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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 (2016Q3)
Original 13F HR (0001140361-16-085960) filed in 2016.11.14
#
Name
Shares
Value ($)
%
Options
Notes
751 ISHARES TR 76,298 16,599 0.01%
752 WEST PHARMACEUTICAL SVSC INC 222,600 16,584 0.01%
753 SPDR S&P 500 ETF TR 76,667 16,583 0.01%
754 SIX FLAGS ENTMT CORP NEW 308,200 16,523 0.01%
755 LOEWS CORP 391,482 16,516 0.01%
756 COPART INC 306,100 16,395 0.01%
757 SERVICENOW INC 205,887 16,296 0.01%
758 ALIGN TECHNOLOGY INC 172,700 16,191 0.01%
759 GALLAGHER ARTHUR J & CO 317,242 16,138 0.01%
760 YAHOO INC 373,100 16,081 0.01%
761 Kennedy-Wilson Holdings Inc 712,986 16,078 0.01%
762 SUNTRUST BKS INC 366,986 16,074 0.01%
763 TIME WARNER INC 201,146 16,013 0.01%
764 J B HUNT TRANSPORT SERVICES, INC. 197,130 15,995 0.01%
765 FOOT LOCKER INC 236,099 15,989 0.01%
766 LBTY MEDIA CORP SERC SIRIUSXM 477,700 15,960 0.01%
767 ECHO GLOBAL LOGISTICS 687,112 15,845 0.01%
768 CDW CORP 343,600 15,713 0.01%
769 SOUTHWESTERN ENERGY CO 1,134,298 15,699 0.01%
770 ULTIMATE SOFTWARE GROUP INC 76,300 15,595 0.01%
771 NORTHERN TR CORP 228,800 15,556 0.01%
772 BWX TECHNOLOGIES INC 404,600 15,525 0.01%
773 CITIGROUP INC 327,919 15,488 0.01%
774 Kansas City Southern 165,794 15,472 0.01%
775 MACERICH CO 186,828 15,109 0.01%
776 ETSY INC 1,054,766 15,062 0.01%
777 TORCHMARK CORP 235,013 15,015 0.01%
778 MAXIM INTEGRATED PRODS INC 375,087 14,977 0.01%
779 HUNTINGTON INGALLS INDS INC 97,600 14,974 0.01%
780 SYMANTEC CORP 591,333 14,842 0.01%
781 DOVER CORP 201,300 14,824 0.01%
782 ABBVIE INC COM 230,825 14,558 0.01%
783 TAIWAN SEMICONDUCTOR MFG LTD 475,508 14,546 0.01%
784 FIRST SOLAR 366,700 14,481 0.01%
785 VALSPAR CORP 134,200 14,235 0.01%
786 SPARTON CORP COM 541,324 14,215 0.01%
787 TESORO CORP COM 178,112 14,171 0.01%
788 CITRIX SYS INC 165,939 14,141 0.01%
789 VCA INC 199,300 13,947 0.01%
790 DELL TECHNOLOGIES INC 291,401 13,929 0.01%
791 PERRIGO COMPANY 148,668 13,727 0.01%
792 ANALOG DEVICES INC 211,282 13,617 0.01%
793 E TRADE FINANCIAL CORP 467,034 13,600 0.01%
794 American Renal Associates 741,962 13,556 0.01%
795 EQT CORP 185,664 13,483 0.01%
796 ABBOTT LABORATORIES 318,695 13,478 0.01%
797 ABIOMED, INC. 104,800 13,475 0.01%
798 ISHARES MSCI TAIWAN INDEX FD 858,300 13,475 0.01%
799 RAVEN INDUSTRIES 584,719 13,466 0.01%
800 BLACKROCK TAX MUNICPAL BD TR 557,929 13,374 0.01%
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