[X]
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ANNUAL
REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF
1934
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[_]
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TRANSITION
REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF
1934
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A.
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Full
title of the plan and the address of the plan, if different from that of
the issuer named below:
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B.
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Name
of issuer of the securities held pursuant to the plan and the address of
its principal executive officer:
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Vectren
Corporation
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One
Vectren Square
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Evansville,
Indiana 47708
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TABLE
OF CONTENTS
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At
December 31,
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||||||
2008
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2007
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|||||
ASSETS
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||||||
Investments,
at fair value
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||||||
Shares
of registered investment companies- mutual funds
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$ 73,690
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$ 107,801
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||||
Vectren
Corporation Common Stock Fund
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22,709
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26,079
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||||
Common
trust fund - fully benefit-responsive investment contracts
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19,765
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18,118
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||||
Participants’
loans
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2,793
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2,840
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||||
Total
investments
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118,957
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154,838
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||||
Net
assets available for benefits, at fair value
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118,957
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154,838
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||||
Adjustment
from fair value to contract value for investments
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||||||
in
common trust fund, related to fully benefit responsive
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||||||
investment
contracts
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186
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(106)
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||||
NET
ASSETS AVAILABLE FOR BENEFITS
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$ 119,143
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$ 154,732
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Year
Ended December 31,
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|||||||||
2008
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2007
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2006
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|||||||
(DEDUCTIONS)
ADDITIONS TO NET ASSETS ATTRIBUTED TO:
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Investment
(loss) income:
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|||||||||
Dividend,
interest, and other income
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$ 5,976
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$ 9,100
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$ 6,499
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||||||
Net
(depreciation) appreciation in fair value of investments
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(45,936)
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(564)
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8,810
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||||||
Total
investment income
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(39,960)
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8,536
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15,309
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Contributions:
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Employee
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8,475
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8,539
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8,260
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||||||
Employer
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4,176
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3,907
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3,693
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Total
contributions
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12,651
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12,446
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11,953
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OTHER
DEDUCTIONS FROM NET ASSETS ATTRIBUTED TO:
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Benefits
paid to participants
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8,269
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10,777
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12,029
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Fees
paid to trustee
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11
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12
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7
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||||||
Total
other deductions
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8,280
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10,789
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12,036
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Net
(decrease) increase
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(35,589)
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10,193
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15,226
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NET
ASSETS AVAILABLE FOR PLAN BENEFITS
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Beginning
of year
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154,732
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144,539
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129,313
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End
of year
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$ 119,143
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$ 154,732
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$ 144,539
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($
in thousands)
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2008
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2007
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1)
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Vectren
Corporation Common Stock Fund
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$ 22,709
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$ 26,079
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1)
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T.
Rowe Price
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|||||
3)
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Stable
Value Common Trust Fund
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19,765
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18,118
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Equity
Income Fund
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11,031
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17,798
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Balanced
Fund
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9,116
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13,012
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Growth
Stock Fund
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8,464
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14,428
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4)
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PIMCO
Total Return Fund
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7,558
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**
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2)
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Other
investments less than 5% of net assets
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37,521
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62,563
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Participants'
loans
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2,793
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2,840
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Total
investments
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$ 118,957
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$ 154,838
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($
in thousands)
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2008
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2007
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2006
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Mutual
Funds
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$ (42,422)
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$ (1,258)
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$ 7,723
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Vectren
Corporation Common Stock Fund
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(3,514)
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694
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1,087
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Total
(depreciation) appreciation
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$ (45,936)
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$ (564)
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$ 8,810
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($
in thousands)
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Level
1
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Level
2
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Level
3
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Total
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Common
stock
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$ 22,709
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$ -
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$ -
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$ 22,709
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Mutual
funds
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73,690
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-
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-
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73,690
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Common
trust funds
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-
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19,765
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-
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19,765
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Participant
loans
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-
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-
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2,793
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2,793
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Total
investments measured at fair value
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$ 96,399
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$ 19,765
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$ 2,793
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$ 118,957
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($
in thousands)
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Participant
Loans
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Balance
as of January 1, 2008
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$ 2,840
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Issuances
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1,117
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Repayments
& settlements
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(1,164)
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Balance
as of December 31, 2008
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$ 2,793
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($
in thousands)
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2008
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2007
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Net
assets available for benefits per the financial statements
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$ 119,143
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$ 154,732
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Adjustment
between fair value and contract value
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||||||
related
to fully benefit-responsive investment
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||||||
contracts
held by common trust fund
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(186)
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106
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Net
assets available for benefits per the Form 5500
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$ 118,957
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$ 154,838
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($
in thousands)
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2008
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2007
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2006
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Total
investment (loss) income per the financial statements
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$ (39,960)
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$ 8,536
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$ 15,309
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|||||
Adjustment
between fair value and contract value
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||||||||
related
to fully benefit-responsive investment
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||||||||
contracts
held by common trust fund
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(292)
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256
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(150)
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Total
investment (loss) income per the Form 5500
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$ (40,252)
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$ 8,792
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$ 15,159
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(a)
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(b)
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(c)
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(d)
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(e)
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Identity
of Issuer, Borrower, Lessor, or Similar Party
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Description
of Investment, including maturity date, rate of interest, collateral, par
or maturity value
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Cost
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Current
Value
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*
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Vectren
Corporation
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Common
Stock Fund (VVC; 908,003 shares)
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N/A
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$ 22,709,150
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*
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T.
Rowe Price
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Stable
Value Common Trust Fund (19,950,668 shares)
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N/A
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19,765,000
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*
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T.
Rowe Price
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Equity
Income Fund (PRFDX; 645,836 shares)
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N/A
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11,030,864
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*
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T.
Rowe Price
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Balanced
Fund (RPBAX; 648,813 sahres)
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N/A
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9,115,806
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*
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T.
Rowe Price
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Growth
Fund (PRGFX; 439,901 shares)
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N/A
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8,463,680
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*
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T.
Rowe Price
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Retirement
2020 Fund (TRRBX; 427,612 shares)
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N/A
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4,750,755
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*
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T.
Rowe Price
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Retirement
2015 Fund (TRRGX; 540,756)
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N/A
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4,488,261
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*
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T.
Rowe Price
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Equity
Index 500 Fund (PREIX; 168,656 shares)
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N/A
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4,089,900
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*
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T.
Rowe Price
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Retirement
2025 Fund (TRRHX; 420,083 shares)
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N/A
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3,335,445
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*
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T.
Rowe Price
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Retirement
2010 Fund (TRRAX; 295,904 shares)
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N/A
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3,317,077
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*
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T.
Rowe Price
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Retirement
2030 Fund (TRRCX; 212,098 shares)
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N/A
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2,367,004
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*
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T.
Rowe Price
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Retirement
2040 Fund (TRRDX; 152,805 shares)
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N/A
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1,693,063
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*
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T.
Rowe Price
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Retirement
2035 Fund (TRRJX;151,063 shares)
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N/A
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1,176,769
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*
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T.
Rowe Price
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Retirement
2045 Fund (TRRKX; 113,972 shares)
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N/A
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841,101
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*
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T.
Rowe Price
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Retirement
2005 Fund (TRRFX; 27,893 shares)
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N/A
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240,982
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*
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T.
Rowe Price
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Retirement
Income Fund (TRRIX; 5,751 shares)
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N/A
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59,340
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|||
*
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T.
Rowe Price
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Retirement
2050 Fund (TRRMX; 1,686 shares)
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N/A
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10,443
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|||
*
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T.
Rowe Price
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Retirement
2055 Fund (TRRNX; 1,352 shares)
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N/A
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8,277
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PIMCO
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Total
Return Fund (PTRAX; 745,377 shares)
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N/A
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7,558,109
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Rainer
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Small-Mid
Cap Fund (RIMSX; 157,415 shares)
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N/A
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3,171,908
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Dreyfus/The
Boston Co.
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Small
Cap Value Fund (STSVX; 191,205 shares)
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N/A
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2,822,169
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William
Blair
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International
Growth Fund (WBIGX; 208,120 shares)
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N/A
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2,730,520
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Dodge
& Cox
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International
Stock Fund (DODFX; 110,452 shares)
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N/A
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2,418,892
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*
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Participants
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Loans,
interest rates from 4.25% to 10.0%,
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|||||
with
maturity of 1 to 25 years
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N/A
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2,792,485
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|||||
$
118,957,000
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Exhibit
Number
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Document
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23.1
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Consent
of Independent Registered Public Accounting
Firm
|