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Share Name | Share Symbol | Market | Type |
---|---|---|---|
Colgate Palmolive Co | NYSE:CL | NYSE | Common Stock |
Price Change | % Change | Share Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|
1.71 | 1.92% | 91.00 | 92.25 | 89.19 | 91.00 | 7,540,481 | 00:09:06 |
DJ CFA SOURCE: SEC 13F-HR FILER: Janus Capital Management LLC QUARTER ENDED: 09/30/2013 SEC RECEIVED: 11/14/2013
The following sets forth up to 200 of the largest holdings of Janus Capital Management LLC as of Sep. 30, according to a Form 13F filed with the Securities and Exchange Commission.
As of Sep. 30, Janus Capital Management LLC held 730 positions valued at $60,957,236,957.
Up to 200 of the largest holdings of Janus Capital Management LLC are listed below in order of dollar value as of Sep. 30.
Company Name Value Holdings Change GOOGLE INC CL A $1,553,866,092 1,774,002 229,576 TWENTY FIRST CENTURY FOX INC $1,438,925,432 42,940,180 (1,627,357) APPLE INC COM $1,427,203,091 2,993,609 (1,316,865) CELGENE CORP COM $1,356,036,288 8,797,604 (1,267,391) EXPRESS SCRIPTS HOLDING CO CO $1,255,446,050 20,314,661 (2,739,215) TE CONNECTIVITY LTD COM REG $1,142,732,147 22,068,987 (2,838,237) NIKE INC CL B $1,020,232,795 14,045,055 (1,191,939) MASTERCARD INC CL A $970,107,720 1,441,939 (46,178) GILEAD SCIENCES INC COM $965,134,848 15,351,278 172,683 ABBVIE INC COM $903,953,446 20,209,109 1,107,915 CHEVRON CORP COM $889,151,702 7,318,121 192,530 L BRANDS INC COM $798,354,963 13,066,366 (1,344,473) PRICELINE COM INC COM $794,482,353 785,877 (77,517) PRECISION CASTPARTS CORP COM $769,988,197 3,388,436 (560,029) CBS CORP CL B $759,409,894 13,767,402 (1,308,047) US BANCORP/DE COM $741,533,738 20,271,562 (611,528) LYONDELLBASELL INDUSTRIES ORD $701,002,304 9,572,611 172,646 EBAY INC COM $700,949,126 12,562,938 (1,047,655) CANADIAN PACIFIC RAILWAY LTD $697,590,711 5,657,670 2,073,925 BOEING CO COM $657,656,313 5,597,075 (68,929) MICROSOFT CORP COM $626,529,114 18,825,995 313,349 UNITED CONTINENTAL HOLDINGS IN $587,112,459 19,117,957 1,071,774 UNION PACIFIC CORP COM $586,196,927 3,773,638 443,080 ORACLE CORP COM $566,512,885 17,079,074 12,108,263 COLGATE PALMOLIVE CO COM $542,007,871 9,140,099 (562,187) PHILIP MORRIS INTERNATIONAL IN $541,416,184 6,252,641 (1,038,625) DRESSER RAND GROUP INC COM $536,273,774 8,594,131 143,323 SENSATA TECHNOLOGIES HOLDING N $521,618,990 13,629,971 456,522 DU PONT E I DE NEMOURS & CO C $519,997,047 8,879,731 129,802 AMPHENOL CORP CL A $512,884,777 6,628,131 15,622 MGM RESORTS INTERNATIONAL COM $507,367,117 24,822,266 (6,247,457) ZOETIS INC CL A $490,504,913 15,761,726 1,347,023 AETNA INC COM $490,503,058 7,661,716 (325,048) MOTOROLA SOLUTIONS INC COM $484,710,271 8,162,854 (1,102,958) BLACKSTONE GROUP LP UNIT $475,524,943 19,105,060 1,564,560 JOHNSON & JOHNSON COM $471,766,547 5,441,995 492,217 MONSANTO CO COM $467,451,104 4,478,788 452,248 ENTERPRISE PRODUCTS PART COM $449,992,740 7,372,096 (543,445) VMWARE INC CL A $440,742,876 5,447,996 (904,122) STARBUCKS CORP COM $433,448,165 5,631,391 (166,148) TJX COMPANIES INC COM $422,752,559 7,496,942 771,331 MATTEL INC COM $422,610,619 10,090,989 (1,012,262) DELTA AIR LINES INC COM $393,803,062 16,693,644 (6,431,120) CITIGROUP INC COM $373,843,916 7,706,533 4,282,657 TYCO INTERNATIONAL LTD COM $369,762,771 10,570,691 (821,922) INTUIT INC COM $366,138,357 5,521,616 (619,792) LAS VEGAS SANDS CORP COM $357,281,350 5,379,123 244,183 AMERICAN EXPRESS CO COM $343,032,759 4,542,277 (131,013) VALEANT PHARMACEUTICALS INTL $340,324,564 3,262,001 (1,281,926) JPMORGAN CHASE & CO INC COM $338,965,290 6,557,657 37,201 PETROBRAS ADR $334,434,413 21,590,343 (4,283,781) ATHENAHEALTH INC COM $326,604,992 3,007,911 359,155 AMDOCS LTD COM $318,596,305 8,695,314 (256,869) WOLVERINE WORLD WIDE INC COM $318,479,086 5,469,330 (379,200) JAZZ PHARMACEUTICALS PLC ORD $310,604,855 3,377,241 (1,437,904) MEDIVATION INC COM $310,166,004 5,174,608 (180,803) TERADATA CORP COM $295,905,733 5,337,405 1,657,480 HERSHEY CO COM $295,341,215 3,192,878 (137,778) CADENCE DESIGN SYSTEM INC COM $289,229,038 21,408,515 7,882,660 ATMEL CORP COM $288,675,036 38,800,408 (1,388,625) ENDO HEALTH SOLUTIONS INC COM $288,422,403 6,347,324 253,681 AUTOZONE INC COM $284,425,849 672,831 21,941 VERISK ANALYTICS INC CL A $276,156,718 4,251,181 135,578 AMAZON.COM INC COM $270,276,029 864,496 (22,072) SS&C TECHNOLOGIES HOLDINGS INC $266,232,170 6,987,721 317,263 ABBOTT LABS COM $263,438,954 7,937,299 551,646 SOLERA HOLDINGS INC COM $260,770,067 4,932,288 226,008 BROOKFIELD INFRASTRUCTURE PTNS $258,010,526 6,786,179 6,926 INFORMATICA CORP COM $250,652,468 6,431,934 (899,934) QUALCOMM INC COM $248,822,731 3,696,119 750,000 CROWN CASTLE INTERNATIONAL COR $245,853,231 3,366,469 (1,124,751) WHOLE FOODS MARKET INC COM $237,294,896 4,056,323 (293,320) COBALT INTERNATIONAL ENERGY IN $234,052,550 9,414,825 (812,934) CISCO SYSTEMS INC COM $222,635,575 9,501,753 722,224 TIME WARNER CABLE INC COM $222,516,004 1,993,871 (2,020,484) VISTAPRINT NV COM $220,399,064 3,894,114 (137,722) BLACKBAUD INC COM $219,819,600 5,630,625 (59,816) DANAHER CORP COM $215,395,818 3,107,268 (628,069) OMNICARE INC COM $213,719,511 3,850,802 (1,229,001) ST JOE CO COM $212,308,314 10,821,015 252,447 VISA INC CL A $212,216,550 1,110,500 392,499 VARIAN MEDICAL SYSTEMS INC CO $211,021,603 2,823,787 (173,477) EOG RESOURCES INC COM $208,814,328 1,233,544 (197,707) W W GRAINGER INC COM $206,623,447 789,513 30,944 CARTERS INC COM $205,708,572 2,710,615 (2,524) YOUKU TUDOU INC ADR A $205,705,884 7,507,514 (1,123,338) COSTCO WHOLESALE CORP COM $204,149,305 1,772,591 37,767 ON SEMICONDUCTOR CORP COM $204,101,837 27,924,728 (3,352,076) HEICO CORP CL A $198,843,166 4,957,199 24,415 VENTAS INC COM $196,430,631 3,193,994 44,035 COLFAX CORP COM $190,294,530 3,368,641 1,254,710 WABTEC CORP COM $184,843,144 2,940,085 3,002 BALL CORP COM $182,620,086 4,069,075 16,953 LPL FINANCIAL HOLDINGS INC CO $181,621,695 4,740,843 999,077 CTRIP.COM INTERNATIONAL LTD A $179,485,713 3,075,492 (1,199,671) XILINX INC COM $178,018,433 3,799,672 (61,034) DOVER CORP COM $176,798,555 1,968,146 (162,536) MSCI INC CL A $174,483,982 4,333,929 (100,537) HONEYWELL INTERNATIONAL INC C $173,214,880 2,085,921 8,236 VIACOM INC CL B $173,000,236 2,069,876 7,676 NOBLE ENERGY INC COM $172,486,353 2,574,039 (481,287) ALLERGAN INC COM $165,014,086 1,824,368 280,021 NPS PHARMACEUTICALS INC COM $164,896,551 5,183,796 4,147,087 ALTRIA GROUP INC COM $164,481,059 4,788,386 666,083 VERTEX PHARMACEUTICALS INC CO $162,151,078 2,138,632 (2,943,903) DELPHI AUTOMOTIVE PLC COM $160,385,859 2,745,393 (246,256) WALT DISNEY CO COM $159,144,359 2,467,737 (173,984) T ROWE PRICE GROUP INC COM $157,138,134 2,184,598 (174,263) VALERO ENERGY CORP COM $157,034,131 4,598,364 (85,069) SHIRE PLC ADR $155,685,797 1,298,572 (217,332) ALEXION PHARMACEUTICALS INC C $154,897,037 1,333,480 (260,439) AMERICAN TOWER CORP CL A $153,434,941 2,069,809 1,137,971 DAVITA HEALTHCARE PARTNERS INC $153,362,399 2,695,297 (98,681) ANSYS INC COM $149,865,445 1,732,148 (149,099) GARTNER INC CL A $149,759,580 2,495,993 (290,424) ULTA SALON COSMETICS & FRAGRAN $149,199,686 1,248,951 (79,721) MASIMO CORP COM $149,166,551 5,599,345 (41,902) JACK HENRY & ASSOCIATES INC C $148,940,326 2,883,088 1,434 CROWN HOLDINGS INC COM $147,316,415 3,484,305 22,900 LANDSTAR SYSTEMS INC COM $145,839,992 2,605,216 (155,840) POLARIS INDUSTRIES INC COM $145,194,703 1,123,972 (319,247) KENNAMETAL INC COM $144,686,383 3,172,947 105,136 INCYTE CORP COM $143,339,889 3,757,271 (1,616,579) REALPAGE INC COM $142,389,677 6,161,388 55,836
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