JENNISON ASSOCIATES LLC
13F-HR, 1999-05-10
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<PAGE>
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C.  20549

FORM 13F


FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: March 31, 1999

Check here if Amendment [ ]; Amendment Number: _____________

This Amendment (Check only one):   [ ] is a restatement.

[ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name: Jennison Associates LLC

Address: 466 Lexington Avenue, New York, NY 10017

Form 13F File Number: 28-74

The institutional investment manager filing this report and the person by 

whom it is signed hereby represent that the person signing the report is 

authorized to submit it, that all information contained herein is true, 

correct and complete, and that it is understood that all required items, 

statements, schedules, lists, and tables, are considered integral parts of 

this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:  Karen E. Kohler
Title:  Senior Vice President
Phone: 212-421-1000

Signature, Place and Date of Signing:

/s/ Karen E. Kohler		New York, New York		May 6, 1999

Report Type (Check only one):

[X] 13F HOLDINGS REPORT. 

[ ] 13F NOTICE. 

[ ] 13F COMBINATION REPORT. 



</PAGE>
<PAGE>

FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:  1

Form 13F Information Table Entry Total:   142

Form 13F Information Table Value Total:  $  32,402,909,000

List of Other Included Managers:

No.		13F File Number			Name

01		28-256				Prudential Insurance Company
							       of America
</PAGE>
<PAGE>
<TABLE>
                                                             VALUE    SHARES/ SH/ PUT/ INVSTMT  OTHER          -----VOTING AUTHORITY
  NAME OF ISSUER                 -TITLE OF CLASS- --CUSIP-- x$1000    PRN AMT PRN CALL DSCRETN -MANAGERS-     SOLE   SHARED     NONE
                                 <C>                                              <C>
D AMR CORP                       COMMON           001765106    20871   356400 SH       DEFINED 01           260700        0    95700
D AT&T LIBERTY MEDIA GROUP       COMMON           001957208    18033   342900 SH       DEFINED 01           296500        0    46400
D ABERCROMBIE & FITCH            CL A             002896207    44450   481843 SH       DEFINED 01           481813        0       30
D AIRTOUCH COMMUNICATIONS        COMMON           00949T100   562976  5826400 SH       DEFINED 01          5530200        0   296200
D ALCOA INC.                     COMMON           013817101     7434   180500 SH       DEFINED 01           128900        0    51600
D ALTERA CORP                    COMMON           021441100   134654  2263100 SH       DEFINED 01          2137800        0   125300
D AMAZON COM INC.                COMMON           023135106     5114    29700 SH       DEFINED 01            29700        0        0
D AMERICA ON-LINE                COMMON           02364J104   252781  1719600 SH       DEFINED 01          1628300        0    91300
D AMERICAN HOME PRODUCTS         COMMON           026609107   714925 10956700 SH       DEFINED 01         10390000        0   566700
D AMERICAN INTL. GROUP           COMMON           026874107   673473  5583200 SH       DEFINED 01          5304600        0   278600
D AMGEN INC.                     COMMON           031162100     1782    23800 SH       DEFINED 01            23800        0        0
D ANADARKO PETROLEUM CORP        COMMON           032511107     4485   118800 SH       DEFINED 01            84600        0    34200
D APPLIED MATERIALS INC.         COMMON           038222105   559450  9069100 SH       DEFINED 01          8685400        0   383700
D ASCEND COMMUNICATIONS INC.     COMMON           043491109   198566  2372700 SH       DEFINED 01          2242100        0   130600
D ASSOCIATES FIRST CAPITAL       COMMON           046008108   430889  9575300 SH       DEFINED 01          9067500        0   507800
D AUTODESK INC                   COMMON           052769106   172426  4264000 SH       DEFINED 01          3839900        0   424100
D AUTOZONE INC                   COMMON           053332102    15920   524100 SH       DEFINED 01           378200        0   145900
D AVALONBAY COMMUNITIES INC.     COMMON           053484101     9868   309574 SH       DEFINED 01           189414        0   120160
D AVON PRODUCTS                  COMMON           054303102   112973  2400500 SH       DEFINED 01          2269600        0   130900
D BANKAMERICA CORPORATION        COMMON           06605F102      407     5770 SH       DEFINED 01             4436        0     1334
D BOISE CASCADE CORP.            COMMON           097383103    18360   569300 SH       DEFINED 01           365500        0   203800
D BOISE CASCADE OFFICE PRODUCTS  COMMON           097403109     4240   381100 SH       DEFINED 01           260300        0   120800
D BOSTON SCIENTIFIC              COMMON           101137107     9263   228000 SH       DEFINED 01           228000        0        0
D BROADCOM CORP. - CL. A         COMMON           111320107     5978    97000 SH       DEFINED 01            97000        0        0
D BURLINGTON RESOURCES INC.      COMMON           122014103     9733   243700 SH       DEFINED 01           173800        0    69900
D CBS CORPORATION                COMMON           12490K107   979085 23989840 SH       DEFINED 01         22545640        0  1444200
D CIGNA CORP.                    COMMON           125509109    34070   406500 SH       DEFINED 01           267200        0   139300
D CNF TRANSPORTATION INC         COMMON           12612W104    11802   312100 SH       DEFINED 01           226400        0    85700
D CVS CORP                       COMMON           126650100   272066  5727700 SH       DEFINED 01          5416400        0   311300
D CADENCE DESIGN SYSTEMS         COMMON           127387108   286809 11138200 SH       DEFINED 01         10398700        0   739500
D CHAMPION INTERNATIONAL CORP.   COMMON           158525105    17299   421300 SH       DEFINED 01           301600        0   119700
D CHASE MANHATTAN CORP (NEW)     COMMON           16161A108  1025799 12605828 SH       DEFINED 01         11844372        0   761456
D CHRIS-CRAFT INDS               COMMON           170520100     3861    84614 SH       DEFINED 01            44975        0    39639
D CISCO SYSTEMS INC.             COMMON           17275R102  1082017  9875800 SH       DEFINED 01          9385575        0   490225
D CITIGROUP INC                  COMMON           172967101  1043768 16340800 SH       DEFINED 01         15479850        0   860950
D CLEAR CHANNEL COMMUNICATIONS I COMMON           184502102   703862 10495600 SH       DEFINED 01          9976300        0   519300
D COMPUWARE                      COMMON           205638109     3481   145800 SH       DEFINED 01           145800        0        0
D CONVERGYS CORPORATION          COMMON           212485106    67245  3926700 SH       DEFINED 01          3548800        0   377900
D CROMPTON & KNOWLES CORP        COMMON           227111101     6951   441300 SH       DEFINED 01           306000        0   135300
D CYTEC INDUSTRIES INC.          COMMON           232820100    10659   477700 SH       DEFINED 01           344900        0   132800
D DANA CORP                      COMMON           235811106     8581   225800 SH       DEFINED 01           161700        0    64100
D DELL COMPUTER CORP.            COMMON           247025109   484672 11857400 SH       DEFINED 01         11235000        0   622400
D DEXTER CORPORATION             COMMON           252165105    19199   609500 SH       DEFINED 01           413300        0   196200
D WALT DISNEY COMPANY            COMMON           254687106     4796   154100 SH       DEFINED 01           154100        0        0
D DOLE FOOD COMPANY              COMMON           256605106    13896   463200 SH       DEFINED 01           302600        0   160600
D EMC CORP. MASS.                COMMON           268648102   190092  1488000 SH       DEFINED 01          1484800        0     3200
D ECHOSTAR COMMUNICATIONS-A      COMMON           278762109     8742   107100 SH       DEFINED 01            99000        0     8100
D EQUANT N V-REGISTERED SHARES   COMMON           294409107   196673  2613600 SH       DEFINED 01          2473600        0   140000
D FLEET FINANCIAL GROUP          COMMON           338915101    12450   330900 SH       DEFINED 01           237100        0    93800
D GAP INC.                       COMMON           364760108   552652  8210250 SH       DEFINED 01          7748875        0   461375
D GENERAL ELECTRIC CO.           COMMON           369604103   969120  8760400 SH       DEFINED 01          8289000        0   471400
D GENERAL MOTORS CORP            COMMON           370442105    45945   528100 SH       DEFINED 01           377800        0   150300
D GILLETTE CO.                   COMMON           375766102   298626  5024200 SH       DEFINED 01          4757000        0   267200
D B.F. GOODRICH                  COMMON           382388106    13454   392100 SH       DEFINED 01           265900        0   126200
D WR GRACE & CO.                 COMMON           38388F108     9500   783500 SH       DEFINED 01           480500        0   303000
D HARRAH'S ENTERTAINMENT INC     COMMON           413619107      949    49800 SH       DEFINED 01            49800        0        0
D HERTZ CORP-CL A                CL A             428040109    16547   309300 SH       DEFINED 01           222400        0    86900
D HEWLETT PACKARD CO.            COMMON           428236103   441962  6517420 SH       DEFINED 01          6140820        0   376600
D HIBERNIA CORP-CLASS A          CL A             428656102    57545  4363600 SH       DEFINED 01          3661300        0   702300
D HILTON HOTELS CORP             COMMON           432848109    42134  2996200 SH       DEFINED 01          2485900        0   510300
D HOME DEPOT INC                 COMMON           437076102   793399 12745354 SH       DEFINED 01         12070356        0   674998
D IMC GLOBAL INC                 COMMON           449669100    12982   635200 SH       DEFINED 01           417900        0   217300
D INFINITY BROADCASTING CORP - A CL A             45662S102    52712  2047100 SH       DEFINED 01          2019900        0    27200
D INTEL CORP                     COMMON           458140100   786304  6614540 SH       DEFINED 01          6283740        0   330800
D INTERGRAPH CORP                COMMON           458683109     5425   803700 SH       DEFINED 01           616500        0   187200
D INT'L BUSINESS MACHINES CORP.  COMMON           459200101   758459  4279040 SH       DEFINED 01          4060640        0   218400
D INTERNATIONAL RECTIFIER CORP.  COMMON           460254105     8519  1217000 SH       DEFINED 01           880900        0   336100
D INTUIT INC.                    COMMON           461202103   358700  3525300 SH       DEFINED 01          3350700        0   174600
D JACOR COMMUNICATIONS INC       COMMON           469858401    10951   144093 SH       DEFINED 01           144093        0        0
D KLA-TENCOR CORPORATION         COMMON           482480100   318347  6555400 SH       DEFINED 01          6149100        0   406300
D KIMBERLY-CLARK CORP            COMMON           494368103    17377   362500 SH       DEFINED 01           254100        0   108400
D KNIGHT RIDDER NEWSPAPER INC.   COMMON           499040103      205     4100 SH       DEFINED 01             4100        0        0
D KOHL'S CORP.                   COMMON           500255104   634196  8948100 SH       DEFINED 01          8447000        0   501100
D ESTEE LAUDER COMPANIES, INC.   COMMON           518439104   165460  1750900 SH       DEFINED 01          1723100        0    27800
D LEVEL 3 COMMUNICATIONS, INC.   COMMON           52729N100    90411  1241700 SH       DEFINED 01          1172700        0    69000
D LILLY (ELI) & CO.              COMMON           532457108   429680  5062500 SH       DEFINED 01          4786200        0   276300
D LIMITED INC                    COMMON           532716107    40837  1030601 SH       DEFINED 01           654145        0   376456
D LOCKHEED MARTIN CORPORATION    COMMON           539830109    10219   270700 SH       DEFINED 01           193300        0    77400
D MBNA CORP                      COMMON           55262L100   492007 20607649 SH       DEFINED 01         19568425        0  1039224
D MCI WORLDCOM INC.              COMMON           55268B106  1596304 18024600 SH       DEFINED 01         17093500        0   931100
D MCDERMOTT INTL INC             COMMON           580037109     8555   338000 SH       DEFINED 01           243100        0    94900
D MCDONALD'S CORP.               COMMON           580135101   708225 15629800 SH       DEFINED 01         14804500        0   825300
D MCKESSON HBOC INC              COMMON           58155Q103   327005  4954622 SH       DEFINED 01          4692798        0   261824
D MEDITRUST CORP-PAIRED STOCK    COMMON           58501T306     6145   494091 SH       DEFINED 01           364891        0   129200
D MERCK AND CO.                  COMMON           589331107   594720  7422400 SH       DEFINED 01          7026300        0   396100
D MICROSOFT CORP.                COMMON           594918104  1315856 14681800 SH       DEFINED 01         13959200        0   722600
D MILLIPORE CORP.                COMMON           601073109    14892   617300 SH       DEFINED 01           412600        0   204700
D J.P. MORGAN AND CO., INC.      COMMON           616880100     6144    49800 SH       DEFINED 01            35800        0    14000
D MORGAN STANLEY DEAN WITTER & C COMMON           617446448   770946  7714280 SH       DEFINED 01          7299770        0   414510
D MOTOROLA INC.                  COMMON           620076109      850    11600 SH       DEFINED 01            11600        0        0
D MUTUAL RISK MANAGEMENT, LTD.   COMMON           628351108   105781  2747556 SH       DEFINED 01          2742556        0     5000
D NAC RE CORP.                   COMMON           628907107    12745   237400 SH       DEFINED 01           169200        0    68200
D NAT'L SEMICONDUCTOR CORP.      COMMON           637640103     9283   996900 SH       DEFINED 01           655800        0   341100
D NAVISTAR INTERNATIONAL CORP.   COMMON           63934E108    51279  1276000 SH       DEFINED 01          1276000        0        0
D NEW YORK TIMES CLASS A         CL A             650111107    23371   820000 SH       DEFINED 01           529000        0   291000
D NEWPORT NEWS SHIPBUILDING      COMMON           652228107     6949   219300 SH       DEFINED 01           152900        0    66400
D OGDEN CORP.                    COMMON           676346109    10062   418200 SH       DEFINED 01           301900        0   116300
D OMNICOM GROUP                  COMMON           681919106   596741  7465096 SH       DEFINED 01          7003020        0   462076
D ORACLE CORPORATION             COMMON           68389X105   359577 13633250 SH       DEFINED 01         12906500        0   726750
D PHARMACIA AND UPJOHN INC.      COMMON           716941109   354402  5681800 SH       DEFINED 01          5363700        0   318100
D PFIZER INC.                    COMMON           717081103   593100  4274600 SH       DEFINED 01          4046900        0   227700
D POLAROID CORP.                 COMMON           731095105     4160   206100 SH       DEFINED 01           146300        0    59800
D POLO RALPH LAUREN CORP.        COMMON           731572103    12761   642100 SH       DEFINED 01           461800        0   180300
D PROMUS HOTEL CORP.             COMMON           74342P106   308980  8494300 SH       DEFINED 01          7931900        0   562400
D QWEST COMMUNICATIONS INTL      COMMON           749121109   531172  7367800 SH       DEFINED 01          6985900        0   381900
D RATIONAL SOFTWARE CORP         COM NEW          75409P202   163224  6087600 SH       DEFINED 01          5890900        0   196700
D RAYCHEM                        COMMON           754603108    11004   487700 SH       DEFINED 01           302100        0   185600
D RAYTHEON CO. - CLASS A         CL A             755111309    47738   826638 SH       DEFINED 01           654205        0   172433
D RAYTHEON CO. - CLASS B         CL B             755111408     6091   103900 SH       DEFINED 01           103900        0        0
D REYNOLDS METALS CO.            COMMON           761763101     4764    98600 SH       DEFINED 01            70500        0    28100
D RYDER SYSTEM INC               COMMON           783549108    16705   604700 SH       DEFINED 01           388800        0   215900
D SCHERING PLOUGH CORP.          COMMON           806605101   815176 14754300 SH       DEFINED 01         14010000        0   744300
D SCHWAB (CHARLES) CORP          COMMON           808513105   427324  4445500 SH       DEFINED 01          4236400        0   209100
D SEARS ROEBUCK & CO             COMMON           812387108    19878   439900 SH       DEFINED 01           290900        0   149000
D SMURFIT-STONE CONTAINER CORP   COMMON           832727101    28925  1497739 SH       DEFINED 01           952446        0   545293
D STAPLES, INC.                  COMMON           855030102   481142 14635500 SH       DEFINED 01         13881950        0   753550
D STONE CONTAINER PREF SERIES E  COMMON           861589307      227    12600 SH       DEFINED 01             5000        0     7600
D SYMBOL TECHNOLOGIES INC.       COMMON           871508107   200820  4462670 SH       DEFINED 01          4163595        0   299075
D TANDY CORPORATION              COMMON           875382103    18544   290600 SH       DEFINED 01           207500        0    83100
D TELLABS INC.                   COMMON           879664100   296075  3028900 SH       DEFINED 01          2879900        0   149000
D TEMPLE-INLAND                  COMMON           879868107    15757   251100 SH       DEFINED 01           180600        0    70500
D TEXAS INSTRUMENTS INC.         COMMON           882508104   901756  9085700 SH       DEFINED 01          8629700        0   456000
D 3 COM CORP                     COMMON           885535104    75015  3217800 SH       DEFINED 01          3005000        0   212800
D TIFFANY & CO.                  COMMON           886547108    19749   264200 SH       DEFINED 01           259000        0     5200
D TOSCO CORP                     COMMON           891490302     5226   210600 SH       DEFINED 01           150800        0    59800
D TRIBUNE CO                     COMMON           896047107    24716   377700 SH       DEFINED 01           266600        0   111100
D UAL CORP.                      COMMON           902549500      249     3200 SH       DEFINED 01             2400        0      800
D USX-MARATHON GROUP             COMMON           902905827    10390   377800 SH       DEFINED 01           273400        0   104400
D USX-US STEEL GROUP             COMMON           90337T101    10490   446400 SH       DEFINED 01           316300        0   130100
D UNIVISION COMMUNICATIONS INC.  COMMON           914906102   121360  2427200 SH       DEFINED 01          2175800        0   251400
D UNOCAL CORP.                   COMMON           915289102    23309   632100 SH       DEFINED 01           397700        0   234400
D VERTEX PHARMACEUTICALS         COMMON           92532F100    11229   444700 SH       DEFINED 01           287800        0   156900
D WAL-MART STORES                COMMON           931142103   176917  1919100 SH       DEFINED 01          1827100        0    92000
D WARNER LAMBERT CO.             COMMON           934488107   566193  8546300 SH       DEFINED 01          8096300        0   450000
D WASHINGTON MUTUAL INC          COMMON           939322103   339160  8297500 SH       DEFINED 01          7802300        0   495200
D WASTE MANAGEMENT INC           COMMON           94106L109     8143   183500 SH       DEFINED 01           130900        0    52600
D XEROX CORP.                    COMMON           984121103   476135  9134500 SH       DEFINED 01          8654800        0   479700
D ACE LTD.                       ORD              G0070K103   401580 12876300 SH       DEFINED 01         12191200        0   685100
D KNIGHTSBRIDGE TANKERS LTD.     COMMON           G5299G106     4150   240600 SH       DEFINED 01           177400        0    63200
D LORAL SPACE & COMMUNICATIONS   COMMON           G56462107     8826   611300 SH       DEFINED 01           406500        0   204800
D NOKIA CORP-SPONSORED ADR A     ADR              654902204   422752  2714300 SH       DEFINED 01          2568000        0   146300
D SMITHKLINE BEECHAM PLC  -ADR   ADR              832378301      615     8600 SH       DEFINED 01             8600        0        0
S REPORT SUMMARY                142DATA RECORDS            32402909           1 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED
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