JANUS HENDERSON GROUP PLC Q1 2020 Filing

Filed May 14, 2020

Portfolio Value

$145.3B

Holdings

1,291

Report Date

Q1 2020

Filing Type

13F-HR

All Holdings (1,291 positions)

#StockSharesValue% PortfolioType
601
DOCHEALTHPEAK PROPERTIES INC
2,307,031$55.0M0.04%
602
CAECAE INC
4,398,943$55.0M0.04%
603
MMSMAXIMUS INC
944,402$55.0M0.04%
604
LBRDKLIBERTY BROADBAND CORP
490,971$54.4M0.04%
605
DREUSDDUKE REALTY CORP
1,678,914$54.3M0.04%
606
BOHBANK HAWAII CORP
973,770$53.8M0.04%
607
CMSCMS ENERGY CORP
915,553$53.8M0.04%
608
OKTAOKTA INC
438,690$53.6M0.04%
609
REEVEREST RE GROUP LTD
276,782$53.3M0.04%
610
AVYAVERY DENNISON CORP
520,355$53.0M0.04%
611
AMGNAMGEN INC
260,580$52.8M0.04%
612
TECK/BTECK RESOURCES LTD
7,021,416$52.6M0.04%
613
PBPROSPERITY BANCSHARES INC
1,074,369$51.8M0.04%
614
BBIOBRIDGEBIO PHARMA INC
1,786,039$51.8M0.04%
615
NTESNETEASE INC
160,950$51.6M0.04%
616
SILKSILK RD MED INC
1,635,462$51.5M0.04%
617
TSNTYSON FOODS INC
887,427$51.4M0.04%
618
ALRMALARM COM HLDGS INC
1,319,885$51.4M0.04%
619
BMY-RBRISTOL-MYERS SQUIBB CO
13,504,530$51.3M0.04%
620
AXSAXIS CAPITAL HOLDINGS LTD
1,324,561$51.2M0.04%
621
EVEUREATON VANCE CORP
1,586,542$51.2M0.04%
622
PEOEXELON CORP
1,386,385$51.0M0.04%
623
ARGO GROUP INTL HLDGS LTD
1,354,722$50.2M0.03%
624
GNRCGENERAC HLDGS INC
534,882$49.8M0.03%
625
MTNVAIL RESORTS INC
334,097$49.3M0.03%
626
EMREMERSON ELEC CO
1,024,833$48.8M0.03%
627
ORLYO REILLY AUTOMOTIVE INC NEW
162,060$48.8M0.03%
628
TWNKEURHOSTESS BRANDS INC
4,555,027$48.6M0.03%
629
RSGREPUBLIC SVCS INC
644,055$48.3M0.03%
630
WNSNWNS HOLDINGS LTD
1,124,298$48.3M0.03%
631
DRIDARDEN RESTAURANTS INC
886,937$48.3M0.03%
632
UHSUNIVERSAL HLTH SVCS INC
484,869$48.0M0.03%
633
UCBUNITED CMNTY BKS BLAIRSVLE G
2,611,496$47.8M0.03%
634
SWKSTANLEY BLACK & DECKER INC
478,057$47.8M0.03%
635
ACGLARCH CAP GROUP LTD
1,674,987$47.7M0.03%
636
CSIIEURCARDIOVASCULAR SYS INC DEL
1,353,866$47.7M0.03%
637
MKSIMKS INSTRS INC
577,062$47.0M0.03%
638
OVVOVINTIV INC
17,552$47.0M0.03%
639
WSFSWSFS FINL CORP
1,874,725$46.7M0.03%
640
MLB1MERCADOLIBRE INC
95,415$46.6M0.03%
641
CFGCITIZENS FINANCIAL GROUP INC
2,446,927$46.0M0.03%
642
CAHCARDINAL HEALTH INC
958,688$46.0M0.03%
643
WIREEURENCORE WIRE CORP
1,080,600$45.4M0.03%
644
THOTHOR INDS INC
1,074,713$45.3M0.03%
645
SAILEURSAILPOINT TECHNLGIES HLDGS I
2,976,682$45.3M0.03%
646
IDXXIDEXX LABS INC
185,672$45.0M0.03%
647
DSGDESCARTES SYS GROUP INC
1,321,632$45.0M0.03%
648
EYENATIONAL VISION HLDGS INC
2,313,387$44.9M0.03%
649
ALNYALNYLAM PHARMACEUTICALS INC
407,457$44.4M0.03%
650
FNVFRANCO NEVADA CORP
448,794$44.3M0.03%
651
CSTMCONSTELLIUM SE
8,494,537$44.3M0.03%
652
ODFLOLD DOMINION FREIGHT LINE IN
337,096$44.2M0.03%
653
TRMBTRIMBLE INC
1,388,063$44.2M0.03%
654
DALDELTA AIR LINES INC DEL
1,548,471$44.2M0.03%
655
EFXEQUIFAX INC
368,669$44.0M0.03%
656
ZBRAZEBRA TECHNOLOGIES CORP
239,039$43.9M0.03%
657
ODONATE THERAPEUTICS INC
1,581,928$43.7M0.03%
658
AIZASSURANT INC
418,629$43.6M0.03%
659
ARNC1EURARCONIC CORPORATION
2,670,118$42.9M0.03%
660
CHKPCHECK POINT SOFTWARE TECH LT
425,838$42.8M0.03%
661
PHATPHATHOM PHARMACEUTICALS INC
1,667,577$42.2M0.03%
662
AEMAGNICO EAGLE MINES LTD
1,062,454$41.9M0.03%
663
AG8AGILENT TECHNOLOGIES INC
584,438$41.9M0.03%
664
EDUNEW ORIENTAL ED & TECH GRP I
386,577$41.8M0.03%
665
AMBAAMBARELLA INC
861,456$41.8M0.03%
666
APREAPREA THERAPEUTICS INC
1,224,201$41.7M0.03%
667
CHRCHURCHILL DOWNS INC
404,528$41.6M0.03%
668
VSTVISTRA ENERGY CORP
2,600,084$41.5M0.03%
669
BKNGBOOKING HLDGS INC
30,733$41.3M0.03%
670
4I1PHILIP MORRIS INTL INC
565,002$41.2M0.03%
671
ROKUROKU INC
468,985$41.0M0.03%
672
SJMSMUCKER J M CO
369,522$41.0M0.03%
673
TDTORONTO DOMINION BK ONT
974,542$40.9M0.03%
674
OREALTY INCOME CORP
818,209$40.8M0.03%
675
MDLZMONDELEZ INTL INC
813,763$40.8M0.03%
676
GEGENERAL ELECTRIC CO
5,094,010$40.4M0.03%
677
A4SAMERIPRISE FINL INC
393,686$40.3M0.03%
678
CITCINTAS CORP
231,599$40.1M0.03%
679
CPBCAMPBELL SOUP CO
865,278$39.9M0.03%
680
LYVLIVE NATION ENTERTAINMENT IN
876,754$39.9M0.03%
681
SG7SAGE THERAPEUTICS INC
1,387,795$39.9M0.03%
682
AMCRAMCOR PLC
4,897,409$39.8M0.03%
683
WCNWASTE CONNECTIONS INC
510,538$39.5M0.03%
684
HRLHORMEL FOODS CORP
847,457$39.5M0.03%
685
TIFEURTIFFANY & CO NEW
304,327$39.4M0.03%
686
ARGXARGENX SE
298,889$39.4M0.03%
687
MPTMEDICAL PPTYS TRUST INC
2,235,093$38.6M0.03%
688
TRI4EURTHOMSON REUTERS CORP
572,949$38.6M0.03%
689
BKBANK NEW YORK MELLON CORP
1,129,186$38.0M0.03%
690
CCEPCOCA COLA EUROPEAN PARTNERS
1,006,463$37.8M0.03%
691
NBISYANDEX N V
1,096,380$37.3M0.03%
692
IOSPINNOSPEC INC
535,678$37.2M0.03%
693
HRTXHERON THERAPEUTICS INC
3,170,020$37.2M0.03%
694
TWLOTWILIO INC
414,036$37.1M0.03%
695
AJGGALLAGHER ARTHUR J & CO
453,475$37.0M0.03%
696
FNFFIDELITY NATIONAL FINANCIAL
1,485,180$37.0M0.03%
697
OPLNKAR AUCTION SVCS INC
3,076,864$36.9M0.03%
698
EXREXTRA SPACE STORAGE INC
384,557$36.8M0.03%
699
BROBROWN & BROWN INC
1,000,182$36.2M0.02%
700
MEDALLIA INC
1,797,492$36.0M0.02%
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