JAENX
Janus Henderson Enterprise Fund
JANUS INVESTMENT FUND

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Dec 31, 2025 → Mar 31, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
Janus Henderson Cash Liquidity Fund LLC 0 796,768,926 796,768,926 3.90% $796.77M
MADRIGAL PHARMACEUTICALS INC 0 233,269 233,269 0.60% $122.11M
PRAXIS PRECISION MEDICINES INC 0 290,420 290,420 0.46% $93.57M
JACK HENRY 0 479,046 479,046 0.37% $75.71M
GLAUKOS CORP 0 636,302 636,302 0.34% $68.50M
Janus Henderson Cash Collateral Fund LLC 0 9,798,420 9,798,420 0.05% $9.80M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
Janus Henderson Cash Liquidity Fund LLC 686,124,155 0 -686,124,155 0.00% -$686.33M
DAYFORCE INC 5,822,516 0 -5,822,516 0.00% -$402.69M
Janus Henderson Cash Collateral Fund 11,377,747 0 -11,377,747 0.00% -$11.38M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
FERGUSON ENTERPRISES INC 3,143,499 3,174,027 30,528 3.62% $40.54M
LPL FINL HLDGS INC 1,699,141 1,828,994 129,853 2.69% -$56.67M
API GROUP CORP 12,861,661 13,147,907 286,246 2.61% $40.67M
DOORDASH INC-A 1,820,459 2,748,340 927,881 2.02% $365.70K
INGERSOLL RAND INC 4,620,568 4,676,941 56,373 1.83% $8.68M
WATERS CORP 927,197 1,170,078 242,881 1.70% -$3.73M
CANADIAN PACIFIC KANSAS CITY LTD 3,622,965 3,784,687 161,722 1.46% $30.94M
COSTAR GROUP INC 5,410,040 5,532,268 122,228 1.09% -$140.60M
STERIS PLC 739,181 994,302 255,121 1.08% $32.47M
TE CONNECTIVITY 801,524 868,228 66,704 0.89% -$877.71K
WAYFAIR INC- A 2,173,558 2,260,926 87,368 0.83% -$48.20M
STANDARDAERO INC 5,778,380 6,085,562 307,182 0.77% -$8.53M
FIRSTSERVICE-WI 884,098 1,027,776 143,678 0.70% $5.30M
BRIDGEBIO PHARMA INC 1,387,540 1,909,659 522,119 0.69% $35.68M
MEDLINE INC-A 2,677,376 2,957,481 280,105 0.64% $19.16M
Ryanair Holdings PLC ORD EUR0.006 3,138,238 4,513,508 1,375,270 0.63% $18.88M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
FLEX LTD 12,754,599 11,766,969 -987,630 3.77% -$367.08K
TELEDYNE TECHNOLOGIES INC 980,451 881,987 -98,464 2.61% $32.87M
KLA CORP 216,284 189,323 -26,961 1.36% $15.96M
SS&C TECHNOLOGIE 8,009,049 4,084,271 -3,924,778 1.35% -$424.18M
ARGENX SE SPONSORED ADR 323,451 309,064 -14,387 1.10% -$46.31M
BROADRIDGE FINL 1,432,866 1,279,978 -152,888 1.02% -$111.80M
INTACT FINL CORP 2,441,057 894,652 -1,546,405 0.79% -$346.08M
VAXCYTE INC 2,570,623 2,269,870 -300,753 0.65% $13.29M
SCHWAB CHARLES CORP 1,498,309 1,364,178 -134,131 0.63% -$21.49M
APPLOVIN CORP 1,376,000 311,354 -1,064,646 0.61% -$803.26M
VERALTO CORP 1,448,006 1,397,076 -50,930 0.60% -$20.95M
WR BERKLEY CORP 2,556,039 1,738,101 -817,938 0.56% -$64.03M
LAMAR ADVERTISING CO CL A 1,622,133 840,871 -781,262 0.52% -$98.82M
Ascendis Pharma A/S 731,867 455,042 -276,825 0.51% -$51.98M
DOLLAR TREE INC 1,169,388 904,605 -264,783 0.48% -$44.78M
REVOLUTION MEDICINES INC 2,086,737 999,703 -1,087,034 0.48% -$68.99M
US ULTRA BOND CBT Sep25 29,270,275 2,449,639 -26,820,636 0.08% $3.92M
Canada Dollar Cash Balance 2,824,845 1,673,996 -1,150,849 0.01% -$1.15M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
HUNT J B TRANSPORT SERVICES IN 2,853,222 2,853,222 0 2.96% $50.10M
ALLIANT ENERGY CORPORATION 7,227,173 7,227,173 0 2.54% $48.78M
REVVITY INC 5,624,564 5,624,564 0 2.41% -$51.41M
ON SEMICONDUCTOR CORP 7,509,031 7,509,031 0 2.27% $58.35M
CORTEVA INC 4,946,203 4,946,203 0 2.03% $82.50M
CLEAN HARBORS INC 1,443,210 1,443,210 0 2.02% $75.41M
ARAMARK 10,081,068 10,081,068 0 2.00% $37.10M
CONSTELLATION SOFTWARE INC 232,661 232,661 0 2.00% -$151.20M
LIBERTY MEDIA CORP LIBERTY FORMULA ONE CL C 4,700,460 4,700,460 0 1.95% -$63.41M
AMEREN CORP 3,512,382 3,512,382 0 1.89% $35.33M
WEX INC 2,499,077 2,499,077 0 1.87% $10.15M
PTC INC 2,528,600 2,528,600 0 1.76% -$80.21M
NXP SEMICONDUCTO 1,800,147 1,800,147 0 1.73% -$36.36M
BOSTON SCIENTIFIC CORP 5,565,902 5,565,902 0 1.71% -$181.45M
TELEFLEX INC 2,885,870 2,885,870 0 1.69% -$7.01M
DTE ENERGY CO 2,204,308 2,204,308 0 1.58% $38.00M
GILDAN ACTIVEWEAR INC 5,492,104 5,492,104 0 1.50% -$37.40M
ONEOK INC 2,877,348 2,877,348 0 1.27% $48.60M
RB GLOBAL INC 2,681,209 2,681,209 0 1.26% -$18.82M
SENSATA TECHNOLO 6,977,054 6,977,054 0 1.20% $13.47M
TFI INTERNATIONA 1,889,400 1,889,400 0 1.00% $9.98M
RENTOKIL-SP ADR 6,389,737 6,389,737 0 0.98% $12.91M
RYANAIR HOLDINGS PLC SPON ADR 3,441,065 3,441,065 0 0.97% -$49.52M
GLOBUS MEDICAL INC 2,207,141 2,207,141 0 0.93% -$2.54M
WILLIS TOWERS WA 641,071 641,071 0 0.91% -$24.30M
CBOE GLOBAL MARKETS INC 638,291 638,291 0 0.88% $19.19M
BURLINGTON STORES INC 546,782 546,782 0 0.87% $19.97M
CIMPRESS PLC 2,355,405 2,355,405 0 0.84% $15.10M
CDW CORPORATION 1,411,060 1,411,060 0 0.84% -$21.42M
ILLUMINA INC 1,338,491 1,338,491 0 0.81% -$10.57M
ICU MEDICAL INC 1,230,753 1,230,753 0 0.78% -$16.64M
WORKDAY INC CL A 1,184,263 1,184,263 0 0.75% -$100.50M
TRANSUNION 2,085,935 2,085,935 0 0.71% -$34.54M
CARMAX INC 3,156,983 3,156,983 0 0.64% $9.28M
UL SOLUTIONS INC CL A 1,411,452 1,411,452 0 0.59% $9.67M
COOPER COS INC 1,678,964 1,678,964 0 0.59% -$17.56M
Retokil Initial PLC 16,467,941 16,467,941 0 0.50% $4.03M
DESCARTES SYS 1,369,078 1,369,078 0 0.48% -$22.04M
DYNATRACE INC 2,457,390 2,457,390 0 0.44% -$15.63M
LANTHEUS HOLDING 1,132,936 1,132,936 0 0.42% $10.54M
Entain PLC ORD EUR0.01 11,134,775 11,134,775 0 0.41% -$30.57M
ZIFF DAVIS INC 1,581,368 1,581,368 0 0.32% $10.77M
Topicus.com Inc 1,001,381 1,001,381 0 0.32% -$26.58M
LIBERTY MEDIA CORP LIBERTY FORMULA ONE CL A 731,603 731,603 0 0.28% -$8.27M

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.