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Share Name | Share Symbol | Market | Type |
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AMEX:CTP | AMEX | Common Stock |
Price Change | % Change | Share Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
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0.00 | 0.00% | 0.22 | 0 | 00:00:00 |
DJ CFA SOURCE: SEC 13F-HR FILER: Janus Capital Management LLC QUARTER ENDED: 09/30/2013 SEC RECEIVED: 11/14/2013
Up to 200 of the largest purchases of Janus Capital Management LLC are listed below, ordered by the number of shares bought during the three months ended Sep. 30.
Company Name Value Holdings Change ORACLE CORP COM $566,512,885 17,079,074 12,108,263 CADENCE DESIGN SYSTEM INC COM $289,229,038 21,408,515 7,882,660 CITIGROUP INC COM $373,843,916 7,706,533 4,282,657 NPS PHARMACEUTICALS INC COM $164,896,551 5,183,796 4,147,087 NATIONAL INSTRUMENTS CORP COM $139,969,447 4,525,362 2,318,449 NEWS CORP CL A $36,844,306 2,294,166 2,294,166 MALLINCKRODT PLC COM $94,846,143 2,151,194 2,151,194 CANADIAN PACIFIC RAILWAY LTD $697,590,711 5,657,670 2,073,925 T MOBILE US INC COM $92,520,410 3,562,588 1,987,227 ADVENT SOFTWARE INC COM $76,175,045 2,399,214 1,952,448 XOMA CORP COM $7,908,744 1,761,413 1,761,413 TERADATA CORP COM $295,905,733 5,337,405 1,657,480 HMS HOLDINGS CORP COM $34,273,219 1,594,845 1,594,845 WENDYS CO COM $14,345,022 1,691,630 1,587,850 BLACKSTONE GROUP LP UNIT $475,524,943 19,105,060 1,564,560 GENERAL ELECTRIC CO COM $37,247,640 1,559,131 1,559,131 SENSIENT TECHNOLOGIES CORP CO $65,463,523 1,366,956 1,366,956 ZOETIS INC CL A $490,504,913 15,761,726 1,347,023 PETSMART INC COM $101,272,594 1,327,991 1,327,991 COLFAX CORP COM $190,294,530 3,368,641 1,254,710 WHITEWAVE FOODS CO CL A $23,482,244 1,175,876 1,175,876 SALLY BEAUTY HOLDINGS INC COM $138,747,173 5,303,791 1,157,276 AMERICAN TOWER CORP CL A $153,434,941 2,069,809 1,137,971 PHILLIPS 66 COM $65,559,438 1,133,854 1,133,854 ABBVIE INC COM $903,953,446 20,209,109 1,107,915 UNITED CONTINENTAL HOLDINGS IN $587,112,459 19,117,957 1,071,774 NEUROCRINE BIOSCIENCES INC CO $11,342,176 1,001,959 1,001,959 LPL FINANCIAL HOLDINGS INC CO $181,621,695 4,740,843 999,077 CORPORATE EXECUTIVE BOARD CO $72,725,009 1,001,446 978,242 IRONWOOD PHARMACEUTICALS INC $65,840,511 5,560,854 970,254 PACWEST BANCORP COM $29,883,152 871,483 871,483 TJX COMPANIES INC COM $422,752,559 7,496,942 771,331 POTASH CORP OF SASKATCHEWAN C $69,133,586 2,210,153 768,285 QUALCOMM INC COM $248,822,731 3,696,119 750,000 CISCO SYSTEMS INC COM $222,635,575 9,501,753 722,224 WCI COMMUNITIES INC COM $12,082,000 700,000 700,000 ALTRIA GROUP INC COM $164,481,059 4,788,386 666,083 TELEFON AB LM ERICSSON ADR B $109,748,374 8,220,852 629,336 ANNALY CAPITAL MANAGEMENT INC $30,082,779 2,597,822 597,822 GILDAN ACTIVEWEAR INC COM $122,090,946 2,629,004 595,446 CAPITAL SENIOR LIVING CORP CO $14,901,507 704,563 592,491 DUNKIN BRANDS GROUP INC COM $89,324,548 1,973,587 569,108 ABBOTT LABS COM $263,438,954 7,937,299 551,646 CUMMINS INC COM $72,198,103 543,374 543,374 ANADARKO PETROLEUM CORP COM $49,828,970 535,853 535,853 SIX FLAGS ENTERTAINMENT CORP $110,700,534 3,276,133 512,111 JOHNSON & JOHNSON COM $471,766,547 5,441,995 492,217 PHILLIPS 66 PARTNERS LP COM U $14,943,362 485,805 485,805 SENSATA TECHNOLOGIES HOLDING N $521,618,990 13,629,971 456,522 ROLLINS INC COM $27,714,720 1,045,444 455,395 MONSANTO CO COM $467,451,104 4,478,788 452,248 DIAMOND RESORTS INTERNATIONAL $8,390,069 446,043 446,043 UNION PACIFIC CORP COM $586,196,927 3,773,638 443,080 OVASCIENCE INC COM $10,387,305 1,048,164 442,583 PTC THERAPEUTICS INC COM $9,484,483 441,961 441,961 GENMARK DIAGNOSTICS INC COM $5,242,440 431,832 431,832 TANGER FACTORY OUTLET CTRS CO $13,805,073 422,820 422,820 VISA INC CL A $212,216,550 1,110,500 392,499 CONATUS PHARMACEUTICALS INC C $3,845,643 382,651 382,651 ATHENAHEALTH INC COM $326,604,992 3,007,911 359,155 KLA TENCOR CORP COM $97,267,447 1,598,479 357,234 NORTHSTAR REALTY FINANCE CORP $3,285,445 354,035 354,035 NOVADAQ TECHNOLOGIES INC COM $35,118,314 2,118,113 341,302 NICE SYSTEMS LTD ADR $68,703,076 1,660,698 324,816 SS&C TECHNOLOGIES HOLDINGS INC $266,232,170 6,987,721 317,263 MICROSOFT CORP COM $626,529,114 18,825,995 313,349 ARM HOLDINGS PLC ADR $23,998,310 498,718 288,842 ALLERGAN INC COM $165,014,086 1,824,368 280,021 BRISTOL MYERS SQUIBB CO COM $122,223,583 2,640,959 275,342 CORE LABORATORIES NV COM $116,174,679 686,571 273,468 CYPRESS SEMICONDUCTOR CORP CO $2,447,979 261,956 261,956 ENDO HEALTH SOLUTIONS INC COM $288,422,403 6,347,324 253,681 ST JOE CO COM $212,308,314 10,821,015 252,447 ALKERMES PLC ORD $89,651,529 2,666,613 249,019 LAS VEGAS SANDS CORP COM $357,281,350 5,379,123 244,183 GOOGLE INC CL A $1,553,866,092 1,774,002 229,576 ACTAVIS PLC ORD $0 649,698 226,991 SOLERA HOLDINGS INC COM $260,770,067 4,932,288 226,008 ATHLON ENERGY INC COM $7,261,264 222,057 222,057 TUPPERWARE BRANDS CORP COM $18,694,096 216,442 216,442 TAIWAN SEMICONDUCTOR MFG CO LT $11,146,129 657,201 204,352 CHEVRON CORP COM $889,151,702 7,318,121 192,530 RALLY SOFTWARE DEVELOPMENT COR $10,150,718 338,809 189,728 HEARTWARE INTERNATIONAL INC C $25,876,055 353,527 187,645 JONES LANG LASALLE INC COM $133,120,715 1,524,865 180,612 PRESTIGE BRANDS HOLDINGS INC $19,547,127 648,975 173,996 GILEAD SCIENCES INC COM $965,134,848 15,351,278 172,683 LYONDELLBASELL INDUSTRIES ORD $701,002,304 9,572,611 172,646 MONSTER BEVERAGE CORP COM $52,829,191 1,011,085 172,042 GOLDEN MINERALS CO COM $147,891 155,675 155,675 DRESSER RAND GROUP INC COM $536,273,774 8,594,131 143,323 WEX INC COM $12,370,118 140,970 140,970 IPG PHOTONICS CORP COM $7,822,845 138,826 138,826 VERISK ANALYTICS INC CL A $276,156,718 4,251,181 135,578 DU PONT E I DE NEMOURS & CO C $519,997,047 8,879,731 129,802 COVIDIEN PLC COM $19,058,071 312,735 129,169 ASCENT CAPITAL GROUP INC CL A $19,598,641 243,099 119,510 SANDRIDGE ENERGY INC COM $694,217 118,467 118,467 LIBERTY GLOBAL PLC CL A $27,217,764 343,009 118,117 KENNAMETAL INC COM $144,686,383 3,172,947 105,136 PEPSICO INC COM $7,950,000 100,000 100,000 GENESEE & WYOMING INC CL A $42,203,360 453,946 99,955 STEMLINE THERAPEUTICS INC COM $17,965,254 396,619 99,926 BROWN FORMAN CORP CL B NVTG $47,675,262 699,769 99,809 KIMBERLY CLARK CORP COM $93,064,203 987,733 98,963 LINKEDIN CORP CL A $31,934,897 129,785 96,329 AMERICAN HOMES 4 RENT CL A $1,551,740 96,083 96,083 SHUTTERSTOCK INC COM $6,899,746 94,881 94,881 COSI INC COM $458,848 196,089 94,364 CATAMARAN CORP COM $17,986,209 391,430 90,520 PERRIGO CO COM $131,326,042 1,064,403 90,266 DISCOVER FINANCIAL SERVICES C $21,105,757 417,605 89,658 FEDEX CORP COM $133,491,698 1,169,851 82,335 REGENERON PHARMACEUTICALS COM $45,696,541 146,056 72,898 TIBCO SOFTWARE INC COM $11,621,954 454,160 72,468 BROOKFIELD ASSET MGMT CL A VT $54,619,596 1,460,417 63,356 EXXON MOBIL CORP COM $19,548,374 227,201 62,715 REALPAGE INC COM $142,389,677 6,161,388 55,836 MID-AMERICA APARTMENT CMNTYS $3,259,125 52,146 51,765 TERRENO REALTY CORP COM $2,397,600 135,000 50,000 DENNYS CORP COM $284,054 46,490 46,490 VENTAS INC COM $196,430,631 3,193,994 44,035 GRAFTECH INTERNATIONAL LTD CO $131,095,463 15,514,256 43,534 CLOVIS ONCOLOGY INC COM $9,610,352 158,065 41,880 LO-JACK CORP COM $4,177,354 1,305,423 41,000 MSC INDUSTRIAL DIRECT INC CL $119,315,882 1,466,698 40,337 BIGLARI HOLDINGS INC COM $20,294,285 49,178 38,167 COSTCO WHOLESALE CORP COM $204,149,305 1,772,591 37,767 JPMORGAN CHASE & CO INC COM $338,965,290 6,557,657 37,201
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