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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
301 REXNORD CORP NEW COM 2,005,141 57,047 0.05%
302 PATTERN ENERGY GROUP INC 1,844,759 57,040 0.05%
303 COLONY CAPITAL CL A ORD 2,545,703 56,973 0.05%
304 WINTRUST FINL CORP COM 1,269,021 56,687 0.05%
305 CADENCE DESIGN SYSTEM INC 3,282,050 56,484 0.05%
306 FLOTEK INDS INC DEL COM NEW 2,164,253 56,422 0.05%
307 KYTHERA BIOPHARMACEUTICALS I 1,718,069 56,284 0.05%
308 ZIONS BANCORPORATION 1,919,806 55,790 0.05%
309 OASIS PETE INC NEW 1,318,536 55,128 0.05%
310 ANALOG DEVICES INC 1,101,268 54,502 0.05%
311 ALLSCRIPTS HEALTHCARE SOLUTN 4,062,738 54,502 0.05%
312 MOLSON COORS BREWING CO 728,022 54,194 0.05%
313 CROSSTEX ENERGY INC 1,305,325 53,949 0.05%
314 KATE SPADE & CO 2,056,273 53,936 0.05%
315 NEWFIELD EXPL CO 1,452,185 53,832 0.05%
316 ULTIMATE SOFTWARE GROUP INCORPORATED 380,168 53,798 0.05%
317 DELTA AIRLINES INC DEL 1,476,773 53,385 0.05%
318 Adt Corp 1,477,795 52,403 0.05%
319 HERSHA HOSPITALITY TR 8,062,739 51,360 0.05%
320 PINNACLE FINL PARTNERS INC 1,422,428 51,350 0.05%
321 WESTAR ENERGY 1,495,062 51,012 0.05%
322 DISCOVERY COMMUNICATNS NEW 1,363,642 50,837 0.05%
323 PG&E CORP 1,111,083 50,043 0.05%
324 DIAMOND FOODS INC 1,719,925 49,207 0.05%
325 UAL CORP CV SR NT 6.0% 10-15-29 9,122,000 49,178 0.05%
326 DYNEGY INCORPORATED NEW D 1,701,358 49,101 0.05%
327 ALLIANT ENERGY CORP 882,664 48,908 0.05%
328 AMSURG CORP 975,927 48,845 0.05%
329 CVS HEALTH CORP 613,048 48,792 0.05%
330 GENERAL ELECTRIC CO 1,891,667 48,465 0.05%
331 ROVI CORP COM EXCHANGEDFOR CU 2,449,235 48,360 0.05%
332 FEDEX CORP 296,025 47,793 0.05%
333 LIVE NATION, INC. 1,972,364 47,376 0.05%
334 VIPSHOP HLDGS LTD 246,617 46,613 0.04%
335 CANADIAN NAT RES LTD 1,198,698 46,557 0.04%
336 NCR CORP NEW 1,384,903 46,270 0.04%
337 PINNACLE FOODS INC DEL 1,412,126 46,106 0.04%
338 ALTERA CORPORATION 1,285,588 45,998 0.04%
339 QUANTA SVCS INC 1,248,063 45,292 0.04%
340 QLIK TECHNOLOGIES INC COM 1,652,445 44,682 0.04%
341 DARLING INGREDIENTS INC 2,415,486 44,252 0.04%
342 FREEPORT-MCMORAN INC 1,342,940 43,847 0.04%
343 JUNIPER NETWORKS 1,969,366 43,621 0.04%
344 ULTRAGENYX PHARMACEUTICAL INC COM 758,566 42,935 0.04%
345 PEBBLEBROOK HOTEL TR 1,131,809 42,262 0.04%
346 ACADIA COMPANY COM 861,651 41,790 0.04%
347 KORN FERRY COM NEW 1,625,421 40,473 0.04%
348 YAHOO INC 987,680 40,248 0.04%
349 G-III APPAREL GROUP LTD 481,051 39,860 0.04%
350 VALEANT PHARMACEUTICALS INTL 302,189 39,647 0.04%
Page 7 of 18
Restatement filing (0000053417-14-000208) filed in 2014.11.12
#
Name
Shares
Value ($)
%
Options
Notes
101 ACTIVISION BLIZZARD INC 9,660,147 200,834 0.19%
102 INTUIT 2,288,114 200,553 0.19%
103 ROPER TECHNOLOGIES INC 1,363,911 199,527 0.19%
104 BERKLEY W R CORP 4,092,369 195,615 0.18%
105 AMPHENOL CORP NEW 1,938,155 193,544 0.18%
106 XILINX INC 4,512,803 191,117 0.18%
107 PERRIGO CO PLC 1,265,998 190,140 0.18%
108 ROSETTA RESOURCES INC 4,164,836 185,585 0.17%
109 ENVISION HEALTHCARE HLDGS INC 5,344,816 185,358 0.17%
110 Laredo Petroleum Inc 8,215,493 184,109 0.17%
111 ONEOK INC NEW 2,803,578 183,775 0.17%
112 SPIRIT AIRLS INC 2,646,272 182,963 0.17%
113 HCA HOLDINGS INC 2,576,489 181,694 0.17%
114 PHILLIPS 66 2,182,369 177,448 0.16%
115 STARWOOD HOTELS & RESORTS WORLDWIDE INC COM 2,121,538 176,533 0.16%
116 GENERAL MTRS CO 5,483,636 175,147 0.16%
117 BANK AMER CORP 10,072,389 171,734 0.16%
118 ULTA BEAUTY INC 1,447,908 171,099 0.16%
119 CATAMARAN CORP COM 4,043,080 170,416 0.16%
120 ROSS STORES INC 2,237,204 169,088 0.16%
121 CHECK POINT SOFTWARE TECH LT 2,426,748 168,028 0.16%
122 Atlantica Yield plc 4,654,716 165,615 0.15%
123 ENERGY TRANSFER L P 2,683,003 165,514 0.15%
124 PNC FINL SVCS GROUP INC 1,920,859 164,387 0.15%
125 POTASH CORP SASK INC 4,487,321 155,082 0.14%
126 SYMETRA FINANCIAL INC 6,575,526 153,407 0.14%
127 STERICYCLE INC 1,311,111 152,823 0.14%
128 L BRANDS INC 2,275,401 152,406 0.14%
129 SUPERIOR ENERGY SVCS INC 4,634,324 152,330 0.14%
130 CHENIERE ENERGY INC 1,887,554 151,061 0.14%
131 CITIGROUPINC 2,912,125 150,906 0.14%
132 Hewlett Packard Co 4,154,426 147,357 0.14%
133 CONSOL ENERGY INC 3,875,422 146,723 0.14%
134 FIRST REP BK SAN FRANCISCO C 2,952,141 145,777 0.14%
135 LEAR CORP 1,681,425 145,292 0.13%
136 PVH CORPORATION 1,187,760 143,897 0.13%
137 NRG Yield Inc 3,021,935 142,182 0.13%
138 BUNGE LIMITED 1,687,471 142,136 0.13%
139 BROCADE COMMUNICATIONS SYS I 12,853,400 139,716 0.13%
140 GOLDCORP INC NEW 6,035,490 138,997 0.13%
141 STARWOOD PPTY TR INC COM 6,324,392 138,884 0.13%
142 AMETEK INC NEW 2,765,864 138,874 0.13%
143 CORE LABORATORIES N V 947,944 138,732 0.13%
144 FLOWSERVE CORP 1,932,242 136,262 0.13%
145 WHITING PETE CORP NEW 1,753,991 136,022 0.13%
146 CHENIERE ENERGY PTNRS LP HLD 5,498,614 134,496 0.12%
147 NATIONAL OILWELL VARCO INC 1,741,368 132,518 0.12%
148 JAZZ PHARMACEUTICALS PLC 823,356 132,198 0.12%
149 CONSTELLIUM NV CL A 5,364,392 132,018 0.12%
150 Pandora Media Inc 5,459,506 131,902 0.12%
Page 3 of 18