Universe · entity

JANUS HENDERSON GROUP PLC

Institutional manager (13F) · CIK 1274173
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $111.4B
#IssuerValueShares
1NVIDIA CORPORATION$14.4B83,018,647
2MICROSOFT CORP$8.8B23,878,982
3APPLE INC$6.8B26,916,594
4ALPHABET INC$6.8B23,777,274
5AMAZON COM INC$6.0B28,983,657
6BROADCOM INC$6.0B19,350,859
7ELI LILLY & CO$4.0B4,347,394
8META PLATFORMS INC$3.9B6,915,124
9TAIWAN SEMICONDUCTOR MANUFAC$2.7B7,917,824
10ASTRAZENECA PLC$2.3B11,949,424
11MASTERCARD INCORPORATED$2.3B4,568,710
12LAM RESEARCH CORP$2.0B9,265,026
13JOHNSON & JOHNSON$1.9B7,872,478
14ARGENX SE$1.8B2,541,732
15KLA CORP$1.8B1,240,678
16EATON CORP PLC$1.8B5,092,361
17HOWMET AEROSPACE INC$1.8B7,755,645
18ORACLE CORP$1.8B12,046,414
19ABBVIE INC$1.5B6,931,036
20NETFLIX INC.$1.4B14,884,336
21FERGUSON ENTERPRISES INC$1.4B6,107,108
22VISA INC$1.4B4,486,927
23FLEXTRONICS INTL LTD$1.3B20,619,740
24GE VERNOVA INC$1.3B1,519,799
25MICRON TECHNOLOGY INC$1.3B3,881,507
26JPMORGAN CHASE & CO$1.2B4,175,138
27AMPHENOL CORP$1.2B9,458,488
28DOORDASH INC$1.2B7,762,553
29BOOKING HOLDINGS INC$1.1B270,019
30LPL FINL HLDGS INC$1.1B3,666,780
31MERCADOLIBRE INC$1.1B614,238
32TOTALENERGIES SE$1.1B11,349,122
33MADRIGAL PHARMACEUTICALS INC$1.1B2,018,647
34BOSTON SCIENTIFIC CORP$1.0B16,497,366
35UNITEDHEALTH GROUP INC$991M3,691,607
36INTERCONTINENTAL EXCHANGE IN$988M6,315,981
37BRIDGEBIO PHARMA INC$979M13,179,013
38VAXCYTE INC$960M16,575,875
39VERTEX PHARMACEUTICALS INC$952M2,131,527
40REVOLUTION MEDICINES INC$950M9,766,496
41API GROUP CORP$947M23,367,041
42PROGRESSIVE CORP$938M4,731,581
43TELEDYNE TECHNOLOGIES INC$935M1,545,674
44GE AEROSPACE$926M3,263,621
45LIBERTY MEDIA CORP DEL$925M10,883,212
46ALPHABET INC$885M3,078,924
47CHEVRON CORPORATION$865M4,181,809
48ON SEMICONDUCTOR CORP$848M13,700,884
49INTUIT$848M1,961,343
50HUNT J B TRANS SVCS INC$843M3,976,855
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.