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Janus Twenty Fund

 
Page Created: 2008-12-02 08:44:00-08
Fund Type: LARGE-CAP GROWTH Report Date: 2008-09-29 Current Value: $5,310,311,493 Total Performance: -22.52 %
Family of: Janus Investment Fund
 
   
 

Janus Twenty Fund
Highlights

Worst Move: Janus Twenty Fund potentially lost $-166,257,231 on changes made with Research In Motion Ltd (RIMM) buying shares when price went down.
Best Move: Janus Twenty Fund potentially made $1,432,948 on changes made with Gilead Sciences Inc (GILD) buying shares when price went up.
Good Save: Janus Twenty Fund potentially saved $32,742,991 on changes made with Inditex Sa (IXD.BE) selling shares when price went down.
Missed Move: Janus Twenty Fund potentially missed $303,921 on changes made with Apache Corp(APA) selling shares when price went up.
 

Janus Twenty Fund
Contact Information

151 Detroit Street, Denver Co 80206,,
Phone: 3033333863, Fax: , Website:

Janus Twenty Fund
Symbols

JAVLX

Janus Twenty Fund
Recent Source SEC Filings

2008-09-29 http://www.sec.gov/Archives/edgar/data/277751/0000277751-08-000009.txt
2008-06-27 http://www.sec.gov/Archives/edgar/data/277751/0001035704-08-000298.txt
 

Janus Twenty Fund
Holding and Details

Click on column headings to sort!
Stock Country Symbol Industry Current Shares Current Value Value Chng. Return Activity Shares Chng. Shares Chg.% Results
Abb Ltd (ABB) DE ABB Engineering/R And ... 22,079,447 $285,487,250 $-111,280,413 -28.04 % Added More 3,056,580 16.06 $-15,405,163
Alcon Inc (ACL) CH ACL Optical Supplies 2,368,980 $189,020,914 $-200,273,569 -51.44 % Added More 98,140 4.32 $-8,296,756
Apache Corp (APA) US APA Oil Comp-Explor An ... 1,560,990 $120,664,527 $-33,670,554 -21.81 % Sold Some -14,090 -0.89 $303,921
Apple Inc (AAPL) US AAPL Computers 4,371,730 $405,128,219 $-55,040,081 -11.96 % Added More 181,110 4.32 $-2,280,175
Bae Systems Plc (BAESF.PK) GB BAESF.PK Aerospace/Defense 13,185,720 $69,620,602 $-29,272,298 -29.60 % Added More 546,262 4.32 $-1,212,702
Bunge Ltd Fin Corp (BGEPF.PK) US BGEPF.PK Agricultural Opera ... 3,903,265 $206,873,045 $-115,146,318 -35.75 % Sold Some -206,410 -5.02 $6,089,095
Celgene Corp (CELG) US CELG Medical-Biomedical ... 10,258,851 $534,486,137 $-40,009,519 -6.96 % Added More 425,005 4.32 $-1,657,520
Cia Vale Do Rio Doce (RIO) US RIO Diversified Minera ... 15,639,525 $186,735,929 $-74,444,139 -28.50 % Sold Some -141,115 -0.89 $671,707
Cisco Systems Inc (CSCO) US CSCO Networking Product ... 15,058,015 $249,059,568 $-79,054,579 -24.09 % Added More 5,531,380 58.06 $-29,039,745
Cme Group Inc (CME) US CME Finance-Other Serv ... 458,795 $97,241,600 $-49,572,800 -33.76 % Added More 95,675 26.34 $-10,337,684
Elan Corp Plc (ELN) IE ELN Medical-Drugs 2,608,693 $16,356,505 $-9,808,686 -37.48 % New Holding 2,608,693 100.00 $-9,808,686
Electronic Arts Inc (ERTS) US ERTS Entertainment Soft ... 2,085,165 $39,743,245 $-35,322,695 -47.05 % Added More 86,385 4.32 $-1,463,362
Eog Resources Inc (EOG) US EOG Oil Comp-Explor An ... 1,724,407 $146,609,083 $344,881 0.23 % Added More 71,435 4.32 $14,287
Genentech Inc (DNA) US DNA Medical-Biomedical ... 2,023,451 $154,996,347 $-17,604,024 -10.19 % Added More 83,825 4.32 $-729,278
Gilead Sciences Inc (GILD) US GILD Therapeutics 14,718,540 $659,243,407 $34,588,569 5.53 % Added More 609,765 4.32 $1,432,948
Goldman Sachs Group Incthe (GS) US GS Finance-Invest Bnk ... 2,259,800 $178,501,602 $-94,256,258 -34.55 % Added More 93,620 4.32 $-3,904,890
Google Inc (GOOG) US GOOG Web Portals/Isp 1,163,671 $340,909,056 $-102,449,595 -23.10 % Added More 48,205 4.32 $-4,243,968
Hess Corp (HES) US HES Oil Comp-Integrate ... 5,386,560 $291,089,702 $-118,881,379 -28.99 % Added More 223,155 4.32 $-4,925,031
Inditex Sa (IXD.BE) ES IXD.BE Retail-Apparel/Sho ... None - - - % Sold All -2,112,451 -100.00 $32,742,991
Las Vegas Sands Corp (LVS) US LVS Casino Hotels 2,245,845 $11,611,019 $-62,726,451 -84.38 % Sold Some -607,000 -21.27 $16,953,510
Lehman Brothers Holdings Inc (LEH) CH LEH Finance-Invest Bnk ... 9,772,495 % Added More 6,110,875 166.88
Monsanto Co (MON) US MON Agricultural Chemi ... 3,081,185 $244,029,852 $-55,307,271 -18.47 % Added More 127,645 4.32 $-2,291,228
Oracle Corp (ORCL) US ORCL Enterprise Softwar ... 18,994,775 $305,625,930 $-50,905,997 -14.27 % Added More 6,910,445 57.18 $-18,519,993
Procter And Gamble Co (PG) CH PG Cosmetics And Toil ... None - - - % Sold All -412,515 -100.00 $990,036
Research In Motion Ltd (RIMM) CA RIMM Computers 8,632,255 $366,611,870 $-166,257,231 -31.20 % New Holding 8,632,255 100.00 $-166,257,231
Roche Holding Ag (RHHBY.PK) CH RHHBY.PK Medical-Drugs 749,533 $52,242,450 $-3,597,758 -6.44 % Added More 31,050 4.32 $-149,040
Sony Corp (SNE) JP SNE Audio/Video Produc ... 5,951,965 $115,349,082 $-67,733,362 -36.99 % No Change - - -
Syngenta Ag (SYT) CH SYT Agricultural Chemi ... 1,195,851 $43,074,553 $-6,541,305 -13.18 % Sold Some -194,825 -14.00 $1,065,693
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Listed 28 holdings.
 

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