36,950         SH           SOLE           36,950             0
CVS CAREMARK CORP                 COM      126650100         382      8,174         SH           SOLE            8,174             0
DARDEN RESTAURANTS INC            COM      237194105         327      6,450         SH           SOLE            6,450             0
DEERE & CO                        COM      244199105      20,051    247,944         SH           SOLE          245,494         2,450
DOMINION RESOURCES INC            COM      25746U109      14,044    260,075         SH           SOLE          256,475         3,600
DTE ENERGY COMPANY                COM      233331107      13,017    219,395         SH           SOLE          216,895         2,500
DU PONT E I DE NEMOURS            COM      263534109         335      6,634         SH           SOLE            6,634             0
DUKE ENERGY HOLDING CORP          COM      26441c204      14,444    626,369         SH           SOLE          617,917         8,452
EDISON INTERNATIONAL              COM      281020107         252      5,451         SH           SOLE            5,451             0
EMERSON ELECTRIC CO               COM      291011104      13,234    284,116         SH           SOLE          281,216         2,900
ENTERGY CORP                      COM      29364G103       1,609     23,703         SH           SOLE           23,703             0
EXELON CORPORATION                COM      30161N101      11,506    305,837         SH           SOLE          303,937         1,900
EXXON MOBIL CORPORATION           COM      30231G102      24,884    290,805         SH           SOLE          287,855         2,950
GENERAL DYNAMICS CORP             COM      369550108      11,511    174,510         SH           SOLE          172,960         1,550
GENERAL ELECTRIC CO               COM      369604103      14,186    680,699         SH           SOLE          675,153         5,546
GENERAL MILLS INC                 COM      370334104      16,279    422,380         SH           SOLE          418,980         3,400
GENUINE PARTS CO                  COM      372460105      14,093    233,917         SH           SOLE          231,367         2,550
GOLDMAN SACHS GROUP INC           COM      38141G104       6,976     72,775         SH           SOLE           71,725         1,050
GREAT PLAINS ENERGY INC           COM      391164100         811     37,892         SH           SOLE           37,892             0
HEWLETT PACKARD CO                COM      428236103      10,730    533,580         SH           SOLE          527,780         5,800
HOME DEPOT INC                    COM      437076102      14,154    267,116         SH           SOLE          265,116         2,000
HONEYWELL INTERNATL INC           COM      438516106      15,687    280,935         SH           SOLE          277,685         3,250
INDUSTRIAL SELECT SECTOR SPDR     COM      81369y704         524     14,682         SH           SOLE           14,682             0
INTEGRYS ENERGY GROUP INC         COM      45822P105       2,173     38,216         SH           SOLE           38,216             0
INTEL CORPORATION                 COM      458140100      20,500    769,216         SH           SOLE          761,716         7,500
INTL BUSINESS MACHINES CORP       COM      459200101      26,457    135,276         SH           SOLE          133,626         1,650
ISHARES BARCLAY 1-3 YR CREDIT BONDCOM      464288646         209      2,000         SH           SOLE            2,000             0
JOHNSON & JOHNSON                 COM      478160104      21,244    314,453         SH           SOLE          311,303         3,150
JOHNSON CONTROLS INC              COM      478366107       2,522     91,020         SH           SOLE           90,420           600
JP MORGAN CHASE & CO              COM      46625H100      15,559    435,462         SH           SOLE          431,572         3,890
KIMBERLY CLARK CORP               COM      494368103      17,472    208,573         SH           SOLE          207,023         1,550
KRAFT FOODS INC                   COM      50075N104         332      8,589         SH           SOLE            8,589             0
MARATHON OIL CORPORATION          COM      565849106         204      7,986         SH           SOLE            7,986             0
MARSH & MCLENNAN COS              COM      571748102         232      7,200         SH           SOLE            7,200             0
MASCO CORP                        COM      574599106         387     27,900         SH           SOLE           27,900             0
MATTEL INC                        COM      577081102      17,065    526,034         SH           SOLE          520,884         5,150
MCCORMICK & CO INC                COM      579780206      15,074    248,537         SH           SOLE          244,787         3,750
MCDONALDS CORPORATION             COM      580135101         891     10,070         SH           SOLE           10,070             0
MCGRAW HILL COMPANIES INC         COM      580645109      12,969    288,209         SH           SOLE          284,909         3,300
MEDTRONIC INC                     COM      585055106         301      7,783         SH           SOLE            7,783             0
MERCK AND CO INC NEW              COM      58933y105       2,688     64,388         SH           SOLE           64,388             0
METLIFE INC                       COM      59156R108       9,163    297,025         SH           SOLE          294,425         2,600
MICROSOFT CORP                    COM      594918104      20,348    665,189         SH           SOLE          656,989         8,200
MONSANTO CO                       COM      61166W101       2,434     29,401         SH           SOLE           29,401             0
NATIONAL FUEL GAS CO              COM      636180101       1,459     31,062         SH           SOLE           30,362           700
NEW JERSEY RESOURCES CORP         COM      646025106       2,492     57,137         SH           SOLE           56,837           300
NEW YORK COMMUNITY BANCORP        COM      649445103      10,539    841,100         SH           SOLE          832,800         8,300
NEXTERA ENERGY INC                COM      65339f101      14,085    204,700         SH           SOLE          202,550         2,150
NORFOLK SOUTHERN CORP             COM      655844108         895     12,469         SH           SOLE           12,469             0
NORTHEAST UTILITIES               COM      664397106      13,883    357,715         SH           SOLE          354,715         3,000
NV ENERGY INC                     COM      67073y106      14,047    799,050         SH           SOLE          792,750         6,300
OCCIDENTAL PETROLEUM CORP         COM      674599105         231      2,692         SH           SOLE            2,692             0
ORACLE CORP                       COM      68389X105      16,871    568,056         SH           SOLE          563,256         4,800
PEPSICO INC                       COM      713448108      17,757    251,309         SH           SOLE          249,859         1,450
PFIZER INC                        COM      717081103      18,761    815,677         SH           SOLE          809,037         6,640
PHILIP MORRIS INTL                COM      718172109       4,394     50,351         SH           SOLE           50,351             0
PHILLIPS 66                       COM      718546104       1,972     59,323         SH           SOLE           58,873           450
PIEDMONT NATURAL GAS CO           COM      720186105      11,569    359,410         SH           SOLE          355,110         4,300
PNC FINANCIAL SERVICES GROUP      COM      693475105      12,896    211,023         SH           SOLE          209,123         1,900
PPG INDUSTRIES INC                COM      693506107      16,074    151,466         SH           SOLE          150,016         1,450
PPL CORPORATION                   COM      69351T106         435     15,638         SH           SOLE           15,638             0
PROCTER & GAMBLE CO               COM      742718109      16,285    265,884         SH           SOLE          263,984         1,900
QEP RESOURCES INC                 COM      74733v100         547     18,238         SH           SOLE           17,938           300
QUALCOMM INC                      COM      747525103         247      4,443         SH           SOLE            4,443             0
QUESTAR CORP                      COM      748356102         783     37,513         SH           SOLE           37,213           300
RLI CORP                          COM      749607107       6,612     96,955         SH           SOLE           85,749        11,206
ROYAL DUTCH SHELL PLC A           COM      780259206         386      5,720         SH           SOLE            5,720             0
RPM INTERNATIONAL INC             COM      749685103      16,264    597,950         SH           SOLE          592,450         5,500
SCANA CORP                        COM      80589M102      15,104    315,728         SH           SOLE          312,028         3,700
SCHLUMBERGER LTD                  COM      806857108       9,789    150,814         SH           SOLE          149,464         1,350
SEMPRA ENERGY                     COM      816851109      11,586    168,207         SH           SOLE          166,257         1,950
SOUTH JERSEY INDUSTRIES           COM      838518108       8,986    176,300         SH           SOLE          173,700         2,600
SOUTHERN CO                       COM      842587107      17,919    387,011         SH           SOLE          383,611         3,400
SPDR GOLD TRUST                   COM      78463v107         275      1,770         SH           SOLE            1,770             0
SPDR S^P 500 ETF TRUST            COM      78462F103       1,148      8,432         SH           SOLE            8,432             0
SPECTRA ENERGY CORP               COM      847560109      13,136    452,047         SH           SOLE          446,771         5,276
T ROWE PRICE ASSOCIATES           COM      74144t108      12,683    201,450         SH           SOLE          199,100         2,350
TARGET CORP                       COM      87612E106      16,188    278,187         SH           SOLE          275,437         2,750
TEXAS INSTRUMENTS INC             COM      882508104      13,212    460,500         SH           SOLE          457,400         3,100
THE WALT DISNEY CO                COM      254687106      14,557    300,138         SH           SOLE          296,838         3,300
TIDEWATER INC                     COM      886423102       5,368    115,780         SH           SOLE          115,280           500
TIME WARNER CABLE INC             COM      88732j207         588      7,162         SH           SOLE            7,137            25
TIME WARNER INC                   COM      887317303      12,146    315,469         SH           SOLE          313,469         2,000
TRAVELCENTERS OF AMERICA LLC      COM      894174101          76     15,038         SH           SOLE           15,038             0
TRAVELERS COMPANIES INC           COM      89417e109       1,557     24,387         SH           SOLE           24,287           100
UNION PACIFIC CORP                COM      907818108         204      1,712         SH           SOLE            1,712             0
UNITED PARCEL SERVICE B           COM      911312106      17,065    216,667         SH           SOLE          215,017         1,650
UNITED TECHNOLOGIES CORP          COM      913017109      15,654    207,262         SH           SOLE          204,812         2,450
UNITEDHEALTH GROUP                COM      91324P102      14,116    241,302         SH           SOLE          238,202         3,100
US BANCORP                        COM      902973304      15,866    493,340         SH           SOLE          489,840         3,500
VALHI INC                         COM      918905100         143     11,421         SH           SOLE           11,421             0
VANGUARD SHORT-TERM BOND ETF      COM      921937827         299      3,687         SH           SOLE            3,687             0
VECTREN CORPORATION               COM      92240G101      13,925    471,723         SH           SOLE          467,273         4,450
VERIZON COMMUNICATIONS            COM      92343v104      22,834    513,816         SH           SOLE          508,034         5,782
WAL MART STORES INC               COM      931142103      13,912    199,535         SH           SOLE          196,229         3,306
WALGREEN CO                       COM      931422109       7,226    244,273         SH           SOLE          240,373         3,900
WELLS FARGO & COMPANY             COM      949746101      16,353    489,016         SH           SOLE          484,116         4,900
WILLIAMS COS INC                  COM      969457100      12,190    422,957         SH           SOLE          418,957         4,000
WINDSTREAM CORP                   COM      97381W104       8,485    878,341         SH           SOLE          869,541         8,800
WORTHINGTON INDUSTRIES INC        COM      981811102         976     47,663         SH           SOLE           47,463           200
WPX ENERGY INC                    COM      98212b103         610     37,690         SH           SOLE           37,457           233
XCEL ENERGY                       COM      98389B100      14,144    497,844         SH           SOLE          491,944         5,900