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Institutional Investment Manager
JANUS HENDERSON INVESTORS US LLC
JANUS HENDERSON INVESTORS US LLC (CIK: 0000812295) incorporated in Delaware, located at 151 Detroit St., Denver, CO. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q1)
Portfolio Summary: 1,098 holdings with a total value of $121,512,607,000.
#
Name
Shares
Value ($)
%
Options
Notes
1001 SEMPRA ENERGY 2,839,790 309,594,000 0.25%
1002 VERISK ANALYTICS INC 4,404,618 314,514,000 0.26%
1003 BERKSHIRE HATHAWAY INC DEL 2,181,872 314,887,000 0.26%
1004 ABBOTT LABS 6,874,864 318,513,000 0.26%
1005 SOLERA HOLDINGS INC 6,316,744 326,344,000 0.27%
1006 BROADRIDGE FINL SOLUTIONS IN 5,955,168 327,593,000 0.27%
1007 KIMBERLY CLARK CORP 3,092,606 331,274,000 0.27%
1008 CROWN CASTLE INTL CORP NEW 4,055,717 334,759,000 0.28%
1009 AMDOCS LTD 6,186,809 336,589,000 0.28%
1010 SALLY BEAUTY HLDGS INC 9,888,987 339,885,000 0.28%
1011 TIME WARNER INC NEW 2,281,423 341,968,000 0.28%
1012 JAZZ PHARMACEUTICALS PLC 1,993,973 344,539,000 0.28%
1013 ANTHEM INC 2,252,593 347,823,000 0.29%
1014 TJX COS INC NEW 4,985,193 349,213,000 0.29%
1015 REXNORD CORP NEW COM 13,366,057 356,757,000 0.29%
1016 SALESFORCE COM INC 5,367,177 358,581,000 0.30%
1017 COLFAX CORP 7,552,934 360,523,000 0.30%
1018 E TRADE FINANCIAL CORP 12,661,472 361,582,000 0.30%
1019 WOLVERINE WORLD WIDE INC COM 10,884,854 364,098,000 0.30%
1020 ATMEL CORP 44,505,141 366,296,000 0.30%
1021 ATHENA HEALTH INC. 3,071,818 366,755,000 0.30%
1022 AMAZON COM INC 994,475 370,060,000 0.30%
1023 SS&C TECHNOLOGIES HLDGS INC 5,980,933 372,612,000 0.31%
1024 DELPHI AUTOMOTIVE PLC 4,719,929 376,368,000 0.31%
1025 MICRON TECHNOLOGY INC 14,113,241 382,892,000 0.32%
1026 JPMORGAN CHASE & CO 6,372,074 386,053,000 0.32%
1027 MARKWEST ENERGY PARTNERS LP 5,909,025 390,610,000 0.32%
1028 AUTOMATIC DATA PROCESSING IN 4,694,080 402,001,000 0.33%
1029 MOTOROLA SOLUTIONS INC 6,057,534 403,874,000 0.33%
1030 ZOETIS INC 8,826,546 408,581,000 0.34%
1031 STARWOOD HOTELS & RESORTS WORLDWIDE INC COM 4,971,675 415,135,000 0.34%
1032 AVAGO TECHNOLOGIES LTD SHS 3,271,151 415,390,000 0.34%
1033 TEXAS INSTRS INC 7,332,298 419,297,000 0.35%
1034 CME GROUP INC 4,542,815 430,250,000 0.35%
1035 SOUTHWEST AIRLS CO 9,987,517 442,447,000 0.36%
1036 VISA INC 6,867,261 449,213,000 0.37%
1037 HERSHEY CO 4,503,737 454,518,000 0.37%
1038 ENTERPRISE PRODS PARTNERS L 14,009,485 461,352,000 0.38%
1039 AMERICAN TOWER CORP NEW 4,932,344 464,414,000 0.38%
1040 AMPHENOL CORP NEW 7,891,643 465,054,000 0.38%
1041 AMERISOURCEBERGEN CORP 4,093,226 465,277,000 0.38%
1042 BOSTON SCIENTIFIC CORP 26,480,405 470,061,000 0.39%
1043 GENERAL MTRS CO 12,681,299 475,549,000 0.39%
1044 LOCKHEED MARTIN CORP 2,360,814 479,151,000 0.39%
1045 PEPSICO INC 5,098,738 487,562,000 0.40%
1046 EXXON MOBIL CORP 5,735,744 487,579,000 0.40%
1047 YAHOO INC 11,076,811 492,198,000 0.41%
1048 CVS HEALTH CORP 4,776,821 493,016,000 0.41%
1049 VALEANT PHARMACEUTICALS INTL 2,485,396 493,711,000 0.41%
1050 ORACLE CORP 11,556,018 498,674,000 0.41%
Page 21 of 22

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001140361-15-020226, filed 2015.05.15).

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.