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Janus Henderson Group Ltd

The positions Janus Henderson Group Ltd reported on its Form 13F for Q1 2026, the quarter ending 31 Mar 2026, filed on 18 May 2026. Every figure below is the filing’s own: US-listed long equity, valued at the quarter end, with the change measured against the same manager’s previous filing.

Reported book
$209bn
-$13.9bn on Q4 2025
Positions
2,407
2 new, 88 sold out
Top ten weight
30%
Spread across the book
Quarter
Q1 2026
Filed 18 May 2026
Read the Q1 2026 filing on sec.gov CIK 0001274173 · Long-only
Reported book by quarter
$0$112bn$223bnQ2 24: $187bn$187bnQ2 24Q3 24: $195bn$195bnQ3 24Q4 24: $197bn$197bnQ4 24Q1 25: $182bn$182bnQ1 25Q2 25: $204bn$204bnQ2 25Q3 25: $219bn$219bnQ3 25Q4 25: $223bn$223bnQ4 25Q1 26: $209bn$209bnQ1 26
Largest positions, share of the book
Nvidia Corporation (NVDA): 6.9%Nvidia Corporation (NVD…6.9%Microsoft Corp (MSFT): 4.2%Microsoft Corp (MSFT)4.2%Apple Inc (AAPL): 3.2%Apple Inc (AAPL)3.2%Alphabet Inc: 3.2%Alphabet Inc3.2%Amazon Com Inc (AMZN): 3.2%Amazon Com Inc (AMZN)3.2%Broadcom Inc (AVGO): 2.8%Broadcom Inc (AVGO)2.8%Eli Lilly & Co (LLY): 1.9%Eli Lilly & Co (LLY)1.9%Meta Platforms Inc (META): 1.9%Meta Platforms Inc (MET…1.9%Taiwan Semiconductor Manufac: 1.3%Taiwan Semiconductor Ma…1.3%Astrazeneca PLC (AZN): 1.1%Astrazeneca PLC (AZN)1.1%

Opened this quarter

A new position is the clearest thing a filing says. Somebody argued for it recently, and it is the easiest question to be ready for.

  • Astrazeneca PLC (AZN)$2.3bn · 1.1%
  • Forgent Power Solutions Inc (FPS)$227m · 0.1%

Sold out of this quarter

Exits are valued at what the position was worth in the previous filing, because by this one it is gone.

  • Ascendis Pharma A/s (ASND)$866m held before
  • Dayforce Inc$576m held before
  • Avidity Biosciences Inc$501m held before
  • Trip Com Group LTD$115m held before
  • Astrazeneca PLC (AZN)$111m held before
  • Amcor PLC$100m held before
  • Alibaba Group HLDG LTD$82m held before
  • Vanguard Intl Equity Index F$59m held before
  • Vanguard Intl Equity Index F$53m held before
  • Upstream Bio Inc (UPB)$41m held before
  • Avadel Pharmaceuticals PLC$39m held before
  • Hologic Inc$38m held before
  • and 76 more.

Every reported position, Q1 2026

200 positions, sorted by weight · page 1 of 2

PositionWeightValueSharesChange on the quarterAction
Tower Semiconductor LTD (TSEM)
SHS NEW · CUSIP M87915274
0.1%$190m1,081,175
+$64m
+6,458 shares
Added
Carmax Inc (KMX)
COM · CUSIP 143130102
0.1%$191m4,580,807
+$15m
+49,987 shares
Added
Verizon Communications Inc (VZ)
COM · CUSIP 92343V104
0.1%$193m3,844,442
+$23m
-327,228 shares
Trimmed
Schwab Charles Corp
COM · CUSIP 808513105
0.1%$195m2,074,704
-$491m
-4,787,886 shares
Trimmed
RTX Corporation (RTX)
COM · CUSIP 75513E101
0.1%$196m1,017,402
+$9.2m
-2,102 shares
Trimmed
Magnolia Oil & Gas Corp (MGY)
CL A · CUSIP 559663109
0.1%$198m6,279,636
+$65m
+170,174 shares
Added
UBS Group AG
SHS · CUSIP H42097107
0.1%$199m5,193,433
-$122m
-1,668,313 shares
Trimmed
Apogee Therapeutics Inc (APGE)
COM · CUSIP 03770N101
0.1%$199m2,360,596
+$43m
+297,992 shares
Added
Stride Inc (LRN)
COM · CUSIP 86333M108
0.1%$201m2,277,279
+$109m
+862,849 shares
Added
Ligand Pharmaceuticals Inc
COM NEW · CUSIP 53220K504
0.1%$202m1,009,891
+$13m
+14,491 shares
Added
Osi Systems Inc (OSIS)
COM · CUSIP 671044105
0.1%$205m772,314
+$13m
+19,747 shares
Added
Canadian Nat Res LTD Med Ter
COM · CUSIP 136385101
0.1%$210m4,301,460
-$44m
-3,194,318 shares
Trimmed
Vertiv Holdings Co (VRT)
COM CL A · CUSIP 92537N108
0.1%$217m865,412
-$6.5m
-513,478 shares
Trimmed
Workday Inc (WDAY)
CL A · CUSIP 98138H101
0.1%$218m1,673,794
-$860m
-3,344,111 shares
Trimmed
McDonald's Corp (MCD)
COM · CUSIP 580135101
0.1%$218m701,199
+$121m
+382,280 shares
Added
Ast Spacemobile Inc (ASTS)
COM CL A · CUSIP 00217D100
0.1%$218m2,634,803
+$24m
-35,264 shares
Trimmed
Cooper Cos Inc
COM · CUSIP 216648501
0.1%$219m3,067,125
-$35m
-39,280 shares
Trimmed
Firstservice Corp New (FSV)
COM · CUSIP 33767E202
0.1%$221m1,587,454
+$7.9m
+219,890 shares
Added
Lennar Corp
CL A · CUSIP 526057104
0.1%$221m2,546,970
+$2.5m
+419,745 shares
Added
Coca Cola Co (KO)
COM · CUSIP 191216100
0.1%$223m2,929,116
+$23m
+64,089 shares
Added
Forgent Power Solutions Inc (FPS)
COM SHS CL A · CUSIP 34631F102
0.1%$227m7,769,612No earlier filingNew
Vanguard Star FDS
VG TL INTL STK F · CUSIP 921909768
0.1%$228m2,961,440
+$29m
+313,410 shares
Added
Crh plc
ORD · CUSIP G25508105
0.1%$229m2,186,541
+$16m
+477,242 shares
Added
Cogent Biosciences Inc (COGT)
COM · CUSIP 19240Q201
0.1%$230m5,965,125
+$69m
+1,427,717 shares
Added
Soleno Therapeutics Inc
COM · CUSIP 834203309
0.1%$238m7,099,328
-$95m
-79,026 shares
Trimmed
Ideaya Biosciences Inc (IDYA)
COM · CUSIP 45166A102
0.1%$242m7,265,253
-$6.3m
+78,797 shares
Added
Xenon Pharmaceuticals Inc (XENE)
COM · CUSIP 98420N105
0.1%$243m4,175,982
+$60m
+91,948 shares
Added
Legence Corp (LGN)
CL A · CUSIP 52476L109
0.1%$245m4,341,989
+$56m
-59,413 shares
Trimmed
Chipotle Mexican Grill Inc (CMG)
COM · CUSIP 169656105
0.1%$246m7,760,935
-$42m
-88,983 shares
Trimmed
Medtronic PLC (MDT)
SHS · CUSIP G5960L103
0.1%$246m2,835,816
-$53m
-278,342 shares
Trimmed
Dyne Therapeutics Inc (DYN)
COM · CUSIP 26818M108
0.1%$247m13,647,376
-$24m
-240,346 shares
Trimmed
Marvell Technology Inc (MRVL)
COM · CUSIP 573874104
0.1%$250m2,524,737
+$29m
-81,727 shares
Trimmed
Sterling Infrastructure Inc (STRL)
COM · CUSIP 859241101
0.1%$252m619,145
+$76m
+43,259 shares
Added
CVS Health Corp (CVS)
COM · CUSIP 126650100
0.1%$254m3,536,861
-$33m
-80,085 shares
Trimmed
Vistra Corp (VST)
COM · CUSIP 92840M102
0.1%$254m1,691,315
-$223m
-1,267,425 shares
Trimmed
Ul Solutions Inc (ULS)
CLASS A COM SHS · CUSIP 903731107
0.1%$256m2,987,691
+$18m
-37,129 shares
Trimmed
CDW Corp (CDW)
COM · CUSIP 12514G108
0.1%$257m2,125,605
-$36m
-27,066 shares
Trimmed
Structure Therapeutics Inc (GPCR)
SPONSORED ADS · CUSIP 86366E106
0.1%$258m5,354,981
-$96m
+264,833 shares
Added
Illumina Inc (ILMN)
COM · CUSIP 452327109
0.1%$259m2,100,638
-$13m
+29,094 shares
Added
Transunion (TRU)
COM · CUSIP 89400J107
0.1%$259m3,740,326
-$37m
+293,091 shares
Added
Willis Towers Watson PLC LTD (WTW)
SHS · CUSIP G96629103
0.1%$263m903,762
-$31m
+9,232 shares
Added
Caseys Gen Stores Inc
COM · CUSIP 147528103
0.1%$269m369,218
+$21m
-79,681 shares
Trimmed
Cimpress PLC (CMPR)
SHS EURO · CUSIP G2143T103
0.1%$271m3,713,187
+$30m
+92,764 shares
Added
Lockheed Martin Corp (LMT)
COM · CUSIP 539830109
0.1%$273m451,276
+$267m
+438,732 shares
Added
Gilead Sciences Inc (GILD)
COM · CUSIP 375558103
0.1%$275m1,972,639
+$46m
+110,525 shares
Added
Oreilly Automotive Inc
COM · CUSIP 67103H107
0.1%$283m3,062,102
+$81m
+850,312 shares
Added
Procter & Gamble Co (PG)
COM · CUSIP 742718109
0.1%$285m1,969,836
-$5.4m
-53,252 shares
Trimmed
Burlington Stores Inc (BURL)
COM · CUSIP 122017106
0.1%$286m880,017
+$35m
+8,361 shares
Added
Emerson Elec Co
COM · CUSIP 291011104
0.1%$289m2,207,707
+$140m
+1,079,665 shares
Added
American Elec PWR Co Inc
COM · CUSIP 025537101
0.1%$291m2,219,198
+$288m
+2,194,198 shares
Added
Wayfair Inc (W)
CL A · CUSIP 94419L101
0.1%$291m3,866,708
-$68m
+296,233 shares
Added
Texas Instrs Inc
COM · CUSIP 882508104
0.1%$299m1,540,807
-$123m
-892,791 shares
Trimmed
Protagonist Therapeutics Inc (PTGX)
COM · CUSIP 74366E102
0.1%$305m2,891,527
+$74m
+241,546 shares
Added
Standardaero Inc (SARO)
COM · CUSIP 85423L103
0.1%$311m12,040,337
-$11m
+816,276 shares
Added
Costar Group Inc (CSGP)
COM · CUSIP 22160N109
0.1%$312m7,724,152
-$191m
+250,772 shares
Added
Schwab Strategic TR
US LRG CAP ETF · CUSIP 808524201
0.2%$316m12,327,339
-$18m
-83,381 shares
Trimmed
Tesla Inc (TSLA)
COM · CUSIP 88160R101
0.2%$321m863,377
-$73m
-12,108 shares
Trimmed
Thermo Fisher Scientific Inc (TMO)
COM · CUSIP 883556102
0.2%$325m660,258
-$311m
-436,701 shares
Trimmed
Ryanair Holdings PLC
SPONSORED ADR · CUSIP 783513203
0.2%$333m5,752,264
-$69m
+185,110 shares
Added
Nebius Group N.v. (NBIS)
SHS CLASS A · CUSIP N97284108
0.2%$334m3,221,553
+$100m
+416,733 shares
Added
iShares TR
CORE US AGGBD ET · CUSIP 464287226
0.2%$339m3,411,430
+$3.5m
+56,033 shares
Added
Travere Therapeutics Inc (TVTX)
COM · CUSIP 89422G107
0.2%$339m11,419,586
-$63m
+908,420 shares
Added
Icu Med Inc
COM · CUSIP 44930G107
0.2%$346m2,676,012
-$22m
+99,256 shares
Added
Oneok Inc New (OKE)
COM · CUSIP 682680103
0.2%$346m3,830,346
+$80m
+209,806 shares
Added
Merck & Co Inc (MRK)
COM · CUSIP 58933Y105
0.2%$347m2,880,199
+$148m
+995,059 shares
Added
Novartis AG
SPONSORED ADR · CUSIP 66987V109
0.2%$348m2,275,938
+$40m
+41,520 shares
Added
Lamar Advertising Co (LAMR)
CL A · CUSIP 512816109
0.2%$350m2,765,131
-$98m
-774,515 shares
Trimmed
Keysight Technologies Inc (KEYS)
COM · CUSIP 49338L103
0.2%$356m1,259,164
+$176m
+375,521 shares
Added
Duke Energy Corp New
COM NEW · CUSIP 26441C204
0.2%$358m2,735,816
+$352m
+2,684,721 shares
Added
Lantheus HLDGS Inc
COM · CUSIP 516544103
0.2%$362m4,774,841
-$18m
-932,406 shares
Trimmed
Sensata Technologies HLDG PL
SHS · CUSIP G8060N102
0.2%$366m10,402,517
+$24m
+112,819 shares
Added
Analog Devices Inc (ADI)
COM · CUSIP 032654105
0.2%$366m1,151,167
+$61m
+23,896 shares
Added
Cboe Global MKTS Inc
COM · CUSIP 12503M108
0.2%$374m1,328,924
+$37m
-12,885 shares
Trimmed
Seagate Technology Hldngs PL
ORD SHS · CUSIP G7997R103
0.2%$379m967,528
+$372m
+943,170 shares
Added
Costco Wholesale Corporation (COST)
COM · CUSIP 22160K105
0.2%$387m388,793
+$54m
+2,630 shares
Added
NIKE Inc (NKE)
CL B · CUSIP 654106103
0.2%$389m7,355,842
-$114m
-531,767 shares
Trimmed
Amgen Inc (AMGN)
COM · CUSIP 031162100
0.2%$390m1,107,159
-$371m
-1,215,634 shares
Trimmed
Lumentum HLDGS Inc
COM · CUSIP 55024U109
0.2%$399m567,182
+$319m
+351,676 shares
Added
Transforce Inc
COM · CUSIP 87241L109
0.2%$402m3,702,480
+$12m
-78,021 shares
Trimmed
Broadridge Finl Solutions In
COM · CUSIP 11133T103
0.2%$404m2,484,197
-$184m
-150,731 shares
Trimmed
Capital One Finl Corp
COM · CUSIP 14040H105
0.2%$409m2,240,915
-$103m
+128,816 shares
Added
Steris PLC (STE)
SHS USD · CUSIP G8473T100
0.2%$412m1,863,139
+$36m
+380,504 shares
Added
RB Global Inc (RBA)
COM · CUSIP 74935Q107
0.2%$419m4,371,610
-$1.5m
+285,713 shares
Added
Gallagher Arthur J & Co
COM · CUSIP 363576109
0.2%$427m1,970,990
-$57m
+101,431 shares
Added
Zoetis Inc (ZTS)
CL A · CUSIP 98978V103
0.2%$438m3,701,747
-$51m
-182,365 shares
Trimmed
Union Pac Corp
COM · CUSIP 907818108
0.2%$442m1,820,796
+$58m
+162,065 shares
Added
Dte Energy Co
COM · CUSIP 233331107
0.2%$451m3,084,544
+$58m
+40,346 shares
Added
Snowflake Inc (SNOW)
COM SHS · CUSIP 833445109
0.2%$452m2,997,385
-$86m
+544,960 shares
Added
Ecolab Inc (ECL)
COM · CUSIP 278865100
0.2%$453m1,701,151
+$35m
+109,877 shares
Added
Cme Group Inc (CME)
COM · CUSIP 12572Q105
0.2%$457m1,546,179
-$103m
-502,236 shares
Trimmed
Applied Matls Inc
COM · CUSIP 038222105
0.2%$475m1,388,708
+$261m
+558,489 shares
Added
Shopify Inc (SHOP)
CL A SUB VTG SHS · CUSIP 82509L107
0.2%$479m4,088,788
-$226m
-334,622 shares
Trimmed
Palantir Technologies Inc (PLTR)
CL A · CUSIP 69608A108
0.2%$480m3,323,141
+$414m
+2,952,079 shares
Added
Hca Healthcare Inc (HCA)
COM · CUSIP 40412C101
0.2%$482m1,017,441
-$27m
-72,449 shares
Trimmed
Conocophillips (COP)
COM · CUSIP 20825C104
0.2%$488m3,697,232
+$376m
+2,496,606 shares
Added
Waters Corp
COM · CUSIP 941848103
0.2%$488m1,638,772
-$2.1m
+348,379 shares
Added
Monster Beverage Corp New (MNST)
COM · CUSIP 61174X109
0.2%$490m6,760,471
-$395m
-4,862,497 shares
Trimmed
PTC Therapeutics Inc (PTCT)
COM · CUSIP 69366J200
0.2%$490m7,193,433
+$121m
+2,342,101 shares
Added
3M Co (MMM)
COM · CUSIP 88579Y101
0.2%$493m3,393,646
-$106m
-347,068 shares
Trimmed
PTC Inc (PTC)
COM · CUSIP 69370C100
0.2%$503m3,530,070
-$110m
+11,278 shares
Added

Every filing on file

QuarterPeriod endFiledBookPositionsTop 10Filing
Q1 202631 Mar 202618 May 2026$209bn2,40730%13F-HR
Q4 202531 Dec 202517 Feb 2026$223bn2,40633%13F-HR
Q3 202530 Sept 202514 Nov 2025$219bn2,39634%13F-HR
Q2 202530 Jun 202514 Aug 2025$204bn2,40033%13F-HR
Q1 202531 Mar 202515 May 2025$182bn2,48131%13F-HR
Q4 202431 Dec 202414 Feb 2025$197bn2,52432%13F-HR
Q3 202430 Sept 202414 Nov 2024$195bn2,52830%13F-HR
Q2 202430 Jun 202414 Aug 2024$187bn2,51832%13F-HR

Taking this into the room

Pick one name from the top of the book and one from the new positions, and know both properly: what the company earns, what it is priced at, and what has to be true for the position to work. That is a conversation. Reciting the whole table is not, and the interviewer wrote it.

A position sold out of is worth as much preparation as one opened. Ask what changed rather than asserting the fund was wrong, and be ready for the answer that the thesis played out and the money went somewhere better.

What this filing leaves out

A 13F covers US-listed long equity at one moment in time. Shorts, bonds, cash, private positions and non-US listings never appear, and options are reported in a form that will mislead you if you read them as a position. A long/short manager showing $8bn here may run a book several times that size.

The lag matters too. Positions are as at the quarter end and the filing arrives up to forty-five days later, so what you are reading is at least six weeks old and possibly four months. Phrase it as what the filing showed, not what the fund holds today.

Company names, tickers and logos are the trademarks of their respective owners and appear here to identify the company whose public figures are being used. L3VLUP is not affiliated with, sponsored by or endorsed by any company shown, and nothing here is a statement by or about that company. More