DJ CFA SOURCE: SEC 13F-HR
FILER: Janus Capital Management LLC
QUARTER ENDED: 09/30/2013
SEC RECEIVED: 11/14/2013
Up to 200 of the largest sales of Janus Capital Management LLC
are listed below, ordered by the number of shares sold during the
three months ended Sep. 30.
Company Name Value Holdings Change
EMC CORP/MA COM $24,472,039 957,435 (21,171,521)
DELTA AIR LINES INC COM $393,803,062 16,693,644 (6,431,120)
MGM RESORTS INTERNATIONAL COM $507,367,117 24,822,266 (6,247,457)
PETROBRAS ADR $334,434,413 21,590,343 (4,283,781)
NORDSTROM INC COM $34,464,425 613,246 (3,416,590)
ON SEMICONDUCTOR CORP COM $204,101,837 27,924,728 (3,352,076)
VERTEX PHARMACEUTICALS INC CO $162,151,078 2,138,632 (2,943,903)
TE CONNECTIVITY LTD COM REG $1,142,732,147 22,068,987 (2,838,237)
EXPRESS SCRIPTS HOLDING CO CO $1,255,446,050 20,314,661 (2,739,215)
AMERICAN EAGLE OUTFITTERS INC $13,875,282 991,800 (2,719,964)
ULTRA PETROLEUM CORP COM $14,416,073 700,830 (2,637,765)
LIVEPERSON INC COM $4,471,866 474,217 (2,473,409)
VERIZON COMMUNICATIONS INC CO $57,407,776 1,229,947 (2,435,683)
BROADRIDGE FINANCIAL SOLUTIONS $120,829,229 3,805,645 (2,044,828)
TIME WARNER CABLE INC COM $222,516,004 1,993,871 (2,020,484)
NATIONAL OILWELL VARCO INC CO $137,348,936 1,758,404 (1,921,299)
REALD INC COM $22,900,087 3,271,441 (1,807,876)
ARIAD PHARMACEUTICALS INC COM $22,969,051 1,248,318 (1,661,296)
TWENTY FIRST CENTURY FOX INC $1,438,925,432 42,940,180 (1,627,357)
INCYTE CORP COM $143,339,889 3,757,271 (1,616,579)
JAZZ PHARMACEUTICALS PLC ORD $310,604,855 3,377,241 (1,437,904)
ATMEL CORP COM $288,675,036 38,800,408 (1,388,625)
L BRANDS INC COM $798,354,963 13,066,366 (1,344,473)
APPLE INC COM $1,427,203,091 2,993,609 (1,316,865)
CBS CORP CL B $759,409,894 13,767,402 (1,308,047)
VALEANT PHARMACEUTICALS INTL $340,324,564 3,262,001 (1,281,926)
CELGENE CORP COM $1,356,036,288 8,797,604 (1,267,391)
OMNICARE INC COM $213,719,511 3,850,802 (1,229,001)
PAA NATURAL GAS STORAGE LP CO $41,276,890 1,772,301 (1,222,299)
CTRIP.COM INTERNATIONAL LTD A $179,485,713 3,075,492 (1,199,671)
NIKE INC CL B $1,020,232,795 14,045,055 (1,191,939)
CROWN CASTLE INTERNATIONAL COR $245,853,231 3,366,469 (1,124,751)
YOUKU TUDOU INC ADR A $205,705,884 7,507,514 (1,123,338)
POLYPORE INTERNATIONAL INC CO $134,957,884 3,294,066 (1,106,257)
MOTOROLA SOLUTIONS INC COM $484,710,271 8,162,854 (1,102,958)
SEATTLE GENETICS INC COM $3,893,550 88,833 (1,089,574)
QUESTCOR PHARMACEUTICALS INC $29,357,396 506,162 (1,048,096)
EBAY INC COM $700,949,126 12,562,938 (1,047,655)
PHILIP MORRIS INTERNATIONAL IN $541,416,184 6,252,641 (1,038,625)
RITCHIE BROTHERS AUCTIONEERS $95,630,578 4,738,879 (1,020,318)
MATTEL INC COM $422,610,619 10,090,989 (1,012,262)
VMWARE INC CL A $440,742,876 5,447,996 (904,122)
BIOMARIN PHARMACEUTICAL INC C $45,912,389 636,170 (901,919)
INFORMATICA CORP COM $250,652,468 6,431,934 (899,934)
EXACT SCIENCES CORP COM $9,348,420 792,239 (854,949)
TYCO INTERNATIONAL LTD COM $369,762,771 10,570,691 (821,922)
COBALT INTERNATIONAL ENERGY IN $234,052,550 9,414,825 (812,934)
MYLAN (MYLAN LABS) INC COM $99,803,710 2,614,716 (704,634)
JOY GLOBAL INC COM $18,186,930 356,327 (652,365)
CIT GROUP INC COM $115,074,912 2,359,543 (636,607)
DANAHER CORP COM $215,395,818 3,107,268 (628,069)
INTUIT INC COM $366,138,357 5,521,616 (619,792)
US BANCORP/DE COM $741,533,738 20,271,562 (611,528)
INTREPID POTASH INC COM $13,426,267 856,267 (570,717)
ST JUDE MEDICAL INC COM $60,594,748 1,129,656 (568,712)
COLGATE PALMOLIVE CO COM $542,007,871 9,140,099 (562,187)
PRECISION CASTPARTS CORP COM $769,988,197 3,388,436 (560,029)
GARMIN LTD COM $72,790,335 1,610,762 (555,517)
ENTERPRISE PRODUCTS PART COM $449,992,740 7,372,096 (543,445)
ENVESTNET INC COM $17,704,441 571,111 (504,931)
LEXINGTON REALTY TRUST COM $31,125,495 2,771,638 (504,676)
NOBLE ENERGY INC COM $172,486,353 2,574,039 (481,287)
QUIDEL CORP COM $90,138,732 3,173,899 (472,879)
DTS INC COM $43,166,025 2,055,525 (391,540)
WOLVERINE WORLD WIDE INC COM $318,479,086 5,469,330 (379,200)
MCCORMICK & CO INC COM NON VT $53,712,581 830,179 (364,382)
TENNANT CO COM $86,630,926 1,397,273 (340,923)
AETNA INC COM $490,503,058 7,661,716 (325,048)
POLARIS INDUSTRIES INC COM $145,194,703 1,123,972 (319,247)
YELP INC CL A $17,269,142 260,942 (318,417)
WORLD FUEL SERVICES CORP COM $82,366,116 2,207,615 (313,637)
NEKTAR THERAPEUTICS COM $10,780,640 1,032,134 (306,044)
NATIONAL CINEMEDIA INC COM $122,016,486 6,469,591 (305,387)
WHOLE FOODS MARKET INC COM $237,294,896 4,056,323 (293,320)
GARTNER INC CL A $149,759,580 2,495,993 (290,424)
ALEXION PHARMACEUTICALS INC C $154,897,037 1,333,480 (260,439)
AMERISOURCEBERGEN CORP COM $134,651,141 2,203,783 (257,476)
AMDOCS LTD COM $318,596,305 8,695,314 (256,869)
HELMERICH & PAYNE INC COM $114,060,124 1,654,244 (256,121)
MARKETAXESS HOLDINGS INC COM $79,951,956 1,333,555 (246,700)
DELPHI AUTOMOTIVE PLC COM $160,385,859 2,745,393 (246,256)
RIO TINTO PLC ADR $48,981,224 1,004,537 (245,558)
CNO FINANCIAL GROUP INC COM $24,609,528 1,708,995 (245,335)
AMETEK INC COM $38,939,087 846,134 (226,402)
EXAMWORKS GROUP INC COM $35,182,871 1,353,708 (218,757)
SHIRE PLC ADR $155,685,797 1,298,572 (217,332)
DECKERS OUTDOOR CORP COM $30,129,857 457,067 (216,513)
ISHARES RUSSELL 2000 GROWTH ET $14,081,496 111,900 (206,000)
EOG RESOURCES INC COM $208,814,328 1,233,544 (197,707)
GLOBAL PAYMENTS INC COM $31,416,754 615,050 (186,767)
MONRO MUFFLER BRAKE INC COM $77,033,127 1,659,124 (184,619)
MEDIVATION INC COM $310,166,004 5,174,608 (180,803)
COMCAST CORP CL A $127,849,549 2,833,859 (179,394)
CORNERSTONE ONDEMAND INC COM $22,037,565 428,413 (178,477)
ENDOLOGIX INC COM $102,973,152 6,379,997 (177,665)
GORDMANS STORES INC COM $11,574,979 1,028,887 (174,572)
T ROWE PRICE GROUP INC COM $157,138,134 2,184,598 (174,263)
WALT DISNEY CO COM $159,144,359 2,467,737 (173,984)
VARIAN MEDICAL SYSTEMS INC CO $211,021,603 2,823,787 (173,477)
STARBUCKS CORP COM $433,448,165 5,631,391 (166,148)
DOVER CORP COM $176,798,555 1,968,146 (162,536)
FINANCIAL ENGINES INC COM $67,613,018 1,137,596 (158,666)
LANDSTAR SYSTEMS INC COM $145,839,992 2,605,216 (155,840)
ANSYS INC COM $149,865,445 1,732,148 (149,099)
MGIC INVESTMENT CORP (WI) COM $37,389,330 5,135,897 (146,355)
TECHNE CORP COM $130,580,982 1,631,039 (143,339)
HERSHEY CO COM $295,341,215 3,192,878 (137,778)
VISTAPRINT NV COM $220,399,064 3,894,114 (137,722)
IDENIX PHARMACEUTICALS INC COM $7,739,447 1,491,223 (136,647)
AMERICAN EXPRESS CO COM $343,032,759 4,542,277 (131,013)
REPROS THERAPEUTICS INC COM $13,643,156 509,073 (123,799)
STRATASYS LTD COM $67,670,134 668,281 (120,859)
EURONET WORLDWIDE INC COM $108,151,768 2,711,930 (120,554)
PROS HOLDINGS INC COM $6,342,792 185,516 (112,874)
SVB FINANCIAL GROUP COM $63,288,136 732,756 (107,880)
MSCI INC CL A $174,483,982 4,333,929 (100,537)
DAVITA HEALTHCARE PARTNERS INC $153,362,399 2,695,297 (98,681)
CLEAN HARBORS INC COM $102,364,868 1,745,054 (98,211)
TYLER TECHNOLOGIES INC COM $14,659,535 167,595 (94,063)
ZILLOW INC CL A $18,587,683 220,484 (92,260)
VALERO ENERGY CORP COM $157,034,131 4,598,364 (85,069)
AEGERION PHARMACEUTICALS INC $17,878,532 208,496 (84,793)
ULTA SALON COSMETICS & FRAGRAN $149,199,686 1,248,951 (79,721)
PRICELINE COM INC COM $794,482,353 785,877 (77,517)
BOEING CO COM $657,656,313 5,597,075 (68,929)
OLD DOMINION FREIGHT LINES INC $74,664,811 1,623,501 (65,991)