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 purchases of Janus Capital Management LLC are listed below, ordered by the number of shares bought during the three months ended Sep. 30.

 
Company Name                             Value      Holdings        Change 
 
 
ORACLE CORP  COM                  $566,512,885    17,079,074    12,108,263 
CADENCE DESIGN SYSTEM INC  COM    $289,229,038    21,408,515     7,882,660 
CITIGROUP INC  COM                $373,843,916     7,706,533     4,282,657 
NPS PHARMACEUTICALS INC  COM      $164,896,551     5,183,796     4,147,087 
NATIONAL INSTRUMENTS CORP  COM    $139,969,447     4,525,362     2,318,449 
NEWS CORP  CL A                    $36,844,306     2,294,166     2,294,166 
MALLINCKRODT PLC  COM              $94,846,143     2,151,194     2,151,194 
CANADIAN PACIFIC RAILWAY LTD      $697,590,711     5,657,670     2,073,925 
T MOBILE US INC  COM               $92,520,410     3,562,588     1,987,227 
ADVENT SOFTWARE INC  COM           $76,175,045     2,399,214     1,952,448 
XOMA CORP  COM                      $7,908,744     1,761,413     1,761,413 
TERADATA CORP  COM                $295,905,733     5,337,405     1,657,480 
HMS HOLDINGS CORP  COM             $34,273,219     1,594,845     1,594,845 
WENDYS CO  COM                     $14,345,022     1,691,630     1,587,850 
BLACKSTONE GROUP LP  UNIT         $475,524,943    19,105,060     1,564,560 
GENERAL ELECTRIC CO  COM           $37,247,640     1,559,131     1,559,131 
SENSIENT TECHNOLOGIES CORP  CO     $65,463,523     1,366,956     1,366,956 
ZOETIS INC  CL A                  $490,504,913    15,761,726     1,347,023 
PETSMART INC  COM                 $101,272,594     1,327,991     1,327,991 
COLFAX CORP  COM                  $190,294,530     3,368,641     1,254,710 
WHITEWAVE FOODS CO  CL A           $23,482,244     1,175,876     1,175,876 
SALLY BEAUTY HOLDINGS INC  COM    $138,747,173     5,303,791     1,157,276 
AMERICAN TOWER CORP  CL A         $153,434,941     2,069,809     1,137,971 
PHILLIPS 66  COM                   $65,559,438     1,133,854     1,133,854 
ABBVIE INC  COM                   $903,953,446    20,209,109     1,107,915 
UNITED CONTINENTAL HOLDINGS IN    $587,112,459    19,117,957     1,071,774 
NEUROCRINE BIOSCIENCES INC  CO     $11,342,176     1,001,959     1,001,959 
LPL FINANCIAL HOLDINGS INC  CO    $181,621,695     4,740,843       999,077 
CORPORATE EXECUTIVE BOARD CO       $72,725,009     1,001,446       978,242 
IRONWOOD PHARMACEUTICALS INC       $65,840,511     5,560,854       970,254 
PACWEST BANCORP  COM               $29,883,152       871,483       871,483 
TJX COMPANIES INC  COM            $422,752,559     7,496,942       771,331 
POTASH CORP OF SASKATCHEWAN  C     $69,133,586     2,210,153       768,285 
QUALCOMM INC  COM                 $248,822,731     3,696,119       750,000 
CISCO SYSTEMS INC  COM            $222,635,575     9,501,753       722,224 
WCI COMMUNITIES INC  COM           $12,082,000       700,000       700,000 
ALTRIA GROUP INC  COM             $164,481,059     4,788,386       666,083 
TELEFON AB LM ERICSSON  ADR B     $109,748,374     8,220,852       629,336 
ANNALY CAPITAL MANAGEMENT INC      $30,082,779     2,597,822       597,822 
GILDAN ACTIVEWEAR INC  COM        $122,090,946     2,629,004       595,446 
CAPITAL SENIOR LIVING CORP  CO     $14,901,507       704,563       592,491 
DUNKIN BRANDS GROUP INC  COM       $89,324,548     1,973,587       569,108 
ABBOTT LABS  COM                  $263,438,954     7,937,299       551,646 
CUMMINS INC  COM                   $72,198,103       543,374       543,374 
ANADARKO PETROLEUM CORP  COM       $49,828,970       535,853       535,853 
SIX FLAGS ENTERTAINMENT CORP      $110,700,534     3,276,133       512,111 
JOHNSON & JOHNSON  COM            $471,766,547     5,441,995       492,217 
PHILLIPS 66 PARTNERS LP  COM U     $14,943,362       485,805       485,805 
SENSATA TECHNOLOGIES HOLDING N    $521,618,990    13,629,971       456,522 
ROLLINS INC  COM                   $27,714,720     1,045,444       455,395 
MONSANTO CO  COM                  $467,451,104     4,478,788       452,248 
DIAMOND RESORTS INTERNATIONAL       $8,390,069       446,043       446,043 
UNION PACIFIC CORP  COM           $586,196,927     3,773,638       443,080 
OVASCIENCE INC  COM                $10,387,305     1,048,164       442,583 
PTC THERAPEUTICS INC  COM           $9,484,483       441,961       441,961 
GENMARK DIAGNOSTICS INC  COM        $5,242,440       431,832       431,832 
TANGER FACTORY OUTLET CTRS  CO     $13,805,073       422,820       422,820 
VISA INC  CL A                    $212,216,550     1,110,500       392,499 
CONATUS PHARMACEUTICALS INC  C      $3,845,643       382,651       382,651 
ATHENAHEALTH INC  COM             $326,604,992     3,007,911       359,155 
KLA TENCOR CORP  COM               $97,267,447     1,598,479       357,234 
NORTHSTAR REALTY FINANCE CORP       $3,285,445       354,035       354,035 
NOVADAQ TECHNOLOGIES INC  COM      $35,118,314     2,118,113       341,302 
NICE SYSTEMS LTD  ADR              $68,703,076     1,660,698       324,816 
SS&C TECHNOLOGIES HOLDINGS INC    $266,232,170     6,987,721       317,263 
MICROSOFT CORP  COM               $626,529,114    18,825,995       313,349 
ARM HOLDINGS PLC  ADR              $23,998,310       498,718       288,842 
ALLERGAN INC  COM                 $165,014,086     1,824,368       280,021 
BRISTOL MYERS SQUIBB CO  COM      $122,223,583     2,640,959       275,342 
CORE LABORATORIES NV  COM         $116,174,679       686,571       273,468 
CYPRESS SEMICONDUCTOR CORP  CO      $2,447,979       261,956       261,956 
ENDO HEALTH SOLUTIONS INC  COM    $288,422,403     6,347,324       253,681 
ST JOE CO  COM                    $212,308,314    10,821,015       252,447 
ALKERMES PLC  ORD                  $89,651,529     2,666,613       249,019 
LAS VEGAS SANDS CORP  COM         $357,281,350     5,379,123       244,183 
GOOGLE INC  CL A                $1,553,866,092     1,774,002       229,576 
ACTAVIS PLC  ORD                            $0       649,698       226,991 
SOLERA HOLDINGS INC  COM          $260,770,067     4,932,288       226,008 
ATHLON ENERGY INC  COM              $7,261,264       222,057       222,057 
TUPPERWARE BRANDS CORP  COM        $18,694,096       216,442       216,442 
TAIWAN SEMICONDUCTOR MFG CO LT     $11,146,129       657,201       204,352 
CHEVRON CORP  COM                 $889,151,702     7,318,121       192,530 
RALLY SOFTWARE DEVELOPMENT COR     $10,150,718       338,809       189,728 
HEARTWARE INTERNATIONAL INC  C     $25,876,055       353,527       187,645 
JONES LANG LASALLE INC  COM       $133,120,715     1,524,865       180,612 
PRESTIGE BRANDS HOLDINGS INC       $19,547,127       648,975       173,996 
GILEAD SCIENCES INC  COM          $965,134,848    15,351,278       172,683 
LYONDELLBASELL INDUSTRIES  ORD    $701,002,304     9,572,611       172,646 
MONSTER BEVERAGE CORP  COM         $52,829,191     1,011,085       172,042 
GOLDEN MINERALS CO  COM               $147,891       155,675       155,675 
DRESSER RAND GROUP INC  COM       $536,273,774     8,594,131       143,323 
WEX INC  COM                       $12,370,118       140,970       140,970 
IPG PHOTONICS CORP  COM             $7,822,845       138,826       138,826 
VERISK ANALYTICS INC  CL A        $276,156,718     4,251,181       135,578 
DU PONT E I DE NEMOURS & CO  C    $519,997,047     8,879,731       129,802 
COVIDIEN PLC  COM                  $19,058,071       312,735       129,169 
ASCENT CAPITAL GROUP INC  CL A     $19,598,641       243,099       119,510 
SANDRIDGE ENERGY INC  COM             $694,217       118,467       118,467 
LIBERTY GLOBAL PLC  CL A           $27,217,764       343,009       118,117 
KENNAMETAL INC  COM               $144,686,383     3,172,947       105,136 
PEPSICO INC  COM                    $7,950,000       100,000       100,000 
GENESEE & WYOMING INC  CL A        $42,203,360       453,946        99,955 
STEMLINE THERAPEUTICS INC  COM     $17,965,254       396,619        99,926 
BROWN FORMAN CORP  CL B NVTG       $47,675,262       699,769        99,809 
KIMBERLY CLARK CORP  COM           $93,064,203       987,733        98,963 
LINKEDIN CORP  CL A                $31,934,897       129,785        96,329 
AMERICAN HOMES 4 RENT  CL A         $1,551,740        96,083        96,083 
SHUTTERSTOCK INC  COM               $6,899,746        94,881        94,881 
COSI INC  COM                         $458,848       196,089        94,364 
CATAMARAN CORP  COM                $17,986,209       391,430        90,520 
PERRIGO CO  COM                   $131,326,042     1,064,403        90,266 
DISCOVER FINANCIAL SERVICES  C     $21,105,757       417,605        89,658 
FEDEX CORP  COM                   $133,491,698     1,169,851        82,335 
REGENERON PHARMACEUTICALS  COM     $45,696,541       146,056        72,898 
TIBCO SOFTWARE INC  COM            $11,621,954       454,160        72,468 
BROOKFIELD ASSET MGMT  CL A VT     $54,619,596     1,460,417        63,356 
EXXON MOBIL CORP  COM              $19,548,374       227,201        62,715 
REALPAGE INC  COM                 $142,389,677     6,161,388        55,836 
MID-AMERICA APARTMENT CMNTYS        $3,259,125        52,146        51,765 
TERRENO REALTY CORP  COM            $2,397,600       135,000        50,000 
DENNYS CORP  COM                      $284,054        46,490        46,490 
VENTAS INC  COM                   $196,430,631     3,193,994        44,035 
GRAFTECH INTERNATIONAL LTD  CO    $131,095,463    15,514,256        43,534 
CLOVIS ONCOLOGY INC  COM            $9,610,352       158,065        41,880 
LO-JACK CORP  COM                   $4,177,354     1,305,423        41,000 
MSC INDUSTRIAL DIRECT INC  CL     $119,315,882     1,466,698        40,337 
BIGLARI HOLDINGS INC  COM          $20,294,285        49,178        38,167 
COSTCO WHOLESALE CORP  COM        $204,149,305     1,772,591        37,767 
JPMORGAN CHASE & CO INC  COM      $338,965,290     6,557,657        37,201