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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 (2015Q2)
Portfolio Summary: 730 holdings with a total value of $109,085,780,000.
#
Name
Shares
Value ($)
%
Options
Notes
151 BUNGE LIMITED 1,550,275 136,114,000 0.12%
152 QUANTA SVCS INC 4,705,257 135,606,000 0.12%
153 Hewlett Packard Co 4,488,380 134,696,000 0.12%
154 MOLINA HEALTHCARE INC 1,899,216 133,515,000 0.12%
155 CHECK POINT SOFTWARE TECH LT 1,669,836 132,835,000 0.12%
156 SIGNATURE BANK 895,551 131,100,000 0.12%
157 SPX CORP 1,807,547 130,848,000 0.12%
158 GNC HLDGS INC 2,939,173 130,734,000 0.12%
159 ANALOG DEVICES INC 2,025,550 130,010,000 0.12%
160 NEXTERA ENERGY INC 1,325,603 129,949,000 0.12%
161 SEMPRA ENERGY 1,309,847 129,596,000 0.12%
162 REYNOLDS AMERICAN INC 1,720,192 128,430,000 0.12%
163 MOBILE MINI INC 3,032,558 127,489,000 0.12%
164 LEAR CORP 1,134,132 127,318,000 0.12%
165 DSW INC CL A 3,807,146 127,044,000 0.12%
166 CAVIUM INC 1,846,281 127,043,000 0.12%
167 HOME DEPOT INC 1,124,365 124,951,000 0.11%
168 WHITE MOUNTAINS INSURANCE GRP LTD 189,396 124,043,000 0.11%
169 CBRE GROUP INC 3,307,385 122,373,000 0.11%
170 CONSTELLATION BRANDS INC 1,053,550 122,233,000 0.11%
171 YAHOO INC 3,101,237 121,848,000 0.11%
172 SERVICENOW INC 1,625,236 120,771,000 0.11%
173 CMS ENERGY CORP 3,785,172 120,520,000 0.11%
174 BERKLEY W R CORP 2,318,586 120,404,000 0.11%
175 QLIK TECHNOLOGIES INC COM 3,425,699 119,762,000 0.11%
176 AFFILIATED MANAGERS GROUP 543,363 118,779,000 0.11%
177 PACIRA PHARMACEUTICALS INC 1,672,608 118,287,000 0.11%
178 LIBERTY GLOBAL PLC 2,317,846 117,353,000 0.11%
179 FLOWSERVE CORP 2,222,072 117,014,000 0.11%
180 CVS HEALTH CORP 1,112,418 116,670,000 0.11%
181 CAMERON INTERNATIONAL COMPANY 2,220,632 116,294,000 0.11%
182 WESCO INTL INC 1,686,234 115,743,000 0.11%
183 EDISON INTL 2,069,187 115,005,000 0.11%
184 FORTINET INC 2,780,050 114,899,000 0.11%
185 ALNYLAM PHARMACEUTICALS INC 953,647 114,314,000 0.10%
186 ALIGN TECHNOLOGY INC 1,822,188 114,269,000 0.10%
187 UNITED CONTL HLDGS INC 2,152,770 114,118,000 0.10%
188 COOPER COS INC 636,764 113,325,000 0.10%
189 MATTRESS FIRM HOLDING CORP 1,855,101 113,068,000 0.10%
190 AXALTA COATING SYS LTD 3,389,029 112,109,000 0.10%
191 PHILLIPS 66 1,379,302 111,117,000 0.10%
192 DOMINION ENERGY INC 1,641,394 109,760,000 0.10%
193 CHURCH & DWIGHT 1,330,858 107,973,000 0.10%
194 F5 NETWORKS INC 887,588 106,821,000 0.10%
195 ACADIA PHARMACEUTICALS INC COM 2,521,324 105,593,000 0.10%
196 BURLINGTON STORES INC 2,054,628 105,197,000 0.10%
197 MEDTRONIC PLC 1,395,889 103,435,000 0.09%
198 TEVA PHARMACEUTICAL INDS LTD 1,746,848 103,239,000 0.09%
199 SPROUTS FMRS MKT INC 3,814,267 102,909,000 0.09%
200 Patterson UTI Energy Inc Com 5,398,340 101,570,000 0.09%
Page 4 of 15

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000053417-15-000179, filed 2015.08.03).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.