Please ensure Javascript is enabled for purposes of website accessibility Global Technology and Innovation Fund - Janus Henderson Investors
For Individual Investors in the US

Global Technology and Innovation Fund Holdings

Full Portfolio Holdings

(As of May 31, 2024)

% OF INVESTMENTS
NVIDIA Corp 12.38
Microsoft Corp 10.35
Taiwan Semiconductor Manufacturing Co Ltd 5.44
Meta Platforms Inc 5.39
Apple Inc 4.87
Alphabet Inc 4.40
ASML Holding NV 4.32
Constellation Software Inc/Canada 3.09
Analog Devices Inc 2.58
Advanced Micro Devices Inc 2.51
KLA Corp 2.45
Mastercard Inc 2.40
Lam Research Corp 2.27
Applied Materials Inc 2.24
Oracle Corp 1.92
Cadence Design Systems Inc 1.72
MercadoLibre Inc 1.70
CCC Intelligent Solutions Holdings Inc 1.67
CoStar Group Inc 1.67
Booking Holdings Inc 1.53
Synopsys Inc 1.44
Amazon.com Inc 1.43
Broadcom Inc 1.31
Amphenol Corp 1.23
Tyler Technologies Inc 1.19
Workday Inc 1.18
Texas Instruments Inc 1.12
Uber Technologies Inc 1.04
T-Mobile US Inc 0.99
NXP Semiconductors NV 0.97
Adobe Inc 0.95
DoorDash Inc 0.88
Vertiv Holdings Co 0.85
Dynatrace Inc 0.73
ServiceNow Inc 0.70
Equinix Inc 0.56
Marvell Technology Inc 0.53
Lumine Group Inc 0.53
Shopify Inc 0.51
Procore Technologies Inc 0.49
ASM International NV 0.48
ON Semiconductor Corp 0.47
Paylocity Holding Corp 0.42
Via Transportation Inc 0.42
Visa Inc 0.42
Nice Ltd (ADR) 0.31
Trade Desk Inc 0.25
Intuit Inc 0.24
GoDaddy Inc 0.23
BE Semiconductor Industries NV 0.21
Apartment List Inc 0.19
Amplitude Inc 0.17
HubSpot Inc 0.14
Rubrik Inc 0.12
MongoDB Inc 0.12
PagerDuty Inc 0.09
Axon Enterprise Inc 0.08
Via Transportation Inc 0.06
Via Transportation Inc 0.04
Via Transportation Inc 0.02
Via Transportation Inc 0.01
Via Transportation Inc 0.01
Via Transportation Inc 0.01
Via Transportation Inc 0.01
Grab Holdings Ltd 0.00
Magic Leap Inc 0.00
Cash & Equivalents 1.95
Janus Henderson publishes this listing of securities held as of the most recently available disclosure period, which varies depending on the portfolio. Any portion of holdings may be excluded from publication when deemed in the best interest of the portfolio. Securities are reported at market value.
The portfolio data and its presentation here is based on the investment book of record and may differ from the accounting book of record and complete schedules of investments in regulatory filings due to differing accounting and reporting standards.