UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM N-Q QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED MANAGEMENT INVESTMENT COMPANIES Investment Company Act file number 811-02090 Van Kampen Bond Fund -------------------------------------------------------------------------------- (Exact name of registrant as specified in charter) 1221 Avenue of the Americas, New York, New York 10020 -------------------------------------------------------------------------------- (Address of principal executive offices) (Zip code) Ronald Robison 1221 Avenue of the Americas, New York, New York 10020 -------------------------------------------------------------------------------- (Name and address of agent for service) Registrant's telephone number, including area code: 212-762-4000 Date of fiscal year end: 6/30 Date of reporting period: 9/30/05 Item 1. Schedule of Investments. The Fund's schedule of investments as of the close of the reporting period prepared pursuant to Rule 12-12 of Regulation S-X is as follows: VAN KAMPEN BOND FUND PORTFOLIO OF INVESTMENTS SEPTEMBER 30, 2005 (UNAUDITED) PAR AMOUNT (000) DESCRIPTION COUPON MATURITY VALUE CORPORATE BONDS 73.0% AEROSPACE & DEFENSE 0.6% $ 407 Raytheon Co. 4.500% 11/15/07 $ 404,860 875 Raytheon Co. 8.300 03/01/10 993,704 -------------------- 1,398,564 -------------------- AUTOMOTIVE 4.4% 1,280 DaimlerChrysler NA Holding Corp. 8.500 01/18/31 1,554,186 2,730 Ford Motor Credit Co. 7.250 10/25/11 2,594,371 1,185 General Motors Acceptance Corp. 6.875 09/15/11 1,079,163 2,635 General Motors Acceptance Corp. 8.000 11/01/31 2,306,550 2,235 General Motors Corp. 8.375 07/15/33 1,754,475 355 Lear Corp. 8.110 05/15/09 353,327 -------------------- 9,642,072 -------------------- BANKING 14.3% 2,230 Bank of America Corp. 3.375 02/17/09 2,144,767 2,250 Bank of Scotland, 144A-Private Placement (United Kingdom) (a) 3.500 11/30/07 2,200,984 2,150 Citigroup, Inc. 5.625 08/27/12 2,238,118 545 Citigroup, Inc. 6.000 02/21/12 579,883 3,340 JPMorgan Chase & Co. 6.750 02/01/11 3,618,215 2,250 KeyCorp. 6.750 03/15/06 2,272,523 2,255 M & I Marshall & Ilsley Bank 3.800 02/08/08 2,217,899 400 MBNA America Bank NA 7.125 11/15/12 450,280 920 MBNA Corp. 6.125 03/01/13 983,010 1,635 MBNA Corp. (Variable Rate Coupon) 4.163 05/05/08 1,649,658 2,315 National City Bank 3.375 10/15/07 2,276,687 2,195 SunTrust Banks, Inc. 5.050 07/01/07 2,211,533 2,250 U.S. Bancorp 3.950 08/23/07 2,227,203 1,350 Wachovia Corp. 3.625 02/17/09 1,308,176 885 Wachovia Corp. 4.950 11/01/06 889,155 925 Washington Mutual Bank FA 5.500 01/15/13 946,072 900 Washington Mutual, Inc. 8.250 04/01/10 1,010,929 2,190 Wells Fargo & Co. 5.125 02/15/07 2,203,466 -------------------- 31,428,558 -------------------- BROKERAGE 1.7% 185 Goldman Sachs Group, Inc. 5.250 10/15/13 186,973 2,000 Lehman Brothers Holdings, Inc. 8.500 05/01/07 2,113,352 883 World Financial Prop., 144A-Private Placement (a) 6.910 09/01/13 937,483 401 World Financial Prop., 144A-Private Placement (a) 6.950 09/01/13 426,291 -------------------- 3,664,099 -------------------- CHEMICALS 1.0% 640 ICI Wilmington, Inc. 4.375 12/01/08 629,658 1,470 Sealed Air Corp., 144A-Private Placement (a) 5.625 07/15/13 1,476,337 -------------------- 2,105,995 -------------------- CONSTRUCTION MACHINERY 0.9% 2,045 Caterpillar Financial Services Corp., Ser F 3.625 11/15/07 2,008,163 -------------------- CONSUMER PRODUCTS 0.7% 1,495 Clorox Co. (Variable Rate Coupon) 3.982 12/14/07 1,498,288 -------------------- DIVERSIFIED MANUFACTURING 2.0% 1,070 Brascan Corp. (Canada) 7.125 06/15/12 1,186,167 1,275 Cooper Industries, Inc. 5.250 07/01/07 1,287,012 1,845 United Technologies Corp. 4.375 05/01/10 1,826,875 -------------------- 4,300,054 -------------------- ELECTRIC 8.1% 1,250 Arizona Public Service Co. 5.800 06/30/14 1,311,583 795 Arizona Public Service Co. 6.750 11/15/06 813,171 805 Carolina Power & Light Co. 6.800 08/15/07 834,583 735 CC Funding Trust I 6.900 02/16/07 755,634 625 Cincinnati Gas & Electric Co. 5.700 09/15/12 649,157 865 Detroit Edison Co. 6.125 10/01/10 914,955 960 Duquesne Light Co., Ser O 6.700 04/15/12 1,048,643 655 Entergy Gulf States, Inc. 3.600 06/01/08 629,318 1,600 Entergy Gulf States, Inc. (Variable Rate Coupon) 4.270 12/01/09 1,605,669 1,660 Exelon Corp. 6.750 05/01/11 1,781,432 1,290 FPL Group Capital, Inc. 3.250 04/11/06 1,282,755 255 Indianapolis Power & Light Co., 144A-Private Placement (a) 6.300 07/01/13 270,941 545 Monongahela Power Co. 5.000 10/01/06 546,245 1,323 Niagara Mohawk Power Corp., Ser F 7.625 10/01/05 1,323,171 875 NiSource Finance Corp. 7.625 11/15/05 878,243 900 NiSource Finance Corp. (Variable Rate Coupon) 4.393 11/23/09 904,538 650 Pacific Gas & Electric Co. 6.050 03/01/34 678,589 80 PSE&G Energy Holdings, LLC 7.750 04/16/07 82,200 650 PSE&G Energy Holdings, LLC 8.625 02/15/08 682,500 255 TXU Corp., Ser J 6.375 06/15/06 259,047 560 Wisconsin Electric Power 3.500 12/01/07 547,023 -------------------- 17,799,397 -------------------- ENVIRONMENTAL & FACILITIES SERVICES 1.0% 1,500 Waste Management, Inc. 7.000 10/15/06 1,533,048 550 Waste Management, Inc. 7.375 08/01/10 605,428 -------------------- 2,138,476 -------------------- HEALTHCARE 5.3% 3,205 Aetna, Inc. 7.375 03/01/06 3,242,412 600 AmerisourceBergen Corp., 144A - Private Placement (a) 5.625 09/15/12 594,000 1,425 Baxter Finco BV, 144A - Private Placement (Netherlands) (a) 4.750 10/15/10 1,416,243 800 HCA, Inc. 6.300 10/01/12 799,185 285 HCA, Inc. 7.190 11/15/15 295,943 205 HCA, Inc. 7.875 02/01/11 220,750 1,835 Health Net, Inc. 9.875 04/15/11 2,162,421 620 Tenet Healthcare Corp. 7.375 02/01/13 590,550 1,130 UnitedHealth Group, Inc. 5.200 01/17/07 1,136,425 650 Wellpoint, Inc. 3.750 12/14/07 637,103 590 Wellpoint, Inc. 4.250 12/15/09 577,658 -------------------- 11,672,690 -------------------- INDEPENDENT ENERGY 0.3% 285 Kerr-McGee Corp. 5.875 09/15/06 289,411 470 Kerr-McGee Corp. 6.625 10/15/07 483,557 -------------------- 772,968 -------------------- INTEGRATED ENERGY 0.5% 230 Consumers Energy Co., Ser B 5.375 04/15/13 232,863 790 Consumers Energy Co., Ser F 4.000 05/15/10 760,338 190 Consumers Energy Co., Ser H 4.800 02/17/09 189,587 -------------------- 1,182,788 -------------------- LIFE INSURANCE 3.1% 315 AXA Financial, Inc. 6.500 04/01/08 328,953 475 John Hancock Financial Services, Inc. 5.625 12/01/08 488,524 2,365 Marsh & McLennan Cos., Inc. 5.875 08/01/33 2,149,002 105 Metlife, Inc. 6.125 12/01/11 111,771 1,030 Monumental Global Funding II, 144A-Private Placement (a) 3.850 03/03/08 1,011,421 585 Nationwide Financial Services, Inc. 6.250 11/15/11 627,596 100 Prudential Holdings, LLC, 144A- Private Placement (a) 7.245 12/18/23 119,947 1,895 Xlliac Global Funding, 144A-Private Placement (a) 4.800 08/10/10 1,884,778 -------------------- 6,721,992 -------------------- LODGING 0.9% 1,325 Hyatt Equities, LLC, 144A-Private Placement (a) 6.875 06/15/07 1,351,265 375 Marriott International, Inc., Ser E 7.000 01/15/08 392,522 185 Starwood Hotels & Resorts Worldwide, Inc. 7.375 05/01/07 191,706 -------------------- 1,935,493 -------------------- MEDIA-CABLE 1.6% 1,835 Comcast Cable Communications, Inc. 6.750 01/30/11 1,975,311 90 Comcast Cable Communications, Inc. 7.125 06/15/13 100,301 490 Comcast Cable Communications, Inc. 8.375 05/01/07 517,186 935 Echostar DBS Corp. 6.375 10/01/11 931,494 35 Echostar DBS Corp. 6.625 10/01/14 34,825 -------------------- 3,559,117 -------------------- MEDIA-NONCABLE 1.5% 950 Interpublic Group of Cos., Inc. 5.400 11/15/09 893,000 1,175 Knight-Ridder, Inc. 5.750 09/01/17 1,164,402 970 News America Holdings, Inc. 8.875 04/26/23 1,239,483 -------------------- 3,296,885 -------------------- NATURAL GAS DISTRIBUTORS 0.4% 890 Sempra Energy 4.621 05/17/07 888,483 -------------------- NATURAL GAS PIPELINES 1.7% 765 Consolidated Natural Gas Co., Ser A 5.000 12/01/14 755,392 1,065 Consolidated Natural Gas Co., Ser C 6.250 11/01/11 1,133,188 945 Ras Laffan Liquefied Natural Gas Co., Ltd., 144A-Private Placement (Qatar) (a) 8.294 03/15/14 1,108,369 675 Texas Eastern Transmission Corp. 7.000 07/15/32 794,165 -------------------- 3,791,114 -------------------- NONCAPTIVE-CONSUMER FINANCE 4.9% 1,000 American Express Co. 4.750 06/17/09 1,003,357 230 American General Finance Corp. 4.625 05/15/09 227,911 2,000 American General Finance Corp. 4.625 09/01/10 1,974,388 2,245 Countrywide Home Loans, Inc. 3.250 05/21/08 2,162,339 1,555 HSBC Finance Corp. 6.750 05/15/11 1,693,233 1,000 HSBC Finance Corp. 7.875 03/01/07 1,044,228 150 HSBC Finance Corp. 8.000 07/15/10 169,427 1,230 Residential Capital Corp.,144A-Private Placement (a) 6.375 06/30/10 1,247,348 1,330 SLM Corp. 5.000 10/01/13 1,333,890 -------------------- 10,856,121 -------------------- NONCAPTIVE-DIVERSIFIED FINANCE 2.6% 415 CIT Group, Inc. 3.650 11/23/07 406,804 415 CIT Group, Inc. 7.375 04/02/07 431,690 2,100 General Electric Capital Corp., Ser A 4.750 09/15/14 2,080,346 90 General Electric Capital Corp., Ser A 5.875 02/15/12 94,683 415 General Electric Capital Corp., Ser A 6.750 03/15/32 489,764 2,240 Nationwide Building Society, 144A-Private Placement (United Kingdom) (a) 4.250 02/01/10 2,195,287 -------------------- 5,698,574 -------------------- OIL FIELD SERVICES 0.2% 380 Panhandle Eastern Pipe Line Co., Ser B 2.750 03/15/07 369,453 -------------------- PROPERTY & CASUALTY 3.9% 1,195 AIG Sunamerica Global Financial, 144A-Private Placement (a) 6.300 05/10/11 1,280,493 1,545 Farmers Exchange Capital, 144A-Private Placement (a) 7.050 07/15/28 1,599,764 1,230 Farmers Insurance Exchange Surplus, 144A-Private Placement (a) 8.625 05/01/24 1,472,866 125 Hartford Financial Services Group, Inc. 2.375 06/01/06 123,334 1,800 Mantis Reef Ltd., 144A-Private Placement (Australia) (a) 4.692 11/14/08 1,775,543 1,415 St. Paul Travelers Cos., Inc. 5.010 08/16/07 1,417,223 890 Two-Rock Pass Through Trust, 144A-Private Placement (Variable Rate Coupon) (Bermuda) (a) 4.720 02/11/49 884,758 -------------------- 8,553,981 -------------------- RAILROADS 2.0% 653 Burlington Northern Santa Fe Railway Co. 4.575 01/15/21 638,355 1,000 CSX Corp. 6.750 03/15/11 1,084,795 2,600 Union Pacific Corp. 6.625 02/01/08 2,709,356 -------------------- 4,432,506 -------------------- REAL ESTATE INVESTMENT TRUSTS 0.5% 250 EOP Operating LP 4.750 03/15/14 241,186 850 Reckson Operating Partnership LP 5.150 01/15/11 844,639 -------------------- 1,085,825 -------------------- REFINING 0.1% 250 Vintage Petroleum, Inc. 7.875 05/15/11 262,500 -------------------- RETAIL 2.5% 270 CVS Corp. 3.875 11/01/07 265,887 250 CVS Corp. 5.625 03/15/06 251,175 500 Federated Department Stores, Inc. 6.300 04/01/09 521,627 1,500 Federated Department Stores, Inc. 6.625 09/01/08 1,571,493 705 J.C. Penny Co., Inc. 7.400 04/01/37 765,806 780 Limited Brands, Inc. 6.950 03/01/33 761,748 1,275 May Department Stores Co. 5.950 11/01/08 1,315,298 -------------------- 5,453,034 -------------------- TEXTILE 0.4% 810 Mohawk Industries, Inc., Ser D 7.200 04/15/12 901,212 -------------------- TOBACCO 0.9% 850 Altria Group, Inc. 7.000 11/04/13 931,828 890 Altria Group, Inc. 7.750 01/15/27 1,040,703 -------------------- 1,972,531 -------------------- TRANSPORTATION SERVICES 0.7% 1,000 FedEx Corp. 2.650 04/01/07 972,173 170 Hertz Corp. 7.400 03/01/11 164,914 515 Hertz Corp. 7.625 06/01/12 495,084 -------------------- 1,632,171 -------------------- WIRELESS TELECOMMUNICATION SERVICES 0.4% 745 New Cingular Wireless Services, Inc. 7.875 03/01/11 849,127 -------------------- WIRELINE COMMUNICATIONS 3.9% 1,720 AT&T Corp. 9.750 11/15/31 2,186,550 970 Cox Communications, Inc. 4.625 01/15/10 949,326 1,330 Deutsche Telekom International Finance BV (Netherlands) 8.750 06/15/30 1,722,242 1,305 France Telecom SA (France) 8.500 03/01/31 1,754,255 965 Sprint Capital Corp. 8.750 03/15/32 1,297,949 590 Verizon New England, Inc. 6.500 09/15/11 628,675 -------------------- 8,538,997 -------------------- TOTAL CORPORATE BONDS 73.0% 160,411,228 -------------------- UNITED STATES GOVERNMENT AGENCY OBLIGATIONS 19.9% 300 United States Treasury Bills (b) * 01/12/06 297,140 7,180 United States Treasury Bonds 6.125 08/15/29 8,743,617 6,000 United States Treasury Bonds 6.375 08/15/27 7,437,192 12,005 United States Treasury Bonds (STRIPS) * 02/15/25 4,873,094 3,255 United States Treasury Bonds (STRIPS) * 02/15/27 1,208,845 21,250 United States Treasury Notes 4.250 08/15/13 21,183,615 -------------------- TOTAL UNITED STATES GOVERNMENT AGENCY OBLIGATIONS 19.9% 43,743,503 -------------------- TOTAL LONG-TERM INVESTMENTS 92.9% (Cost $201,262,654) 204,154,731 REPURCHASE AGREEMENT 6.6% State Street Bank & Trust Co. ($14,500,000 par collateralized by U.S. Government obligations in a pooled cash account, interest rate of 3.65%, dated 09/30/05, to be sold on 10/03/05 at $14,504,410) 14,500,000 -------------------- (Cost $14,500,000) TOTAL INVESTMENTS 99.5% (Cost $215,762,654) 218,654,731 OTHER ASSETS IN EXCESS OF LIABILITIES 0.5% 1,015,139 -------------------- NET ASSETS 100.0% $219,669,870 ==================== Percentages are calculated as a percentage of net assets applicable to common shares. * Zero coupon bond (a) 144A securities are those which are exempt from registration under Rule 144A of the Securities Act of 1933, as amended. These securities may only be resold in transactions exempt from registration which are normally those transactions with qualified institutional buyers. (b) All or a portion of this security has been physically segregated in connection with open futures contracts. STRIPS - Separate Trading of Registered Interest & Principal of Securities. Futures contracts outstanding as of September 30, 2005: UNREALIZED APPRECIATION/ CONTRACTS DEPRECIATION ----------------------------------------------------- LONG CONTRACTS: U.S. Treasury Notes 10-Year Futures December 2005 (Current Notional Value of $109,922 per contract) 140 ($102,778) SHORT CONTRACTS: U.S. Treasury Notes 5-Year Futures December 2005 (Current Notional Value of $106,859 per contract) 95 86,672 U.S. Treasury Notes 2-Year Futures December 2005 (Current Notional Value of $205,891 per contract) 155 145,829 ----------------------------------------------------- 390 $129,723 ===================================================== Item 2. Controls and Procedures. (a) The Fund's principal executive officer and principal financial officer have concluded that the Fund's disclosure controls and procedures are sufficient to ensure that information required to be disclosed by the Fund in this Form N-Q was recorded, processed, summarized and reported within the time periods specified in the Securities and Exchange Commission's rules and forms, based upon such officers' evaluation of these controls and procedures as of a date within 90 days of the filing date of the report. (b) There were no changes in the Fund's internal control over financial reporting that occurred during the registrant's fiscal quarter that has materially affected, or is reasonably likely to materially affect, the Fund's internal control over financial reporting. Item 3. Exhibits. (a) A certification for the Principal Executive Officer of the registrant is attached hereto as part of EX-99.cert. (b) A certification for the Principal Financial Officer of the registrant is attached hereto as part of EX-99.cert. SIGNATURES Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized. (Registrant) Van Kampen Bond Fund By: /s/ Ronald E. Robison --------------------- Name: Ronald E. Robison Title: Principal Executive Officer Date: November 21, 2005 Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed by the following persons on behalf of the registrant and in the capacities and on the dates indicated. By: /s/ Ronald E. Robison --------------------- Name: Ronald E. Robison Title: Principal Executive Officer Date: November 21, 2005 By: /s/ Phillip G. Goff --------------------- Name: Phillip G. Goff Title: Principal Financial Officer Date: November 21, 2005