market
riddle
Activity
Companies
Insiders
Institutions
Pricing
EN
Sign in
Sign up
Institutions
/
JANUS HENDERSON GROUP PLC
/ Holdings
‹
Back to JANUS HENDERSON GROUP PLC
JH
Janus Henderson Group PLC
All holdings · as of Mar 31, 2026
2,407 positions
All types
Company
Class
Value
↓
Shares
% of portfolio
ON Semiconductor Corp
—
$848.39M
13,700,884
0.4%
INTUIT INC.
—
$848.04M
1,961,343
0.4%
HUNT J B TRANSPORT SERVICES INC
—
$843.94M
3,982,720
0.4%
ABBOTT LABORATORIES
—
$830.86M
8,092,917
0.4%
SPOTIFY TECHNOLOGY S A
—
$829.64M
1,711,015
0.4%
TJX Cos Inc/The
—
$827.62M
5,183,080
0.4%
ALLIANT ENERGY CORP
—
$809.00M
11,273,621
0.4%
Trane Technologies plc
—
$782.71M
1,878,018
0.4%
The Boeing Company
—
$760.25M
3,860,297
0.4%
Intuitive Surgical Inc
—
$757.49M
1,643,060
0.4%
REVVITY, INC.
—
$731.39M
8,348,127
0.3%
Philip Morris International Inc.
—
$729.78M
4,413,854
0.3%
Aramark
—
$729.10M
17,984,812
0.3%
AppLovin Corp
—
$718.27M
1,815,061
0.3%
AMERICAN EXPRESS CO
—
$700.23M
2,314,909
0.3%
FREEPORT-MCMORAN INC
—
$675.90M
11,498,267
0.3%
CLEAN HARBORS INC
—
$675.37M
2,355,394
0.3%
The PNC Financial Services Group, Inc.
—
$659.57M
3,169,777
0.3%
Globus Medical Inc
—
$656.83M
7,623,095
0.3%
Walt Disney Co
—
$646.05M
6,703,179
0.3%
Morgan Stanley
—
$645.54M
3,922,709
0.3%
STRYKER CORP
—
$643.68M
1,958,916
0.3%
Mirum Pharmaceuticals, Inc.
—
$641.76M
6,945,813
0.3%
CADENCE DESIGN SYSTEMS INC
—
$638.68M
2,298,483
0.3%
DEERE & CO
—
$634.13M
1,125,886
0.3%
HOME DEPOT, INC.
—
$626.39M
1,904,836
0.3%
JANUS DETROIT STR TR
—
$607.87M
11,587,092
0.3%
Corteva, Inc.
—
$607.25M
7,254,186
0.3%
NXP Semiconductors N.V.
—
$604.34M
3,069,879
0.3%
Hilton Worldwide Holdings Inc.
—
$603.73M
2,043,316
0.3%
WEX Inc
—
$599.31M
3,916,073
0.3%
Arista Networks, Inc.
ANET
Common Stock
$599.20M
4,880,273
0.3%
Ameren Corp
—
$591.06M
5,377,156
0.3%
GILDAN ACTIVEWEAR INC
—
$589.51M
10,593,203
0.3%
DraftKings Inc.
—
$588.29M
27,665,699
0.3%
TE Connectivity PLC
—
$587.97M
2,813,413
0.3%
Uber Technologies, Inc
—
$584.76M
8,129,721
0.3%
Glaukos Corp
—
$575.84M
5,348,395
0.3%
SS&C TECHNOLOGIES HOLDINGS, INC.
—
$569.29M
8,425,246
0.3%
THE GOLDMAN SACHS GROUP, INC.
—
$568.13M
671,586
0.3%
MCKESSON CORP
—
$544.23M
628,945
0.3%
ROYAL CARIBBEAN CRUISES LTD
—
$542.00M
1,969,599
0.3%
Motorola Solutions, Inc.
—
$539.96M
1,244,326
0.3%
CANADIAN PACIFIC KANSAS CITY
—
$530.55M
6,749,527
0.3%
INGERSOLL-RAND INC
—
$526.93M
6,576,720
0.3%
RENTOKIL INITIAL PLC
—
$522.33M
16,591,965
0.2%
United Therapeutics Corp
—
$514.02M
866,930
0.2%
TELEFLEX INC
—
$513.28M
4,291,311
0.2%
Blackstone Inc
—
$509.07M
4,466,274
0.2%
Medline Inc.
—
$506.55M
11,451,861
0.2%
← Prev
Page 2 of 49
Next →