HoldingsChannel.com
Janus Henderson Group PLC Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
MICROSOFT CORP 52,986,086 +342,648 $7,097,675
     MSFT52,986,086+342,648$7,097,675
MASTERCARD INC 14,628,839 -449,355 $3,869,685
     MA14,628,839-449,355$3,869,685
AMAZON COM INC 1,812,197 -7,762 $3,430,968
     AMZN1,812,197-7,762$3,430,968
ALPHABET INC 2,892,238 -751,004 $3,126,212
     GOOG2,892,238-751,004$3,126,212
APPLE INC 15,042,675 -1,391,944 $2,977,263
     AAPL15,042,675-1,391,944$2,977,263
ADOBE INC 8,017,961 +60,035 $2,362,476
     ADBE8,017,961+60,035$2,362,476
MERCK & CO INC 24,839,949 +1,790,405 $2,082,840
     MRK24,839,949+1,790,405$2,082,840
BOEING CO 5,575,193 +21,663 $2,029,440
     BA5,575,193+21,663$2,029,440
SALESFORCE COM INC 13,247,900 +1,516,132 $2,009,810
     CRM13,247,900+1,516,132$2,009,810
TEXAS INSTRS INC 15,856,423 +132,226 $1,819,554
     TXN15,856,423+132,226$1,819,554
DISNEY WALT CO 12,194,709 +835,585 $1,702,901
     DIS12,194,709+835,585$1,702,901
BOSTON SCIENTIFIC CORP 39,252,231 +1,162,625 $1,687,034
     BSX39,252,231+1,162,625$1,687,034
FACEBOOK INC 8,257,177 +628,233 $1,593,606
     FB8,257,177+628,233$1,593,606
UNITEDHEALTH GROUP INC 6,448,289 +922,290 $1,573,438
     UNH6,448,289+922,290$1,573,438
VISA INC 8,913,039 -308,478 $1,543,950
     V8,913,039-308,478$1,543,950
ABBOTT LABS 17,025,499 +149,307 $1,431,723
     ABT17,025,499+149,307$1,431,723
NETFLIX INC 3,471,536 +213,987 $1,275,354
     NFLX3,471,536+213,987$1,275,354
INTUIT 4,752,482 +1,060,033 $1,241,949
     INTU4,752,482+1,060,033$1,241,949
MCDONALDS CORP 5,549,855 +104,026 $1,152,473
     MCD5,549,855+104,026$1,152,473
HOME DEPOT INC 5,536,321 +127,532 $1,151,422
     HD5,536,321+127,532$1,151,422
COSTAR GROUP INC 2,076,263 -47,185 $1,150,380
     CSGP2,076,263-47,185$1,150,380
CROWN CASTLE INTL CORP NEW 8,604,305 -432,448 $1,121,515
     CCI8,604,305-432,448$1,121,515
SS&C TECHNOLOGIES HLDGS INC 18,687,217 -1,055,948 $1,076,565
     SSNC18,687,217-1,055,948$1,076,565
TD AMERITRADE HLDG CORP 21,556,723 +6,622 $1,076,111
     AMTD21,556,723+6,622$1,076,111
CME GROUP INC 5,510,180 -719,481 $1,069,580
     CME5,510,180-719,481$1,069,580
LAM RESEARCH CORP 5,432,134 +112,508 $1,020,373
     LRCX5,432,134+112,508$1,020,373
INTUITIVE SURGICAL INC 1,896,235 +110,885 $994,664
     ISRG1,896,235+110,885$994,664
HARRIS CORP DEL 5,214,626 +136,215 $986,252
     HRS5,214,626+136,215$986,252
STERIS PLC 6,496,017 -455,841 $967,127
     STE6,496,017-455,841$967,127
CSX CORP 12,340,092 -589,342 $954,752
     CSX12,340,092-589,342$954,752
INTERCONTINENTAL EXCHANGE IN (ICE) 11,079,241 -697,287 $951,954
     ICE11,079,241-697,287$951,954
CATALENT INC 17,294,260 -208,963 $937,522
     CTLT17,294,260-208,963$937,522
NIKE INC 11,145,233 +504,108 $935,594
     NKE11,145,233+504,108$935,594
COOPER COS INC 2,773,403 -60,915 $934,244
     COO2,773,403-60,915$934,244
BROADRIDGE FINL SOLUTIONS IN 7,044,246 -780,073 $899,408
     BR7,044,246-780,073$899,408
ALTRIA GROUP INC 18,731,425 +514,526 $886,937
     MO18,731,425+514,526$886,937
MICROCHIP TECHNOLOGY INC 10,190,594 -642,735 $883,514
     MCHP10,190,594-642,735$883,514
PROGRESSIVE CORP OHIO 11,007,602 -2,139,454 $879,851
     PGR11,007,602-2,139,454$879,851
THERMO FISHER SCIENTIFIC INC 2,986,916 +555,802 $877,186
     TMO2,986,916+555,802$877,186
AMERICAN TOWER CORP NEW 4,153,880 -311,590 $849,214
     AMT4,153,880-311,590$849,214
GARTNER INC 5,091,898 -317,063 $819,487
     IT5,091,898-317,063$819,487
TE CONNECTIVITY LTD 8,507,844 -62,772 $814,877
     TEL8,507,844-62,772$814,877
LPL FINL HLDGS INC 9,937,183 -87,804 $810,576
     LPLA9,937,183-87,804$810,576
VERISK ANALYTICS INC 5,459,352 -294,816 $799,575
     VRSK5,459,352-294,816$799,575
SERVICEMASTER GLOBAL HLDGS I 15,211,269 -238,329 $792,355
     SERV15,211,269-238,329$792,355
NEUROCRINE BIOSCIENCES INC 9,352,240 +540,279 $789,610
     NBIX9,352,240+540,279$789,610
ALIBABA GROUP HLDG LTD 4,657,975 +484,548 $789,257
     BABA4,657,975+484,548$789,257
PAYPAL HLDGS INC 6,770,782 -375,564 $774,973
     PYPL6,770,782-375,564$774,973
NVIDIA CORP 4,659,070 -771,100 $765,105
     NVDA4,659,070-771,100$765,105
WEX INC 3,618,883 -190,211 $753,090
     WEX3,618,883-190,211$753,090

See Full List: All Stocks Held By Janus Henderson Group PLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Janus Henderson Group PLC

Size ($ in 1000's)
At 06/30/2019: $184,355,421
At 03/31/2019: $180,427,027

Combined Holding Report Includes:
JANUS HENDERSON GROUP PLC
Perkins Investment Management LLC
Janus Capital International Ltd
HENDERSON GLOBAL INVESTORS LTD
ALPHAGEN CAPITAL LTD.
GENEVA CAPITAL MANAGEMENT LLC
INTECH INVESTMENT MANAGEMENT LLC
JANUS CAPITAL MANAGEMENT LLC

Janus Henderson Group PLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Janus Henderson Group PLC 13F filings. Link to 13F filings: SEC filings

Janus Henderson Group PLC Top Holdings 13F Filings | www.HoldingsChannel.com

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