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Institutional Investment Manager
JENNISON ASSOCIATES LLC
JENNISON ASSOCIATES LLC (CIK: 0000053417) incorporated in New York, located at 55 East 52nd Street, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q3)
Original 13F HR (0000053417-14-000202) filed in 2014.11.05
#
Name
Shares
Value ($)
%
Options
Notes
151 CALPINE CORP 6,033,485 130,927 0.12%
152 PDC ENERGY INC 2,560,392 128,762 0.12%
153 ALBEMARLE CORP 2,154,885 126,923 0.12%
154 SEMPRA ENERGY 1,202,563 126,726 0.12%
155 SLM CORP 14,746,522 126,230 0.12%
156 ABBVIE INC 2,170,927 125,393 0.12%
157 CIMAREX ENERGY 985,256 124,664 0.12%
158 MATTRESS FIRM HOLDING CORP 2,049,316 123,082 0.12%
159 FLUOR CORP NEW 1,833,651 122,470 0.12%
160 FMC 2,136,840 122,206 0.12%
161 EAST WEST BANCORP INC 3,561,693 121,098 0.12%
162 EDISON INTL 2,164,488 121,038 0.12%
163 BANKUNITED INC 3,964,571 120,880 0.12%
164 CHURCH & DWIGHT 1,720,966 120,743 0.12%
165 WHITE MOUNTAINS INSURANCE GRP LTD 190,851 120,249 0.11%
166 CINEMARK HOLDINGS INC 3,505,012 119,310 0.11%
167 IDEX CORP 1,641,210 118,774 0.11%
168 CAVIUM INC 2,385,294 118,621 0.11%
169 AVON PRODS INC 9,393,611 118,359 0.11%
170 AIRGAS INC 1,056,124 116,860 0.11%
171 DOMINION ENERGY INC 1,673,241 115,604 0.11%
172 PALL CORP 1,371,844 114,823 0.11%
173 TEVA PHARMACEUTICAL INDS LTD 2,114,652 113,663 0.11%
174 COVIDIEN PLC 1,311,925 113,495 0.11%
175 DIEBOLD NXDF INC 3,183,001 112,424 0.11%
176 TRANSDIGM GROUP INC 608,266 112,122 0.11%
177 PPL CORP 3,393,617 111,446 0.11%
178 NEXTERA ENERGY INC 1,179,415 110,723 0.11%
179 AMERICAN ELEC PWR INC 2,112,516 110,294 0.11%
180 AIR METHODS CORP 1,983,369 110,176 0.10%
181 WHOLE FOODS MKT INC 2,887,119 110,028 0.10%
182 GNC HLDGS INC 2,833,513 109,770 0.10%
183 TOWERS WATSON & CO 1,095,891 109,041 0.10%
184 Pinnacle Entertainment 4,335,457 108,777 0.10%
185 ARTISAN PARTNERS ASSET MGMT 2,075,700 108,040 0.10%
186 WESCO INTL INC 1,374,669 107,582 0.10%
187 SANDISK CORP 1,094,494 107,206 0.10%
188 XEROX CORP 7,948,241 105,155 0.10%
189 NISOURCE 2,532,917 103,799 0.10%
190 COOPER COS INC 663,172 103,289 0.10%
191 KINDER MORGAN INC DEL 2,660,610 102,008 0.10%
192 SERVICENOW INC 1,734,018 101,926 0.10%
193 HERTZ GLOBAL HOLDINGS INC COM 3,989,942 101,305 0.10%
194 GAMESTOP CORP NEW 2,443,847 100,686 0.10%
195 SOLARWINDS INC 2,382,928 100,202 0.10%
196 ITC HOLDINGS 2,810,383 100,134 0.10%
197 E M C CORP MASS COM 3,398,481 99,440 0.09%
198 F5 NETWORKS INC 835,018 99,150 0.09%
199 FORTINET INC 3,909,131 98,764 0.09%
200 RANGE RES CORP 1,454,231 98,611 0.09%
Page 4 of 18
Restatement filing (0000053417-14-000208) filed in 2014.11.12
#
Name
Shares
Value ($)
%
Options
Notes
601 KORN FERRY COM NEW 251,902 6,272 0.01%
602 FLUIDIGM CORP DEL COM 255,529 6,260 0.01%
603 CONSTELLIUM NV CL A 251,455 6,188 0.01%
604 LIFEPOINT HEALTH INC 89,013 6,159 0.01%
605 WORKDAY INC 73,629 6,074 0.01%
606 EXTENDED STAY AMER INC 255,591 6,068 0.01%
607 DARLING INGREDIENTS INC 330,540 6,055 0.01%
608 INTERXION HOLDING N.V 217,355 6,019 0.01%
609 SPLUNK INC 107,376 5,944 0.01%
610 COGENT COMMUNICATIONS HLDGS IN COM NEW 176,234 5,923 0.01%
611 ALIBABA GROUP HLDG LTD 65,626 5,831 0.01%
612 Corp Executive Board Co 96,527 5,798 0.01%
613 KIRBY CORP 49,125 5,789 0.01%
614 CORNERSTONE ONDEMAND INC 164,750 5,669 0.01%
615 NOVADAQ TECHNOLOGIES INC 446,161 5,662 0.01%
616 ENVISION HEALTHCARE HLDGS INC 162,529 5,637 0.01%
617 EXXON MOBIL CORP 59,126 5,561 0.01%
618 POLYONE CORP 154,776 5,507 0.01%
619 MICHAEL KORS HLDGS LTD 76,245 5,443 0.01%
620 BANKRATE INC DEL COM 478,198 5,432 0.01%
621 TEAM HEALTH HOLDINGS INC 93,637 5,430 0.01%
622 SEMTECH CORP COM 199,762 5,424 0.01%
623 Receptos Inc 86,537 5,375 0.00%
624 NETSCOUT SYS INC 115,647 5,297 0.00%
625 MEAD JOHNSON NUTRITI 54,995 5,292 0.00%
626 CYTEC INDUSTRIES INC 111,842 5,289 0.00%
627 BRUNSWICK CORP 124,044 5,227 0.00%
628 BRUKER CORP 280,511 5,193 0.00%
629 WEBSTER FINL CORP CONN 175,613 5,117 0.00%
630 R H 63,475 5,049 0.00%
631 REVANCE THERAPEUTICS INC COM 261,140 5,047 0.00%
632 KYTHERA BIOPHARMACEUTICALS I 152,583 4,999 0.00%
633 WRIGHT MEDICAL GROUP N.V. 205,246 4,905 0.00%
634 IMAX CORP 176,324 4,842 0.00%
635 CADENCE DESIGN SYSTEM INC 280,147 4,821 0.00%
636 SunEdison Inc 253,999 4,796 0.00%
637 AERIE PHARMACEUTICALS INC COM 231,725 4,794 0.00%
638 ACADIA COMPANY COM 98,295 4,767 0.00%
639 COLUMBIA BKG SYS INC COM 191,103 4,741 0.00%
640 CIRCOR INTL INC COM 69,545 4,682 0.00%
641 ENERGY TRANSFER PRTNRS L P 72,639 4,648 0.00%
642 PIPER JAFFRAY COS 84,926 4,437 0.00%
643 NATIONAL GRID PLC 61,314 4,407 0.00%
644 TG THERAPEUTICS INC COM 409,409 4,368 0.00%
645 DUNKIN BRANDS GROUP INC COM 96,967 4,346 0.00%
646 CHEESECAKE FACTORY INC 93,903 4,273 0.00%
647 BONANZA CREEK ENERGY INC 75,061 4,271 0.00%
648 YOUKU TUDOU INC 237,752 4,261 0.00%
649 Williams Partners Lp 80,183 4,254 0.00%
650 TRUEBLUE INC COM 168,077 4,246 0.00%
Page 13 of 18