JVTSX
Janus Henderson Venture Fund
JANUS INVESTMENT FUND

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
141
Top-10 weight
18.11%
Effective holdings ?
95
Crowding ?
373.5

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 GLAUKOS CORP 648,591 $69.83M 2.28%
2 SPX TECHNOLOGIES INC 302,717 $60.53M 1.97%
3 OSI SYSTEMS INC 222,448 $59.06M 1.93%
4 CASEY'S GENERAL 78,849 $57.39M 1.87%
5 AST SPACEMOBILE INC 655,608 $54.33M 1.77%
6 LIGAND PHARMACEUTICALS 266,062 $53.12M 1.73%
7 SS&C TECHNOLOGIE 777,885 $52.56M 1.72%
8 PERIMETER SOLUTIONS SA 2,146,758 $52.42M 1.71%
9 RENTOKIL-SP ADR RTO 1,632,185 $51.38M 1.68%
10 GLOBUS MEDICAL INC 585,839 $50.48M 1.65%
11 Tower Semiconductor Ltd (Tel Aviv) TSEM US 282,087 $49.50M 1.62%
12 BEL FUSE INC NV CL B 234,730 $46.47M 1.52%
13 LEGENCE CORP-A 813,528 $45.93M 1.50%
14 STRIDE INC 520,724 $45.91M 1.50%
15 BRIDGEBIO PHARMA INC 615,777 $45.73M 1.49%
16 PRAXIS PRECISION MEDICINES INC 141,046 $45.44M 1.48%
17 LPL FINL HLDGS INC 149,510 $44.98M 1.47%
18 STERLING INFRASTRUCTURE INC 108,080 $44.02M 1.44%
19 CECO ENVIRONMNTL 720,259 $42.91M 1.40%
20 SENSIENT TECHNOLOGIES CORP 488,899 $42.26M 1.38%
21 MIRUM PHARMACEUTICALS INC 453,555 $41.90M 1.37%
22 DESCARTES SYS 544,772 $39.03M 1.27%
23 BANCORP INC/THE 723,277 $38.86M 1.27%
24 MAGNOLIA OIL and GAS CORPO CL A 1,200,976 $37.91M 1.24%
25 REVOLUTION MEDICINES INC 371,147 $36.09M 1.18%
26 ARAMARK 871,314 $35.32M 1.15%
27 GILDAN ACTIVEWEAR INC 627,812 $34.94M 1.14%
28 LANTHEUS HOLDING 456,070 $34.59M 1.13%
29 ENPRO INDUSTRIES INC 137,064 $34.36M 1.12%
30 PROTAGONIST THERAPEUTICS INC 325,402 $34.30M 1.12%
31 CORE & MAIN IN-A 682,138 $33.70M 1.10%
32 ZURN ELKAY WATER SOLUTIONS CORP 750,075 $33.63M 1.10%
33 Ascendis Pharma A/S 144,316 $33.01M 1.08%
34 Janus Henderson Cash Liquidity Fund LLC 32,153,727 $32.15M 1.05%
35 CACI INTL-A 58,550 $31.84M 1.04%
36 CREDO TECHNOLOGY 334,479 $31.40M 1.02%
37 ITT INC 164,368 $31.32M 1.02%
38 MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 136,329 $30.27M 0.99%
39 GATES INDUSTRIAL 1,292,733 $29.23M 0.95%
40 BROADRIDGE FINL 176,865 $28.74M 0.94%
41 MADRIGAL PHARMACEUTICALS INC 54,399 $28.48M 0.93%
42 MODINE MFG CO 131,396 $28.47M 0.93%
43 ATLANTA BRAVES HOLDINGS INC 664,750 $28.38M 0.93%
44 VALVOLINE INC 829,218 $27.93M 0.91%
45 CIMPRESS PLC 380,734 $27.79M 0.91%
46 ICU MEDICAL INC 213,362 $27.56M 0.90%
47 PDF SOLUTIONS INC 840,214 $27.48M 0.90%
48 VAXCYTE INC 460,764 $26.77M 0.87%
49 NOVANTA INC 214,257 $25.31M 0.83%
50 PTC THERAPEUTICS INC 352,911 $24.04M 0.78%
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