-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, AJOkT5dVv0YGeuFKiohA4UeXDcBEbvbJRIvowt9QmgphHTEojKTyfYDrRc1nKlJH ymQPRPd89aO5haq5WC8IhQ== 0000846800-06-000012.txt : 20060817 0000846800-06-000012.hdr.sgml : 20060817 20060817151803 ACCESSION NUMBER: 0000846800-06-000012 CONFORMED SUBMISSION TYPE: N-CSR PUBLIC DOCUMENT COUNT: 9 CONFORMED PERIOD OF REPORT: 20060630 FILED AS OF DATE: 20060817 DATE AS OF CHANGE: 20060817 EFFECTIVENESS DATE: 20060817 FILER: COMPANY DATA: COMPANY CONFORMED NAME: DREYFUS STOCK INDEX FUND INC CENTRAL INDEX KEY: 0000846800 IRS NUMBER: 133537664 STATE OF INCORPORATION: NY FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: N-CSR SEC ACT: 1940 Act SEC FILE NUMBER: 811-05719 FILM NUMBER: 061040710 BUSINESS ADDRESS: STREET 1: THE DREYFUS CORPORATION STREET 2: 200 PARK AVENUE CITY: NEW YORK STATE: NY ZIP: 10166 BUSINESS PHONE: 2129226855 MAIL ADDRESS: STREET 1: C/O DREYFUS CORP STREET 2: 200 PARK AVENUE, 8TH FLOOR CITY: NEW YORK STATE: NY ZIP: 10166 FORMER COMPANY: FORMER CONFORMED NAME: DREYFUS LIFE & ANNUITY INDEX FUND INC DATE OF NAME CHANGE: 19920703 0000846800 S000001911 Dreyfus Stock Index Fund, Inc. C000005028 Dreyfus Stock Index Fund, Inc. - Initial Shares C000005029 Dreyfus Stock Index Fund, Inc. - Service Shares N-CSR 1 semiforms763.htm SEMI-ANNUAL REPORT semiforms763
UNITED STATES 
SECURITIES AND EXCHANGE COMMISSION 
Washington, D.C. 20549 
 
 
FORM N-CSR 
 
CERTIFIED SHAREHOLDER REPORT OF REGISTERED MANAGEMENT 
INVESTMENT COMPANIES 
 
Investment Company Act file number 811-5719 
 
Dreyfus Stock Index Fund, Inc. 
(Exact name of Registrant as specified in charter) 
 
 
c/o The Dreyfus Corporation 
200 Park Avenue 
New York, New York 10166 
(Address of principal executive offices) (Zip code) 
 
Mark N. Jacobs, Esq. 
200 Park Avenue 
New York, New York 10166 
(Name and address of agent for service) 
 
Registrant's telephone number, including area code: (212) 922-6000 

Date of fiscal year end:    12/31 
Date of reporting period:    06/30/2006 


FORM N-CSR

Item 1. Reports to Stockholders.


The views expressed in this report reflect those of the portfolio manager only through the end of the period covered and do not necessarily represent the views of Dreyfus or any other person in the Dreyfus organization. Any such views are subject to change at any time based upon market or other conditions and Dreyfus disclaims any responsibility to update such views.These views may not be relied on as investment advice and, because investment decisions for a Dreyfus fund are based on numerous factors, may not be relied on as an indication of trading intent on behalf of any Dreyfus fund.

Not FDIC-Insured • Not Bank-Guaranteed • May Lose Value


    Contents 
 
    THE FUND 


2    Letter from the Chairman 
3    Discussion of Fund Performance 
6    Understanding Your Fund’s Expenses 
6    Comparing Your Fund’s Expenses 
    With Those of Other Funds 
7    Statement of Investments 
23    Statement of Financial Futures 
24    Statement of Assets and Liabilities 
25    Statement of Operations 
26    Statement of Changes in Net Assets 
28    Financial Highlights 
30    Notes to Financial Statements 
38    Proxy Results 
39    Information About the Review and Approval 
    of the Fund’s Management Agreement 
    FOR MORE INFORMATION 


    Back Cover 


The Fund

Dreyfus 
Stock Index Fund, Inc. 

LETTER FROM THE CHAIRMAN

Dear Shareholder:

We are pleased to present this semiannual report for Dreyfus Stock Index Fund, Inc., covering the six-month period from January 1, 2006, through June 30, 2006.

Stock market gains over the first four months of 2006 were given back in May and June, when investors reacted negatively to suggestions that the U.S. Federal Reserve Board (the “Fed”) and other central banks, in their fight against inflation, might raise short-term interest rates more than previously expected. In the judgment of our Chief Economist, Richard Hoey, the recent correction reflects an adjustment among leveraged investors toward lower risk levels as the U.S. economy moves into a more mature phase with milder rates of growth. In our view, corrections such as these generally are healthy mechanisms that help wring speculative excesses from the financial markets, potentially setting the stage for future rallies.

While a recession currently appears unlikely, a number of economic uncertainties remain. Indicators to watch in the months ahead include the outlook for inflation, the extent of softness in the U.S. housing market, the impact of slower economic growth on consumer spending, additional changes in interest rates from the Fed and other central banks, and the strength of the U.S. dollar relative to other major currencies. As always, we encourage you to discuss these and other investment-related issues with your financial advisor, who can help you prepare for the challenges and opportunities that lie ahead.

For information about how the fund performed during the reporting period, as well as market perspectives, we have provided a Discussion of Fund Performance given by the fund’s portfolio manager.

Thank you for your continued confidence and support.

2


DISCUSSION OF FUND PERFORMANCE

Thomas Durante, CFA, Portfolio Manager

How did Dreyfus Stock Index Fund, Inc. perform relative to its benchmark?

For the six-month period ended June 30, 2006, Dreyfus Stock Index Fund, Inc. produced total returns of 2.57% for its Initial shares and 2.44% for its Service shares.1 In comparison, the fund’s benchmark, the Standard & Poor’s 500 Composite Stock Price Index (“S&P 500 Index”), produced a total return of 2.71% for the same period.2,3

While a growing global economy and improved corporate earnings helped support large-cap stock prices during the early part of the reporting period, stocks generally fell sharply in May and June due to concerns regarding rising inflationary pressures and a potential U.S. economic slowdown.The difference in returns between the fund and the S&P 500 Index was primarily the result of transaction costs and other operating expenses that are not reflected by the S&P 500 Index.

What is the fund’s investment approach?

The fund seeks to match the total return of the S&P 500 Index. To pursue this goal, the fund generally invests in all 500 stocks in proportion to their weightings in the S&P 500 Index. Often considered a barometer for the stock market in general, the S&P 500 Index is made up of 500 widely held common stocks across 10 sectors and is dominated by large-cap, blue-chip stocks which, when combined, cover nearly 75% of the total U.S. market capitalization.

However, it is important to note that the S&P 500 Index is not composed of the 500 largest companies; rather, it is designed to capture the returns of many different sectors of the U.S. economy. Each stock is weighted by its market capitalization. Overall, larger companies have greater representation in the S&P 500 Index than smaller ones. The fund may also use stock index futures as a substitute for the sale or purchase of stocks.

The Fund 3


DISCUSSION OF FUND PERFORMANCE (continued)

Dreyfus Stock Index Fund, Inc. uses a passive management approach; all investment decisions are made based on the fund’s objective, which is to seek to match the performance of the S&P 500 Index.The fund does not attempt to manage market volatility.

What other factors influenced the fund’s performance?

For the first four months of the reporting period, large-cap stocks posted generally positive returns due to a growing U.S. economy, rising corporate earnings and persistently low inflation. Even higher fuel costs and rising interest rates failed to dampen consumer confidence. What’s more, many large-cap companies continued to benefit from strength in their overseas operations in the growing global economy. However, beginning in May, the equity markets sold off sharply due to concerns that soaring energy prices, higher short-term interest rates and a housing-market slowdown might constrain consumer spending, potentially choking off U.S. economic growth. During the market downturn, investors shed what they perceived to be riskier investments, instead favoring the relative safety of large-cap stocks. Still, declines in May and June were enough to offset most of the earlier gains achieved by the S&P 500 Index.

Energy stocks provided many of the more positive contributions to the S&P 500 Index for the reporting period,as increased demand from China, India and other emerging markets for a limited supply of crude oil and natural gas helped propel earnings of energy companies higher. Integrated energy producers and oil services providers fared especially well.

Other positive contributors to the S&P 500 Index’s performance included the industrials area, where aerospace, defense, machinery and freight companies benefited from robust economic conditions globally and increased spending for defense and national security in the United States.The S&P 500 Index also received strong contributions from the telecommunications sector, an area that previously had lagged the averages due to intensifying competitive pressures. However, these stocks performed better than expected over the first half of 2006, surprising investors with their ability to cut costs in a consolidating industry group.

4


On the other hand, in the information technology sector, semiconductor and hardware manufacturers produced generally disappointing results due mainly to lackluster demand for personal computers. Software companies also suffered due to delays in the launch of new programs and upgrades. In the health care sector, HMOs detracted from the S&P 500 Index’s returns due to enrollment delays related to the new Medicare prescription drug program. Finally, in the consumer discretionary area, homebuilders and household durable companies were hampered by the slowdown in the U.S. housing market.

What is the fund’s current strategy?

As an index fund, our strategy is to attempt to replicate the returns of the S&P 500 Index.Accordingly, as of June 30, 2006, the percentage of the fund’s assets invested in each industry closely approximated its representation in the S&P 500 Index. In our view, one of the benefits of broadly diversified index funds is that they can help investors manage risks by limiting the impact on the overall portfolio of unexpected losses in any single industry group or holding.

July 17, 2006

    The fund is only available as a funding vehicle under variable life insurance policies or variable 
    annuity contracts issued by insurance companies. Individuals may not purchase shares of the fund 
    directly. A variable annuity is an insurance contract issued by an insurance company that enables 
    investors to accumulate assets on a tax-deferred basis for retirement or other long-term goals.The 
    investment objective and policies of Dreyfus Stock Index Fund, Inc. made available through 
    insurance products may be similar to other funds/portfolios managed or advised by Dreyfus. 
    However, the investment results of the fund may be higher or lower than, and may not be 
    comparable to, those of any other Dreyfus fund/portfolio. 
1    Total return includes reinvestment of dividends and any capital gains paid. Past performance is no 
    guarantee of future results. Share price and investment return fluctuate such that upon redemption, 
    fund shares may be worth more or less than their original cost.The fund’s performance does not 
    reflect the deduction of additional charges and expenses imposed in connection with investing in 
    variable insurance contracts, which will reduce returns. Return figures provided reflect the absorption 
    of certain fund expenses by The Dreyfus Corporation pursuant to an agreement in which 
    shareholders are given at least 180 days’ notice, at which time it may be extended, terminated or 
    modified. Had these expenses not been absorbed, the fund’s returns would have been lower. 
2    SOURCE: LIPPER INC. — Reflects reinvestment of dividends daily and, where applicable, 
    capital gain distributions.The Standard & Poor’s 500 Composite Stock Price Index is a widely 
    accepted, unmanaged index of U.S. stock market performance. 
3    “Standard & Poor’s®,”“S&P®,”“Standard & Poor’s 500®” and “S&P 500®” are trademarks 
    of The McGraw-Hill Companies, Inc., and have been licensed for use by the fund.The fund is 
    not sponsored, endorsed, sold or promoted by Standard & Poor’s and Standard & Poor’s makes no 
    representation regarding the advisability of investing in the fund. 

The Fund 5


UNDERSTANDING YOUR FUND’S EXPENSES(Unaudited)

As a mutual fund investor, you pay ongoing expenses, such as management fees and other expenses. Using the information below, you can estimate how these expenses affect your investment and compare them with the expenses of other funds.You also may pay one-time transaction expenses, including sales charges (loads) and redemption fees, which are not shown in this section and would have resulted in higher total expenses. For more information, see your fund’s prospectus or talk to your financial adviser.

Review your fund’s expenses

The table below shows the expenses you would have paid on a $1,000 investment in Dreyfus Stock Index Fund, Inc. from January 1, 2006 to June 30, 2006. It also shows how much a $1,000 investment would be worth at the close of the period, assuming actual returns and expenses.

Expenses and Value of a $1,000 Investment     
assuming actual returns for the six months ended June 30, 2006     
    Initial Shares    Service Shares 



Expenses paid per $1,000     $ 1.31    $ 2.56 
Ending value (after expenses)    $1,025.70    $1,024.40 

COMPARING YOUR FUND’S EXPENSES 
WITH THOSE OF OTHER FUNDS (Unaudited) 

Using the SEC’s method to compare expenses

The Securities and Exchange Commission (SEC) has established guidelines to help investors assess fund expenses. Per these guidelines, the table below shows your fund’s expenses based on a $1,000 investment, assuming a hypothetical 5% annualized return. You can use this information to compare the ongoing expenses (but not transaction expenses or total cost) of investing in the fund with those of other funds.All mutual fund shareholder reports will provide this information to help you make this comparison. Please note that you cannot use this information to estimate your actual ending account balance and expenses paid during the period.

Expenses and Value of a $1,000 Investment     
assuming a hypothetical 5% annualized return for the six months ended June 30, 2006 
    Initial Shares    Service Shares 



Expenses paid per $1,000     $ 1.30    $ 2.56 
Ending value (after expenses)    $1,023.51    $1,022.27 
 
Expenses are equal to the fund’s annualized expense ratio of .26% for Initial shares and .51% for Service shares; 
multiplied by the average account value over the period, multiplied by 181/365 (to reflect the one-half year period). 

6

STATEMENT OF INVESTMENTS 
June 30, 2006 (Unaudited) 

Common Stocks—99.3%    Shares        Value ($) 




Consumer Discretionary—10.1%             
Amazon.com    106,100    a,b    4,103,948 
Apollo Group, Cl. A    48,050    b    2,482,743 
AutoNation    50,900    a,b    1,091,296 
AutoZone    18,400    b    1,622,880 
Bed Bath & Beyond    96,900    b    3,214,173 
Best Buy    138,125        7,574,775 
Big Lots    39,100    a,b    667,828 
Black & Decker    26,100        2,204,406 
Brunswick    32,500        1,080,625 
Carnival    149,024        6,220,262 
CBS, Cl. B    265,093        7,170,765 
Centex    41,700    a    2,097,510 
Circuit City Stores    51,700        1,407,274 
Clear Channel Communications    172,747        5,346,520 
Coach    132,100    b    3,949,790 
Comcast, Cl. A    725,125    b    23,740,592 
Cooper Tire & Rubber    21,100    a    235,054 
Darden Restaurants    44,250        1,743,450 
Dillard’s, Cl. A    21,200        675,220 
Dollar General    107,009        1,495,986 
DR Horton    93,400        2,224,788 
Eastman Kodak    98,600    a    2,344,708 
EW Scripps, Cl. A    29,200        1,259,688 
Family Dollar Stores    53,350    a    1,303,340 
Federated Department Stores    189,808        6,946,973 
Ford Motor    643,750    a    4,461,187 
Fortune Brands    50,350        3,575,354 
Gannett    81,588        4,563,217 
Gap    188,751        3,284,267 
General Motors    194,048    a    5,780,690 
Genuine Parts    59,250        2,468,355 
Goodyear Tire & Rubber    60,800    a,b    674,880 
H & R Block    112,700    a    2,689,022 
Harley-Davidson    92,200    a    5,060,858 
Harman International Industries    23,000        1,963,510 
Harrah’s Entertainment    63,450        4,516,371 

The Fund 7


STATEMENT OF INVESTMENTS (Unaudited) (continued)

Common Stocks (continued)    Shares    Value ($) 



Consumer Discretionary (continued)         
Hasbro    59,050    1,069,395 
Hilton Hotels    113,550    3,211,194 
Home Depot    709,344 a    25,387,422 
International Game Technology    116,400    4,416,216 
Interpublic Group of Cos.    149,693 a,b    1,249,937 
JC Penney    80,600    5,441,306 
Johnson Controls    66,900    5,500,518 
Jones Apparel Group    38,600    1,227,094 
KB Home    25,900    1,187,515 
Kohl’s    116,823 a,b    6,906,576 
Leggett & Platt    62,600    1,563,748 
Lennar, Cl. A    47,900    2,125,323 
Limited Brands    117,700    3,011,943 
Liz Claiborne    35,900    1,330,454 
Lowe’s Cos.    266,210    16,150,961 
Marriott International, Cl. A    112,200    4,277,064 
Mattel    133,695    2,207,304 
McDonald’s    427,655    14,369,208 
McGraw-Hill Cos.    122,800    6,168,244 
Meredith    14,500    718,330 
New York Times, Cl. A    49,700 a    1,219,638 
Newell Rubbermaid    94,978    2,453,282 
News, Cl. A    811,800    15,570,324 
Nike, Cl. B    64,750    5,244,750 
Nordstrom    73,900    2,697,350 
Office Depot    98,700 b    3,750,600 
OfficeMax    24,400    994,300 
Omnicom Group    58,580 a    5,218,892 
Pulte Homes    73,100 a    2,104,549 
RadioShack    46,400 a    649,600 
Sears Holdings    33,288 b    5,154,314 
Sherwin-Williams    38,200    1,813,736 
Snap-On    19,900 a    804,358 
Stanley Works    24,300    1,147,446 
Staples    249,925    6,078,176 
Starbucks    263,400 a,b    9,945,984 
 
 
8         


Common Stocks (continued)    Shares        Value ($) 




Consumer Discretionary (continued)             
Starwood Hotels & Resorts    74,600        4,501,364 
Target    296,342        14,482,234 
Tiffany & Co.    48,300        1,594,866 
Time Warner    1,469,568        25,423,526 
TJX Cos.    156,850        3,585,591 
Tribune    75,130    a    2,436,466 
Univision Communications, Cl. A    76,500    a,b    2,562,750 
VF    30,100        2,044,392 
Viacom, Cl. B    247,493    b    8,870,149 
Walt Disney    753,209        22,596,270 
Wendy’s International    40,000        2,331,600 
Whirlpool    26,732        2,209,400 
Yum! Brands    93,350        4,692,705 
            400,940,669 
Consumer Staples—9.6%             
Alberto-Culver    26,100    b    1,271,592 
Altria Group    716,643        52,623,095 
Anheuser-Busch Cos.    265,250        12,092,748 
Archer-Daniels-Midland    224,605        9,271,694 
Avon Products    154,500        4,789,500 
Brown-Forman, Cl. B    28,500        2,043,165 
Campbell Soup    63,549        2,358,303 
Clorox    51,750        3,155,197 
Coca-Cola    703,342        30,257,773 
Coca-Cola Enterprises    104,200        2,122,554 
Colgate-Palmolive    176,650        10,581,335 
ConAgra Foods    178,250        3,941,108 
Constellation Brands, Cl. A    68,300    b    1,707,500 
Costco Wholesale    161,750        9,240,778 
CVS    280,880        8,623,016 
Dean Foods    46,700    b    1,736,773 
Estee Lauder Cos., Cl. A    40,800    a    1,577,736 
General Mills    122,200    a    6,312,852 
Hershey    60,978        3,358,058 
HJ Heinz    115,000        4,740,300 
Kellogg    83,700        4,053,591 

The Fund 9


STATEMENT OF INVESTMENTS (Unaudited) (continued)

Common Stocks (continued)    Shares    Value ($) 



Consumer Staples (continued)         
Kimberly-Clark    157,798    9,736,137 
Kroger    248,248    5,426,701 
McCormick & Co.    45,500    1,526,525 
Molson Coors Brewing, Cl. B    19,750 a    1,340,630 
Pepsi Bottling Group    46,050 a    1,480,507 
PepsiCo    567,091    34,048,144 
Procter & Gamble    1,126,141    62,613,440 
Reynolds American    29,400 a    3,389,820 
Safeway    154,469    4,016,194 
Sara Lee    260,898    4,179,586 
Supervalu    70,151    2,153,636 
SYSCO    212,250    6,486,360 
Tyson Foods, Cl. A    86,500    1,285,390 
UST    55,400 a    2,503,526 
Wal-Mart Stores    858,029    41,331,257 
Walgreen    346,700    15,546,028 
Whole Foods Market    48,100 a    3,109,184 
WM Wrigley, Jr    76,225    3,457,566 
        379,489,299 
Energy—10.1%         
Anadarko Petroleum    157,368    7,504,880 
Apache    113,322    7,734,227 
Baker Hughes    116,960 a    9,573,176 
BJ Services    110,300    4,109,778 
Chesapeake Energy    141,500 a    4,280,375 
Chevron    760,661    47,206,622 
ConocoPhillips    566,493    37,122,286 
Devon Energy    151,000    9,121,910 
El Paso    238,779    3,581,685 
EOG Resources    83,300    5,776,022 
Exxon Mobil    2,076,318    127,382,109 
Halliburton    177,151    13,146,376 
Hess    82,800    4,375,980 
Kerr-McGee    77,876    5,400,701 
KeySpan    60,050    2,426,020 
Kinder Morgan    35,800 a    3,576,062 
 
 
10         


Common Stocks (continued)    Shares    Value ($) 



Energy (continued)         
Marathon Oil    124,390    10,361,687 
Murphy Oil    57,000    3,184,020 
Nabors Industries    106,500 a,b    3,598,635 
National Oilwell Varco    60,000 a,b    3,799,200 
Noble    47,300    3,520,066 
Occidental Petroleum    146,950    15,069,722 
Rowan Cos.    37,800    1,345,302 
Schlumberger    404,900    26,363,039 
Sunoco    45,500    3,152,695 
Transocean    111,533 b    8,958,330 
Valero Energy    211,200 a    14,049,024 
Weatherford International    119,700 b    5,939,514 
Williams Cos.    204,271    4,771,771 
XTO Energy    124,966    5,532,245 
        401,963,459 
Financial—21.3%         
ACE    111,550    5,643,314 
Aflac    171,092    7,930,114 
Allstate    218,071    11,935,026 
AMBAC Financial Group    36,294    2,943,443 
American Express    423,473    22,537,233 
American International Group    891,373    52,635,576 
Ameriprise Financial    83,834    3,744,865 
AmSouth Bancorp    118,800    3,142,260 
AON    109,350    3,807,567 
Apartment Investment & Management, Cl. A    33,400    1,451,230 
Archstone-Smith Trust    73,400    3,733,858 
Bank of America    1,566,065    75,327,726 
Bank of New York    264,832    8,527,590 
BB & T    188,800    7,852,192 
Bear Stearns Cos.    41,352    5,792,588 
Boston Properties    31,300    2,829,520 
Capital One Financial    104,000 a    8,886,800 
Charles Schwab    354,078    5,658,166 
Chubb    142,400    7,105,760 
Cincinnati Financial    59,430    2,793,804 

The Fund 11


STATEMENT OF INVESTMENTS (Unaudited) (continued)

Common Stocks (continued)    Shares        Value ($) 




Financial (continued)             
CIT Group    68,400        3,576,636 
Citigroup    1,706,090        82,301,782 
Comerica    55,700        2,895,843 
Commerce Bancorp/NJ    63,200    a    2,254,344 
Compass Bancshares    44,294        2,462,746 
Countrywide Financial    208,498        7,939,604 
Dow Jones & Co.    20,300    a    710,703 
E*Trade Financial    146,300    b    3,338,566 
Equity Office Properties Trust    125,600    a    4,585,656 
Equity Residential    99,950        4,470,763 
Fannie Mae    332,209    a    15,979,253 
Federated Investors, Cl. B    29,000        913,500 
Fifth Third Bancorp    190,992        7,057,154 
First Horizon National    42,300        1,700,460 
Franklin Resources    52,600        4,566,206 
Freddie Mac    237,115        13,517,926 
Genworth Financial, Cl. A    125,200        4,361,968 
Golden West Financial    87,886        6,521,141 
Goldman Sachs Group    148,250        22,301,247 
Hartford Financial Services Group    104,050        8,802,630 
Huntington Bancshares/OH    84,204    a    1,985,530 
Janus Capital Group    72,600        1,299,540 
JPMorgan Chase & Co.    1,192,426        50,081,892 
Keycorp    138,666        4,947,603 
Kimco Realty    72,600        2,649,174 
Legg Mason    45,300        4,508,256 
Lehman Brothers Holdings    183,760        11,971,964 
Lincoln National    98,500        5,559,340 
Loews    139,350        4,939,958 
M&T Bank    27,100        3,195,632 
Marsh & McLennan Cos.    188,558        5,070,325 
Marshall & Ilsley    77,300        3,535,702 
MBIA    46,250        2,707,938 
Mellon Financial    141,957        4,887,580 
Merrill Lynch & Co.    317,131        22,059,632 

12

Common Stocks (continued)    Shares    Value ($) 



Financial (continued)         
MetLife    260,400 a    13,335,084 
MGIC Investment    30,000 a    1,950,000 
Moody’s    83,800    4,563,748 
Morgan Stanley    367,616    23,237,007 
National City    186,199    6,738,542 
North Fork Bancorporation    159,650    4,816,641 
Northern Trust    63,590    3,516,527 
Plum Creek Timber    63,250    2,245,375 
PNC Financial Services Group    101,623    7,130,886 
Principal Financial Group    95,050    5,289,533 
Progressive    268,528    6,903,855 
Prologis    84,100    4,383,292 
Prudential Financial    168,850    13,119,645 
Public Storage    28,400 a    2,155,560 
Regions Financial    156,484    5,182,750 
Safeco    40,950    2,307,533 
Simon Property Group    62,900 a    5,216,926 
SLM    141,000    7,461,720 
Sovereign Bancorp    129,105    2,622,123 
St. Paul Travelers Cos.    238,934    10,651,678 
State Street    114,050    6,625,165 
SunTrust Banks    124,750    9,513,435 
Synovus Financial    110,750    2,965,885 
T Rowe Price Group    91,200    3,448,272 
Torchmark    34,400    2,088,768 
UnumProvident    102,769    1,863,202 
US Bancorp    610,805    18,861,658 
Vornado Realty Trust    40,800    3,980,040 
Wachovia    552,026    29,853,566 
Washington Mutual    329,717 a    15,028,501 
Wells Fargo & Co.    576,557    38,675,444 
XL Capital, Cl. A    61,900    3,794,470 
Zions Bancorporation    36,400    2,837,016 
        846,300,673 

The Fund 13


STATEMENT OF INVESTMENTS (Unaudited) (continued)

Common Stocks (continued)    Shares    Value ($) 



Health Care—12.2%         
Abbott Laboratories    523,776    22,841,871 
Aetna    194,564    7,768,941 
Allergan    52,400    5,620,424 
AmerisourceBergen    72,018    3,018,995 
Amgen    404,724 b    26,400,147 
Applera—Applied Biosystems Group    63,550    2,055,843 
Barr Pharmaceuticals    36,400 b    1,735,916 
Bausch & Lomb    18,500    907,240 
Baxter International    224,750    8,261,810 
Becton, Dickinson & Co.    84,900    5,189,937 
Biogen Idec    118,027 b    5,468,191 
Biomet    84,425 a    2,641,658 
Boston Scientific    416,963 b    7,021,657 
Bristol-Myers Squibb    674,828    17,451,052 
Cardinal Health    143,300    9,218,489 
Caremark Rx    151,800    7,570,266 
CIGNA    41,071    4,045,904 
Coventry Health Care    55,100 b    3,027,194 
CR Bard    35,500    2,600,730 
Eli Lilly & Co.    387,837    21,435,751 
Express Scripts    50,500 b    3,622,870 
Fisher Scientific International    42,600 b    3,111,930 
Forest Laboratories    111,800 b    4,325,542 
Genzyme    89,350 b    5,454,818 
Gilead Sciences    156,200 a,b    9,240,792 
HCA    140,005    6,041,216 
Health Management Associates, Cl. A    82,600    1,628,046 
Hospira    53,577 b    2,300,596 
Humana    56,500 b    3,034,050 
IMS Health    68,550 a    1,840,567 
Johnson & Johnson    1,016,202    60,890,824 
King Pharmaceuticals    83,166 b    1,413,822 
Laboratory Corp. of America Holdings    42,800 b    2,663,444 
Manor Care    27,100 a    1,271,532 
McKesson    104,369    4,934,566 
Medco Health Solutions    103,499 b    5,928,423 
 
 
14         


Common Stocks (continued)    Shares    Value ($) 



Health Care (continued)         
MedImmune    85,400 a,b    2,314,340 
Medtronic    414,273    19,437,689 
Merck & Co.    748,966    27,284,831 
Millipore    18,200 a,b    1,146,418 
Mylan Laboratories    72,100 a    1,442,000 
Patterson Cos.    47,600 a,b    1,662,668 
PerkinElmer    43,468    908,481 
Pfizer    2,514,611    59,017,920 
Quest Diagnostics    55,800    3,343,536 
Schering-Plough    508,251    9,672,017 
St. Jude Medical    123,900 b    4,016,838 
Stryker    100,400    4,227,844 
Tenet Healthcare    161,500 a,b    1,127,270 
Thermo Electron    56,200 b    2,036,688 
UnitedHealth Group    462,300    20,701,794 
Waters    35,550 b    1,578,420 
Watson Pharmaceuticals    35,000 a,b    814,800 
WellPoint    218,800 b    15,922,076 
Wyeth    461,920    20,513,867 
Zimmer Holdings    85,202 a,b    4,832,657 
        483,987,208 
Industrial—11.6%         
3M    258,698    20,895,037 
Allied Waste Industries    83,000 b    942,880 
American Power Conversion    58,200 a    1,134,318 
American Standard Cos.    60,700    2,626,489 
Avery Dennison    37,650    2,185,959 
Boeing    274,420    22,477,742 
Burlington Northern Santa Fe    125,192    9,921,466 
Caterpillar    229,830    17,117,738 
Cendant    343,302    5,592,390 
Cintas    47,300    1,880,648 
Cooper Industries, Cl. A    31,700    2,945,564 
CSX    76,000    5,353,440 
Cummins    15,900    1,943,775 
Danaher    81,000    5,209,920 

The Fund 15


STATEMENT OF INVESTMENTS (Unaudited) (continued)

Common Stocks (continued)    Shares    Value ($) 



Industrial (continued)         
Deere & Co.    80,500    6,720,945 
Dover    69,950    3,457,628 
Eaton    51,500    3,883,100 
Emerson Electric    140,890    11,807,991 
Equifax    44,150    1,516,111 
FedEx    104,740    12,239,916 
Fluor    30,000 a    2,787,900 
General Dynamics    138,572    9,070,923 
General Electric    3,568,583    117,620,496 
Goodrich    42,500    1,712,325 
Honeywell International    284,124    11,450,197 
Illinois Tool Works    142,100    6,749,750 
Ingersoll-Rand, Cl. A    112,900    4,829,862 
ITT Industries    63,500    3,143,250 
L-3 Communications Holdings    41,902    3,160,249 
Lockheed Martin    121,560    8,720,714 
Masco    136,300    4,039,932 
Monster Worldwide    44,100 b    1,881,306 
Navistar International    21,200 b    521,732 
Norfolk Southern    142,350    7,575,867 
Northrop Grumman    118,004    7,559,336 
Paccar    57,212 a    4,713,124 
Pall    42,801    1,198,428 
Parker Hannifin    41,275    3,202,940 
Pitney Bowes    76,200    3,147,060 
Raytheon    153,150    6,825,896 
Robert Half International    59,000    2,478,000 
Rockwell Automation    60,900    4,385,409 
Rockwell Collins    58,750    3,282,363 
RR Donnelley & Sons    74,150    2,369,093 
Ryder System    20,900 a    1,221,187 
Southwest Airlines    242,412    3,968,284 
Textron    44,600    4,111,228 
Tyco International    698,971    19,221,703 
Union Pacific    92,328    8,582,811 
United Parcel Service, Cl. B    372,250    30,647,343 
 
 
16         


Common Stocks (continued)    Shares    Value ($) 



Industrial (continued)         
United Technologies    346,882    21,999,256 
Waste Management    187,054    6,711,498 
WW Grainger    26,200    1,971,026 
        460,713,545 
Information Technology—14.7%         
ADC Telecommunications    40,214 b    678,008 
Adobe Systems    205,500 b    6,238,980 
Advanced Micro Devices    166,100 b    4,056,162 
Affiliated Computer Services, Cl. A    40,700 b    2,100,527 
Agilent Technologies    146,090 b    4,610,600 
Altera    123,300 a,b    2,163,915 
Analog Devices    123,900    3,982,146 
Andrew    54,743 a,b    485,023 
Apple Computer    291,900 b    16,673,328 
Applied Materials    536,700    8,737,476 
Autodesk    79,500 b    2,739,570 
Automatic Data Processing    197,778    8,969,232 
Avaya    141,092 a,b    1,611,271 
BMC Software    73,000 b    1,744,700 
Broadcom, Cl. A    157,187 b    4,723,469 
CA    156,609    3,218,315 
Ciena    201,700 a,b    970,177 
Cisco Systems    2,095,018 b    40,915,701 
Citrix Systems    62,500 b    2,508,750 
Computer Sciences    64,500 a,b    3,124,380 
Compuware    129,500 b    867,650 
Comverse Technology    69,300 b    1,370,061 
Convergys    48,102 b    937,989 
Corning    534,498 b    12,929,507 
Dell    779,612 b    19,030,329 
eBay    396,800 b    11,622,272 
Electronic Arts    105,100 b    4,523,504 
Electronic Data Systems    177,950    4,281,477 
EMC/Massachusetts    811,444 b    8,901,541 
First Data    262,740    11,833,810 
Fiserv    60,282 a,b    2,734,391 

The Fund 17


STATEMENT OF INVESTMENTS (Unaudited) (continued)

Common Stocks (continued)    Shares    Value ($) 



Information Technology (continued)         
Freescale Semiconductor, Cl. B    139,202 b    4,092,539 
Gateway    90,700 a,b    172,330 
Google, Cl. A    70,700 b    29,646,631 
Hewlett-Packard    957,280    30,326,630 
Intel    1,996,310    37,830,074 
International Business Machines    532,068    40,873,464 
Intuit    58,650 a,b    3,541,873 
Jabil Circuit    61,100    1,564,160 
JDS Uniphase    578,200 a,b    1,462,846 
Juniper Networks    194,200 b    3,105,258 
KLA-Tencor    68,300 a    2,839,231 
Lexmark International, Cl. A    36,150 b    2,018,255 
Linear Technology    104,250 a    3,491,332 
LSI Logic    136,100 a,b    1,218,095 
Lucent Technologies    1,537,421 a,b    3,720,559 
Maxim Integrated Products    110,050    3,533,705 
Micron Technology    250,850 a,b    3,777,801 
Microsoft    3,010,796    70,151,547 
Molex    48,675    1,634,020 
Motorola    847,685    17,080,853 
National Semiconductor    115,900    2,764,215 
NCR    62,500 b    2,290,000 
Network Appliance    128,400 b    4,532,520 
Novell    116,300 b    771,069 
Novellus Systems    43,700 a,b    1,079,390 
Nvidia    121,000 b    2,576,090 
Oracle    1,336,492 b    19,365,769 
Parametric Technology    38,240 b    486,030 
Paychex    114,675 a    4,470,032 
PMC-Sierra    70,900 a,b    666,460 
QLogic    55,300 b    953,372 
Qualcomm    575,200    23,048,264 
Sabre Holdings, Cl. A    45,550    1,002,100 
SanDisk    67,000 a,b    3,415,660 
Sanmina-SCI    182,872 b    841,211 
Solectron    313,800 b    1,073,196 
 
 
18         


Common Stocks (continued)    Shares    Value ($) 



Information Technology (continued)         
Sun Microsystems    1,200,384 a,b    4,981,594 
Symantec    355,279 b    5,521,036 
Symbol Technologies    87,106    939,874 
Tektronix    28,700    844,354 
Tellabs    153,800 b    2,047,078 
Teradyne    68,000 b    947,240 
Texas Instruments    534,648    16,194,488 
Unisys    117,700 b    739,156 
VeriSign    84,100 a,b    1,948,597 
Xerox    315,166 b    4,383,959 
Xilinx    117,900    2,670,435 
Yahoo!    430,276 a,b    14,199,108 
        586,117,761 
Materials—3.0%         
Air Products & Chemicals    76,950    4,918,644 
Alcoa    298,556    9,661,272 
Allegheny Technologies    29,936    2,072,769 
Ashland    24,400    1,627,480 
Ball    35,900    1,329,736 
Bemis    36,000    1,102,320 
Dow Chemical    330,052    12,881,930 
Eastman Chemical    28,100    1,517,400 
Ecolab    62,500    2,536,250 
EI Du Pont de Nemours & Co.    316,150    13,151,840 
Freeport-McMoRan Copper & Gold, Cl. B    64,700    3,585,027 
Hercules    39,000 a,b    595,140 
International Flavors & Fragrances    27,100    955,004 
International Paper    169,220    5,465,806 
Louisiana-Pacific    36,400    797,160 
MeadWestvaco    62,139    1,735,542 
Monsanto    92,813    7,813,926 
Newmont Mining    154,054    8,154,078 
Nucor    106,900    5,799,325 
Pactiv    48,450 b    1,199,137 
Phelps Dodge    69,898    5,742,820 
PPG Industries    56,833    3,750,978 

The Fund 19


STATEMENT OF INVESTMENTS (Unaudited) (continued)

Common Stocks (continued)    Shares    Value ($) 



Materials (continued)         
Praxair    110,900    5,988,600 
Rohm & Haas    49,841    2,498,031 
Sealed Air    27,973    1,456,834 
Sigma-Aldrich    23,000 a    1,670,720 
Temple-Inland    37,900    1,624,773 
United States Steel    42,900    3,008,148 
Vulcan Materials    34,500    2,691,000 
Weyerhaeuser    84,500    5,260,125 
        120,591,815 
Telecommunication Services—3.3%         
Alltel    133,500 a    8,521,305 
AT & T    1,334,274    37,212,902 
BellSouth    620,701    22,469,376 
CenturyTel    39,900 a    1,482,285 
Citizens Communications    111,500    1,455,075 
Embarq    51,208 b    2,099,016 
Qwest Communications International    537,162 b    4,345,641 
Sprint Nextel    1,022,361    20,436,996 
Verizon Communications    1,001,113    33,527,274 
        131,549,870 
Utilities—3.4%         
AES    225,900 b    4,167,855 
Allegheny Energy    56,100 b    2,079,627 
Ameren    70,500 a    3,560,250 
American Electric Power    135,150 a    4,628,887 
Centerpoint Energy    106,846 a    1,335,575 
CMS Energy    75,900 b    982,146 
Consol Energy    62,900    2,938,688 
Consolidated Edison    84,300 a    3,746,292 
Constellation Energy Group    61,450    3,350,254 
Dominion Resources/VA    119,292    8,921,849 
DTE Energy    61,050    2,487,177 
Duke Energy    423,847    12,448,386 

20

Common Stocks (continued)    Shares    Value ($) 



Utilities (continued)         
Dynegy, Cl. A    126,700 b    693,049 
Edison International    111,800    4,360,200 
Entergy    71,350    5,048,012 
Exelon    229,450    13,039,644 
FirstEnergy    113,233    6,138,361 
FPL Group    138,700 a    5,739,406 
Nicor    15,200 a    630,800 
NiSource    93,553 a    2,043,198 
Peoples Energy    13,200 a    474,012 
PG & E    119,150    4,680,212 
Pinnacle West Capital    34,000    1,356,940 
PPL    130,600    4,218,380 
Progress Energy    86,785 a    3,720,473 
Public Service Enterprise Group    86,350    5,709,462 
Sempra Energy    88,895    4,042,945 
Southern    254,610    8,160,251 
TECO Energy    71,600    1,069,704 
TXU    158,660    9,486,281 
Xcel Energy    139,195 a    2,669,759 
        133,928,075 
Total Common Stocks         
(cost $2,623,270,682)        3,945,582,374 



    Principal     
Short-Term Investment—.1%    Amount ($)    Value ($) 



U.S. Treasury Bill;         
4.77%, 9/7/06         
(cost $4,212,189)    4,250,000 c    4,212,898 



 
Other Investment—.6%    Shares    Value ($) 



Registered Investment Company;         
Dreyfus Institutional Preferred Plus Money Market Fund     
(cost $25,073,000)    25,073,000 d    25,073,000 

The Fund 21


STATEMENT OF INVESTMENTS (Unaudited) (continued)

Investment of Cash Collateral         
for Securities Loaned—3.2%    Shares    Value ($) 



Registered Investment Company;         
Dreyfus Institutional Cash Advantage Plus Fund         
(cost $128,722,438)    128,722,438 d    128,722,438 



 
Total Investments (cost $2,781,278,309)    103.2%    4,103,590,710 
 
Liabilities, Less Cash and Receivables    (3.2%)    (128,184,095) 
 
Net Assets    100.0%    3,975,406,615 
 
a All or a portion of these securities are on loan. At June 30, 2006, the total market value of the fund’s securities on 
loan is $168,910,476 and the total market value of the collateral held by the fund is $176,107,820, consisting of 
cash collateral of $128,722,438 and U.S. Government and agency securities valued at $47,385,382. 
b Non-income producing security.         
c Partially held by a broker as collateral for open financial futures positions.     
d Investment in affiliated money market mutual fund.         

Portfolio Summary    (Unaudited)          
 
    Value (%)        Value (%) 




Financial    21.3    Short-Term/     
Information Technology    14.7    Money Market Investments    3.9 
Health Care    12.2    Utilities    3.4 
Industrial    11.6    Telecommunication Services    3.3 
Consumer Discretionary    10.1    Materials    3.0 
Energy    10.1         
Consumer Staples    9.6        103.2 
 
Based on net assets.             
See notes to financial statements.         

22

STATEMENT OF FINANCIAL FUTURES 
June 30, 2006 (Unaudited) 

        Market Value        Unrealized 
        Covered by        Appreciation 
    Contracts    Contracts ($)    Expiration    at 6/30/2006 ($) 





 
Financial Futures Long                 
Standard & Poor’s 500    105    33,584,250    September 2006    780,300 

See notes to financial statements.

The Fund 23


STATEMENT OF ASSETS AND LIABILITIES 
June 30, 2006 (Unaudited) 

    Cost    Value 



Assets ($):         
Investments in securities—         
See Statement of Investments (including securities     
on loan, valued at $168,910,476)—Note 1(b):     
Unaffiliated issuers    2,627,482,871    3,949,795,272 
Affiliated issuers    153,795,438    153,795,438 
Cash        1,171,529 
Dividends and interest receivable        4,604,598 
Receivable for shares of Common Stock subscribed    696,478 
Prepaid expenses        68,405 
        4,110,131,720 



Liabilities ($):         
Due to The Dreyfus Corporation and affiliates—Note 3(c)    905,606 
Liability for securities on loan—Note 1(b)    128,722,438 
Payable for shares of Common Stock redeemed    4,550,583 
Payable for investment securities purchased    255,420 
Payable for futures variation margin—Note 4    84,900 
Accrued expenses        206,158 
        134,725,105 



Net Assets ($)        3,975,406,615 



Composition Net Assets ($):         
Paid-in capital        3,189,575,946 
Accumulated undistributed investment income—net    620,188 
Accumulated net realized gain (loss) on investments    (537,882,220) 
Accumulated net unrealized appreciation (depreciation)     
on investments (including $780,300 net unrealized     
appreciation on financial futures)        1,323,092,701 



Net Assets ($)        3,975,406,615 



 
 
Net Asset Value Per Share         
    Initial Shares    Service Shares 



Net Assets ($)    3,455,335,649    520,070,966 
Shares Outstanding    106,740,255    16,061,088 



Net Assets Value Per Share ($)    32.37    32.38 

  See notes to financial statements.
24

STATEMENT OF OPERATIONS 
Six Months Ended June 30, 2006 (Unaudited) 

Investment Income ($):     
Income:     
Cash dividends:     
Unaffiliated issuers    38,901,546 
Affiliated issuers    264,497 
Interest    231,938 
Income on securities lending    166,825 
Total Income    39,564,806 
Expenses:     
Management fee—Note 3(a)    5,045,150 
Distribution fees (Service Shares)—Note 3(b)    668,034 
Prospectus and shareholders’ reports    148,406 
Directors’ fees and expenses—Note 3(d)    42,459 
Professional fees    28,965 
Shareholder servicing costs (Initial Shares)—Note 3(c)    24,563 
Loan commitment fees—Note 2    13,650 
Interest expense—Note 2    7,707 
Miscellaneous    82,720 
Total Expenses    6,061,654 
Investment Income—Net    33,503,152 


Realized and Unrealized Gain (Loss) on Investments—Note 4 ($): 
Net realized gain (loss) on investments    4,919,219 
Net realized gain (loss) on financial futures    (2,048,400) 
Net Realized Gain (Loss)    2,870,819 
Net change in unrealized appreciation (depreciation) on investments     
(including $1,154,110 net unrealized appreciation on financial futures)    71,328,459 
Net Realized and Unrealized Gain (Loss) on Investments    74,199,278 
Net Increase in Net Assets Resulting from Operations    107,702,430 

See notes to financial statements.

The Fund 25


STATEMENT OF CHANGES IN NET ASSETS

    Six Months Ended     
    June 30, 2006    Year Ended 
    (Unaudited)    December 31, 2005 



Operations ($):         
Investment income—net    33,503,152    66,996,953 
Net realized gain (loss) on investments    2,870,819    (107,603,672) 
Net change in unrealized appreciation         
(depreciation) on investments    71,328,459    240,329,084 
Net Increase (Decrease) in Net Assets         
Resulting from Operations    107,702,430    199,722,365 



Dividends and Distributions to Shareholders ($):     
Dividends from investment income—net:         
Initial shares    (29,368,444)    (59,436,329) 
Service shares    (3,717,725)    (7,091,644) 
Distributions of return of capital:         
Initial shares        (310,500) 
Service shares        (39,323) 
Total Dividends and Distributions    (33,086,169)    (66,877,796) 



Capital Stock Transactions ($):         
Net proceeds from shares sold:         
Initial shares    123,063,995    210,040,722 
Service shares    32,825,429    157,277,486 
Net assets received in connection with         
reorganization—Note 1        166,871,392 
Dividends reinvested:         
Initial shares    29,368,444    59,746,829 
Service shares    3,717,725    7,130,967 
Cost of shares redeemed:         
Initial shares    (379,000,027)    (779,602,799) 
Service shares    (55,433,410)    (153,914,282) 
Increase (Decrease) in Net Assets from         
Capital Stock Transactions    (245,457,844)    (332,449,685) 
Total Increase (Decrease) in Net Assets    (170,841,583)    (199,605,116) 



Net Assets ($):         
Beginning of Period    4,146,248,198    4,345,853,314 
End of Period    3,975,406,615    4,146,248,198 
Undistributed investment income—net    620,188    203,205 

26

    Six Months Ended     
    June 30, 2006    Year Ended 
    (Unaudited)    December 31, 2005 



Capital Share Transactions:         
Initial Shares         
Shares sold    3,761,736    6,823,178 
Shares issued in connection         
with reorganization—Note 1        5,653,156 
Shares issued for dividends reinvested    898,611    1,932,364 
Shares redeemed    (11,577,452)    (25,134,308) 
Net Increase (Decrease) in Shares Outstanding    (6,917,105)    (10,725,610) 



Service Shares         
Shares sold    1,003,737    5,125,869 
Shares issued for dividends reinvested    113,728    230,306 
Shares redeemed    (1,711,355)    (4,994,213) 
Net Increase (Decrease) in Shares Outstanding    (593,890)    361,962 

See notes to financial statements.

The Fund 27


FINANCIAL HIGHLIGHTS

The following tables describe the performance for each share class for the fiscal periods indicated. Total return shows how much your investment in the fund would have increased (or decreased) during each period, assuming you had reinvested all dividends and distributions. These figures have been derived from the fund’s financial statements.

    Six Months Ended                     
    June 30, 2006        Year Ended December 31,     



Initial Shares (Unaudited)    2005    2004    2003    2002    2001 






Per Share Data ($):                         
Net asset value,                         
beginning of period    31.82    30.89    28.43    22.47    29.36    34.00 
Investment Operations:                         
Investment income—net a    .27    .49    .51    .37    .34    .34 
Net realized and                         
unrealized gain (loss)                         
on investments    .55    .94    2.48    5.96    (6.89)    (4.48) 
Total from                         
Investment Operations    .82    1.43    2.99    6.33    (6.55)    (4.14) 
Distributions:                         
Dividends from                         
investment income—net    (.27)    (.50)    (.53)    (.37)    (.34)    (.34) 
Dividends from net realized                     
gain on investments                        (.16) 
Dividends from                         
return of capital        (.00)b    (.00)b             
Total Distributions    (.27)    (.50)    (.53)    (.37)    (.34)    (.50) 
Net asset value,                         
end of period    32.37    31.82    30.89    28.43    22.47    29.36 







Total Return (%)    2.57c    4.69    10.64    28.36    (22.36)    (12.18) 







Ratios/Supplemental                         
Data (%):                         
Ratio of total expenses                         
to average net assets    .13c    .27    .26    .28    .27    .26 
Ratio of net investment                         
income to average                         
net assets    .82c    1.60    1.76    1.52    1.33    1.09 
Portfolio Turnover Rate    3.06c    6.09    3.78    2.80    6.05    4.03 







Net Assets,                         
end of period                         
($ x 1,000) 3,455,336    3,616,211    3,842,397    3,771,728    3,093,295    4,392,178 
 
a    Based on average shares outstanding at each month end.                 
b    Amount represents less than $.01 per share.                 
c    Not annualized.                         
See notes to financial statements.                     
28                             


    Six Months Ended                     
    June 30, 2006        Year Ended December 31,     



Service Shares    (Unaudited)    2005    2004    2003    2002    2001 







Per Share Data ($):                         
Net asset value,                         
beginning of period    31.82    30.90    28.40    22.44    29.33    34.00 
Investment Operations:                         
Investment income—net a    .23    .42    .46    .32    .29    .24 
Net realized and unrealized                         
gain (loss) on investments    .56    .93    2.46    5.93    (6.89)    (4.48) 
Total from Investment Operations    .79    1.35    2.92    6.25    (6.60)    (4.24) 
Distributions:                         
Dividends from                         
investment income—net    (.23)    (.43)    (.42)    (.29)    (.29)    (.27) 
Dividends from net realized                         
gain on investments                        (.16) 
Dividends from return of capital        (.00)b    (.00)b             
Total Distributions    (.23)    (.43)    (.42)    (.29)    (.29)    (.43) 
Net asset value, end of period    32.38    31.82    30.90    28.40    22.44    29.33 







Total Return (%)    2.44c    4.43    10.35    28.05    (22.55)    (12.46) 







Ratios/Supplemental Data (%):                     
Ratio of total expenses                         
to average net assets    .25c    .52    .51    .53    .51    .57 
Ratio of net investment income                         
to average net assets    .70c    1.35    1.59    1.27    1.19    .83 
Portfolio Turnover Rate    3.06c    6.09    3.78    2.80    6.05    4.03 







Net Assets, end of period                         
($ x 1,000)    520,071    530,037    503,456    283,150    78,762    26,461 
 
a    Based on average shares outstanding at each month end.                 
b    Amount represents less than $.01 per share.                     
c    Not annualized.                         
See notes to financial statements.                         

The Fund 29


NOTES TO FINANCIAL STATEMENTS (Unaudited)

NOTE 1—Significant Accounting Policies:

Dreyfus Stock Index Fund, Inc. (the “fund”) is registered under the Investment Company Act of 1940, as amended (the “Act”), as a non-diversified open-end management investment company, that is intended to be a funding vehicle for variable annuity contracts and variable life insurance policies to be offered by the separate accounts of life insurance companies. The fund’s investment objective is to match the total return of the Standard and Poor’s 500 Composite Stock Price Index. The Dreyfus Corporation (the “Manager” or “Dreyfus”) serves as the fund’s manager and Mellon Equity Associates (“Mellon Equity”), an affiliate of Dreyfus, serves as the fund’s index manager. Dreyfus is a wholly-owned subsidiary of Mellon Financial Corporation (“Mellon Financial”).

As of the close of business on April 29, 2005, pursuant to an Agreement and Plan of Reorganization previously approved by the fund’s Board of Directors, all of the assets, subject to the liabilities, of Times Square VP S&P 500R Index Fund (“portfolio”), a series of CIGNA Variable Products Group, were transferred to the fund. Shareholders of the portfolio received Initial shares of the fund in an amount equal to the aggregate net asset value of their investment in the portfolio at the time of the exchange.The net asset value of the fund’s Initial shares at the close of business on April 29, 2005, after the reorganization, was $29.52 per share and a total of 5,653,156 Initial shares representing net assets of $166,871,392 (including $711,591 net unrealized appreciation on investments) were issued to the portfolio’s shareholders, in the exchange.The exchange was a tax-free event to shareholders.

Dreyfus Service Corporation (the “Distributor”), a wholly-owned subsidiary of Dreyfus, is the distributor of the fund’s shares, which are sold without a sales charge. The fund is authorized to issue 400 million shares of $.001 par value Common Stock in each of the following classes of shares: Initial shares (250 million shares authorized) and Service shares (150 million shares authorized). Initial shares are subject to a shareholder services fee and Service shares are subject to a distribution fee. Each class of shares has identical rights and privileges, except

30


with respect to the distribution plan and shareholder services plan and the expenses borne by each class and certain voting rights. Income, expenses (other than expenses attributable to a specific class), and realized and unrealized gains or losses on investments are allocated to each class of shares based on its relative net assets.

The fund’s financial statements are prepared in accordance with U.S. generally accepted accounting principles, which requires the use of management estimates and assumptions. Actual results could differ from those estimates.

In the normal course of business, the fund may enter into contracts and agreements that contain a variety of representations and warranties, which provide general indemnifications. The maximum exposure to the fund under these arrangements is unknown, as this would involve future claims that may be made against the fund that have not yet occurred. However, based on experience, the fund expects the risks of loss to be remote.

(a) Portfolio valuation: Investments in securities are valued at the last sales price on the securities exchange or national securities market on which such securities are primarily traded. Securities listed on the National Market System for which market quotations are available are valued at the official closing price or, if there is no official closing price that day, at the last sales price. Securities not listed on an exchange or the national securities market, or securities for which there were no transactions, are valued at the average of the most recent bid and asked prices where the asked price is used for valuation purposes. Bid price is used when no asked price is available. Investments in registered investment companies are valued at their net asset value.When market quotations or official closing prices are not readily available, or are determined not to reflect accurately fair value, such as when the value of a security has been significantly affected by events after the close of the exchange or market on which the security is principally traded (for example, a foreign exchange or market), but before the fund calculates its net asset value, the fund may value these investments at fair value as

The Fund 31


NOTES TO FINANCIAL STATEMENTS (Unaudited) (continued)

determined in accordance with the procedures approved by the Board of Directors. Fair valuing of securities may be determined with the assistance of a pricing service using calculations based on indices of domestic securities and other appropriate indicators, such as prices of relevant ADR’s and futures contracts. For other securities that are fair valued by the Board of Directors, certain factors may be considered such as: fundamental analytical data, the nature and duration of restrictions on disposition, an evaluation of the forces that influence the market in which the securities are purchased and sold, and public trading in similar securities of the issuer or comparable issuers. Financial futures are valued at the last sales price on the principal exchange.

(b) Securities transactions and investment income: Securities transactions are recorded on a trade date basis. Realized gain and loss from securities transactions are recorded on the identified cost basis. Dividend income is recognized on the ex-dividend date and interest income, including, where applicable, accretion of discount and amortization of premium on investments, is accrued as earned.

The fund has an arrangement with the custodian bank whereby the fund receives earnings credits from the custodian when positive cash balances are maintained, which are used to offset custody fees. For financial reporting purposes, the fund includes net earnings credits, if any, as an expense offset in the Statement of Operations.

Pursuant to a securities lending agreement with Mellon Bank, N.A., an affiliate of Dreyfus, the fund may lend securities to qualified institutions. It is the fund’s policy, that at originations, all loans are secured by collateral of at least 102% of the value of U.S. securities loaned and 105% of the value of foreign securities loaned. It is the fund’s policy that collateral equivalent to at least 100% of the market value of securities on loan is maintained at all times. Cash collateral is invested in certain money market mutual funds managed by Dreyfus.The fund is entitled to receive all income on securities loaned, in addition to income earned as a result of the lending transaction. Although each security loaned is

32


fully collateralized, the fund bears the risk of delay in recovery of, or loss of rights in, the securities loaned should a borrower fail to return the securities in a timely manner. During the period ended December 31, 2005, pursuant to the securities lending agreement, Mellon Bank, N.A. earned revenues of $148,271 from the fund.

The fund may engage in repurchase agreement transactions. Under the terms of a typical repurchase agreement, the fund, through its custodian and sub-custodian, takes possession of an underlying debt obligation in exchange for cash subject to an obligation of the seller to repurchase, and the fund to resell, the obligation at an agreed-upon price and time, thereby determining the yield during the fund’s holding period. This arrangement results in a fixed rate of return that is not subject to market fluctuations during the fund’s holding period. It is the fund’s policy that the value of the collateral (debt obligation) is at least equal, at all times, to the total amount of the repurchase obligation, including interest. In the event of a counter party default, the fund has the right to use the collateral to offset losses incurred.There is potential loss to the fund in the event the fund is delayed or prevented from exercising its rights to dispose of the collateral securities, including the risk of a possible decline in the value of the collateral securities during the period while the fund seeks to assert its rights. Dreyfus, acting under the supervision of the Board of Directors, reviews the value of the collateral and the creditworthiness of those banks and dealers with which the fund enters into repurchase agreements to evaluate potential risks.

(c) Affiliated issuers: Investments in other investment companies advised by Dreyfus are defined as “affiliated” in the Act.

(d) Dividends to shareholders: Dividends are recorded on the ex-dividend date. Dividends from investment income-net are declared and paid on a quarterly basis. Dividends from net realized capital gain, if any, are normally declared and paid annually, but the fund may make distributions on a more frequent basis to comply with the distribution

The Fund 33


NOTES TO FINANCIAL STATEMENTS (Unaudited) (continued)

requirements of the Internal Revenue Code of 1986, as amended (the “Code”). To the extent that net realized capital gain can be offset by capital loss carryovers, it is the policy of the fund not to distribute such gain. Income and capital gain distributions are determined in accordance with income tax regulations, which may differ from U.S. generally accepted accounting principles.

(e) Federal income taxes: It is the policy of the fund to continue to qualify as a regulated investment company, if such qualification is in the best interests of its shareholders, by complying with the applicable provisions of the Code, and to make distributions of taxable income sufficient to relieve it from substantially all federal income and excise taxes.

The fund has an unused capital loss carryover of $402,177,681 available for federal income tax purposes to be applied against future net securities profits, if any, realized subsequent to December 31, 2005. If not applied, $309,578,875 of the carryover expires in fiscal 2010, $27,409,843 expires in fiscal 2011, $15,235,400 expires in fiscal 2012 and $49,953,563 expires in fiscal 2013.

The tax character of distributions paid to shareholders during the fiscal year ended December 31, 2005, were as follows: ordinary income $66,527,973 and return of capital $349,823.The tax character of current year distributions will be determined at the end of the current fiscal year.

NOTE 2—Bank Line of Credit:

The fund participates with other Dreyfus-managed funds in a $350 million redemption credit facility (the “Facility”) to be utilized for temporary or emergency purposes, including the financing of redemptions. In connection therewith, the fund has agreed to pay commitment fees on its pro rata portion of the Facility. Interest is charged to the fund based on prevailing market rates in effect at the time of borrowings.

The average daily amount of borrowings outstanding under the Facility during the period ended June 30, 2006, was approximately $305,700 with a related weighted average annualized interest rate of 5.09% .

34


NOTE 3—Management Fee, Index Management Fee and Other Transactions With Affiliates:

(a) Pursuant to a Management Agreement with Dreyfus, the management fee is computed at the annual rate of .245% of the value of the fund’s average daily net assets, and is payable monthly. Dreyfus has agreed to pay Mellon Equity a monthly index-management fee at the annual rate of .095% of the value of the fund’s average daily net assets. Dreyfus has undertaken from January 1, 2006 until such time as they give shareholders at least 180 days notice to the contrary that if any full fiscal year the fund’s aggregate expenses exclusive of brokerage commissions, Rule 12b-1 distribution plan fees, transaction fees and extraordinary expenses, exceed an annual rate of .40% of the fund’s average daily net assets, the fund may deduct from the payments to be made to Dreyfus, or Dreyfus will bear, such excess expense. During the period ended June 30, 2006, there was no expense reimbursement pursuant to the undertaking.

(b) Under the Distribution Plan (the “Plan”) adopted pursuant to Rule 12b-1 under the Act, Service shares pay the Distributor for distributing their shares, for servicing and/or maintaining Service shares shareholder accounts and for advertising and marketing for Service shares.The Plan provides payments to be made at an annual rate of .25% of the value of the Service shares average daily net assets. The Distributor may make payments to Participating Insurance Companies and brokers and dealers acting as principal underwriter for their variable insurance products. The fees payable under the Plan are payable without regard to actual expenses incurred. During the period ended June 30, 2006, Service shares were charged $668,034 pursuant to the Plan.

(c) Under the Shareholder Services Plan, Initial shares reimburse the Distributor an amount not to exceed an annual rate of .25% of the value of the Initial shares’ average daily net assets for certain allocated expenses with respect to servicing and/or maintaining Initial shares shareholder accounts. During the period ended June 30, 2006, Initial shares were charged $17,159 pursuant to the Shareholders Services Plan.

The Fund 35


NOTES TO FINANCIAL STATEMENTS (Unaudited) (continued)

The fund compensates Dreyfus Transfer, Inc., a wholly-owned subsidiary of Dreyfus, under a transfer agency agreement for providing personnel and facilities to perform transfer agency services for the fund. During the period ended June 30, 2006, the fund was charged $574 pursuant to the transfer agency agreement.

During the period ended June 30, 2006, the fund was charged $1,926 for services performed by the Chief Compliance Officer which is included in miscellaneous expenses.

The components of Due to The Dreyfus Corporation and affiliates in the Statement of Assets and Liabilities consist of: management fees $795,397, Rule 12b-1 distribution plan fees $106,053, shareholder services plan fees $2,000, chief compliance officer fees $1,926 and transfer agency per account fees $230.

(d) Each Board member also serves as a Board member of other funds within the Dreyfus complex. Annual retainer fees and attendance fees are allocated to each fund based on net assets.

(e) Pursuant to an exemptive order from the SEC, the fund may invest its available cash balances in affiliated money market mutual funds. Management fees of the underlying money market mutual funds have been waived by Dreyfus.

NOTE 4—Securities Transactions:

The aggregate amount of purchases and sales of investment securities, during the period ended June 30, 2006, amounted to $125,953,115 and $373,239,077, respectively.

The fund may invest in financial futures contracts in order to gain exposure to or protect against changes in the market. The fund is exposed to market risk as a result of changes in the value of the underlying financial instruments. Investments in financial futures require the fund to “mark to market” on a daily basis, which reflects the change in the market value of the contract at the close of each day’s trading.

36


Typically, variation margin payments are received or made to reflect daily unrealized gains or losses.When the contracts are closed, the fund recognizes a realized gain or loss.These investments require initial margin deposits with a broker, which consist of cash or cash equivalents. The amount of these deposits is determined by the exchange or Board of Trade on which the contract is traded and is subject to change. Contracts open at June 30, 2006 are set forth in the Statement of Financial Futures.

At June 30, 2006, accumulated net unrealized appreciation on investments was $1,322,312,401, consisting of $1,556,588,708 gross unrealized appreciation and $234,276,307 gross unrealized depreciation.

At June 30,2006,the cost of investments for federal income tax purposes was substantially the same as the cost for financial reporting purposes (see the Statement of Investments).

The Fund 37


  PROXY RESULTS (Unaudited)

The fund held a special meeting of shareholders on June 29, 2006.The proposal considered at the meeting, and the results, are as follows:

        Shares 


    For    Authority Withheld 


To elect additional Board Members:         
Peggy C. Davis     82,897,739.539    3,338,574.226 
James F. Henry     81,339,143.998    4,897,169.767 
Dr. Martin Peretz     81,262,289.502    4,974,024.263 
 
Each will serve as an Independent Board member of the fund commencing, subject to the discretion of the Board, on 
or about January 1, 2007.         
In addition Joseph S. DiMartino, David P. Feldman, Ehud Houminer, Gloria Messinger and Anne Wexler will 
continue as Board members of the fund.         

38

INFORMATION ABOUT THE REVIEW AND APPROVAL
OF THE FUND’S MANAGEMENT AGREEMENT (Unaudited)

At a Board of Directors meeting held on March 7, 2006, the Board unanimously approved the continuation of the fund’s Management Agreement and Index Management Agreement (together, the “Agreements”) with Mellon Equity Associates, LLP (the “Sub-Adviser”), for a one-year term ending March 30, 2007. The Board is comprised entirely of individuals who have no affiliation with the Manager or any affiliates of the Manager.

Prior to the meeting, the Manager provided the Board members with extensive materials related to the renewal of the Agreements, including performance and expense information for other investment companies with similar investment objective to the fund derived from data compiled by Lipper Inc., an independent third party (“Lipper”).

During the meeting, the Board members discussed the continuance of the Agreements with senior management personnel of the Manager. At the conclusion of these discussions, the Board members and their independent counsel met in an executive session, at which no representatives of the Manager were present, to continue their discussion of continuance of the Agreements. In determining to continue the Agreements, the Board considered all factors which they believed to be relevant, including, among other things, the factors discussed below.

Nature, Extent, and Quality of Services Provided to the Fund. The Board members received a presentation from representatives of the Manager regarding services provided to the fund and other funds in the Dreyfus fund complex, and discussed the nature, extent, and quality of the services provided to the fund pursuant to its Management Agreement.The Manager’s representatives reviewed the fund’s distribution of accounts and the relationships the Manager has with various intermediaries and the different needs of each. The Manager’s representatives noted the diversity of distribution of the fund, as well as other funds in the Dreyfus fund complex, and the Manager’s corresponding need for broad, deep, and diverse resources to be able to provide ongoing shareholder services to each of the fund’s distribution channels.The Board members also reviewed the number of shareholder accounts in the fund, as well as the fund’s asset size.

The Fund 39


  INFORMATION ABOUT THE REVIEW AND APPROVAL OF THE FUND’ S
MANAGEMENT AGREEMENT (Unaudited)(continued)

The Board members also considered the Manager’s research and portfolio management capabilities and the Manager’s oversight of day-today fund operations, including fund accounting and administration and assistance in meeting legal and regulatory requirements.The Board members also considered the Manager’s extensive administrative, accounting, and compliance infrastructure.

Comparative Analysis of the Fund’s Performance and Management Fee and Expense Ratio. The Board members reviewed the fund’s performance, management fee and expense ratio, placing significant emphasis on comparative data supplied by Lipper, including contractual and actual (net of fee waivers and expense reimbursements) management fees, operating expense components and total return performance.The fund’s performance was compared to that of a performance universe, consisting of all funds with the same Lipper classification/objective, and a performance group, consisting of comparable funds chosen by Lipper based on guidelines previously approved by the Board. Similarly, the fund’s contractual and actual management fee and operating expenses were compared to those of an expense universe, consisting of all funds with the same or similar Lipper classification/objective and a similar sales load structure, and an expense group, consisting comparable funds chosen by Lipper based on guidelines previously approved by the Board.As part of its review of expenses, the Board also considered other fund expenses, such as transfer agent fees, custody fees, any 12b-1 or non-12b-1 service fees, and other non-management fees, as well as any waivers or reimbursements of fees and expenses.

In its review of performance, the Board noted the fund was ranked in the first or second quintile among its performance group and performance universe for various periods ended January 31, 2006.The Board also noted that the difference in returns between the fund and the S&P 500 Index was primarily due to the fund’s transactions costs and other operating expenses.

In its review of the fund’s management fee and operating expenses, the Board examined the range of management fees and expense ratios of

40


the funds in the expense group and expense universe, noting, among other things, that the fund’s actual management fee and actual total expense ratio were lower than the average and median of the expense universe and the expense group.

Representatives of the Manager reviewed with the Board members the fees paid to the Manager or its affiliates by mutual funds and/or separate accounts managed by the Manager with similar investment objectives, policies and strategies as the fund (the “Similar Accounts”), and explained the nature of the Similar Accounts and the differences, from the Manager’s perspective, as applicable, in providing services to the Similar Accounts as compared to the fund. The Manager’s representatives also reviewed the costs associated with distribution through intermediaries. The Board analyzed differences in fees paid to the Manager and discussed the relationship of the advisory fees paid in light of the Manager’s performance, and the services provided. The Board members considered the relevance of the fee information provided for the Similar Accounts managed by the Manager, to evaluate the appropriateness and reasonableness of the fund’s management fees. The Board acknowledged that differences in fees paid by the Similar Accounts seemed to be consistent with the services provided.

Analysis of Profitability and Economies of Scale. The Manager’s representatives reviewed the dollar amount of expenses allocated and profit received by the Manager and the method used to determine such expenses and profit.The Board members evaluated the analysis in light of the relevant circumstances for the fund, and the extent to which economies of scale would be realized as the fund grows and whether fee levels reflect these economies of scale for the benefit of fund investors. It was noted that economies of scale also could be realized through an adviser’s reinvestment of money back into its business for the benefit of fund shareholders.The Board members also considered potential benefits to the Manager from acting as investment adviser and noted that there were no soft dollar arrangements with respect to trading the fund’s portfolio.

The Fund 41


  INFORMATION ABOUT THE REVIEW AND APPROVAL OF THE FUND ’ S
MANAGEMENT AGREEMENT (Unaudited) (continued)

It was noted that the Board members should consider the Manager’s profitability with respect to the fund as part of their evaluation of whether the fees under the Management Agreement bears a reasonable relationship to the mix of services provided by the Manager including the nature, extent, and quality of such services and that a discussion of economies of scale is predicated on increasing assets and that, if a fund’s assets had been decreasing, the possibility that the Manager may have realized any economies of scale would be less.The Board members also discussed the profitability percentage ranges determined by appropriate court cases to be reasonable given the services rendered to investment companies. It was noted that the Manager’s respective profitability percentages for managing the fund were not unreasonable given the fund’s overall performance and generally superior service levels provided. It also was noted that the profitability percentage for managing the portfolio was within rangers determined by appropriate court cases to be reasonable given the services provided.

At the conclusion of these discussions, each Board member expressed the opinion that he or she had been furnished with sufficient information to make an informed business decision with respect to continuation of the fund’s Management Agreement. Based on their discussions and considerations as described above, the Board members made the following conclusions and determinations:

  • The Board concluded that the nature, extent, and quality of the ser- vices provided by the Manager and the Sub-Adviser are adequate and appropriate;
  • The Board was satisfied with the fund’s overall performance;
  • The Board concluded that the fee paid to the Manager by the fund was reasonable in light of comparative performance and expense and advisory fee information, costs of the services provided, and profits to be realized and benefits derived or to be derived by the Manager from its relationship with the fund; and

42


  • The Board determined that the economies of scale which may accrue to the Manager and its affiliates in connection with the management of the fund had been adequately considered by the Manager in con- nection with the management fee rate charged to the fund, and that, to the extent in the future it were to be determined that material economies of scale had not been shared with the fund, the Board would seek to have those economies of scale shared with the fund.

The Board members considered these conclusions and determinations, along with the information received on a routine and regular basis throughout the year, and, without any one factor being dispositive, the Board determined that re-approval of the fund’s Management Agreement was in the best interests of the fund and its shareholders.

The Fund 43


NOTES


For More Information

Dreyfus Stock Index Fund, Inc.    Custodian 
200 Park Avenue    Boston Safe Deposit and Trust 
New York, NY 10166    Company 
Manager    One Boston Place 
    Boston, MA 02109 
The Dreyfus Corporation     
200 Park Avenue    Transfer Agent & 
New York, NY 10166    Dividend Disbursing Agent 
 
Index Fund Manager    Dreyfus Transfer, Inc. 
    200 Park Avenue 
Mellon Equity Associates    New York, NY 10166 
500 Grant Street     
Pittsburgh, PA 15258    Distributor 
    Dreyfus Service Corporation 
    200 Park Avenue 
    New York, NY 10166 

Telephone Call your financial representative or 1-800-554-4611 
Mail    The Dreyfus Family of Funds, 144 Glenn Curtiss Boulevard, Uniondale, NY 11556-0144 
    Attn: Investments Division 

The fund files its complete schedule of portfolio holdings with the Securities and Exchange Commission (“SEC”) for the first and third quarters of each fiscal year on Form N-Q. The fund’s Forms N-Q are available on the SEC’s website at http://www.sec.gov and may be reviewed and copied at the SEC’s Public Reference Room in Washington, DC. Information on the operation of the Public Reference Room may be obtained by calling 1-202-551-8090.

A description of the policies and procedures that the fund uses to determine how to vote proxies relating to portfolio securities, and information regarding how the fund voted these proxies for the 12-month period ended June 30, 2006, is available at http://www.dreyfus.com and on the SEC’s website at http://www.sec.gov. The description of the policies and procedures is also available without charge, upon request, by calling 1-800-645-6561.


Item 2.    Code of Ethics. 
    Not applicable. 
Item 3.    Audit Committee Financial Expert. 
    Not applicable. 
Item 4.    Principal Accountant Fees and Services. 
    Not applicable. 
Item 5.    Audit Committee of Listed Registrants. 
    Not applicable. 
Item 6.    Schedule of Investments. 
    Not applicable. 
Item 7.    Disclosure of Proxy Voting Policies and Procedures for Closed-End Management 
    Investment Companies. 
    Not applicable. 
Item 8.    Portfolio Managers of Closed-End Management Investment Companies. 
    Not applicable. 
Item 9.    Purchases of Equity Securities by Closed-End Management Investment Companies and 
    Affiliated Purchasers. 
    Not applicable. 
Item 10.    Submission of Matters to a Vote of Security Holders. 

The Registrant has a Nominating Committee (the "Committee"), which is responsible for selecting and nominating persons for election or appointment by the Registrant's Board as Board members. The Committee has adopted a Nominating Committee Charter (the "Charter"). Pursuant to the Charter, the Committee will consider recommendations for nominees from shareholders submitted to the Secretary of the Registrant, c/o The Dreyfus Corporation Legal Department, 200 Park Avenue, 8th Floor East, New York, New York 10166. A nomination submission must include information regarding the recommended nominee as specified in the Charter. This information includes all information relating to a recommended nominee that is required to be disclosed in solicitations or proxy statements for the election of Board members, as well as information sufficient to evaluate the factors to be considered by the Committee, including character and integrity, business and professional experience, and whether the person has the ability to apply sound and independent business judgment and would act in the interests of the Registrant and its shareholders.

-2-


Nomination submissions are required to be accompanied by a written consent of the individual to stand for election if nominated by the Board and to serve if elected by the shareholders, and such additional information must be provided regarding the recommended nominee as reasonably requested by the Committee.

Item 11. Controls and Procedures.

(a) The Registrant's principal executive and principal financial officers have concluded, based on their evaluation of the Registrant's disclosure controls and procedures as of a date within 90 days of the filing date of this report, that the Registrant's disclosure controls and procedures are reasonably designed to ensure that information required to be disclosed by the Registrant on Form N-CSR is recorded, processed, summarized and reported within the required time periods and that information required to be disclosed by the Registrant in the reports that it files or submits on Form N-CSR is accumulated and communicated to the Registrant's management, including its principal executive and principal financial officers, as appropriate to allow timely decisions regarding required disclosure.

(b) There were no changes to the Registrant's internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that have materially affected, or are reasonably likely to materially affect, the Registrant's internal control over financial reporting.

Item 12. Exhibits.

(a)(1) Not applicable.

(a)(2) Certifications of principal executive and principal financial officers as required by Rule 30a-2(a) under the Investment Company Act of 1940.

(a)(3) Not applicable.

(b) Certification of principal executive and principal financial officers as required by Rule 30a-2(b) under the Investment Company Act of 1940.

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.

Dreyfus Stock Index Fund, Inc. 
 
By:    /s/ Stephen E. Canter 
    Stephen E. Canter 
    President 
 
Date:    August 17, 2006 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this Report has been signed below by the following persons on behalf of the Registrant and in the capacities and on the dates indicated.

-3-


By:    /s/ Stephen E. Canter 
    Stephen E. Canter 
    Chief Executive Officer 
 
Date:    August 17, 2006 

By:    /s/ James Windels 
    James Windels
    Chief Financial Officer 
 
Date:    August 17, 2006 

EXHIBIT INDEX

(a)(2) Certifications of principal executive and principal financial officers as required by Rule 30a-2(a) under the Investment Company Act of 1940. (EX-99.CERT)

(b) Certification of principal executive and principal financial officers as required by Rule 30a-2(b) under the Investment Company Act of 1940. (EX-99.906CERT)

-4-


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[EX-99.CERT]—Exhibit (a)(2)

SECTION 302 CERTIFICATION

I, Stephen E. Canter, certify that:

1. I have reviewed this report on Form N-CSR of Dreyfus Stock Index Fund, Inc.;

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

4. The registrant's other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

(c) Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

(d) Disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting;

5. The registrant's other certifying officer(s) and I have disclosed to the registrant's auditors and the audit committee of the registrant's board of directors (or persons performing the equivalent functions):

(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize, and report financial information; and

(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.

By:    /s/ Stephen E. Canter 
    Stephen E. Canter 
    Chief Executive Officer 
Date:    August 17, 2006 

-1-


SECTION 302 CERTIFICATION

I, James Windels, certify that:

1. I have reviewed this report on Form N-CSR of Dreyfus Stock Index Fund, Inc.;

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

4. The registrant's other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

(c) Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

(d) Disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting;

5. The registrant's other certifying officer(s) and I have disclosed to the registrant's auditors and the audit committee of the registrant's board of directors (or persons performing the equivalent functions):

(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize, and report financial information; and

(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.

By:    /s/ James Windels 
    James Windels
    Chief Financial Officer 
Date:    August 17, 2006 


EX-99.CERT 8 exhibit906763.htm CERTIFICATION REQUIRED BY SECTION 906 exhibit906763

[EX-99.906CERT]
Exhibit (b)

SECTION 906 CERTIFICATIONS

In connection with this report on Form N-CSR for the Registrant as furnished to the Securities and Exchange Commission on the date hereof (the "Report"), the undersigned hereby certify, pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that:

(1) the Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934, as applicable; and

(2) the information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Registrant.

By:    /s/Stephen E. Canter 
    Stephen E. Canter 
    Chief Executive Officer 
 
Date:    August 17, 2006 

By:    /s/ James Windels 
    James Windels
    Chief Financial Officer 
 
Date:    August 17, 2006 

This certificate is furnished pursuant to the requirements of Form N-CSR and shall not be deemed "filed" for purposes of Section 18 of the Securities Exchange Act of 1934, or otherwise subject to the liability of that section, and shall not be deemed to be incorporated by reference into any filing under the Securities Act of 1933 or the Securities Exchange Act of 1934.

-1-


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