UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM TA-1

UNIFORM FORM FOR REGISTRATION AS A TRANSFER AGENT AND FOR AMENDMENTTO REGISTRATION PURSUANT TO SECTION 17A OF THESECURITIES EXCHANGE ACT OF 1934

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GENERAL: Form TA-1 is to be used to register or amend registration as a transfer agent with the Comptroller of the Currency, the Board of Governors of the Federal Reserve System, the Federal Deposit Insurance Corporation or the Securities and Exchange Commission pursuant to Section 17A of the Securities Exchange Act of 1934. Read all instructions before completing this form. Please print or type all responses.
Form Version:3.2.0
1(a).  Filer CIK: 0001170078
1(c). Live/Test Filing?
X Live    Test
1(e). Is this filing an amendment to a previous filing?
X Yes
1(e)(i).  File Number: 084-06024

2. Appropriate regulatory agency (check one):
X Securities and Exchange Commission
   Board of Governors of the Federal Reserve System
   Federal Deposit Insurance Corporation
   Comptroller of the Currency
   Office of Thrift Supervision

3(a).  Full Name of Registrant:
Janus Services LLC
3(a)(i).  Previous name, if being amended:

3(b).  Financial Industry Number Standard (FINS) number:265660
3(c).  Address of principal office where transfer agent activities are, or will be, performed:
3(c)(i).  Address 1
151 Detroit Street
3(c)(ii).  Address 2

3(c)(iii).  City
Denver
3(c)(iv).  State or Country
CO
COLORADO
3(c)(v).  Postal Code
80206
3(d). Address of principal office where transfer agent activities are, or will be, performed:
   Yes X No
If `yes,` provide address(es):
3(e).  Telephone Number (Include Area Code)
303-333-3863

4. Does registrant conduct, or will it conduct, transfer agent activities at any location other than that given in Question 3(c) above?
   Yes X No
If `yes,` provide address(es):

5. Does registrant act, or will it act, as a transfer agent solely for its own securities and/or securities of an affiliate(s)?
X Yes    No

6. Has registrant, as a named transfer agent, engaged, or will it engage, a service company to perform any transfer agent functions?
X Yes    No
If `yes,` provide the name(s) and address(es) of all service companies engaged, or that will be engaged, by the registrant to perform its transfer agent functions:
6(a).  Name:
DST Systems, Inc.
6(b).  File Number: 084-00448
6(c)(i).  Address 1
333 W 11th Street
6(c)(ii).  Address 2

6(c)(iii).  City
Kansas City
6(c)(iv).  State or Country
MO
MISSOURI
6(c)(v).  Postal Code
64105

7. Has registrant been engaged, or will it be engaged, as a service company by a named transfer agent to perform transfer agent functions?
   Yes X No
If `yes,` provide the name(s) and File Number(s) of the named transfer agent(s) for which the registrant has been engaged, or will be engaged, as a service company to perform transfer agent functions:

Completion of Question 8 on this form is required by all independent, non-issuer registrants whose appropriate regulatory authority is the Securities and Exchange Commission. Those registrants who are not required to complete Question 8 should select `Not Applicable.`

8. Is registrant a:
   Corporation
   Partnership
   Sole Proprietorship
X Other
   Not Applicable

Section for Initial Registration and for Amendments Reporting Additional Persons. (Sole Proprietorship or Other)


9.  Does any person or entity not named in the answer to Question 8:
9(a). directly or indirectly, through agreement or otherwise exercise or have the power to exercise control over the management or policies of applicant; or . . . .
X Yes    No    NA
9(a)(i).  Exact name of each person or entity:
Janus Capital Group Inc.Janus Capital Management LLC
9(a)(ii).  Description of the Agreement or other basis:
Parent of Janus Capital Management LLCParent of Janus Services LLC
9(b). wholly or partially finance the business of applicant, directly or indirectly, in any manner other than by a public offering of securities made pursuant to the Securities Act of 1933 or by credit extended in the ordinary course of business by suppliers, banks and others ? . . . . . . . . . . . . . . . . . . . . . . . . . .
   Yes X No
9(b)(i).  Exact name of each person or entity:

9(b)(ii).  Description of the Agreement or other basis:


10.  Applicant and Control Affiliate Disciplinary History:
The following definitions apply for purposes of answering this Question 10
Control affiliate - An individual or firm that directly or indirectly controls, is under common control with, or is controlled by applicant. Included are any employees identified in 8(a), 8(b), 8(c) of this form as exercising control. Excluded are any employees who perform solely clerical, administrative support of similar functions, or who, regardless of title, perform no executive duties or have no senior policy making authority.
Investment or investment related - Pertaining to securities, commodities, banking, insurance, or real estate (including, but not limited to, acting as or being associated with a broker-dealer, investment company, investment adviser, futures sponsor, bank, or savings and loan association).
Involved - Doing an act of aiding, abetting, counseling, commanding, inducing, conspiring with or failing reasonably to supervise another in doing an act.
10(a).  In the past ten years has the applicant or a control affiliate been convicted of or plead guilty or nolo contender (`no contest`) to:
10(a)(1). a felony or misdemeanor involving: investments or an investment-related business, fraud, false statements or omissions, wrongful taking of property, or bribery, forgery, counterfeiting or extortion?
   Yes X No
10(a)(2). any other felony?
   Yes X No
10(b).  Has any court in the past ten years:
10(b)(1). enjoined the applicant or a control affiliate in connection with any investment-related activity?
   Yes X No
10(b)(2). found that the applicant or a control affiliate was involved in a violation of investment-related statutes or regulations?
   Yes X No
10(c).  Has the U.S. Securities and Exchange Commission or the Commodity Futures Trading Commission ever:
10(c)(1). found the applicant or a control affiliate to have made a false statement or omission?
X Yes    No
10(c)(1)(i).  The individuals named in the action or claim:
None
10(c)(1)(ii).  Title of Action 10(c)(1)(iii).  Date of Action
In the Matter of Janus Capital Management LLC
09/05/2003
10(c)(1)(iv).  The Court or body taking the Action and location:
Securities and Exchange Commission
10(c)(1)(v).  Description of the action or claim:
The SEC alleged that Janus violated sections 206(1) and 206(2) of the Investment Advisers Act of 1940, Sections 34(b) and 17(d) of the Investment Company Act and Rule 17D-1 thereunder in connection with market timing transactions.
10(c)(1)(vi).  Disposition of action or claim:
Pursuant to an offer of settlement, Janus neither denied or admitted the allegations. In an Order issued August 18, 2004, Janus' mutual fund board must institute certain governance policies and practices and establish a penalty fund.
10(c)(2). found the applicant or a control affiliate to have been involved in a violation of its regulations or statutes?
   Yes X No
10(c)(3). found the applicant or a control affiliate to have been a cause of an investment-related business having its authorization to do business denied, suspended, revoked or restricted?
   Yes X No
10(c)(4). entered an order denying, suspending or revoking the applicant`s or a control affiliate`s registration or otherwise disciplined it by restricting its activities?
   Yes X No
10(d).  Has any other Federal regulatory agency or any state regulatory agency:
10(d)(1). ever found the applicant or a control affiliate to have made a false statement or omission or to have been dishonest, unfair, or unethical?
X Yes    No
10(d)(1)(i).  The individuals named in the action or claim:
None
10(d)(1)(ii).  Title of Action 10(d)(1)(iii).  Date of Action
State of New York v. Canary Partners, et.al.
09/03/2003
10(d)(1)(iv).  The Court or body taking the Action and location:
New York Attorney Genetal
10(d)(1)(v).  Description of the action or claim:
The NYAG filed a complaint against Canary Capital Partners in connection with late day trading and "market timing". The complaint alleged that Janus Capital allowed Canary Capital to market time certain Janus funds.
10(d)(1)(vi).  Disposition of action or claim:
Janus neither admitted or denied the allegations and agreed in a Sanction Order dated August 9, 2004, to institute certain governance policies and practices. Additionally, Janus agreed to certain public disclosures, reduce mgmt fees and provide a fee calc
10(d)(1)(i).  The individuals named in the action or claim:
None
10(d)(1)(ii).  Title of Action 10(d)(1)(iii).  Date of Action
colorado Attorney General Investigation
12/12/2003
10(d)(1)(iv).  The Court or body taking the Action and location:
State of Colorado Department of Law
10(d)(1)(v).  Description of the action or claim:
The Colorado Dept of Law initiated a Regulatory Action for Civil and Administrative Penalties and Undertakings against Janus alleging that Janus permitted certain investors to engage in market timing in certain funds while the certain fund's prospectus stated that frequent trading can disrupt investment strategies and increase fund expenses and that the funds are not intended for market timing or excessive trading.
10(d)(1)(vi).  Disposition of action or claim:
Janus neither admitted or denied the allegations and agreed to settle. Janus agreed to settle by entering into an Assurance of Discontinuance requiring employee awareness, additional corporate governance undertakings and disclosures and monetary penalties
10(d)(1)(i).  The individuals named in the action or claim:
None
10(d)(1)(ii).  Title of Action 10(d)(1)(iii).  Date of Action
Investigation by the colorado Division of Securities
11/24/2003
10(d)(1)(iv).  The Court or body taking the Action and location:
State of Colorado, Division of Securities ("Staff")
10(d)(1)(v).  Description of the action or claim:
Investigation into frequent trading or certain market timing of certain funds, alleging violations of certain Colorado statutes.
10(d)(1)(vi).  Disposition of action or claim:
Janus neither admitted or denied the allegations and agreed to enter into a stipulation for Consent Order. Janus engaged an independent compliance consultant, implemented additional policies and reviews.
10(d)(2). ever found the applicant or a control affiliate to have been involved in a violation of investment-related regulations or statutes?
X Yes    No
10(d)(2)(i).  The individuals named in the action or claim:
None
10(d)(2)(ii).  Title of Action 10(d)(2)(iii).  Date of Action
See10(d)(1)(i)-10(d)(vi)
09/03/2003
10(d)(2)(iv).  The Court or body taking the Action and location:
See10(d)(1)(i)-10(d)(vi)
10(d)(2)(v).  Description of the action or claim:
See10(d)(1)(i)-10(d)(vi)
10(d)(2)(vi).  Disposition of action or claim:
See10(d)(1)(i)-10(d)(vi)
10(d)(3). ever found the applicant or a control affiliate to have been a cause of an investment-related business having its authorization to do business denied, suspended, revoked, or restricted?
   Yes X No
10(d)(4). in the past ten years entered an order against the applicant or a control affiliate in connection with investment-related activity?
X Yes    No
10(d)(4)(i).  The individuals named in the action or claim:
None
10(d)(4)(ii).  Title of Action 10(d)(4)(iii).  Date of Action
See10(d)(1)(i)-10(d)(vi)
09/03/2003
10(d)(4)(iv).  The Court or body taking the Action and location:
See10(d)(1)(i)-10(d)(vi)
10(d)(4)(v).  Description of the action or claim:
See10(d)(1)(i)-10(d)(vi)
10(d)(4)(vi).  Disposition of action or claim:
See10(d)(1)(i)-10(d)(vi)
10(d)(5). ever denied, suspended, or revoked the applicant`s or a control affiliate`s registration or license, or prevented it from associating with an investment-related business, or otherwise disciplined it by restricting its activities?
   Yes X No
10(d)(6). ever revoked or suspended the applicant`s or a control affiliate`s license as an attorney or accountant?
   Yes X No
10(e).  Has any self-regulatory organization or commodities exchange ever:
10(e)(1). found the applicant or a control affiliate to have made a false statement or omission?
   Yes X No
10(e)(2). found the applicant or a control affiliate to have been involved in a violation of its rules?
   Yes X No
10(e)(3). found the applicant or a control affiliate to have been the cause of an investment-related business losing its authorization to do business?
   Yes X No
10(e)(4). disciplined the applicant or a control affiliate by expelling or suspending it from membership, by barring or suspending its association with other members, or by otherwise restricting its activities?
   Yes X No
10(f). Has any foreign government, court, regulatory agency, or exchange ever entered an order against the applicant or a control affiliate related to investments or fraud?
   Yes X No
10(g). Is the applicant or a control affiliate now the subject of any proceeding that could result in a yes answer to questions 10(a) - 10(f)?
   Yes X No
10(h). Has a bonding company denied, paid out on, or revoked a bond for the applicant or a control affiliate?
   Yes X No
10(i). Does the applicant or a control affiliate have any unsatisfied judgments or liens against it?
   Yes X No

ATTENTION: INTENTIONAL MISSTATEMENTS OR OMISSIONS OF FACT CONSTITUTE FEDERAL CRIMINAL VIOLATIONS. See 18 U.S.C. 1001 and 15 U.S.C. 78ff(a)
SIGNATURE: The Registrant submitting this Form, and as required, the SEC supplement and Schedules A-D, And the executing official hereby represent that all the information contained herein is true, correct and complete.
11(a).  Signature of Official responsible for Form:
Heidi W. Hardin
11(b).  Telephone Number:
303-333-3863
11(c).  Title of Signing Officer:
Senior Vice President
11(d).  Date Signed (Month/Day/Year)
06/04/2008