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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
251 DELPHI AUTOMOTIVE PLC 1,167,602 71,621 0.07%
252 FLUIDIGM CORP DEL 2,917,141 71,470 0.07%
253 CMS ENERGY CORP 2,409,556 71,467 0.07%
254 ENDO INTL PLC 1,036,808 70,855 0.07%
255 CONSTELLATION BRANDS INC 808,288 70,450 0.07%
256 AMERICAN WTR WKS CO INC NEW 1,451,765 70,019 0.07%
257 CIGNA CORPORATION 771,138 69,935 0.07%
258 AMERICAN AIRLS GROUP INC 1,964,800 69,711 0.07%
259 CENTERPOINT ENERGY INC 2,841,784 69,538 0.07%
260 PEMBINA PIPELINE CORP 1,642,748 69,225 0.07%
261 CONCUR TECHNOLOGIE 543,593 68,938 0.07%
262 ACADIA PHARMACEUTICALS INC 2,752,736 68,157 0.06%
263 WESTERN GAS EQUITY PARTNERS 1,115,356 67,970 0.06%
264 BANK OF THE OZARKS INCORPORATED 2,155,446 67,939 0.06%
265 IONIS PHARMACEUTICAL 1,747,004 67,836 0.06%
266 XL GROUP PLC 2,028,887 67,298 0.06%
267 GULFPORT ENERGY CORP 1,255,977 67,069 0.06%
268 FMC TECHNOLOGIES INC COM 1,232,963 66,962 0.06%
269 CBRE GROUP INC 2,243,291 66,715 0.06%
270 Bonanza Creek Energy Inc 1,166,699 66,385 0.06%
271 DISCOVERY COMMUNICATNS NEW 1,747,034 66,038 0.06%
272 Receptos Inc 1,056,647 65,628 0.06%
273 PROCTER AND GAMBLE CO 782,375 65,516 0.06%
274 ALIGN TECHNOLOGY INC 1,259,019 65,066 0.06%
275 Intl Game Technology 3,847,350 64,905 0.06%
276 ANTERO RES CORP 1,175,070 64,500 0.06%
277 CENTURYLINK INC 1,575,349 64,416 0.06%
278 MOLINA HEALTHCARE INC 1,520,690 64,325 0.06%
279 SIGNATURE BK NEW YORK N Y 573,935 64,315 0.06%
280 CURTISS WRIGHT CORP 975,278 64,290 0.06%
281 SOUTHWESTERN ENERGY CO 1,829,190 63,930 0.06%
282 EQT MIDSTREAM PARTNERS LP 713,082 63,899 0.06%
283 COBALT INTL ENERGY INC 4,688,091 63,758 0.06%
284 DSW INC 2,115,531 63,698 0.06%
285 MCKESSON CORP 326,453 63,551 0.06%
286 Mylan Laboratories Inc 1,395,611 63,486 0.06%
287 AMEREN CORP 1,652,908 63,356 0.06%
288 VERIZON COMMUNICATIONS INC 1,257,457 62,860 0.06%
289 INTERCEPT PHARMACEUTICALS IN 260,195 61,586 0.06%
290 WEST CORP 2,086,471 61,468 0.06%
291 JDS UNIPHASE CORP COM PAR 0.001 4,705,418 60,229 0.06%
292 ADECOAGRO S A 6,831,168 60,114 0.06%
293 ENBRIDGE INC 1,252,999 60,007 0.06%
294 Former Charter Communication (Del 5/18/2016) 394,552 59,723 0.06%
295 MARKWEST ENERGY PARTNERS LP 773,752 59,440 0.06%
296 STRATASYS LTD 487,610 58,894 0.06%
297 Hercules Offshore Inc 3,673,211 58,844 0.06%
298 TEREX CORP NEW 1,842,920 58,549 0.06%
299 PORTLAND GEN ELEC CO 1,795,221 57,662 0.05%
300 NORTHEASTUTILITI 1,296,028 57,414 0.05%
Page 6 of 18
Restatement filing (0000053417-14-000208) filed in 2014.11.12
#
Name
Shares
Value ($)
%
Options
Notes
551 CURTISS WRIGHT CORP 136,270 8,983 0.01%
552 MARRIOTT INTL INC NEW 127,394 8,905 0.01%
553 FORTINET INC 351,224 8,874 0.01%
554 TWITTER INC 169,902 8,764 0.01%
555 CONCHO RES INC 69,706 8,740 0.01%
556 EAGLE PHARMACEUTICALS INC 689,394 8,721 0.01%
557 ADOBE SYS INC 123,473 8,543 0.01%
558 UNITED NAT FOODS INC 138,605 8,519 0.01%
559 TEXAS ROADHOUSE INC 304,766 8,485 0.01%
560 MONDELEZ INTL INC 244,918 8,392 0.01%
561 WESTERN REFNG INC 197,685 8,301 0.01%
562 EOG RES INC 82,005 8,120 0.01%
563 DSW INC 269,405 8,112 0.01%
564 TESLA INC 33,323 8,087 0.01%
565 COLONY CAPITAL CL A ORD 359,783 8,052 0.01%
566 FIBROCELL SCIENCE 2,764,803 8,018 0.01%
567 TUESDAY MORNING CORP 410,732 7,970 0.01%
568 Zafgen, Inc. 404,157 7,942 0.01%
569 WEBMD HEALTH CORP 184,220 7,703 0.01%
570 WEST CORP 260,947 7,687 0.01%
571 TEEKAY CORPORATION 113,486 7,531 0.01%
572 TIFFANY & CO NEW 77,947 7,507 0.01%
573 AMERICAN TOWER CORP NEW 80,064 7,496 0.01%
574 REXNORD CORP NEW 256,499 7,297 0.01%
575 VALIDUS HOLDINGS LTD 184,419 7,218 0.01%
576 EVERCORE PARTNERS INC 153,125 7,197 0.01%
577 PINNACLE FINL PARTNERS INC 199,221 7,192 0.01%
578 QLIK TECHNOLOGIES INC COM 265,744 7,186 0.01%
579 G-III APPAREL GROUP LTD 86,547 7,171 0.01%
580 MOLINA HEALTHCARE INC 167,827 7,099 0.01%
581 INVESTORS BANCORP INC NEW 699,451 7,085 0.01%
582 AMSURG CORP 140,842 7,049 0.01%
583 Pinnacle Entertainment 279,592 7,015 0.01%
584 Platinum Group Metals Ltd 7,851,651 6,988 0.01%
585 CYMABAY THERAPEUTICS INC 1,000,000 6,840 0.01%
586 ZOES KITCHEN INC 222,268 6,837 0.01%
587 ALLERGAN INC COM 38,041 6,779 0.01%
588 FLEETCOR TECHNOLOGIES INC 47,635 6,770 0.01%
589 TRIPADVISOR INC 73,851 6,751 0.01%
590 MORGAN STANLEY 193,003 6,672 0.01%
591 PEBBLEBROOK HOTEL TR 178,289 6,657 0.01%
592 VMware Inc 70,761 6,640 0.01%
593 CHATHAM LODGING TR 284,132 6,558 0.01%
594 ACTAVIS PLC 27,171 6,556 0.01%
595 AUSPEX PHARMACEUTICALS INC 255,313 6,554 0.01%
596 O REILLY AUTOMOTIVE INCORPORATED NEW 43,172 6,491 0.01%
597 HERSHA HOSPITALITY TR 1,004,536 6,399 0.01%
598 PDC ENERGY INC 126,841 6,379 0.01%
599 ADECOAGRO S A 715,625 6,298 0.01%
600 MARKETO INC COM 194,718 6,289 0.01%
Page 12 of 18