JGMRX
Janus Henderson Triton 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
MODINE MFG CO 0 224,455 224,455 0.94% $48.64M
Janus Henderson Cash Liquidity Fund LLC 0 32,821,501 32,821,501 0.63% $32.82M
JACK HENRY 0 197,226 197,226 0.60% $31.17M
Janus Henderson Cash Collateral Fund LLC 0 28,343,946 28,343,946 0.55% $28.34M
FORGENT POWER SOLUTIONS INC 0 900,176 900,176 0.51% $26.35M
TRANSUNION 0 360,422 360,422 0.48% $24.94M
COGENT BIOSCIENCES INC 0 573,728 573,728 0.42% $22.08M
GPGI INC 0 981,662 981,662 0.32% $16.79M
WAYSTAR HOLDING CORP 0 687,260 687,260 0.32% $16.57M
Cesiumastro Inc 0 524,386 524,386 0.30% $15.60M
BIOHAVEN LTD 0 1,765,050 1,765,050 0.29% $14.93M
TYRA BIOSCIENCES INC 0 351,278 351,278 0.26% $13.45M
TOAST INC-A 0 468,684 468,684 0.24% $12.42M
AST SPACEMOBILE INC CFD 0 -12,762 -12,762 -0.61% -$31.74M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
AVIDITY BIOSCIENCES 1,185,070 0 -1,185,070 0.00% -$85.48M
Janus Henderson Cash Collateral Fund 76,611,931 0 -76,611,931 0.00% -$76.61M
Janus Henderson Cash Liquidity Fund LLC 54,172,594 0 -54,172,594 0.00% -$54.19M
PENUMBRA INC 169,564 0 -169,564 0.00% -$52.72M
CLEARWATER ANALYTICS HOLDINGS INC 1,412,659 0 -1,412,659 0.00% -$34.07M
MAXIMUS INC 362,124 0 -362,124 0.00% -$31.26M
PARSONS CORP 369,147 0 -369,147 0.00% -$22.81M
CBIZ INC 451,384 0 -451,384 0.00% -$22.77M
BELLRING BRANDS INC 560,629 0 -560,629 0.00% -$14.99M
INSPIRE MEDICAL SYSTEMS INC 150,940 0 -150,940 0.00% -$13.92M
ARCELLX INC 170,088 0 -170,088 0.00% -$11.09M
ELF BEAUTY INC 118,947 0 -118,947 0.00% -$9.04M
JANUX THERAPEUTICS INC 454,642 0 -454,642 0.00% -$6.27M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
AXIS CAPITAL 708,354 711,152 2,798 1.39% -$3.74M
STRIDE INC 274,312 763,429 489,117 1.30% $49.50M
CRANE CO 201,743 234,887 33,144 0.77% $2.96M
CREDO TECHNOLOGY 348,332 389,953 41,621 0.70% -$13.52M
PTC THERAPEUTICS INC 379,299 531,915 152,616 0.70% $7.43M
TRAVERE THERAPEUTICS INC 765,402 1,100,064 334,662 0.63% $3.44M
ALKAMI TECHNOLOGY INC 1,531,255 1,842,213 310,958 0.56% -$6.46M
PROCORE TECHNOLOGIES INC 439,294 483,437 44,143 0.53% -$4.40M
REVVITY INC 233,670 304,252 70,582 0.51% $4.05M
TARSUS PHARMACEUTICALS INC 237,695 279,029 41,334 0.38% $111.42K
EDGEWISE THERAPEUTICS INC 358,567 463,699 105,132 0.28% $5.71M
KLAVIYO INC-A 618,409 704,769 86,360 0.26% -$6.36M
Oddity Tech Ltd. SHS CL A 637,002 930,266 293,264 0.24% -$13.15M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
TELEDYNE TECHNOLOGIES INC 248,516 237,000 -11,516 2.76% $16.46M
AST SPACEMOBILE INC 1,662,167 1,570,509 -91,658 2.50% $9.42M
FLEX LTD 2,179,596 1,757,383 -422,213 2.21% -$16.65M
GLAUKOS CORP 1,090,034 1,040,751 -49,283 2.16% -$11.03M
SS&C TECHNOLOGIE 1,666,704 1,599,529 -67,175 2.08% -$37.62M
RENTOKIL-SP ADR 3,542,258 3,402,359 -139,899 2.06% $2.75M
LIGAND PHARMACEUTICALS 530,895 486,184 -44,711 1.87% -$3.31M
GLOBUS MEDICAL INC 1,120,039 1,093,205 -26,834 1.81% -$3.60M
OSI SYSTEMS INC 373,870 352,034 -21,836 1.80% -$1.89M
CASEY'S GENERAL 177,845 128,029 -49,816 1.79% -$5.11M
CROWN HOLDINGS INC 948,157 857,875 -90,282 1.65% -$11.63M
Tower Semiconductor Ltd (Tel Aviv) 496,365 484,473 -11,892 1.64% $26.73M
LPL FINL HLDGS INC 286,536 279,673 -6,863 1.62% -$18.21M
ARAMARK 2,388,830 2,043,540 -345,290 1.59% -$5.21M
SENSIENT TECHNOLOGIES CORP 1,132,158 950,400 -181,758 1.58% -$24.21M
MAGNOLIA OIL and GAS CORPO CL A 2,629,514 2,566,519 -62,995 1.56% $23.46M
PRAXIS PRECISION MEDICINES INC 246,752 243,708 -3,044 1.51% $5.79M
LEGENCE CORP-A 1,414,076 1,355,466 -58,610 1.47% $15.67M
CBOE GLOBAL MARKETS INC 293,757 264,686 -29,071 1.43% $662.29K
CLEAN HARBORS INC 294,717 253,520 -41,197 1.40% $3.59M
MIRUM PHARMACEUTICALS INC 798,067 778,947 -19,120 1.38% $8.92M
API GROUP CORP 1,728,071 1,686,671 -41,400 1.31% $2.23M
LANTHEUS HOLDING 919,430 897,403 -22,027 1.31% $6.88M
NRG ENERGY INC 473,142 461,807 -11,335 1.30% -$7.85M
STERLING INFRASTRUCTURE INC 183,987 162,744 -21,243 1.28% $9.94M
GILDAN ACTIVEWEAR INC 1,194,765 1,166,141 -28,624 1.25% -$9.73M
SAIA INC 188,595 184,078 -4,517 1.24% $3.08M
Ascendis Pharma A/S 284,121 277,314 -6,807 1.22% $2.84M
ON SEMICONDUCTOR CORP 1,040,892 1,015,955 -24,937 1.21% $6.54M
GATES INDUSTRIAL 2,726,368 2,661,052 -65,316 1.16% $1.63M
BRIDGEBIO PHARMA INC 820,834 801,169 -19,665 1.14% -$3.29M
CACI INTL-A 107,851 105,268 -2,583 1.10% -$211.98K
ZURN ELKAY WATER SOLUTIONS CORP 1,686,804 1,268,361 -418,443 1.09% -$21.55M
BROADRIDGE FINL 352,171 343,735 -8,436 1.07% -$22.74M
ITT INC 347,002 283,422 -63,580 1.04% -$6.21M
REVOLUTION MEDICINES INC 688,773 554,682 -134,091 1.04% -$917.94K
PROTAGONIST THERAPEUTICS INC 521,133 508,648 -12,485 1.03% $8.10M
MIRION TECHNOLOGIES INC-A 2,967,401 2,755,798 -211,603 0.99% -$18.27M
MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 332,618 228,623 -103,995 0.98% -$6.20M
LAMAR ADVERTISING CO CL A 422,038 386,542 -35,496 0.94% -$4.46M
ICU MEDICAL INC 377,923 368,869 -9,054 0.92% -$6.28M
EURONET WORLDWIDE INC 734,637 717,036 -17,601 0.92% -$8.32M
STANDARDAERO INC 1,738,070 1,696,430 -41,640 0.84% -$6.03M
SPX TECHNOLOGIES INC 219,190 213,939 -5,251 0.82% -$1.08M
MADRIGAL PHARMACEUTICALS INC 82,271 80,301 -1,970 0.81% -$5.87M
DYNATRACE INC 1,133,791 1,106,629 -27,162 0.79% -$8.22M
SHIFT4 PAYMENTS INC 921,457 899,381 -22,076 0.76% -$18.69M
VAXCYTE INC 681,671 665,340 -16,331 0.74% $7.21M
UL SOLUTIONS INC CL A 460,643 449,606 -11,037 0.74% $2.21M
INSMED INC 233,791 228,190 -5,601 0.72% -$3.38M
ENTEGRIS INC 321,911 314,198 -7,713 0.71% $9.72M
CARLISLE COS INC 124,177 109,926 -14,251 0.71% -$3.05M
WEX INC 242,197 236,394 -5,803 0.70% $95.23K
PREMIUM BRANDS H 610,052 595,436 -14,616 0.68% -$10.05M
HEALTHEQUITY INC 422,022 411,911 -10,111 0.66% -$4.24M
SILGAN HOLDINGS INC 1,056,806 885,056 -171,750 0.66% -$8.32M
CHURCHILL DOWNS INC 387,248 377,970 -9,278 0.65% -$10.11M
CENTESSA PHARMACEUTICALS LTD ADR 874,810 853,852 -20,958 0.65% $12.04M
Global E Online Ltd SHS 1,092,023 1,065,861 -26,162 0.63% -$10.05M
ITRON INC 340,081 331,933 -8,148 0.57% -$1.83M
BLACKBAUD INC 780,572 761,871 -18,701 0.57% -$20.01M
CONSENSUS CLOUD SOLUTION 1,258,088 1,227,947 -30,141 0.56% $1.70M
STERIS PLC 131,748 128,591 -3,157 0.55% -$4.97M
IDEAYA BIOSCIENCES 866,547 845,786 -20,761 0.54% -$1.77M
WALKER & DUNLOP 642,212 626,826 -15,386 0.54% -$10.81M
SITEONE LANDSCAPE SUPPLY INC 207,249 202,283 -4,966 0.52% $1.11M
XENON PHARMACEUTICALS INC 472,459 461,139 -11,320 0.52% $5.64M
BRIGHT HORIZONS FAMILY SOLUTIONS INC 324,328 316,557 -7,771 0.50% -$6.89M
WINGSTOP INC 167,739 163,722 -4,017 0.49% -$14.63M
COLLIERS-SUBORD 242,451 236,642 -5,809 0.49% -$10.35M
PERIMETER SOLUTIONS SA 1,034,798 1,010,006 -24,792 0.47% -$3.82M
DONALDSON CO INC 290,139 283,188 -6,951 0.46% -$1.69M
PALOMAR HOLDINGS 199,475 194,695 -4,780 0.45% -$3.62M
CAVCO INDUSTRIES INC 49,114 47,939 -1,175 0.45% -$5.80M
Sportradar Group AG CLASS A ORD SHS 1,381,311 1,348,218 -33,093 0.43% -$10.26M
STRUCTURE THERAPEUTICS INC ADR 470,766 459,487 -11,279 0.43% -$10.59M
HAMILTON LANE INC - A 226,015 220,599 -5,416 0.42% -$8.43M
ZIFF DAVIS INC 526,736 514,117 -12,619 0.42% $3.06M
DRIVEN BRANDS HOLDINGS INC 1,713,872 1,672,812 -41,060 0.41% -$4.31M
SOLENO THERAPEUTICS INC 629,641 614,556 -15,085 0.40% -$8.58M
NUVALENT INC-A 194,781 190,114 -4,667 0.37% -$115.84K
CRINETICS PHARMACEUTICALS INC 490,770 479,012 -11,758 0.33% -$5.45M
On Holding AG 507,293 495,139 -12,154 0.32% -$6.73M
VOYAGER TECHNOLOGIES INC 553,993 547,159 -6,834 0.25% -$1.68M
DREAM FINDERS HOMES INC 861,061 850,439 -10,622 0.23% -$2.89M
US ULTRA BOND CBT Sep25 19,147,234 7,086,021 -12,061,213 0.20% $6.00M
LUMEXA IMAGING H 1,033,387 1,008,629 -24,758 0.17% -$10.44M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
Kardium Inc - Series 8 Class D Preferred shares 16,649,170 16,649,170 0 0.30% $0
Loadsmart Inc - Series D 1,075,313 1,075,313 0 0.28% $0
Loadsmart Inc - Series A 377,303 377,303 0 0.10% $0
PFIZER INC-CVR 566,907 566,907 0 0.05% $0
IntelyCare Inc 1,023,958 1,023,958 0 0.03% $0
ROCHE HOLDING AG-CVR 2,270,649 2,270,649 0 0.01% $0
OMNIAB INC - 12.5 EARNOUT 340,494 340,494 0 0.01% $88.43K
OMNIAB INC - 15.00 EARNOUT 340,494 340,494 0 0.00% $95.47K
NOVO NORDISK A/S - CVR 358,647 358,647 0 0.00% $0

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