SEC Form 13F

JANUS HENDERSON GROUP PLC 13F Holdings

Inspect JANUS HENDERSON GROUP PLC's 2026-03-31 SEC 13F positions, public filing date, amendments and original receipt.

As of 2026-05-19T03:59:59.999Z

Report period
2026-03-31
Publicly available
2026-05-19
Reported value
$209,438,171,063
Positions
2,406

Read this manager's filing book

Step 1 of 3

Disclosed positions

JANUS HENDERSON GROUP PLC: source evidence dated 2026-05-19T03:59:59.999Z.

Issuer
NVIDIA CORPORATION
Ticker
NVDA
Class
COM
Reported value
$14,416,049,011
Reported amount
83,018,647
Unit
SH
Option
None
What you should see

The displayed owner or issuer and source fields identify the receipt to verify; keep reporting and availability dates separate.

Step 2 of 3

What was reported for this quarter?

13F positions are dated quarter-end holdings, with later publication and possible amendments. Read report period and availability before calling them current.

SEC 13F-HR/A: 0001085146-26-000420
What you should see

Open the effective filing receipt and inspect shares, value and any put/call classification separately.

Step 3 of 3

Browse institutional filings

Open the effective filing receipt and inspect shares, value and any put/call classification separately.

Browse institutional filings
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Keep reporting dates and units beside the answer, and inspect its original citations.

Disclosed positions

See the complete disclosed positions
NVIDIA CORPORATIONNVDACOM$14,416,049,01183,018,647SHNone
MICROSOFT CORPMSFTCOM$8,807,009,18723,878,982SHNone
APPLE INCAAPLCOM$6,804,276,16726,916,594SHNone
ALPHABET INCGOOGCAP STK CL C$6,797,654,00023,777,274SHNone
AMAZON COM INCAMZNCOM$6,686,373,16732,297,269SHNone
BROADCOM INCAVGOCOM$5,962,504,47919,350,859SHNone
ELI LILLY & COLLYCOM$3,982,443,4874,347,394SHNone
META PLATFORMS INCMETACL A$3,939,422,1766,915,124SHNone
TAIWAN SEMICONDUCTOR MANUFACTSMSPONSORED ADS$2,650,963,8877,917,824SHNone
ASTRAZENECA PLCAZNORD$2,319,946,73111,949,424SHNone
MASTERCARD INCORPORATEDMACL A$2,272,686,2474,568,710SHNone
LAM RESEARCH CORPLRCXCOM NEW$1,975,244,4139,265,026SHNone
JOHNSON & JOHNSONJNJCOM$1,924,322,7087,872,478SHNone
ARGENX SEARGXSPONSORED ADR$1,847,592,4272,541,732SHNone
KLA CORPKLACCOM NEW$1,826,754,5521,240,678SHNone
EATON CORP PLCETNSHS$1,805,530,8005,092,361SHNone
HOWMET AEROSPACE INCHWMCOM$1,769,707,4787,755,645SHNone
ORACLE CORPORCLCOM$1,754,454,60312,046,414SHNone
ABBVIE INCABBVCOM$1,507,338,1506,931,036SHNone
NETFLIX INC.NFLXCOM$1,431,141,20514,884,336SHNone
FERGUSON ENTERPRISES INCFERGCOMMON STOCK NEW$1,424,074,8006,107,108SHNone
VISA INCVCOM CL A$1,356,090,1994,486,927SHNone
FLEXTRONICS INTL LTDFLEXORD$1,349,785,49120,619,740SHNone
GE VERNOVA INCGEVCOM$1,316,075,5331,519,799SHNone
MICRON TECHNOLOGY INCMUCOM$1,310,879,5033,881,507SHNone
JPMORGAN CHASE & COJPMCOM$1,228,093,6034,175,138SHNone
DANAHER CORP DELDHRCOM$1,222,064,2146,489,965SHNone
AMPHENOL CORPAPHCL A$1,195,087,7779,458,488SHNone
DOORDASH INCDASHCL A$1,159,377,0287,762,553SHNone
BOOKING HOLDINGS INCBKNGCOM$1,136,854,894270,019SHNone
PRAXIS PRECISION MEDICINES IPRAXCOM NEW$1,113,513,8483,458,863SHNone
LPL FINL HLDGS INCLPLACOM$1,103,078,9943,666,780SHNone
MERCADOLIBRE INCMELICOM$1,062,018,734614,238SHNone
TOTALENERGIES SETTEACT$1,055,775,22211,349,122SHNone
MADRIGAL PHARMACEUTICALS INCMDGLCOM$1,051,727,4762,018,647SHNone
BOSTON SCIENTIFIC CORPBSXCOM$1,035,201,52216,497,366SHNone
UNITEDHEALTH GROUP INCUNHCOM$991,448,3833,691,607SHNone
INTERCONTINENTAL EXCHANGE INICECOM$987,705,3456,315,981SHNone
BRIDGEBIO PHARMA INCBBIOCOM$978,607,71213,179,013SHNone
VAXCYTE INCPCVXCOM$960,231,22116,575,875SHNone
VERTEX PHARMACEUTICALS INCVRTXCOM$951,794,6662,131,527SHNone
REVOLUTION MEDICINES INCRVMDCOM$949,537,1269,766,496SHNone
API GROUP CORPAPGCOM STK$946,845,65123,367,041SHNone
PROGRESSIVE CORPPGRCOM$937,960,0234,731,581SHNone
TELEDYNE TECHNOLOGIES INCTDYCOM$935,146,5011,545,674SHNone
GE AEROSPACEGECOM NEW$926,113,5893,263,621SHNone
LIBERTY MEDIA CORP DELFWONKCOM LBTY ONE S C$925,298,68310,883,212SHNone
DATADOG INCDDOGCL A COM$905,570,0487,749,569SHNone
ALPHABET INCGOOGLCAP STK CL A$885,387,5123,078,924SHNone
CHEVRON CORPORATIONCVXCOM$865,175,4854,181,809SHNone

Largest 50 positions by reported value; the filing may contain more positions.

How amendments affect these holdings

This view uses 1 effective filing version(s). A restatement replaces the previous book; a new-holdings amendment adds positions. 17 positions lack a resolved ticker and 0 positions are put or call entries.

A 13F is a delayed quarterly snapshot of disclosed holdings. It is not a complete trade ledger and does not reveal every position in a manager's portfolio. Option values refer to the reported underlying position rather than a traded option premium.

Quarter end and public filing date

Use the filing's public availability date when constructing a historical observation. The quarter-end report period is earlier and cannot be substituted for when the public learned the holdings.

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